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, 2013

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: 		Robert P Browne
Title: 		Senior Vice President
Phone: 		(312) 630-6000

Signature, Place, and Date of Signing:

Robert Browne				Chicago, IL		May 1, 2013
[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:	12,464.

Form 13F Information Table Value Total: $ 268,801,912.
					(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				not currently used
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				not currently used









  FORM 13F                                                                                                      PAGE      1
  ________
  DATE 03-29-13                                                     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       6,857     175,292  SH     DEFINED     01     157,137      17,813         342
DEUTSCHE BANK AG                  COM   D18190898         478      12,208  SH     OTHER       01       9,312       2,896           0
DEUTSCHE BANK AG                  COM   D18190898       1,979      50,591  SH     DEFINED  01,08       5,358      45,233           0

AIRCASTLE LTD                     COM   G0129K104       3,548     259,363  SH     DEFINED     01      11,816     247,547           0
AIRCASTLE LTD                     COM   G0129K104      11,215     819,819  SH     DEFINED  01,08     238,421     581,398           0
AIRCASTLE LTD                     COM   G0129K104       1,993     145,660  SH     DEFINED     09     145,660           0           0

ALKERMES PLC                      COM   G01767105       3,038     128,187  SH     DEFINED     01      24,298     103,889           0
ALKERMES PLC                      COM   G01767105      31,973   1,349,076  SH     DEFINED  01,08      72,773   1,276,303           0
ALKERMES PLC                      COM   G01767105       7,335     309,508  SH     DEFINED     09     309,508           0           0

ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108      14,278     453,420  SH     DEFINED     01      10,716     442,704           0
ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108      35,425   1,124,975  SH     DEFINED  01,08     424,415     700,560           0
ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108       6,700     212,764  SH     DEFINED     09     212,764           0           0

AMDOCS LTD                        COM   G02602103       1,437      39,649  SH     DEFINED     01       8,315      31,334           0
AMDOCS LTD                        COM   G02602103      15,143     417,743  SH     DEFINED  01,08      30,601     387,142           0

AMBARELLA INC                     COM   G037AX101          51       3,275  SH     DEFINED     01           0       3,275           0
AMBARELLA INC                     COM   G037AX101         853      54,471  SH     DEFINED  01,08         618      53,853           0
AMBARELLA INC                     COM   G037AX101         260      16,628  SH     DEFINED     09      16,628           0           0

AON PLC                           COM   G0408V102      23,310     379,017  SH     DEFINED     01     138,775     229,784      10,458
AON PLC                           COM   G0408V102       1,611      26,202  SH     OTHER       01      13,870      12,332           0
AON PLC                           COM   G0408V102     170,323   2,769,487  SH     DEFINED  01,08     416,479   2,353,008           0
AON PLC                           COM   G0408V102      56,112     912,384  SH     DEFINED     09     912,384           0           0

ARCH CAP GROUP LTD                COM   G0450A105       2,364      44,968  SH     DEFINED     01      25,287      19,681           0
ARCH CAP GROUP LTD                COM   G0450A105      35,031     666,367  SH     DEFINED  01,08     143,724     522,643           0
ARCH CAP GROUP LTD                COM   G0450A105      10,036     190,906  SH     DEFINED     09     190,906           0           0

ARCOS DORADOS HOLDINGS INC        COM   G0457F107         134      10,145  SH     DEFINED     01       3,430       6,715           0
ARCOS DORADOS HOLDINGS INC        COM   G0457F107         134      10,137  SH     OTHER       01           0      10,137           0
ARCOS DORADOS HOLDINGS INC        COM   G0457F107       2,047     155,100  SH     DEFINED  01,08     155,100           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      2
  ________

ARGO GROUP INTL HLDGS LTD         COM   G0464B107       2,430      58,721  SH     DEFINED     01       4,350      54,371           0
ARGO GROUP INTL HLDGS LTD         COM   G0464B107      12,558     303,470  SH     DEFINED  01,08      46,902     256,568           0
ARGO GROUP INTL HLDGS LTD         COM   G0464B107       2,698      65,205  SH     DEFINED     09      65,205           0           0

APCO OIL & GAS INTERNATIONAL      COM   G0471F109         136      10,967  SH     DEFINED     01         935      10,032           0
APCO OIL & GAS INTERNATIONAL      COM   G0471F109       1,377     111,088  SH     DEFINED  01,08       4,902     106,186           0
APCO OIL & GAS INTERNATIONAL      COM   G0471F109         276      22,265  SH     DEFINED     09      22,265           0           0

ASPEN INSURANCE HOLDINGS LTD      COM   G05384105       2,341      60,675  SH     DEFINED     01      56,974       2,646       1,055
ASPEN INSURANCE HOLDINGS LTD      COM   G05384105          56       1,457  SH     OTHER       01       1,417           0          40
ASPEN INSURANCE HOLDINGS LTD      COM   G05384105      20,010     518,665  SH     DEFINED  01,08       7,180     511,485           0
ASPEN INSURANCE HOLDINGS LTD      COM   G05384105           0           1  SH     DEFINED     09           1           0           0

ASSURED GUARANTY LTD              COM   G0585R106       6,302     305,765  SH     DEFINED     01      44,872     260,893           0
ASSURED GUARANTY LTD              COM   G0585R106          14         680  SH     OTHER       01         680           0           0
ASSURED GUARANTY LTD              COM   G0585R106      20,033     971,985  SH     DEFINED  01,08     270,120     701,865           0
ASSURED GUARANTY LTD              COM   G0585R106           0           1  SH     DEFINED     09           1           0           0

AXIS CAPITAL HOLDINGS INV         COM   G0692U109       1,650      39,656  SH     DEFINED     01      23,447      16,209           0
AXIS CAPITAL HOLDINGS INV         COM   G0692U109      22,867     549,419  SH     DEFINED  01,08     128,380     421,039           0
AXIS CAPITAL HOLDINGS INV         COM   G0692U109       6,774     162,761  SH     DEFINED     09     162,761           0           0

ENERGY XXI (BERMUDA) LTD          COM   G10082140       4,947     181,733  SH     DEFINED     01      10,026     171,707           0
ENERGY XXI (BERMUDA) LTD          COM   G10082140          14         500  SH     OTHER       01         500           0           0
ENERGY XXI (BERMUDA) LTD          COM   G10082140      19,580     719,308  SH     DEFINED  01,08      52,895     666,413           0
ENERGY XXI (BERMUDA) LTD          COM   G10082140       5,380     197,646  SH     DEFINED     09     197,646           0           0

ACCENTURE PLC IRELAND             COM   G1151C101     218,269   2,873,095  SH     DEFINED     01   1,703,000   1,144,777      25,318
ACCENTURE PLC IRELAND             COM   G1151C101      29,250     385,015  SH     OTHER       01     284,610      76,713      23,692
ACCENTURE PLC IRELAND             COM   G1151C101     447,063   5,884,737  SH     DEFINED  01,08     918,556   4,966,181           0
ACCENTURE PLC IRELAND             COM   G1151C101     145,553   1,915,923  SH     DEFINED     09   1,915,923           0           0

BROOKFIELD INFRAST PARTNERS       COM   G16252101       3,623      95,187  SH     DEFINED     01      93,587           0       1,600
BROOKFIELD INFRAST PARTNERS       COM   G16252101         858      22,550  SH     OTHER       01      11,000           0      11,550

BUNGE LIMITED                     COM   G16962105      14,090     190,841  SH     DEFINED     01     172,643      17,731         467
BUNGE LIMITED                     COM   G16962105       1,410      19,104  SH     OTHER       01      10,967       7,798         339
BUNGE LIMITED                     COM   G16962105      81,925   1,109,645  SH     DEFINED  01,08     531,494     578,151           0
BUNGE LIMITED                     COM   G16962105      17,742     240,308  SH     DEFINED     09     240,308           0           0

CENTRAL EUROPEAN MEDIA ENTRP      COM   G20045202          95      22,622  SH     DEFINED     01         480      22,142           0
CENTRAL EUROPEAN MEDIA ENTRP      COM   G20045202       1,561     370,021  SH     DEFINED  01,08       7,595     362,426           0
CENTRAL EUROPEAN MEDIA ENTRP      COM   G20045202         411      97,463  SH     DEFINED     09      97,463           0           0

COGO GROUP INC                    COM   G22538105           8       4,153  SH     DEFINED     01           0       4,153           0
COGO GROUP INC                    COM   G22538105          18       9,201  SH     DEFINED  01,08       6,677       2,524           0
COGO GROUP INC                    COM   G22538105           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      3
  ________

CONSOLIDATED WATER CO INC         COM   G23773107         202      20,411  SH     DEFINED     01       2,705      17,706           0
CONSOLIDATED WATER CO INC         COM   G23773107       1,302     131,563  SH     DEFINED  01,08      13,479     118,084           0
CONSOLIDATED WATER CO INC         COM   G23773107         309      31,175  SH     DEFINED     09      31,175           0           0

CREDICORP LTD                     COM   G2519Y108       2,927      17,629  SH     DEFINED     01       7,927       9,572         130
CREDICORP LTD                     COM   G2519Y108         120         724  SH     OTHER       01         427         297           0
CREDICORP LTD                     COM   G2519Y108      29,725     179,012  SH     DEFINED  01,08     175,830       3,182           0
CREDICORP LTD                     COM   G2519Y108      13,829      83,281  SH     DEFINED     09      83,281           0           0

COSAN LTD                         COM   G25343107         928      47,590  SH     DEFINED     01       1,935      45,655           0
COSAN LTD                         COM   G25343107       8,645     443,341  SH     DEFINED  01,08     443,341           0           0

COVIDIEN PLC                      COM   G2554F113     130,479   1,923,332  SH     DEFINED     01   1,520,488     375,532      27,312
COVIDIEN PLC                      COM   G2554F113      18,217     268,535  SH     OTHER       01     212,801      33,339      22,395
COVIDIEN PLC                      COM   G2554F113     284,437   4,192,768  SH     DEFINED  01,08     626,532   3,566,236           0
COVIDIEN PLC                      COM   G2554F113      96,173   1,417,651  SH     DEFINED     09   1,417,651           0           0

DELPHI AUTOMOTIVE PLC             COM   G27823106      11,705     263,630  SH     DEFINED     01      88,833     174,677         120
DELPHI AUTOMOTIVE PLC             COM   G27823106          81       1,814  SH     OTHER       01       1,367         447           0
DELPHI AUTOMOTIVE PLC             COM   G27823106     122,913   2,768,310  SH     DEFINED  01,08     407,663   2,360,647           0
DELPHI AUTOMOTIVE PLC             COM   G27823106      39,930     899,322  SH     DEFINED     09     899,322           0           0

EATON CORP PLC                    COM   G29183103     154,897   2,528,933  SH     DEFINED     01   2,068,346     436,847      23,740
EATON CORP PLC                    COM   G29183103      21,141     345,159  SH     OTHER       01     268,047      60,647      16,465
EATON CORP PLC                    COM   G29183103     259,620   4,238,693  SH     DEFINED  01,08     704,999   3,533,694           0
EATON CORP PLC                    COM   G29183103      86,820   1,417,466  SH     DEFINED     09   1,417,466           0           0

ENDURANCE SPECIALTY HLDGS LT      COM   G30397106       5,556     116,211  SH     DEFINED     01      52,637      62,397       1,177
ENDURANCE SPECIALTY HLDGS LT      COM   G30397106          61       1,266  SH     OTHER       01       1,231           0          35
ENDURANCE SPECIALTY HLDGS LT      COM   G30397106      11,541     241,387  SH     DEFINED  01,08      68,426     172,961           0
ENDURANCE SPECIALTY HLDGS LT      COM   G30397106           0           1  SH     DEFINED     09           1           0           0

ENSTAR GROUP LIMITED              COM   G3075P101       1,306      10,509  SH     DEFINED     01       2,736       7,773           0
ENSTAR GROUP LIMITED              COM   G3075P101         239       1,925  SH     OTHER       01       1,504         421           0
ENSTAR GROUP LIMITED              COM   G3075P101      11,154      89,740  SH     DEFINED  01,08       5,132      84,608           0
ENSTAR GROUP LIMITED              COM   G3075P101       2,680      21,562  SH     DEFINED     09      21,562           0           0

ENSCO PLC                         COM   G3157S106      21,186     353,105  SH     DEFINED     01     156,529     196,383         193
ENSCO PLC                         COM   G3157S106       2,793      46,558  SH     OTHER       01       8,867      36,541       1,150
ENSCO PLC                         COM   G3157S106     107,902   1,798,373  SH     DEFINED  01,08     502,486   1,250,206      45,681
ENSCO PLC                         COM   G3157S106      41,441     690,690  SH     DEFINED     09     690,690           0           0

EVEREST RE GROUP LTD              COM   G3223R108       7,582      58,388  SH     DEFINED     01      48,638       9,419         331
EVEREST RE GROUP LTD              COM   G3223R108         868       6,687  SH     OTHER       01       3,168       2,650         869
EVEREST RE GROUP LTD              COM   G3223R108      55,795     429,652  SH     DEFINED  01,08      56,442     373,210           0
EVEREST RE GROUP LTD              COM   G3223R108       9,387      72,289  SH     DEFINED     09      72,289           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      4
  ________

FABRINET                          COM   G3323L100         260      17,818  SH     DEFINED     01       5,193      12,625           0
FABRINET                          COM   G3323L100       3,217     220,211  SH     DEFINED  01,08       7,316     212,895           0
FABRINET                          COM   G3323L100         862      59,003  SH     DEFINED     09      59,003           0           0

FLEETMATICS GROUP PLC             COM   G35569105         136       5,619  SH     DEFINED     01         900       4,719           0
FLEETMATICS GROUP PLC             COM   G35569105       1,874      77,270  SH     DEFINED  01,08       1,294      75,976           0
FLEETMATICS GROUP PLC             COM   G35569105         554      22,853  SH     DEFINED     09      22,853           0           0

FRESH DEL MONTE PRODUCE INC       COM   G36738105       8,110     300,611  SH     DEFINED     01       7,718     292,893           0
FRESH DEL MONTE PRODUCE INC       COM   G36738105      18,343     679,877  SH     DEFINED  01,08     300,234     379,643           0
FRESH DEL MONTE PRODUCE INC       COM   G36738105       2,650      98,229  SH     DEFINED     09      98,229           0           0

FRONTLINE LTD                     COM   G3682E127          67      28,677  SH     DEFINED     01       1,183      27,494           0
FRONTLINE LTD                     COM   G3682E127         995     425,199  SH     DEFINED  01,08       7,977     417,222           0
FRONTLINE LTD                     COM   G3682E127         335     143,354  SH     DEFINED     09     143,354           0           0

FREESCALE SEMICONDUCTOR LTD       COM   G3727Q101         125       8,362  SH     DEFINED     01       6,382       1,980           0
FREESCALE SEMICONDUCTOR LTD       COM   G3727Q101           0          16  SH     OTHER       01           0           0          16
FREESCALE SEMICONDUCTOR LTD       COM   G3727Q101       1,648     110,670  SH     DEFINED  01,08       3,438     107,232           0

GASLOG LTD                        COM   G37585109         199      15,465  SH     DEFINED     01       2,365      13,100           0
GASLOG LTD                        COM   G37585109       2,672     207,753  SH     DEFINED  01,08       3,244     204,509           0
GASLOG LTD                        COM   G37585109         738      57,371  SH     DEFINED     09      57,371           0           0

GENPACT LIMITED                   COM   G3922B107         889      48,893  SH     DEFINED     01      17,519      31,374           0
GENPACT LIMITED                   COM   G3922B107         311      17,092  SH     OTHER       01       9,050       8,000          42
GENPACT LIMITED                   COM   G3922B107       9,350     513,999  SH     DEFINED  01,08           0     513,999           0
GENPACT LIMITED                   COM   G3922B107           0           1  SH     DEFINED     09           1           0           0

GLOBAL SOURCES LTD                COM   G39300101         141      18,592  SH     DEFINED     01       1,584      17,008           0
GLOBAL SOURCES LTD                COM   G39300101       1,178     155,804  SH     DEFINED  01,08      12,726     143,078           0
GLOBAL SOURCES LTD                COM   G39300101         285      37,689  SH     DEFINED     09      37,689           0           0

GLOBAL INDEMNITY PLC              COM   G39319101         253      10,914  SH     DEFINED     01       2,883       8,031           0
GLOBAL INDEMNITY PLC              COM   G39319101       2,581     111,243  SH     DEFINED  01,08       5,053     106,190           0
GLOBAL INDEMNITY PLC              COM   G39319101         692      29,811  SH     DEFINED     09      29,811           0           0

GREENLIGHT CAPITAL RE LTD         COM   G4095J109         765      31,274  SH     DEFINED     01       3,248      28,026           0
GREENLIGHT CAPITAL RE LTD         COM   G4095J109       7,466     305,376  SH     DEFINED  01,08      19,527     285,849           0
GREENLIGHT CAPITAL RE LTD         COM   G4095J109       1,659      67,835  SH     DEFINED     09      67,835           0           0

HELEN OF TROY CORP LTD            COM   G4388N106       8,396     218,875  SH     DEFINED     01      24,060     194,496         319
HELEN OF TROY CORP LTD            COM   G4388N106          27         692  SH     OTHER       01         692           0           0
HELEN OF TROY CORP LTD            COM   G4388N106      19,360     504,704  SH     DEFINED  01,08     183,332     321,372           0
HELEN OF TROY CORP LTD            COM   G4388N106       3,005      78,336  SH     DEFINED     09      78,336           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      5
  ________

HERBALIFE LTD                     COM   G4412G101       5,011     133,792  SH     DEFINED     01     106,152      27,189         451
HERBALIFE LTD                     COM   G4412G101         204       5,451  SH     OTHER       01       5,331          40          80
HERBALIFE LTD                     COM   G4412G101      22,452     599,510  SH     DEFINED  01,08     117,578     481,932           0
HERBALIFE LTD                     COM   G4412G101       6,059     161,785  SH     DEFINED     09     161,785           0           0

HOLLYSYS AUTOMATION TECHNOLO      COM   G45667105          50       4,137  SH     DEFINED     01          35       4,102           0
HOLLYSYS AUTOMATION TECHNOLO      COM   G45667105          91       7,481  SH     DEFINED  01,08       7,481           0           0

ICON PLC                          COM   G4705A100         257       7,970  SH     DEFINED     01       5,470       2,500           0
ICON PLC                          COM   G4705A100          16         500  SH     OTHER       01         500           0           0
ICON PLC                          COM   G4705A100          74       2,300  SH     DEFINED  01,08       2,300           0           0

INGERSOLL-RAND PLC                COM   G47791101      20,749     377,186  SH     DEFINED     01     184,212     192,460         514
INGERSOLL-RAND PLC                COM   G47791101       1,790      32,532  SH     OTHER       01      22,608       9,304         620
INGERSOLL-RAND PLC                COM   G47791101     137,283   2,495,605  SH     DEFINED  01,08     374,460   2,121,145           0
INGERSOLL-RAND PLC                COM   G47791101      45,727     831,245  SH     DEFINED     09     831,245           0           0

INVESCO LTD                       COM   G491BT108      25,948     896,002  SH     DEFINED     01     499,476     386,790       9,736
INVESCO LTD                       COM   G491BT108       2,855      98,601  SH     OTHER       01      18,451      80,055          95
INVESCO LTD                       COM   G491BT108     127,815   4,413,487  SH     DEFINED  01,08     923,817   3,378,143     111,527
INVESCO LTD                       COM   G491BT108      36,533   1,261,493  SH     DEFINED     09   1,261,493           0           0

JAZZ PHARMACEUTICALS PLC          COM   G50871105       2,897      51,822  SH     DEFINED     01      13,113      38,709           0
JAZZ PHARMACEUTICALS PLC          COM   G50871105           3          54  SH     OTHER       01           0          54           0
JAZZ PHARMACEUTICALS PLC          COM   G50871105      26,078     466,421  SH     DEFINED  01,08      27,180     439,241           0
JAZZ PHARMACEUTICALS PLC          COM   G50871105       5,690     101,763  SH     DEFINED     09     101,763           0           0

KOSMOS ENERGY LTD                 COM   G5315B107          47       4,134  SH     DEFINED     01       1,306       2,828           0
KOSMOS ENERGY LTD                 COM   G5315B107       1,756     155,361  SH     DEFINED  01,08           0     155,361           0

LAZARD LTD                        COM   G54050102         336       9,833  SH     DEFINED     01         405       9,428           0
LAZARD LTD                        COM   G54050102         780      22,851  SH     OTHER       01           0      22,851           0
LAZARD LTD                        COM   G54050102       8,534     250,034  SH     DEFINED  01,08           0     250,034           0

MAIDEN HOLDINGS LTD               COM   G5753U112         649      61,323  SH     DEFINED     01       9,077      52,246           0
MAIDEN HOLDINGS LTD               COM   G5753U112       5,811     548,728  SH     DEFINED  01,08      36,290     512,438           0
MAIDEN HOLDINGS LTD               COM   G5753U112       1,277     120,545  SH     DEFINED     09     120,545           0           0

MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105       1,371     129,664  SH     DEFINED     01      80,254      48,707         703
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105           2         156  SH     OTHER       01           0           0         156
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105      24,630   2,329,097  SH     DEFINED  01,08     520,203   1,808,894           0
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105       7,719     729,899  SH     DEFINED     09     729,899           0           0

MICHAEL KORS HLDGS LTD            COM   G60754101      20,249     356,551  SH     DEFINED     01     290,250      64,350       1,951
MICHAEL KORS HLDGS LTD            COM   G60754101       1,157      20,365  SH     OTHER       01       7,362      13,003           0
MICHAEL KORS HLDGS LTD            COM   G60754101      27,265     480,101  SH     DEFINED  01,08           0     480,101           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      6
  ________

MONTPELIER RE HOLDINGS LTD        COM   G62185106       7,826     300,423  SH     DEFINED     01      37,348     262,043       1,032
MONTPELIER RE HOLDINGS LTD        COM   G62185106          13         505  SH     OTHER       01         505           0           0
MONTPELIER RE HOLDINGS LTD        COM   G62185106      19,544     750,262  SH     DEFINED  01,08     247,201     503,061           0
MONTPELIER RE HOLDINGS LTD        COM   G62185106       3,203     122,944  SH     DEFINED     09     122,944           0           0

ALPHA & OMEGA SEMICONDUCTOR       COM   G6331P104          89      10,064  SH     DEFINED     01         415       9,649           0
ALPHA & OMEGA SEMICONDUCTOR       COM   G6331P104       1,183     133,254  SH     DEFINED  01,08       2,644     130,610           0
ALPHA & OMEGA SEMICONDUCTOR       COM   G6331P104         410      46,164  SH     DEFINED     09      46,164           0           0

NABORS INDUSTRIES LTD             COM   G6359F103      15,412     950,212  SH     DEFINED     01     689,204     255,638       5,370
NABORS INDUSTRIES LTD             COM   G6359F103         994      61,294  SH     OTHER       01      32,375      28,839          80
NABORS INDUSTRIES LTD             COM   G6359F103      42,571   2,624,569  SH     DEFINED  01,08     412,394   2,212,175           0
NABORS INDUSTRIES LTD             COM   G6359F103      13,795     850,511  SH     DEFINED     09     850,511           0           0

NORDIC AMERICAN TANKERS LIMI      COM   G65773106         480      41,546  SH     DEFINED     01       5,971      35,575           0
NORDIC AMERICAN TANKERS LIMI      COM   G65773106       5,256     455,107  SH     DEFINED  01,08      17,715     437,392           0
NORDIC AMERICAN TANKERS LIMI      COM   G65773106       1,555     134,612  SH     DEFINED     09     134,612           0           0

HOME LN SERVICING SOLUTIONS       COM   G6648D109       1,491      63,912  SH     DEFINED     01       5,614      58,298           0
HOME LN SERVICING SOLUTIONS       COM   G6648D109      12,129     519,888  SH     DEFINED  01,08      11,888     508,000           0
HOME LN SERVICING SOLUTIONS       COM   G6648D109       3,060     131,178  SH     DEFINED     09     131,178           0           0

NORWEGIAN CRUISE LINE HLDGS       COM   G66721104          63       2,119  SH     DEFINED     01           0       2,119           0
NORWEGIAN CRUISE LINE HLDGS       COM   G66721104       1,365      46,028  SH     DEFINED  01,08           0      46,028           0

ONEBEACON INSURANCE GROUP LT      COM   G67742109         804      59,466  SH     DEFINED     01       3,630      55,836           0
ONEBEACON INSURANCE GROUP LT      COM   G67742109          56       4,120  SH     OTHER       01           0       4,120           0
ONEBEACON INSURANCE GROUP LT      COM   G67742109       3,410     252,206  SH     DEFINED  01,08      20,904     231,302           0
ONEBEACON INSURANCE GROUP LT      COM   G67742109         698      51,627  SH     DEFINED     09      51,627           0           0

ORIENT-EXPRESS HOTELS LTD         COM   G67743107       1,034     104,915  SH     DEFINED     01      14,870      90,045           0
ORIENT-EXPRESS HOTELS LTD         COM   G67743107       9,797     993,626  SH     DEFINED  01,08      57,581     936,045           0
ORIENT-EXPRESS HOTELS LTD         COM   G67743107       2,306     233,863  SH     DEFINED     09     233,863           0           0

PARTNERRE LTD                     COM   G6852T105       2,207      23,707  SH     DEFINED     01      13,303      10,404           0
PARTNERRE LTD                     COM   G6852T105         126       1,358  SH     OTHER       01           0       1,358           0
PARTNERRE LTD                     COM   G6852T105      28,815     309,476  SH     DEFINED  01,08      70,410     239,066           0
PARTNERRE LTD                     COM   G6852T105       8,417      90,396  SH     DEFINED     09      90,396           0           0

PLATINUM UNDERWRITER HLDGS L      COM   G7127P100       8,534     152,909  SH     DEFINED     01       6,086     146,823           0
PLATINUM UNDERWRITER HLDGS L      COM   G7127P100      25,726     460,962  SH     DEFINED  01,08     138,189     322,773           0
PLATINUM UNDERWRITER HLDGS L      COM   G7127P100       4,528      81,141  SH     DEFINED     09      81,141           0           0

RENAISSANCERE HOLDINGS LTD        COM   G7496G103       1,413      15,364  SH     DEFINED     01       9,237       6,127           0
RENAISSANCERE HOLDINGS LTD        COM   G7496G103           2          20  SH     OTHER       01           0           0          20
RENAISSANCERE HOLDINGS LTD        COM   G7496G103      21,411     232,757  SH     DEFINED  01,08      52,837     179,920           0
RENAISSANCERE HOLDINGS LTD        COM   G7496G103       6,405      69,630  SH     DEFINED     09      69,630           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      7
  ________

ROWAN COMPANIES PLC               COM   G7665A101       5,178     146,450  SH     DEFINED     01      59,995      86,241         214
ROWAN COMPANIES PLC               COM   G7665A101          73       2,071  SH     OTHER       01       1,864         196          11
ROWAN COMPANIES PLC               COM   G7665A101      38,136   1,078,517  SH     DEFINED  01,08     145,241     933,276           0
ROWAN COMPANIES PLC               COM   G7665A101      12,525     354,222  SH     DEFINED     09     354,222           0           0

SEADRILL LIMITED                  COM   G7945E105          61       1,630  SH     DEFINED     01       1,630           0           0
SEADRILL LIMITED                  COM   G7945E105         432      11,600  SH     OTHER       01      11,600           0           0

SEAGATE TECHNOLOGY PLC            COM   G7945M107      13,783     377,059  SH     DEFINED     01     163,546     211,371       2,142
SEAGATE TECHNOLOGY PLC            COM   G7945M107         383      10,469  SH     OTHER       01       8,397         872       1,200
SEAGATE TECHNOLOGY PLC            COM   G7945M107      86,043   2,353,790  SH     DEFINED  01,08     513,522   1,840,268           0
SEAGATE TECHNOLOGY PLC            COM   G7945M107      35,629     974,663  SH     DEFINED     09     974,663           0           0

SEACUBE CONTAINER LEASING LT      COM   G79978105         253      11,036  SH     DEFINED     01       1,461       9,575           0
SEACUBE CONTAINER LEASING LT      COM   G79978105       1,958      85,296  SH     DEFINED  01,08           0      85,296           0

SHIP FINANCE INTERNATIONAL L      COM   G81075106       6,520     369,604  SH     DEFINED     01      38,201     331,403           0
SHIP FINANCE INTERNATIONAL L      COM   G81075106      14,360     814,047  SH     DEFINED  01,08     328,860     485,187           0
SHIP FINANCE INTERNATIONAL L      COM   G81075106       2,160     122,476  SH     DEFINED     09     122,476           0           0

SIGNET JEWELERS LIMITED           COM   G81276100       1,775      26,493  SH     DEFINED     01      14,684      11,809           0
SIGNET JEWELERS LIMITED           COM   G81276100         336       5,022  SH     OTHER       01         497       4,470          55
SIGNET JEWELERS LIMITED           COM   G81276100      41,285     616,194  SH     DEFINED  01,08       8,475     607,719           0
SIGNET JEWELERS LIMITED           COM   G81276100           0           1  SH     DEFINED     09           1           0           0

SINA CORP                         COM   G81477104         502      10,328  SH     DEFINED     01         290      10,000          38
SINA CORP                         COM   G81477104         549      11,300  SH     DEFINED  01,08      11,300           0           0

UTI WORLDWIDE INC                 COM   G87210103       1,097      75,779  SH     DEFINED     01      29,440      46,339           0
UTI WORLDWIDE INC                 COM   G87210103          15       1,026  SH     OTHER       01       1,001           0          25
UTI WORLDWIDE INC                 COM   G87210103      11,875     820,080  SH     DEFINED  01,08      56,922     763,158           0
UTI WORLDWIDE INC                 COM   G87210103           0           1  SH     DEFINED     09           1           0           0

TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109         941      23,786  SH     DEFINED     01       1,215      22,571           0
TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109          59       1,500  SH     OTHER       01           0       1,500           0
TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109       6,603     166,948  SH     DEFINED  01,08      16,768     150,180           0
TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109       1,350      34,136  SH     DEFINED     09      34,136           0           0

TOWER GROUP INTL LTD              COM   G8988C105       1,691      91,660  SH     DEFINED     01      49,545      40,914       1,201
TOWER GROUP INTL LTD              COM   G8988C105          39       2,133  SH     OTHER       01       2,133           0           0
TOWER GROUP INTL LTD              COM   G8988C105       8,372     453,790  SH     DEFINED  01,08      29,165     424,625           0
TOWER GROUP INTL LTD              COM   G8988C105       1,771      95,987  SH     DEFINED     09      95,987           0           0

VALIDUS HOLDINGS LTD              COM   G9319H102       7,262     194,335  SH     DEFINED     01      53,696     140,639           0
VALIDUS HOLDINGS LTD              COM   G9319H102         683      18,283  SH     OTHER       01           0      18,283           0
VALIDUS HOLDINGS LTD              COM   G9319H102      19,958     534,059  SH     DEFINED  01,08     140,358     393,701           0
VALIDUS HOLDINGS LTD              COM   G9319H102           0           2  SH     DEFINED     09           2           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      8
  ________

VANTAGE DRILLING COMPANY          COM   G93205113         240     137,054  SH     DEFINED     01      26,575     110,479           0
VANTAGE DRILLING COMPANY          COM   G93205113       2,852   1,629,576  SH     DEFINED  01,08      41,840   1,587,736           0
VANTAGE DRILLING COMPANY          COM   G93205113         852     487,112  SH     DEFINED     09     487,112           0           0

WARNER CHILCOTT PLC IRELAND       COM   G94368100         479      35,374  SH     DEFINED     01      14,076      21,298           0
WARNER CHILCOTT PLC IRELAND       COM   G94368100      12,987     958,432  SH     DEFINED  01,08     252,455     705,977           0
WARNER CHILCOTT PLC IRELAND       COM   G94368100       4,211     310,754  SH     DEFINED     09     310,754           0           0

GOLAR LNG LTD BERMUDA             COM   G9456A100       1,063      28,751  SH     DEFINED     01       5,544      23,207           0
GOLAR LNG LTD BERMUDA             COM   G9456A100         200       5,400  SH     OTHER       01       3,800         500       1,100
GOLAR LNG LTD BERMUDA             COM   G9456A100       4,657     125,905  SH     DEFINED  01,08      25,164     100,741           0

WHITE MTNS INS GROUP LTD          COM   G9618E107       2,552       4,500  SH     DEFINED     01       3,724         697          79
WHITE MTNS INS GROUP LTD          COM   G9618E107          35          62  SH     OTHER       01           0           0          62
WHITE MTNS INS GROUP LTD          COM   G9618E107      12,622      22,257  SH     DEFINED  01,08           0      22,257           0
WHITE MTNS INS GROUP LTD          COM   G9618E107           1           2  SH     DEFINED     09           2           0           0

WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105       9,804     248,254  SH     DEFINED     01     238,673       7,598       1,983
WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105         814      20,620  SH     OTHER       01      17,707       1,684       1,229
WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105       8,736     221,219  SH     DEFINED  01,08     215,424       5,795           0
WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105       9,652     244,415  SH     DEFINED     09     244,415           0           0

XYRATEX LTD                       COM   G98268108       2,975     300,456  SH     DEFINED     01      57,995     240,883       1,578
XYRATEX LTD                       COM   G98268108          34       3,430  SH     OTHER       01       3,430           0           0
XYRATEX LTD                       COM   G98268108          83       8,357  SH     DEFINED  01,08       6,300       2,057           0

XL GROUP PLC                      COM   G98290102      10,783     355,865  SH     DEFINED     01     152,052     202,922         891
XL GROUP PLC                      COM   G98290102         250       8,244  SH     OTHER       01       6,168       1,831         245
XL GROUP PLC                      COM   G98290102      80,258   2,648,785  SH     DEFINED  01,08     415,338   2,233,447           0
XL GROUP PLC                      COM   G98290102      27,516     908,124  SH     DEFINED     09     908,124           0           0

ACE LTD                           COM   H0023R105      35,358     397,410  SH     DEFINED     01     166,827     228,896       1,687
ACE LTD                           COM   H0023R105         744       8,363  SH     OTHER       01       6,119       2,244           0
ACE LTD                           COM   H0023R105     266,130   2,991,230  SH     DEFINED  01,08     438,445   2,552,785           0
ACE LTD                           COM   H0023R105      87,241     980,565  SH     DEFINED     09     980,565           0           0

ALLIED WRLD ASSUR COM HLDG A      COM   H01531104       3,024      32,615  SH     DEFINED     01      28,380       4,027         208
ALLIED WRLD ASSUR COM HLDG A      COM   H01531104          31         338  SH     OTHER       01         138         110          90
ALLIED WRLD ASSUR COM HLDG A      COM   H01531104      13,393     144,450  SH     DEFINED  01,08       3,524     140,926           0
ALLIED WRLD ASSUR COM HLDG A      COM   H01531104           0           1  SH     DEFINED     09           1           0           0

WEATHERFORD INTERNATIONAL LT      COM   H27013103       2,506     206,443  SH     DEFINED     01      69,074     137,369           0
WEATHERFORD INTERNATIONAL LT      COM   H27013103         377      31,021  SH     OTHER       01           0      31,021           0
WEATHERFORD INTERNATIONAL LT      COM   H27013103      28,446   2,343,148  SH     DEFINED  01,08   1,052,754   1,290,394           0
WEATHERFORD INTERNATIONAL LT      COM   H27013103      14,367   1,183,455  SH     DEFINED     09   1,183,455           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE      9
  ________

FOSTER WHEELER AG                 COM   H27178104         341      14,941  SH     DEFINED     01       5,411       9,530           0
FOSTER WHEELER AG                 COM   H27178104          26       1,145  SH     OTHER       01           0       1,145           0
FOSTER WHEELER AG                 COM   H27178104       4,745     207,644  SH     DEFINED  01,08      28,878     178,766           0
FOSTER WHEELER AG                 COM   H27178104           0           2  SH     DEFINED     09           2           0           0

GARMIN LTD                        COM   H2906T109       4,823     145,941  SH     DEFINED     01      73,507      72,419          15
GARMIN LTD                        COM   H2906T109         152       4,612  SH     OTHER       01       4,426         111          75
GARMIN LTD                        COM   H2906T109      34,646   1,048,295  SH     DEFINED  01,08     168,170     880,125           0
GARMIN LTD                        COM   H2906T109      11,567     349,980  SH     DEFINED     09     349,980           0           0

NOBLE CORPORATION BAAR            COM   H5833N103      99,342   2,603,996  SH     DEFINED     01   2,262,417     311,868      29,711
NOBLE CORPORATION BAAR            COM   H5833N103      14,384     377,038  SH     OTHER       01     305,963      55,166      15,909
NOBLE CORPORATION BAAR            COM   H5833N103      70,261   1,841,710  SH     DEFINED  01,08     479,677   1,362,033           0
NOBLE CORPORATION BAAR            COM   H5833N103      29,425     771,295  SH     DEFINED     09     771,295           0           0

PENTAIR LTD                       COM   H6169Q108      11,681     221,450  SH     DEFINED     01      78,339     142,863         248
PENTAIR LTD                       COM   H6169Q108         387       7,328  SH     OTHER       01       6,477         844           7
PENTAIR LTD                       COM   H6169Q108      96,700   1,833,178  SH     DEFINED  01,08     289,037   1,544,141           0
PENTAIR LTD                       COM   H6169Q108      33,177     628,942  SH     DEFINED     09     628,942           0           0

TE CONNECTIVITY LTD               COM   H84989104      19,271     459,602  SH     DEFINED     01     166,931     292,054         617
TE CONNECTIVITY LTD               COM   H84989104         396       9,449  SH     OTHER       01       6,671       2,778           0
TE CONNECTIVITY LTD               COM   H84989104     121,100   2,888,137  SH     DEFINED  01,08     622,104   2,266,033           0
TE CONNECTIVITY LTD               COM   H84989104      53,049   1,265,175  SH     DEFINED     09   1,265,175           0           0

TRANSOCEAN LTD                    COM   H8817H100       6,945     133,670  SH     DEFINED     01      80,361      50,473       2,836
TRANSOCEAN LTD                    COM   H8817H100       2,143      41,242  SH     OTHER       01      27,701      11,791       1,750
TRANSOCEAN LTD                    COM   H8817H100      30,927     595,206  SH     DEFINED  01,08           0     595,206           0
TRANSOCEAN LTD                    COM   H8817H100           7         140  SH     DEFINED     09         140           0           0

TYCO INTERNATIONAL LTD            COM   H89128104      19,263     601,975  SH     DEFINED     01     270,591     327,449       3,935
TYCO INTERNATIONAL LTD            COM   H89128104         362      11,325  SH     OTHER       01      10,162       1,063         100
TYCO INTERNATIONAL LTD            COM   H89128104     131,399   4,106,204  SH     DEFINED  01,08     611,323   3,494,881           0
TYCO INTERNATIONAL LTD            COM   H89128104      44,210   1,381,566  SH     DEFINED     09   1,381,566           0           0

UBS AG                            COM   H89231338      17,134   1,113,349  SH     DEFINED     01   1,003,986      99,312      10,051
UBS AG                            COM   H89231338       1,557     101,160  SH     OTHER       01      65,720      32,110       3,330
UBS AG                            COM   H89231338       2,668     173,349  SH     DEFINED  01,08           0     173,349           0

ADECOAGRO S A                     COM   L00849106          23       2,975  SH     DEFINED     01       1,950       1,025           0
ADECOAGRO S A                     COM   L00849106         639      83,091  SH     DEFINED  01,08      82,761         330           0

ALTISOURCE PORTFOLIO SOLNS S      COM   L0175J104         380       5,446  SH     DEFINED     01         800       4,646           0
ALTISOURCE PORTFOLIO SOLNS S      COM   L0175J104         519       7,446  SH     DEFINED  01,08       6,676         770           0
ALTISOURCE PORTFOLIO SOLNS S      COM   L0175J104           0           1  SH     DEFINED     09           1           0           0

ARCELORMITTAL SA LUXEMBOURG    CONV PFD L0302D178          19      92,000         DEFINED     01      20,000      72,000           0
ARCELORMITTAL SA LUXEMBOURG    CONV PFD L0302D178       1,508      72,000         DEFINED  01,08      72,000           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     10
  ________

PACIFIC DRILLING SA LUXEMBOU      COM   L7257P106         104      10,300  SH     DEFINED  01,08      10,300           0           0

CHECK POINT SOFTWARE TECH LT      COM   M22465104      13,955     296,982  SH     DEFINED     01     250,225      43,157       3,600
CHECK POINT SOFTWARE TECH LT      COM   M22465104       1,239      26,365  SH     OTHER       01      20,932       4,710         723
CHECK POINT SOFTWARE TECH LT      COM   M22465104       3,287      69,942  SH     DEFINED  01,08      49,012      20,930           0

CLICKSOFTWARE TECHNOLOGIES L      COM   M25082104           4         500  SH     DEFINED     01         500           0           0
CLICKSOFTWARE TECHNOLOGIES L      COM   M25082104         668      83,050  SH     OTHER       01           0      83,050           0

MAGICJACK VOCALTEC LTD            COM   M6787E101         111       7,903  SH     DEFINED     01         120       7,783           0
MAGICJACK VOCALTEC LTD            COM   M6787E101       1,650     117,830  SH     DEFINED  01,08       1,925     115,905           0

STRATASYS LTD                     COM   M85548101       3,228      43,491  SH     DEFINED     01      26,099      16,647         745
STRATASYS LTD                     COM   M85548101         275       3,703  SH     OTHER       01       1,485       2,138          80
STRATASYS LTD                     COM   M85548101       6,138      82,704  SH     DEFINED  01,08      14,714      67,990           0
STRATASYS LTD                     COM   M85548101           0           1  SH     DEFINED     09           1           0           0

SODASTREAM INTERNATIONAL LTD      COM   M9068E105         603      12,150  SH     DEFINED     01      11,753           0         397
SODASTREAM INTERNATIONAL LTD      COM   M9068E105          43         858  SH     OTHER       01         858           0           0

AERCAP HOLDINGS NV                COM   N00985106         136       8,803  SH     DEFINED     01       4,003       4,800           0
AERCAP HOLDINGS NV                COM   N00985106           4         291  SH     OTHER       01         291           0           0
AERCAP HOLDINGS NV                COM   N00985106          68       4,400  SH     DEFINED  01,08       4,400           0           0

ASML HOLDING N V                  COM   N07059210      10,474     154,059  SH     DEFINED     01     121,221      31,304       1,534
ASML HOLDING N V                  COM   N07059210         854      12,564  SH     OTHER       01       9,246       3,163         155
ASML HOLDING N V                  COM   N07059210       2,020      29,703  SH     DEFINED  01,08      10,226      19,477           0

AVG TECHNOLOGIES N V              COM   N07831105          76       5,437  SH     DEFINED     01         810       4,627           0
AVG TECHNOLOGIES N V              COM   N07831105         965      69,349  SH     DEFINED  01,08       1,236      68,113           0
AVG TECHNOLOGIES N V              COM   N07831105         265      19,004  SH     DEFINED     09      19,004           0           0

CNH GLOBAL N V                    COM   N20935206          41         986  SH     DEFINED     01         926          60           0
CNH GLOBAL N V                    COM   N20935206       2,471      59,799  SH     DEFINED  01,08           0      59,799           0

CORE LABORATORIES N V             COM   N22717107       1,852      13,428  SH     DEFINED     01       2,707      10,721           0
CORE LABORATORIES N V             COM   N22717107         526       3,812  SH     OTHER       01       1,175       2,637           0
CORE LABORATORIES N V             COM   N22717107       8,001      58,012  SH     DEFINED  01,08      56,473       1,539           0
CORE LABORATORIES N V             COM   N22717107       8,969      65,032  SH     DEFINED     09      65,032           0           0

LYONDELLBASELL INDUSTRIES N       COM   N53745100      30,676     484,682  SH     DEFINED     01     218,351     264,568       1,763
LYONDELLBASELL INDUSTRIES N       COM   N53745100       1,034      16,341  SH     OTHER       01       9,044       7,297           0
LYONDELLBASELL INDUSTRIES N       COM   N53745100     205,068   3,240,138  SH     DEFINED  01,08     455,242   2,784,896           0
LYONDELLBASELL INDUSTRIES N       COM   N53745100      65,697   1,038,026  SH     DEFINED     09   1,038,026           0           0

NIELSEN HOLDINGS N V              COM   N63218106       1,930      53,883  SH     DEFINED     01      22,920      30,963           0
NIELSEN HOLDINGS N V              COM   N63218106         347       9,700  SH     OTHER       01           0       9,700           0
NIELSEN HOLDINGS N V              COM   N63218106      25,942     724,246  SH     DEFINED  01,08     178,148     546,098           0
NIELSEN HOLDINGS N V              COM   N63218106       8,403     234,579  SH     DEFINED     09     234,579           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     11
  ________

NXP SEMICONDUCTORS N V            COM   N6596X109       1,004      33,130  SH     DEFINED     01      33,130           0           0
NXP SEMICONDUCTORS N V            COM   N6596X109          59       1,963  SH     OTHER       01         582       1,381           0
NXP SEMICONDUCTORS N V            COM   N6596X109       1,211      39,986  SH     DEFINED  01,08      39,986           0           0

ORTHOFIX INTL N V                 COM   N6748L102         759      21,150  SH     DEFINED     01       2,224      18,926           0
ORTHOFIX INTL N V                 COM   N6748L102       7,758     216,288  SH     DEFINED  01,08      15,277     201,011           0
ORTHOFIX INTL N V                 COM   N6748L102       1,729      48,192  SH     DEFINED     09      48,192           0           0

QIAGEN NV                         COM   N72482107       1,031      48,903  SH     DEFINED     01      46,392       2,103         408
QIAGEN NV                         COM   N72482107          48       2,291  SH     OTHER       01       2,181         110           0
QIAGEN NV                         COM   N72482107      11,108     526,924  SH     DEFINED  01,08           0     526,924           0

SAPIENS INTL CORP N V             COM   N7716A151          36       6,631  SH     DEFINED     01           0       6,631           0
SAPIENS INTL CORP N V             COM   N7716A151         608     111,749  SH     DEFINED  01,08       2,287     109,462           0

SENSATA TECHNOLOGIES HLDG BV      COM   N7902X106         153       4,665  SH     DEFINED     01       3,465       1,200           0
SENSATA TECHNOLOGIES HLDG BV      COM   N7902X106       5,379     163,652  SH     DEFINED  01,08     159,784       3,868           0
SENSATA TECHNOLOGIES HLDG BV      COM   N7902X106       5,996     182,407  SH     DEFINED     09     182,407           0           0

TORNIER N V                       COM   N87237108         236      12,542  SH     DEFINED     01       2,760       9,782           0
TORNIER N V                       COM   N87237108       2,687     142,559  SH     DEFINED  01,08       5,360     137,199           0
TORNIER N V                       COM   N87237108         687      36,443  SH     DEFINED     09      36,443           0           0

VISTAPRINT N V                    COM   N93540107       2,433      62,922  SH     DEFINED     01      11,842      50,874         206
VISTAPRINT N V                    COM   N93540107          17         444  SH     OTHER       01         444           0           0
VISTAPRINT N V                    COM   N93540107      13,048     337,498  SH     DEFINED  01,08      43,351     294,147           0
VISTAPRINT N V                    COM   N93540107       3,336      86,289  SH     DEFINED     09      86,289           0           0

YANDEX N V                        COM   N97284108       3,587     155,030  SH     DEFINED     01     135,672      18,782         576
YANDEX N V                        COM   N97284108         188       8,144  SH     OTHER       01       6,231       1,913           0
YANDEX N V                        COM   N97284108         627      27,100  SH     DEFINED  01,08      27,100           0           0

COPA HOLDINGS SA                  COM   P31076105      11,608      97,052  SH     DEFINED     01      93,446       3,043         563
COPA HOLDINGS SA                  COM   P31076105         556       4,650  SH     OTHER       01       4,620           0          30
COPA HOLDINGS SA                  COM   P31076105      14,260     119,218  SH     DEFINED  01,08      42,149      77,069           0

STEINER LEISURE LTD               COM   P8744Y102         723      14,951  SH     DEFINED     01       2,024      12,927           0
STEINER LEISURE LTD               COM   P8744Y102       7,993     165,276  SH     DEFINED  01,08       9,511     155,765           0
STEINER LEISURE LTD               COM   P8744Y102       1,873      38,731  SH     DEFINED     09      38,731           0           0

ULTRAPETROL BAHAMAS LTD           COM   P94398107          14       5,112  SH     DEFINED     01           0       5,112           0
ULTRAPETROL BAHAMAS LTD           COM   P94398107          27      10,024  SH     DEFINED  01,08       7,558       2,466           0

TRONOX LTD                        COM   Q9235V101         165       8,325  SH     DEFINED     01       8,325           0           0
TRONOX LTD                        COM   Q9235V101         904      45,637  SH     DEFINED  01,08       6,801      38,836           0


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

ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103       1,322      39,785  SH     DEFINED     01      24,964      14,821           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103           2          75  SH     OTHER       01          75           0           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103      25,785     776,190  SH     DEFINED  01,08     178,045     598,145           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103       7,360     221,568  SH     DEFINED     09     221,568           0           0

AVAGO TECHNOLOGIES LTD            COM   Y0486S104       6,849     190,793  SH     DEFINED     01     163,401      25,544       1,848
AVAGO TECHNOLOGIES LTD            COM   Y0486S104         527      14,666  SH     OTHER       01       5,986       8,665          15
AVAGO TECHNOLOGIES LTD            COM   Y0486S104      30,857     859,515  SH     DEFINED  01,08     285,584     573,931           0
AVAGO TECHNOLOGIES LTD            COM   Y0486S104      13,348     371,797  SH     DEFINED     09     371,797           0           0

BALTIC TRADING LIMITED            COM   Y0553W103          12       2,990  SH     DEFINED     01       2,970          20           0
BALTIC TRADING LIMITED            COM   Y0553W103         125      30,684  SH     DEFINED  01,08           0      30,684           0
BALTIC TRADING LIMITED            COM   Y0553W103           0           1  SH     DEFINED     09           1           0           0

DHT HOLDINGS INC                  COM   Y2065G121           3         698  SH     DEFINED     01         175         523           0
DHT HOLDINGS INC                  COM   Y2065G121          76      15,820  SH     DEFINED  01,08       1,100      14,720           0

DIANA SHIPPING INC                COM   Y2066G104          83       7,800  SH     DEFINED     01           0       7,800           0
DIANA SHIPPING INC                COM   Y2066G104          83       7,800  SH     DEFINED  01,08       7,800           0           0

DRYSHIPS INC                      COM   Y2109Q101          76      37,200  SH     DEFINED     01           0      37,200           0
DRYSHIPS INC                      COM   Y2109Q101          12       5,750  SH     OTHER       01       5,750           0           0
DRYSHIPS INC                      COM   Y2109Q101          90      44,000  SH     DEFINED  01,08      44,000           0           0

EAGLE BULK SHIPPING INC           COM   Y2187A119          17       4,932  SH     DEFINED     01       1,145       3,787           0
EAGLE BULK SHIPPING INC           COM   Y2187A119         121      34,456  SH     DEFINED  01,08       2,014      32,442           0

FLEXTRONICS INTL LTD              COM   Y2573F102         305      45,076  SH     DEFINED     01      28,676      16,400           0
FLEXTRONICS INTL LTD              COM   Y2573F102       5,845     864,572  SH     DEFINED  01,08     842,932      21,640           0
FLEXTRONICS INTL LTD              COM   Y2573F102       6,367     941,820  SH     DEFINED     09     941,820           0           0

GENCO SHIPPING & TRADING LTD      COM   Y2685T107          66      22,990  SH     DEFINED     01       2,225      20,765           0
GENCO SHIPPING & TRADING LTD      COM   Y2685T107         920     319,574  SH     DEFINED  01,08       8,808     310,766           0
GENCO SHIPPING & TRADING LTD      COM   Y2685T107         185      64,388  SH     DEFINED     09      64,388           0           0

NAVIOS MARITIME PARTNERS L P      COM   Y62267102         353      24,387  SH     DEFINED     01      24,387           0           0
NAVIOS MARITIME PARTNERS L P      COM   Y62267102           5         349  SH     OTHER       01         349           0           0

SCORPIO TANKERS INC               COM   Y7542C106         501      56,139  SH     DEFINED     01       9,741      46,398           0
SCORPIO TANKERS INC               COM   Y7542C106       6,273     703,215  SH     DEFINED  01,08      15,951     687,264           0
SCORPIO TANKERS INC               COM   Y7542C106       2,350     263,497  SH     DEFINED     09     263,497           0           0

TEEKAY LNG PARTNERS L P           COM   Y8564M105         990      23,903  SH     DEFINED     01      23,903           0           0

TEEKAY CORPORATION                COM   Y8564W103         349       9,719  SH     DEFINED     01       6,044       3,675           0
TEEKAY CORPORATION                COM   Y8564W103           1          35  SH     OTHER       01           0           0          35
TEEKAY CORPORATION                COM   Y8564W103       5,303     147,465  SH     DEFINED  01,08           0     147,465           0

TEEKAY OFFSHORE PARTNERS L P      COM   Y8565J101         838      27,755  SH     DEFINED     01      27,755           0           0


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

TEEKAY TANKERS LTD                COM   Y8565N102         128      44,869  SH     DEFINED     01       8,326      36,543           0
TEEKAY TANKERS LTD                COM   Y8565N102       1,545     541,987  SH     DEFINED  01,08      14,161     527,826           0
TEEKAY TANKERS LTD                COM   Y8565N102         450     157,954  SH     DEFINED     09     157,954           0           0

AAON INC                          COM   000360206       3,284     119,041  SH     DEFINED     01      85,986      32,435         620
AAON INC                          COM   000360206          75       2,711  SH     OTHER       01       1,347       1,364           0
AAON INC                          COM   000360206       5,879     213,077  SH     DEFINED  01,08      22,694     190,383           0
AAON INC                          COM   000360206       1,260      45,674  SH     DEFINED     09      45,674           0           0

AAR CORP                          COM   000361105       5,349     290,890  SH     DEFINED     01      17,016     273,874           0
AAR CORP                          COM   000361105      12,529     681,270  SH     DEFINED  01,08     269,603     411,667           0
AAR CORP                          COM   000361105       1,802      97,985  SH     DEFINED     09      97,985           0           0

ABB LTD                           COM   000375204      12,745     559,983  SH     DEFINED     01     516,847      31,076      12,060
ABB LTD                           COM   000375204       4,468     196,314  SH     OTHER       01      96,722      46,745      52,847
ABB LTD                           COM   000375204       3,044     133,746  SH     DEFINED  01,08       7,467     105,134      21,145

ACCO BRANDS CORP                  COM   00081T108       1,399     209,402  SH     DEFINED     01      96,379     110,153       2,870
ACCO BRANDS CORP                  COM   00081T108          44       6,582  SH     OTHER       01       6,394         188           0
ACCO BRANDS CORP                  COM   00081T108       8,124   1,216,208  SH     DEFINED  01,08      65,128   1,151,080           0
ACCO BRANDS CORP                  COM   00081T108       1,920     287,428  SH     DEFINED     09     287,428           0           0

ABM INDS INC                      COM   000957100       6,439     289,509  SH     DEFINED     01      26,955     262,454         100
ABM INDS INC                      COM   000957100      17,955     807,315  SH     DEFINED  01,08     262,273     545,042           0
ABM INDS INC                      COM   000957100       2,871     129,104  SH     DEFINED     09     129,104           0           0

THE ADT CORPORATION               COM   00101J106      15,396     314,595  SH     DEFINED     01     158,400     153,368       2,827
THE ADT CORPORATION               COM   00101J106       1,263      25,799  SH     OTHER       01       9,194      16,415         190
THE ADT CORPORATION               COM   00101J106     101,073   2,065,236  SH     DEFINED  01,08     318,609   1,746,627           0
THE ADT CORPORATION               COM   00101J106      34,036     695,464  SH     DEFINED     09     695,464           0           0

AEP INDS INC                      COM   001031103         721      10,039  SH     DEFINED     01         523       9,516           0
AEP INDS INC                      COM   001031103       3,712      51,693  SH     DEFINED  01,08       8,399      43,294           0
AEP INDS INC                      COM   001031103         681       9,481  SH     DEFINED     09       9,481           0           0

AFC ENTERPRISES INC               COM   00104Q107         889      24,465  SH     DEFINED     01       3,817      20,648           0
AFC ENTERPRISES INC               COM   00104Q107       9,769     268,894  SH     DEFINED  01,08      15,570     253,324           0
AFC ENTERPRISES INC               COM   00104Q107       2,275      62,630  SH     DEFINED     09      62,630           0           0

AFLAC INC                         COM   001055102      48,427     930,931  SH     DEFINED     01     649,287     274,123       7,521
AFLAC INC                         COM   001055102       8,028     154,321  SH     OTHER       01     105,725      31,511      17,085
AFLAC INC                         COM   001055102     215,971   4,151,684  SH     DEFINED  01,08     621,594   3,530,090           0
AFLAC INC                         COM   001055102      71,628   1,376,941  SH     DEFINED     09   1,376,941           0           0

AGCO CORP                         COM   001084102       1,813      34,787  SH     DEFINED     01      25,327       9,460           0
AGCO CORP                         COM   001084102         361       6,933  SH     OTHER       01       6,875          58           0
AGCO CORP                         COM   001084102      41,714     800,341  SH     DEFINED  01,08      92,647     707,694           0
AGCO CORP                         COM   001084102       6,596     126,563  SH     DEFINED     09     126,563           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     14
  ________

AGL RES INC                       COM   001204106       8,559     204,037  SH     DEFINED     01      62,905     138,783       2,349
AGL RES INC                       COM   001204106         420      10,015  SH     OTHER       01       7,615       1,400       1,000
AGL RES INC                       COM   001204106      41,295     984,379  SH     DEFINED  01,08      93,718     890,661           0
AGL RES INC                       COM   001204106       7,128     169,907  SH     DEFINED     09     169,907           0           0

AG MTG INVT TR INC                COM   001228105         605      23,753  SH     DEFINED     01       1,648      22,105           0
AG MTG INVT TR INC                COM   001228105       7,079     277,933  SH     DEFINED  01,08      15,061     262,872           0
AG MTG INVT TR INC                COM   001228105       1,666      65,423  SH     DEFINED     09      65,423           0           0

A H BELO CORP                     COM   001282102          41       7,011  SH     DEFINED     01       1,130       5,881           0
A H BELO CORP                     COM   001282102         209      35,826  SH     DEFINED  01,08       3,506      32,320           0

AES CORP                          COM   00130H105      11,399     906,880  SH     DEFINED     01     470,849     435,091         940
AES CORP                          COM   00130H105         485      38,618  SH     OTHER       01      36,667       1,666         285
AES CORP                          COM   00130H105      70,186   5,583,646  SH     DEFINED  01,08     808,535   4,775,111           0
AES CORP                          COM   00130H105      20,372   1,620,667  SH     DEFINED     09   1,620,667           0           0

AK STL HLDG CORP                  COM   001547108         419     126,476  SH     DEFINED     01      39,496      86,780         200
AK STL HLDG CORP                  COM   001547108           0          20  SH     OTHER       01          20           0           0
AK STL HLDG CORP                  COM   001547108       4,525   1,367,058  SH     DEFINED  01,08      33,035   1,334,023           0
AK STL HLDG CORP                  COM   001547108       1,117     337,504  SH     DEFINED     09     337,504           0           0

ALPS ETF TR                       COM   00162Q866      76,546   4,319,758  SH     DEFINED     01   4,276,283      29,975      13,500
ALPS ETF TR                       COM   00162Q866       7,640     431,140  SH     OTHER       01     323,058     106,938       1,144

AMAG PHARMACEUTICALS INC          COM   00163U106         655      27,472  SH     DEFINED     01       3,405      24,067           0
AMAG PHARMACEUTICALS INC          COM   00163U106       5,529     231,814  SH     DEFINED  01,08      16,518     215,296           0
AMAG PHARMACEUTICALS INC          COM   00163U106       1,312      55,026  SH     DEFINED     09      55,026           0           0

AMC NETWORKS INC                  COM   00164V103       1,178      18,626  SH     DEFINED     01      10,605       8,021           0
AMC NETWORKS INC                  COM   00164V103           3          42  SH     OTHER       01           0           0          42
AMC NETWORKS INC                  COM   00164V103      27,272     431,389  SH     DEFINED  01,08       5,284     426,105           0

AMN HEALTHCARE SERVICES INC       COM   001744101         940      59,393  SH     DEFINED     01      20,805      38,588           0
AMN HEALTHCARE SERVICES INC       COM   001744101       7,618     481,253  SH     DEFINED  01,08      23,960     457,293           0
AMN HEALTHCARE SERVICES INC       COM   001744101       1,754     110,817  SH     DEFINED     09     110,817           0           0

AOL INC                           COM   00184X105       3,048      79,177  SH     DEFINED     01      51,821      26,501         855
AOL INC                           COM   00184X105         232       6,025  SH     OTHER       01       1,717       4,079         229
AOL INC                           COM   00184X105      23,362     606,963  SH     DEFINED  01,08      19,617     587,346           0
AOL INC                           COM   00184X105           0           1  SH     DEFINED     09           1           0           0

API TECHNOLOGIES CORP             COM   00187E203          40      15,994  SH     DEFINED     01         260      15,734           0
API TECHNOLOGIES CORP             COM   00187E203         672     270,881  SH     DEFINED  01,08       5,391     265,490           0
API TECHNOLOGIES CORP             COM   00187E203         208      83,816  SH     DEFINED     09      83,816           0           0

ARC DOCUMENT SOLUTIONS INC        COM   00191G103         133      44,552  SH     DEFINED     01       1,380      43,172           0
ARC DOCUMENT SOLUTIONS INC        COM   00191G103       1,120     375,958  SH     DEFINED  01,08      24,698     351,260           0
ARC DOCUMENT SOLUTIONS INC        COM   00191G103         232      77,730  SH     DEFINED     09      77,730           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     15
  ________

AT&T INC                          COM   00206R102     369,566  10,072,674  SH     DEFINED     01   5,788,453   4,083,759     200,462
AT&T INC                          COM   00206R102      62,281   1,697,489  SH     OTHER       01   1,098,788     450,424     148,277
AT&T INC                          COM   00206R102   1,852,865  50,500,551  SH     DEFINED  01,08   7,624,115  42,865,076      11,360
AT&T INC                          COM   00206R102     609,561  16,613,823  SH     DEFINED     09  16,613,823           0           0

ATMI INC                          COM   00207R101       4,219     188,114  SH     DEFINED     01      13,004     175,110           0
ATMI INC                          COM   00207R101      11,260     501,997  SH     DEFINED  01,08     172,093     329,904           0
ATMI INC                          COM   00207R101       1,859      82,863  SH     DEFINED     09      82,863           0           0

AU OPTRONICS CORP                 COM   002255107          12       2,830  SH     DEFINED     01         720       2,110           0
AU OPTRONICS CORP                 COM   002255107           8       1,856  SH     OTHER       01           0       1,856           0
AU OPTRONICS CORP                 COM   002255107          25       5,777  SH     DEFINED  01,08       2,177       3,600           0

AV HOMES INC                      COM   00234P102         240      18,002  SH     DEFINED     01         880      17,122           0
AV HOMES INC                      COM   00234P102       1,476     110,705  SH     DEFINED  01,08      14,479      96,226           0
AV HOMES INC                      COM   00234P102         383      28,766  SH     DEFINED     09      28,766           0           0

AVX CORP NEW                      COM   002444107         164      13,791  SH     DEFINED     01       9,629       4,162           0
AVX CORP NEW                      COM   002444107           0          16  SH     OTHER       01           0           0          16
AVX CORP NEW                      COM   002444107       2,410     202,484  SH     DEFINED  01,08       6,809     195,675           0
AVX CORP NEW                      COM   002444107           0           1  SH     DEFINED     09           1           0           0

AXT INC                           COM   00246W103          90      30,721  SH     DEFINED     01         335      30,386           0
AXT INC                           COM   00246W103         966     328,483  SH     DEFINED  01,08      14,942     313,541           0
AXT INC                           COM   00246W103         185      63,042  SH     DEFINED     09      63,042           0           0

AZZ INC                           COM   002474104       3,244      67,295  SH     DEFINED     01      36,156      30,273         866
AZZ INC                           COM   002474104          90       1,869  SH     OTHER       01       1,869           0           0
AZZ INC                           COM   002474104      13,639     282,973  SH     DEFINED  01,08      21,938     261,035           0
AZZ INC                           COM   002474104       3,101      64,336  SH     DEFINED     09      64,336           0           0

AASTROM BIOSCIENCES INC           COM   00253U305           6       8,722  SH     DEFINED     01           0       8,722           0
AASTROM BIOSCIENCES INC           COM   00253U305          55      77,935  SH     DEFINED  01,08       5,564      72,371           0

AARONS INC                        COM   002535300       6,783     236,505  SH     DEFINED     01     203,245      30,266       2,994
AARONS INC                        COM   002535300         282       9,841  SH     OTHER       01       4,758       5,083           0
AARONS INC                        COM   002535300      15,309     533,773  SH     DEFINED  01,08      10,680     523,093           0
AARONS INC                        COM   002535300           0           1  SH     DEFINED     09           1           0           0

ABAXIS INC                        COM   002567105       4,216      89,099  SH     DEFINED     01      54,443      33,112       1,544
ABAXIS INC                        COM   002567105         369       7,797  SH     OTHER       01       2,594       4,418         785
ABAXIS INC                        COM   002567105      11,346     239,769  SH     DEFINED  01,08      16,113     223,656           0
ABAXIS INC                        COM   002567105       2,620      55,358  SH     DEFINED     09      55,358           0           0

ABBOTT LABS                       COM   002824100     169,359   4,794,994  SH     DEFINED     01   3,229,053   1,431,004     134,937
ABBOTT LABS                       COM   002824100      60,266   1,706,288  SH     OTHER       01   1,078,964     372,720     254,604
ABBOTT LABS                       COM   002824100     503,575  14,257,496  SH     DEFINED  01,08   2,260,292  11,970,157      27,047
ABBOTT LABS                       COM   002824100     166,462   4,712,976  SH     DEFINED     09   4,712,976           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     16
  ________

ABBVIE INC                        COM   00287Y109     230,002   5,640,074  SH     DEFINED     01   4,402,643   1,170,024      67,407
ABBVIE INC                        COM   00287Y109      73,653   1,806,113  SH     OTHER       01   1,392,661     299,231     114,221
ABBVIE INC                        COM   00287Y109     580,948  14,245,914  SH     DEFINED  01,08   2,219,691  12,020,848       5,375
ABBVIE INC                        COM   00287Y109     191,300   4,691,027  SH     DEFINED     09   4,691,027           0           0

ABERCROMBIE & FITCH CO            COM   002896207       5,190     112,333  SH     DEFINED     01      57,613      54,512         208
ABERCROMBIE & FITCH CO            COM   002896207          80       1,732  SH     OTHER       01       1,517         215           0
ABERCROMBIE & FITCH CO            COM   002896207      28,993     627,544  SH     DEFINED  01,08      24,676     602,868           0
ABERCROMBIE & FITCH CO            COM   002896207       5,467     118,343  SH     DEFINED     09     118,343           0           0

ABERDEEN ASIA PACIFIC INCOM    UNDEFIND 003009107           4      55,650         DEFINED     01      55,650           0           0
ABERDEEN ASIA PACIFIC INCOM    UNDEFIND 003009107           9     117,325         OTHER       01     117,325           0           0

ABERDEEN AUSTRALIA EQTY FD I      COM   003011103          66       5,800  SH     DEFINED     01       5,800           0           0
ABERDEEN AUSTRALIA EQTY FD I      COM   003011103          57       5,017  SH     OTHER       01           0       5,017           0

ABIOMED INC                       COM   003654100       1,006      53,880  SH     DEFINED     01      13,194      40,686           0
ABIOMED INC                       COM   003654100         111       5,931  SH     OTHER       01       5,931           0           0
ABIOMED INC                       COM   003654100       7,158     383,407  SH     DEFINED  01,08      30,342     353,065           0
ABIOMED INC                       COM   003654100       1,469      78,667  SH     DEFINED     09      78,667           0           0

ABRAXAS PETE CORP                 COM   003830106         155      67,220  SH     DEFINED     01       8,717      58,503           0
ABRAXAS PETE CORP                 COM   003830106       2,015     872,197  SH     DEFINED  01,08      22,044     850,153           0
ABRAXAS PETE CORP                 COM   003830106         412     178,482  SH     DEFINED     09     178,482           0           0

ACACIA RESH CORP                  COM   003881307       2,518      83,476  SH     DEFINED     01      33,194      49,401         881
ACACIA RESH CORP                  COM   003881307          57       1,898  SH     OTHER       01       1,898           0           0
ACACIA RESH CORP                  COM   003881307      16,490     546,554  SH     DEFINED  01,08      35,084     511,470           0
ACACIA RESH CORP                  COM   003881307       3,865     128,106  SH     DEFINED     09     128,106           0           0

ACADIA HEALTHCARE COMPANY IN      COM   00404A109         507      17,245  SH     DEFINED     01          98      17,147           0
ACADIA HEALTHCARE COMPANY IN      COM   00404A109       8,695     295,838  SH     DEFINED  01,08       7,696     288,142           0
ACADIA HEALTHCARE COMPANY IN      COM   00404A109       1,922      65,382  SH     DEFINED     09      65,382           0           0

ACADIA PHARMACEUTICALS INC        COM   004225108         141      17,762  SH     DEFINED     01           0      17,762           0
ACADIA PHARMACEUTICALS INC        COM   004225108         718      90,471  SH     DEFINED  01,08       9,365      81,106           0

ACADIA RLTY TR                    COM   004239109       4,923     177,278  SH     DEFINED     01      19,732     157,546           0
ACADIA RLTY TR                    COM   004239109      21,340     768,439  SH     DEFINED  01,08     236,244     532,195           0
ACADIA RLTY TR                    COM   004239109       4,136     148,941  SH     DEFINED     09     148,941           0           0

ACCELERATE DIAGNOSTICS INC        COM   00430H102          86      11,869  SH     DEFINED  01,08         185      11,684           0

ACCELRYS INC                      COM   00430U103         600      61,496  SH     DEFINED     01       8,904      52,592           0
ACCELRYS INC                      COM   00430U103       5,793     593,512  SH     DEFINED  01,08      34,953     558,559           0
ACCELRYS INC                      COM   00430U103       1,310     134,192  SH     DEFINED     09     134,192           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     17
  ________

ACCESS NATL CORP                  COM   004337101          76       4,613  SH     DEFINED     01         345       4,268           0
ACCESS NATL CORP                  COM   004337101       1,137      69,356  SH     DEFINED  01,08       1,357      67,999           0
ACCESS NATL CORP                  COM   004337101         315      19,207  SH     DEFINED     09      19,207           0           0

ACCESS MIDSTREAM PARTNERS L       COM   00434L109       1,300      32,201  SH     DEFINED     01      32,201           0           0
ACCESS MIDSTREAM PARTNERS L       COM   00434L109         476      11,800  SH     OTHER       01      11,200         400         200

ACCRETIVE HEALTH INC              COM   00438V103         536      52,712  SH     DEFINED     01       2,111      50,601           0
ACCRETIVE HEALTH INC              COM   00438V103       6,030     593,461  SH     DEFINED  01,08      23,340     570,121           0
ACCRETIVE HEALTH INC              COM   00438V103       1,461     143,773  SH     DEFINED     09     143,773           0           0

ACCURIDE CORP NEW                 COM   00439T206         194      36,037  SH     DEFINED     01       5,610      30,427           0
ACCURIDE CORP NEW                 COM   00439T206       2,534     470,135  SH     DEFINED  01,08       7,485     462,650           0
ACCURIDE CORP NEW                 COM   00439T206         716     132,806  SH     DEFINED     09     132,806           0           0

ACCURAY INC                       COM   004397105         356      76,703  SH     DEFINED     01      10,592      66,111           0
ACCURAY INC                       COM   004397105       3,572     769,828  SH     DEFINED  01,08      38,078     731,750           0
ACCURAY INC                       COM   004397105         852     183,715  SH     DEFINED     09     183,715           0           0

ACELRX PHARMACEUTICALS INC        COM   00444T100         145      28,041  SH     DEFINED  01,08           0      28,041           0

ACETO CORP                        COM   004446100       3,502     316,342  SH     DEFINED     01      11,004     305,338           0
ACETO CORP                        COM   004446100       6,540     590,755  SH     DEFINED  01,08     310,241     280,514           0
ACETO CORP                        COM   004446100         804      72,658  SH     DEFINED     09      72,658           0           0

ACHILLION PHARMACEUTICALS IN      COM   00448Q201         797      91,052  SH     DEFINED     01       6,422      84,630           0
ACHILLION PHARMACEUTICALS IN      COM   00448Q201       6,152     703,038  SH     DEFINED  01,08      63,430     639,608           0
ACHILLION PHARMACEUTICALS IN      COM   00448Q201       1,505     171,968  SH     DEFINED     09     171,968           0           0

ACI WORLDWIDE INC                 COM   004498101       2,203      45,090  SH     DEFINED     01       5,494      39,596           0
ACI WORLDWIDE INC                 COM   004498101      27,992     572,906  SH     DEFINED  01,08      27,054     545,852           0
ACI WORLDWIDE INC                 COM   004498101       4,843      99,129  SH     DEFINED     09      99,129           0           0

ACME PACKET INC                   COM   004764106       1,251      42,804  SH     DEFINED     01      13,043      29,761           0
ACME PACKET INC                   COM   004764106           1          20  SH     OTHER       01           0           0          20
ACME PACKET INC                   COM   004764106       6,902     236,081  SH     DEFINED  01,08           0     236,081           0

ACORDA THERAPEUTICS INC           COM   00484M106       1,760      54,947  SH     DEFINED     01      12,945      42,002           0
ACORDA THERAPEUTICS INC           COM   00484M106      14,281     445,866  SH     DEFINED  01,08      29,387     416,479           0
ACORDA THERAPEUTICS INC           COM   00484M106       3,230     100,848  SH     DEFINED     09     100,848           0           0

ACORN ENERGY INC                  COM   004848107         112      15,297  SH     DEFINED     01       2,040      13,257           0
ACORN ENERGY INC                  COM   004848107       1,296     176,386  SH     DEFINED  01,08       6,166     170,220           0
ACORN ENERGY INC                  COM   004848107         318      43,222  SH     DEFINED     09      43,222           0           0

ACTIVE POWER INC                  COM   00504W308          19       4,202  SH     DEFINED     01         540       3,662           0
ACTIVE POWER INC                  COM   00504W308         154      33,615  SH     DEFINED  01,08       2,812      30,803           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     18
  ________

ACTIVE NETWORK INC                COM   00506D100         120      28,660  SH     DEFINED     01       4,477      24,183           0
ACTIVE NETWORK INC                COM   00506D100       1,762     420,481  SH     DEFINED  01,08       8,152     412,329           0
ACTIVE NETWORK INC                COM   00506D100         384      91,566  SH     DEFINED     09      91,566           0           0

ACTAVIS INC                       COM   00507K103      29,072     315,625  SH     DEFINED     01     213,380      97,385       4,860
ACTAVIS INC                       COM   00507K103       2,026      21,993  SH     OTHER       01      10,550      11,403          40
ACTAVIS INC                       COM   00507K103     104,991   1,139,843  SH     DEFINED  01,08     169,068     970,775           0
ACTAVIS INC                       COM   00507K103      34,648     376,156  SH     DEFINED     09     376,156           0           0

ACTIVISION BLIZZARD INC           COM   00507V109      14,244     977,624  SH     DEFINED     01     424,747     547,098       5,779
ACTIVISION BLIZZARD INC           COM   00507V109         261      17,888  SH     OTHER       01      10,340       7,548           0
ACTIVISION BLIZZARD INC           COM   00507V109      40,066   2,749,888  SH     DEFINED  01,08     937,064   1,812,824           0
ACTIVISION BLIZZARD INC           COM   00507V109       8,930     612,936  SH     DEFINED     09     612,936           0           0

ACTUATE CORP                      COM   00508B102         273      45,481  SH     DEFINED     01       7,347      38,134           0
ACTUATE CORP                      COM   00508B102           6       1,000  SH     OTHER       01       1,000           0           0
ACTUATE CORP                      COM   00508B102       3,264     543,527  SH     DEFINED  01,08      18,033     525,494           0
ACTUATE CORP                      COM   00508B102         817     136,023  SH     DEFINED     09     136,023           0           0

ACTUANT CORP                      COM   00508X203       6,484     211,743  SH     DEFINED     01     118,797      91,419       1,527
ACTUANT CORP                      COM   00508X203          87       2,850  SH     OTHER       01       1,749       1,101           0
ACTUANT CORP                      COM   00508X203      24,278     792,891  SH     DEFINED  01,08      61,699     731,192           0
ACTUANT CORP                      COM   00508X203       5,365     175,222  SH     DEFINED     09     175,222           0           0

ACUITY BRANDS INC                 COM   00508Y102       8,298     119,656  SH     DEFINED     01      69,527      49,455         674
ACUITY BRANDS INC                 COM   00508Y102         175       2,525  SH     OTHER       01       1,407       1,118           0
ACUITY BRANDS INC                 COM   00508Y102      42,679     615,413  SH     DEFINED  01,08      30,602     584,811           0
ACUITY BRANDS INC                 COM   00508Y102       7,338     105,818  SH     DEFINED     09     105,818           0           0

ACURA PHARMACEUTICALS INC         COM   00509L703          89      41,698  SH     DEFINED     01          20      41,678           0
ACURA PHARMACEUTICALS INC         COM   00509L703         373     174,991  SH     DEFINED  01,08      41,634     133,357           0
ACURA PHARMACEUTICALS INC         COM   00509L703          39      18,091  SH     DEFINED     09      18,091           0           0

ACXIOM CORP                       COM   005125109       6,429     315,147  SH     DEFINED     01       9,568     305,579           0
ACXIOM CORP                       COM   005125109      26,545   1,301,214  SH     DEFINED  01,08     294,339   1,006,875           0
ACXIOM CORP                       COM   005125109       3,862     189,321  SH     DEFINED     09     189,321           0           0

ADA ES INC                        COM   005208103         638      24,000  SH     DEFINED     01      19,154       4,846           0
ADA ES INC                        COM   005208103          23         879  SH     OTHER       01           0         879           0
ADA ES INC                        COM   005208103       2,715     102,167  SH     DEFINED  01,08       4,529      97,638           0
ADA ES INC                        COM   005208103         568      21,370  SH     DEFINED     09      21,370           0           0

ADAMS RES & ENERGY INC            COM   006351308         506       9,913  SH     DEFINED     01          25       9,888           0
ADAMS RES & ENERGY INC            COM   006351308       1,539      30,181  SH     DEFINED  01,08       9,590      20,591           0
ADAMS RES & ENERGY INC            COM   006351308         266       5,215  SH     DEFINED     09       5,215           0           0

ADDUS HOMECARE CORP               COM   006739106          17       1,252  SH     DEFINED     01          40       1,212           0
ADDUS HOMECARE CORP               COM   006739106         208      15,734  SH     DEFINED  01,08       6,165       9,569           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     19
  ________

ADEPT TECHNOLOGY INC              COM   006854202           6       2,109  SH     DEFINED     01           0       2,109           0
ADEPT TECHNOLOGY INC              COM   006854202          29       9,917  SH     DEFINED  01,08       2,575       7,342           0

ADOBE SYS INC                     COM   00724F101      34,285     787,894  SH     DEFINED     01     400,583     348,590      38,721
ADOBE SYS INC                     COM   00724F101       4,001      91,940  SH     OTHER       01      76,736       9,819       5,385
ADOBE SYS INC                     COM   00724F101     194,642   4,472,995  SH     DEFINED  01,08     662,578   3,810,417           0
ADOBE SYS INC                     COM   00724F101      64,325   1,478,220  SH     DEFINED     09   1,478,220           0           0

ADTRAN INC                        COM   00738A106       1,368      69,617  SH     DEFINED     01       9,572      60,045           0
ADTRAN INC                        COM   00738A106      17,718     901,696  SH     DEFINED  01,08      31,498     870,198           0
ADTRAN INC                        COM   00738A106       3,079     156,682  SH     DEFINED     09     156,682           0           0

ADVANCE AUTO PARTS INC            COM   00751Y106       2,760      33,397  SH     DEFINED     01      22,715      10,682           0
ADVANCE AUTO PARTS INC            COM   00751Y106         503       6,085  SH     OTHER       01       3,045       2,740         300
ADVANCE AUTO PARTS INC            COM   00751Y106      52,434     634,414  SH     DEFINED  01,08      86,550     547,864           0
ADVANCE AUTO PARTS INC            COM   00751Y106       9,220     111,552  SH     DEFINED     09     111,552           0           0

ADVANCED PHOTONIX INC             COM   00754E107           2       4,542  SH     DEFINED     01           0       4,542           0
ADVANCED PHOTONIX INC             COM   00754E107          16      34,129  SH     DEFINED  01,08       4,342      29,787           0

ADVANCED SEMICONDUCTOR ENGR       COM   00756M404          21       5,110  SH     DEFINED     01       1,110       4,000           0
ADVANCED SEMICONDUCTOR ENGR       COM   00756M404          17       4,085  SH     OTHER       01           0       4,085           0
ADVANCED SEMICONDUCTOR ENGR       COM   00756M404          22       5,440  SH     DEFINED  01,08           0       5,440           0

ADVANTEST CORP                    COM   00762U200         161      11,425  SH     DEFINED     01      10,287         828         310
ADVANTEST CORP                    COM   00762U200           6         411  SH     OTHER       01         332          79           0
ADVANTEST CORP                    COM   00762U200         112       7,932  SH     DEFINED  01,08           0       7,932           0

ADVISORY BRD CO                   COM   00762W107       6,234     118,689  SH     DEFINED     01      72,559      44,865       1,265
ADVISORY BRD CO                   COM   00762W107         343       6,536  SH     OTHER       01       3,191       3,135         210
ADVISORY BRD CO                   COM   00762W107      20,352     387,512  SH     DEFINED  01,08      28,171     359,341           0
ADVISORY BRD CO                   COM   00762W107       4,448      84,695  SH     DEFINED     09      84,695           0           0

AECOM TECHNOLOGY CORP DELAWA      COM   00766T100       1,335      40,713  SH     DEFINED     01      29,049      11,664           0
AECOM TECHNOLOGY CORP DELAWA      COM   00766T100           1          40  SH     OTHER       01           0           0          40
AECOM TECHNOLOGY CORP DELAWA      COM   00766T100      25,949     791,122  SH     DEFINED  01,08      17,488     773,634           0
AECOM TECHNOLOGY CORP DELAWA      COM   00766T100           0           1  SH     DEFINED     09           1           0           0

AEGERION PHARMACEUTICALS INC      COM   00767E102         996      24,686  SH     DEFINED     01       3,020      21,666           0
AEGERION PHARMACEUTICALS INC      COM   00767E102          63       1,550  SH     OTHER       01       1,550           0           0
AEGERION PHARMACEUTICALS INC      COM   00767E102      11,339     281,085  SH     DEFINED  01,08      12,840     268,245           0
AEGERION PHARMACEUTICALS INC      COM   00767E102       2,848      70,590  SH     DEFINED     09      70,590           0           0

AEGION CORP                       COM   00770F104       2,048      88,477  SH     DEFINED     01      12,920      75,557           0
AEGION CORP                       COM   00770F104          81       3,500  SH     OTHER       01       3,500           0           0
AEGION CORP                       COM   00770F104      10,618     458,675  SH     DEFINED  01,08      62,023     396,652           0
AEGION CORP                       COM   00770F104       2,238      96,671  SH     DEFINED     09      96,671           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     20
  ________

AEROFLEX HLDG CORP                COM   007767106         101      12,860  SH     DEFINED     01       2,050      10,810           0
AEROFLEX HLDG CORP                COM   007767106       1,490     189,553  SH     DEFINED  01,08       3,563     185,990           0
AEROFLEX HLDG CORP                COM   007767106         314      39,999  SH     DEFINED     09      39,999           0           0

AEROPOSTALE                       COM   007865108       1,817     133,639  SH     DEFINED     01       7,920     125,494         225
AEROPOSTALE                       COM   007865108      16,231   1,193,431  SH     DEFINED  01,08     103,250   1,090,181           0
AEROPOSTALE                       COM   007865108       2,673     196,524  SH     DEFINED     09     196,524           0           0

ADVANCED MICRO DEVICES INC        COM   007903107       2,196     861,031  SH     DEFINED     01     404,772     455,631         628
ADVANCED MICRO DEVICES INC        COM   007903107          28      10,883  SH     OTHER       01       9,553       1,020         310
ADVANCED MICRO DEVICES INC        COM   007903107      12,389   4,858,400  SH     DEFINED  01,08     179,763   4,678,637           0
ADVANCED MICRO DEVICES INC        COM   007903107       2,342     918,376  SH     DEFINED     09     918,376           0           0

AEGON N V                         COM   007924103       1,137     189,238  SH     DEFINED     01     153,768      34,964         506
AEGON N V                         COM   007924103         109      18,186  SH     OTHER       01      10,678       7,508           0
AEGON N V                         COM   007924103         708     117,736  SH     DEFINED  01,08      32,343      85,393           0

ADVANCED ENERGY INDS              COM   007973100       2,289     125,092  SH     DEFINED     01      13,408     111,684           0
ADVANCED ENERGY INDS              COM   007973100       8,864     484,357  SH     DEFINED  01,08      99,931     384,426           0
ADVANCED ENERGY INDS              COM   007973100       1,830     100,009  SH     DEFINED     09     100,009           0           0

ADVENT SOFTWARE INC               COM   007974108       6,859     245,235  SH     DEFINED     01     180,749      64,486           0
ADVENT SOFTWARE INC               COM   007974108          20         705  SH     OTHER       01         705           0           0
ADVENT SOFTWARE INC               COM   007974108      13,865     495,727  SH     DEFINED  01,08      55,546     440,181           0
ADVENT SOFTWARE INC               COM   007974108       2,267      81,050  SH     DEFINED     09      81,050           0           0

AEROVIRONMENT INC                 COM   008073108         334      18,434  SH     DEFINED     01       5,494      12,940           0
AEROVIRONMENT INC                 COM   008073108       3,498     192,924  SH     DEFINED  01,08       7,203     185,721           0
AEROVIRONMENT INC                 COM   008073108         712      39,298  SH     DEFINED     09      39,298           0           0

AETRIUM INC                       COM   00817R103           5       5,486  SH     DEFINED     01           0       5,486           0
AETRIUM INC                       COM   00817R103           8       8,949  SH     DEFINED  01,08       5,587       3,362           0

AETNA INC NEW                     COM   00817Y108      21,633     423,097  SH     DEFINED     01     195,979     225,239       1,879
AETNA INC NEW                     COM   00817Y108         777      15,202  SH     OTHER       01      11,393       3,204         605
AETNA INC NEW                     COM   00817Y108     152,016   2,973,137  SH     DEFINED  01,08     444,975   2,528,162           0
AETNA INC NEW                     COM   00817Y108      51,455   1,006,364  SH     DEFINED     09   1,006,364           0           0

AFFILIATED MANAGERS GROUP         COM   008252108       8,688      56,576  SH     DEFINED     01      43,697      12,584         295
AFFILIATED MANAGERS GROUP         COM   008252108       1,337       8,709  SH     OTHER       01       3,668       4,960          81
AFFILIATED MANAGERS GROUP         COM   008252108      67,549     439,858  SH     DEFINED  01,08      53,637     386,221           0
AFFILIATED MANAGERS GROUP         COM   008252108      10,994      71,588  SH     DEFINED     09      71,588           0           0

AFFYMAX INC                       COM   00826A109          39      28,421  SH     DEFINED     01       1,245      27,176           0
AFFYMAX INC                       COM   00826A109         524     381,416  SH     DEFINED  01,08      14,297     367,119           0
AFFYMAX INC                       COM   00826A109         124      90,485  SH     DEFINED     09      90,485           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     21
  ________

AFFYMETRIX INC                    COM   00826T108         506     107,158  SH     DEFINED     01      29,531      77,627           0
AFFYMETRIX INC                    COM   00826T108           0          40  SH     OTHER       01           0          40           0
AFFYMETRIX INC                    COM   00826T108       3,610     764,899  SH     DEFINED  01,08      53,201     711,698           0
AFFYMETRIX INC                    COM   00826T108         895     189,535  SH     DEFINED     09     189,535           0           0

AGILENT TECHNOLOGIES INC          COM   00846U101      28,926     689,200  SH     DEFINED     01     423,705     262,062       3,433
AGILENT TECHNOLOGIES INC          COM   00846U101       1,627      38,773  SH     OTHER       01      17,708      20,093         972
AGILENT TECHNOLOGIES INC          COM   00846U101     131,103   3,123,738  SH     DEFINED  01,08     471,065   2,652,673           0
AGILENT TECHNOLOGIES INC          COM   00846U101      43,565   1,038,002  SH     DEFINED     09   1,038,002           0           0

AGENUS INC                        COM   00847G705          85      21,819  SH     DEFINED     01       2,470      19,349           0
AGENUS INC                        COM   00847G705         896     230,287  SH     DEFINED  01,08       6,038     224,249           0
AGENUS INC                        COM   00847G705         217      55,757  SH     DEFINED     09      55,757           0           0

AGILYSYS INC                      COM   00847J105         342      34,389  SH     DEFINED     01       5,267      29,122           0
AGILYSYS INC                      COM   00847J105       1,743     175,395  SH     DEFINED  01,08      24,039     151,356           0
AGILYSYS INC                      COM   00847J105         341      34,314  SH     DEFINED     09      34,314           0           0

AGNICO EAGLE MINES LTD            COM   008474108         648      15,781  SH     DEFINED     01      14,308       1,420          53
AGNICO EAGLE MINES LTD            COM   008474108          68       1,647  SH     OTHER       01       1,647           0           0
AGNICO EAGLE MINES LTD            COM   008474108         342       8,337  SH     DEFINED  01,08           0       8,337           0

AGREE REALTY CORP                 COM   008492100       3,427     113,869  SH     DEFINED     01       1,635     112,234           0
AGREE REALTY CORP                 COM   008492100       8,202     272,491  SH     DEFINED  01,08     141,213     131,278           0
AGREE REALTY CORP                 COM   008492100       1,106      36,744  SH     DEFINED     09      36,744           0           0

AGRIUM INC                        COM   008916108       6,092      62,484  SH     DEFINED     01      55,779       5,528       1,177
AGRIUM INC                        COM   008916108         507       5,197  SH     OTHER       01       3,542       1,611          44
AGRIUM INC                        COM   008916108         734       7,529  SH     DEFINED  01,08           0       7,529           0

AIR LEASE CORP                    COM   00912X302       1,413      48,202  SH     DEFINED     01      17,185      31,017           0
AIR LEASE CORP                    COM   00912X302       8,117     276,840  SH     DEFINED  01,08       7,307     269,533           0

AIR METHODS CORP                  COM   009128307       2,731      56,619  SH     DEFINED     01      13,725      42,894           0
AIR METHODS CORP                  COM   009128307      20,598     427,000  SH     DEFINED  01,08      31,784     395,216           0
AIR METHODS CORP                  COM   009128307       4,669      96,792  SH     DEFINED     09      96,792           0           0

AIR PRODS & CHEMS INC             COM   009158106      47,730     547,862  SH     DEFINED     01     344,917     194,257       8,688
AIR PRODS & CHEMS INC             COM   009158106      11,773     135,141  SH     OTHER       01      75,409      35,301      24,431
AIR PRODS & CHEMS INC             COM   009158106     165,002   1,893,959  SH     DEFINED  01,08     285,684   1,608,275           0
AIR PRODS & CHEMS INC             COM   009158106      55,194     633,536  SH     DEFINED     09     633,536           0           0

AIR TRANSPORT SERVICES GRP I      COM   00922R105         338      57,945  SH     DEFINED     01       7,008      50,937           0
AIR TRANSPORT SERVICES GRP I      COM   00922R105       3,187     546,680  SH     DEFINED  01,08      20,606     526,074           0
AIR TRANSPORT SERVICES GRP I      COM   00922R105         886     151,893  SH     DEFINED     09     151,893           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     22
  ________

AIRGAS INC                        COM   009363102      11,625     117,237  SH     DEFINED     01      59,146      53,798       4,293
AIRGAS INC                        COM   009363102          88         890  SH     OTHER       01         780         110           0
AIRGAS INC                        COM   009363102      59,754     602,600  SH     DEFINED  01,08      78,148     524,452           0
AIRGAS INC                        COM   009363102      18,691     188,492  SH     DEFINED     09     188,492           0           0

AKAMAI TECHNOLOGIES INC           COM   00971T101      13,980     395,818  SH     DEFINED     01     262,232     126,710       6,876
AKAMAI TECHNOLOGIES INC           COM   00971T101         740      20,953  SH     OTHER       01       9,544      11,059         350
AKAMAI TECHNOLOGIES INC           COM   00971T101      56,412   1,597,156  SH     DEFINED  01,08     218,429   1,378,727           0
AKAMAI TECHNOLOGIES INC           COM   00971T101      17,695     500,993  SH     DEFINED     09     500,993           0           0

AKORN INC                         COM   009728106       1,980     143,195  SH     DEFINED     01      77,708      65,487           0
AKORN INC                         COM   009728106          32       2,278  SH     OTHER       01           0       2,278           0
AKORN INC                         COM   009728106       9,216     666,395  SH     DEFINED  01,08      50,944     615,451           0
AKORN INC                         COM   009728106       1,935     139,882  SH     DEFINED     09     139,882           0           0

ALAMO GROUP INC                   COM   011311107         416      10,867  SH     DEFINED     01       1,125       9,742           0
ALAMO GROUP INC                   COM   011311107       3,144      82,191  SH     DEFINED  01,08       6,320      75,871           0
ALAMO GROUP INC                   COM   011311107         585      15,282  SH     DEFINED     09      15,282           0           0

ALASKA AIR GROUP INC              COM   011659109       5,947      92,983  SH     DEFINED     01      20,356      72,535          92
ALASKA AIR GROUP INC              COM   011659109           7         109  SH     OTHER       01          56          53           0
ALASKA AIR GROUP INC              COM   011659109      64,380   1,006,564  SH     DEFINED  01,08      42,830     963,734           0
ALASKA AIR GROUP INC              COM   011659109      11,246     175,832  SH     DEFINED     09     175,832           0           0

ALASKA COMMUNICATIONS SYS GR      COM   01167P101          20      12,056  SH     DEFINED     01         255      11,801           0
ALASKA COMMUNICATIONS SYS GR      COM   01167P101         155      92,966  SH     DEFINED  01,08      10,907      82,059           0
ALASKA COMMUNICATIONS SYS GR      COM   01167P101           0           1  SH     DEFINED     09           1           0           0

ALBANY INTL CORP                  COM   012348108       1,048      36,250  SH     DEFINED     01      11,529      24,721           0
ALBANY INTL CORP                  COM   012348108       8,799     304,469  SH     DEFINED  01,08      14,700     289,769           0
ALBANY INTL CORP                  COM   012348108       1,947      67,354  SH     DEFINED     09      67,354           0           0

ALBANY MOLECULAR RESH INC         COM   012423109         147      13,961  SH     DEFINED     01         610      13,351           0
ALBANY MOLECULAR RESH INC         COM   012423109         613      58,351  SH     DEFINED  01,08      14,396      43,955           0
ALBANY MOLECULAR RESH INC         COM   012423109           0           1  SH     DEFINED     09           1           0           0

ALBEMARLE CORP                    COM   012653101       2,416      38,641  SH     DEFINED     01      26,748      11,524         369
ALBEMARLE CORP                    COM   012653101          50         804  SH     OTHER       01         249         555           0
ALBEMARLE CORP                    COM   012653101      47,303     756,608  SH     DEFINED  01,08      97,527     659,081           0
ALBEMARLE CORP                    COM   012653101       8,100     129,552  SH     DEFINED     09     129,552           0           0

ALCOA INC                         COM   013817101      10,543   1,237,466  SH     DEFINED     01     499,088     736,677       1,701
ALCOA INC                         COM   013817101       2,049     240,451  SH     OTHER       01     165,769      68,631       6,051
ALCOA INC                         COM   013817101      90,911  10,670,256  SH     DEFINED  01,08   2,628,399   8,041,857           0
ALCOA INC                         COM   013817101      28,685   3,366,842  SH     DEFINED     09   3,366,842           0           0

ALCATEL-LUCENT                    COM   013904305         259     194,674  SH     DEFINED     01     181,744       8,870       4,060
ALCATEL-LUCENT                    COM   013904305          26      19,785  SH     OTHER       01      12,562       7,223           0
ALCATEL-LUCENT                    COM   013904305         233     174,848  SH     DEFINED  01,08      73,229     101,619           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     23
  ________

ALERE INC                         COM   01449J105       1,399      54,803  SH     DEFINED     01      19,707      35,096           0
ALERE INC                         COM   01449J105       9,095     356,248  SH     DEFINED  01,08      44,225     312,023           0
ALERE INC                         COM   01449J105           0           1  SH     DEFINED     09           1           0           0

ALERE INC                      CONV PFD 01449J204         840       3,529         DEFINED     01           0       3,529           0
ALERE INC                      CONV PFD 01449J204         981       4,123         DEFINED  01,08       3,826         297           0

ALEXANDER & BALDWIN INC NEW       COM   014491104       2,262      63,270  SH     DEFINED     01      44,005      18,530         735
ALEXANDER & BALDWIN INC NEW       COM   014491104         302       8,443  SH     OTHER       01       6,535       1,660         248
ALEXANDER & BALDWIN INC NEW       COM   014491104      12,129     339,273  SH     DEFINED  01,08      19,719     319,554           0
ALEXANDER & BALDWIN INC NEW       COM   014491104           0           1  SH     DEFINED     09           1           0           0

ALEXANDERS INC                    COM   014752109       1,287       3,904  SH     DEFINED     01         310       3,594           0
ALEXANDERS INC                    COM   014752109          66         200  SH     OTHER       01         200           0           0
ALEXANDERS INC                    COM   014752109       9,674      29,344  SH     DEFINED  01,08       6,782      22,562           0
ALEXANDERS INC                    COM   014752109       1,893       5,742  SH     DEFINED     09       5,742           0           0

ALEXANDRIA REAL ESTATE EQ IN      COM   015271109       5,059      71,267  SH     DEFINED     01      38,352      30,674       2,241
ALEXANDRIA REAL ESTATE EQ IN      COM   015271109          73       1,034  SH     OTHER       01       1,034           0           0
ALEXANDRIA REAL ESTATE EQ IN      COM   015271109      43,306     610,116  SH     DEFINED  01,08     150,275     459,841           0
ALEXANDRIA REAL ESTATE EQ IN      COM   015271109       1,606      22,627  SH     DEFINED     09      22,627           0           0

ALEXION PHARMACEUTICALS INC       COM   015351109      38,315     415,836  SH     DEFINED     01     238,714     174,583       2,539
ALEXION PHARMACEUTICALS INC       COM   015351109         745       8,090  SH     OTHER       01       4,412       3,603          75
ALEXION PHARMACEUTICALS INC       COM   015351109     159,839   1,734,744  SH     DEFINED  01,08     259,583   1,475,161           0
ALEXION PHARMACEUTICALS INC       COM   015351109      53,299     578,460  SH     DEFINED     09     578,460           0           0

ALEXZA PHARMACEUTICALS INC        COM   015384209           3         731  SH     DEFINED     01         230         501           0
ALEXZA PHARMACEUTICALS INC        COM   015384209          98      22,179  SH     DEFINED  01,08         698      21,481           0

ALICO INC                         COM   016230104         361       7,811  SH     DEFINED     01       1,360       6,451           0
ALICO INC                         COM   016230104       1,823      39,423  SH     DEFINED  01,08       4,932      34,491           0
ALICO INC                         COM   016230104         373       8,063  SH     DEFINED     09       8,063           0           0

ALIGN TECHNOLOGY INC              COM   016255101       3,810     113,709  SH     DEFINED     01      36,629      76,952         128
ALIGN TECHNOLOGY INC              COM   016255101         145       4,336  SH     OTHER       01          79       4,257           0
ALIGN TECHNOLOGY INC              COM   016255101      26,583     793,285  SH     DEFINED  01,08      52,363     740,922           0
ALIGN TECHNOLOGY INC              COM   016255101       5,912     176,437  SH     DEFINED     09     176,437           0           0

ALIMERA SCIENCES INC              COM   016259103          49      16,009  SH     DEFINED  01,08           0      16,009           0
ALIMERA SCIENCES INC              COM   016259103           0           1  SH     DEFINED     09           1           0           0

ALLEGHANY CORP DEL                COM   017175100       2,796       7,063  SH     DEFINED     01       2,918       4,145           0
ALLEGHANY CORP DEL                COM   017175100          62         156  SH     OTHER       01         156           0           0
ALLEGHANY CORP DEL                COM   017175100      53,480     135,078  SH     DEFINED  01,08      12,991     122,087           0
ALLEGHANY CORP DEL                COM   017175100       6,993      17,663  SH     DEFINED     09      17,663           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     24
  ________

ALLEGHENY TECHNOLOGIES INC        COM   01741R102       9,288     292,889  SH     DEFINED     01     210,100      78,380       4,409
ALLEGHENY TECHNOLOGIES INC        COM   01741R102         425      13,387  SH     OTHER       01       5,892       7,107         388
ALLEGHENY TECHNOLOGIES INC        COM   01741R102      29,397     927,053  SH     DEFINED  01,08     122,653     804,400           0
ALLEGHENY TECHNOLOGIES INC        COM   01741R102       9,387     296,039  SH     DEFINED     09     296,039           0           0

ALLEGIANT TRAVEL CO               COM   01748X102       1,960      22,079  SH     DEFINED     01       6,053      16,026           0
ALLEGIANT TRAVEL CO               COM   01748X102         141       1,590  SH     OTHER       01       1,590           0           0
ALLEGIANT TRAVEL CO               COM   01748X102      14,677     165,324  SH     DEFINED  01,08      10,943     154,381           0
ALLEGIANT TRAVEL CO               COM   01748X102       3,333      37,537  SH     DEFINED     09      37,537           0           0

ALLERGAN INC                      COM   018490102      59,963     537,161  SH     DEFINED     01     290,575     244,724       1,862
ALLERGAN INC                      COM   018490102       2,552      22,860  SH     OTHER       01      15,484       7,091         285
ALLERGAN INC                      COM   018490102     307,487   2,754,518  SH     DEFINED  01,08     418,020   2,336,498           0
ALLERGAN INC                      COM   018490102     102,941     922,161  SH     DEFINED     09     922,161           0           0

ALLETE INC                        COM   018522300      12,249     249,881  SH     DEFINED     01      32,813     216,754         314
ALLETE INC                        COM   018522300          68       1,396  SH     OTHER       01         906         490           0
ALLETE INC                        COM   018522300      29,115     593,947  SH     DEFINED  01,08     205,029     388,918           0
ALLETE INC                        COM   018522300       4,608      94,011  SH     DEFINED     09      94,011           0           0

ALLIANCE DATA SYSTEMS CORP        COM   018581108       7,265      44,875  SH     DEFINED     01      35,586       8,956         333
ALLIANCE DATA SYSTEMS CORP        COM   018581108         493       3,045  SH     OTHER       01       2,596         449           0
ALLIANCE DATA SYSTEMS CORP        COM   018581108      69,996     432,366  SH     DEFINED  01,08      60,496     371,870           0
ALLIANCE DATA SYSTEMS CORP        COM   018581108      12,276      75,827  SH     DEFINED     09      75,827           0           0

ALLIANCE HEALTHCARE SRVCS IN      COM   018606301          39       4,974  SH     DEFINED     01         800       4,174           0
ALLIANCE HEALTHCARE SRVCS IN      COM   018606301         133      17,104  SH     DEFINED  01,08       5,346      11,758           0
ALLIANCE HEALTHCARE SRVCS IN      COM   018606301           0           1  SH     DEFINED     09           1           0           0

ALLIANCE FIBER OPTIC PRODS I      COM   018680306          16       1,206  SH     DEFINED     01          45       1,161           0
ALLIANCE FIBER OPTIC PRODS I      COM   018680306         158      12,094  SH     DEFINED  01,08       1,184      10,910           0

ALLIANCE RES PARTNER L P          COM   01877R108         697      10,947  SH     DEFINED     01      10,947           0           0

ALLIANCE ONE INTL INC             COM   018772103         481     123,691  SH     DEFINED     01      34,419      89,272           0
ALLIANCE ONE INTL INC             COM   018772103       3,646     937,277  SH     DEFINED  01,08      69,522     867,755           0
ALLIANCE ONE INTL INC             COM   018772103         905     232,572  SH     DEFINED     09     232,572           0           0

ALLIANT ENERGY CORP               COM   018802108       2,779      55,374  SH     DEFINED     01      45,809       9,127         438
ALLIANT ENERGY CORP               COM   018802108          10         200  SH     OTHER       01         100           0         100
ALLIANT ENERGY CORP               COM   018802108      46,879     934,226  SH     DEFINED  01,08     114,409     819,817           0
ALLIANT ENERGY CORP               COM   018802108       7,851     156,456  SH     DEFINED     09     156,456           0           0

ALLIANT TECHSYSTEMS INC        CONV DEB 018804AK0       3,722   3,430,000  PRN    DEFINED     01     430,000   3,000,000           0
ALLIANT TECHSYSTEMS INC        CONV DEB 018804AK0       3,255   3,000,000  PRN    DEFINED  01,08   3,000,000           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     25
  ________

ALLIANT TECHSYSTEMS INC           COM   018804104       1,714      23,663  SH     DEFINED     01       9,886      13,777           0
ALLIANT TECHSYSTEMS INC           COM   018804104           0           4  SH     OTHER       01           0           0           4
ALLIANT TECHSYSTEMS INC           COM   018804104      19,310     266,600  SH     DEFINED  01,08      22,582     244,018           0
ALLIANT TECHSYSTEMS INC           COM   018804104           0           1  SH     DEFINED     09           1           0           0

ALLIANCEBERNSTEIN INCOME FUN   UNDEFIND 01881E101           2      19,506         DEFINED     01         406           0      19,100

ALLIANCE BANCORP INC PA NEW       COM   01890A108          64       4,771  SH     DEFINED     01          70       4,701           0
ALLIANCE BANCORP INC PA NEW       COM   01890A108          77       5,755  SH     DEFINED  01,08       5,228         527           0

ALLIED HEALTHCARE PRODS INC       COM   019222108           8       2,903  SH     DEFINED     01           0       2,903           0
ALLIED HEALTHCARE PRODS INC       COM   019222108          25       9,485  SH     DEFINED  01,08       3,084       6,401           0

ALLIED MOTION TECHNOLOGIES I      COM   019330109          32       4,671  SH     DEFINED     01           0       4,671           0
ALLIED MOTION TECHNOLOGIES I      COM   019330109          68       9,920  SH     DEFINED  01,08       4,749       5,171           0

ALLIED NEVADA GOLD CORP           COM   019344100         492      29,877  SH     DEFINED     01      10,550      19,327           0
ALLIED NEVADA GOLD CORP           COM   019344100       6,005     364,833  SH     DEFINED  01,08      16,513     348,320           0
ALLIED NEVADA GOLD CORP           COM   019344100           0           1  SH     DEFINED     09           1           0           0

ALLISON TRANSMISSION HLDGS I      COM   01973R101         182       7,581  SH     DEFINED     01       4,263       3,318           0
ALLISON TRANSMISSION HLDGS I      COM   01973R101       2,709     112,838  SH     DEFINED  01,08       2,912     109,926           0

ALLSCRIPTS HEALTHCARE SOLUTN      COM   01988P108         668      49,138  SH     DEFINED     01      29,826      19,312           0
ALLSCRIPTS HEALTHCARE SOLUTN      COM   01988P108      17,407   1,280,881  SH     DEFINED  01,08      18,823   1,262,058           0
ALLSCRIPTS HEALTHCARE SOLUTN      COM   01988P108           0           1  SH     DEFINED     09           1           0           0

ALLSTATE CORP                     COM   020002101      57,987   1,181,717  SH     DEFINED     01     749,598     408,392      23,727
ALLSTATE CORP                     COM   020002101       7,110     144,898  SH     OTHER       01      63,882      71,133       9,883
ALLSTATE CORP                     COM   020002101     222,438   4,533,068  SH     DEFINED  01,08     847,999   3,622,073      62,996
ALLSTATE CORP                     COM   020002101      68,297   1,391,837  SH     DEFINED     09   1,391,837           0           0

ALMOST FAMILY INC                 COM   020409108         421      20,592  SH     DEFINED     01       2,579      18,013           0
ALMOST FAMILY INC                 COM   020409108       2,157     105,584  SH     DEFINED  01,08      16,909      88,675           0
ALMOST FAMILY INC                 COM   020409108         379      18,550  SH     DEFINED     09      18,550           0           0

ALNYLAM PHARMACEUTICALS INC       COM   02043Q107       1,256      51,552  SH     DEFINED     01       6,141      45,411           0
ALNYLAM PHARMACEUTICALS INC       COM   02043Q107      14,245     584,516  SH     DEFINED  01,08      24,092     560,424           0
ALNYLAM PHARMACEUTICALS INC       COM   02043Q107       3,378     138,604  SH     DEFINED     09     138,604           0           0

ALON USA ENERGY INC               COM   020520102       2,679     140,616  SH     DEFINED     01       2,255     138,361           0
ALON USA ENERGY INC               COM   020520102       4,714     247,474  SH     DEFINED  01,08     140,275     107,199           0
ALON USA ENERGY INC               COM   020520102           0           1  SH     DEFINED     09           1           0           0

ALPHA NATURAL RESOURCES INC       COM   02076X102         805      98,030  SH     DEFINED     01      64,131      32,688       1,211
ALPHA NATURAL RESOURCES INC       COM   02076X102          11       1,373  SH     OTHER       01       1,308           0          65
ALPHA NATURAL RESOURCES INC       COM   02076X102      13,935   1,697,370  SH     DEFINED  01,08      66,238   1,631,132           0
ALPHA NATURAL RESOURCES INC       COM   02076X102           0           3  SH     DEFINED     09           3           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     26
  ________

ALPHA PRO TECH LTD                COM   020772109          38      25,000  SH     DEFINED     01      25,000           0           0

ALPHATEC HOLDINGS INC             COM   02081G102          92      43,478  SH     DEFINED     01       6,165      37,313           0
ALPHATEC HOLDINGS INC             COM   02081G102       1,176     557,185  SH     DEFINED  01,08      21,246     535,939           0
ALPHATEC HOLDINGS INC             COM   02081G102         223     105,455  SH     DEFINED     09     105,455           0           0

ALTERA CORP                       COM   021441100      27,509     775,788  SH     DEFINED     01     496,020     262,585      17,183
ALTERA CORP                       COM   021441100       4,960     139,887  SH     OTHER       01      65,261      30,152      44,474
ALTERA CORP                       COM   021441100     103,810   2,927,514  SH     DEFINED  01,08     443,204   2,484,310           0
ALTERA CORP                       COM   021441100      32,779     924,382  SH     DEFINED     09     924,382           0           0

ALTEVA                            COM   02153V102          14       1,553  SH     DEFINED     01           0       1,553           0
ALTEVA                            COM   02153V102          96      10,432  SH     DEFINED  01,08       2,282       8,150           0

ALTRA HOLDINGS INC                COM   02208R106         905      33,251  SH     DEFINED     01       3,860      29,391           0
ALTRA HOLDINGS INC                COM   02208R106       8,125     298,507  SH     DEFINED  01,08      20,588     277,919           0
ALTRA HOLDINGS INC                COM   02208R106       1,633      60,003  SH     DEFINED     09      60,003           0           0

ALTRIA GROUP INC                  COM   02209S103     163,887   4,765,539  SH     DEFINED     01   3,204,272   1,406,458     154,809
ALTRIA GROUP INC                  COM   02209S103      22,647     658,537  SH     OTHER       01     492,913      98,415      67,209
ALTRIA GROUP INC                  COM   02209S103     585,553  17,026,831  SH     DEFINED  01,08   2,116,463  14,910,368           0
ALTRIA GROUP INC                  COM   02209S103     161,361   4,692,103  SH     DEFINED     09   4,692,103           0           0

AMARIN CORP PLC                   COM   023111206          12       1,575  SH     DEFINED     01       1,575           0           0
AMARIN CORP PLC                   COM   023111206          97      13,050  SH     OTHER       01      13,050           0           0

AMAZON COM INC                    COM   023135106     196,459     737,209  SH     DEFINED     01     456,571     270,236      10,402
AMAZON COM INC                    COM   023135106      22,394      84,032  SH     OTHER       01      65,338      13,744       4,950
AMAZON COM INC                    COM   023135106     875,829   3,286,536  SH     DEFINED  01,08     476,619   2,809,917           0
AMAZON COM INC                    COM   023135106     287,350   1,078,276  SH     DEFINED     09   1,078,276           0           0

AMBASSADORS GROUP INC             COM   023177108          57      13,237  SH     DEFINED     01         155      13,082           0
AMBASSADORS GROUP INC             COM   023177108         188      43,639  SH     DEFINED  01,08      12,029      31,610           0
AMBASSADORS GROUP INC             COM   023177108           0           1  SH     DEFINED     09           1           0           0

AMBIENT CORP                      COM   02318N201           3       1,421  SH     DEFINED     01           0       1,421           0
AMBIENT CORP                      COM   02318N201          54      22,044  SH     DEFINED  01,08         569      21,475           0

AMCOL INTL CORP                   COM   02341W103       1,403      46,468  SH     DEFINED     01       9,555      36,913           0
AMCOL INTL CORP                   COM   02341W103       8,747     289,735  SH     DEFINED  01,08      18,728     271,007           0
AMCOL INTL CORP                   COM   02341W103       1,955      64,740  SH     DEFINED     09      64,740           0           0

AMEDISYS INC                      COM   023436108       1,798     161,701  SH     DEFINED     01       9,229     152,472           0
AMEDISYS INC                      COM   023436108       4,923     442,723  SH     DEFINED  01,08     136,120     306,603           0
AMEDISYS INC                      COM   023436108         849      76,390  SH     DEFINED     09      76,390           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     27
  ________

AMERCO                            COM   023586100      14,426      83,129  SH     DEFINED     01       9,486      73,462         181
AMERCO                            COM   023586100          30         171  SH     OTHER       01           0         119          52
AMERCO                            COM   023586100      21,052     121,307  SH     DEFINED  01,08      35,241      86,066           0
AMERCO                            COM   023586100       3,524      20,309  SH     DEFINED     09      20,309           0           0

AMEREN CORP                       COM   023608102      10,925     311,977  SH     DEFINED     01     149,959     161,521         497
AMEREN CORP                       COM   023608102         285       8,128  SH     OTHER       01       7,667         276         185
AMEREN CORP                       COM   023608102      78,889   2,252,682  SH     DEFINED  01,08     339,199   1,913,483           0
AMEREN CORP                       COM   023608102      24,455     698,320  SH     DEFINED     09     698,320           0           0

AMERESCO INC                      COM   02361E108         100      13,470  SH     DEFINED     01       2,805      10,665           0
AMERESCO INC                      COM   02361E108       1,539     207,962  SH     DEFINED  01,08       4,746     203,216           0
AMERESCO INC                      COM   02361E108         385      52,037  SH     DEFINED     09      52,037           0           0

AMERICA MOVIL SAB DE CV           COM   02364W105       5,001     238,577  SH     DEFINED     01     219,042      19,290         245
AMERICA MOVIL SAB DE CV           COM   02364W105         534      25,492  SH     OTHER       01      14,630      10,862           0
AMERICA MOVIL SAB DE CV           COM   02364W105       4,211     200,883  SH     DEFINED  01,08      70,160     130,723           0

AMERICA MOVIL SAB DE CV           COM   02364W204         119       5,645  SH     DEFINED     01          45       5,600           0
AMERICA MOVIL SAB DE CV           COM   02364W204         122       5,780  SH     DEFINED  01,08       5,600         180           0

AMERICAN APPAREL INC              COM   023850100          36      16,499  SH     DEFINED     01           0      16,499           0
AMERICAN APPAREL INC              COM   023850100           1         400  SH     OTHER       01         400           0           0
AMERICAN APPAREL INC              COM   023850100         224     103,157  SH     DEFINED  01,08       8,621      94,536           0

AMERICAN ASSETS TR INC            COM   024013104       1,085      33,909  SH     DEFINED     01       4,775      29,134           0
AMERICAN ASSETS TR INC            COM   024013104      13,398     418,561  SH     DEFINED  01,08      86,555     332,006           0
AMERICAN ASSETS TR INC            COM   024013104       3,074      96,036  SH     DEFINED     09      96,036           0           0

AMERICAN AXLE & MFG HLDGS IN      COM   024061103         916      67,082  SH     DEFINED     01      11,262      55,820           0
AMERICAN AXLE & MFG HLDGS IN      COM   024061103       9,322     682,932  SH     DEFINED  01,08      30,279     652,653           0
AMERICAN AXLE & MFG HLDGS IN      COM   024061103       2,244     164,393  SH     DEFINED     09     164,393           0           0

AMERICAN CAMPUS CMNTYS INC        COM   024835100       1,039      22,915  SH     DEFINED     01      12,679      10,236           0
AMERICAN CAMPUS CMNTYS INC        COM   024835100      43,940     969,115  SH     DEFINED  01,08     206,436     762,679           0
AMERICAN CAMPUS CMNTYS INC        COM   024835100       1,690      37,269  SH     DEFINED     09      37,269           0           0

AMERICAN CAPITAL AGENCY CORP      COM   02503X105      12,778     389,799  SH     DEFINED     01     329,397      60,402           0
AMERICAN CAPITAL AGENCY CORP      COM   02503X105         518      15,793  SH     OTHER       01      15,793           0           0
AMERICAN CAPITAL AGENCY CORP      COM   02503X105      63,430   1,935,026  SH     DEFINED  01,08     474,317   1,460,709           0
AMERICAN CAPITAL AGENCY CORP      COM   02503X105      19,953     608,687  SH     DEFINED     09     608,687           0           0

AMERICAN CAP LTD                  COM   02503Y103         661      45,280  SH     DEFINED     01      44,104       1,176           0
AMERICAN CAP LTD                  COM   02503Y103      11,253     771,003  SH     DEFINED  01,08      35,436     735,567           0
AMERICAN CAP LTD                  COM   02503Y103           0           1  SH     DEFINED     09           1           0           0

AMERICAN CAP MTG INVT CORP        COM   02504A104       1,132      43,793  SH     DEFINED     01       3,099      40,694           0
AMERICAN CAP MTG INVT CORP        COM   02504A104      15,188     587,786  SH     DEFINED  01,08      18,106     569,680           0
AMERICAN CAP MTG INVT CORP        COM   02504A104       3,706     143,402  SH     DEFINED     09     143,402           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     28
  ________

AMERICAN DG ENERGY INC            COM   025398108          25      11,842  SH     DEFINED     01           0      11,842           0
AMERICAN DG ENERGY INC            COM   025398108         433     205,963  SH     DEFINED  01,08       4,065     201,898           0
AMERICAN DG ENERGY INC            COM   025398108         102      48,449  SH     DEFINED     09      48,449           0           0

AMERICAN EAGLE OUTFITTERS NE      COM   02553E106       1,090      58,284  SH     DEFINED     01      32,938      24,926         420
AMERICAN EAGLE OUTFITTERS NE      COM   02553E106          80       4,300  SH     OTHER       01         300       3,945          55
AMERICAN EAGLE OUTFITTERS NE      COM   02553E106      27,113   1,449,884  SH     DEFINED  01,08      24,838   1,425,046           0
AMERICAN EAGLE OUTFITTERS NE      COM   02553E106           0           2  SH     DEFINED     09           2           0           0

AMERICAN ELEC PWR INC             COM   025537101      29,393     604,426  SH     DEFINED     01     244,566     358,229       1,631
AMERICAN ELEC PWR INC             COM   025537101       1,546      31,791  SH     OTHER       01      28,452       1,306       2,033
AMERICAN ELEC PWR INC             COM   025537101     215,901   4,439,665  SH     DEFINED  01,08     626,851   3,812,814           0
AMERICAN ELEC PWR INC             COM   025537101      68,475   1,408,079  SH     DEFINED     09   1,408,079           0           0

AMERICAN EQTY INVT LIFE HLD       COM   025676206       7,343     493,182  SH     DEFINED     01      80,710     409,555       2,917
AMERICAN EQTY INVT LIFE HLD       COM   025676206          21       1,437  SH     OTHER       01       1,437           0           0
AMERICAN EQTY INVT LIFE HLD       COM   025676206      14,526     975,563  SH     DEFINED  01,08     374,457     601,106           0
AMERICAN EQTY INVT LIFE HLD       COM   025676206       2,309     155,104  SH     DEFINED     09     155,104           0           0

AMERICAN EXPRESS CO               COM   025816109     321,856   4,771,059  SH     DEFINED     01   3,795,849     864,603     110,607
AMERICAN EXPRESS CO               COM   025816109      62,704     929,500  SH     OTHER       01     688,495     194,087      46,918
AMERICAN EXPRESS CO               COM   025816109     594,411   8,811,315  SH     DEFINED  01,08   1,334,475   7,476,840           0
AMERICAN EXPRESS CO               COM   025816109     194,759   2,887,031  SH     DEFINED     09   2,887,031           0           0

AMERICAN FINL GROUP INC OHIO      COM   025932104         932      19,662  SH     DEFINED     01      14,860       4,652         150
AMERICAN FINL GROUP INC OHIO      COM   025932104           3          60  SH     OTHER       01           0           0          60
AMERICAN FINL GROUP INC OHIO      COM   025932104      26,278     554,628  SH     DEFINED  01,08       7,366     547,262           0
AMERICAN FINL GROUP INC OHIO      COM   025932104           0           1  SH     DEFINED     09           1           0           0

AMERICAN GREETINGS CORP           COM   026375105       6,031     374,595  SH     DEFINED     01      16,943     357,652           0
AMERICAN GREETINGS CORP           COM   026375105      10,990     682,630  SH     DEFINED  01,08     352,009     330,621           0
AMERICAN GREETINGS CORP           COM   026375105       1,382      85,852  SH     DEFINED     09      85,852           0           0

AMERICAN INTL GROUP INC           COM   026874784      68,970   1,776,652  SH     DEFINED     01     722,782   1,048,332       5,538
AMERICAN INTL GROUP INC           COM   026874784       2,368      61,011  SH     OTHER       01      33,531      27,323         157
AMERICAN INTL GROUP INC           COM   026874784     435,640  11,222,053  SH     DEFINED  01,08   1,909,089   9,312,964           0
AMERICAN INTL GROUP INC           COM   026874784     162,364   4,182,476  SH     DEFINED     09   4,182,476           0           0

AMERICAN NATL BANKSHARES INC      COM   027745108         218      10,131  SH     DEFINED     01       1,055       9,076           0
AMERICAN NATL BANKSHARES INC      COM   027745108       1,680      77,944  SH     DEFINED  01,08       6,993      70,951           0
AMERICAN NATL BANKSHARES INC      COM   027745108         336      15,582  SH     DEFINED     09      15,582           0           0

AMERICAN NATL INS CO              COM   028591105         245       2,815  SH     DEFINED     01       1,308       1,507           0
AMERICAN NATL INS CO              COM   028591105           0           5  SH     OTHER       01           0           0           5
AMERICAN NATL INS CO              COM   028591105       3,324      38,268  SH     DEFINED  01,08           0      38,268           0
AMERICAN NATL INS CO              COM   028591105           0           1  SH     DEFINED     09           1           0           0

AMERICAN PAC CORP                 COM   028740108         140       6,076  SH     DEFINED     01           0       6,076           0
AMERICAN PAC CORP                 COM   028740108         439      18,987  SH     DEFINED  01,08       4,827      14,160           0


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

AMERICAN PUBLIC EDUCATION IN      COM   02913V103         817      23,403  SH     DEFINED     01       5,326      18,077           0
AMERICAN PUBLIC EDUCATION IN      COM   02913V103       6,933     198,718  SH     DEFINED  01,08      12,165     186,553           0
AMERICAN PUBLIC EDUCATION IN      COM   02913V103       1,596      45,752  SH     DEFINED     09      45,752           0           0

AMERICAN RAILCAR INDS INC         COM   02916P103         645      13,795  SH     DEFINED     01       1,535      12,260           0
AMERICAN RAILCAR INDS INC         COM   02916P103         214       4,570  SH     OTHER       01           0       4,570           0
AMERICAN RAILCAR INDS INC         COM   02916P103       4,875     104,290  SH     DEFINED  01,08      10,872      93,418           0
AMERICAN RAILCAR INDS INC         COM   02916P103       1,162      24,853  SH     DEFINED     09      24,853           0           0

AMERICAN RLTY CAP PPTYS INC       COM   02917T104          29       2,000  SH     DEFINED     01       2,000           0           0
AMERICAN RLTY CAP PPTYS INC       COM   02917T104         336      22,897  SH     DEFINED  01,08           0      22,897           0

AMERICAN RLTY INVS INC            COM   029174109          18       4,347  SH     DEFINED     01           0       4,347           0
AMERICAN RLTY INVS INC            COM   029174109          49      11,891  SH     DEFINED  01,08       3,609       8,282           0

AMERICAN SCIENCE & ENGR INC       COM   029429107         808      13,241  SH     DEFINED     01       3,348       9,893           0
AMERICAN SCIENCE & ENGR INC       COM   029429107       5,639      92,450  SH     DEFINED  01,08       7,059      85,391           0
AMERICAN SCIENCE & ENGR INC       COM   029429107       1,201      19,691  SH     DEFINED     09      19,691           0           0

AMERICAN SOFTWARE INC             COM   029683109         860     103,327  SH     DEFINED     01       3,613      99,714           0
AMERICAN SOFTWARE INC             COM   029683109       2,430     292,040  SH     DEFINED  01,08      34,217     257,823           0
AMERICAN SOFTWARE INC             COM   029683109         486      58,399  SH     DEFINED     09      58,399           0           0

AMERICAN STS WTR CO               COM   029899101       1,675      29,100  SH     DEFINED     01       9,774      19,326           0
AMERICAN STS WTR CO               COM   029899101      11,896     206,635  SH     DEFINED  01,08      13,057     193,578           0
AMERICAN STS WTR CO               COM   029899101       2,772      48,155  SH     DEFINED     09      48,155           0           0

AMERICAN SUPERCONDUCTOR CORP      COM   030111108         125      46,875  SH     DEFINED     01       8,087      38,788           0
AMERICAN SUPERCONDUCTOR CORP      COM   030111108       1,359     508,939  SH     DEFINED  01,08     108,545     400,394           0
AMERICAN SUPERCONDUCTOR CORP      COM   030111108         285     106,674  SH     DEFINED     09     106,674           0           0

AMERICAN TOWER CORP NEW           COM   03027X100      64,090     833,204  SH     DEFINED     01     518,222     308,046       6,936
AMERICAN TOWER CORP NEW           COM   03027X100       2,789      36,257  SH     OTHER       01      18,318      17,477         462
AMERICAN TOWER CORP NEW           COM   03027X100     273,181   3,551,489  SH     DEFINED  01,08     520,305   3,031,184           0
AMERICAN TOWER CORP NEW           COM   03027X100      88,349   1,148,587  SH     DEFINED     09   1,148,587           0           0

AMERICAN VANGUARD CORP            COM   030371108       1,063      34,798  SH     DEFINED     01       7,699      27,099           0
AMERICAN VANGUARD CORP            COM   030371108       9,182     300,666  SH     DEFINED  01,08      17,947     282,719           0
AMERICAN VANGUARD CORP            COM   030371108       2,096      68,634  SH     DEFINED     09      68,634           0           0

AMERICAN WTR WKS CO INC NEW       COM   030420103      66,786   1,611,620  SH     DEFINED     01   1,514,370      70,300      26,950
AMERICAN WTR WKS CO INC NEW       COM   030420103      11,474     276,873  SH     OTHER       01     202,144      51,253      23,476
AMERICAN WTR WKS CO INC NEW       COM   030420103      54,106   1,305,651  SH     DEFINED  01,08     614,303     691,348           0
AMERICAN WTR WKS CO INC NEW       COM   030420103       9,930     239,628  SH     DEFINED     09     239,628           0           0

AMERICAN WOODMARK CORP            COM   030506109         610      17,924  SH     DEFINED     01       1,760      16,164           0
AMERICAN WOODMARK CORP            COM   030506109       3,779     111,048  SH     DEFINED  01,08      13,441      97,607           0
AMERICAN WOODMARK CORP            COM   030506109         741      21,785  SH     DEFINED     09      21,785           0           0


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

AMERICAS CAR MART INC             COM   03062T105         771      16,504  SH     DEFINED     01       5,357      11,147           0
AMERICAS CAR MART INC             COM   03062T105       4,505      96,391  SH     DEFINED  01,08      10,169      86,222           0
AMERICAS CAR MART INC             COM   03062T105         921      19,708  SH     DEFINED     09      19,708           0           0

AMERISTAR CASINOS INC             COM   03070Q101       1,099      41,893  SH     DEFINED     01       2,350      39,543           0
AMERISTAR CASINOS INC             COM   03070Q101       9,607     366,259  SH     DEFINED  01,08      29,299     336,960           0
AMERISTAR CASINOS INC             COM   03070Q101       2,087      79,563  SH     DEFINED     09      79,563           0           0

AMERISAFE INC                     COM   03071H100       4,053     114,052  SH     DEFINED     01      26,305      87,104         643
AMERISAFE INC                     COM   03071H100          50       1,396  SH     OTHER       01       1,396           0           0
AMERISAFE INC                     COM   03071H100       9,545     268,582  SH     DEFINED  01,08      82,511     186,071           0
AMERISAFE INC                     COM   03071H100       1,537      43,261  SH     DEFINED     09      43,261           0           0

AMERISOURCEBERGEN CORP            COM   03073E105      42,274     821,652  SH     DEFINED     01     628,695     186,554       6,403
AMERISOURCEBERGEN CORP            COM   03073E105       2,651      51,534  SH     OTHER       01      22,627      25,802       3,105
AMERISOURCEBERGEN CORP            COM   03073E105     108,443   2,107,734  SH     DEFINED  01,08     313,206   1,794,528           0
AMERISOURCEBERGEN CORP            COM   03073E105      36,933     717,836  SH     DEFINED     09     717,836           0           0

AMERISERV FINL INC                COM   03074A102          29       9,338  SH     DEFINED     01           0       9,338           0
AMERISERV FINL INC                COM   03074A102          86      27,539  SH     DEFINED  01,08       8,263      19,276           0

AMERIPRISE FINL INC               COM   03076C106      26,554     360,545  SH     DEFINED     01     233,528     124,191       2,826
AMERIPRISE FINL INC               COM   03076C106       3,495      47,448  SH     OTHER       01      32,921       5,795       8,732
AMERIPRISE FINL INC               COM   03076C106     134,869   1,831,211  SH     DEFINED  01,08     266,809   1,564,402           0
AMERIPRISE FINL INC               COM   03076C106      43,261     587,393  SH     DEFINED     09     587,393           0           0

AMERIS BANCORP                    COM   03076K108         339      23,633  SH     DEFINED     01       2,971      20,662           0
AMERIS BANCORP                    COM   03076K108       3,510     244,596  SH     DEFINED  01,08       8,995     235,601           0
AMERIS BANCORP                    COM   03076K108         881      61,422  SH     DEFINED     09      61,422           0           0

AMERIGAS PARTNERS L P             COM   030975106       1,032      22,966  SH     DEFINED     01      22,966           0           0
AMERIGAS PARTNERS L P             COM   030975106         267       5,947  SH     OTHER       01       5,947           0           0

AMES NATL CORP                    COM   031001100         178       8,555  SH     DEFINED     01         862       7,693           0
AMES NATL CORP                    COM   031001100       1,666      79,843  SH     DEFINED  01,08       5,863      73,980           0
AMES NATL CORP                    COM   031001100         450      21,550  SH     DEFINED     09      21,550           0           0

AMETEK INC NEW                    COM   031100100       6,539     150,802  SH     DEFINED     01     109,130      40,704         968
AMETEK INC NEW                    COM   031100100         310       7,152  SH     OTHER       01       7,045           0         107
AMETEK INC NEW                    COM   031100100      89,330   2,060,194  SH     DEFINED  01,08     283,834   1,776,360           0
AMETEK INC NEW                    COM   031100100      15,635     360,594  SH     DEFINED     09     360,594           0           0

AMGEN INC                         COM   031162100     235,371   2,296,074  SH     DEFINED     01   1,708,063     562,772      25,239
AMGEN INC                         COM   031162100      26,757     261,020  SH     OTHER       01     201,723      33,888      25,409
AMGEN INC                         COM   031162100     703,771   6,865,393  SH     DEFINED  01,08   1,035,118   5,830,275           0
AMGEN INC                         COM   031162100     230,851   2,251,983  SH     DEFINED     09   2,251,983           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     31
  ________

AMICUS THERAPEUTICS INC           COM   03152W109          75      23,762  SH     DEFINED     01           0      23,762           0
AMICUS THERAPEUTICS INC           COM   03152W109       1,036     326,951  SH     DEFINED  01,08      14,262     312,689           0
AMICUS THERAPEUTICS INC           COM   03152W109         236      74,322  SH     DEFINED     09      74,322           0           0

AMKOR TECHNOLOGY INC              COM   031652100       1,262     315,604  SH     DEFINED     01       6,035     309,569           0
AMKOR TECHNOLOGY INC              COM   031652100       4,204   1,051,101  SH     DEFINED  01,08     302,352     748,749           0
AMKOR TECHNOLOGY INC              COM   031652100         690     172,563  SH     DEFINED     09     172,563           0           0

AMPCO-PITTSBURGH CORP             COM   032037103         210      11,129  SH     DEFINED     01       1,367       9,762           0
AMPCO-PITTSBURGH CORP             COM   032037103       1,664      87,995  SH     DEFINED  01,08       7,774      80,221           0
AMPCO-PITTSBURGH CORP             COM   032037103         462      24,443  SH     DEFINED     09      24,443           0           0

AMPIO PHARMACEUTICALS INC         COM   03209T109          73      16,038  SH     DEFINED     01       2,610      13,428           0
AMPIO PHARMACEUTICALS INC         COM   03209T109       1,145     250,636  SH     DEFINED  01,08       3,972     246,664           0
AMPIO PHARMACEUTICALS INC         COM   03209T109         239      52,344  SH     DEFINED     09      52,344           0           0

AMPHENOL CORP NEW                 COM   032095101      17,620     236,034  SH     DEFINED     01     105,766     129,568         700
AMPHENOL CORP NEW                 COM   032095101         568       7,615  SH     OTHER       01       3,118       4,482          15
AMPHENOL CORP NEW                 COM   032095101     105,274   1,410,233  SH     DEFINED  01,08     193,207   1,217,026           0
AMPHENOL CORP NEW                 COM   032095101      34,110     456,939  SH     DEFINED     09     456,939           0           0

AMREP CORP NEW                    COM   032159105          99       8,846  SH     DEFINED     01           0       8,846           0
AMREP CORP NEW                    COM   032159105         151      13,516  SH     DEFINED  01,08       9,312       4,204           0

AMREIT INC NEW                    COM   03216B208          30       1,531  SH     DEFINED     01          10       1,521           0
AMREIT INC NEW                    COM   03216B208         297      15,251  SH     DEFINED  01,08         648      14,603           0
AMREIT INC NEW                    COM   03216B208         182       9,364  SH     DEFINED     09       9,364           0           0

AMSURG CORP                       COM   03232P405       6,293     187,066  SH     DEFINED     01      12,339     174,727           0
AMSURG CORP                       COM   03232P405      16,825     500,155  SH     DEFINED  01,08     171,482     328,673           0
AMSURG CORP                       COM   03232P405       2,717      80,771  SH     DEFINED     09      80,771           0           0

AMTECH SYS INC                    COM   032332504          10       2,693  SH     DEFINED     01         160       2,533           0
AMTECH SYS INC                    COM   032332504          79      21,798  SH     DEFINED  01,08       2,661      19,137           0

AMTRUST FINANCIAL SERVICES I      COM   032359309       1,327      38,308  SH     DEFINED     01       6,686      31,622           0
AMTRUST FINANCIAL SERVICES I      COM   032359309      10,234     295,358  SH     DEFINED  01,08      27,549     267,809           0
AMTRUST FINANCIAL SERVICES I      COM   032359309       2,352      67,875  SH     DEFINED     09      67,875           0           0

AMYRIS INC                        COM   03236M101          53      17,211  SH     DEFINED     01       2,467      14,744           0
AMYRIS INC                        COM   03236M101         963     312,612  SH     DEFINED  01,08       5,017     307,595           0
AMYRIS INC                        COM   03236M101         243      78,936  SH     DEFINED     09      78,936           0           0

ANACOR PHARMACEUTICALS INC        COM   032420101          58       8,983  SH     DEFINED     01          30       8,953           0
ANACOR PHARMACEUTICALS INC        COM   032420101       1,114     172,411  SH     DEFINED  01,08       2,208     170,203           0
ANACOR PHARMACEUTICALS INC        COM   032420101         226      34,978  SH     DEFINED     09      34,978           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     32
  ________

ANADARKO PETE CORP                COM   032511107      58,548     669,502  SH     DEFINED     01     333,988     333,694       1,820
ANADARKO PETE CORP                COM   032511107       2,042      23,355  SH     OTHER       01      18,759       3,796         800
ANADARKO PETE CORP                COM   032511107     405,052   4,631,813  SH     DEFINED  01,08     839,018   3,792,795           0
ANADARKO PETE CORP                COM   032511107     131,593   1,504,777  SH     DEFINED     09   1,504,777           0           0

ANADIGICS INC                     COM   032515108         130      64,958  SH     DEFINED     01       1,600      63,358           0
ANADIGICS INC                     COM   032515108       1,475     739,491  SH     DEFINED  01,08      29,704     709,787           0
ANADIGICS INC                     COM   032515108         417     209,238  SH     DEFINED     09     209,238           0           0

ANALOG DEVICES INC                COM   032654105      69,916   1,503,888  SH     DEFINED     01   1,263,127     219,432      21,329
ANALOG DEVICES INC                COM   032654105       5,689     122,380  SH     OTHER       01      90,112      22,780       9,488
ANALOG DEVICES INC                COM   032654105     127,020   2,732,192  SH     DEFINED  01,08     376,164   2,356,028           0
ANALOG DEVICES INC                COM   032654105      41,454     891,675  SH     DEFINED     09     891,675           0           0

ANALOGIC CORP                     COM   032657207       1,583      20,036  SH     DEFINED     01       4,934      15,102           0
ANALOGIC CORP                     COM   032657207      11,012     139,358  SH     DEFINED  01,08      10,812     128,546           0
ANALOGIC CORP                     COM   032657207       2,407      30,455  SH     DEFINED     09      30,455           0           0

ANAREN INC                        COM   032744104         423      21,840  SH     DEFINED     01       1,438      20,402           0
ANAREN INC                        COM   032744104       3,071     158,381  SH     DEFINED  01,08      16,676     141,705           0
ANAREN INC                        COM   032744104         659      33,995  SH     DEFINED     09      33,995           0           0

ANDERSONS INC                     COM   034164103       5,614     104,903  SH     DEFINED     01       6,621      98,282           0
ANDERSONS INC                     COM   034164103         288       5,380  SH     OTHER       01       4,200       1,180           0
ANDERSONS INC                     COM   034164103      15,248     284,909  SH     DEFINED  01,08      96,588     188,321           0
ANDERSONS INC                     COM   034164103       2,393      44,705  SH     DEFINED     09      44,705           0           0

ANGIODYNAMICS INC                 COM   03475V101       2,376     207,847  SH     DEFINED     01       4,105     203,742           0
ANGIODYNAMICS INC                 COM   03475V101       5,198     454,748  SH     DEFINED  01,08     189,454     265,294           0
ANGIODYNAMICS INC                 COM   03475V101         632      55,309  SH     DEFINED     09      55,309           0           0

ANGIES LIST INC                   COM   034754101         548      27,752  SH     DEFINED     01       3,796      23,956           0
ANGIES LIST INC                   COM   034754101       7,192     363,975  SH     DEFINED  01,08       6,571     357,404           0
ANGIES LIST INC                   COM   034754101       1,848      93,532  SH     DEFINED     09      93,532           0           0

ANGLOGOLD ASHANTI HLDGS FIN    CONV PFD 03512Q206         309      10,850         DEFINED     09      10,850           0           0

ANGLOGOLD ASHANTI LTD             COM   035128206          92       3,919  SH     DEFINED     01         760       3,159           0
ANGLOGOLD ASHANTI LTD             COM   035128206         138       5,873  SH     OTHER       01           0       5,873           0
ANGLOGOLD ASHANTI LTD             COM   035128206          42       1,790  SH     DEFINED  01,08           0       1,790           0
ANGLOGOLD ASHANTI LTD             COM   035128206         507      21,530  SH     DEFINED     09      21,530           0           0

ANHEUSER BUSCH INBEV SA/NV        COM   03524A108      22,437     225,381  SH     DEFINED     01     211,463      13,442         476
ANHEUSER BUSCH INBEV SA/NV        COM   03524A108       1,584      15,916  SH     OTHER       01       9,835       5,158         923
ANHEUSER BUSCH INBEV SA/NV        COM   03524A108       3,793      38,100  SH     DEFINED  01,08           0      38,100           0

ANIKA THERAPEUTICS INC            COM   035255108         283      19,475  SH     DEFINED     01         205      19,270           0
ANIKA THERAPEUTICS INC            COM   035255108       1,929     132,850  SH     DEFINED  01,08      16,311     116,539           0
ANIKA THERAPEUTICS INC            COM   035255108         415      28,611  SH     DEFINED     09      28,611           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     33
  ________

ANIXTER INTL INC                  COM   035290105       2,112      30,211  SH     DEFINED     01      11,165      19,046           0
ANIXTER INTL INC                  COM   035290105      20,203     288,944  SH     DEFINED  01,08       6,767     282,177           0
ANIXTER INTL INC                  COM   035290105       4,929      70,493  SH     DEFINED     09      70,493           0           0

ANN INC                           COM   035623107       2,000      68,933  SH     DEFINED     01       9,125      59,808           0
ANN INC                           COM   035623107           1          27  SH     OTHER       01          27           0           0
ANN INC                           COM   035623107      20,681     712,631  SH     DEFINED  01,08      42,793     669,838           0
ANN INC                           COM   035623107       3,603     124,155  SH     DEFINED     09     124,155           0           0

ANNALY CAP MGMT INC               COM   035710409       6,502     409,160  SH     DEFINED     01     236,913     172,247           0
ANNALY CAP MGMT INC               COM   035710409         169      10,620  SH     OTHER       01      10,289         175         156
ANNALY CAP MGMT INC               COM   035710409      79,158   4,981,612  SH     DEFINED  01,08   1,118,785   3,862,827           0
ANNALY CAP MGMT INC               COM   035710409      23,535   1,481,095  SH     DEFINED     09   1,481,095           0           0

ANNIES INC                        COM   03600T104         124       3,248  SH     DEFINED     01         575       2,673           0
ANNIES INC                        COM   03600T104       2,324      60,735  SH     DEFINED  01,08       1,069      59,666           0
ANNIES INC                        COM   03600T104         466      12,171  SH     DEFINED     09      12,171           0           0

ANSYS INC                         COM   03662Q105      10,396     127,681  SH     DEFINED     01     107,186      18,756       1,739
ANSYS INC                         COM   03662Q105       1,044      12,824  SH     OTHER       01       6,380       6,309         135
ANSYS INC                         COM   03662Q105      64,083     787,069  SH     DEFINED  01,08      97,812     689,257           0
ANSYS INC                         COM   03662Q105      10,621     130,441  SH     DEFINED     09     130,441           0           0

ANTARES PHARMA INC                COM   036642106         207      57,953  SH     DEFINED     01         315      57,638           0
ANTARES PHARMA INC                COM   036642106       4,157   1,161,281  SH     DEFINED  01,08      22,883   1,138,398           0
ANTARES PHARMA INC                COM   036642106         952     266,007  SH     DEFINED     09     266,007           0           0

ANTHERA PHARMACEUTICALS INC       COM   03674U102          69     105,060  SH     DEFINED  01,08           0     105,060           0

ANWORTH MORTGAGE ASSET CP         COM   037347101       5,981     944,853  SH     DEFINED     01      10,784     934,069           0
ANWORTH MORTGAGE ASSET CP         COM   037347101      14,506   2,291,650  SH     DEFINED  01,08     903,205   1,388,445           0
ANWORTH MORTGAGE ASSET CP         COM   037347101       2,149     339,507  SH     DEFINED     09     339,507           0           0

APACHE CORP                       COM   037411105      83,523   1,082,469  SH     DEFINED     01     702,121     351,975      28,373
APACHE CORP                       COM   037411105      13,984     181,233  SH     OTHER       01     118,143      42,926      20,164
APACHE CORP                       COM   037411105     283,901   3,679,378  SH     DEFINED  01,08     732,509   2,946,869           0
APACHE CORP                       COM   037411105      90,617   1,174,400  SH     DEFINED     09   1,174,400           0           0

APACHE CORP                    CONV PFD 037411808       3,407      76,500         DEFINED     01       8,500      68,000           0
APACHE CORP                    CONV PFD 037411808       3,029      68,000         DEFINED  01,08      68,000           0           0

APARTMENT INVT & MGMT CO          COM   03748R101      13,992     456,355  SH     DEFINED     01     351,319     104,846         190
APARTMENT INVT & MGMT CO          COM   03748R101         526      17,152  SH     OTHER       01      16,814         258          80
APARTMENT INVT & MGMT CO          COM   03748R101      43,443   1,416,938  SH     DEFINED  01,08     315,336   1,101,602           0
APARTMENT INVT & MGMT CO          COM   03748R101       7,954     259,415  SH     DEFINED     09     259,415           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     34
  ________

APOGEE ENTERPRISES INC            COM   037598109       7,490     258,733  SH     DEFINED     01      23,126     235,607           0
APOGEE ENTERPRISES INC            COM   037598109           1          20  SH     OTHER       01           0          20           0
APOGEE ENTERPRISES INC            COM   037598109      15,133     522,730  SH     DEFINED  01,08     233,551     289,179           0
APOGEE ENTERPRISES INC            COM   037598109       2,052      70,890  SH     DEFINED     09      70,890           0           0

APOLLO GROUP INC                  COM   037604105       2,011     115,705  SH     DEFINED     01      54,031      61,549         125
APOLLO GROUP INC                  COM   037604105         137       7,908  SH     OTHER       01         745       7,163           0
APOLLO GROUP INC                  COM   037604105      13,442     773,417  SH     DEFINED  01,08      33,221     740,196           0
APOLLO GROUP INC                  COM   037604105       2,788     160,387  SH     DEFINED     09     160,387           0           0

APOLLO INVT CORP                  COM   03761U106       7,683     918,988  SH     DEFINED     01      70,998     847,990           0
APOLLO INVT CORP                  COM   03761U106      26,970   3,226,069  SH     DEFINED  01,08     850,526   2,375,543           0
APOLLO INVT CORP                  COM   03761U106       4,252     508,643  SH     DEFINED     09     508,643           0           0

APOLLO COML REAL EST FIN INC      COM   03762U105         442      25,148  SH     DEFINED     01       4,797      20,351           0
APOLLO COML REAL EST FIN INC      COM   03762U105       4,843     275,334  SH     DEFINED  01,08      24,689     250,645           0
APOLLO COML REAL EST FIN INC      COM   03762U105       1,335      75,921  SH     DEFINED     09      75,921           0           0

APOLLO RESIDENTIAL MTG INC        COM   03763V102         445      19,943  SH     DEFINED     01       3,894      16,049           0
APOLLO RESIDENTIAL MTG INC        COM   03763V102       5,724     256,775  SH     DEFINED  01,08      11,076     245,699           0
APOLLO RESIDENTIAL MTG INC        COM   03763V102       1,688      75,708  SH     DEFINED     09      75,708           0           0

APPLE INC                         COM   037833100   1,002,238   2,264,126  SH     DEFINED     01   1,497,719     718,396      48,011
APPLE INC                         COM   037833100     125,621     283,786  SH     OTHER       01     217,575      39,324      26,887
APPLE INC                         COM   037833100   3,763,580   8,502,191  SH     DEFINED  01,08   1,274,933   7,227,069         189
APPLE INC                         COM   037833100   1,238,834   2,798,612  SH     DEFINED     09   2,798,612           0           0

APPLIED INDL TECHNOLOGIES IN      COM   03820C105       2,839      63,082  SH     DEFINED     01      16,553      46,529           0
APPLIED INDL TECHNOLOGIES IN      COM   03820C105      21,546     478,793  SH     DEFINED  01,08      33,683     445,110           0
APPLIED INDL TECHNOLOGIES IN      COM   03820C105       4,404      97,869  SH     DEFINED     09      97,869           0           0

APPLIED MICRO CIRCUITS CORP       COM   03822W406         461      62,192  SH     DEFINED     01      10,266      51,926           0
APPLIED MICRO CIRCUITS CORP       COM   03822W406       5,072     683,550  SH     DEFINED  01,08      32,801     650,749           0
APPLIED MICRO CIRCUITS CORP       COM   03822W406       1,341     180,689  SH     DEFINED     09     180,689           0           0

APPLIED MATLS INC                 COM   038222105      25,393   1,883,717  SH     DEFINED     01   1,047,570     825,799      10,348
APPLIED MATLS INC                 COM   038222105       3,326     246,767  SH     OTHER       01      97,110     147,901       1,756
APPLIED MATLS INC                 COM   038222105     154,582  11,467,512  SH     DEFINED  01,08   2,093,020   9,348,184      26,308
APPLIED MATLS INC                 COM   038222105      50,196   3,723,708  SH     DEFINED     09   3,723,708           0           0

APRICUS BIOSCIENCES INC           COM   03832V109         113      42,042  SH     DEFINED  01,08           0      42,042           0

APTARGROUP INC                    COM   038336103       5,117      89,224  SH     DEFINED     01      80,007       8,296         921
APTARGROUP INC                    COM   038336103         960      16,748  SH     OTHER       01       1,016         767      14,965
APTARGROUP INC                    COM   038336103      28,086     489,730  SH     DEFINED  01,08       6,584     483,146           0
APTARGROUP INC                    COM   038336103           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     35
  ________

APPROACH RESOURCES INC            COM   03834A103       1,521      61,788  SH     DEFINED     01      12,022      49,766           0
APPROACH RESOURCES INC            COM   03834A103       9,420     382,762  SH     DEFINED  01,08      38,562     344,200           0
APPROACH RESOURCES INC            COM   03834A103       2,070      84,131  SH     DEFINED     09      84,131           0           0

AQUA AMERICA INC                  COM   03836W103       1,580      50,243  SH     DEFINED     01      33,600      16,380         263
AQUA AMERICA INC                  COM   03836W103         458      14,572  SH     OTHER       01      14,572           0           0
AQUA AMERICA INC                  COM   03836W103      41,928   1,333,584  SH     DEFINED  01,08     324,357   1,009,227           0
AQUA AMERICA INC                  COM   03836W103           0           1  SH     DEFINED     09           1           0           0

ARABIAN AMERN DEV CO              COM   038465100         135      15,998  SH     DEFINED     01           0      15,998           0
ARABIAN AMERN DEV CO              COM   038465100       1,652     195,935  SH     DEFINED  01,08       8,499     187,436           0
ARABIAN AMERN DEV CO              COM   038465100         397      47,107  SH     DEFINED     09      47,107           0           0

ARBITRON INC                      COM   03875Q108       2,418      51,598  SH     DEFINED     01       9,277      42,321           0
ARBITRON INC                      COM   03875Q108      14,529     309,977  SH     DEFINED  01,08      33,780     276,197           0
ARBITRON INC                      COM   03875Q108       3,149      67,188  SH     DEFINED     09      67,188           0           0

ARBOR RLTY TR INC                 COM   038923108          58       7,433  SH     DEFINED     01           0       7,433           0
ARBOR RLTY TR INC                 COM   038923108         413      52,718  SH     DEFINED  01,08       5,363      47,355           0

ARCELORMITTAL SA LUXEMBOURG       COM   03938L104       1,801     138,194  SH     DEFINED     01     129,916       8,145         133
ARCELORMITTAL SA LUXEMBOURG       COM   03938L104         343      26,300  SH     OTHER       01      18,329       4,811       3,160
ARCELORMITTAL SA LUXEMBOURG       COM   03938L104         567      43,518  SH     DEFINED  01,08           0      43,518           0

ARCH COAL INC                     COM   039380100       1,531     282,005  SH     DEFINED     01      48,287     233,718           0
ARCH COAL INC                     COM   039380100          27       4,920  SH     OTHER       01       4,920           0           0
ARCH COAL INC                     COM   039380100      16,314   3,004,475  SH     DEFINED  01,08     175,178   2,829,297           0
ARCH COAL INC                     COM   039380100       2,936     540,748  SH     DEFINED     09     540,748           0           0

ARCHER DANIELS MIDLAND CO         COM   039483102      29,761     882,321  SH     DEFINED     01     425,067     452,693       4,561
ARCHER DANIELS MIDLAND CO         COM   039483102         980      29,064  SH     OTHER       01      18,838       5,748       4,478
ARCHER DANIELS MIDLAND CO         COM   039483102     257,631   7,638,048  SH     DEFINED  01,08   2,646,323   4,991,725           0
ARCHER DANIELS MIDLAND CO         COM   039483102      69,489   2,060,168  SH     DEFINED     09   2,060,168           0           0

ARCTIC CAT INC                    COM   039670104         873      19,968  SH     DEFINED     01       3,539      16,429           0
ARCTIC CAT INC                    COM   039670104       6,348     145,259  SH     DEFINED  01,08      11,668     133,591           0
ARCTIC CAT INC                    COM   039670104       1,326      30,345  SH     DEFINED     09      30,345           0           0

ARDEN GROUP INC                   COM   039762109         355       3,513  SH     DEFINED     01         114       3,399           0
ARDEN GROUP INC                   COM   039762109       1,538      15,217  SH     DEFINED  01,08       2,760      12,457           0
ARDEN GROUP INC                   COM   039762109         257       2,546  SH     DEFINED     09       2,546           0           0

ARENA PHARMACEUTICALS INC         COM   040047102       1,649     200,857  SH     DEFINED     01      25,725     175,132           0
ARENA PHARMACEUTICALS INC         COM   040047102      18,846   2,295,473  SH     DEFINED  01,08      91,160   2,204,313           0
ARENA PHARMACEUTICALS INC         COM   040047102       4,403     536,329  SH     DEFINED     09     536,329           0           0

ARGAN INC                         COM   04010E109         178      11,970  SH     DEFINED     01          80      11,890           0
ARGAN INC                         COM   04010E109       1,546     103,676  SH     DEFINED  01,08       8,270      95,406           0
ARGAN INC                         COM   04010E109         397      26,594  SH     DEFINED     09      26,594           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     36
  ________

ARES CAP CORP                     COM   04010L103       4,464     246,608  SH     DEFINED     01      84,366     158,565       3,677
ARES CAP CORP                     COM   04010L103          44       2,458  SH     OTHER       01       2,298           0         160
ARES CAP CORP                     COM   04010L103      15,363     848,809  SH     DEFINED  01,08     143,795     705,014           0
ARES CAP CORP                     COM   04010L103           0           1  SH     DEFINED     09           1           0           0

ARES COML REAL ESTATE CORP        COM   04013V108         146       8,602  SH     DEFINED     01          20       8,582           0
ARES COML REAL ESTATE CORP        COM   04013V108       1,465      86,607  SH     DEFINED  01,08       5,251      81,356           0
ARES COML REAL ESTATE CORP        COM   04013V108         320      18,900  SH     DEFINED     09      18,900           0           0

ARIAD PHARMACEUTICALS INC         COM   04033A100       1,605      88,784  SH     DEFINED     01      39,396      49,388           0
ARIAD PHARMACEUTICALS INC         COM   04033A100           1          60  SH     OTHER       01           0           0          60
ARIAD PHARMACEUTICALS INC         COM   04033A100      13,142     726,895  SH     DEFINED  01,08      42,343     684,552           0
ARIAD PHARMACEUTICALS INC         COM   04033A100           0           1  SH     DEFINED     09           1           0           0

ARKANSAS BEST CORP DEL            COM   040790107         361      30,925  SH     DEFINED     01      10,502      20,423           0
ARKANSAS BEST CORP DEL            COM   040790107       4,131     353,663  SH     DEFINED  01,08      11,548     342,115           0
ARKANSAS BEST CORP DEL            COM   040790107         794      68,017  SH     DEFINED     09      68,017           0           0

ARLINGTON ASSET INVT CORP         COM   041356205         679      26,323  SH     DEFINED     01       1,572      24,751           0
ARLINGTON ASSET INVT CORP         COM   041356205       3,468     134,366  SH     DEFINED  01,08      21,163     113,203           0
ARLINGTON ASSET INVT CORP         COM   041356205         847      32,817  SH     DEFINED     09      32,817           0           0

ARM HLDGS PLC                     COM   042068106      32,657     770,747  SH     DEFINED     01     706,857      59,393       4,497
ARM HLDGS PLC                     COM   042068106       1,847      43,592  SH     OTHER       01      31,568      10,466       1,558
ARM HLDGS PLC                     COM   042068106       3,777      89,134  SH     DEFINED  01,08      67,330      21,804           0

ARMOUR RESIDENTIAL REIT INC       COM   042315101       5,417     829,489  SH     DEFINED     01      31,708     797,781           0
ARMOUR RESIDENTIAL REIT INC       COM   042315101      28,426   4,353,152  SH     DEFINED  01,08     684,473   3,668,679           0
ARMOUR RESIDENTIAL REIT INC       COM   042315101       6,007     919,854  SH     DEFINED     09     919,854           0           0

ARMSTRONG WORLD INDS INC NEW      COM   04247X102         287       5,127  SH     DEFINED     01       2,514       2,613           0
ARMSTRONG WORLD INDS INC NEW      COM   04247X102       4,784      85,601  SH     DEFINED  01,08       2,096      83,505           0
ARMSTRONG WORLD INDS INC NEW      COM   04247X102           0           1  SH     DEFINED     09           1           0           0

AROTECH CORP                      COM   042682203           1         700  SH     DEFINED     01           0         700           0
AROTECH CORP                      COM   042682203          25      21,708  SH     DEFINED  01,08         593      21,115           0

ARQULE INC                        COM   04269E107         175      67,726  SH     DEFINED     01      20,791      46,935           0
ARQULE INC                        COM   04269E107       1,607     620,408  SH     DEFINED  01,08      22,401     598,007           0
ARQULE INC                        COM   04269E107         373     143,899  SH     DEFINED     09     143,899           0           0

ARRIS GROUP INC                   COM   04269Q100       8,368     487,365  SH     DEFINED     01      47,441     439,662         262
ARRIS GROUP INC                   COM   04269Q100      17,208   1,002,215  SH     DEFINED  01,08           0   1,002,215           0

ARRAY BIOPHARMA INC               COM   04269X105         449      91,446  SH     DEFINED     01      12,362      79,084           0
ARRAY BIOPHARMA INC               COM   04269X105       5,849   1,191,212  SH     DEFINED  01,08      36,673   1,154,539           0
ARRAY BIOPHARMA INC               COM   04269X105       1,431     291,481  SH     DEFINED     09     291,481           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     37
  ________

ARROW ELECTRS INC                 COM   042735100       1,277      31,441  SH     DEFINED     01      19,942      11,499           0
ARROW ELECTRS INC                 COM   042735100           2          55  SH     OTHER       01          55           0           0
ARROW ELECTRS INC                 COM   042735100      36,190     890,952  SH     DEFINED  01,08     117,691     773,261           0
ARROW ELECTRS INC                 COM   042735100       6,116     150,562  SH     DEFINED     09     150,562           0           0

ARROW FINL CORP                   COM   042744102         432      17,539  SH     DEFINED     01       1,901      15,638           0
ARROW FINL CORP                   COM   042744102       3,046     123,613  SH     DEFINED  01,08      12,519     111,094           0
ARROW FINL CORP                   COM   042744102         651      26,420  SH     DEFINED     09      26,420           0           0

ARTESIAN RESOURCES CORP           COM   043113208         314      13,976  SH     DEFINED     01       1,305      12,671           0
ARTESIAN RESOURCES CORP           COM   043113208       1,834      81,642  SH     DEFINED  01,08       9,929      71,713           0
ARTESIAN RESOURCES CORP           COM   043113208         375      16,696  SH     DEFINED     09      16,696           0           0

ARTHROCARE CORP                   COM   043136100       1,095      31,516  SH     DEFINED     01       1,076      30,440           0
ARTHROCARE CORP                   COM   043136100      10,833     311,664  SH     DEFINED  01,08      22,104     289,560           0
ARTHROCARE CORP                   COM   043136100       2,360      67,891  SH     DEFINED     09      67,891           0           0

ARTIO GLOBAL INVS INC             COM   04315B107          61      22,398  SH     DEFINED     01       1,366      21,032           0
ARTIO GLOBAL INVS INC             COM   04315B107         907     333,418  SH     DEFINED  01,08       5,100     328,318           0
ARTIO GLOBAL INVS INC             COM   04315B107         170      62,382  SH     DEFINED     09      62,382           0           0

ARTISAN PARTNERS ASSET MGMT       COM   04316A108         702      17,795  SH     DEFINED  01,08           0      17,795           0

ARUBA NETWORKS INC                COM   043176106      13,105     529,695  SH     DEFINED     01     272,348     257,347           0
ARUBA NETWORKS INC                COM   043176106         359      14,492  SH     OTHER       01       7,055       7,437           0
ARUBA NETWORKS INC                COM   043176106      31,991   1,293,091  SH     DEFINED  01,08     146,150   1,146,941           0
ARUBA NETWORKS INC                COM   043176106       6,830     276,067  SH     DEFINED     09     276,067           0           0

ASBURY AUTOMOTIVE GROUP INC       COM   043436104       1,505      41,024  SH     DEFINED     01       4,928      36,096           0
ASBURY AUTOMOTIVE GROUP INC       COM   043436104      11,926     325,035  SH     DEFINED  01,08      27,743     297,292           0
ASBURY AUTOMOTIVE GROUP INC       COM   043436104       2,533      69,046  SH     DEFINED     09      69,046           0           0

ASCENA RETAIL GROUP INC           COM   04351G101       1,492      80,441  SH     DEFINED     01      58,940      20,681         820
ASCENA RETAIL GROUP INC           COM   04351G101          60       3,218  SH     OTHER       01       3,218           0           0
ASCENA RETAIL GROUP INC           COM   04351G101      17,668     952,463  SH     DEFINED  01,08      13,968     938,495           0
ASCENA RETAIL GROUP INC           COM   04351G101           0           2  SH     DEFINED     09           2           0           0

ASCENT CAP GROUP INC              COM   043632108       1,282      17,226  SH     DEFINED     01       2,327      14,899           0
ASCENT CAP GROUP INC              COM   043632108      10,887     146,246  SH     DEFINED  01,08       9,739     136,507           0
ASCENT CAP GROUP INC              COM   043632108       2,564      34,443  SH     DEFINED     09      34,443           0           0

ASCENT SOLAR TECHNOLOGIES IN      COM   043635101           0         429  SH     DEFINED     01           0         429           0
ASCENT SOLAR TECHNOLOGIES IN      COM   043635101          34      61,362  SH     DEFINED  01,08       1,334      60,028           0

ASHFORD HOSPITALITY TR INC        COM   044103109       1,075      86,972  SH     DEFINED     01       8,722      78,250           0
ASHFORD HOSPITALITY TR INC        COM   044103109       8,931     722,579  SH     DEFINED  01,08     165,124     557,455           0
ASHFORD HOSPITALITY TR INC        COM   044103109       1,841     148,988  SH     DEFINED     09     148,988           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     38
  ________

ASHLAND INC NEW                   COM   044209104       1,526      20,542  SH     DEFINED     01      12,484       8,058           0
ASHLAND INC NEW                   COM   044209104         123       1,660  SH     OTHER       01       1,600           0          60
ASHLAND INC NEW                   COM   044209104      41,727     561,606  SH     DEFINED  01,08       7,743     553,863           0
ASHLAND INC NEW                   COM   044209104           0           1  SH     DEFINED     09           1           0           0

ASIAINFO-LINKAGE INC              COM   04518A104         514      43,302  SH     DEFINED     01       1,130      42,172           0
ASIAINFO-LINKAGE INC              COM   04518A104         638      53,774  SH     DEFINED  01,08      49,473       4,301           0
ASIAINFO-LINKAGE INC              COM   04518A104           0           1  SH     DEFINED     09           1           0           0

ASPEN TECHNOLOGY INC              COM   045327103       3,280     101,585  SH     DEFINED     01      14,863      86,350         372
ASPEN TECHNOLOGY INC              COM   045327103          26         804  SH     OTHER       01         804           0           0
ASPEN TECHNOLOGY INC              COM   045327103      32,965   1,020,899  SH     DEFINED  01,08      65,046     955,853           0
ASPEN TECHNOLOGY INC              COM   045327103       7,535     233,349  SH     DEFINED     09     233,349           0           0

ASSET ACCEP CAP CORP              COM   04543P100         105      15,508  SH     DEFINED     01       1,095      14,413           0
ASSET ACCEP CAP CORP              COM   04543P100       1,055     156,545  SH     DEFINED  01,08      11,407     145,138           0
ASSET ACCEP CAP CORP              COM   04543P100         276      41,010  SH     DEFINED     09      41,010           0           0

ASSISTED LIVING CONCPT NEV N      COM   04544X300         415      34,866  SH     DEFINED     01       3,639      31,227           0
ASSISTED LIVING CONCPT NEV N      COM   04544X300       2,655     223,288  SH     DEFINED  01,08      28,030     195,258           0
ASSISTED LIVING CONCPT NEV N      COM   04544X300         504      42,362  SH     DEFINED     09      42,362           0           0

ASSOCIATED BANC CORP              COM   045487105         819      53,904  SH     DEFINED     01      32,846      21,058           0
ASSOCIATED BANC CORP              COM   045487105         223      14,670  SH     OTHER       01      10,600       3,980          90
ASSOCIATED BANC CORP              COM   045487105      19,220   1,265,288  SH     DEFINED  01,08      17,448   1,247,841           0
ASSOCIATED BANC CORP              COM   045487105           0           1  SH     DEFINED     09           1           0           0

ASSOCIATED ESTATES RLTY CORP      COM   045604105       1,037      55,650  SH     DEFINED     01       7,114      48,536           0
ASSOCIATED ESTATES RLTY CORP      COM   045604105      11,798     632,919  SH     DEFINED  01,08     124,137     508,782           0
ASSOCIATED ESTATES RLTY CORP      COM   045604105       2,631     141,164  SH     DEFINED     09     141,164           0           0

ASSURANT INC                      COM   04621X108       5,349     118,835  SH     DEFINED     01      65,750      52,803         282
ASSURANT INC                      COM   04621X108          88       1,963  SH     OTHER       01       1,909          54           0
ASSURANT INC                      COM   04621X108      33,393     741,897  SH     DEFINED  01,08     140,518     601,379           0
ASSURANT INC                      COM   04621X108      11,234     249,595  SH     DEFINED     09     249,595           0           0

ASTA FDG INC                      COM   046220109         363      37,800  SH     DEFINED     01      26,722      10,218         860
ASTA FDG INC                      COM   046220109          18       1,861  SH     OTHER       01       1,861           0           0
ASTA FDG INC                      COM   046220109       1,030     107,268  SH     DEFINED  01,08       4,998     102,270           0
ASTA FDG INC                      COM   046220109         286      29,801  SH     DEFINED     09      29,801           0           0

ASTEC INDS INC                    COM   046224101       1,053      30,151  SH     DEFINED     01       8,159      21,992           0
ASTEC INDS INC                    COM   046224101       7,716     220,906  SH     DEFINED  01,08      13,737     207,169           0
ASTEC INDS INC                    COM   046224101       1,662      47,590  SH     DEFINED     09      47,590           0           0

ASTEX PHARMACEUTICALS INC         COM   04624B103         367      82,306  SH     DEFINED     01      10,725      71,581           0
ASTEX PHARMACEUTICALS INC         COM   04624B103       4,203     941,425  SH     DEFINED  01,08      28,380     913,045           0
ASTEX PHARMACEUTICALS INC         COM   04624B103       1,043     233,552  SH     DEFINED     09     233,552           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     39
  ________

ASTORIA FINL CORP                 COM   046265104       4,258     431,873  SH     DEFINED     01      15,737     416,136           0
ASTORIA FINL CORP                 COM   046265104      14,959   1,517,094  SH     DEFINED  01,08     372,413   1,144,681           0
ASTORIA FINL CORP                 COM   046265104       2,157     218,798  SH     DEFINED     09     218,798           0           0

ASTRAZENECA PLC                   COM   046353108      10,639     212,862  SH     DEFINED     01     192,175      14,950       5,737
ASTRAZENECA PLC                   COM   046353108       2,940      58,826  SH     OTHER       01      46,254      11,222       1,350
ASTRAZENECA PLC                   COM   046353108       5,578     111,600  SH     DEFINED  01,08      36,289      75,311           0

ASTRO-MED INC NEW                 COM   04638F108          45       4,726  SH     DEFINED     01           0       4,726           0
ASTRO-MED INC NEW                 COM   04638F108         123      12,791  SH     DEFINED  01,08       5,145       7,646           0

ASTRONICS CORP                    COM   046433108       1,120      37,549  SH     DEFINED     01      23,608      13,172         769
ASTRONICS CORP                    COM   046433108          49       1,659  SH     OTHER       01       1,659           0           0
ASTRONICS CORP                    COM   046433108       3,909     131,077  SH     DEFINED  01,08       8,818     122,259           0
ASTRONICS CORP                    COM   046433108         948      31,804  SH     DEFINED     09      31,804           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       7,768      80,051  SH     DEFINED     01      33,997      45,038       1,016
ATHENAHEALTH INC                  COM   04685W103         526       5,418  SH     OTHER       01       2,492       2,817         109
ATHENAHEALTH INC                  COM   04685W103      38,689     398,689  SH     DEFINED  01,08      26,829     371,860           0
ATHENAHEALTH INC                  COM   04685W103       8,662      89,267  SH     DEFINED     09      89,267           0           0

ATHERSYS INC                      COM   04744L106         174     103,695  SH     DEFINED  01,08           0     103,695           0

ATLANTIC AMERN CORP               COM   048209100          62      18,484  SH     DEFINED     01           0      18,484           0
ATLANTIC AMERN CORP               COM   048209100         151      45,272  SH     DEFINED  01,08      22,480      22,792           0

ATLANTIC PWR CORP                 COM   04878Q863         331      67,107  SH     DEFINED     01       1,199      65,908           0
ATLANTIC PWR CORP                 COM   04878Q863       4,854     984,549  SH     DEFINED  01,08      17,299     967,250           0
ATLANTIC PWR CORP                 COM   04878Q863       1,493     302,848  SH     DEFINED     09     302,848           0           0

ATLANTIC TELE NETWORK INC         COM   049079205         654      13,482  SH     DEFINED     01       3,426      10,056           0
ATLANTIC TELE NETWORK INC         COM   049079205       5,155     106,266  SH     DEFINED  01,08       7,884      98,382           0
ATLANTIC TELE NETWORK INC         COM   049079205       1,124      23,165  SH     DEFINED     09      23,165           0           0

ATLANTICUS HLDGS CORP             COM   04914Y102          26       7,027  SH     DEFINED     01           0       7,027           0
ATLANTICUS HLDGS CORP             COM   04914Y102          71      19,229  SH     DEFINED  01,08       6,531      12,698           0
ATLANTICUS HLDGS CORP             COM   04914Y102           0           1  SH     DEFINED     09           1           0           0

ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205       4,681     114,855  SH     DEFINED     01      19,699      94,878         278
ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205          24         599  SH     OTHER       01         599           0           0
ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205      11,493     281,960  SH     DEFINED  01,08      16,374     265,586           0
ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205       2,675      65,639  SH     DEFINED     09      65,639           0           0

ATLAS PIPELINE PARTNERS LP        PFD   049392103       1,050      30,371         DEFINED     01      28,471           0       1,900
ATLAS PIPELINE PARTNERS LP        PFD   049392103           6         160         OTHER       01         160           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     40
  ________

ATMEL CORP                        COM   049513104       1,239     178,069  SH     DEFINED     01      84,195      93,874           0
ATMEL CORP                        COM   049513104           0           1  SH     OTHER       01           0           0           1
ATMEL CORP                        COM   049513104      22,749   3,268,980  SH     DEFINED  01,08      41,666   3,227,314           0
ATMEL CORP                        COM   049513104           0           1  SH     DEFINED     09           1           0           0

ATMOS ENERGY CORP                 COM   049560105       1,419      33,233  SH     DEFINED     01      20,653      12,390         190
ATMOS ENERGY CORP                 COM   049560105         176       4,125  SH     OTHER       01       4,125           0           0
ATMOS ENERGY CORP                 COM   049560105      28,520     668,071  SH     DEFINED  01,08       8,474     659,597           0
ATMOS ENERGY CORP                 COM   049560105           0           1  SH     DEFINED     09           1           0           0

ATRICURE INC                      COM   04963C209         120      15,143  SH     DEFINED     01       1,500      13,643           0
ATRICURE INC                      COM   04963C209       1,221     154,169  SH     DEFINED  01,08       8,858     145,311           0
ATRICURE INC                      COM   04963C209         378      47,736  SH     DEFINED     09      47,736           0           0

ATRION CORP                       COM   049904105         535       2,785  SH     DEFINED     01         183       2,602           0
ATRION CORP                       COM   049904105       3,519      18,327  SH     DEFINED  01,08       2,249      16,078           0
ATRION CORP                       COM   049904105         685       3,566  SH     DEFINED     09       3,566           0           0

ATWOOD OCEANICS INC               COM   050095108       2,334      44,428  SH     DEFINED     01      31,332      12,857         239
ATWOOD OCEANICS INC               COM   050095108          59       1,115  SH     OTHER       01       1,008          62          45
ATWOOD OCEANICS INC               COM   050095108      22,382     425,992  SH     DEFINED  01,08       6,784     419,208           0
ATWOOD OCEANICS INC               COM   050095108           0           1  SH     DEFINED     09           1           0           0

AUDIENCE INC                      COM   05070J102          47       3,079  SH     DEFINED     01         139       2,940           0
AUDIENCE INC                      COM   05070J102         933      61,161  SH     DEFINED  01,08       1,005      60,156           0
AUDIENCE INC                      COM   05070J102         231      15,180  SH     DEFINED     09      15,180           0           0

AURICO GOLD INC                   COM   05155C105         186      29,515  SH     DEFINED     01      22,215       7,300           0

AUTHENTIDATE HLDG CORP            COM   052666203           6       6,215  SH     DEFINED     01           0       6,215           0
AUTHENTIDATE HLDG CORP            COM   052666203          40      40,478  SH     DEFINED  01,08       2,821      37,657           0

AUTOBYTEL INC                     COM   05275N205          14       3,286  SH     DEFINED     01         400       2,886           0
AUTOBYTEL INC                     COM   05275N205          54      12,555  SH     DEFINED  01,08       2,019      10,536           0

AUTODESK INC                      COM   052769106      18,743     454,375  SH     DEFINED     01     278,629     169,197       6,549
AUTODESK INC                      COM   052769106       1,828      44,309  SH     OTHER       01      33,875       5,832       4,602
AUTODESK INC                      COM   052769106      84,600   2,050,901  SH     DEFINED  01,08     313,543   1,737,358           0
AUTODESK INC                      COM   052769106      27,941     677,367  SH     DEFINED     09     677,367           0           0

AUTOLIV INC                       COM   052800109       4,268      61,725  SH     DEFINED     01      60,115       1,269         341
AUTOLIV INC                       COM   052800109         447       6,458  SH     OTHER       01       4,722       1,109         627
AUTOLIV INC                       COM   052800109      12,680     183,401  SH     DEFINED  01,08     180,312       3,089           0
AUTOLIV INC                       COM   052800109       9,428     136,364  SH     DEFINED     09     136,364           0           0

AUTOMATIC DATA PROCESSING IN      COM   053015103     142,611   2,193,005  SH     DEFINED     01   1,598,228     461,805     132,972
AUTOMATIC DATA PROCESSING IN      COM   053015103      36,201     556,674  SH     OTHER       01     394,595     108,419      53,660
AUTOMATIC DATA PROCESSING IN      COM   053015103     284,444   4,374,046  SH     DEFINED  01,08     653,082   3,720,964           0
AUTOMATIC DATA PROCESSING IN      COM   053015103      95,292   1,465,361  SH     DEFINED     09   1,465,361           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     41
  ________

AUTONATION INC                    COM   05329W102       2,358      53,893  SH     DEFINED     01      27,795      25,963         135
AUTONATION INC                    COM   05329W102          97       2,227  SH     OTHER       01       1,375         847           5
AUTONATION INC                    COM   05329W102      12,761     291,678  SH     DEFINED  01,08       7,720     283,958           0
AUTONATION INC                    COM   05329W102       2,751      62,875  SH     DEFINED     09      62,875           0           0

AUTOZONE INC                      COM   053332102      18,584      46,837  SH     DEFINED     01      21,162      25,580          95
AUTOZONE INC                      COM   053332102         351         885  SH     OTHER       01         816          49          20
AUTOZONE INC                      COM   053332102     127,886     322,317  SH     DEFINED  01,08      46,416     275,901           0
AUTOZONE INC                      COM   053332102      41,774     105,285  SH     DEFINED     09     105,285           0           0

AUXILIUM PHARMACEUTICALS INC      COM   05334D107         958      55,422  SH     DEFINED     01       7,207      48,215           0
AUXILIUM PHARMACEUTICALS INC      COM   05334D107       9,204     532,313  SH     DEFINED  01,08      32,254     500,059           0
AUXILIUM PHARMACEUTICALS INC      COM   05334D107       2,088     120,781  SH     DEFINED     09     120,781           0           0

AVANIR PHARMACEUTICALS INC        COM   05348P401         389     141,389  SH     DEFINED     01      17,645     123,744           0
AVANIR PHARMACEUTICALS INC        COM   05348P401       4,089   1,487,460  SH     DEFINED  01,08      71,351   1,416,109           0
AVANIR PHARMACEUTICALS INC        COM   05348P401         896     325,898  SH     DEFINED     09     325,898           0           0

AVALONBAY CMNTYS INC              COM   053484101      17,143     135,338  SH     DEFINED     01      59,035      76,052         251
AVALONBAY CMNTYS INC              COM   053484101       2,806      22,151  SH     OTHER       01      19,588       1,033       1,530
AVALONBAY CMNTYS INC              COM   053484101     154,785   1,221,952  SH     DEFINED  01,08     361,153     860,799           0
AVALONBAY CMNTYS INC              COM   053484101      46,528     367,313  SH     DEFINED     09     367,313           0           0

AVEO PHARMACEUTICALS INC          COM   053588109         294      39,933  SH     DEFINED     01       4,110      35,823           0
AVEO PHARMACEUTICALS INC          COM   053588109       3,580     487,076  SH     DEFINED  01,08      14,638     472,438           0
AVEO PHARMACEUTICALS INC          COM   053588109         930     126,470  SH     DEFINED     09     126,470           0           0

AVERY DENNISON CORP               COM   053611109       9,988     231,896  SH     DEFINED     01     106,411     124,866         619
AVERY DENNISON CORP               COM   053611109         218       5,065  SH     OTHER       01       4,521         322         222
AVERY DENNISON CORP               COM   053611109      42,736     992,256  SH     DEFINED  01,08     208,086     784,170           0
AVERY DENNISON CORP               COM   053611109      12,853     298,413  SH     DEFINED     09     298,413           0           0

AVIAT NETWORKS INC                COM   05366Y102         313      93,004  SH     DEFINED     01       7,261      85,743           0
AVIAT NETWORKS INC                COM   05366Y102       2,308     684,812  SH     DEFINED  01,08      66,811     618,001           0
AVIAT NETWORKS INC                COM   05366Y102         467     138,532  SH     DEFINED     09     138,532           0           0

AVID TECHNOLOGY INC               COM   05367P100         254      40,586  SH     DEFINED     01      12,534      28,052           0
AVID TECHNOLOGY INC               COM   05367P100       1,993     317,922  SH     DEFINED  01,08      18,490     299,432           0
AVID TECHNOLOGY INC               COM   05367P100         493      78,696  SH     DEFINED     09      78,696           0           0

AVIS BUDGET GROUP                 COM   053774105       4,109     147,632  SH     DEFINED     01      62,161      85,471           0
AVIS BUDGET GROUP                 COM   053774105         125       4,477  SH     OTHER       01       2,907       1,570           0
AVIS BUDGET GROUP                 COM   053774105      31,376   1,127,431  SH     DEFINED  01,08      26,771   1,100,660           0
AVIS BUDGET GROUP                 COM   053774105       7,408     266,198  SH     DEFINED     09     266,198           0           0

AVISTA CORP                       COM   05379B107      11,085     404,551  SH     DEFINED     01      40,100     364,351         100
AVISTA CORP                       COM   05379B107           1          30  SH     OTHER       01           0          30           0
AVISTA CORP                       COM   05379B107      26,394     963,279  SH     DEFINED  01,08     361,337     601,942           0
AVISTA CORP                       COM   05379B107       3,979     145,222  SH     DEFINED     09     145,222           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     42
  ________

AVNET INC                         COM   053807103       3,509      96,947  SH     DEFINED     01      81,153      15,004         790
AVNET INC                         COM   053807103         351       9,709  SH     OTHER       01          60       9,424         225
AVNET INC                         COM   053807103      42,022   1,160,829  SH     DEFINED  01,08     153,863   1,006,966           0
AVNET INC                         COM   053807103       7,066     195,192  SH     DEFINED     09     195,192           0           0

AVIVA PLC                         COM   05382A104       9,370   1,027,459  SH     DEFINED     01     961,251      62,978       3,230
AVIVA PLC                         COM   05382A104         492      53,915  SH     OTHER       01      32,879      19,133       1,903
AVIVA PLC                         COM   05382A104         779      85,362  SH     DEFINED  01,08           0      85,362           0

AVON PRODS INC                    COM   054303102      19,502     940,781  SH     DEFINED     01     410,173     527,938       2,670
AVON PRODS INC                    COM   054303102       1,082      52,200  SH     OTHER       01      21,543      27,657       3,000
AVON PRODS INC                    COM   054303102      83,871   4,045,867  SH     DEFINED  01,08     777,837   3,268,030           0
AVON PRODS INC                    COM   054303102      26,728   1,289,351  SH     DEFINED     09   1,289,351           0           0

AWARE INC MASS                    COM   05453N100          99      21,276  SH     DEFINED     01           0      21,276           0
AWARE INC MASS                    COM   05453N100         573     123,698  SH     DEFINED  01,08      13,765     109,933           0
AWARE INC MASS                    COM   05453N100         130      28,145  SH     DEFINED     09      28,145           0           0

AXCELIS TECHNOLOGIES INC          COM   054540109         151     120,499  SH     DEFINED     01      13,379      91,951      15,169
AXCELIS TECHNOLOGIES INC          COM   054540109       1,343   1,074,321  SH     DEFINED  01,08      42,131   1,032,190           0
AXCELIS TECHNOLOGIES INC          COM   054540109         265     211,949  SH     DEFINED     09     211,949           0           0

AXIALL CORP                       COM   05463D100       4,644      74,718  SH     DEFINED     01      17,952      56,766           0
AXIALL CORP                       COM   05463D100           3          52  SH     OTHER       01           0          52           0
AXIALL CORP                       COM   05463D100      46,175     742,835  SH     DEFINED  01,08      33,900     708,935           0
AXIALL CORP                       COM   05463D100      10,686     171,904  SH     DEFINED     09     171,904           0           0

BB&T CORP                         COM   054937107      28,800     917,477  SH     DEFINED     01     370,648     545,261       1,568
BB&T CORP                         COM   054937107       1,319      42,027  SH     OTHER       01      24,723       5,314      11,990
BB&T CORP                         COM   054937107     197,512   6,292,203  SH     DEFINED  01,08   1,003,658   5,288,545           0
BB&T CORP                         COM   054937107      64,746   2,062,637  SH     DEFINED     09   2,062,637           0           0

B & G FOODS INC NEW               COM   05508R106       2,192      71,878  SH     DEFINED     01      17,572      52,406       1,900
B & G FOODS INC NEW               COM   05508R106      17,916     587,610  SH     DEFINED  01,08      38,724     548,886           0
B & G FOODS INC NEW               COM   05508R106       3,956     129,738  SH     DEFINED     09     129,738           0           0

BCB BANCORP INC                   COM   055298103          37       3,853  SH     DEFINED     01          75       3,778           0
BCB BANCORP INC                   COM   055298103         137      14,120  SH     DEFINED  01,08       4,182       9,938           0

BCE INC                           COM   05534B760      43,738     936,771  SH     DEFINED     01     888,527      26,157      22,087
BCE INC                           COM   05534B760       4,962     106,277  SH     OTHER       01      90,352      13,925       2,000
BCE INC                           COM   05534B760       1,878      40,232  SH     DEFINED  01,08           0      40,232           0

BBX CAP CORP                      COM   05540P100          29       3,466  SH     DEFINED     01         100       3,366           0
BBX CAP CORP                      COM   05540P100         153      18,514  SH     DEFINED  01,08         516      17,998           0

BGC PARTNERS INC                  COM   05541T101         352      84,629  SH     DEFINED     01      15,907      68,722           0
BGC PARTNERS INC                  COM   05541T101       4,469   1,074,280  SH     DEFINED  01,08      35,738   1,038,542           0
BGC PARTNERS INC                  COM   05541T101         986     237,092  SH     DEFINED     09     237,092           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     43
  ________

BHP BILLITON PLC                  COM   05545E209      10,007     172,362  SH     DEFINED     01     162,264       9,402         696
BHP BILLITON PLC                  COM   05545E209       1,020      17,560  SH     OTHER       01      13,199       4,236         125
BHP BILLITON PLC                  COM   05545E209       5,130      88,351  SH     DEFINED  01,08      34,424      53,927           0

BOK FINL CORP                     COM   05561Q201         377       6,044  SH     DEFINED     01       2,810       3,234           0
BOK FINL CORP                     COM   05561Q201       7,004     112,416  SH     DEFINED  01,08       2,909     109,507           0
BOK FINL CORP                     COM   05561Q201           0           1  SH     DEFINED     09           1           0           0

BP PLC                            COM   055622104      29,337     692,725  SH     DEFINED     01     532,668     154,766       5,292
BP PLC                            COM   055622104      11,900     280,985  SH     OTHER       01     109,040     152,458      19,487
BP PLC                            COM   055622104      22,175     523,624  SH     DEFINED  01,08     358,040     153,246      12,338

BPZ RESOURCES INC                 COM   055639108         215      94,655  SH     DEFINED     01      14,377      80,278           0
BPZ RESOURCES INC                 COM   055639108       2,485   1,094,904  SH     DEFINED  01,08      47,854   1,047,050           0
BPZ RESOURCES INC                 COM   055639108         655     288,536  SH     DEFINED     09     288,536           0           0

BRE PROPERTIES INC                COM   05564E106       2,961      60,824  SH     DEFINED     01      51,699       8,960         165
BRE PROPERTIES INC                COM   05564E106      34,933     717,602  SH     DEFINED  01,08     151,637     565,965           0
BRE PROPERTIES INC                COM   05564E106       1,328      27,290  SH     DEFINED     09      27,290           0           0

BRT RLTY TR                       COM   055645303          49       7,002  SH     DEFINED     01           0       7,002           0
BRT RLTY TR                       COM   055645303         151      21,528  SH     DEFINED  01,08       6,591      14,937           0

BOFI HLDG INC                     COM   05566U108         371      10,345  SH     DEFINED     01       4,090       6,255           0
BOFI HLDG INC                     COM   05566U108       4,077     113,626  SH     DEFINED  01,08       4,538     109,088           0
BOFI HLDG INC                     COM   05566U108       1,082      30,163  SH     DEFINED     09      30,163           0           0

BSD MED CORP DEL                  COM   055662100          17      11,844  SH     DEFINED     01           0      11,844           0
BSD MED CORP DEL                  COM   055662100          79      53,690  SH     DEFINED  01,08      12,263      41,427           0

BSB BANCORP INC MD                COM   05573H108          76       5,514  SH     DEFINED     01         470       5,044           0
BSB BANCORP INC MD                COM   05573H108         955      69,122  SH     DEFINED  01,08       1,393      67,729           0
BSB BANCORP INC MD                COM   05573H108         299      21,658  SH     DEFINED     09      21,658           0           0

BT GROUP PLC                      COM   05577E101       3,316      78,898  SH     DEFINED     01      72,908       5,990           0
BT GROUP PLC                      COM   05577E101         319       7,589  SH     OTHER       01       4,944       2,645           0
BT GROUP PLC                      COM   05577E101       1,573      37,433  SH     DEFINED  01,08           0      37,433           0

BMC SOFTWARE INC                  COM   055921100       8,502     183,520  SH     DEFINED     01      81,334     101,893         293
BMC SOFTWARE INC                  COM   055921100         325       7,014  SH     OTHER       01       6,761         178          75
BMC SOFTWARE INC                  COM   055921100      59,012   1,273,723  SH     DEFINED  01,08     197,691   1,076,032           0
BMC SOFTWARE INC                  COM   055921100      19,033     410,804  SH     DEFINED     09     410,804           0           0

BTU INTL INC                      COM   056032105          18       8,095  SH     DEFINED     01           0       8,095           0
BTU INTL INC                      COM   056032105          35      15,364  SH     DEFINED  01,08       7,904       7,460           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     44
  ________

BABCOCK & WILCOX CO NEW           COM   05615F102       1,903      66,976  SH     DEFINED     01      42,609      24,367           0
BABCOCK & WILCOX CO NEW           COM   05615F102          60       2,097  SH     OTHER       01       1,367         730           0
BABCOCK & WILCOX CO NEW           COM   05615F102      13,760     484,352  SH     DEFINED  01,08      11,167     473,185           0
BABCOCK & WILCOX CO NEW           COM   05615F102           0           1  SH     DEFINED     09           1           0           0

BACTERIN INTL HLDGS INC           COM   05644R101          32      39,278  SH     DEFINED  01,08           0      39,278           0

BADGER METER INC                  COM   056525108       3,526      65,873  SH     DEFINED     01      45,723      20,150           0
BADGER METER INC                  COM   056525108       8,922     166,708  SH     DEFINED  01,08      16,454     150,254           0
BADGER METER INC                  COM   056525108       1,886      35,243  SH     DEFINED     09      35,243           0           0

BAIDU INC                         COM   056752108       9,864     112,478  SH     DEFINED     01      63,602      48,534         342
BAIDU INC                         COM   056752108         758       8,641  SH     OTHER       01       7,121       1,478          42
BAIDU INC                         COM   056752108       6,326      72,130  SH     DEFINED  01,08      42,800      29,330           0
BAIDU INC                         COM   056752108         579       6,600  SH     DEFINED     09       6,600           0           0

BAKER MICHAEL CORP                COM   057149106         340      13,880  SH     DEFINED     01       1,437      12,443           0
BAKER MICHAEL CORP                COM   057149106       2,432      99,265  SH     DEFINED  01,08       9,182      90,083           0
BAKER MICHAEL CORP                COM   057149106         617      25,174  SH     DEFINED     09      25,174           0           0

BAKER HUGHES INC                  COM   057224107      36,628     789,220  SH     DEFINED     01     391,280     387,031      10,909
BAKER HUGHES INC                  COM   057224107       7,176     154,623  SH     OTHER       01      76,789      75,717       2,117
BAKER HUGHES INC                  COM   057224107     199,360   4,295,633  SH     DEFINED  01,08     802,791   3,343,885     148,957
BAKER HUGHES INC                  COM   057224107      63,257   1,362,993  SH     DEFINED     09   1,362,993           0           0

BALCHEM CORP                      COM   057665200       3,714      84,519  SH     DEFINED     01      52,613      31,515         391
BALCHEM CORP                      COM   057665200          63       1,430  SH     OTHER       01         713         531         186
BALCHEM CORP                      COM   057665200      14,453     328,935  SH     DEFINED  01,08      20,016     308,919           0
BALCHEM CORP                      COM   057665200       3,183      72,433  SH     DEFINED     09      72,433           0           0

BALDWIN & LYONS INC               COM   057755209         469      19,720  SH     DEFINED     01       1,450      18,270           0
BALDWIN & LYONS INC               COM   057755209       2,438     102,477  SH     DEFINED  01,08      13,979      88,498           0
BALDWIN & LYONS INC               COM   057755209         576      24,212  SH     DEFINED     09      24,212           0           0

BALL CORP                         COM   058498106       9,372     196,976  SH     DEFINED     01      89,824     105,912       1,240
BALL CORP                         COM   058498106         214       4,503  SH     OTHER       01       4,105         328          70
BALL CORP                         COM   058498106      63,407   1,332,647  SH     DEFINED  01,08     182,867   1,149,780           0
BALL CORP                         COM   058498106      20,464     430,104  SH     DEFINED     09     430,104           0           0

BALLANTYNE STRONG INC             COM   058516105          17       3,926  SH     DEFINED     01         125       3,801           0
BALLANTYNE STRONG INC             COM   058516105         131      31,072  SH     DEFINED  01,08       2,598      28,474           0

BALLY TECHNOLOGIES INC            COM   05874B107         704      13,549  SH     DEFINED     01       8,088       5,461           0
BALLY TECHNOLOGIES INC            COM   05874B107      15,875     305,462  SH     DEFINED  01,08       4,218     301,244           0
BALLY TECHNOLOGIES INC            COM   05874B107           0           1  SH     DEFINED     09           1           0           0

BANCFIRST CORP                    COM   05945F103       1,766      42,353  SH     DEFINED     01       1,050      41,303           0
BANCFIRST CORP                    COM   05945F103       4,420     105,985  SH     DEFINED  01,08      40,629      65,356           0
BANCFIRST CORP                    COM   05945F103         651      15,618  SH     DEFINED     09      15,618           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     45
  ________

BANCO BILBAO VIZCAYA ARGENTA      COM   05946K101      10,227   1,166,101  SH     DEFINED     01   1,108,420      55,683       1,998
BANCO BILBAO VIZCAYA ARGENTA      COM   05946K101         910     103,708  SH     OTHER       01      74,864      27,886         958
BANCO BILBAO VIZCAYA ARGENTA      COM   05946K101       3,643     415,432  SH     DEFINED  01,08     145,502     269,930           0

BANCO BRADESCO S A                COM   059460303       3,034     178,242  SH     DEFINED     01     158,981      19,006         255
BANCO BRADESCO S A                COM   059460303         348      20,470  SH     OTHER       01      12,517       7,953           0
BANCO BRADESCO S A                COM   059460303       9,851     578,815  SH     DEFINED  01,08     467,876     110,939           0

BANCO DE CHILE                    COM   059520106         358       3,773  SH     DEFINED     01       3,337         436           0
BANCO DE CHILE                    COM   059520106          42         446  SH     OTHER       01         198         248           0
BANCO DE CHILE                    COM   059520106         194       2,045  SH     DEFINED  01,08         403       1,642           0

BANCO MACRO SA                    COM   05961W105           1          40  SH     DEFINED     01          40           0           0
BANCO MACRO SA                    COM   05961W105          42       2,820  SH     OTHER       01           0       2,820           0
BANCO MACRO SA                    COM   05961W105         663      45,056  SH     DEFINED  01,08      44,876         180           0

BANCO SANTANDER SA                COM   05964H105       8,719   1,280,396  SH     DEFINED     01     948,468     329,358       2,570
BANCO SANTANDER SA                COM   05964H105         722     106,043  SH     OTHER       01      63,627      34,262       8,154
BANCO SANTANDER SA                COM   05964H105       5,337     783,716  SH     DEFINED  01,08     284,252     499,464           0

BANCO SANTANDER CHILE NEW         COM   05965X109         427      14,992  SH     DEFINED     01      13,630       1,341          21
BANCO SANTANDER CHILE NEW         COM   05965X109          48       1,687  SH     OTHER       01         616       1,071           0
BANCO SANTANDER CHILE NEW         COM   05965X109       1,640      57,613  SH     DEFINED  01,08      48,605       9,008           0

BANCO SANTANDER BRASIL S A        COM   05967A107          68       9,380  SH     DEFINED     01         580       8,800           0
BANCO SANTANDER BRASIL S A        COM   05967A107       3,477     478,949  SH     DEFINED  01,08     476,349       2,600           0

BANCOLOMBIA S A                   COM   05968L102         471       7,443  SH     DEFINED     01       6,811         591          41
BANCOLOMBIA S A                   COM   05968L102          68       1,079  SH     OTHER       01         840         239           0
BANCOLOMBIA S A                   COM   05968L102       1,542      24,382  SH     DEFINED  01,08      19,747       4,635           0
BANCOLOMBIA S A                   COM   05968L102         745      11,775  SH     DEFINED     09      11,775           0           0

BANCORP INC DEL                   COM   05969A105         423      30,556  SH     DEFINED     01       5,482      25,074           0
BANCORP INC DEL                   COM   05969A105       4,726     341,202  SH     DEFINED  01,08      14,196     327,006           0
BANCORP INC DEL                   COM   05969A105       1,087      78,496  SH     DEFINED     09      78,496           0           0

BANCORPSOUTH INC                  COM   059692103       6,368     390,649  SH     DEFINED     01      18,356     372,293           0
BANCORPSOUTH INC                  COM   059692103      25,191   1,545,450  SH     DEFINED  01,08     348,429   1,197,021           0
BANCORPSOUTH INC                  COM   059692103       3,803     233,296  SH     DEFINED     09     233,296           0           0

BANK OF AMERICA CORPORATION       COM   060505104     159,313  13,079,850  SH     DEFINED     01   6,974,497   6,036,344      69,009
BANK OF AMERICA CORPORATION       COM   060505104       7,302     599,485  SH     OTHER       01     416,676      92,924      89,885
BANK OF AMERICA CORPORATION       COM   060505104   1,175,749  96,531,111  SH     DEFINED  01,08  14,458,670  82,072,441           0
BANK OF AMERICA CORPORATION       COM   060505104     383,397  31,477,568  SH     DEFINED     09  31,477,568           0           0

BANK OF AMERICA CORPORATION    CONV PFD 060505682       4,391       3,593         DEFINED     01         818       2,775           0
BANK OF AMERICA CORPORATION    CONV PFD 060505682       3,391       2,775         DEFINED  01,08       2,775           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     46
  ________

BANK HAWAII CORP                  COM   062540109       2,139      42,098  SH     DEFINED     01      27,093      13,895       1,110
BANK HAWAII CORP                  COM   062540109         244       4,796  SH     OTHER       01       4,796           0           0
BANK HAWAII CORP                  COM   062540109      19,355     380,938  SH     DEFINED  01,08       4,588     376,350           0
BANK HAWAII CORP                  COM   062540109           0           1  SH     DEFINED     09           1           0           0

BANK KY FINL CORP                 COM   062896105         122       4,464  SH     DEFINED     01         590       3,874           0
BANK KY FINL CORP                 COM   062896105       1,476      53,815  SH     DEFINED  01,08       1,983      51,832           0
BANK KY FINL CORP                 COM   062896105         338      12,307  SH     DEFINED     09      12,307           0           0

BANK OF MARIN BANCORP             COM   063425102         207       5,153  SH     DEFINED     01         535       4,618           0
BANK OF MARIN BANCORP             COM   063425102       2,168      54,078  SH     DEFINED  01,08       2,951      51,127           0
BANK OF MARIN BANCORP             COM   063425102         473      11,797  SH     DEFINED     09      11,797           0           0

BANK MONTREAL QUE                 COM   063671101       4,080      64,817  SH     DEFINED     01      59,194       5,623           0
BANK MONTREAL QUE                 COM   063671101         518       8,233  SH     OTHER       01       6,035       2,198           0
BANK MONTREAL QUE                 COM   063671101       2,342      37,212  SH     DEFINED  01,08       4,499      32,713           0
BANK MONTREAL QUE                 COM   063671101           0           1  SH     DEFINED     09           1           0           0

BANK MUTUAL CORP NEW              COM   063750103         998     180,400  SH     DEFINED     01      34,426      58,815      87,159
BANK MUTUAL CORP NEW              COM   063750103       2,875     519,823  SH     DEFINED  01,08      41,768     478,055           0
BANK MUTUAL CORP NEW              COM   063750103         709     128,298  SH     DEFINED     09     128,298           0           0

BANK OF THE OZARKS INC            COM   063904106       5,777     130,258  SH     DEFINED     01      35,604      93,885         769
BANK OF THE OZARKS INC            COM   063904106          16         371  SH     OTHER       01         371           0           0
BANK OF THE OZARKS INC            COM   063904106      17,555     395,833  SH     DEFINED  01,08      85,493     310,340           0
BANK OF THE OZARKS INC            COM   063904106       3,209      72,363  SH     DEFINED     09      72,363           0           0

BANK NEW YORK MELLON CORP         COM   064058100      64,121   2,290,852  SH     DEFINED     01   1,479,873     799,381      11,598
BANK NEW YORK MELLON CORP         COM   064058100       4,381     156,503  SH     OTHER       01      78,782      76,256       1,465
BANK NEW YORK MELLON CORP         COM   064058100     300,813  10,747,166  SH     DEFINED  01,08   1,800,721   8,930,071      16,374
BANK NEW YORK MELLON CORP         COM   064058100      95,224   3,402,067  SH     DEFINED     09   3,402,067           0           0

BANK NOVA SCOTIA HALIFAX          COM   064149107      40,145     688,953  SH     DEFINED     01     655,581      19,955      13,417
BANK NOVA SCOTIA HALIFAX          COM   064149107       4,162      71,419  SH     OTHER       01      56,259      15,047         113
BANK NOVA SCOTIA HALIFAX          COM   064149107       3,337      57,269  SH     DEFINED  01,08           0      57,269           0

BANK SOUTH CAROLINA CORP          COM   065066102          31       2,580  SH     DEFINED     01          20       2,560           0
BANK SOUTH CAROLINA CORP          COM   065066102         122      10,170  SH     DEFINED  01,08       3,498       6,672           0

BANKFINANCIAL CORP                COM   06643P104         701      86,666  SH     DEFINED     01       3,583      83,083           0
BANKFINANCIAL CORP                COM   06643P104       2,251     278,260  SH     DEFINED  01,08      76,460     201,800           0
BANKFINANCIAL CORP                COM   06643P104         446      55,166  SH     DEFINED     09      55,166           0           0

BANKRATE INC DEL                  COM   06647F102         512      42,898  SH     DEFINED     01       6,089      35,554       1,255
BANKRATE INC DEL                  COM   06647F102       5,834     488,609  SH     DEFINED  01,08      13,509     475,100           0
BANKRATE INC DEL                  COM   06647F102       1,410     118,066  SH     DEFINED     09     118,066           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     47
  ________

BANKUNITED INC                    COM   06652K103         264      10,316  SH     DEFINED     01       1,906       3,410       5,000
BANKUNITED INC                    COM   06652K103         247       9,657  SH     OTHER       01       7,427       2,230           0
BANKUNITED INC                    COM   06652K103       4,030     157,317  SH     DEFINED  01,08       3,385     153,932           0

BANNER CORP                       COM   06652V208         663      20,836  SH     DEFINED     01       6,615      14,221           0
BANNER CORP                       COM   06652V208       6,455     202,787  SH     DEFINED  01,08       7,277     195,510           0
BANNER CORP                       COM   06652V208       1,603      50,359  SH     DEFINED     09      50,359           0           0

BAR HBR BANKSHARES                COM   066849100         234       6,400  SH     DEFINED     01         620       5,780           0
BAR HBR BANKSHARES                COM   066849100       1,501      41,070  SH     DEFINED  01,08       5,035      36,035           0
BAR HBR BANKSHARES                COM   066849100         376      10,291  SH     DEFINED     09      10,291           0           0

BARCLAYS BK PLC                   COM   06738C778          65       1,611  SH     DEFINED     01       1,611           0           0
BARCLAYS BK PLC                   COM   06738C778         208       5,125  SH     OTHER       01         860       4,265           0
BARCLAYS BK PLC                   COM   06738C778       2,442      60,125  SH     DEFINED  01,08      60,125           0           0

BARCLAYS PLC                      COM   06738E204      13,486     759,360  SH     DEFINED     01     711,489      46,447       1,424
BARCLAYS PLC                      COM   06738E204       1,041      58,635  SH     OTHER       01      33,899      18,388       6,348
BARCLAYS PLC                      COM   06738E204       3,051     171,765  SH     DEFINED  01,08      35,361     136,404           0

BARD C R INC                      COM   067383109      71,531     709,771  SH     DEFINED     01     623,054      81,703       5,014
BARD C R INC                      COM   067383109       6,775      67,228  SH     OTHER       01      52,626       9,159       5,443
BARD C R INC                      COM   067383109      71,259     707,078  SH     DEFINED  01,08     116,948     590,130           0
BARD C R INC                      COM   067383109      23,422     232,404  SH     DEFINED     09     232,404           0           0

BARCLAYS BANK PLC                 COM   06739H305         426       8,500  SH     DEFINED     01       8,500           0           0

BARNES & NOBLE INC                COM   067774109         471      28,635  SH     DEFINED     01       2,505      26,130           0
BARNES & NOBLE INC                COM   067774109          33       2,000  SH     OTHER       01       2,000           0           0
BARNES & NOBLE INC                COM   067774109       7,080     430,373  SH     DEFINED  01,08      13,818     416,555           0
BARNES & NOBLE INC                COM   067774109       1,197      72,791  SH     DEFINED     09      72,791           0           0

BARNES GROUP INC                  COM   067806109       9,920     342,907  SH     DEFINED     01      23,508     319,399           0
BARNES GROUP INC                  COM   067806109      24,787     856,803  SH     DEFINED  01,08     321,293     535,510           0
BARNES GROUP INC                  COM   067806109       3,934     135,997  SH     DEFINED     09     135,997           0           0

BARRICK GOLD CORP                 COM   067901108       3,266     111,105  SH     DEFINED     01      85,199      25,581         325
BARRICK GOLD CORP                 COM   067901108       2,352      79,993  SH     OTHER       01      51,315      27,678       1,000
BARRICK GOLD CORP                 COM   067901108       2,231      75,900  SH     DEFINED  01,08      28,738      47,162           0
BARRICK GOLD CORP                 COM   067901108       1,878      63,864  SH     DEFINED     09      63,864           0           0

BARNWELL INDS INC                 COM   068221100          19       6,318  SH     DEFINED     01           0       6,318           0
BARNWELL INDS INC                 COM   068221100          48      15,713  SH     DEFINED  01,08       6,163       9,550           0

BARRETT BILL CORP                 COM   06846N104       2,244     110,702  SH     DEFINED     01      11,068      99,634           0
BARRETT BILL CORP                 COM   06846N104      13,361     659,147  SH     DEFINED  01,08      27,289     631,858           0
BARRETT BILL CORP                 COM   06846N104       2,511     123,877  SH     DEFINED     09     123,877           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     48
  ________

BARRETT BUSINESS SERVICES IN      COM   068463108       2,246      42,646  SH     DEFINED     01         948      41,698           0
BARRETT BUSINESS SERVICES IN      COM   068463108       6,022     114,364  SH     DEFINED  01,08      39,788      74,576           0
BARRETT BUSINESS SERVICES IN      COM   068463108       1,004      19,066  SH     DEFINED     09      19,066           0           0

BARRY R G CORP OHIO               COM   068798107         669      49,946  SH     DEFINED     01      40,766       7,834       1,346
BARRY R G CORP OHIO               COM   068798107          39       2,901  SH     OTHER       01       2,901           0           0
BARRY R G CORP OHIO               COM   068798107       1,209      90,266  SH     DEFINED  01,08       4,507      85,759           0
BARRY R G CORP OHIO               COM   068798107         369      27,548  SH     DEFINED     09      27,548           0           0

BASIC ENERGY SVCS INC NEW         COM   06985P100         930      68,049  SH     DEFINED     01      11,373      56,676           0
BASIC ENERGY SVCS INC NEW         COM   06985P100       4,797     350,889  SH     DEFINED  01,08      48,608     302,281           0
BASIC ENERGY SVCS INC NEW         COM   06985P100       1,059      77,504  SH     DEFINED     09      77,504           0           0

BASSETT FURNITURE INDS INC        COM   070203104         193      12,081  SH     DEFINED     01         215      11,866           0
BASSETT FURNITURE INDS INC        COM   070203104       1,722     107,908  SH     DEFINED  01,08       5,572     102,336           0
BASSETT FURNITURE INDS INC        COM   070203104         497      31,121  SH     DEFINED     09      31,121           0           0

BAXTER INTL INC                   COM   071813109     128,892   1,774,391  SH     DEFINED     01   1,343,501     395,857      35,033
BAXTER INTL INC                   COM   071813109      20,100     276,711  SH     OTHER       01     162,101      94,845      19,765
BAXTER INTL INC                   COM   071813109     355,990   4,900,738  SH     DEFINED  01,08     737,282   4,163,456           0
BAXTER INTL INC                   COM   071813109     119,477   1,644,778  SH     DEFINED     09   1,644,778           0           0

BAYTEX ENERGY CORP                COM   07317Q105          42       1,000  SH     OTHER       01       1,000           0           0
BAYTEX ENERGY CORP                COM   07317Q105         249       5,930  SH     DEFINED  01,08           0       5,930           0

BAZAARVOICE INC                   COM   073271108          38       5,210  SH     DEFINED     01           0       5,210           0
BAZAARVOICE INC                   COM   073271108       1,217     166,309  SH     DEFINED  01,08       2,964     163,345           0
BAZAARVOICE INC                   COM   073271108         182      24,847  SH     DEFINED     09      24,847           0           0

BBCN BANCORP INC                  COM   073295107       4,563     349,385  SH     DEFINED     01      29,271     320,114           0
BBCN BANCORP INC                  COM   073295107      14,118   1,081,039  SH     DEFINED  01,08     298,523     782,516           0
BBCN BANCORP INC                  COM   073295107       2,576     197,232  SH     DEFINED     09     197,232           0           0

B/E AEROSPACE INC                 COM   073302101       3,361      55,758  SH     DEFINED     01      42,282      13,039         437
B/E AEROSPACE INC                 COM   073302101         309       5,132  SH     OTHER       01       4,927         130          75
B/E AEROSPACE INC                 COM   073302101      46,628     773,531  SH     DEFINED  01,08      10,272     763,259           0
B/E AEROSPACE INC                 COM   073302101           0           1  SH     DEFINED     09           1           0           0

BEACON ROOFING SUPPLY INC         COM   073685109       8,055     208,352  SH     DEFINED     01     138,426      66,831       3,095
BEACON ROOFING SUPPLY INC         COM   073685109         595      15,400  SH     OTHER       01       6,259       8,844         297
BEACON ROOFING SUPPLY INC         COM   073685109      19,888     514,440  SH     DEFINED  01,08      31,599     482,841           0
BEACON ROOFING SUPPLY INC         COM   073685109       4,456     115,273  SH     DEFINED     09     115,273           0           0

BEAM INC                          COM   073730103      22,713     357,465  SH     DEFINED     01     232,112     122,827       2,526
BEAM INC                          COM   073730103       3,067      48,263  SH     OTHER       01      25,872      21,441         950
BEAM INC                          COM   073730103      86,265   1,357,644  SH     DEFINED  01,08     182,398   1,175,246           0
BEAM INC                          COM   073730103      24,665     388,183  SH     DEFINED     09     388,183           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     49
  ________

BEASLEY BROADCAST GROUP INC       COM   074014101          29       4,909  SH     DEFINED     01          85       4,824           0
BEASLEY BROADCAST GROUP INC       COM   074014101         248      42,108  SH     DEFINED  01,08       3,406      38,702           0

BEAZER HOMES USA INC              COM   07556Q881       1,444      91,142  SH     DEFINED     01       3,934      87,208           0
BEAZER HOMES USA INC              COM   07556Q881       5,100     321,978  SH     DEFINED  01,08      80,440     241,538           0
BEAZER HOMES USA INC              COM   07556Q881         980      61,856  SH     DEFINED     09      61,856           0           0

BEBE STORES INC                   COM   075571109         141      33,880  SH     DEFINED     01       5,065      28,815           0
BEBE STORES INC                   COM   075571109       1,660     397,963  SH     DEFINED  01,08      20,625     377,338           0
BEBE STORES INC                   COM   075571109         375      90,041  SH     DEFINED     09      90,041           0           0

BECTON DICKINSON & CO             COM   075887109      40,761     426,326  SH     DEFINED     01     293,341     126,398       6,587
BECTON DICKINSON & CO             COM   075887109       5,804      60,708  SH     OTHER       01      31,928      17,868      10,912
BECTON DICKINSON & CO             COM   075887109     169,574   1,773,598  SH     DEFINED  01,08     285,317   1,488,281           0
BECTON DICKINSON & CO             COM   075887109      57,721     603,716  SH     DEFINED     09     603,716           0           0

BED BATH & BEYOND INC             COM   075896100      20,970     325,524  SH     DEFINED     01     164,807     159,639       1,078
BED BATH & BEYOND INC             COM   075896100         781      12,130  SH     OTHER       01       4,349       5,851       1,930
BED BATH & BEYOND INC             COM   075896100     134,341   2,085,389  SH     DEFINED  01,08     311,802   1,773,587           0
BED BATH & BEYOND INC             COM   075896100      43,583     676,547  SH     DEFINED     09     676,547           0           0

BEL FUSE INC                      COM   077347300         298      19,092  SH     DEFINED     01       4,153      14,939           0
BEL FUSE INC                      COM   077347300       1,943     124,485  SH     DEFINED  01,08      14,915     109,570           0
BEL FUSE INC                      COM   077347300         540      34,568  SH     DEFINED     09      34,568           0           0

BELDEN INC                        COM   077454106       4,524      87,588  SH     DEFINED     01      35,933      50,962         693
BELDEN INC                        COM   077454106          18         340  SH     OTHER       01         340           0           0
BELDEN INC                        COM   077454106      26,226     507,762  SH     DEFINED  01,08      34,522     473,240           0
BELDEN INC                        COM   077454106       5,862     113,497  SH     DEFINED     09     113,497           0           0

BELO CORP                         COM   080555105         832      84,621  SH     DEFINED     01      13,383      71,238           0
BELO CORP                         COM   080555105       9,822     999,180  SH     DEFINED  01,08      37,115     962,065           0
BELO CORP                         COM   080555105       2,255     229,435  SH     DEFINED     09     229,435           0           0

BEMIS INC                         COM   081437105       6,603     163,591  SH     DEFINED     01      87,255      71,591       4,745
BEMIS INC                         COM   081437105         352       8,719  SH     OTHER       01       6,438       2,251          30
BEMIS INC                         COM   081437105      34,748     860,961  SH     DEFINED  01,08      46,585     814,376           0
BEMIS INC                         COM   081437105       5,950     147,417  SH     DEFINED     09     147,417           0           0

BENCHMARK ELECTRS INC             COM   08160H101       6,686     371,044  SH     DEFINED     01      21,198     349,846           0
BENCHMARK ELECTRS INC             COM   08160H101      16,370     908,430  SH     DEFINED  01,08     333,860     574,570           0
BENCHMARK ELECTRS INC             COM   08160H101       2,550     141,526  SH     DEFINED     09     141,526           0           0

BENEFICIAL MUTUAL BANCORP IN      COM   08173R104       1,126     109,278  SH     DEFINED     01      48,466      59,822         990
BENEFICIAL MUTUAL BANCORP IN      COM   08173R104          45       4,395  SH     OTHER       01       2,885       1,510           0
BENEFICIAL MUTUAL BANCORP IN      COM   08173R104       3,753     364,372  SH     DEFINED  01,08      38,469     325,903           0
BENEFICIAL MUTUAL BANCORP IN      COM   08173R104         853      82,860  SH     DEFINED     09      82,860           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     50
  ________

BERKLEY W R CORP                  COM   084423102       1,677      37,804  SH     DEFINED     01      22,025      15,504         275
BERKLEY W R CORP                  COM   084423102         221       4,992  SH     OTHER       01       4,992           0           0
BERKLEY W R CORP                  COM   084423102      41,289     930,557  SH     DEFINED  01,08     127,316     803,241           0
BERKLEY W R CORP                  COM   084423102       7,376     166,228  SH     DEFINED     09     166,228           0           0

BERKSHIRE BANCORP INC DEL         COM   084597202          51       6,085  SH     DEFINED     01          10       6,075           0
BERKSHIRE BANCORP INC DEL         COM   084597202         338      40,510  SH     DEFINED  01,08       5,713      34,797           0
BERKSHIRE BANCORP INC DEL         COM   084597202         124      14,836  SH     DEFINED     09      14,836           0           0

BERKSHIRE HATHAWAY INC DEL        COM   084670108      36,257         232  SH     DEFINED     01         200           9          23
BERKSHIRE HATHAWAY INC DEL        COM   084670108      15,472          99  SH     OTHER       01          68          29           2
BERKSHIRE HATHAWAY INC DEL        COM   084670108         781           5  SH     DEFINED     09           5           0           0

BERKSHIRE HATHAWAY INC DEL        COM   084670702     240,884   2,311,745  SH     DEFINED     01   1,046,136   1,234,383      31,226
BERKSHIRE HATHAWAY INC DEL        COM   084670702      22,157     212,640  SH     OTHER       01     144,436      45,907      22,297
BERKSHIRE HATHAWAY INC DEL        COM   084670702   1,566,913  15,037,548  SH     DEFINED  01,08   1,443,256  13,594,292           0
BERKSHIRE HATHAWAY INC DEL        COM   084670702     423,089   4,060,352  SH     DEFINED     09   4,060,352           0           0

BERKSHIRE HILLS BANCORP INC       COM   084680107       2,209      86,506  SH     DEFINED     01       8,292      78,214           0
BERKSHIRE HILLS BANCORP INC       COM   084680107       8,630     337,900  SH     DEFINED  01,08      80,011     257,889           0
BERKSHIRE HILLS BANCORP INC       COM   084680107       1,409      55,155  SH     DEFINED     09      55,155           0           0

BERRY PETE CO                     COM   085789105       3,777      81,595  SH     DEFINED     01      26,870      53,878         847
BERRY PETE CO                     COM   085789105          19         416  SH     OTHER       01         416           0           0
BERRY PETE CO                     COM   085789105      26,280     567,726  SH     DEFINED  01,08      35,595     532,131           0
BERRY PETE CO                     COM   085789105       5,953     128,602  SH     DEFINED     09     128,602           0           0

BERRY PLASTICS GROUP INC          COM   08579W103         409      21,454  SH     DEFINED     01       3,039      18,415           0
BERRY PLASTICS GROUP INC          COM   08579W103       5,696     299,000  SH     DEFINED  01,08       4,319     294,681           0
BERRY PLASTICS GROUP INC          COM   08579W103       1,415      74,285  SH     DEFINED     09      74,285           0           0

BEST BUY INC                      COM   086516101       7,270     328,203  SH     DEFINED     01     151,158     176,603         442
BEST BUY INC                      COM   086516101         508      22,912  SH     OTHER       01      19,932       2,890          90
BEST BUY INC                      COM   086516101      52,553   2,372,581  SH     DEFINED  01,08     376,294   1,996,287           0
BEST BUY INC                      COM   086516101      18,133     818,628  SH     DEFINED     09     818,628           0           0

BHP BILLITON LTD                  COM   088606108      98,952   1,446,028  SH     DEFINED     01   1,331,299      84,127      30,602
BHP BILLITON LTD                  COM   088606108      21,753     317,884  SH     OTHER       01     243,843      43,915      30,126
BHP BILLITON LTD                  COM   088606108      10,295     150,450  SH     DEFINED  01,08      71,431      79,019           0
BHP BILLITON LTD                  COM   088606108       5,282      77,193  SH     DEFINED     09      77,193           0           0

BG MEDICINE INC                   COM   08861T107          10       5,253  SH     DEFINED     01          20       5,233           0
BG MEDICINE INC                   COM   08861T107         202     103,512  SH     DEFINED  01,08       1,562     101,950           0
BG MEDICINE INC                   COM   08861T107          52      26,641  SH     DEFINED     09      26,641           0           0

BIG 5 SPORTING GOODS CORP         COM   08915P101         401      25,678  SH     DEFINED     01       7,105      18,573           0
BIG 5 SPORTING GOODS CORP         COM   08915P101       2,859     183,138  SH     DEFINED  01,08      11,046     172,092           0
BIG 5 SPORTING GOODS CORP         COM   08915P101         662      42,405  SH     DEFINED     09      42,405           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     51
  ________

BIG LOTS INC                      COM   089302103       1,401      39,736  SH     DEFINED     01      31,255       8,306         175
BIG LOTS INC                      COM   089302103          90       2,545  SH     OTHER       01         713       1,797          35
BIG LOTS INC                      COM   089302103      15,868     449,894  SH     DEFINED  01,08       8,938     440,956           0
BIG LOTS INC                      COM   089302103           0           1  SH     DEFINED     09           1           0           0

BIGLARI HLDGS INC                 COM   08986R101         674       1,806  SH     DEFINED     01         525       1,281           0
BIGLARI HLDGS INC                 COM   08986R101          34          90  SH     OTHER       01           0          90           0
BIGLARI HLDGS INC                 COM   08986R101       5,273      14,129  SH     DEFINED  01,08       1,150      12,979           0
BIGLARI HLDGS INC                 COM   08986R101       1,057       2,833  SH     DEFINED     09       2,833           0           0

BIO-REFERENCE LABS INC            COM   09057G602       4,214     162,219  SH     DEFINED     01     112,980      46,649       2,590
BIO-REFERENCE LABS INC            COM   09057G602         363      13,971  SH     OTHER       01       6,747       6,948         276
BIO-REFERENCE LABS INC            COM   09057G602       7,244     278,841  SH     DEFINED  01,08      21,934     256,907           0
BIO-REFERENCE LABS INC            COM   09057G602       1,665      64,073  SH     DEFINED     09      64,073           0           0

BIO RAD LABS INC                  COM   090572207      10,015      79,483  SH     DEFINED     01      73,410       5,047       1,026
BIO RAD LABS INC                  COM   090572207         675       5,355  SH     OTHER       01       1,675       3,444         236
BIO RAD LABS INC                  COM   090572207      18,958     150,463  SH     DEFINED  01,08       1,872     148,591           0
BIO RAD LABS INC                  COM   090572207           0           1  SH     DEFINED     09           1           0           0

BIOCRYST PHARMACEUTICALS          COM   09058V103          42      35,287  SH     DEFINED     01       1,780      33,507           0
BIOCRYST PHARMACEUTICALS          COM   09058V103         579     486,698  SH     DEFINED  01,08      20,505     466,193           0
BIOCRYST PHARMACEUTICALS          COM   09058V103         143     120,225  SH     DEFINED     09     120,225           0           0

BIODELIVERY SCIENCES INTL IN      COM   09060J106          77      18,228  SH     DEFINED     01           0      18,228           0
BIODELIVERY SCIENCES INTL IN      COM   09060J106         973     231,143  SH     DEFINED  01,08       8,261     222,882           0
BIODELIVERY SCIENCES INTL IN      COM   09060J106         230      54,686  SH     DEFINED     09      54,686           0           0

BIOMARIN PHARMACEUTICAL INC       COM   09061G101      14,006     224,957  SH     DEFINED     01     154,007      70,923          27
BIOMARIN PHARMACEUTICAL INC       COM   09061G101         481       7,727  SH     OTHER       01       4,595       3,057          75
BIOMARIN PHARMACEUTICAL INC       COM   09061G101      32,917     528,698  SH     DEFINED  01,08      30,840     497,858           0
BIOMARIN PHARMACEUTICAL INC       COM   09061G101           0           1  SH     DEFINED     09           1           0           0

BIOGEN IDEC INC                   COM   09062X103      90,442     469,539  SH     DEFINED     01     270,934     194,449       4,156
BIOGEN IDEC INC                   COM   09062X103       4,245      22,036  SH     OTHER       01       9,808      12,228           0
BIOGEN IDEC INC                   COM   09062X103     409,988   2,128,505  SH     DEFINED  01,08     301,137   1,827,368           0
BIOGEN IDEC INC                   COM   09062X103     131,227     681,282  SH     DEFINED     09     681,282           0           0

BIOMED REALTY TRUST INC           COM   09063H107       2,054      95,072  SH     DEFINED     01      78,455      16,194         423
BIOMED REALTY TRUST INC           COM   09063H107         138       6,384  SH     OTHER       01       6,060         272          52
BIOMED REALTY TRUST INC           COM   09063H107      33,903   1,569,561  SH     DEFINED  01,08     365,451   1,204,110           0
BIOMED REALTY TRUST INC           COM   09063H107       1,414      65,474  SH     DEFINED     09      65,474           0           0

BIODEL INC                        COM   09064M204           3       1,173  SH     DEFINED     01         275         898           0
BIODEL INC                        COM   09064M204          35      12,347  SH     DEFINED  01,08       1,632      10,715           0

BIOSANTE PHARMACEUTICALS INC      COM   09065V302           2       1,700  SH     DEFINED     01         450       1,250           0
BIOSANTE PHARMACEUTICALS INC      COM   09065V302          44      37,716  SH     DEFINED  01,08       1,131      36,585           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     52
  ________

BIOTIME INC                       COM   09066L105         106      27,776  SH     DEFINED     01       4,170      23,606           0
BIOTIME INC                       COM   09066L105       1,204     315,082  SH     DEFINED  01,08      12,879     302,203           0
BIOTIME INC                       COM   09066L105         293      76,612  SH     DEFINED     09      76,612           0           0

BIOSCRIP INC                      COM   09069N108       1,631     128,309  SH     DEFINED     01      73,343      52,551       2,415
BIOSCRIP INC                      COM   09069N108          66       5,209  SH     OTHER       01       5,209           0           0
BIOSCRIP INC                      COM   09069N108       6,473     509,283  SH     DEFINED  01,08      39,398     469,885           0
BIOSCRIP INC                      COM   09069N108       1,398     109,986  SH     DEFINED     09     109,986           0           0

BIOTA PHARMACEUTIALS INC          COM   090694100          16       3,866  SH     DEFINED     01         456       3,410           0
BIOTA PHARMACEUTIALS INC          COM   090694100          94      23,180  SH     DEFINED  01,08       3,411      19,769           0

BIOLASE INC                       COM   090911108          43      10,755  SH     DEFINED     01           0      10,755           0
BIOLASE INC                       COM   090911108         252      63,387  SH     DEFINED  01,08      10,959      52,428           0

BIOSPECIFICS TECHNOLOGIES CO      COM   090931106         169       9,887  SH     DEFINED     01          10       9,877           0
BIOSPECIFICS TECHNOLOGIES CO      COM   090931106       1,014      59,490  SH     DEFINED  01,08      11,296      48,194           0
BIOSPECIFICS TECHNOLOGIES CO      COM   090931106         190      11,167  SH     DEFINED     09      11,167           0           0

BJS RESTAURANTS INC               COM   09180C106       1,705      51,223  SH     DEFINED     01      23,905      27,318           0
BJS RESTAURANTS INC               COM   09180C106          23         697  SH     OTHER       01         697           0           0
BJS RESTAURANTS INC               COM   09180C106       9,129     274,320  SH     DEFINED  01,08      17,706     256,614           0
BJS RESTAURANTS INC               COM   09180C106       1,957      58,804  SH     DEFINED     09      58,804           0           0

BLACK BOX CORP DEL                COM   091826107       3,344     153,308  SH     DEFINED     01       7,142     146,166           0
BLACK BOX CORP DEL                COM   091826107       4,188     192,015  SH     DEFINED  01,08      19,899     172,116           0
BLACK BOX CORP DEL                COM   091826107         912      41,822  SH     DEFINED     09      41,822           0           0

BLACK DIAMOND INC                 COM   09202G101         146      15,989  SH     DEFINED     01         550      15,439           0
BLACK DIAMOND INC                 COM   09202G101       1,923     211,076  SH     DEFINED  01,08       9,217     201,859           0
BLACK DIAMOND INC                 COM   09202G101         498      54,664  SH     DEFINED     09      54,664           0           0

BLACK HILLS CORP                  COM   092113109       8,848     200,902  SH     DEFINED     01      10,665     190,237           0
BLACK HILLS CORP                  COM   092113109          84       1,900  SH     OTHER       01       1,000         900           0
BLACK HILLS CORP                  COM   092113109      34,233     777,315  SH     DEFINED  01,08     188,040     589,275           0
BLACK HILLS CORP                  COM   092113109       4,862     110,400  SH     DEFINED     09     110,400           0           0

BLACKBAUD INC                     COM   09227Q100       7,853     265,038  SH     DEFINED     01     190,077      72,751       2,210
BLACKBAUD INC                     COM   09227Q100         144       4,875  SH     OTHER       01       2,393       1,912         570
BLACKBAUD INC                     COM   09227Q100      15,786     532,757  SH     DEFINED  01,08      55,297     477,460           0
BLACKBAUD INC                     COM   09227Q100       3,393     114,497  SH     DEFINED     09     114,497           0           0

BLACKROCK INC                     COM   09247X101     110,908     431,751  SH     DEFINED     01     330,851      93,174       7,726
BLACKROCK INC                     COM   09247X101      12,672      49,329  SH     OTHER       01      31,021      14,567       3,741
BLACKROCK INC                     COM   09247X101     305,790   1,190,399  SH     DEFINED  01,08     217,106     960,622      12,671
BLACKROCK INC                     COM   09247X101      97,782     380,654  SH     DEFINED     09     380,654           0           0

BLACKROCK MUN INCOME TR        UNDEFIND 09248F109           2      15,922         DEFINED     01      15,922           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     53
  ________

BLACKROCK MUNI INCOME INV QL   UNDEFIND 09250G102           2      11,600         DEFINED     01       2,200           0       9,400
BLACKROCK MUNI INCOME INV QL   UNDEFIND 09250G102           0         600         OTHER       01           0         600           0

BLACKROCK ENHANCED EQT DIV T      COM   09251A104         248      31,763  SH     DEFINED     01       2,835           0      28,928

BLACKSTONE GROUP L P              COM   09253U108         142       7,200  SH     DEFINED     01       7,200           0           0
BLACKSTONE GROUP L P              COM   09253U108       1,112      56,233  SH     OTHER       01      20,667      33,900       1,666

BLACKROCK MUNIENHANCED FD IN   UNDEFIND 09253Y100           4      30,000         DEFINED     01      30,000           0           0

BLACKROCK KELSO CAPITAL CORP      COM   092533108       3,113     311,340  SH     DEFINED     01      11,463     299,877           0
BLACKROCK KELSO CAPITAL CORP      COM   092533108       8,906     890,606  SH     DEFINED  01,08     284,262     606,344           0
BLACKROCK KELSO CAPITAL CORP      COM   092533108       1,754     175,434  SH     DEFINED     09     175,434           0           0

BLACKROCK MUNIHLDNGS CALI QL   UNDEFIND 09254L107           6      35,144         DEFINED     01      35,144           0           0

BLACKROCK MUNIYLD MICH QLTY    UNDEFIND 09254V105           2      12,399         DEFINED     01      12,399           0           0

BLOCK H & R INC                   COM   093671105      14,084     478,722  SH     DEFINED     01     257,731     220,519         472
BLOCK H & R INC                   COM   093671105         779      26,471  SH     OTHER       01      16,143      10,328           0
BLOCK H & R INC                   COM   093671105      77,895   2,647,694  SH     DEFINED  01,08     428,040   2,219,654           0
BLOCK H & R INC                   COM   093671105      24,859     844,984  SH     DEFINED     09     844,984           0           0

BLONDER TONGUE LABS INC           COM   093698108           5       3,997  SH     DEFINED     01           0       3,997           0
BLONDER TONGUE LABS INC           COM   093698108           9       7,374  SH     DEFINED  01,08       3,891       3,483           0

BLOOMIN BRANDS INC                COM   094235108         174       9,728  SH     DEFINED     01           0       9,728           0
BLOOMIN BRANDS INC                COM   094235108       3,395     190,074  SH     DEFINED  01,08       2,590     187,484           0
BLOOMIN BRANDS INC                COM   094235108         790      44,243  SH     DEFINED     09      44,243           0           0

BLOUNT INTL INC NEW               COM   095180105         750      56,020  SH     DEFINED     01       5,102      50,918           0
BLOUNT INTL INC NEW               COM   095180105       7,264     542,927  SH     DEFINED  01,08      35,591     507,336           0
BLOUNT INTL INC NEW               COM   095180105       1,561     116,702  SH     DEFINED     09     116,702           0           0

BLUCORA INC                       COM   095229100       5,122     330,878  SH     DEFINED     01      12,892     317,986           0
BLUCORA INC                       COM   095229100      11,172     721,714  SH     DEFINED  01,08     322,263     399,451           0
BLUCORA INC                       COM   095229100       1,601     103,427  SH     DEFINED     09     103,427           0           0

BLUE NILE INC                     COM   09578R103         649      18,840  SH     DEFINED     01       5,139      13,701           0
BLUE NILE INC                     COM   09578R103       4,812     139,687  SH     DEFINED  01,08       9,869     129,818           0
BLUE NILE INC                     COM   09578R103       1,129      32,776  SH     DEFINED     09      32,776           0           0

BLUEGREEN CORP                    COM   096231105         199      20,218  SH     DEFINED     01         560      19,658           0
BLUEGREEN CORP                    COM   096231105       1,420     144,322  SH     DEFINED  01,08           0     144,322           0

BLUELINX HLDGS INC                COM   09624H109          63      22,133  SH     DEFINED     01           0      22,133           0
BLUELINX HLDGS INC                COM   09624H109         738     259,083  SH     DEFINED  01,08      12,518     246,565           0
BLUELINX HLDGS INC                COM   09624H109         294     103,095  SH     DEFINED     09     103,095           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     54
  ________

BLYTH INC                         COM   09643P207       1,774     102,195  SH     DEFINED     01       4,929      97,266           0
BLYTH INC                         COM   09643P207       2,122     122,242  SH     DEFINED  01,08       9,206     113,036           0
BLYTH INC                         COM   09643P207         430      24,774  SH     DEFINED     09      24,774           0           0

BOARDWALK PIPELINE PARTNERS       COM   096627104       1,582      53,976  SH     DEFINED     01      53,976           0           0
BOARDWALK PIPELINE PARTNERS       COM   096627104         124       4,220  SH     OTHER       01           0       4,220           0

BOB EVANS FARMS INC               COM   096761101       9,824     230,492  SH     DEFINED     01      28,960     200,594         938
BOB EVANS FARMS INC               COM   096761101          20         460  SH     OTHER       01         460           0           0
BOB EVANS FARMS INC               COM   096761101      25,167     590,486  SH     DEFINED  01,08     204,359     386,127           0
BOB EVANS FARMS INC               COM   096761101       3,045      71,448  SH     DEFINED     09      71,448           0           0

BODY CENT CORP                    COM   09689U102          98      10,419  SH     DEFINED     01       1,670       8,749           0
BODY CENT CORP                    COM   09689U102       1,568     166,845  SH     DEFINED  01,08       3,543     163,302           0
BODY CENT CORP                    COM   09689U102         377      40,108  SH     DEFINED     09      40,108           0           0

BOEING CO                         COM   097023105     115,092   1,340,623  SH     DEFINED     01     739,961     580,509      20,153
BOEING CO                         COM   097023105      17,317     201,713  SH     OTHER       01     115,316      61,327      25,070
BOEING CO                         COM   097023105     557,813   6,497,534  SH     DEFINED  01,08   1,101,557   5,355,351      40,626
BOEING CO                         COM   097023105     159,848   1,861,948  SH     DEFINED     09   1,861,948           0           0

BOINGO WIRELESS INC               COM   09739C102          49       8,932  SH     DEFINED     01          30       8,902           0
BOINGO WIRELESS INC               COM   09739C102         847     153,518  SH     DEFINED  01,08       2,814     150,704           0
BOINGO WIRELESS INC               COM   09739C102         214      38,773  SH     DEFINED     09      38,773           0           0

BOISE CASCADE CO DEL              COM   09739D100          35       1,023  SH     DEFINED     01           0       1,023           0
BOISE CASCADE CO DEL              COM   09739D100          77       2,270  SH     OTHER       01       1,460         810           0
BOISE CASCADE CO DEL              COM   09739D100       1,074      31,633  SH     DEFINED  01,08       1,979      29,654           0
BOISE CASCADE CO DEL              COM   09739D100       1,068      31,469  SH     DEFINED     09      31,469           0           0

BOISE INC                         COM   09746Y105       5,249     606,100  SH     DEFINED     01      15,872     590,228           0
BOISE INC                         COM   09746Y105      13,591   1,569,419  SH     DEFINED  01,08     596,415     973,004           0
BOISE INC                         COM   09746Y105       2,113     244,041  SH     DEFINED     09     244,041           0           0

BOLT TECHNOLOGY CORP              COM   097698104         299      17,113  SH     DEFINED     01         995      16,118           0
BOLT TECHNOLOGY CORP              COM   097698104       1,675      95,962  SH     DEFINED  01,08      14,307      81,655           0
BOLT TECHNOLOGY CORP              COM   097698104         386      22,084  SH     DEFINED     09      22,084           0           0

BON-TON STORES INC                COM   09776J101         178      13,682  SH     DEFINED     01       2,245      11,437           0
BON-TON STORES INC                COM   09776J101       2,067     158,995  SH     DEFINED  01,08       4,847     154,148           0
BON-TON STORES INC                COM   09776J101         453      34,856  SH     DEFINED     09      34,856           0           0

BONANZA CREEK ENERGY INC          COM   097793103         300       7,760  SH     DEFINED     01       2,375       5,385           0
BONANZA CREEK ENERGY INC          COM   097793103       4,780     123,622  SH     DEFINED  01,08       3,598     120,024           0
BONANZA CREEK ENERGY INC          COM   097793103       1,064      27,518  SH     DEFINED     09      27,518           0           0

BOOKS-A-MILLION INC               COM   098570104          26       9,429  SH     DEFINED     01           0       9,429           0
BOOKS-A-MILLION INC               COM   098570104          56      20,138  SH     DEFINED  01,08      10,552       9,586           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     55
  ________

BOOZ ALLEN HAMILTON HLDG COR      COM   099502106           4         303  SH     DEFINED     01         188         115           0
BOOZ ALLEN HAMILTON HLDG COR      COM   099502106       1,682     125,155  SH     DEFINED  01,08       3,500     121,655           0

BORGWARNER INC                    COM   099724106      24,276     313,884  SH     DEFINED     01     222,090      88,274       3,520
BORGWARNER INC                    COM   099724106       2,893      37,405  SH     OTHER       01       8,235      29,024         146
BORGWARNER INC                    COM   099724106      79,762   1,031,314  SH     DEFINED  01,08     145,875     885,439           0
BORGWARNER INC                    COM   099724106      25,817     333,813  SH     DEFINED     09     333,813           0           0

BOSTON BEER INC                   COM   100557107       2,398      15,020  SH     DEFINED     01       3,493      11,527           0
BOSTON BEER INC                   COM   100557107      14,549      91,139  SH     DEFINED  01,08       9,478      81,661           0
BOSTON BEER INC                   COM   100557107       3,047      19,089  SH     DEFINED     09      19,089           0           0

BOSTON PRIVATE FINL HLDGS IN      COM   101119105         907      91,798  SH     DEFINED     01      31,853      59,945           0
BOSTON PRIVATE FINL HLDGS IN      COM   101119105       8,200     829,949  SH     DEFINED  01,08      32,175     797,774           0
BOSTON PRIVATE FINL HLDGS IN      COM   101119105       1,821     184,305  SH     DEFINED     09     184,305           0           0

BOSTON PROPERTIES INC             COM   101121101      20,790     205,718  SH     DEFINED     01     101,821     102,249       1,648
BOSTON PROPERTIES INC             COM   101121101         476       4,714  SH     OTHER       01       3,416       1,145         153
BOSTON PROPERTIES INC             COM   101121101     165,601   1,638,637  SH     DEFINED  01,08     492,167   1,146,470           0
BOSTON PROPERTIES INC             COM   101121101      51,187     506,506  SH     DEFINED     09     506,506           0           0

BOSTON SCIENTIFIC CORP            COM   101137107      12,546   1,606,393  SH     DEFINED     01     734,479     870,303       1,611
BOSTON SCIENTIFIC CORP            COM   101137107         200      25,546  SH     OTHER       01      21,773       3,634         139
BOSTON SCIENTIFIC CORP            COM   101137107      94,242  12,066,829  SH     DEFINED  01,08   1,757,441  10,309,388           0
BOSTON SCIENTIFIC CORP            COM   101137107      32,005   4,097,972  SH     DEFINED     09   4,097,972           0           0

BOTTOMLINE TECH DEL INC           COM   101388106       2,360      82,769  SH     DEFINED     01      47,174      35,595           0
BOTTOMLINE TECH DEL INC           COM   101388106          42       1,472  SH     OTHER       01       1,472           0           0
BOTTOMLINE TECH DEL INC           COM   101388106      11,443     401,364  SH     DEFINED  01,08      22,414     378,950           0
BOTTOMLINE TECH DEL INC           COM   101388106       2,722      95,461  SH     DEFINED     09      95,461           0           0

BOULDER BRANDS INC                COM   101405108         571      63,549  SH     DEFINED     01       9,603      53,946           0
BOULDER BRANDS INC                COM   101405108       5,574     620,036  SH     DEFINED  01,08      33,040     586,996           0
BOULDER BRANDS INC                COM   101405108       1,291     143,550  SH     DEFINED     09     143,550           0           0

BOVIE MEDICAL CORP                COM   10211F100          28       8,346  SH     DEFINED     01           0       8,346           0
BOVIE MEDICAL CORP                COM   10211F100          83      25,239  SH     DEFINED  01,08      10,606      14,633           0

BOWL AMER INC                     COM   102565108          82       6,323  SH     DEFINED     01           0       6,323           0
BOWL AMER INC                     COM   102565108         106       8,177  SH     DEFINED  01,08       7,250         927           0

BOYD GAMING CORP                  COM   103304101         449      54,247  SH     DEFINED     01      17,834      36,413           0
BOYD GAMING CORP                  COM   103304101       4,848     586,269  SH     DEFINED  01,08      19,492     566,777           0
BOYD GAMING CORP                  COM   103304101       1,174     141,930  SH     DEFINED     09     141,930           0           0

BRADY CORP                        COM   104674106      11,415     340,452  SH     DEFINED     01      15,972     324,480           0
BRADY CORP                        COM   104674106          23         700  SH     OTHER       01           0           0         700
BRADY CORP                        COM   104674106      27,497     820,072  SH     DEFINED  01,08     330,128     489,944           0
BRADY CORP                        COM   104674106       4,039     120,463  SH     DEFINED     09     120,463           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     56
  ________

BRANDYWINE RLTY TR                COM   105368203       4,218     284,047  SH     DEFINED     01     200,652      80,837       2,558
BRANDYWINE RLTY TR                COM   105368203         129       8,707  SH     OTHER       01       8,135         472         100
BRANDYWINE RLTY TR                COM   105368203      17,032   1,146,925  SH     DEFINED  01,08     361,039     785,886           0
BRANDYWINE RLTY TR                COM   105368203         751      50,558  SH     DEFINED     09      50,558           0           0

BRF-BRASIL FOODS S A              COM   10552T107       1,421      64,268  SH     DEFINED     01      55,644       7,094       1,530
BRF-BRASIL FOODS S A              COM   10552T107         288      13,042  SH     OTHER       01       6,574       6,468           0
BRF-BRASIL FOODS S A              COM   10552T107         784      35,466  SH     DEFINED  01,08           0      35,466           0

BRAVO BRIO RESTAURANT GROUP       COM   10567B109         208      13,166  SH     DEFINED     01       2,052      11,114           0
BRAVO BRIO RESTAURANT GROUP       COM   10567B109       3,232     204,200  SH     DEFINED  01,08       3,707     200,493           0
BRAVO BRIO RESTAURANT GROUP       COM   10567B109         832      52,562  SH     DEFINED     09      52,562           0           0

BREEZE EASTERN CORP               COM   106764103          79       9,555  SH     DEFINED     01           0       9,555           0
BREEZE EASTERN CORP               COM   106764103         129      15,617  SH     DEFINED  01,08      10,746       4,871           0

BREITBURN ENERGY PARTNERS LP      COM   106776107       1,109      55,343  SH     DEFINED     01      54,343           0       1,000
BREITBURN ENERGY PARTNERS LP      COM   106776107         273      13,600  SH     OTHER       01      12,600       1,000           0

BRIDGE CAP HLDGS                  COM   108030107          91       5,939  SH     DEFINED     01         940       4,999           0
BRIDGE CAP HLDGS                  COM   108030107       1,303      85,473  SH     DEFINED  01,08       2,209      83,264           0
BRIDGE CAP HLDGS                  COM   108030107         368      24,139  SH     DEFINED     09      24,139           0           0

BRIDGE BANCORP INC                COM   108035106         122       5,655  SH     DEFINED     01         915       4,740           0
BRIDGE BANCORP INC                COM   108035106       1,713      79,653  SH     DEFINED  01,08       1,516      78,137           0
BRIDGE BANCORP INC                COM   108035106         378      17,593  SH     DEFINED     09      17,593           0           0

BRIDGEPOINT ED INC                COM   10807M105         135      13,159  SH     DEFINED     01         710      12,449           0
BRIDGEPOINT ED INC                COM   10807M105       1,972     192,785  SH     DEFINED  01,08       7,228     185,557           0
BRIDGEPOINT ED INC                COM   10807M105         427      41,730  SH     DEFINED     09      41,730           0           0

BRIDGELINE DIGITAL INC            COM   10807Q205          23      18,000  SH     DEFINED     01      18,000           0           0
BRIDGELINE DIGITAL INC            COM   10807Q205          16      12,774  SH     DEFINED  01,08           0      12,774           0

BRIDGFORD FOODS CORP              COM   108763103          52       6,471  SH     DEFINED     01           0       6,471           0
BRIDGFORD FOODS CORP              COM   108763103          72       8,963  SH     DEFINED  01,08       7,717       1,246           0

BRIGGS & STRATTON CORP            COM   109043109      11,514     464,272  SH     DEFINED     01      35,473     428,799           0
BRIGGS & STRATTON CORP            COM   109043109         372      15,000  SH     OTHER       01      15,000           0           0
BRIGGS & STRATTON CORP            COM   109043109      22,977     926,479  SH     DEFINED  01,08     434,384     492,095           0
BRIGGS & STRATTON CORP            COM   109043109       2,933     118,250  SH     DEFINED     09     118,250           0           0

BRIGHT HORIZONS FAM SOL IN D      COM   109194100         923      27,313  SH     DEFINED  01,08       1,725      25,588           0
BRIGHT HORIZONS FAM SOL IN D      COM   109194100         919      27,203  SH     DEFINED     09      27,203           0           0

BRIGHTCOVE INC                    COM   10921T101          17       2,662  SH     DEFINED     01           0       2,662           0
BRIGHTCOVE INC                    COM   10921T101         489      78,709  SH     DEFINED  01,08       2,202      76,507           0
BRIGHTCOVE INC                    COM   10921T101          81      12,983  SH     DEFINED     09      12,983           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     57
  ________

BRINKER INTL INC                  COM   109641100       1,069      28,382  SH     DEFINED     01       9,416      18,966           0
BRINKER INTL INC                  COM   109641100         126       3,350  SH     OTHER       01       3,350           0           0
BRINKER INTL INC                  COM   109641100      23,601     626,861  SH     DEFINED  01,08      10,111     616,750           0
BRINKER INTL INC                  COM   109641100           0           1  SH     DEFINED     09           1           0           0

BRINKS CO                         COM   109696104       3,457     122,346  SH     DEFINED     01      46,821      73,857       1,668
BRINKS CO                         COM   109696104         383      13,544  SH     OTHER       01         769      12,775           0
BRINKS CO                         COM   109696104      19,938     705,530  SH     DEFINED  01,08      57,517     648,013           0
BRINKS CO                         COM   109696104       3,263     115,468  SH     DEFINED     09     115,468           0           0

BRISTOL MYERS SQUIBB CO           COM   110122108     236,526   5,742,317  SH     DEFINED     01   4,154,850   1,446,138     141,329
BRISTOL MYERS SQUIBB CO           COM   110122108      92,653   2,249,404  SH     OTHER       01   1,677,490     193,790     378,124
BRISTOL MYERS SQUIBB CO           COM   110122108     616,368  14,964,032  SH     DEFINED  01,08   2,306,281  12,657,751           0
BRISTOL MYERS SQUIBB CO           COM   110122108     202,283   4,910,967  SH     DEFINED     09   4,910,967           0           0

BRISTOW GROUP INC                 COM   110394103      18,227     276,420  SH     DEFINED     01      38,619     236,818         983
BRISTOW GROUP INC                 COM   110394103          32         483  SH     OTHER       01         483           0           0
BRISTOW GROUP INC                 COM   110394103      38,511     584,030  SH     DEFINED  01,08     224,272     359,758           0
BRISTOW GROUP INC                 COM   110394103       5,798      87,933  SH     DEFINED     09      87,933           0           0

BRITISH AMERN TOB PLC             COM   110448107      31,261     292,027  SH     DEFINED     01     260,359      24,775       6,893
BRITISH AMERN TOB PLC             COM   110448107       4,023      37,582  SH     OTHER       01      24,026      12,560         996
BRITISH AMERN TOB PLC             COM   110448107       6,846      63,948  SH     DEFINED  01,08      17,178      46,770           0

BROADCOM CORP                     COM   111320107      25,700     741,090  SH     DEFINED     01     352,400     384,628       4,062
BROADCOM CORP                     COM   111320107       2,156      62,168  SH     OTHER       01      45,191      16,412         565
BROADCOM CORP                     COM   111320107     166,961   4,814,479  SH     DEFINED  01,08     723,667   4,090,812           0
BROADCOM CORP                     COM   111320107      54,121   1,560,620  SH     DEFINED     09   1,560,620           0           0

BROADSOFT INC                     COM   11133B409         672      25,405  SH     DEFINED     01         984      24,421           0
BROADSOFT INC                     COM   11133B409       7,863     297,049  SH     DEFINED  01,08      14,262     282,787           0
BROADSOFT INC                     COM   11133B409       1,817      68,626  SH     DEFINED     09      68,626           0           0

BROADRIDGE FINL SOLUTIONS IN      COM   11133T103       2,418      97,331  SH     DEFINED     01      61,163      35,402         766
BROADRIDGE FINL SOLUTIONS IN      COM   11133T103         181       7,296  SH     OTHER       01       3,866       3,385          45
BROADRIDGE FINL SOLUTIONS IN      COM   11133T103      23,625     951,090  SH     DEFINED  01,08      11,767     939,323           0
BROADRIDGE FINL SOLUTIONS IN      COM   11133T103           0           1  SH     DEFINED     09           1           0           0

BROADWIND ENERGY INC              COM   11161T207          88      20,217  SH     DEFINED  01,08           0      20,217           0

BROCADE COMMUNICATIONS SYS I      COM   111621306       3,841     665,659  SH     DEFINED     01      29,736     635,923           0
BROCADE COMMUNICATIONS SYS I      COM   111621306      13,744   2,382,044  SH     DEFINED  01,08     624,192   1,757,852           0
BROCADE COMMUNICATIONS SYS I      COM   111621306           0           1  SH     DEFINED     09           1           0           0

BROOKDALE SR LIVING INC           COM   112463104         517      18,528  SH     DEFINED     01       7,433      11,095           0
BROOKDALE SR LIVING INC           COM   112463104          82       2,953  SH     OTHER       01       2,953           0           0
BROOKDALE SR LIVING INC           COM   112463104      10,822     388,173  SH     DEFINED  01,08       9,372     378,801           0
BROOKDALE SR LIVING INC           COM   112463104           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     58
  ________

BROOKFIELD ASSET MGMT INC         COM   112585104       4,107     112,542  SH     DEFINED     01      97,417      13,325       1,800
BROOKFIELD ASSET MGMT INC         COM   112585104         356       9,762  SH     OTHER       01       4,502       5,260           0
BROOKFIELD ASSET MGMT INC         COM   112585104       1,037      28,428  SH     DEFINED  01,08           0      28,428           0

BROOKFIELD RESIDENTIAL PPTYS      COM   11283W104         516      21,218  SH     DEFINED     01       1,585      19,633           0
BROOKFIELD RESIDENTIAL PPTYS      COM   11283W104         894      36,726  SH     DEFINED  01,08      33,340       3,386           0

BROOKLINE BANCORP INC DEL         COM   11373M107       1,139     124,601  SH     DEFINED     01      44,167      80,434           0
BROOKLINE BANCORP INC DEL         COM   11373M107       7,217     789,654  SH     DEFINED  01,08      67,272     722,382           0
BROOKLINE BANCORP INC DEL         COM   11373M107       1,549     169,494  SH     DEFINED     09     169,494           0           0

BROOKS AUTOMATION INC             COM   114340102       5,947     584,222  SH     DEFINED     01      26,817     557,405           0
BROOKS AUTOMATION INC             COM   114340102      12,813   1,258,619  SH     DEFINED  01,08     568,232     690,387           0
BROOKS AUTOMATION INC             COM   114340102       1,672     164,288  SH     DEFINED     09     164,288           0           0

BROWN & BROWN INC                 COM   115236101         876      27,335  SH     DEFINED     01      15,960      11,375           0
BROWN & BROWN INC                 COM   115236101           1          45  SH     OTHER       01          45           0           0
BROWN & BROWN INC                 COM   115236101      27,690     864,230  SH     DEFINED  01,08      11,167     853,063           0
BROWN & BROWN INC                 COM   115236101           0           1  SH     DEFINED     09           1           0           0

BROWN FORMAN CORP                 COM   115637100         279       3,797  SH     DEFINED     01       3,797           0           0

BROWN FORMAN CORP                 COM   115637209      12,011     168,225  SH     DEFINED     01      65,339     102,693         193
BROWN FORMAN CORP                 COM   115637209       1,496      20,959  SH     OTHER       01       1,684      19,272           3
BROWN FORMAN CORP                 COM   115637209      91,219   1,277,571  SH     DEFINED  01,08     156,374   1,121,197           0
BROWN FORMAN CORP                 COM   115637209      24,421     342,029  SH     DEFINED     09     342,029           0           0

BROWN SHOE INC NEW                COM   115736100       1,684     105,278  SH     DEFINED     01      47,989      56,066       1,223
BROWN SHOE INC NEW                COM   115736100          10         622  SH     OTHER       01         622           0           0
BROWN SHOE INC NEW                COM   115736100       7,633     477,064  SH     DEFINED  01,08      41,286     435,778           0
BROWN SHOE INC NEW                COM   115736100       1,674     104,618  SH     DEFINED     09     104,618           0           0

BRUKER CORP                       COM   116794108       1,231      64,436  SH     DEFINED     01       9,594      54,842           0
BRUKER CORP                       COM   116794108       8,534     446,781  SH     DEFINED  01,08      58,944     387,837           0
BRUKER CORP                       COM   116794108           0           1  SH     DEFINED     09           1           0           0

BRUNSWICK CORP                    COM   117043109       4,599     134,390  SH     DEFINED     01      33,861     100,529           0
BRUNSWICK CORP                    COM   117043109      34,379   1,004,642  SH     DEFINED  01,08      72,072     932,570           0
BRUNSWICK CORP                    COM   117043109       7,734     226,000  SH     DEFINED     09     226,000           0           0

BRYN MAWR BK CORP                 COM   117665109         372      15,961  SH     DEFINED     01       2,042      13,919           0
BRYN MAWR BK CORP                 COM   117665109       2,818     121,066  SH     DEFINED  01,08       9,285     111,781           0
BRYN MAWR BK CORP                 COM   117665109         649      27,881  SH     DEFINED     09      27,881           0           0

BSQUARE CORP                      COM   11776U300          14       4,389  SH     DEFINED     01           0       4,389           0
BSQUARE CORP                      COM   11776U300          66      21,444  SH     DEFINED  01,08       2,997      18,447           0

BUCKEYE PARTNERS L P              COM   118230101       3,593      58,741  SH     DEFINED     01      56,741           0       2,000
BUCKEYE PARTNERS L P              COM   118230101         909      14,858  SH     OTHER       01       5,758       9,100           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     59
  ________

BUCKEYE TECHNOLOGIES INC          COM   118255108       4,217     140,815  SH     DEFINED     01      58,626      80,508       1,681
BUCKEYE TECHNOLOGIES INC          COM   118255108          43       1,443  SH     OTHER       01       1,443           0           0
BUCKEYE TECHNOLOGIES INC          COM   118255108      14,346     478,982  SH     DEFINED  01,08      69,416     409,566           0
BUCKEYE TECHNOLOGIES INC          COM   118255108       2,906      97,044  SH     DEFINED     09      97,044           0           0

BUCKLE INC                        COM   118440106       1,881      40,320  SH     DEFINED     01       9,632      30,688           0
BUCKLE INC                        COM   118440106           1          20  SH     OTHER       01           0          20           0
BUCKLE INC                        COM   118440106      14,548     311,844  SH     DEFINED  01,08      23,666     288,178           0
BUCKLE INC                        COM   118440106       3,221      69,047  SH     DEFINED     09      69,047           0           0

BUFFALO WILD WINGS INC            COM   119848109       2,981      34,050  SH     DEFINED     01      15,475      18,575           0
BUFFALO WILD WINGS INC            COM   119848109          36         406  SH     OTHER       01         406           0           0
BUFFALO WILD WINGS INC            COM   119848109      17,958     205,146  SH     DEFINED  01,08      12,875     192,271           0
BUFFALO WILD WINGS INC            COM   119848109       4,180      47,755  SH     DEFINED     09      47,755           0           0

BUILD A BEAR WORKSHOP             COM   120076104          69      12,884  SH     DEFINED     01      10,210       2,674           0
BUILD A BEAR WORKSHOP             COM   120076104         178      33,084  SH     DEFINED  01,08       4,409      28,675           0
BUILD A BEAR WORKSHOP             COM   120076104           0           1  SH     DEFINED     09           1           0           0

BUILDERS FIRSTSOURCE INC          COM   12008R107         282      48,201  SH     DEFINED     01      11,850      36,351           0
BUILDERS FIRSTSOURCE INC          COM   12008R107       3,022     515,743  SH     DEFINED  01,08      28,560     487,183           0
BUILDERS FIRSTSOURCE INC          COM   12008R107         661     112,837  SH     DEFINED     09     112,837           0           0

BURGER KING WORLDWIDE INC         COM   121220107         150       7,871  SH     DEFINED     01           0       7,871           0
BURGER KING WORLDWIDE INC         COM   121220107       2,014     105,430  SH     DEFINED  01,08           0     105,430           0

C & F FINL CORP                   COM   12466Q104          75       1,829  SH     DEFINED     01          50       1,779           0
C & F FINL CORP                   COM   12466Q104       1,211      29,580  SH     DEFINED  01,08         472      29,108           0
C & F FINL CORP                   COM   12466Q104         310       7,568  SH     DEFINED     09       7,568           0           0

C&J ENERGY SVCS INC               COM   12467B304       1,217      53,163  SH     DEFINED     01      15,103      38,060           0
C&J ENERGY SVCS INC               COM   12467B304      10,677     466,229  SH     DEFINED  01,08      25,512     440,717           0
C&J ENERGY SVCS INC               COM   12467B304       2,537     110,776  SH     DEFINED     09     110,776           0           0

CAI INTERNATIONAL INC             COM   12477X106         478      16,576  SH     DEFINED     01       2,148      14,428           0
CAI INTERNATIONAL INC             COM   12477X106       4,618     160,239  SH     DEFINED  01,08      10,756     149,483           0
CAI INTERNATIONAL INC             COM   12477X106       1,074      37,263  SH     DEFINED     09      37,263           0           0

CBIZ INC                          COM   124805102         451      70,758  SH     DEFINED     01       4,735      65,923         100
CBIZ INC                          COM   124805102       3,024     473,937  SH     DEFINED  01,08      55,741     418,196           0
CBIZ INC                          COM   124805102         640     100,241  SH     DEFINED     09     100,241           0           0

CBL & ASSOC PPTYS INC             COM   124830100       7,500     317,800  SH     DEFINED     01      29,588     288,030         182
CBL & ASSOC PPTYS INC             COM   124830100           4         167  SH     OTHER       01           0         117          50
CBL & ASSOC PPTYS INC             COM   124830100      28,425   1,204,441  SH     DEFINED  01,08     591,878     612,563           0
CBL & ASSOC PPTYS INC             COM   124830100       1,351      57,263  SH     DEFINED     09      57,263           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     60
  ________

CBS CORP NEW                      COM   124857202      45,699     978,780  SH     DEFINED     01     630,983     344,051       3,746
CBS CORP NEW                      COM   124857202       2,748      58,856  SH     OTHER       01      28,318      28,846       1,692
CBS CORP NEW                      COM   124857202     251,182   5,379,779  SH     DEFINED  01,08     778,175   4,601,604           0
CBS CORP NEW                      COM   124857202      82,110   1,758,628  SH     DEFINED     09   1,758,628           0           0

CBOE HLDGS INC                    COM   12503M108      16,517     447,129  SH     DEFINED     01     426,605      20,524           0
CBOE HLDGS INC                    COM   12503M108         758      20,528  SH     OTHER       01      15,818         820       3,890
CBOE HLDGS INC                    COM   12503M108      23,978     649,094  SH     DEFINED  01,08      11,066     638,028           0
CBOE HLDGS INC                    COM   12503M108           0           1  SH     DEFINED     09           1           0           0

CBRE GROUP INC                    COM   12504L109      15,536     615,305  SH     DEFINED     01     406,755     203,102       5,448
CBRE GROUP INC                    COM   12504L109         788      31,211  SH     OTHER       01      14,781      16,315         115
CBRE GROUP INC                    COM   12504L109      70,400   2,788,128  SH     DEFINED  01,08     407,671   2,380,457           0
CBRE GROUP INC                    COM   12504L109      22,738     900,520  SH     DEFINED     09     900,520           0           0

C D I CORP                        COM   125071100       2,582     150,143  SH     DEFINED     01       5,249     144,894           0
C D I CORP                        COM   125071100       5,158     299,909  SH     DEFINED  01,08     154,022     145,887           0
C D I CORP                        COM   125071100         594      34,513  SH     DEFINED     09      34,513           0           0

CEC ENTMT INC                     COM   125137109       1,861      56,815  SH     DEFINED     01      27,254      28,665         896
CEC ENTMT INC                     COM   125137109          14         441  SH     OTHER       01         441           0           0
CEC ENTMT INC                     COM   125137109       7,354     224,542  SH     DEFINED  01,08      24,870     199,672           0
CEC ENTMT INC                     COM   125137109       1,396      42,620  SH     DEFINED     09      42,620           0           0

CECO ENVIRONMENTAL CORP           COM   125141101          45       3,467  SH     DEFINED     01           0       3,467           0
CECO ENVIRONMENTAL CORP           COM   125141101         940      72,676  SH     DEFINED  01,08       1,300      71,376           0
CECO ENVIRONMENTAL CORP           COM   125141101         259      20,055  SH     DEFINED     09      20,055           0           0

CFS BANCORP INC                   COM   12525D102          98      12,308  SH     DEFINED     01           0      12,308           0
CFS BANCORP INC                   COM   12525D102         224      28,055  SH     DEFINED  01,08      10,361      17,694           0

CF INDS HLDGS INC                 COM   125269100      23,073     121,201  SH     DEFINED     01      77,062      43,786         353
CF INDS HLDGS INC                 COM   125269100         649       3,410  SH     OTHER       01       3,272         121          17
CF INDS HLDGS INC                 COM   125269100     142,596     749,047  SH     DEFINED  01,08     261,901     487,146           0
CF INDS HLDGS INC                 COM   125269100      38,200     200,662  SH     DEFINED     09     200,662           0           0

CH ENERGY GROUP INC               COM   12541M102       1,543      23,601  SH     DEFINED     01       6,955      16,646           0
CH ENERGY GROUP INC               COM   12541M102           0           4  SH     OTHER       01           0           4           0
CH ENERGY GROUP INC               COM   12541M102      10,613     162,305  SH     DEFINED  01,08      13,394     148,911           0
CH ENERGY GROUP INC               COM   12541M102       2,482      37,963  SH     DEFINED     09      37,963           0           0

C H ROBINSON WORLDWIDE INC        COM   12541W209      11,377     191,346  SH     DEFINED     01      89,074     101,799         473
C H ROBINSON WORLDWIDE INC        COM   12541W209         410       6,888  SH     OTHER       01       6,388         435          65
C H ROBINSON WORLDWIDE INC        COM   12541W209      87,549   1,472,405  SH     DEFINED  01,08     223,190   1,249,215           0
C H ROBINSON WORLDWIDE INC        COM   12541W209      29,089     489,215  SH     DEFINED     09     489,215           0           0

CIFC CORP                         COM   12547R105          46       5,621  SH     DEFINED     01       1,320       4,301           0
CIFC CORP                         COM   12547R105         511      62,115  SH     DEFINED  01,08       2,266      59,849           0
CIFC CORP                         COM   12547R105         154      18,721  SH     DEFINED     09      18,721           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     61
  ________

CIGNA CORPORATION                 COM   125509109      21,138     338,909  SH     DEFINED     01     144,154     194,137         618
CIGNA CORPORATION                 COM   125509109         398       6,376  SH     OTHER       01       4,681       1,640          55
CIGNA CORPORATION                 COM   125509109     161,328   2,586,635  SH     DEFINED  01,08     397,091   2,189,544           0
CIGNA CORPORATION                 COM   125509109      52,614     843,578  SH     DEFINED     09     843,578           0           0

CIT GROUP INC                     COM   125581801       5,352     123,089  SH     DEFINED     01     100,453      19,620       3,016
CIT GROUP INC                     COM   125581801          83       1,901  SH     OTHER       01       1,057         609         235
CIT GROUP INC                     COM   125581801      43,859   1,008,722  SH     DEFINED  01,08     216,345     792,377           0
CIT GROUP INC                     COM   125581801      12,344     283,892  SH     DEFINED     09     283,892           0           0

CLECO CORP NEW                    COM   12561W105      16,007     340,359  SH     DEFINED     01      47,638     292,621         100
CLECO CORP NEW                    COM   12561W105         158       3,366  SH     OTHER       01           0         166       3,200
CLECO CORP NEW                    COM   12561W105      51,293   1,090,644  SH     DEFINED  01,08     275,912     814,732           0
CLECO CORP NEW                    COM   12561W105       7,181     152,687  SH     DEFINED     09     152,687           0           0

CME GROUP INC                     COM   12572Q105      37,280     607,068  SH     DEFINED     01     348,738     254,075       4,255
CME GROUP INC                     COM   12572Q105       3,461      56,356  SH     OTHER       01      14,180      42,051         125
CME GROUP INC                     COM   12572Q105     185,645   3,023,044  SH     DEFINED  01,08     571,783   2,407,499      43,762
CME GROUP INC                     COM   12572Q105      55,831     909,154  SH     DEFINED     09     909,154           0           0

CMS ENERGY CORP                   COM   125896100      10,892     389,853  SH     DEFINED     01     201,521     187,137       1,195
CMS ENERGY CORP                   COM   125896100         121       4,327  SH     OTHER       01       3,538         599         190
CMS ENERGY CORP                   COM   125896100      69,508   2,487,767  SH     DEFINED  01,08     387,460   2,100,307           0
CMS ENERGY CORP                   COM   125896100      23,112     827,192  SH     DEFINED     09     827,192           0           0

CSS INDS INC                      COM   125906107       2,387      91,916  SH     DEFINED     01       1,604      90,312           0
CSS INDS INC                      COM   125906107       4,770     183,690  SH     DEFINED  01,08      87,656      96,034           0
CSS INDS INC                      COM   125906107         703      27,051  SH     DEFINED     09      27,051           0           0

CPI AEROSTRUCTURES INC            COM   125919308          52       6,052  SH     DEFINED     01         360       5,692           0
CPI AEROSTRUCTURES INC            COM   125919308         558      65,155  SH     DEFINED  01,08       3,876      61,279           0
CPI AEROSTRUCTURES INC            COM   125919308         121      14,122  SH     DEFINED     09      14,122           0           0

CTI INDUSTRIES CORP               COM   125961300          87      15,723  SH     DEFINED     01           0      15,723           0
CTI INDUSTRIES CORP               COM   125961300          45       8,178  SH     DEFINED  01,08         866       7,312           0

CNA FINL CORP                     COM   126117100         814      24,890  SH     DEFINED     01      21,137       3,753           0
CNA FINL CORP                     COM   126117100         130       3,978  SH     OTHER       01       3,228           0         750
CNA FINL CORP                     COM   126117100       3,375     103,253  SH     DEFINED  01,08           0     103,253           0

CNB FINL CORP PA                  COM   126128107         149       8,712  SH     DEFINED     01       1,484       7,228           0
CNB FINL CORP PA                  COM   126128107       1,979     116,085  SH     DEFINED  01,08       2,102     113,983           0
CNB FINL CORP PA                  COM   126128107         564      33,093  SH     DEFINED     09      33,093           0           0

CNOOC LTD                         COM   126132109      20,645     107,809  SH     DEFINED     01      99,736       7,420         653
CNOOC LTD                         COM   126132109       1,349       7,044  SH     OTHER       01       4,740       2,231          73
CNOOC LTD                         COM   126132109       1,650       8,614  SH     DEFINED  01,08           0       8,614           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     62
  ________

CPFL ENERGIA S A                  COM   126153105         299      14,272  SH     DEFINED     01       8,007         480       5,785
CPFL ENERGIA S A                  COM   126153105          14         664  SH     OTHER       01         664           0           0
CPFL ENERGIA S A                  COM   126153105         124       5,900  SH     DEFINED  01,08           0       5,900           0

CRA INTL INC                      COM   12618T105         396      17,706  SH     DEFINED     01       1,796      15,910           0
CRA INTL INC                      COM   12618T105       2,555     114,204  SH     DEFINED  01,08      13,838     100,366           0
CRA INTL INC                      COM   12618T105         543      24,264  SH     DEFINED     09      24,264           0           0

CNO FINL GROUP INC                COM   12621E103      16,520   1,442,776  SH     DEFINED     01      35,798   1,406,106         872
CNO FINL GROUP INC                COM   12621E103           0          38  SH     OTHER       01          38           0           0
CNO FINL GROUP INC                COM   12621E103      40,249   3,515,153  SH     DEFINED  01,08   1,494,541   2,020,612           0
CNO FINL GROUP INC                COM   12621E103       5,584     487,726  SH     DEFINED     09     487,726           0           0

CRH PLC                           COM   12626K203       1,375      62,234  SH     DEFINED     01      54,653       6,261       1,320
CRH PLC                           COM   12626K203         194       8,767  SH     OTHER       01       5,494       3,273           0
CRH PLC                           COM   12626K203         778      35,238  SH     DEFINED  01,08           0      35,238           0

CSG SYS INTL INC                  COM   126349109       1,095      51,686  SH     DEFINED     01      13,467      38,219           0
CSG SYS INTL INC                  COM   126349109         121       5,708  SH     OTHER       01           0           0       5,708
CSG SYS INTL INC                  COM   126349109       8,072     380,916  SH     DEFINED  01,08      28,074     352,842           0
CSG SYS INTL INC                  COM   126349109       1,777      83,861  SH     DEFINED     09      83,861           0           0

CSX CORP                          COM   126408103      36,107   1,465,981  SH     DEFINED     01     742,601     707,451      15,929
CSX CORP                          COM   126408103       2,914     118,308  SH     OTHER       01      78,849      36,223       3,236
CSX CORP                          COM   126408103     227,016   9,217,037  SH     DEFINED  01,08   1,398,620   7,818,417           0
CSX CORP                          COM   126408103      76,132   3,091,017  SH     DEFINED     09   3,091,017           0           0

CTS CORP                          COM   126501105       4,122     394,860  SH     DEFINED     01      54,474     338,632       1,754
CTS CORP                          COM   126501105           9         815  SH     OTHER       01         815           0           0
CTS CORP                          COM   126501105       7,256     694,982  SH     DEFINED  01,08     346,212     348,770           0
CTS CORP                          COM   126501105         927      88,782  SH     DEFINED     09      88,782           0           0

CVB FINL CORP                     COM   126600105       5,765     511,556  SH     DEFINED     01      33,217     478,339           0
CVB FINL CORP                     COM   126600105      15,593   1,383,566  SH     DEFINED  01,08     475,822     907,744           0
CVB FINL CORP                     COM   126600105       2,521     223,727  SH     DEFINED     09     223,727           0           0

CVR ENERGY INC                    COM   12662P108       1,678      32,505  SH     DEFINED     01       1,100      31,405           0
CVR ENERGY INC                    COM   12662P108      10,306     199,643  SH     DEFINED  01,08      30,523     169,120           0
CVR ENERGY INC                    COM   12662P108       2,095      40,584  SH     DEFINED     09      40,584           0           0

CVS CAREMARK CORPORATION          COM   126650100     229,798   4,178,905  SH     DEFINED     01   3,164,429     967,633      46,843
CVS CAREMARK CORPORATION          COM   126650100      25,437     462,584  SH     OTHER       01     365,172      76,735      20,677
CVS CAREMARK CORPORATION          COM   126650100     613,866  11,163,236  SH     DEFINED  01,08   1,709,045   9,454,191           0
CVS CAREMARK CORPORATION          COM   126650100     202,581   3,683,962  SH     DEFINED     09   3,683,962           0           0

CYS INVTS INC                     COM   12673A108       4,180     356,085  SH     DEFINED     01      13,642     342,443           0
CYS INVTS INC                     COM   12673A108      21,270   1,811,766  SH     DEFINED  01,08      96,202   1,715,564           0
CYS INVTS INC                     COM   12673A108       5,060     430,986  SH     DEFINED     09     430,986           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     63
  ________

CA INC                            COM   12673P105      11,769     467,407  SH     DEFINED     01     207,798     259,115         494
CA INC                            COM   12673P105         838      33,296  SH     OTHER       01      10,475      22,821           0
CA INC                            COM   12673P105      78,579   3,120,683  SH     DEFINED  01,08     414,937   2,705,459         287
CA INC                            COM   12673P105      24,014     953,713  SH     DEFINED     09     953,713           0           0

CABELAS INC                       COM   126804301       4,147      68,236  SH     DEFINED     01      14,317      53,919           0
CABELAS INC                       COM   126804301           5          75  SH     OTHER       01           0          75           0
CABELAS INC                       COM   126804301      40,857     672,206  SH     DEFINED  01,08      36,431     635,775           0
CABELAS INC                       COM   126804301       6,999     115,153  SH     DEFINED     09     115,153           0           0

CABLEVISION SYS CORP              COM   12686C109       3,538     236,492  SH     DEFINED     01      98,313     137,877         302
CABLEVISION SYS CORP              COM   12686C109          38       2,507  SH     OTHER       01       2,133         374           0
CABLEVISION SYS CORP              COM   12686C109      27,191   1,817,608  SH     DEFINED  01,08     242,745   1,574,863           0
CABLEVISION SYS CORP              COM   12686C109       8,930     596,912  SH     DEFINED     09     596,912           0           0

CABOT CORP                        COM   127055101       4,254     124,385  SH     DEFINED     01       9,900     114,485           0
CABOT CORP                        COM   127055101           2          54  SH     OTHER       01          54           0           0
CABOT CORP                        COM   127055101      19,518     570,694  SH     DEFINED  01,08     116,960     453,734           0
CABOT CORP                        COM   127055101           0           1  SH     DEFINED     09           1           0           0

CABOT MICROELECTRONICS CORP       COM   12709P103       2,878      82,818  SH     DEFINED     01      46,394      35,162       1,262
CABOT MICROELECTRONICS CORP       COM   12709P103         218       6,285  SH     OTHER       01       2,124       4,026         135
CABOT MICROELECTRONICS CORP       COM   12709P103       8,686     249,966  SH     DEFINED  01,08       8,543     241,423           0
CABOT MICROELECTRONICS CORP       COM   12709P103       2,018      58,084  SH     DEFINED     09      58,084           0           0

CABOT OIL & GAS CORP              COM   127097103      23,985     354,755  SH     DEFINED     01     213,019     139,499       2,237
CABOT OIL & GAS CORP              COM   127097103       1,056      15,623  SH     OTHER       01       8,674       6,949           0
CABOT OIL & GAS CORP              COM   127097103     125,681   1,858,912  SH     DEFINED  01,08     275,336   1,583,576           0
CABOT OIL & GAS CORP              COM   127097103      42,061     622,116  SH     DEFINED     09     622,116           0           0

CACHE INC                         COM   127150308          23       5,470  SH     DEFINED     01           0       5,470           0
CACHE INC                         COM   127150308          82      19,339  SH     DEFINED  01,08       5,186      14,153           0

CACI INTL INC                  CONV DEB 127190AD8       7,976   7,000,000  PRN    DEFINED     01   1,000,000   6,000,000           0
CACI INTL INC                  CONV DEB 127190AD8       6,836   6,000,000  PRN    DEFINED  01,08   6,000,000           0           0

CACI INTL INC                     COM   127190304       9,670     167,096  SH     DEFINED     01       8,215     158,881           0
CACI INTL INC                     COM   127190304      22,230     384,140  SH     DEFINED  01,08     152,060     232,080           0
CACI INTL INC                     COM   127190304       3,287      56,802  SH     DEFINED     09      56,802           0           0

CADENCE PHARMACEUTICALS INC       COM   12738T100         383      57,285  SH     DEFINED     01       6,200      51,085           0
CADENCE PHARMACEUTICALS INC       COM   12738T100       4,129     617,235  SH     DEFINED  01,08      20,573     596,662           0
CADENCE PHARMACEUTICALS INC       COM   12738T100       1,042     155,759  SH     DEFINED     09     155,759           0           0

CADENCE DESIGN SYSTEM INC         COM   127387108       2,217     159,186  SH     DEFINED     01      96,188      62,998           0
CADENCE DESIGN SYSTEM INC         COM   127387108          12         846  SH     OTHER       01           0         646         200
CADENCE DESIGN SYSTEM INC         COM   127387108      29,337   2,105,997  SH     DEFINED  01,08      28,018   2,077,979           0
CADENCE DESIGN SYSTEM INC         COM   127387108           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     64
  ________

CADIZ INC                         COM   127537207          93      13,811  SH     DEFINED     01       1,266      12,545           0
CADIZ INC                         COM   127537207         859     127,137  SH     DEFINED  01,08       7,422     119,715           0
CADIZ INC                         COM   127537207         172      25,379  SH     DEFINED     09      25,379           0           0

CAESARS ENTMT CORP                COM   127686103         395      24,934  SH     DEFINED     01       4,100      20,834           0
CAESARS ENTMT CORP                COM   127686103       5,895     371,720  SH     DEFINED  01,08       7,939     363,781           0
CAESARS ENTMT CORP                COM   127686103       1,579      99,568  SH     DEFINED     09      99,568           0           0

CAFEPRESS INC                     COM   12769A103          13       2,223  SH     DEFINED     01           0       2,223           0
CAFEPRESS INC                     COM   12769A103         316      52,508  SH     DEFINED  01,08         768      51,740           0
CAFEPRESS INC                     COM   12769A103          73      12,086  SH     DEFINED     09      12,086           0           0

CAL DIVE INTL INC DEL             COM   12802T101         175      97,427  SH     DEFINED     01      11,070      86,357           0
CAL DIVE INTL INC DEL             COM   12802T101       1,823   1,012,671  SH     DEFINED  01,08      36,813     975,858           0
CAL DIVE INTL INC DEL             COM   12802T101         483     268,411  SH     DEFINED     09     268,411           0           0

CAL MAINE FOODS INC               COM   128030202       1,343      31,562  SH     DEFINED     01       5,546      26,016           0
CAL MAINE FOODS INC               COM   128030202       6,911     162,387  SH     DEFINED  01,08       8,641     153,746           0
CAL MAINE FOODS INC               COM   128030202       1,458      34,249  SH     DEFINED     09      34,249           0           0

CALAMOS ASSET MGMT INC            COM   12811R104       1,345     114,302  SH     DEFINED     01       7,758     106,544           0
CALAMOS ASSET MGMT INC            COM   12811R104       3,697     314,065  SH     DEFINED  01,08     107,021     207,044           0
CALAMOS ASSET MGMT INC            COM   12811R104         544      46,261  SH     DEFINED     09      46,261           0           0

CALAMP CORP                       COM   128126109         296      27,006  SH     DEFINED     01          70      26,936           0
CALAMP CORP                       COM   128126109       3,577     326,044  SH     DEFINED  01,08       9,273     316,771           0
CALAMP CORP                       COM   128126109         968      88,204  SH     DEFINED     09      88,204           0           0

CALAVO GROWERS INC                COM   128246105         418      14,512  SH     DEFINED     01       4,903       9,609           0
CALAVO GROWERS INC                COM   128246105       3,680     127,874  SH     DEFINED  01,08       6,218     121,656           0
CALAVO GROWERS INC                COM   128246105         952      33,068  SH     DEFINED     09      33,068           0           0

CALGON CARBON CORP                COM   129603106       1,488      82,189  SH     DEFINED     01      22,081      60,108           0
CALGON CARBON CORP                COM   129603106           1          30  SH     OTHER       01           0          30           0
CALGON CARBON CORP                COM   129603106      11,338     626,436  SH     DEFINED  01,08      41,222     585,214           0
CALGON CARBON CORP                COM   129603106       2,464     136,122  SH     DEFINED     09     136,122           0           0

CALIFORNIA FIRST NTNL BANCOR      COM   130222102         144       8,305  SH     DEFINED     01         315       7,990           0
CALIFORNIA FIRST NTNL BANCOR      COM   130222102         514      29,757  SH     DEFINED  01,08       8,463      21,294           0
CALIFORNIA FIRST NTNL BANCOR      COM   130222102          76       4,409  SH     DEFINED     09       4,409           0           0

CALIFORNIA WTR SVC GROUP          COM   130788102         978      49,127  SH     DEFINED     01       8,395      40,732           0
CALIFORNIA WTR SVC GROUP          COM   130788102         130       6,530  SH     OTHER       01       6,530           0           0
CALIFORNIA WTR SVC GROUP          COM   130788102       9,358     470,227  SH     DEFINED  01,08      24,710     445,517           0
CALIFORNIA WTR SVC GROUP          COM   130788102       2,275     114,317  SH     DEFINED     09     114,317           0           0

CALIX INC                         COM   13100M509         252      30,917  SH     DEFINED     01       5,759      25,158           0
CALIX INC                         COM   13100M509       3,219     395,005  SH     DEFINED  01,08       8,401     386,604           0
CALIX INC                         COM   13100M509         822     100,889  SH     DEFINED     09     100,889           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     65
  ________

CALLAWAY GOLF CO                  COM   131193104         692     104,465  SH     DEFINED     01      28,251      76,214           0
CALLAWAY GOLF CO                  COM   131193104       4,723     713,444  SH     DEFINED  01,08      54,754     658,690           0
CALLAWAY GOLF CO                  COM   131193104       1,079     163,030  SH     DEFINED     09     163,030           0           0

CALLIDUS SOFTWARE INC             COM   13123E500         120      26,215  SH     DEFINED     01       3,540      22,675           0
CALLIDUS SOFTWARE INC             COM   13123E500       1,604     350,908  SH     DEFINED  01,08       8,898     342,010           0
CALLIDUS SOFTWARE INC             COM   13123E500         413      90,321  SH     DEFINED     09      90,321           0           0

CALLON PETE CO DEL                COM   13123X102         789     213,348  SH     DEFINED     01       5,390     207,958           0
CALLON PETE CO DEL                COM   13123X102       2,521     681,233  SH     DEFINED  01,08     286,321     394,912           0
CALLON PETE CO DEL                COM   13123X102         499     134,817  SH     DEFINED     09     134,817           0           0

CALPINE CORP                      COM   131347304       2,137     103,755  SH     DEFINED     01      69,562      34,193           0
CALPINE CORP                      COM   131347304           6         270  SH     OTHER       01           0           0         270
CALPINE CORP                      COM   131347304      39,219   1,903,827  SH     DEFINED  01,08     331,033   1,572,794           0
CALPINE CORP                      COM   131347304       8,795     426,961  SH     DEFINED     09     426,961           0           0

CALUMET SPECIALTY PRODS PTNR      COM   131476103         840      22,562  SH     DEFINED     01      22,562           0           0
CALUMET SPECIALTY PRODS PTNR      COM   131476103         119       3,200  SH     OTHER       01       2,500         500         200

CAMBIUM LEARNING GRP INC          COM   13201A107           4       4,245  SH     DEFINED     01           0       4,245           0
CAMBIUM LEARNING GRP INC          COM   13201A107          12      12,058  SH     DEFINED  01,08       4,662       7,396           0

CAMBREX CORP                      COM   132011107         940      73,525  SH     DEFINED     01      12,925      60,600           0
CAMBREX CORP                      COM   132011107       4,646     363,216  SH     DEFINED  01,08      55,448     307,768           0
CAMBREX CORP                      COM   132011107         997      77,972  SH     DEFINED     09      77,972           0           0

CAMCO FINL CORP                   COM   132618109          16       4,709  SH     DEFINED     01           0       4,709           0
CAMCO FINL CORP                   COM   132618109          50      14,509  SH     DEFINED  01,08       4,913       9,596           0

CAMDEN NATL CORP                  COM   133034108         337      10,196  SH     DEFINED     01       1,305       8,891           0
CAMDEN NATL CORP                  COM   133034108       2,710      81,912  SH     DEFINED  01,08       6,490      75,422           0
CAMDEN NATL CORP                  COM   133034108         645      19,484  SH     DEFINED     09      19,484           0           0

CAMDEN PPTY TR                    COM   133131102       1,625      23,657  SH     DEFINED     01      13,330      10,327           0
CAMDEN PPTY TR                    COM   133131102          41         590  SH     OTHER       01           0         545          45
CAMDEN PPTY TR                    COM   133131102      58,773     855,748  SH     DEFINED  01,08     240,787     614,961           0
CAMDEN PPTY TR                    COM   133131102       9,898     144,118  SH     DEFINED     09     144,118           0           0

CAMECO CORP                       COM   13321L108         910      43,810  SH     DEFINED     01      35,911       7,830          69
CAMECO CORP                       COM   13321L108          87       4,165  SH     OTHER       01       2,827       1,338           0
CAMECO CORP                       COM   13321L108         432      20,779  SH     DEFINED  01,08           0      20,779           0

CAMERON INTERNATIONAL CORP        COM   13342B105      19,636     301,173  SH     DEFINED     01     137,826     162,329       1,018
CAMERON INTERNATIONAL CORP        COM   13342B105         377       5,775  SH     OTHER       01       4,897         878           0
CAMERON INTERNATIONAL CORP        COM   13342B105     144,281   2,212,903  SH     DEFINED  01,08     328,972   1,883,931           0
CAMERON INTERNATIONAL CORP        COM   13342B105      49,050     752,300  SH     DEFINED     09     752,300           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     66
  ________

CAMPBELL SOUP CO                  COM   134429109      16,912     372,850  SH     DEFINED     01     230,193     138,291       4,366
CAMPBELL SOUP CO                  COM   134429109       1,414      31,180  SH     OTHER       01      20,814       1,611       8,755
CAMPBELL SOUP CO                  COM   134429109      74,012   1,631,656  SH     DEFINED  01,08     284,828   1,346,828           0
CAMPBELL SOUP CO                  COM   134429109      25,903     571,061  SH     DEFINED     09     571,061           0           0

CAMPUS CREST CMNTYS INC           COM   13466Y105         371      26,713  SH     DEFINED     01       4,259      22,454           0
CAMPUS CREST CMNTYS INC           COM   13466Y105       8,020     576,987  SH     DEFINED  01,08     127,059     449,928           0
CAMPUS CREST CMNTYS INC           COM   13466Y105       2,400     172,672  SH     DEFINED     09     172,672           0           0

CDN IMPERIAL BK OF COMMERCE       COM   136069101       3,136      39,985  SH     DEFINED     01      36,975       3,010           0
CDN IMPERIAL BK OF COMMERCE       COM   136069101         308       3,922  SH     OTHER       01       2,532       1,390           0
CDN IMPERIAL BK OF COMMERCE       COM   136069101       2,245      28,630  SH     DEFINED  01,08       4,406      24,224           0

CANADIAN NATL RY CO               COM   136375102      24,884     248,097  SH     DEFINED     01     222,539      24,023       1,535
CANADIAN NATL RY CO               COM   136375102       2,395      23,883  SH     OTHER       01      10,088       8,593       5,202
CANADIAN NATL RY CO               COM   136375102       2,919      29,100  SH     DEFINED  01,08       8,155      20,945           0

CANADIAN NAT RES LTD              COM   136385101       4,218     131,282  SH     DEFINED     01     108,267      23,015           0
CANADIAN NAT RES LTD              COM   136385101         903      28,094  SH     OTHER       01       8,050      20,044           0
CANADIAN NAT RES LTD              COM   136385101       1,739      54,113  SH     DEFINED  01,08           0      54,113           0

CANADIAN PAC RY LTD               COM   13645T100      14,912     114,291  SH     DEFINED     01      95,997      17,634         660
CANADIAN PAC RY LTD               COM   13645T100       1,862      14,272  SH     OTHER       01       3,834      10,438           0
CANADIAN PAC RY LTD               COM   13645T100         926       7,095  SH     DEFINED  01,08           0       7,095           0

CANON INC                         COM   138006309       7,701     209,906  SH     DEFINED     01     197,404      11,574         928
CANON INC                         COM   138006309         790      21,536  SH     OTHER       01      14,447       4,719       2,370
CANON INC                         COM   138006309       2,132      58,103  SH     DEFINED  01,08           0      58,103           0

CANTEL MEDICAL CORP               COM   138098108       3,876     128,940  SH     DEFINED     01      12,474     116,466           0
CANTEL MEDICAL CORP               COM   138098108       9,941     330,696  SH     DEFINED  01,08     104,635     226,061           0
CANTEL MEDICAL CORP               COM   138098108       1,517      50,481  SH     DEFINED     09      50,481           0           0

CAPE BANCORP INC                  COM   139209100          75       8,154  SH     DEFINED     01       1,295       6,859           0
CAPE BANCORP INC                  COM   139209100         955     104,242  SH     DEFINED  01,08       3,877     100,365           0
CAPE BANCORP INC                  COM   139209100         235      25,700  SH     DEFINED     09      25,700           0           0

CAPELLA EDUCATION COMPANY         COM   139594105         481      15,455  SH     DEFINED     01       4,787      10,668           0
CAPELLA EDUCATION COMPANY         COM   139594105           0          10  SH     OTHER       01           0          10           0
CAPELLA EDUCATION COMPANY         COM   139594105       4,369     140,290  SH     DEFINED  01,08       6,667     133,623           0
CAPELLA EDUCATION COMPANY         COM   139594105       1,008      32,370  SH     DEFINED     09      32,370           0           0

CAPITAL CITY BK GROUP INC         COM   139674105         773      62,603  SH     DEFINED     01       2,440      60,163           0
CAPITAL CITY BK GROUP INC         COM   139674105       2,129     172,382  SH     DEFINED  01,08      54,818     117,564           0
CAPITAL CITY BK GROUP INC         COM   139674105         304      24,644  SH     DEFINED     09      24,644           0           0

CAPITAL BK FINL CORP              COM   139794101         111       6,503  SH     DEFINED     01         587       5,916           0
CAPITAL BK FINL CORP              COM   139794101       1,790     104,512  SH     DEFINED  01,08       2,602     101,910           0
CAPITAL BK FINL CORP              COM   139794101         419      24,455  SH     DEFINED     09      24,455           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     67
  ________

CAPLEASE INC                      COM   140288101         537      84,236  SH     DEFINED     01      10,292      73,944           0
CAPLEASE INC                      COM   140288101       5,956     934,943  SH     DEFINED  01,08     222,082     712,861           0
CAPLEASE INC                      COM   140288101       1,421     223,036  SH     DEFINED     09     223,036           0           0

CAPITAL ONE FINL CORP             COM   14040H105      37,261     678,098  SH     DEFINED     01     248,398     428,394       1,306
CAPITAL ONE FINL CORP             COM   14040H105         672      12,223  SH     OTHER       01       7,669       4,554           0
CAPITAL ONE FINL CORP             COM   14040H105     286,428   5,212,528  SH     DEFINED  01,08     787,842   4,424,686           0
CAPITAL ONE FINL CORP             COM   14040H105      91,925   1,672,881  SH     DEFINED     09   1,672,881           0           0

CAPITAL SR LIVING CORP            COM   140475104       3,307     125,128  SH     DEFINED     01       3,204     121,924           0
CAPITAL SR LIVING CORP            COM   140475104      10,953     414,412  SH     DEFINED  01,08     119,664     294,748           0
CAPITAL SR LIVING CORP            COM   140475104       1,743      65,956  SH     DEFINED     09      65,956           0           0

CAPITAL SOUTHWEST CORP            COM   140501107         558       4,856  SH     DEFINED     01         865       3,991           0
CAPITAL SOUTHWEST CORP            COM   140501107       3,296      28,661  SH     DEFINED  01,08       3,575      25,086           0
CAPITAL SOUTHWEST CORP            COM   140501107         791       6,875  SH     DEFINED     09       6,875           0           0

CAPITAL TRUST INC MD              COM   14052H506          35      12,835  SH     DEFINED     01       1,100      11,735           0
CAPITAL TRUST INC MD              COM   14052H506         133      48,820  SH     DEFINED  01,08      11,813      37,007           0

CAPITALSOURCE INC                 COM   14055X102         745      77,470  SH     DEFINED     01      49,769      27,701           0
CAPITALSOURCE INC                 COM   14055X102           2         165  SH     OTHER       01           0           0         165
CAPITALSOURCE INC                 COM   14055X102       8,328     865,717  SH     DEFINED  01,08      22,935     842,782           0
CAPITALSOURCE INC                 COM   14055X102           0           1  SH     DEFINED     09           1           0           0

CAPITOL FED FINL INC              COM   14057J101       1,700     140,823  SH     DEFINED     01     104,123      36,700           0
CAPITOL FED FINL INC              COM   14057J101          84       6,987  SH     OTHER       01       4,557       2,430           0
CAPITOL FED FINL INC              COM   14057J101       7,218     597,993  SH     DEFINED  01,08      36,546     561,447           0
CAPITOL FED FINL INC              COM   14057J101           0           1  SH     DEFINED     09           1           0           0

CAPSTONE TURBINE CORP             COM   14067D102         244     270,894  SH     DEFINED     01      40,570     230,324           0
CAPSTONE TURBINE CORP             COM   14067D102       2,934   3,260,544  SH     DEFINED  01,08      97,074   3,163,470           0
CAPSTONE TURBINE CORP             COM   14067D102         703     780,579  SH     DEFINED     09     780,579           0           0

CAPSTEAD MTG CORP                 COM   14067E506       7,132     556,309  SH     DEFINED     01      33,447     522,862           0
CAPSTEAD MTG CORP                 COM   14067E506      19,365   1,510,500  SH     DEFINED  01,08     529,952     980,548           0
CAPSTEAD MTG CORP                 COM   14067E506       3,230     251,933  SH     DEFINED     09     251,933           0           0

CARBO CERAMICS INC                COM   140781105       1,575      17,291  SH     DEFINED     01      13,792       3,337         162
CARBO CERAMICS INC                COM   140781105         408       4,485  SH     OTHER       01         348       4,137           0
CARBO CERAMICS INC                COM   140781105      13,671     150,112  SH     DEFINED  01,08       3,063     147,049           0
CARBO CERAMICS INC                COM   140781105           0           1  SH     DEFINED     09           1           0           0

CARBONITE INC                     COM   141337105          84       7,699  SH     DEFINED     01       1,160       6,539           0
CARBONITE INC                     COM   141337105       1,191     108,810  SH     DEFINED  01,08       1,878     106,932           0
CARBONITE INC                     COM   141337105         363      33,132  SH     DEFINED     09      33,132           0           0

CARDICA INC                       COM   14141R101          11       8,448  SH     DEFINED     01           0       8,448           0
CARDICA INC                       COM   14141R101          46      35,154  SH     DEFINED  01,08       2,048      33,106           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     68
  ________

CARDINAL FINL CORP                COM   14149F109       2,687     147,814  SH     DEFINED     01       5,156     142,658           0
CARDINAL FINL CORP                COM   14149F109       7,988     439,370  SH     DEFINED  01,08     143,139     296,231           0
CARDINAL FINL CORP                COM   14149F109       1,270      69,870  SH     DEFINED     09      69,870           0           0

CARDINAL HEALTH INC               COM   14149Y108      22,154     532,299  SH     DEFINED     01     287,572     236,508       8,219
CARDINAL HEALTH INC               COM   14149Y108       2,193      52,703  SH     OTHER       01      36,002      14,781       1,920
CARDINAL HEALTH INC               COM   14149Y108     128,562   3,088,954  SH     DEFINED  01,08     467,833   2,621,121           0
CARDINAL HEALTH INC               COM   14149Y108      43,466   1,044,359  SH     DEFINED     09   1,044,359           0           0

CARDIONET INC                     COM   14159L103          30      12,267  SH     DEFINED     01         200      12,067           0
CARDIONET INC                     COM   14159L103         158      64,823  SH     DEFINED  01,08       8,624      56,199           0
CARDIONET INC                     COM   14159L103           0           1  SH     DEFINED     09           1           0           0

CARDTRONICS INC                   COM   14161H108       1,529      55,663  SH     DEFINED     01      16,676      38,987           0
CARDTRONICS INC                   COM   14161H108      13,367     486,789  SH     DEFINED  01,08      27,065     459,724           0
CARDTRONICS INC                   COM   14161H108       2,943     107,183  SH     DEFINED     09     107,183           0           0

CARDIOVASCULAR SYS INC DEL        COM   141619106         347      16,919  SH     DEFINED     01       1,480      15,439           0
CARDIOVASCULAR SYS INC DEL        COM   141619106       3,819     186,497  SH     DEFINED  01,08      12,561     173,936           0
CARDIOVASCULAR SYS INC DEL        COM   141619106         882      43,077  SH     DEFINED     09      43,077           0           0

CAREER EDUCATION CORP             COM   141665109         135      57,118  SH     DEFINED     01      15,700      41,418           0
CAREER EDUCATION CORP             COM   141665109       1,335     563,165  SH     DEFINED  01,08      25,380     537,785           0
CAREER EDUCATION CORP             COM   141665109         297     125,327  SH     DEFINED     09     125,327           0           0

CAREFUSION CORP                   COM   14170T101      10,119     289,192  SH     DEFINED     01     138,175     150,438         579
CAREFUSION CORP                   COM   14170T101         927      26,507  SH     OTHER       01      17,120       7,442       1,945
CAREFUSION CORP                   COM   14170T101      68,534   1,958,682  SH     DEFINED  01,08     280,239   1,678,443           0
CAREFUSION CORP                   COM   14170T101      22,873     653,712  SH     DEFINED     09     653,712           0           0

CARDIUM THERAPEUTICS INC          COM   141916106           0       1,312  SH     DEFINED     01         100       1,212           0
CARDIUM THERAPEUTICS INC          COM   141916106          10      62,024  SH     DEFINED  01,08       1,312      60,712           0

CARLISLE COS INC                  COM   142339100       4,664      68,796  SH     DEFINED     01      62,616       5,805         375
CARLISLE COS INC                  COM   142339100          92       1,355  SH     OTHER       01         673         682           0
CARLISLE COS INC                  COM   142339100      31,900     470,564  SH     DEFINED  01,08       6,767     463,797           0
CARLISLE COS INC                  COM   142339100           0           1  SH     DEFINED     09           1           0           0

CARMAX INC                        COM   143130102      12,075     289,557  SH     DEFINED     01     146,535     142,793         229
CARMAX INC                        COM   143130102         228       5,470  SH     OTHER       01       4,137       1,333           0
CARMAX INC                        COM   143130102      85,698   2,055,097  SH     DEFINED  01,08     305,733   1,749,364           0
CARMAX INC                        COM   143130102      28,573     685,200  SH     DEFINED     09     685,200           0           0

CARMIKE CINEMAS INC               COM   143436400         276      15,236  SH     DEFINED     01          40      15,196           0
CARMIKE CINEMAS INC               COM   143436400       3,418     188,642  SH     DEFINED  01,08       7,957     180,685           0
CARMIKE CINEMAS INC               COM   143436400         757      41,758  SH     DEFINED     09      41,758           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     69
  ________

CARNIVAL PLC                      COM   14365C103         660      18,850  SH     DEFINED     01      17,044       1,760          46
CARNIVAL PLC                      COM   14365C103          72       2,065  SH     OTHER       01       1,911         154           0
CARNIVAL PLC                      COM   14365C103         357      10,187  SH     DEFINED  01,08           0      10,187           0

CARNIVAL CORP                     COM   143658300   1,392,051  40,584,565  SH     DEFINED     01  40,195,269     384,811       4,485
CARNIVAL CORP                     COM   143658300       5,213     151,977  SH     OTHER       01      82,003      69,775         199
CARNIVAL CORP                     COM   143658300     150,118   4,376,604  SH     DEFINED  01,08     900,169   3,319,228     157,207
CARNIVAL CORP                     COM   143658300      45,679   1,331,742  SH     DEFINED     09   1,331,742           0           0

CARRIAGE SVCS INC                 COM   143905107         375      17,656  SH     DEFINED     01         454      17,202           0
CARRIAGE SVCS INC                 COM   143905107       3,424     161,142  SH     DEFINED  01,08       9,824     151,318           0
CARRIAGE SVCS INC                 COM   143905107         828      38,968  SH     DEFINED     09      38,968           0           0

CARPENTER TECHNOLOGY CORP         COM   144285103         925      18,763  SH     DEFINED     01       9,758       9,005           0
CARPENTER TECHNOLOGY CORP         COM   144285103      16,286     330,420  SH     DEFINED  01,08       8,435     321,985           0
CARPENTER TECHNOLOGY CORP         COM   144285103           0           1  SH     DEFINED     09           1           0           0

CARRIZO OIL & GAS INC             COM   144577103       3,692     143,278  SH     DEFINED     01      13,085     130,193           0
CARRIZO OIL & GAS INC             COM   144577103         310      12,020  SH     OTHER       01       9,320       2,700           0
CARRIZO OIL & GAS INC             COM   144577103      13,550     525,819  SH     DEFINED  01,08     118,777     407,042           0
CARRIZO OIL & GAS INC             COM   144577103       2,602     100,954  SH     DEFINED     09     100,954           0           0

CARROLS RESTAURANT GROUP INC      COM   14574X104          56      10,737  SH     DEFINED     01       1,250       9,487           0
CARROLS RESTAURANT GROUP INC      COM   14574X104         827     159,355  SH     DEFINED  01,08       4,606     154,749           0
CARROLS RESTAURANT GROUP INC      COM   14574X104         130      24,978  SH     DEFINED     09      24,978           0           0

CARTER INC                        COM   146229109       2,089      36,474  SH     DEFINED     01       9,096      27,378           0
CARTER INC                        COM   146229109          23         400  SH     OTHER       01         400           0           0
CARTER INC                        COM   146229109      22,713     396,595  SH     DEFINED  01,08      29,345     367,250           0
CARTER INC                        COM   146229109           0           1  SH     DEFINED     09           1           0           0

CASCADE BANCORP                   COM   147154207          23       3,406  SH     DEFINED     01          10       3,396           0
CASCADE BANCORP                   COM   147154207         396      58,614  SH     DEFINED  01,08       1,659      56,955           0
CASCADE BANCORP                   COM   147154207         168      24,785  SH     DEFINED     09      24,785           0           0

CASCADE CORP                      COM   147195101       6,337      97,522  SH     DEFINED     01       3,131      94,391           0
CASCADE CORP                      COM   147195101       5,598      86,150  SH     DEFINED  01,08           0      86,150           0

CASCADE MICROTECH INC             COM   147322101          13       1,826  SH     DEFINED     01           0       1,826           0
CASCADE MICROTECH INC             COM   147322101          76      10,505  SH     DEFINED  01,08       1,962       8,543           0

CASELLA WASTE SYS INC             COM   147448104         159      36,388  SH     DEFINED     01       2,507      33,881           0
CASELLA WASTE SYS INC             COM   147448104       1,495     342,075  SH     DEFINED  01,08      12,160     329,915           0
CASELLA WASTE SYS INC             COM   147448104         430      98,377  SH     DEFINED     09      98,377           0           0

CASEYS GEN STORES INC             COM   147528103      11,252     192,996  SH     DEFINED     01      85,435     105,946       1,615
CASEYS GEN STORES INC             COM   147528103         469       8,049  SH     OTHER       01         889       6,895         265
CASEYS GEN STORES INC             COM   147528103      29,612     507,919  SH     DEFINED  01,08      95,656     412,263           0
CASEYS GEN STORES INC             COM   147528103       5,453      93,541  SH     DEFINED     09      93,541           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     70
  ________

CASH AMER INTL INC                COM   14754D100      14,658     279,364  SH     DEFINED     01      35,933     242,534         897
CASH AMER INTL INC                COM   14754D100          23         440  SH     OTHER       01         440           0           0
CASH AMER INTL INC                COM   14754D100      27,820     530,210  SH     DEFINED  01,08     226,875     303,335           0
CASH AMER INTL INC                COM   14754D100       3,800      72,430  SH     DEFINED     09      72,430           0           0

CASS INFORMATION SYS INC          COM   14808P109       2,300      54,721  SH     DEFINED     01      35,586      17,955       1,180
CASS INFORMATION SYS INC          COM   14808P109         246       5,850  SH     OTHER       01       2,169       3,556         125
CASS INFORMATION SYS INC          COM   14808P109       4,668     111,026  SH     DEFINED  01,08       7,717     103,309           0
CASS INFORMATION SYS INC          COM   14808P109       1,161      27,619  SH     DEFINED     09      27,619           0           0

CASTLE A M & CO                   COM   148411101       4,059     231,928  SH     DEFINED     01      91,233     140,695           0
CASTLE A M & CO                   COM   148411101       5,523     315,622  SH     OTHER       01     315,622           0           0
CASTLE A M & CO                   COM   148411101       5,349     305,660  SH     DEFINED  01,08     135,799     169,861           0
CASTLE A M & CO                   COM   148411101         789      45,108  SH     DEFINED     09      45,108           0           0

CATALYST PHARM PARTNERS INC       COM   14888U101           0         525  SH     DEFINED     01           0         525           0
CATALYST PHARM PARTNERS INC       COM   14888U101          21      42,959  SH     DEFINED  01,08         814      42,145           0

CATAMARAN CORP                    COM   148887102       6,911     130,315  SH     DEFINED     01     116,890      12,104       1,321
CATAMARAN CORP                    COM   148887102         371       6,991  SH     OTHER       01       6,816         145          30
CATAMARAN CORP                    COM   148887102      26,051     491,248  SH     DEFINED  01,08       5,684     485,564           0

CATERPILLAR INC DEL               COM   149123101     122,344   1,406,735  SH     DEFINED     01     961,504     423,650      21,581
CATERPILLAR INC DEL               COM   149123101      27,780     319,424  SH     OTHER       01     229,967      77,761      11,696
CATERPILLAR INC DEL               COM   149123101     510,104   5,865,283  SH     DEFINED  01,08     866,713   4,998,570           0
CATERPILLAR INC DEL               COM   149123101     170,168   1,956,629  SH     DEFINED     09   1,956,629           0           0

CATHAY GENERAL BANCORP            COM   149150104       6,656     330,838  SH     DEFINED     01       7,804     323,034           0
CATHAY GENERAL BANCORP            COM   149150104           1          40  SH     OTHER       01           0          40           0
CATHAY GENERAL BANCORP            COM   149150104      26,866   1,335,286  SH     DEFINED  01,08     308,853   1,026,433           0
CATHAY GENERAL BANCORP            COM   149150104       3,927     195,159  SH     DEFINED     09     195,159           0           0

CATO CORP NEW                     COM   149205106       1,058      43,812  SH     DEFINED     01      11,830      31,982           0
CATO CORP NEW                     COM   149205106       7,655     317,127  SH     DEFINED  01,08      23,835     293,292           0
CATO CORP NEW                     COM   149205106       1,581      65,508  SH     DEFINED     09      65,508           0           0

CAVCO INDS INC DEL                COM   149568107         540      11,354  SH     DEFINED     01         993      10,361           0
CAVCO INDS INC DEL                COM   149568107       3,688      77,534  SH     DEFINED  01,08       7,436      70,098           0
CAVCO INDS INC DEL                COM   149568107         729      15,317  SH     DEFINED     09      15,317           0           0

CAVIUM INC                        COM   14964U108       3,029      78,057  SH     DEFINED     01      31,095      46,962           0
CAVIUM INC                        COM   14964U108          37         945  SH     OTHER       01         945           0           0
CAVIUM INC                        COM   14964U108      20,934     539,391  SH     DEFINED  01,08      27,342     512,049           0
CAVIUM INC                        COM   14964U108       4,705     121,220  SH     DEFINED     09     121,220           0           0

CBEYOND INC                       COM   149847105         260      35,035  SH     DEFINED     01      11,057      23,978           0
CBEYOND INC                       COM   149847105       2,319     312,140  SH     DEFINED  01,08      18,426     293,714           0
CBEYOND INC                       COM   149847105         484      65,156  SH     DEFINED     09      65,156           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     71
  ________

CEDAR REALTY TRUST INC            COM   150602209       3,654     598,018  SH     DEFINED     01      21,819     576,199           0
CEDAR REALTY TRUST INC            COM   150602209       8,028   1,313,934  SH     DEFINED  01,08     712,673     601,261           0
CEDAR REALTY TRUST INC            COM   150602209       1,083     177,181  SH     DEFINED     09     177,181           0           0

CEL-SCI CORP                      COM   150837409           3      13,568  SH     DEFINED     01       2,400      11,168           0
CEL-SCI CORP                      COM   150837409          58     248,979  SH     DEFINED  01,08       8,871     240,108           0

CELADON GROUP INC                 COM   150838100         508      24,341  SH     DEFINED     01       4,874      19,467           0
CELADON GROUP INC                 COM   150838100       4,776     228,948  SH     DEFINED  01,08      12,530     216,418           0
CELADON GROUP INC                 COM   150838100       1,119      53,653  SH     DEFINED     09      53,653           0           0

CELANESE CORP DEL                 COM   150870103       2,568      58,306  SH     DEFINED     01      32,302      26,004           0
CELANESE CORP DEL                 COM   150870103         147       3,330  SH     OTHER       01       3,030         215          85
CELANESE CORP DEL                 COM   150870103      34,965     793,753  SH     DEFINED  01,08     174,457     619,296           0
CELANESE CORP DEL                 COM   150870103       9,981     226,575  SH     DEFINED     09     226,575           0           0

CELL THERAPEUTICS INC             COM   150934883           4       3,289  SH     DEFINED     01         132       3,157           0
CELL THERAPEUTICS INC             COM   150934883         119     103,308  SH     DEFINED  01,08           5     103,303           0

CELGENE CORP                      COM   151020104      97,712     842,998  SH     DEFINED     01     463,412     357,165      22,421
CELGENE CORP                      COM   151020104       4,492      38,756  SH     OTHER       01      29,283       6,838       2,635
CELGENE CORP                      COM   151020104     450,847   3,889,627  SH     DEFINED  01,08     588,252   3,301,375           0
CELGENE CORP                      COM   151020104     146,225   1,261,543  SH     DEFINED     09   1,261,543           0           0

CELLDEX THERAPEUTICS INC NEW      COM   15117B103         778      67,193  SH     DEFINED     01       6,944      60,249           0
CELLDEX THERAPEUTICS INC NEW      COM   15117B103      10,082     870,648  SH     DEFINED  01,08      32,341     838,307           0
CELLDEX THERAPEUTICS INC NEW      COM   15117B103       2,312     199,627  SH     DEFINED     09     199,627           0           0

CELSION CORPORATION               COM   15117N305          58      55,179  SH     DEFINED  01,08           0      55,179           0

CEMEX SAB DE CV                   COM   151290889       1,207      98,854  SH     DEFINED     01      91,141       5,661       2,052
CEMEX SAB DE CV                   COM   151290889         140      11,440  SH     OTHER       01       9,228       2,212           0
CEMEX SAB DE CV                   COM   151290889         983      80,496  SH     DEFINED  01,08      22,895      57,601           0

CEMPRA INC                        COM   15130J109          15       2,237  SH     DEFINED     01           0       2,237           0
CEMPRA INC                        COM   15130J109         306      45,389  SH     DEFINED  01,08         631      44,758           0
CEMPRA INC                        COM   15130J109          89      13,193  SH     DEFINED     09      13,193           0           0

CENCOSUD S A                      COM   15132H101         549      29,355  SH     DEFINED     01      27,237       1,360         758
CENCOSUD S A                      COM   15132H101          60       3,197  SH     OTHER       01       2,106       1,091           0
CENCOSUD S A                      COM   15132H101         330      17,656  SH     DEFINED  01,08           0      17,656           0

CENTENE CORP DEL                  COM   15135B101       7,348     166,839  SH     DEFINED     01      30,362     136,477           0
CENTENE CORP DEL                  COM   15135B101         343       7,781  SH     OTHER       01           0       7,781           0
CENTENE CORP DEL                  COM   15135B101      28,796     653,851  SH     DEFINED  01,08     111,523     542,328           0
CENTENE CORP DEL                  COM   15135B101       5,568     126,420  SH     DEFINED     09     126,420           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     72
  ________

CENOVUS ENERGY INC                COM   15135U109      13,337     430,376  SH     DEFINED     01     299,331     129,606       1,439
CENOVUS ENERGY INC                COM   15135U109       2,046      66,012  SH     OTHER       01      57,744       5,466       2,802
CENOVUS ENERGY INC                COM   15135U109       4,518     145,799  SH     DEFINED  01,08     110,000      35,799           0

CENTER BANCORP INC                COM   151408101         189      15,179  SH     DEFINED     01       1,300      13,879           0
CENTER BANCORP INC                COM   151408101       1,514     121,771  SH     DEFINED  01,08      11,223     110,548           0
CENTER BANCORP INC                COM   151408101         315      25,324  SH     DEFINED     09      25,324           0           0

CENTERPOINT ENERGY INC            COM   15189T107      12,156     507,357  SH     DEFINED     01     200,020     287,447      19,890
CENTERPOINT ENERGY INC            COM   15189T107         775      32,359  SH     OTHER       01      10,913         696      20,750
CENTERPOINT ENERGY INC            COM   15189T107      91,927   3,836,697  SH     DEFINED  01,08     529,842   3,306,855           0
CENTERPOINT ENERGY INC            COM   15189T107      29,313   1,223,416  SH     DEFINED     09   1,223,416           0           0

CENTERSTATE BANKS INC             COM   15201P109         200      23,359  SH     DEFINED     01       4,490      18,869           0
CENTERSTATE BANKS INC             COM   15201P109       2,524     294,155  SH     DEFINED  01,08      11,364     282,791           0
CENTERSTATE BANKS INC             COM   15201P109         626      72,974  SH     DEFINED     09      72,974           0           0

CENTRAIS ELETRICAS BRASILEIR      COM   15234Q207          88      25,633  SH     DEFINED     01      22,853       2,210         570
CENTRAIS ELETRICAS BRASILEIR      COM   15234Q207           9       2,745  SH     OTHER       01         945       1,800           0
CENTRAIS ELETRICAS BRASILEIR      COM   15234Q207          86      25,182  SH     DEFINED  01,08      10,658      14,524           0

CENTRAL EUROPEAN DIST CORP        COM   153435102          15      43,969  SH     DEFINED     01       3,415      40,554           0
CENTRAL EUROPEAN DIST CORP        COM   153435102         212     633,017  SH     DEFINED  01,08           0     633,017           0
CENTRAL EUROPEAN DIST CORP        COM   153435102           0           1  SH     DEFINED     09           1           0           0

CENTRAL FD CDA LTD                COM   153501101         194      10,000  SH     DEFINED     01      10,000           0           0
CENTRAL FD CDA LTD                COM   153501101         204      10,525  SH     OTHER       01           0           0      10,525

CENTRAL GARDEN & PET CO           COM   153527106          44       5,060  SH     DEFINED     01         320       4,740           0
CENTRAL GARDEN & PET CO           COM   153527106          58       6,673  SH     DEFINED  01,08       6,136         537           0
CENTRAL GARDEN & PET CO           COM   153527106           0           1  SH     DEFINED     09           1           0           0

CENTRAL GARDEN & PET CO           COM   153527205         423      51,501  SH     DEFINED     01      18,857      32,644           0
CENTRAL GARDEN & PET CO           COM   153527205       3,618     440,086  SH     DEFINED  01,08      24,390     415,696           0
CENTRAL GARDEN & PET CO           COM   153527205         794      96,644  SH     DEFINED     09      96,644           0           0

CENTRAL PAC FINL CORP             COM   154760409         253      16,126  SH     DEFINED     01       2,965      13,161           0
CENTRAL PAC FINL CORP             COM   154760409       3,708     236,179  SH     DEFINED  01,08       6,206     229,973           0
CENTRAL PAC FINL CORP             COM   154760409         836      53,274  SH     DEFINED     09      53,274           0           0

CENTURY ALUM CO                   COM   156431108         502      64,874  SH     DEFINED     01      21,381      43,493           0
CENTURY ALUM CO                   COM   156431108       4,238     547,887  SH     DEFINED  01,08      21,344     526,543           0
CENTURY ALUM CO                   COM   156431108       1,058     136,745  SH     DEFINED     09     136,745           0           0

CENTURY BANCORP INC MASS          COM   156432106         226       6,661  SH     DEFINED     01         396       6,265           0
CENTURY BANCORP INC MASS          COM   156432106       1,274      37,584  SH     DEFINED  01,08       5,300      32,284           0
CENTURY BANCORP INC MASS          COM   156432106         297       8,768  SH     DEFINED     09       8,768           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     73
  ________

CENTURY CASINOS INC               COM   156492100           5       1,691  SH     DEFINED     01           0       1,691           0
CENTURY CASINOS INC               COM   156492100          45      15,583  SH     DEFINED  01,08       2,126      13,457           0

CEPHEID                           COM   15670R107       6,904     179,937  SH     DEFINED     01      91,352      85,816       2,769
CEPHEID                           COM   15670R107         519      13,522  SH     OTHER       01       4,649       7,475       1,398
CEPHEID                           COM   15670R107      28,001     729,760  SH     DEFINED  01,08      47,381     682,379           0
CEPHEID                           COM   15670R107       6,343     165,310  SH     DEFINED     09     165,310           0           0

CENVEO INC                        COM   15670S105         128      59,443  SH     DEFINED     01       6,135      53,308           0
CENVEO INC                        COM   15670S105       1,250     581,386  SH     DEFINED  01,08      29,169     552,217           0
CENVEO INC                        COM   15670S105         236     109,946  SH     DEFINED     09     109,946           0           0

CENTURYLINK INC                   COM   156700106      25,197     717,236  SH     DEFINED     01     298,049     417,707       1,480
CENTURYLINK INC                   COM   156700106         964      27,452  SH     OTHER       01      13,770       2,296      11,386
CENTURYLINK INC                   COM   156700106     197,625   5,625,548  SH     DEFINED  01,08     853,661   4,771,887           0
CENTURYLINK INC                   COM   156700106      65,587   1,866,979  SH     DEFINED     09   1,866,979           0           0

CERES INC                         COM   156773103           9       2,658  SH     DEFINED     01           0       2,658           0
CERES INC                         COM   156773103         231      66,405  SH     DEFINED  01,08         893      65,512           0
CERES INC                         COM   156773103          61      17,496  SH     DEFINED     09      17,496           0           0

CERNER CORP                       COM   156782104      25,080     264,721  SH     DEFINED     01     143,892     118,663       2,166
CERNER CORP                       COM   156782104       1,479      15,611  SH     OTHER       01       5,119       5,782       4,710
CERNER CORP                       COM   156782104     125,160   1,321,090  SH     DEFINED  01,08     184,121   1,136,969           0
CERNER CORP                       COM   156782104      40,524     427,741  SH     DEFINED     09     427,741           0           0

CERUS CORP                        COM   157085101         224      50,719  SH     DEFINED     01       4,980      45,739           0
CERUS CORP                        COM   157085101       2,447     553,511  SH     DEFINED  01,08      20,782     532,729           0
CERUS CORP                        COM   157085101         658     148,798  SH     DEFINED     09     148,798           0           0

CEVA INC                          COM   157210105         449      28,808  SH     DEFINED     01       8,736      20,072           0
CEVA INC                          COM   157210105       4,024     257,964  SH     DEFINED  01,08      12,991     244,973           0
CEVA INC                          COM   157210105         958      61,441  SH     DEFINED     09      61,441           0           0

CHARLES & COLVARD LTD             COM   159765106          13       3,484  SH     DEFINED     01           0       3,484           0
CHARLES & COLVARD LTD             COM   159765106          85      21,982  SH     DEFINED  01,08       3,240      18,742           0

CHARLES RIV LABS INTL INC         COM   159864107       1,368      30,893  SH     DEFINED     01      12,008      18,885           0
CHARLES RIV LABS INTL INC         COM   159864107      16,970     383,330  SH     DEFINED  01,08      24,698     358,632           0
CHARLES RIV LABS INTL INC         COM   159864107           0           1  SH     DEFINED     09           1           0           0

CHART INDS INC                    COM   16115Q308       4,183      52,282  SH     DEFINED     01      16,591      35,488         203
CHART INDS INC                    COM   16115Q308          55         689  SH     OTHER       01         648          41           0
CHART INDS INC                    COM   16115Q308      26,454     330,631  SH     DEFINED  01,08      23,812     306,819           0
CHART INDS INC                    COM   16115Q308       5,997      74,957  SH     DEFINED     09      74,957           0           0

CHARTER COMMUNICATIONS INC D      COM   16117M305       1,414      13,571  SH     DEFINED     01       4,210       9,361           0
CHARTER COMMUNICATIONS INC D      COM   16117M305      33,421     320,798  SH     DEFINED  01,08      72,474     248,324           0
CHARTER COMMUNICATIONS INC D      COM   16117M305       9,771      93,785  SH     DEFINED     09      93,785           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     74
  ________

CHARTER FINL CORP WEST PT GA      COM   16122M100         117       9,110  SH     DEFINED     01         700       8,410           0
CHARTER FINL CORP WEST PT GA      COM   16122M100         698      54,545  SH     DEFINED  01,08           0      54,545           0

CHASE CORP                        COM   16150R104         189       9,790  SH     DEFINED     01         923       8,867           0
CHASE CORP                        COM   16150R104       1,320      68,305  SH     DEFINED  01,08       6,744      61,561           0
CHASE CORP                        COM   16150R104         335      17,345  SH     DEFINED     09      17,345           0           0

CHATHAM LODGING TR                COM   16208T102         520      29,510  SH     DEFINED     01       9,920      19,590           0
CHATHAM LODGING TR                COM   16208T102       3,223     182,997  SH     DEFINED  01,08      13,307     169,690           0
CHATHAM LODGING TR                COM   16208T102         838      47,571  SH     DEFINED     09      47,571           0           0

CHECKPOINT SYS INC                COM   162825103         986      75,509  SH     DEFINED     01      17,518      57,991           0
CHECKPOINT SYS INC                COM   162825103       5,900     451,748  SH     DEFINED  01,08      32,803     418,945           0
CHECKPOINT SYS INC                COM   162825103       1,209      92,601  SH     DEFINED     09      92,601           0           0

CHEESECAKE FACTORY INC            COM   163072101       5,467     141,590  SH     DEFINED     01      69,917      69,568       2,105
CHEESECAKE FACTORY INC            COM   163072101         402      10,419  SH     OTHER       01       3,521       5,825       1,073
CHEESECAKE FACTORY INC            COM   163072101      29,024     751,716  SH     DEFINED  01,08      39,550     712,166           0
CHEESECAKE FACTORY INC            COM   163072101       5,180     134,154  SH     DEFINED     09     134,154           0           0

CHEFS WHSE INC                    COM   163086101         137       7,407  SH     DEFINED     01       1,115       6,292           0
CHEFS WHSE INC                    COM   163086101       1,966     106,442  SH     DEFINED  01,08       2,873     103,569           0
CHEFS WHSE INC                    COM   163086101         501      27,126  SH     DEFINED     09      27,126           0           0

CHELSEA THERAPEUTICS INTL LT      COM   163428105           4       1,927  SH     DEFINED     01           0       1,927           0
CHELSEA THERAPEUTICS INTL LT      COM   163428105         203      99,651  SH     DEFINED  01,08       3,299      96,352           0
CHELSEA THERAPEUTICS INTL LT      COM   163428105           0           1  SH     DEFINED     09           1           0           0

CHEMED CORP NEW                   COM   16359R103       7,398      92,492  SH     DEFINED     01      58,325      32,662       1,505
CHEMED CORP NEW                   COM   16359R103       1,985      24,816  SH     OTHER       01      19,926       4,128         762
CHEMED CORP NEW                   COM   16359R103      17,610     220,183  SH     DEFINED  01,08      18,059     202,124           0
CHEMED CORP NEW                   COM   16359R103       3,817      47,728  SH     DEFINED     09      47,728           0           0

CHEMICAL FINL CORP                COM   163731102       7,115     269,729  SH     DEFINED     01      11,913     257,568         248
CHEMICAL FINL CORP                COM   163731102          14         535  SH     OTHER       01         535           0           0
CHEMICAL FINL CORP                COM   163731102      14,428     546,913  SH     DEFINED  01,08     269,470     277,443           0
CHEMICAL FINL CORP                COM   163731102       1,932      73,238  SH     DEFINED     09      73,238           0           0

CHEMOCENTRYX INC                  COM   16383L106          44       3,186  SH     DEFINED     01           0       3,186           0
CHEMOCENTRYX INC                  COM   16383L106         736      53,252  SH     DEFINED  01,08       1,660      51,592           0
CHEMOCENTRYX INC                  COM   16383L106         188      13,577  SH     DEFINED     09      13,577           0           0

CHEMTURA CORP                     COM   163893209       4,010     185,549  SH     DEFINED     01      67,974     117,575           0
CHEMTURA CORP                     COM   163893209         104       4,801  SH     OTHER       01       3,141       1,660           0
CHEMTURA CORP                     COM   163893209      23,121   1,069,901  SH     DEFINED  01,08      69,649   1,000,252           0
CHEMTURA CORP                     COM   163893209       5,333     246,767  SH     DEFINED     09     246,767           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     75
  ________

CHENIERE ENERGY INC               COM   16411R208       1,731      61,814  SH     DEFINED     01      21,505      40,309           0
CHENIERE ENERGY INC               COM   16411R208           2          71  SH     OTHER       01           0           0          71
CHENIERE ENERGY INC               COM   16411R208      24,555     876,968  SH     DEFINED  01,08      21,933     855,035           0
CHENIERE ENERGY INC               COM   16411R208           0           1  SH     DEFINED     09           1           0           0

CHEROKEE INC DEL NEW              COM   16444H102         630      46,020  SH     DEFINED     01         860      45,160           0
CHEROKEE INC DEL NEW              COM   16444H102       1,494     109,068  SH     DEFINED  01,08       7,975     101,093           0
CHEROKEE INC DEL NEW              COM   16444H102         303      22,148  SH     DEFINED     09      22,148           0           0

CHESAPEAKE ENERGY CORP            COM   165167107      12,839     629,061  SH     DEFINED     01     275,468     349,585       4,008
CHESAPEAKE ENERGY CORP            COM   165167107         473      23,182  SH     OTHER       01      11,861      10,864         457
CHESAPEAKE ENERGY CORP            COM   165167107     103,251   5,058,828  SH     DEFINED  01,08     817,275   4,241,553           0
CHESAPEAKE ENERGY CORP            COM   165167107      35,324   1,730,736  SH     DEFINED     09   1,730,736           0           0

CHESAPEAKE LODGING TR             COM   165240102       1,227      53,469  SH     DEFINED     01      11,440      42,029           0
CHESAPEAKE LODGING TR             COM   165240102      13,657     595,354  SH     DEFINED  01,08     115,894     479,460           0
CHESAPEAKE LODGING TR             COM   165240102       3,275     142,766  SH     DEFINED     09     142,766           0           0

CHESAPEAKE UTILS CORP             COM   165303108         763      15,561  SH     DEFINED     01       2,832      12,729           0
CHESAPEAKE UTILS CORP             COM   165303108       5,526     112,670  SH     DEFINED  01,08      10,906     101,764           0
CHESAPEAKE UTILS CORP             COM   165303108       1,228      25,045  SH     DEFINED     09      25,045           0           0

CHEVRON CORP NEW                  COM   166764100     714,546   6,013,688  SH     DEFINED     01   4,152,290   1,573,083     288,315
CHEVRON CORP NEW                  COM   166764100     132,893   1,118,438  SH     OTHER       01     720,490     268,789     129,159
CHEVRON CORP NEW                  COM   166764100   2,206,979  18,574,135  SH     DEFINED  01,08   3,563,256  14,982,674      28,205
CHEVRON CORP NEW                  COM   166764100     692,844   5,831,041  SH     DEFINED     09   5,831,041           0           0

CHICAGO BRIDGE & IRON CO N V      COM   167250109       3,412      54,944  SH     DEFINED     01      38,251      16,167         526
CHICAGO BRIDGE & IRON CO N V      COM   167250109         568       9,139  SH     OTHER       01       1,534       7,605           0
CHICAGO BRIDGE & IRON CO N V      COM   167250109      15,476     249,210  SH     DEFINED  01,08         826     248,384           0

CHICOS FAS INC                    COM   168615102       2,404     143,123  SH     DEFINED     01     116,650      20,603       5,870
CHICOS FAS INC                    COM   168615102          52       3,094  SH     OTHER       01       2,657         437           0
CHICOS FAS INC                    COM   168615102      21,033   1,251,966  SH     DEFINED  01,08      15,742   1,236,224           0
CHICOS FAS INC                    COM   168615102           0           1  SH     DEFINED     09           1           0           0

CHILDRENS PL RETAIL STORES I      COM   168905107       1,651      36,826  SH     DEFINED     01       9,160      27,666           0
CHILDRENS PL RETAIL STORES I      COM   168905107      12,160     271,301  SH     DEFINED  01,08      20,620     250,681           0
CHILDRENS PL RETAIL STORES I      COM   168905107       2,708      60,427  SH     DEFINED     09      60,427           0           0

CHIMERA INVT CORP                 COM   16934Q109         963     301,972  SH     DEFINED     01     195,529     106,443           0
CHIMERA INVT CORP                 COM   16934Q109      13,438   4,212,603  SH     DEFINED  01,08     132,626   4,079,977           0
CHIMERA INVT CORP                 COM   16934Q109           0           1  SH     DEFINED     09           1           0           0

CHINA LIFE INS CO LTD             COM   16939P106       1,721      43,650  SH     DEFINED     01      39,219       4,405          26
CHINA LIFE INS CO LTD             COM   16939P106         195       4,954  SH     OTHER       01       2,856       2,098           0
CHINA LIFE INS CO LTD             COM   16939P106       1,013      25,699  SH     DEFINED  01,08           0      25,699           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     76
  ________

CHINA MOBILE LIMITED              COM   16941M109      13,495     254,008  SH     DEFINED     01     240,877      11,589       1,542
CHINA MOBILE LIMITED              COM   16941M109       1,433      26,974  SH     OTHER       01      18,060       8,050         864
CHINA MOBILE LIMITED              COM   16941M109       3,021      56,864  SH     DEFINED  01,08       1,709      55,155           0

CHINA PETE & CHEM CORP            COM   16941R108       1,874      16,025  SH     DEFINED     01      14,252       1,394         379
CHINA PETE & CHEM CORP            COM   16941R108         205       1,750  SH     OTHER       01       1,572         178           0
CHINA PETE & CHEM CORP            COM   16941R108       1,784      15,259  SH     DEFINED  01,08       5,191      10,068           0

CHINDEX INTERNATIONAL INC         COM   169467107         250      18,185  SH     DEFINED     01       2,689      15,496           0
CHINDEX INTERNATIONAL INC         COM   169467107       1,778     129,378  SH     DEFINED  01,08      14,603     114,775           0
CHINDEX INTERNATIONAL INC         COM   169467107         376      27,332  SH     DEFINED     09      27,332           0           0

CHIPOTLE MEXICAN GRILL INC        COM   169656105      39,605     121,537  SH     DEFINED     01     100,007      21,393         137
CHIPOTLE MEXICAN GRILL INC        COM   169656105       1,407       4,318  SH     OTHER       01       3,962          97         259
CHIPOTLE MEXICAN GRILL INC        COM   169656105      90,839     278,757  SH     DEFINED  01,08      41,614     237,143           0
CHIPOTLE MEXICAN GRILL INC        COM   169656105      30,711      94,244  SH     DEFINED     09      94,244           0           0

CHOICE HOTELS INTL INC            COM   169905106       3,141      74,230  SH     DEFINED     01      66,753       6,883         594
CHOICE HOTELS INTL INC            COM   169905106          92       2,173  SH     OTHER       01       1,069         799         305
CHOICE HOTELS INTL INC            COM   169905106       4,727     111,724  SH     DEFINED  01,08       3,001     108,723           0
CHOICE HOTELS INTL INC            COM   169905106           0           1  SH     DEFINED     09           1           0           0

CHIQUITA BRANDS INTL INC          COM   170032809         416      53,657  SH     DEFINED     01       8,483      45,174           0
CHIQUITA BRANDS INTL INC          COM   170032809       3,813     491,344  SH     DEFINED  01,08      30,163     461,181           0
CHIQUITA BRANDS INTL INC          COM   170032809         899     115,788  SH     DEFINED     09     115,788           0           0

CHRISTOPHER & BANKS CORP          COM   171046105         183      28,400  SH     DEFINED     01      10,214      18,186           0
CHRISTOPHER & BANKS CORP          COM   171046105         525      81,622  SH     DEFINED  01,08      13,846      67,776           0
CHRISTOPHER & BANKS CORP          COM   171046105           0           1  SH     DEFINED     09           1           0           0

CHUBB CORP                        COM   171232101      37,953     433,601  SH     DEFINED     01     197,087     230,537       5,977
CHUBB CORP                        COM   171232101       4,800      54,842  SH     OTHER       01      33,857      20,570         415
CHUBB CORP                        COM   171232101     209,200   2,390,039  SH     DEFINED  01,08     401,264   1,988,775           0
CHUBB CORP                        COM   171232101      67,303     768,919  SH     DEFINED     09     768,919           0           0

CHUNGHWA TELECOM CO LTD           COM   17133Q502       1,012      32,556  SH     DEFINED     01      28,839       3,253         464
CHUNGHWA TELECOM CO LTD           COM   17133Q502         163       5,250  SH     OTHER       01       3,184       2,066           0
CHUNGHWA TELECOM CO LTD           COM   17133Q502       1,158      37,230  SH     DEFINED  01,08      16,998      20,232           0

CHURCH & DWIGHT INC               COM   171340102       6,337      98,054  SH     DEFINED     01      50,717      46,827         510
CHURCH & DWIGHT INC               COM   171340102         995      15,391  SH     OTHER       01      10,483       4,733         175
CHURCH & DWIGHT INC               COM   171340102      75,789   1,172,667  SH     DEFINED  01,08     173,800     998,867           0
CHURCH & DWIGHT INC               COM   171340102      12,900     199,605  SH     DEFINED     09     199,605           0           0

CHURCHILL DOWNS INC               COM   171484108      10,386     148,289  SH     DEFINED     01       1,876     146,413           0
CHURCHILL DOWNS INC               COM   171484108      19,340     276,122  SH     DEFINED  01,08     143,305     132,817           0
CHURCHILL DOWNS INC               COM   171484108       2,121      30,288  SH     DEFINED     09      30,288           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     77
  ________

CHUYS HLDGS INC                   COM   171604101         143       4,393  SH     DEFINED     01         690       3,703           0
CHUYS HLDGS INC                   COM   171604101       2,204      67,660  SH     DEFINED  01,08       1,765      65,895           0
CHUYS HLDGS INC                   COM   171604101         637      19,565  SH     DEFINED     09      19,565           0           0

CHYRON CORP                       COM   171605306           8       4,971  SH     DEFINED     01           0       4,971           0
CHYRON CORP                       COM   171605306           9       5,783  SH     DEFINED  01,08       2,825       2,958           0

CIBER INC                         COM   17163B102         445      94,777  SH     DEFINED     01      27,604      67,173           0
CIBER INC                         COM   17163B102       3,622     770,584  SH     DEFINED  01,08      44,975     725,609           0
CIBER INC                         COM   17163B102         830     176,681  SH     DEFINED     09     176,681           0           0

CIENA CORP                        COM   171779309       1,865     116,507  SH     DEFINED     01      21,036      95,471           0
CIENA CORP                        COM   171779309      22,954   1,433,758  SH     DEFINED  01,08      69,224   1,364,534           0
CIENA CORP                        COM   171779309       3,886     242,703  SH     DEFINED     09     242,703           0           0

CIMAREX ENERGY CO                 COM   171798101       1,791      23,742  SH     DEFINED     01      14,652       8,918         172
CIMAREX ENERGY CO                 COM   171798101          11         145  SH     OTHER       01           0         120          25
CIMAREX ENERGY CO                 COM   171798101      55,384     734,151  SH     DEFINED  01,08      96,748     637,403           0
CIMAREX ENERGY CO                 COM   171798101       9,243     122,520  SH     DEFINED     09     122,520           0           0

CINCINNATI BELL INC NEW           COM   171871106         973     298,502  SH     DEFINED     01      79,352     219,150           0
CINCINNATI BELL INC NEW           COM   171871106           0         100  SH     OTHER       01           0         100           0
CINCINNATI BELL INC NEW           COM   171871106       7,044   2,160,760  SH     DEFINED  01,08     160,345   2,000,415           0
CINCINNATI BELL INC NEW           COM   171871106       1,669     512,002  SH     DEFINED     09     512,002           0           0

CINCINNATI FINL CORP              COM   172062101      10,801     228,731  SH     DEFINED     01     116,808     111,413         510
CINCINNATI FINL CORP              COM   172062101       3,661      77,535  SH     OTHER       01      67,120      10,330          85
CINCINNATI FINL CORP              COM   172062101      62,453   1,322,594  SH     DEFINED  01,08     187,280   1,135,314           0
CINCINNATI FINL CORP              COM   172062101      19,805     419,430  SH     DEFINED     09     419,430           0           0

CINEDIGM DIGITAL CINEMA CORP      COM   172407108          41      25,992  SH     DEFINED  01,08           0      25,992           0

CINEMARK HOLDINGS INC             COM   17243V102       2,611      88,699  SH     DEFINED     01      19,483      69,216           0
CINEMARK HOLDINGS INC             COM   17243V102      24,294     825,213  SH     DEFINED  01,08      44,197     781,016           0
CINEMARK HOLDINGS INC             COM   17243V102           0           1  SH     DEFINED     09           1           0           0

CIRCOR INTL INC                   COM   17273K109       1,972      46,401  SH     DEFINED     01      21,282      24,794         325
CIRCOR INTL INC                   COM   17273K109          63       1,493  SH     OTHER       01         953         540           0
CIRCOR INTL INC                   COM   17273K109       8,136     191,428  SH     DEFINED  01,08      13,044     178,384           0
CIRCOR INTL INC                   COM   17273K109       1,884      44,330  SH     DEFINED     09      44,330           0           0

CISCO SYS INC                     COM   17275R102     360,820  17,268,225  SH     DEFINED     01  12,481,372   4,445,760     341,093
CISCO SYS INC                     COM   17275R102      54,810   2,623,128  SH     OTHER       01   1,669,666     691,033     262,429
CISCO SYS INC                     COM   17275R102   1,040,408  49,792,218  SH     DEFINED  01,08   8,096,266  41,483,136     212,816
CISCO SYS INC                     COM   17275R102     330,827  15,832,821  SH     DEFINED     09  15,832,821           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     78
  ________

CIRRUS LOGIC INC                  COM   172755100       2,168      95,296  SH     DEFINED     01      26,393      68,903           0
CIRRUS LOGIC INC                  COM   172755100         228      10,000  SH     OTHER       01      10,000           0           0
CIRRUS LOGIC INC                  COM   172755100      16,494     725,031  SH     DEFINED  01,08      51,176     673,855           0
CIRRUS LOGIC INC                  COM   172755100       3,609     158,653  SH     DEFINED     09     158,653           0           0

CINTAS CORP                       COM   172908105       5,787     131,140  SH     DEFINED     01      59,998      71,078          64
CINTAS CORP                       COM   172908105         424       9,600  SH     OTHER       01       4,698       4,902           0
CINTAS CORP                       COM   172908105      41,485     940,070  SH     DEFINED  01,08     139,268     800,802           0
CINTAS CORP                       COM   172908105      12,614     285,846  SH     DEFINED     09     285,846           0           0

CITIZENS & NORTHN CORP            COM   172922106         192       9,854  SH     DEFINED     01       1,373       8,481           0
CITIZENS & NORTHN CORP            COM   172922106       2,330     119,503  SH     DEFINED  01,08       4,152     115,351           0
CITIZENS & NORTHN CORP            COM   172922106         515      26,397  SH     DEFINED     09      26,397           0           0

CITIGROUP INC                     COM   172967424     152,573   3,448,756  SH     DEFINED     01   1,361,561   2,079,196       7,999
CITIGROUP INC                     COM   172967424       3,801      85,916  SH     OTHER       01      61,261      21,356       3,299
CITIGROUP INC                     COM   172967424   1,184,807  26,781,361  SH     DEFINED  01,08   3,962,154  22,819,207           0
CITIGROUP INC                     COM   172967424     384,968   8,701,803  SH     DEFINED     09   8,701,803           0           0

CITI TRENDS INC                   COM   17306X102         192      18,758  SH     DEFINED     01       2,385      16,373           0
CITI TRENDS INC                   COM   17306X102       1,666     162,831  SH     DEFINED  01,08      12,417     150,414           0
CITI TRENDS INC                   COM   17306X102         357      34,888  SH     DEFINED     09      34,888           0           0

CITIZENS REPUBLIC BANCORP IN      COM   174420307         748      33,192  SH     DEFINED     01       4,738      28,454           0
CITIZENS REPUBLIC BANCORP IN      COM   174420307       8,967     397,645  SH     DEFINED  01,08           0     397,645           0

CITIZENS INC                      COM   174740100         457      54,514  SH     DEFINED     01       5,834      48,680           0
CITIZENS INC                      COM   174740100       3,464     412,922  SH     DEFINED  01,08      32,956     379,966           0
CITIZENS INC                      COM   174740100         761      90,737  SH     DEFINED     09      90,737           0           0

CITRIX SYS INC                    COM   177376100     106,684   1,478,648  SH     DEFINED     01   1,205,311     252,820      20,517
CITRIX SYS INC                    COM   177376100      14,346     198,834  SH     OTHER       01     160,268      28,356      10,210
CITRIX SYS INC                    COM   177376100     126,284   1,750,302  SH     DEFINED  01,08     302,121   1,448,181           0
CITRIX SYS INC                    COM   177376100      40,604     562,776  SH     DEFINED     09     562,776           0           0

CITY HLDG CO                      COM   177835105       4,688     117,829  SH     DEFINED     01       6,389     111,440           0
CITY HLDG CO                      COM   177835105      10,668     268,111  SH     DEFINED  01,08     106,746     161,365           0
CITY HLDG CO                      COM   177835105       1,241      31,187  SH     DEFINED     09      31,187           0           0

CITY NATL CORP                    COM   178566105       4,526      76,832  SH     DEFINED     01      69,884       6,527         421
CITY NATL CORP                    COM   178566105         501       8,505  SH     OTHER       01         758       7,549         198
CITY NATL CORP                    COM   178566105      20,472     347,506  SH     DEFINED  01,08       5,288     342,218           0
CITY NATL CORP                    COM   178566105           0           1  SH     DEFINED     09           1           0           0

CLARCOR INC                       COM   179895107       7,191     137,284  SH     DEFINED     01      83,689      53,119         476
CLARCOR INC                       COM   179895107         182       3,484  SH     OTHER       01       1,648       1,836           0
CLARCOR INC                       COM   179895107      37,636     718,517  SH     DEFINED  01,08      35,862     682,655           0
CLARCOR INC                       COM   179895107       6,602     126,035  SH     DEFINED     09     126,035           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     79
  ________

CLAYMORE EXCHANGE TRD FD TR       COM   18383M100         640      18,510  SH     OTHER       01       3,510           0      15,000

CLAYMORE EXCHANGE TRD FD TR       COM   18383Q507       1,910      79,800  SH     DEFINED     01           0      79,800           0

CLAYMORE EXCHANGE TRD FD TR       COM   18383Q853         223       9,435  SH     OTHER       01       9,435           0           0

CLEAN DIESEL TECHNOLOGIES IN      COM   18449C401           0         160  SH     DEFINED     01         160           0           0
CLEAN DIESEL TECHNOLOGIES IN      COM   18449C401          31      14,122  SH     DEFINED  01,08           0      14,122           0

CLEAN HARBORS INC                 COM   184496107       1,445      24,883  SH     DEFINED     01      15,150       9,610         123
CLEAN HARBORS INC                 COM   184496107          57         976  SH     OTHER       01         976           0           0
CLEAN HARBORS INC                 COM   184496107      23,195     399,299  SH     DEFINED  01,08       5,088     394,211           0
CLEAN HARBORS INC                 COM   184496107           0           2  SH     DEFINED     09           2           0           0

CLEAN ENERGY FUELS CORP           COM   184499101         985      75,746  SH     DEFINED     01       9,649      66,097           0
CLEAN ENERGY FUELS CORP           COM   184499101           1          39  SH     OTHER       01          39           0           0
CLEAN ENERGY FUELS CORP           COM   184499101       9,604     738,802  SH     DEFINED  01,08      62,737     676,065           0
CLEAN ENERGY FUELS CORP           COM   184499101       2,161     166,245  SH     DEFINED     09     166,245           0           0

CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109          89      11,832  SH     DEFINED     01       6,164       5,668           0
CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109           0          14  SH     OTHER       01           0           0          14
CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109       1,275     170,221  SH     DEFINED  01,08       1,588     168,633           0
CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109           0           1  SH     DEFINED     09           1           0           0

CLEARFIELD INC                    COM   18482P103          19       3,143  SH     DEFINED     01           0       3,143           0
CLEARFIELD INC                    COM   18482P103          98      16,285  SH     DEFINED  01,08       1,090      15,195           0

CLEARWIRE CORP NEW                COM   18538Q105         419     129,423  SH     DEFINED     01      78,523      50,900           0
CLEARWIRE CORP NEW                COM   18538Q105           0         117  SH     OTHER       01           0           0         117
CLEARWIRE CORP NEW                COM   18538Q105       5,242   1,617,993  SH     DEFINED  01,08      42,889   1,575,104           0

CLEARWATER PAPER CORP             COM   18538R103       1,755      33,311  SH     DEFINED     01       9,086      24,225           0
CLEARWATER PAPER CORP             COM   18538R103      13,995     265,602  SH     DEFINED  01,08      16,433     249,169           0
CLEARWATER PAPER CORP             COM   18538R103       3,118      59,184  SH     DEFINED     09      59,184           0           0

CLEVELAND BIOLABS INC             COM   185860103           5       2,727  SH     DEFINED     01           0       2,727           0
CLEVELAND BIOLABS INC             COM   185860103         140      71,413  SH     DEFINED  01,08       3,143      68,270           0

CLIFFS NAT RES INC                COM   18683K101       4,894     257,442  SH     DEFINED     01     168,962      87,921         559
CLIFFS NAT RES INC                COM   18683K101         123       6,465  SH     OTHER       01       6,257         208           0
CLIFFS NAT RES INC                COM   18683K101      24,794   1,304,238  SH     DEFINED  01,08     171,778   1,132,460           0
CLIFFS NAT RES INC                COM   18683K101       7,975     419,524  SH     DEFINED     09     419,524           0           0

CLIFTON SVGS BANCORP INC          COM   18712Q103         166      13,335  SH     DEFINED     01         664      12,671           0
CLIFTON SVGS BANCORP INC          COM   18712Q103       1,157      92,856  SH     DEFINED  01,08      11,633      81,223           0
CLIFTON SVGS BANCORP INC          COM   18712Q103         256      20,540  SH     DEFINED     09      20,540           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     80
  ________

CLOROX CO DEL                     COM   189054109      55,800     630,300  SH     DEFINED     01     128,388     496,886       5,026
CLOROX CO DEL                     COM   189054109       3,526      39,828  SH     OTHER       01      20,464      13,329       6,035
CLOROX CO DEL                     COM   189054109     102,676   1,159,787  SH     DEFINED  01,08     174,156     985,631           0
CLOROX CO DEL                     COM   189054109      35,090     396,358  SH     DEFINED     09     396,358           0           0

CLOUD PEAK ENERGY INC             COM   18911Q102       6,544     348,437  SH     DEFINED     01      33,746     314,691           0
CLOUD PEAK ENERGY INC             COM   18911Q102      17,053     908,057  SH     DEFINED  01,08     300,017     608,040           0
CLOUD PEAK ENERGY INC             COM   18911Q102       2,789     148,497  SH     DEFINED     09     148,497           0           0

CLOVIS ONCOLOGY INC               COM   189464100         520      18,153  SH     DEFINED     01       3,765      14,388           0
CLOVIS ONCOLOGY INC               COM   189464100       4,428     154,460  SH     DEFINED  01,08      12,607     141,853           0
CLOVIS ONCOLOGY INC               COM   189464100       1,084      37,799  SH     DEFINED     09      37,799           0           0

COACH INC                         COM   189754104      43,115     862,467  SH     DEFINED     01     589,344     266,677       6,446
COACH INC                         COM   189754104       4,596      91,939  SH     OTHER       01      35,634      54,221       2,084
COACH INC                         COM   189754104     138,714   2,774,837  SH     DEFINED  01,08     534,035   2,193,317      47,485
COACH INC                         COM   189754104      41,962     839,398  SH     DEFINED     09     839,398           0           0

COBALT INTL ENERGY INC            COM   19075F106       1,612      57,180  SH     DEFINED     01      31,408      25,772           0
COBALT INTL ENERGY INC            COM   19075F106          86       3,051  SH     OTHER       01           0       3,000          51
COBALT INTL ENERGY INC            COM   19075F106      27,035     958,687  SH     DEFINED  01,08     248,398     710,289           0
COBALT INTL ENERGY INC            COM   19075F106       9,027     320,099  SH     DEFINED     09     320,099           0           0

COBIZ FINANCIAL INC               COM   190897108         270      33,363  SH     DEFINED     01       6,070      27,293           0
COBIZ FINANCIAL INC               COM   190897108       2,985     369,448  SH     DEFINED  01,08      16,600     352,848           0
COBIZ FINANCIAL INC               COM   190897108         669      82,823  SH     DEFINED     09      82,823           0           0

COCA COLA BOTTLING CO CONS        COM   191098102         469       7,772  SH     DEFINED     01         671       7,101           0
COCA COLA BOTTLING CO CONS        COM   191098102       3,346      55,479  SH     DEFINED  01,08       6,437      49,042           0
COCA COLA BOTTLING CO CONS        COM   191098102         706      11,703  SH     DEFINED     09      11,703           0           0

COCA COLA CO                      COM   191216100     483,678  11,960,390  SH     DEFINED     01   8,653,991   3,100,679     205,720
COCA COLA CO                      COM   191216100     122,220   3,022,251  SH     OTHER       01   2,320,098     517,656     184,497
COCA COLA CO                      COM   191216100   1,398,429  34,580,334  SH     DEFINED  01,08   5,329,046  29,251,288           0
COCA COLA CO                      COM   191216100     472,915  11,694,236  SH     DEFINED     09  11,694,236           0           0

COCA COLA ENTERPRISES INC NE      COM   19122T109      12,243     331,622  SH     DEFINED     01     164,675     166,640         307
COCA COLA ENTERPRISES INC NE      COM   19122T109         349       9,451  SH     OTHER       01       4,209       5,177          65
COCA COLA ENTERPRISES INC NE      COM   19122T109      92,536   2,506,380  SH     DEFINED  01,08     370,189   2,136,191           0
COCA COLA ENTERPRISES INC NE      COM   19122T109      30,340     821,764  SH     DEFINED     09     821,764           0           0

CODEXIS INC                       COM   192005106          39      16,397  SH     DEFINED     01         494      15,903           0
CODEXIS INC                       COM   192005106         586     245,315  SH     DEFINED  01,08       6,900     238,415           0
CODEXIS INC                       COM   192005106         124      51,734  SH     DEFINED     09      51,734           0           0

COEUR D ALENE MINES CORP IDA      COM   192108504       7,363     390,416  SH     DEFINED     01       9,305     381,111           0
COEUR D ALENE MINES CORP IDA      COM   192108504      24,067   1,276,101  SH     DEFINED  01,08     369,199     906,902           0
COEUR D ALENE MINES CORP IDA      COM   192108504       4,256     225,685  SH     DEFINED     09     225,685           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     81
  ________

COGENT COMM GROUP INC             COM   19239V302       1,620      61,365  SH     DEFINED     01       7,022      54,343           0
COGENT COMM GROUP INC             COM   19239V302      13,834     524,020  SH     DEFINED  01,08      39,484     484,536           0
COGENT COMM GROUP INC             COM   19239V302       3,132     118,623  SH     DEFINED     09     118,623           0           0

COGNEX CORP                       COM   192422103       7,205     170,937  SH     DEFINED     01      15,721     155,216           0
COGNEX CORP                       COM   192422103      24,721     586,497  SH     DEFINED  01,08     142,421     444,076           0
COGNEX CORP                       COM   192422103       4,459     105,788  SH     DEFINED     09     105,788           0           0

COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102      44,857     585,443  SH     DEFINED     01     295,027     284,245       6,171
COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102       4,355      56,837  SH     OTHER       01      46,242       3,391       7,204
COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102     212,270   2,770,388  SH     DEFINED  01,08     423,283   2,347,105           0
COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102      68,803     897,969  SH     DEFINED     09     897,969           0           0

COHEN & STEERS INC                COM   19247A100         909      25,211  SH     DEFINED     01       2,066      23,145           0
COHEN & STEERS INC                COM   19247A100         120       3,330  SH     OTHER       01       2,015       1,315           0
COHEN & STEERS INC                COM   19247A100       7,695     213,344  SH     DEFINED  01,08      17,915     195,429           0
COHEN & STEERS INC                COM   19247A100       1,585      43,945  SH     DEFINED     09      43,945           0           0

COHEN & STEERS REIT & PFD IN      COM   19247X100         971      51,448  SH     OTHER       01      51,287           0         161

COHERENT INC                      COM   192479103       9,376     165,239  SH     DEFINED     01       9,326     155,913           0
COHERENT INC                      COM   192479103      22,174     390,793  SH     DEFINED  01,08     145,116     245,677           0
COHERENT INC                      COM   192479103       3,280      57,802  SH     DEFINED     09      57,802           0           0

COHU INC                          COM   192576106         370      39,524  SH     DEFINED     01       9,656      29,868           0
COHU INC                          COM   192576106       2,436     260,204  SH     DEFINED  01,08      20,461     239,743           0
COHU INC                          COM   192576106         645      68,863  SH     DEFINED     09      68,863           0           0

COINSTAR INC                      COM   19259P300       2,940      50,318  SH     DEFINED     01      11,305      39,013           0
COINSTAR INC                      COM   19259P300          44         752  SH     OTHER       01         252         500           0
COINSTAR INC                      COM   19259P300      18,560     317,702  SH     DEFINED  01,08      30,044     287,658           0
COINSTAR INC                      COM   19259P300       4,008      68,614  SH     DEFINED     09      68,614           0           0

COLDWATER CREEK INC               COM   193068202          30       9,569  SH     DEFINED     01       5,499       4,070           0
COLDWATER CREEK INC               COM   193068202         125      39,512  SH     DEFINED  01,08       4,227      35,285           0

COLEMAN CABLE INC                 COM   193459302          68       4,518  SH     DEFINED     01           0       4,518           0
COLEMAN CABLE INC                 COM   193459302       1,429      95,286  SH     DEFINED  01,08       1,911      93,375           0
COLEMAN CABLE INC                 COM   193459302         380      25,364  SH     DEFINED     09      25,364           0           0

COLFAX CORP                       COM   194014106         998      21,434  SH     DEFINED     01       7,368      14,066           0
COLFAX CORP                       COM   194014106      10,232     219,863  SH     DEFINED  01,08       9,622     210,241           0
COLFAX CORP                       COM   194014106           0           1  SH     DEFINED     09           1           0           0

COLGATE PALMOLIVE CO              COM   194162103     104,476     885,164  SH     DEFINED     01     536,176     291,697      57,291
COLGATE PALMOLIVE CO              COM   194162103      24,330     206,135  SH     OTHER       01     128,652      50,464      27,019
COLGATE PALMOLIVE CO              COM   194162103     477,376   4,044,534  SH     DEFINED  01,08     614,162   3,430,372           0
COLGATE PALMOLIVE CO              COM   194162103     160,026   1,355,805  SH     DEFINED     09   1,355,805           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     82
  ________

COLLECTORS UNIVERSE INC           COM   19421R200         195      16,530  SH     DEFINED     01          86      16,444           0
COLLECTORS UNIVERSE INC           COM   19421R200         762      64,751  SH     DEFINED  01,08      12,120      52,631           0
COLLECTORS UNIVERSE INC           COM   19421R200         166      14,107  SH     DEFINED     09      14,107           0           0

COLONIAL PPTYS TR                 COM   195872106       9,146     404,510  SH     DEFINED     01      27,752     376,758           0
COLONIAL PPTYS TR                 COM   195872106      31,278   1,383,391  SH     DEFINED  01,08     513,722     869,669           0
COLONIAL PPTYS TR                 COM   195872106       5,639     249,401  SH     DEFINED     09     249,401           0           0

COLONY FINL INC                   COM   19624R106       1,377      62,022  SH     DEFINED     01      11,410      50,612           0
COLONY FINL INC                   COM   19624R106      14,643     659,595  SH     DEFINED  01,08      33,932     625,663           0
COLONY FINL INC                   COM   19624R106       3,542     159,569  SH     DEFINED     09     159,569           0           0

COLUMBIA BKG SYS INC              COM   197236102       3,206     145,848  SH     DEFINED     01      16,576     129,272           0
COLUMBIA BKG SYS INC              COM   197236102      11,454     521,132  SH     DEFINED  01,08     118,476     402,656           0
COLUMBIA BKG SYS INC              COM   197236102       2,773     126,178  SH     DEFINED     09     126,178           0           0

COLUMBIA LABS INC                 COM   197779101          11      18,231  SH     DEFINED     01           0      18,231           0
COLUMBIA LABS INC                 COM   197779101          81     137,321  SH     DEFINED  01,08      10,907     126,414           0

COLUMBIA SPORTSWEAR CO            COM   198516106      11,361     196,277  SH     DEFINED     01      45,743     150,160         374
COLUMBIA SPORTSWEAR CO            COM   198516106         461       7,972  SH     OTHER       01       2,674       5,298           0
COLUMBIA SPORTSWEAR CO            COM   198516106      16,007     276,560  SH     DEFINED  01,08     153,952     122,608           0
COLUMBIA SPORTSWEAR CO            COM   198516106       1,733      29,949  SH     DEFINED     09      29,949           0           0

COLUMBUS MCKINNON CORP N Y        COM   199333105       1,209      62,794  SH     DEFINED     01      40,794      20,722       1,278
COLUMBUS MCKINNON CORP N Y        COM   199333105          53       2,753  SH     OTHER       01       2,753           0           0
COLUMBUS MCKINNON CORP N Y        COM   199333105       3,952     205,304  SH     DEFINED  01,08      13,358     191,946           0
COLUMBUS MCKINNON CORP N Y        COM   199333105       1,006      52,279  SH     DEFINED     09      52,279           0           0

COMFORT SYS USA INC               COM   199908104       4,100     290,988  SH     DEFINED     01      17,404     273,584           0
COMFORT SYS USA INC               COM   199908104       9,537     676,888  SH     DEFINED  01,08     282,485     394,403           0
COMFORT SYS USA INC               COM   199908104       1,245      88,384  SH     DEFINED     09      88,384           0           0

COMCAST CORP NEW                  COM   20030N101     145,324   3,461,735  SH     DEFINED     01   1,772,542   1,659,609      29,584
COMCAST CORP NEW                  COM   20030N101       9,460     225,346  SH     OTHER       01     125,542      76,541      23,263
COMCAST CORP NEW                  COM   20030N101     980,740  23,362,078  SH     DEFINED  01,08   3,082,375  20,279,703           0
COMCAST CORP NEW                  COM   20030N101     298,131   7,101,742  SH     DEFINED     09   7,101,742           0           0

COMCAST CORP NEW                  COM   20030N200       6,960     175,705  SH     DEFINED     01     170,805       4,900           0
COMCAST CORP NEW                  COM   20030N200         520      13,129  SH     OTHER       01       4,075       5,700       3,354
COMCAST CORP NEW                  COM   20030N200      24,080     607,931  SH     DEFINED  01,08     590,391      17,540           0
COMCAST CORP NEW                  COM   20030N200      30,665     774,162  SH     DEFINED     09     774,162           0           0

COMERICA INC                      COM   200340107       9,800     272,609  SH     DEFINED     01     154,331     116,938       1,340
COMERICA INC                      COM   200340107         729      20,273  SH     OTHER       01       8,549       6,695       5,029
COMERICA INC                      COM   200340107      62,013   1,724,970  SH     DEFINED  01,08     268,970   1,456,000           0
COMERICA INC                      COM   200340107      20,554     571,747  SH     DEFINED     09     571,747           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     83
  ________

COMMERCE BANCSHARES INC           COM   200525103         860      21,060  SH     DEFINED     01      11,383       9,677           0
COMMERCE BANCSHARES INC           COM   200525103           1          35  SH     OTHER       01          35           0           0
COMMERCE BANCSHARES INC           COM   200525103      23,716     580,837  SH     DEFINED  01,08       7,373     573,464           0
COMMERCE BANCSHARES INC           COM   200525103           0           1  SH     DEFINED     09           1           0           0

COMMERCIAL METALS CO              COM   201723103       2,624     165,583  SH     DEFINED     01      82,420      83,163           0
COMMERCIAL METALS CO              COM   201723103         143       9,041  SH     OTHER       01       8,825         216           0
COMMERCIAL METALS CO              COM   201723103      17,459   1,101,487  SH     DEFINED  01,08      63,467   1,038,020           0
COMMERCIAL METALS CO              COM   201723103           0           1  SH     DEFINED     09           1           0           0

COMMERCIAL VEH GROUP INC          COM   202608105         163      20,893  SH     DEFINED     01       3,590      17,303           0
COMMERCIAL VEH GROUP INC          COM   202608105       1,913     245,289  SH     DEFINED  01,08       6,207     239,082           0
COMMERCIAL VEH GROUP INC          COM   202608105         534      68,432  SH     DEFINED     09      68,432           0           0

COMMONWEALTH REIT                 COM   203233101       1,321      58,887  SH     DEFINED     01      16,950      41,937           0
COMMONWEALTH REIT                 COM   203233101           1          37  SH     OTHER       01           0           0          37
COMMONWEALTH REIT                 COM   203233101      15,180     676,470  SH     DEFINED  01,08     271,086     405,384           0
COMMONWEALTH REIT                 COM   203233101         945      42,113  SH     DEFINED     09      42,113           0           0

COMMUNITY BK SYS INC              COM   203607106      10,944     369,366  SH     DEFINED     01      46,241     321,916       1,209
COMMUNITY BK SYS INC              COM   203607106          34       1,137  SH     OTHER       01       1,137           0           0
COMMUNITY BK SYS INC              COM   203607106      21,520     726,275  SH     DEFINED  01,08     310,646     415,629           0
COMMUNITY BK SYS INC              COM   203607106       2,926      98,766  SH     DEFINED     09      98,766           0           0

COMMUNITY HEALTH SYS INC NEW      COM   203668108       7,098     149,788  SH     DEFINED     01      14,375     135,213         200
COMMUNITY HEALTH SYS INC NEW      COM   203668108      38,521     812,860  SH     DEFINED  01,08     135,865     676,995           0
COMMUNITY HEALTH SYS INC NEW      COM   203668108           0           1  SH     DEFINED     09           1           0           0

COMMUNICATIONS SYS INC            COM   203900105          89       9,035  SH     DEFINED     01          45       8,990           0
COMMUNICATIONS SYS INC            COM   203900105         195      19,822  SH     DEFINED  01,08       8,842      10,980           0

COMMUNITY TR BANCORP INC          COM   204149108       4,485     131,796  SH     DEFINED     01       2,518     129,278           0
COMMUNITY TR BANCORP INC          COM   204149108       9,579     281,485  SH     DEFINED  01,08     133,865     147,620           0
COMMUNITY TR BANCORP INC          COM   204149108       1,273      37,418  SH     DEFINED     09      37,418           0           0

COMMVAULT SYSTEMS INC             COM   204166102       4,416      53,851  SH     DEFINED     01       7,139      46,712           0
COMMVAULT SYSTEMS INC             COM   204166102      52,112     635,510  SH     DEFINED  01,08      30,013     605,497           0
COMMVAULT SYSTEMS INC             COM   204166102       9,137     111,426  SH     DEFINED     09     111,426           0           0

COMPANHIA SIDERURGICA NACION      COM   20440W105         296      66,014  SH     DEFINED     01      62,130       3,832          52
COMPANHIA SIDERURGICA NACION      COM   20440W105          33       7,356  SH     OTHER       01       6,996         360           0
COMPANHIA SIDERURGICA NACION      COM   20440W105         297      66,258  SH     DEFINED  01,08      26,435      39,823           0
COMPANHIA SIDERURGICA NACION      COM   20440W105         263      58,637  SH     DEFINED     09      58,637           0           0

COMPANHIA ENERGETICA DE MINA      PFD   204409601       1,527     128,896         DEFINED     01     100,298      13,769      14,829
COMPANHIA ENERGETICA DE MINA      PFD   204409601         614      51,826         OTHER       01      35,710      16,116           0
COMPANHIA ENERGETICA DE MINA      PFD   204409601         499      42,146         DEFINED  01,08      16,744      25,402           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     84
  ________

COMPANHIA DE SANEAMENTO BASI      COM   20441A102          14         288  SH     DEFINED     01         110         178           0
COMPANHIA DE SANEAMENTO BASI      COM   20441A102           7         152  SH     OTHER       01           0         152           0
COMPANHIA DE SANEAMENTO BASI      COM   20441A102      14,112     295,672  SH     DEFINED  01,08     295,132         540           0

COMPANHIA PARANAENSE ENERG C      COM   20441B407         134       8,689  SH     DEFINED     01       8,206         483           0
COMPANHIA PARANAENSE ENERG C      COM   20441B407          14         888  SH     OTHER       01         545         343           0
COMPANHIA PARANAENSE ENERG C      COM   20441B407          87       5,634  SH     DEFINED  01,08           0       5,634           0

COMPANHIA DE BEBIDAS DAS AME      PFD   20441W203       2,886      68,167         DEFINED     01      62,297       5,870           0
COMPANHIA DE BEBIDAS DAS AME      PFD   20441W203         402       9,497         OTHER       01       4,741       4,756           0
COMPANHIA DE BEBIDAS DAS AME      PFD   20441W203       9,124     215,553         DEFINED  01,08     175,801      39,752           0

COMPANIA CERVECERIAS UNIDAS       COM   204429104           2          55  SH     DEFINED     01          55           0           0
COMPANIA CERVECERIAS UNIDAS       COM   204429104         522      15,767  SH     DEFINED  01,08      15,497         270           0

COMPANIA DE MINAS BUENAVENTU      COM   204448104       1,351      52,032  SH     DEFINED     01      13,288      38,300         444
COMPANIA DE MINAS BUENAVENTU      COM   204448104          45       1,729  SH     OTHER       01         910         819           0
COMPANIA DE MINAS BUENAVENTU      COM   204448104      18,088     696,765  SH     DEFINED  01,08     686,779       9,986           0
COMPANIA DE MINAS BUENAVENTU      COM   204448104       6,507     250,666  SH     DEFINED     09     250,666           0           0

COMPASS MINERALS INTL INC         COM   20451N101       2,580      32,698  SH     DEFINED     01      24,906       7,106         686
COMPASS MINERALS INTL INC         COM   20451N101          74         939  SH     OTHER       01         689         250           0
COMPASS MINERALS INTL INC         COM   20451N101      19,556     247,858  SH     DEFINED  01,08       3,292     244,566           0
COMPASS MINERALS INTL INC         COM   20451N101           0           1  SH     DEFINED     09           1           0           0

COMPASS DIVERSIFIED HOLDINGS      COM   20451Q104       3,517     221,601  SH     DEFINED     01       1,250     220,351           0
COMPASS DIVERSIFIED HOLDINGS      COM   20451Q104       3,657     230,426  SH     DEFINED  01,08     228,577       1,849           0
COMPASS DIVERSIFIED HOLDINGS      COM   20451Q104           0           1  SH     DEFINED     09           1           0           0

COMPLETE GENOMICS INC             COM   20454K104          99      31,484  SH     DEFINED  01,08           0      31,484           0

COMPUTER PROGRAMS & SYS INC       COM   205306103       1,058      19,559  SH     DEFINED     01       4,336      15,223           0
COMPUTER PROGRAMS & SYS INC       COM   205306103       6,977     128,940  SH     DEFINED  01,08      12,596     116,344           0
COMPUTER PROGRAMS & SYS INC       COM   205306103       1,506      27,832  SH     DEFINED     09      27,832           0           0

COMPUTER SCIENCES CORP            COM   205363104      11,265     228,831  SH     DEFINED     01     130,431      98,148         252
COMPUTER SCIENCES CORP            COM   205363104         279       5,662  SH     OTHER       01       4,942         668          52
COMPUTER SCIENCES CORP            COM   205363104      73,694   1,496,935  SH     DEFINED  01,08     229,228   1,165,254     102,453
COMPUTER SCIENCES CORP            COM   205363104      23,520     477,760  SH     DEFINED     09     477,760           0           0

COMPUTER TASK GROUP INC           COM   205477102       1,222      57,140  SH     DEFINED     01      29,070      27,135         935
COMPUTER TASK GROUP INC           COM   205477102          43       2,006  SH     OTHER       01       2,006           0           0
COMPUTER TASK GROUP INC           COM   205477102       3,695     172,754  SH     DEFINED  01,08      20,440     152,314           0
COMPUTER TASK GROUP INC           COM   205477102         898      41,983  SH     DEFINED     09      41,983           0           0

COMPX INTERNATIONAL INC           COM   20563P101          63       4,936  SH     DEFINED     01          40       4,896           0
COMPX INTERNATIONAL INC           COM   20563P101         236      18,605  SH     DEFINED  01,08       4,600      14,005           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     85
  ________

COMPUWARE CORP                    COM   205638109       1,713     137,162  SH     DEFINED     01      51,896      85,266           0
COMPUWARE CORP                    COM   205638109           6         470  SH     OTHER       01         350         120           0
COMPUWARE CORP                    COM   205638109      19,913   1,594,339  SH     DEFINED  01,08      19,631   1,574,708           0
COMPUWARE CORP                    COM   205638109           0           1  SH     DEFINED     09           1           0           0

COMSCORE INC                      COM   20564W105       1,567      93,361  SH     DEFINED     01      50,633      42,728           0
COMSCORE INC                      COM   20564W105          30       1,805  SH     OTHER       01       1,805           0           0
COMSCORE INC                      COM   20564W105       6,708     399,743  SH     DEFINED  01,08      31,197     368,546           0
COMSCORE INC                      COM   20564W105       1,400      83,409  SH     DEFINED     09      83,409           0           0

COMSTOCK MNG INC                  COM   205750102         125      62,016  SH     DEFINED  01,08           0      62,016           0

COMSTOCK RES INC                  COM   205768203         968      59,551  SH     DEFINED     01      14,235      45,316           0
COMSTOCK RES INC                  COM   205768203       8,118     499,569  SH     DEFINED  01,08      28,892     470,677           0
COMSTOCK RES INC                  COM   205768203       1,932     118,920  SH     DEFINED     09     118,920           0           0

COMTECH TELECOMMUNICATIONS C   CONV DEB 205826AF7       4,607   4,500,000  PRN    DEFINED     01     625,000   3,875,000           0
COMTECH TELECOMMUNICATIONS C   CONV DEB 205826AF7       3,967   3,875,000  PRN    DEFINED  01,08   3,875,000           0           0

COMTECH TELECOMMUNICATIONS C      COM   205826209       2,601     107,132  SH     DEFINED     01       7,890      99,242           0
COMTECH TELECOMMUNICATIONS C      COM   205826209       7,025     289,330  SH     DEFINED  01,08      82,837     206,493           0
COMTECH TELECOMMUNICATIONS C      COM   205826209       1,109      45,670  SH     DEFINED     09      45,670           0           0

COMVERSE INC                      COM   20585P105         880      31,394  SH     DEFINED     01       8,930      22,464           0
COMVERSE INC                      COM   20585P105          17         615  SH     OTHER       01         373         242           0
COMVERSE INC                      COM   20585P105       6,626     236,314  SH     DEFINED  01,08       9,464     226,850           0
COMVERSE INC                      COM   20585P105       1,577      56,231  SH     DEFINED     09      56,231           0           0

CONAGRA FOODS INC                 COM   205887102      19,284     538,522  SH     DEFINED     01     226,861     309,162       2,499
CONAGRA FOODS INC                 COM   205887102         421      11,745  SH     OTHER       01      11,227         398         120
CONAGRA FOODS INC                 COM   205887102     136,906   3,823,129  SH     DEFINED  01,08     590,479   3,232,650           0
CONAGRA FOODS INC                 COM   205887102      45,437   1,268,827  SH     DEFINED     09   1,268,827           0           0

CON-WAY INC                       COM   205944101       1,016      28,866  SH     DEFINED     01      13,016      15,850           0
CON-WAY INC                       COM   205944101      15,308     434,772  SH     DEFINED  01,08      25,226     409,546           0
CON-WAY INC                       COM   205944101           0           1  SH     DEFINED     09           1           0           0

CONCEPTUS INC                     COM   206016107         899      37,243  SH     DEFINED     01       4,574      32,669           0
CONCEPTUS INC                     COM   206016107          94       3,880  SH     OTHER       01           0       3,880           0
CONCEPTUS INC                     COM   206016107       8,585     355,477  SH     DEFINED  01,08      27,676     327,801           0
CONCEPTUS INC                     COM   206016107       1,909      79,030  SH     DEFINED     09      79,030           0           0

CONCHO RES INC                    COM   20605P101       6,987      71,714  SH     DEFINED     01      55,331      16,162         221
CONCHO RES INC                    COM   20605P101          97         994  SH     OTHER       01         909          85           0
CONCHO RES INC                    COM   20605P101      51,527     528,857  SH     DEFINED  01,08     120,523     408,334           0
CONCHO RES INC                    COM   20605P101      14,796     151,862  SH     DEFINED     09     151,862           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     86
  ________

CONCUR TECHNOLOGIES INC           COM   206708109       4,117      59,957  SH     DEFINED     01      35,683      23,307         967
CONCUR TECHNOLOGIES INC           COM   206708109         401       5,836  SH     OTHER       01       1,623       4,110         103
CONCUR TECHNOLOGIES INC           COM   206708109      24,462     356,276  SH     DEFINED  01,08      15,327     340,949           0
CONCUR TECHNOLOGIES INC           COM   206708109           0           1  SH     DEFINED     09           1           0           0

CONCURRENT COMPUTER CORP NEW      COM   206710402          26       3,256  SH     DEFINED     01           0       3,256           0
CONCURRENT COMPUTER CORP NEW      COM   206710402         113      14,319  SH     DEFINED  01,08       2,196      12,123           0

CONMED CORP                       COM   207410101      10,269     301,491  SH     DEFINED     01      11,863     289,628           0
CONMED CORP                       COM   207410101      20,031     588,097  SH     DEFINED  01,08     296,865     291,232           0
CONMED CORP                       COM   207410101       2,370      69,588  SH     DEFINED     09      69,588           0           0

CONNECTICUT WTR SVC INC           COM   207797101         522      17,843  SH     DEFINED     01       3,147      14,696           0
CONNECTICUT WTR SVC INC           COM   207797101       3,437     117,589  SH     DEFINED  01,08      10,548     107,041           0
CONNECTICUT WTR SVC INC           COM   207797101         938      32,082  SH     DEFINED     09      32,082           0           0

CONNECTONE BANCORP INC            COM   20786U101         127       4,049  SH     DEFINED  01,08         254       3,795           0
CONNECTONE BANCORP INC            COM   20786U101         168       5,389  SH     DEFINED     09       5,389           0           0

CONNS INC                         COM   208242107         689      19,162  SH     DEFINED     01       3,385      15,777           0
CONNS INC                         COM   208242107       6,848     190,533  SH     DEFINED  01,08      14,271     176,262           0
CONNS INC                         COM   208242107       1,546      43,030  SH     DEFINED     09      43,030           0           0

CONOCOPHILLIPS                    COM   20825C104     163,701   2,723,817  SH     DEFINED     01   1,715,290     972,908      35,619
CONOCOPHILLIPS                    COM   20825C104      18,908     314,606  SH     OTHER       01     215,061      59,194      40,351
CONOCOPHILLIPS                    COM   20825C104     710,071  11,814,820  SH     DEFINED  01,08   2,118,385   9,696,435           0
CONOCOPHILLIPS                    COM   20825C104     216,265   3,598,414  SH     DEFINED     09   3,598,414           0           0

CONSOL ENERGY INC                 COM   20854P109       8,921     265,117  SH     DEFINED     01     114,172     149,571       1,374
CONSOL ENERGY INC                 COM   20854P109         146       4,327  SH     OTHER       01       3,820         507           0
CONSOL ENERGY INC                 COM   20854P109      67,571   2,008,056  SH     DEFINED  01,08     308,614   1,699,442           0
CONSOL ENERGY INC                 COM   20854P109      23,119     687,030  SH     DEFINED     09     687,030           0           0

CONSOLIDATED COMM HLDGS INC       COM   209034107       1,424      81,148  SH     DEFINED     01       5,544      75,604           0
CONSOLIDATED COMM HLDGS INC       COM   209034107          97       5,500  SH     OTHER       01       5,500           0           0
CONSOLIDATED COMM HLDGS INC       COM   209034107       8,590     489,453  SH     DEFINED  01,08      40,930     448,523           0
CONSOLIDATED COMM HLDGS INC       COM   209034107       1,858     105,869  SH     DEFINED     09     105,869           0           0

CONSOLIDATED EDISON INC           COM   209115104      25,306     414,646  SH     DEFINED     01     202,564     208,941       3,141
CONSOLIDATED EDISON INC           COM   209115104         982      16,096  SH     OTHER       01      13,557         609       1,930
CONSOLIDATED EDISON INC           COM   209115104     159,430   2,612,317  SH     DEFINED  01,08     367,953   2,244,364           0
CONSOLIDATED EDISON INC           COM   209115104      51,619     845,796  SH     DEFINED     09     845,796           0           0

CONSOLIDATED GRAPHICS INC         COM   209341106         581      14,848  SH     DEFINED     01       3,538      11,310           0
CONSOLIDATED GRAPHICS INC         COM   209341106       3,445      88,096  SH     DEFINED  01,08       9,663      78,433           0
CONSOLIDATED GRAPHICS INC         COM   209341106         713      18,232  SH     DEFINED     09      18,232           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     87
  ________

CONSOLIDATED TOMOKA LD CO         COM   210226106         449      11,447  SH     DEFINED     01         799      10,648           0
CONSOLIDATED TOMOKA LD CO         COM   210226106       2,150      54,769  SH     DEFINED  01,08       9,369      45,400           0
CONSOLIDATED TOMOKA LD CO         COM   210226106         437      11,122  SH     DEFINED     09      11,122           0           0

CONSTANT CONTACT INC              COM   210313102         799      61,519  SH     DEFINED     01      33,349      27,163       1,007
CONSTANT CONTACT INC              COM   210313102          36       2,800  SH     OTHER       01       2,100         592         108
CONSTANT CONTACT INC              COM   210313102       4,300     331,281  SH     DEFINED  01,08      15,657     315,624           0
CONSTANT CONTACT INC              COM   210313102         933      71,862  SH     DEFINED     09      71,862           0           0

CONSTELLATION BRANDS INC          COM   21036P108       8,154     171,149  SH     DEFINED     01      89,276      81,593         280
CONSTELLATION BRANDS INC          COM   21036P108         161       3,370  SH     OTHER       01       3,074         296           0
CONSTELLATION BRANDS INC          COM   21036P108      62,931   1,320,978  SH     DEFINED  01,08     212,966   1,108,012           0
CONSTELLATION BRANDS INC          COM   21036P108      19,325     405,642  SH     DEFINED     09     405,642           0           0

CONSUMER PORTFOLIO SVCS INC       COM   210502100         120      10,247  SH     DEFINED     01         100      10,147           0
CONSUMER PORTFOLIO SVCS INC       COM   210502100         324      27,667  SH     DEFINED  01,08       9,154      18,513           0

CONTANGO OIL & GAS COMPANY        COM   21075N204         778      19,411  SH     DEFINED     01       3,757      15,654           0
CONTANGO OIL & GAS COMPANY        COM   21075N204         269       6,700  SH     OTHER       01           0       6,700           0
CONTANGO OIL & GAS COMPANY        COM   21075N204       6,080     151,669  SH     DEFINED  01,08      11,789     139,880           0
CONTANGO OIL & GAS COMPANY        COM   21075N204       1,222      30,482  SH     DEFINED     09      30,482           0           0

CONTINENTAL RESOURCES INC         COM   212015101       5,092      58,577  SH     DEFINED     01      50,249       7,686         642
CONTINENTAL RESOURCES INC         COM   212015101         176       2,025  SH     OTHER       01       1,839         186           0
CONTINENTAL RESOURCES INC         COM   212015101      20,529     236,161  SH     DEFINED  01,08      45,799     190,362           0
CONTINENTAL RESOURCES INC         COM   212015101       5,211      59,944  SH     DEFINED     09      59,944           0           0

CONVERGYS CORP                    COM   212485106      10,086     592,255  SH     DEFINED     01      16,112     576,143           0
CONVERGYS CORP                    COM   212485106           1          70  SH     OTHER       01           0          70           0
CONVERGYS CORP                    COM   212485106      34,421   2,021,216  SH     DEFINED  01,08     573,021   1,448,195           0
CONVERGYS CORP                    COM   212485106       4,372     256,718  SH     DEFINED     09     256,718           0           0

COOPER COS INC                    COM   216648402       2,718      25,197  SH     DEFINED     01      19,417       5,696          84
COOPER COS INC                    COM   216648402          15         140  SH     OTHER       01          52          48          40
COOPER COS INC                    COM   216648402      38,676     358,505  SH     DEFINED  01,08       4,988     353,517           0
COOPER COS INC                    COM   216648402           0           1  SH     DEFINED     09           1           0           0

COOPER TIRE & RUBR CO             COM   216831107       6,416     250,051  SH     DEFINED     01      10,153     239,898           0
COOPER TIRE & RUBR CO             COM   216831107      22,198     865,095  SH     DEFINED  01,08     221,779     643,316           0
COOPER TIRE & RUBR CO             COM   216831107       3,896     151,824  SH     DEFINED     09     151,824           0           0

COPANO ENERGY L L C               COM   217202100       1,535      37,890  SH     DEFINED     01      37,890           0           0

COPART INC                        COM   217204106       2,239      65,323  SH     DEFINED     01      43,991      21,104         228
COPART INC                        COM   217204106          86       2,518  SH     OTHER       01         141       2,377           0
COPART INC                        COM   217204106      26,523     773,940  SH     DEFINED  01,08      10,968     762,972           0
COPART INC                        COM   217204106           0           2  SH     DEFINED     09           2           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     88
  ________

CORCEPT THERAPEUTICS INC          COM   218352102          70      34,790  SH     DEFINED     01       8,660      26,130           0
CORCEPT THERAPEUTICS INC          COM   218352102         978     489,015  SH     DEFINED  01,08      16,222     472,793           0
CORCEPT THERAPEUTICS INC          COM   218352102         220     110,243  SH     DEFINED     09     110,243           0           0

CORE MARK HOLDING CO INC          COM   218681104       4,334      84,469  SH     DEFINED     01       1,525      82,944           0
CORE MARK HOLDING CO INC          COM   218681104         343       6,680  SH     OTHER       01       5,170       1,510           0
CORE MARK HOLDING CO INC          COM   218681104      10,308     200,893  SH     DEFINED  01,08      85,961     114,932           0
CORE MARK HOLDING CO INC          COM   218681104       1,443      28,118  SH     DEFINED     09      28,118           0           0

CORESITE RLTY CORP                COM   21870Q105         828      23,661  SH     DEFINED     01       3,462      20,199           0
CORESITE RLTY CORP                COM   21870Q105       7,938     226,936  SH     DEFINED  01,08      13,042     213,894           0
CORESITE RLTY CORP                COM   21870Q105       1,908      54,534  SH     DEFINED     09      54,534           0           0

CORELOGIC INC                     COM   21871D103       1,678      64,874  SH     DEFINED     01      32,250      32,624           0
CORELOGIC INC                     COM   21871D103           3         115  SH     OTHER       01          35          80           0
CORELOGIC INC                     COM   21871D103      19,666     760,474  SH     DEFINED  01,08      38,571     721,903           0
CORELOGIC INC                     COM   21871D103           0           1  SH     DEFINED     09           1           0           0

CORINTHIAN COLLEGES INC           COM   218868107         199      94,394  SH     DEFINED     01      30,779      63,615           0
CORINTHIAN COLLEGES INC           COM   218868107       1,768     839,791  SH     DEFINED  01,08      37,838     801,953           0
CORINTHIAN COLLEGES INC           COM   218868107         358     170,215  SH     DEFINED     09     170,215           0           0

CORNERSTONE THERAPEUTICS INC      COM   21924P103          35       4,936  SH     DEFINED     01         480       4,456           0
CORNERSTONE THERAPEUTICS INC      COM   21924P103         581      82,148  SH     DEFINED  01,08       1,243      80,905           0
CORNERSTONE THERAPEUTICS INC      COM   21924P103         100      14,197  SH     DEFINED     09      14,197           0           0

CORNERSTONE ONDEMAND INC          COM   21925Y103       1,095      32,109  SH     DEFINED     01       6,229      25,880           0
CORNERSTONE ONDEMAND INC          COM   21925Y103      12,184     357,314  SH     DEFINED  01,08      14,436     342,878           0
CORNERSTONE ONDEMAND INC          COM   21925Y103       2,866      84,039  SH     DEFINED     09      84,039           0           0

CORNING INC                       COM   219350105      22,146   1,661,386  SH     DEFINED     01     643,279   1,012,469       5,638
CORNING INC                       COM   219350105       2,253     169,040  SH     OTHER       01     152,503      14,532       2,005
CORNING INC                       COM   219350105     177,380  13,306,806  SH     DEFINED  01,08   1,999,346  11,307,460           0
CORNING INC                       COM   219350105      59,134   4,436,173  SH     DEFINED     09   4,436,173           0           0

CORONADO BIOSCIENCES INC          COM   21976U109         116      11,934  SH     DEFINED     01       1,800      10,134           0
CORONADO BIOSCIENCES INC          COM   21976U109       1,827     187,917  SH     DEFINED  01,08       2,679     185,238           0
CORONADO BIOSCIENCES INC          COM   21976U109         507      52,200  SH     DEFINED     09      52,200           0           0

CORPORATE EXECUTIVE BRD CO        COM   21988R102       3,536      60,794  SH     DEFINED     01       6,838      53,956           0
CORPORATE EXECUTIVE BRD CO        COM   21988R102         179       3,075  SH     OTHER       01       3,075           0           0
CORPORATE EXECUTIVE BRD CO        COM   21988R102      29,328     504,267  SH     DEFINED  01,08      42,357     461,910           0
CORPORATE EXECUTIVE BRD CO        COM   21988R102       4,806      82,642  SH     DEFINED     09      82,642           0           0

CORPORATE OFFICE PPTYS TR         COM   22002T108       2,451      91,873  SH     DEFINED     01      15,140      76,733           0
CORPORATE OFFICE PPTYS TR         COM   22002T108           2          67  SH     OTHER       01           0          40          27
CORPORATE OFFICE PPTYS TR         COM   22002T108      22,170     830,955  SH     DEFINED  01,08     232,807     598,148           0
CORPORATE OFFICE PPTYS TR         COM   22002T108         719      26,933  SH     DEFINED     09      26,933           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     89
  ________

CORRECTIONS CORP AMER NEW         COM   22025Y407       3,813      97,598  SH     DEFINED     01      82,684      14,914           0
CORRECTIONS CORP AMER NEW         COM   22025Y407          59       1,500  SH     OTHER       01           0       1,500           0
CORRECTIONS CORP AMER NEW         COM   22025Y407      30,468     779,837  SH     DEFINED  01,08      11,372     768,465           0
CORRECTIONS CORP AMER NEW         COM   22025Y407           0           1  SH     DEFINED     09           1           0           0

CORVEL CORP                       COM   221006109         812      16,417  SH     DEFINED     01       2,559      13,858           0
CORVEL CORP                       COM   221006109       3,765      76,084  SH     DEFINED  01,08      10,927      65,157           0
CORVEL CORP                       COM   221006109         758      15,319  SH     DEFINED     09      15,319           0           0

COSI INC                          COM   22122P101           0         615  SH     DEFINED     01           0         615           0
COSI INC                          COM   22122P101          49      71,033  SH     DEFINED  01,08       2,022      69,011           0

COSTCO WHSL CORP NEW              COM   22160K105     250,101   2,356,993  SH     DEFINED     01   1,956,012     351,181      49,800
COSTCO WHSL CORP NEW              COM   22160K105      42,719     402,594  SH     OTHER       01     297,206      66,580      38,808
COSTCO WHSL CORP NEW              COM   22160K105     417,703   3,936,510  SH     DEFINED  01,08     571,225   3,365,285           0
COSTCO WHSL CORP NEW              COM   22160K105     137,621   1,296,967  SH     DEFINED     09   1,296,967           0           0

COSTAR GROUP INC                  COM   22160N109       8,128      74,251  SH     DEFINED     01      38,685      34,618         948
COSTAR GROUP INC                  COM   22160N109       1,837      16,781  SH     OTHER       01       3,307      13,373         101
COSTAR GROUP INC                  COM   22160N109      33,856     309,298  SH     DEFINED  01,08      19,337     289,961           0
COSTAR GROUP INC                  COM   22160N109       7,799      71,252  SH     DEFINED     09      71,252           0           0

COURIER CORP                      COM   222660102         734      50,914  SH     DEFINED     01       1,440      49,474           0
COURIER CORP                      COM   222660102       2,143     148,736  SH     DEFINED  01,08      15,191     133,545           0
COURIER CORP                      COM   222660102         307      21,271  SH     DEFINED     09      21,271           0           0

COUSINS PPTYS INC                 COM   222795106       1,475     137,970  SH     DEFINED     01      36,403     101,567           0
COUSINS PPTYS INC                 COM   222795106      12,836   1,200,776  SH     DEFINED  01,08     272,168     928,608           0
COUSINS PPTYS INC                 COM   222795106       2,775     259,580  SH     DEFINED     09     259,580           0           0

COVANCE INC                       COM   222816100       8,967     120,660  SH     DEFINED     01     105,919      11,075       3,666
COVANCE INC                       COM   222816100       1,346      18,111  SH     OTHER       01      15,072       2,901         138
COVANCE INC                       COM   222816100      30,094     404,923  SH     DEFINED  01,08       5,284     399,639           0
COVANCE INC                       COM   222816100           0           2  SH     DEFINED     09           2           0           0

COVANTA HLDG CORP                 COM   22282E102       1,791      88,892  SH     DEFINED     01      67,909      20,983           0
COVANTA HLDG CORP                 COM   22282E102       9,774     485,076  SH     DEFINED  01,08      16,463     468,613           0
COVANTA HLDG CORP                 COM   22282E102           0           1  SH     DEFINED     09           1           0           0

COVENANT TRANSN GROUP INC         COM   22284P105          49       8,157  SH     DEFINED     01           0       8,157           0
COVENANT TRANSN GROUP INC         COM   22284P105         132      21,833  SH     DEFINED  01,08       7,819      14,014           0

COVENTRY HEALTH CARE INC          COM   222862104       7,695     163,627  SH     DEFINED     01      71,112      92,067         448
COVENTRY HEALTH CARE INC          COM   222862104         138       2,934  SH     OTHER       01       2,685         249           0
COVENTRY HEALTH CARE INC          COM   222862104      56,539   1,202,186  SH     DEFINED  01,08     179,132   1,023,054           0
COVENTRY HEALTH CARE INC          COM   222862104      18,242     387,871  SH     DEFINED     09     387,871           0           0

COVER-ALL TECHNOLOGIES INC        COM   222892101           6       4,858  SH     DEFINED     01           0       4,858           0
COVER-ALL TECHNOLOGIES INC        COM   222892101          14      11,190  SH     DEFINED  01,08       6,524       4,666           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     90
  ________

COWEN GROUP INC NEW               COM   223622101         217      76,879  SH     DEFINED     01      11,431      65,448           0
COWEN GROUP INC NEW               COM   223622101       2,445     867,173  SH     DEFINED  01,08      21,172     846,001           0
COWEN GROUP INC NEW               COM   223622101         583     206,872  SH     DEFINED     09     206,872           0           0

CRACKER BARREL OLD CTRY STOR      COM   22410J106       9,942     122,973  SH     DEFINED     01       9,157     113,816           0
CRACKER BARREL OLD CTRY STOR      COM   22410J106      26,436     326,977  SH     DEFINED  01,08     112,486     214,491           0
CRACKER BARREL OLD CTRY STOR      COM   22410J106       3,941      48,740  SH     DEFINED     09      48,740           0           0

CRAFT BREW ALLIANCE INC           COM   224122101         129      17,334  SH     DEFINED     01         120      17,214           0
CRAFT BREW ALLIANCE INC           COM   224122101         778     104,525  SH     DEFINED  01,08      12,548      91,977           0
CRAFT BREW ALLIANCE INC           COM   224122101         225      30,210  SH     DEFINED     09      30,210           0           0

CRANE CO                          COM   224399105       2,824      50,559  SH     DEFINED     01      45,141       5,418           0
CRANE CO                          COM   224399105          75       1,340  SH     OTHER       01           0       1,300          40
CRANE CO                          COM   224399105      20,177     361,200  SH     DEFINED  01,08       4,788     356,412           0
CRANE CO                          COM   224399105           0           1  SH     DEFINED     09           1           0           0

CRAWFORD & CO                     COM   224633107         392      51,693  SH     DEFINED     01       4,748      46,945           0
CRAWFORD & CO                     COM   224633107       2,215     291,881  SH     DEFINED  01,08      37,075     254,806           0
CRAWFORD & CO                     COM   224633107         501      65,943  SH     DEFINED     09      65,943           0           0

CRAY INC                          COM   225223304         997      42,937  SH     DEFINED     01       5,212      37,725           0
CRAY INC                          COM   225223304       9,494     409,053  SH     DEFINED  01,08      25,799     383,254           0
CRAY INC                          COM   225223304       2,357     101,557  SH     DEFINED     09     101,557           0           0

CREDIT ACCEP CORP MICH            COM   225310101       1,863      15,252  SH     DEFINED     01         659      14,593           0
CREDIT ACCEP CORP MICH            COM   225310101      12,030      98,490  SH     DEFINED  01,08      13,852      84,638           0
CREDIT ACCEP CORP MICH            COM   225310101       2,297      18,806  SH     DEFINED     09      18,806           0           0

CREDIT SUISSE GROUP               COM   225401108       6,850     261,456  SH     DEFINED     01     240,710      19,900         846
CREDIT SUISSE GROUP               COM   225401108         700      26,724  SH     OTHER       01      17,081       5,176       4,467
CREDIT SUISSE GROUP               COM   225401108       1,759      67,129  SH     DEFINED  01,08      11,998      55,131           0

CREE INC                          COM   225447101       3,039      55,542  SH     DEFINED     01      42,179      12,840         523
CREE INC                          COM   225447101         759      13,868  SH     OTHER       01      11,040       2,828           0
CREE INC                          COM   225447101      53,886     984,946  SH     DEFINED  01,08     129,699     855,247           0
CREE INC                          COM   225447101       8,689     158,817  SH     DEFINED     09     158,817           0           0

CRESCENT FINL BANCSHARES INC      COM   225743103           8       1,967  SH     DEFINED     01         130       1,837           0
CRESCENT FINL BANCSHARES INC      COM   225743103          82      20,702  SH     DEFINED  01,08         243      20,459           0

CRESTWOOD MIDSTREAM PRTNERS       COM   226372100         248      10,392  SH     DEFINED     01      10,392           0           0

CRESUD S A C I F Y A              COM   226406106           0          40  SH     DEFINED     01          40           0           0
CRESUD S A C I F Y A              COM   226406106         374      39,860  SH     DEFINED  01,08      39,700         160           0

CREXENDO INC                      COM   226552107          16       6,169  SH     DEFINED     01           0       6,169           0
CREXENDO INC                      COM   226552107          56      22,171  SH     DEFINED  01,08       5,028      17,143           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     91
  ________

CREXUS INVT CORP                  COM   226553105         737      56,627  SH     DEFINED     01      11,538      45,089           0
CREXUS INVT CORP                  COM   226553105       8,910     684,356  SH     DEFINED  01,08      14,013     670,343           0
CREXUS INVT CORP                  COM   226553105       2,172     166,826  SH     DEFINED     09     166,826           0           0

CRIMSON EXPLORATION INC           COM   22662K207          34      12,060  SH     DEFINED     01         760      11,300           0
CRIMSON EXPLORATION INC           COM   22662K207         583     203,984  SH     DEFINED  01,08       3,309     200,675           0
CRIMSON EXPLORATION INC           COM   22662K207         128      44,735  SH     DEFINED     09      44,735           0           0

CROCS INC                         COM   227046109       1,752     118,203  SH     DEFINED     01      32,377      85,826           0
CROCS INC                         COM   227046109          44       3,000  SH     OTHER       01           0       3,000           0
CROCS INC                         COM   227046109      14,796     998,360  SH     DEFINED  01,08      57,964     940,396           0
CROCS INC                         COM   227046109       3,245     218,945  SH     DEFINED     09     218,945           0           0

CROSS A T CO                      COM   227478104         186      13,532  SH     DEFINED     01           0      13,532           0
CROSS A T CO                      COM   227478104       1,391     101,015  SH     DEFINED  01,08       6,774      94,241           0
CROSS A T CO                      COM   227478104         296      21,485  SH     DEFINED     09      21,485           0           0

CROSS CTRY HEALTHCARE INC         COM   227483104         211      39,737  SH     DEFINED     01      11,387      28,350           0
CROSS CTRY HEALTHCARE INC         COM   227483104       1,631     307,241  SH     DEFINED  01,08      15,580     291,661           0
CROSS CTRY HEALTHCARE INC         COM   227483104         365      68,672  SH     DEFINED     09      68,672           0           0

CROSS TIMBERS RTY TR              COM   22757R109         141       4,830  SH     DEFINED     01       4,830           0           0
CROSS TIMBERS RTY TR              COM   22757R109         295      10,082  SH     OTHER       01      10,082           0           0

CROSSTEX ENERGY L P               COM   22765U102         624      33,914  SH     DEFINED     01      33,914           0           0

CROSSTEX ENERGY INC               COM   22765Y104       5,840     303,210  SH     DEFINED     01       6,335     296,875           0
CROSSTEX ENERGY INC               COM   22765Y104         116       6,000  SH     OTHER       01           0       6,000           0
CROSSTEX ENERGY INC               COM   22765Y104      14,060     730,008  SH     DEFINED  01,08     295,838     434,170           0
CROSSTEX ENERGY INC               COM   22765Y104       2,031     105,445  SH     DEFINED     09     105,445           0           0

CROWN CASTLE INTL CORP            COM   228227104      23,444     336,650  SH     DEFINED     01     126,362     208,929       1,359
CROWN CASTLE INTL CORP            COM   228227104         265       3,811  SH     OTHER       01       3,309         502           0
CROWN CASTLE INTL CORP            COM   228227104     183,814   2,639,489  SH     DEFINED  01,08     396,594   2,242,895           0
CROWN CASTLE INTL CORP            COM   228227104      61,318     880,505  SH     DEFINED     09     880,505           0           0

CROWN CRAFTS INC                  COM   228309100          41       6,801  SH     DEFINED     01           0       6,801           0
CROWN CRAFTS INC                  COM   228309100         123      20,571  SH     DEFINED  01,08       6,598      13,973           0

CROWN HOLDINGS INC                COM   228368106       2,885      69,333  SH     DEFINED     01      37,077      31,856         400
CROWN HOLDINGS INC                COM   228368106      29,642     712,368  SH     DEFINED  01,08     148,920     563,448           0
CROWN HOLDINGS INC                COM   228368106       8,034     193,067  SH     DEFINED     09     193,067           0           0

CROWN MEDIA HLDGS INC             COM   228411104          79      38,410  SH     DEFINED     01         175      38,235           0
CROWN MEDIA HLDGS INC             COM   228411104         691     337,204  SH     DEFINED  01,08      28,873     308,331           0
CROWN MEDIA HLDGS INC             COM   228411104         234     114,283  SH     DEFINED     09     114,283           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     92
  ________

CRYOLIFE INC                      COM   228903100       1,605     267,129  SH     DEFINED     01       9,502     257,627           0
CRYOLIFE INC                      COM   228903100          18       3,000  SH     OTHER       01           0       3,000           0
CRYOLIFE INC                      COM   228903100       3,113     517,909  SH     DEFINED  01,08     256,256     261,653           0
CRYOLIFE INC                      COM   228903100         429      71,415  SH     DEFINED     09      71,415           0           0

CTRIP COM INTL LTD                COM   22943F100         469      21,950  SH     DEFINED     01         150      21,800           0
CTRIP COM INTL LTD                COM   22943F100          86       4,000  SH     OTHER       01       4,000           0           0
CTRIP COM INTL LTD                COM   22943F100         481      22,510  SH     DEFINED  01,08      21,800         710           0

CUBESMART                         COM   229663109       3,011     190,577  SH     DEFINED     01      57,375     131,552       1,650
CUBESMART                         COM   229663109          13         808  SH     OTHER       01         347         461           0
CUBESMART                         COM   229663109      24,609   1,557,524  SH     DEFINED  01,08     337,204   1,220,320           0
CUBESMART                         COM   229663109       5,853     370,467  SH     DEFINED     09     370,467           0           0

CUBIC CORP                        COM   229669106       4,369     102,279  SH     DEFINED     01      20,700      80,988         591
CUBIC CORP                        COM   229669106          12         291  SH     OTHER       01         291           0           0
CUBIC CORP                        COM   229669106      10,496     245,686  SH     DEFINED  01,08      77,970     167,716           0
CUBIC CORP                        COM   229669106       1,643      38,463  SH     DEFINED     09      38,463           0           0

CUBIC ENERGY INC                  COM   229675103           9      31,531  SH     DEFINED  01,08           0      31,531           0

CUBIST PHARMACEUTICALS INC        COM   229678107       4,151      88,661  SH     DEFINED     01      25,383      63,178         100
CUBIST PHARMACEUTICALS INC        COM   229678107           2          40  SH     OTHER       01           0          40           0
CUBIST PHARMACEUTICALS INC        COM   229678107      33,233     709,801  SH     DEFINED  01,08      43,289     666,512           0
CUBIST PHARMACEUTICALS INC        COM   229678107       7,492     160,014  SH     DEFINED     09     160,014           0           0

CULLEN FROST BANKERS INC          COM   229899109       1,243      19,878  SH     DEFINED     01      13,698       6,080         100
CULLEN FROST BANKERS INC          COM   229899109         182       2,912  SH     OTHER       01         354       2,558           0
CULLEN FROST BANKERS INC          COM   229899109      26,805     428,668  SH     DEFINED  01,08       5,184     423,484           0
CULLEN FROST BANKERS INC          COM   229899109           0           1  SH     DEFINED     09           1           0           0

CULP INC                          COM   230215105         192      12,071  SH     DEFINED     01           0      12,071           0
CULP INC                          COM   230215105       1,421      89,337  SH     DEFINED  01,08       6,268      83,069           0
CULP INC                          COM   230215105         404      25,388  SH     DEFINED     09      25,388           0           0

CUMBERLAND PHARMACEUTICALS I      COM   230770109          30       5,964  SH     DEFINED     01          95       5,869           0
CUMBERLAND PHARMACEUTICALS I      COM   230770109         604     121,304  SH     DEFINED  01,08       2,085     119,219           0
CUMBERLAND PHARMACEUTICALS I      COM   230770109         152      30,621  SH     DEFINED     09      30,621           0           0

CUMMINS INC                       COM   231021106      92,601     799,597  SH     DEFINED     01     624,258     159,165      16,174
CUMMINS INC                       COM   231021106      13,223     114,180  SH     OTHER       01      84,145      27,153       2,882
CUMMINS INC                       COM   231021106     188,690   1,629,310  SH     DEFINED  01,08     232,825   1,396,485           0
CUMMINS INC                       COM   231021106      60,596     523,240  SH     DEFINED     09     523,240           0           0

CUMULUS MEDIA INC                 COM   231082108         179      53,097  SH     DEFINED     01       2,075      51,022           0
CUMULUS MEDIA INC                 COM   231082108       2,110     626,181  SH     DEFINED  01,08      23,645     602,536           0
CUMULUS MEDIA INC                 COM   231082108         501     148,794  SH     DEFINED     09     148,794           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     93
  ________

CURIS INC                         COM   231269101         256      78,049  SH     DEFINED     01       8,608      69,441           0
CURIS INC                         COM   231269101       2,787     849,633  SH     DEFINED  01,08      43,795     805,838           0
CURIS INC                         COM   231269101         594     181,183  SH     DEFINED     09     181,183           0           0

CURRENCYSHARES CDN DLR TR         COM   23129X105         230       2,346  SH     DEFINED     01       2,346           0           0

CURTISS WRIGHT CORP               COM   231561101       9,003     259,440  SH     DEFINED     01      28,839     230,096         505
CURTISS WRIGHT CORP               COM   231561101           8         244  SH     OTHER       01         244           0           0
CURTISS WRIGHT CORP               COM   231561101      24,250     698,835  SH     DEFINED  01,08     225,527     473,308           0
CURTISS WRIGHT CORP               COM   231561101       3,965     114,257  SH     DEFINED     09     114,257           0           0

CUSHING MLP TOTAL RETURN FD       COM   231631102          81      10,000  SH     DEFINED     01      10,000           0           0

CUTERA INC                        COM   232109108         150      11,571  SH     DEFINED     01         255      11,316           0
CUTERA INC                        COM   232109108         474      36,461  SH     DEFINED  01,08      11,425      25,036           0

CYBERONICS INC                    COM   23251P102       2,058      43,975  SH     DEFINED     01      10,781      33,194           0
CYBERONICS INC                    COM   23251P102      14,239     304,254  SH     DEFINED  01,08      24,199     280,055           0
CYBERONICS INC                    COM   23251P102       3,154      67,387  SH     DEFINED     09      67,387           0           0

CYBEROPTICS CORP                  COM   232517102          58       9,376  SH     DEFINED     01         150       9,226           0
CYBEROPTICS CORP                  COM   232517102         134      21,900  SH     DEFINED  01,08       8,812      13,088           0

CYCLACEL PHARMACEUTICALS INC      COM   23254L306          76      13,630  SH     DEFINED  01,08          65      13,565           0

CYMER INC                         COM   232572107       4,254      44,238  SH     DEFINED     01      12,299      31,939           0
CYMER INC                         COM   232572107      32,357     336,515  SH     DEFINED  01,08      22,887     313,628           0
CYMER INC                         COM   232572107       7,321      76,144  SH     DEFINED     09      76,144           0           0

CYNOSURE INC                      COM   232577205         532      20,334  SH     DEFINED     01       1,188      19,146           0
CYNOSURE INC                      COM   232577205          26       1,000  SH     OTHER       01           0       1,000           0
CYNOSURE INC                      COM   232577205       3,927     150,073  SH     DEFINED  01,08      19,236     130,837           0
CYNOSURE INC                      COM   232577205         816      31,166  SH     DEFINED     09      31,166           0           0

CYPRESS SEMICONDUCTOR CORP        COM   232806109         896      81,258  SH     DEFINED     01      60,771      19,084       1,403
CYPRESS SEMICONDUCTOR CORP        COM   232806109           9         820  SH     OTHER       01         427         393           0
CYPRESS SEMICONDUCTOR CORP        COM   232806109      11,441   1,037,244  SH     DEFINED  01,08      13,441   1,023,803           0
CYPRESS SEMICONDUCTOR CORP        COM   232806109           0           1  SH     DEFINED     09           1           0           0

CYTOKINETICS INC                  COM   23282W100           9       8,052  SH     DEFINED     01           0       8,052           0
CYTOKINETICS INC                  COM   23282W100         286     250,501  SH     DEFINED  01,08      10,591     239,910           0
CYTOKINETICS INC                  COM   23282W100           0           1  SH     DEFINED     09           1           0           0

CYTEC INDS INC                    COM   232820100       3,909      52,761  SH     DEFINED     01      23,128      29,633           0
CYTEC INDS INC                    COM   232820100          10         136  SH     OTHER       01           0         136           0
CYTEC INDS INC                    COM   232820100      26,886     362,929  SH     DEFINED  01,08      29,567     333,362           0
CYTEC INDS INC                    COM   232820100           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     94
  ________

CYTRX CORP                        COM   232828509           1         290  SH     DEFINED     01           0         290           0
CYTRX CORP                        COM   232828509         108      39,629  SH     DEFINED  01,08         462      39,167           0

CYTORI THERAPEUTICS INC           COM   23283K105         130      51,967  SH     DEFINED     01       6,412      45,555           0
CYTORI THERAPEUTICS INC           COM   23283K105       1,456     581,412  SH     DEFINED  01,08      13,073     568,339           0
CYTORI THERAPEUTICS INC           COM   23283K105         401     160,089  SH     DEFINED     09     160,089           0           0

CYRUSONE INC                      COM   23283R100          37       1,639  SH     DEFINED     01           0       1,639           0
CYRUSONE INC                      COM   23283R100       1,093      47,866  SH     DEFINED  01,08       2,775      45,091           0
CYRUSONE INC                      COM   23283R100       1,063      46,520  SH     DEFINED     09      46,520           0           0

DCP MIDSTREAM PARTNERS LP         COM   23311P100       1,291      27,707  SH     DEFINED     01      27,707           0           0
DCP MIDSTREAM PARTNERS LP         COM   23311P100         112       2,400  SH     OTHER       01           0       2,400           0

DCT INDUSTRIAL TRUST INC          COM   233153105       2,260     305,416  SH     DEFINED     01      37,096     268,320           0
DCT INDUSTRIAL TRUST INC          COM   233153105      24,877   3,361,692  SH     DEFINED  01,08     682,435   2,679,257           0
DCT INDUSTRIAL TRUST INC          COM   233153105       5,669     766,042  SH     DEFINED     09     766,042           0           0

DDR CORP                          COM   23317H102       1,209      69,419  SH     DEFINED     01      44,821      24,598           0
DDR CORP                          COM   23317H102      24,884   1,428,472  SH     DEFINED  01,08     487,553     940,919           0
DDR CORP                          COM   23317H102       1,517      87,095  SH     DEFINED     09      87,095           0           0

DFC GLOBAL CORP                   COM   23324T107       1,003      60,269  SH     DEFINED     01       5,094      55,175           0
DFC GLOBAL CORP                   COM   23324T107       8,251     495,864  SH     DEFINED  01,08      39,492     456,372           0
DFC GLOBAL CORP                   COM   23324T107       1,794     107,813  SH     DEFINED     09     107,813           0           0

DNP SELECT INCOME FD              COM   23325P104         308      30,402  SH     DEFINED     01      19,402      11,000           0
DNP SELECT INCOME FD              COM   23325P104         189      18,625  SH     OTHER       01      18,625           0           0

D R HORTON INC                 CONV DEB 23331ABB4       3,732   3,550,000  PRN    DEFINED     01     550,000   3,000,000           0
D R HORTON INC                 CONV DEB 23331ABB4     315,420   3,000,000  PRN    DEFINED  01,08   3,000,000           0           0

D R HORTON INC                    COM   23331A109      16,046     660,333  SH     DEFINED     01     483,327     165,519      11,487
D R HORTON INC                    COM   23331A109         705      28,996  SH     OTHER       01      17,891      10,281         824
D R HORTON INC                    COM   23331A109      60,750   2,499,999  SH     DEFINED  01,08     364,869   2,135,130           0
D R HORTON INC                    COM   23331A109      20,236     832,742  SH     DEFINED     09     832,742           0           0

DSP GROUP INC                     COM   23332B106         271      33,575  SH     DEFINED     01       8,303      25,272           0
DSP GROUP INC                     COM   23332B106       1,950     241,585  SH     DEFINED  01,08      13,765     227,820           0
DSP GROUP INC                     COM   23332B106         518      64,142  SH     DEFINED     09      64,142           0           0

DST SYS INC DEL                   COM   233326107         802      11,248  SH     DEFINED     01       7,416       3,832           0
DST SYS INC DEL                   COM   233326107          16         228  SH     OTHER       01         228           0           0
DST SYS INC DEL                   COM   233326107      16,663     233,799  SH     DEFINED  01,08       3,388     230,411           0
DST SYS INC DEL                   COM   233326107           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     95
  ________

DTE ENERGY CO                     COM   233331107      17,136     250,751  SH     DEFINED     01     120,849     127,691       2,211
DTE ENERGY CO                     COM   233331107         433       6,336  SH     OTHER       01       5,382         829         125
DTE ENERGY CO                     COM   233331107     108,902   1,593,531  SH     DEFINED  01,08     226,361   1,367,170           0
DTE ENERGY CO                     COM   233331107      34,143     499,612  SH     DEFINED     09     499,612           0           0

DSW INC                           COM   23334L102       6,734     105,556  SH     DEFINED     01       5,494     100,062           0
DSW INC                           COM   23334L102          38         596  SH     OTHER       01         208         373          15
DSW INC                           COM   23334L102      14,242     223,225  SH     DEFINED  01,08      88,932     134,293           0
DSW INC                           COM   23334L102           0           1  SH     DEFINED     09           1           0           0

DTS INC                           COM   23335C101         407      24,487  SH     DEFINED     01       7,169      17,318           0
DTS INC                           COM   23335C101       3,342     200,960  SH     DEFINED  01,08      10,750     190,210           0
DTS INC                           COM   23335C101         713      42,857  SH     DEFINED     09      42,857           0           0

DXP ENTERPRISES INC NEW           COM   233377407       1,415      18,944  SH     DEFINED     01      10,139       8,684         121
DXP ENTERPRISES INC NEW           COM   233377407          40         536  SH     OTHER       01         505          31           0
DXP ENTERPRISES INC NEW           COM   233377407       7,485     100,198  SH     DEFINED  01,08       6,937      93,261           0
DXP ENTERPRISES INC NEW           COM   233377407       1,685      22,553  SH     DEFINED     09      22,553           0           0

DAILY JOURNAL CORP                COM   233912104         143       1,291  SH     DEFINED     01           0       1,291           0
DAILY JOURNAL CORP                COM   233912104         941       8,479  SH     DEFINED  01,08       1,035       7,444           0
DAILY JOURNAL CORP                COM   233912104         347       3,128  SH     DEFINED     09       3,128           0           0

DAKTRONICS INC                    COM   234264109         678      64,601  SH     DEFINED     01      15,180      49,421           0
DAKTRONICS INC                    COM   234264109       4,383     417,427  SH     DEFINED  01,08      38,015     379,412           0
DAKTRONICS INC                    COM   234264109         988      94,060  SH     DEFINED     09      94,060           0           0

DANA HLDG CORP                    COM   235825205      11,930     669,087  SH     DEFINED     01      53,646     615,441           0
DANA HLDG CORP                    COM   235825205          64       3,571  SH     OTHER       01       2,341       1,230           0
DANA HLDG CORP                    COM   235825205      37,271   2,090,350  SH     DEFINED  01,08     561,584   1,528,766           0
DANA HLDG CORP                    COM   235825205       6,603     370,329  SH     DEFINED     09     370,329           0           0

DANAHER CORP DEL                  COM   235851102     322,629   5,191,141  SH     DEFINED     01   4,227,609     755,529     208,003
DANAHER CORP DEL                  COM   235851102      62,040     998,224  SH     OTHER       01     684,009     191,844     122,371
DANAHER CORP DEL                  COM   235851102     325,000   5,229,278  SH     DEFINED  01,08     812,383   4,416,895           0
DANAHER CORP DEL                  COM   235851102     108,212   1,741,149  SH     DEFINED     09   1,741,149           0           0

DARA BIOSCIENCES INC              COM   23703P205          31      31,231  SH     DEFINED  01,08           0      31,231           0

DARDEN RESTAURANTS INC            COM   237194105      27,009     522,613  SH     DEFINED     01     384,962     116,256      21,395
DARDEN RESTAURANTS INC            COM   237194105       5,300     102,557  SH     OTHER       01      84,246      13,493       4,818
DARDEN RESTAURANTS INC            COM   237194105      61,145   1,183,151  SH     DEFINED  01,08     180,788   1,002,363           0
DARDEN RESTAURANTS INC            COM   237194105      20,214     391,139  SH     DEFINED     09     391,139           0           0

DARLING INTL INC                  COM   237266101       7,473     416,100  SH     DEFINED     01      51,607     364,243         250
DARLING INTL INC                  COM   237266101         395      21,990  SH     OTHER       01      21,920          70           0
DARLING INTL INC                  COM   237266101      27,564   1,534,766  SH     DEFINED  01,08     343,076   1,191,690           0
DARLING INTL INC                  COM   237266101       5,287     294,393  SH     DEFINED     09     294,393           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     96
  ________

DATA I O CORP                     COM   237690102           9       6,405  SH     DEFINED     01           0       6,405           0
DATA I O CORP                     COM   237690102          32      21,830  SH     DEFINED  01,08       7,914      13,916           0

DATAWATCH CORP                    COM   237917208         127       8,495  SH     DEFINED     01           0       8,495           0
DATAWATCH CORP                    COM   237917208         230      15,352  SH     DEFINED  01,08       8,581       6,771           0

DATALINK CORP                     COM   237934104         232      19,177  SH     DEFINED     01         420      18,757           0
DATALINK CORP                     COM   237934104       1,954     161,785  SH     DEFINED  01,08      12,550     149,235           0
DATALINK CORP                     COM   237934104         461      38,128  SH     DEFINED     09      38,128           0           0

DAVITA HEALTHCARE PARTNERS I      COM   23918K108      12,483     105,263  SH     DEFINED     01      44,734      60,109         420
DAVITA HEALTHCARE PARTNERS I      COM   23918K108         309       2,607  SH     OTHER       01       1,950         649           8
DAVITA HEALTHCARE PARTNERS I      COM   23918K108      93,554     788,886  SH     DEFINED  01,08     129,448     659,438           0
DAVITA HEALTHCARE PARTNERS I      COM   23918K108      32,340     272,706  SH     DEFINED     09     272,706           0           0

DAWSON GEOPHYSICAL CO             COM   239359102         538      17,935  SH     DEFINED     01       1,175      16,760           0
DAWSON GEOPHYSICAL CO             COM   239359102       2,838      94,590  SH     DEFINED  01,08      12,801      81,789           0
DAWSON GEOPHYSICAL CO             COM   239359102         741      24,707  SH     DEFINED     09      24,707           0           0

DAXOR CORP                        COM   239467103          30       4,165  SH     DEFINED     01          40       4,125           0
DAXOR CORP                        COM   239467103          44       6,121  SH     DEFINED  01,08       5,123         998           0

DEALERTRACK TECHNOLOGIES INC      COM   242309102       6,527     222,170  SH     DEFINED     01     133,696      85,883       2,591
DEALERTRACK TECHNOLOGIES INC      COM   242309102         434      14,758  SH     OTHER       01       7,384       7,098         276
DEALERTRACK TECHNOLOGIES INC      COM   242309102      14,659     498,944  SH     DEFINED  01,08      52,448     446,496           0
DEALERTRACK TECHNOLOGIES INC      COM   242309102       3,066     104,356  SH     DEFINED     09     104,356           0           0

DEAN FOODS CO NEW                 COM   242370104       4,073     224,672  SH     DEFINED     01      95,068     129,362         242
DEAN FOODS CO NEW                 COM   242370104          62       3,408  SH     OTHER       01       3,122         286           0
DEAN FOODS CO NEW                 COM   242370104      26,530   1,463,314  SH     DEFINED  01,08      56,566   1,406,748           0
DEAN FOODS CO NEW                 COM   242370104       5,265     290,406  SH     DEFINED     09     290,406           0           0

DECKERS OUTDOOR CORP              COM   243537107       1,422      25,542  SH     DEFINED     01      18,498       6,469         575
DECKERS OUTDOOR CORP              COM   243537107         107       1,920  SH     OTHER       01       1,920           0           0
DECKERS OUTDOOR CORP              COM   243537107      14,775     265,312  SH     DEFINED  01,08       5,884     259,428           0
DECKERS OUTDOOR CORP              COM   243537107           0           1  SH     DEFINED     09           1           0           0

DEERE & CO                        COM   244199105      78,561     913,718  SH     DEFINED     01     623,555     283,393       6,770
DEERE & CO                        COM   244199105      22,563     262,425  SH     OTHER       01     186,586      68,062       7,777
DEERE & CO                        COM   244199105     301,694   3,508,882  SH     DEFINED  01,08     509,243   2,999,639           0
DEERE & CO                        COM   244199105      99,066   1,152,202  SH     DEFINED     09   1,152,202           0           0

DEL FRISCOS RESTAURANT GROUP      COM   245077102          61       3,702  SH     DEFINED     01           0       3,702           0
DEL FRISCOS RESTAURANT GROUP      COM   245077102         989      59,583  SH     DEFINED  01,08         915      58,668           0
DEL FRISCOS RESTAURANT GROUP      COM   245077102         319      19,189  SH     DEFINED     09      19,189           0           0

DELCATH SYS INC                   COM   24661P104          22      12,114  SH     DEFINED     01           0      12,114           0
DELCATH SYS INC                   COM   24661P104         214     118,932  SH     DEFINED  01,08       2,968     115,964           0
DELCATH SYS INC                   COM   24661P104           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     97
  ________

DELEK US HLDGS INC                COM   246647101       6,029     152,789  SH     DEFINED     01       2,930     149,859           0
DELEK US HLDGS INC                COM   246647101      13,805     349,854  SH     DEFINED  01,08     145,649     204,205           0
DELEK US HLDGS INC                COM   246647101           0           1  SH     DEFINED     09           1           0           0

DELIA'S INC NEW                   COM   246911101           9       9,287  SH     DEFINED     01           0       9,287           0
DELIA'S INC NEW                   COM   246911101          44      44,614  SH     DEFINED  01,08       5,597      39,017           0

DELL INC                          COM   24702R101      24,070   1,679,676  SH     DEFINED     01     677,448     994,902       7,326
DELL INC                          COM   24702R101       1,551     108,246  SH     OTHER       01      56,955      49,388       1,903
DELL INC                          COM   24702R101     189,016  13,190,212  SH     DEFINED  01,08   1,950,531  11,239,681           0
DELL INC                          COM   24702R101      62,936   4,391,897  SH     DEFINED     09   4,391,897           0           0

DELTA AIR LINES INC DEL           COM   247361702       7,507     454,674  SH     DEFINED     01     340,462     110,590       3,622
DELTA AIR LINES INC DEL           COM   247361702         547      33,110  SH     OTHER       01       4,999      27,884         227
DELTA AIR LINES INC DEL           COM   247361702      60,345   3,655,062  SH     DEFINED  01,08     254,125   3,400,937           0
DELTA AIR LINES INC DEL           COM   247361702       5,407     327,519  SH     DEFINED     09     327,519           0           0

DELTA APPAREL INC                 COM   247368103         196      11,884  SH     DEFINED     01           0      11,884           0
DELTA APPAREL INC                 COM   247368103       1,270      77,117  SH     DEFINED  01,08       8,260      68,857           0
DELTA APPAREL INC                 COM   247368103         324      19,648  SH     DEFINED     09      19,648           0           0

DELTA NAT GAS INC                 COM   247748106         178       8,146  SH     DEFINED     01         760       7,386           0
DELTA NAT GAS INC                 COM   247748106       1,442      65,943  SH     DEFINED  01,08       4,895      61,048           0
DELTA NAT GAS INC                 COM   247748106         367      16,798  SH     DEFINED     09      16,798           0           0

DELTIC TIMBER CORP                COM   247850100       2,165      31,505  SH     DEFINED     01      15,962      15,279         264
DELTIC TIMBER CORP                COM   247850100         482       7,017  SH     OTHER       01         767       6,250           0
DELTIC TIMBER CORP                COM   247850100       9,487     138,060  SH     DEFINED  01,08      23,420     114,640           0
DELTIC TIMBER CORP                COM   247850100       1,899      27,637  SH     DEFINED     09      27,637           0           0

DENBURY RES INC                   COM   247916208       8,160     437,545  SH     DEFINED     01     226,087     210,288       1,170
DENBURY RES INC                   COM   247916208         142       7,634  SH     OTHER       01       6,675         959           0
DENBURY RES INC                   COM   247916208      62,527   3,352,670  SH     DEFINED  01,08     501,782   2,850,888           0
DENBURY RES INC                   COM   247916208      21,016   1,126,885  SH     DEFINED     09   1,126,885           0           0

DELUXE CORP                       COM   248019101       4,239     102,388  SH     DEFINED     01      34,115      66,943       1,330
DELUXE CORP                       COM   248019101          96       2,330  SH     OTHER       01       1,900          30         400
DELUXE CORP                       COM   248019101      32,293     780,036  SH     DEFINED  01,08      34,955     745,081           0
DELUXE CORP                       COM   248019101       5,180     125,111  SH     DEFINED     09     125,111           0           0

DEMAND MEDIA INC                  COM   24802N109         179      20,692  SH     DEFINED     01       3,235      17,457           0
DEMAND MEDIA INC                  COM   24802N109       2,943     341,036  SH     DEFINED  01,08       5,146     335,890           0
DEMAND MEDIA INC                  COM   24802N109         608      70,478  SH     DEFINED     09      70,478           0           0

DEMANDWARE INC                    COM   24802Y105         269      10,598  SH     DEFINED     01       1,825       8,773           0
DEMANDWARE INC                    COM   24802Y105       1,928      76,062  SH     DEFINED  01,08       5,086      70,976           0
DEMANDWARE INC                    COM   24802Y105         390      15,403  SH     DEFINED     09      15,403           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     98
  ________

DENDREON CORP                     COM   24823Q107         569     120,217  SH     DEFINED     01      21,233      98,984           0
DENDREON CORP                     COM   24823Q107       7,658   1,617,349  SH     DEFINED  01,08      36,395   1,580,954           0
DENDREON CORP                     COM   24823Q107       1,815     383,406  SH     DEFINED     09     383,406           0           0

DENNYS CORP                       COM   24869P104       1,370     237,157  SH     DEFINED     01     114,736     117,294       5,127
DENNYS CORP                       COM   24869P104          59      10,301  SH     OTHER       01       6,641       3,660           0
DENNYS CORP                       COM   24869P104       6,006   1,039,994  SH     DEFINED  01,08      44,035     995,959           0
DENNYS CORP                       COM   24869P104       1,427     247,186  SH     DEFINED     09     247,186           0           0

DENTSPLY INTL INC NEW             COM   249030107      11,738     276,569  SH     DEFINED     01     163,818     105,786       6,965
DENTSPLY INTL INC NEW             COM   249030107       2,570      60,563  SH     OTHER       01      39,189       8,169      13,205
DENTSPLY INTL INC NEW             COM   249030107      53,376   1,257,683  SH     DEFINED  01,08     175,904   1,081,779           0
DENTSPLY INTL INC NEW             COM   249030107      17,163     404,418  SH     DEFINED     09     404,418           0           0

DERMA SCIENCES INC                COM   249827502         161      13,347  SH     DEFINED     01       1,050      12,297           0
DERMA SCIENCES INC                COM   249827502       1,345     111,356  SH     DEFINED  01,08       8,623     102,733           0
DERMA SCIENCES INC                COM   249827502         319      26,381  SH     DEFINED     09      26,381           0           0

DEPOMED INC                       COM   249908104         445      75,884  SH     DEFINED     01      15,317      60,567           0
DEPOMED INC                       COM   249908104       3,749     638,756  SH     DEFINED  01,08      43,753     595,003           0
DEPOMED INC                       COM   249908104         852     145,063  SH     DEFINED     09     145,063           0           0

DESTINATION MATERNITY CORP        COM   25065D100         757      32,370  SH     DEFINED     01       1,080      31,290           0
DESTINATION MATERNITY CORP        COM   25065D100       3,431     146,633  SH     DEFINED  01,08       9,379     137,254           0
DESTINATION MATERNITY CORP        COM   25065D100         803      34,320  SH     DEFINED     09      34,320           0           0

DESTINATION XL GROUP INC          COM   25065K104       1,104     216,811  SH     DEFINED     01     177,679      33,113       6,019
DESTINATION XL GROUP INC          COM   25065K104         196      38,584  SH     OTHER       01      33,335       5,249           0
DESTINATION XL GROUP INC          COM   25065K104       2,111     414,670  SH     DEFINED  01,08      15,200     399,470           0
DESTINATION XL GROUP INC          COM   25065K104         599     117,704  SH     DEFINED     09     117,704           0           0

DEVON ENERGY CORP NEW             COM   25179M103      30,147     534,326  SH     DEFINED     01     198,917     333,004       2,405
DEVON ENERGY CORP NEW             COM   25179M103         728      12,905  SH     OTHER       01      10,520         849       1,536
DEVON ENERGY CORP NEW             COM   25179M103     206,791   3,665,202  SH     DEFINED  01,08     753,939   2,911,263           0
DEVON ENERGY CORP NEW             COM   25179M103      64,088   1,135,918  SH     DEFINED     09   1,135,918           0           0

DEVRY INC DEL                     COM   251893103       1,338      42,150  SH     DEFINED     01      33,653       8,494           3
DEVRY INC DEL                     COM   251893103         259       8,154  SH     OTHER       01         223       7,931           0
DEVRY INC DEL                     COM   251893103      14,431     454,519  SH     DEFINED  01,08      21,481     433,038           0
DEVRY INC DEL                     COM   251893103           0           2  SH     DEFINED     09           2           0           0

DEXCOM INC                        COM   252131107       1,005      60,087  SH     DEFINED     01       9,831      50,256           0
DEXCOM INC                        COM   252131107      12,301     735,683  SH     DEFINED  01,08      25,191     710,492           0
DEXCOM INC                        COM   252131107       2,855     170,782  SH     DEFINED     09     170,782           0           0

DIAGEO P L C                      COM   25243Q205      16,114     128,048  SH     DEFINED     01     104,928      22,451         669
DIAGEO P L C                      COM   25243Q205       3,136      24,921  SH     OTHER       01      15,761       8,835         325
DIAGEO P L C                      COM   25243Q205       4,630      36,796  SH     DEFINED  01,08       6,397      30,399           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE     99
  ________

DIAMOND FOODS INC                 COM   252603105         508      30,104  SH     DEFINED     01       8,952      21,152           0
DIAMOND FOODS INC                 COM   252603105       3,992     236,770  SH     DEFINED  01,08      12,890     223,880           0
DIAMOND FOODS INC                 COM   252603105         934      55,381  SH     DEFINED     09      55,381           0           0

DIAMOND HILL INVESTMENT GROU      COM   25264R207         314       4,040  SH     DEFINED     01         218       3,822           0
DIAMOND HILL INVESTMENT GROU      COM   25264R207       2,364      30,382  SH     DEFINED  01,08       2,781      27,601           0
DIAMOND HILL INVESTMENT GROU      COM   25264R207         540       6,941  SH     DEFINED     09       6,941           0           0

DIAMOND OFFSHORE DRILLING IN      COM   25271C102       5,348      76,877  SH     DEFINED     01      34,326      42,358         193
DIAMOND OFFSHORE DRILLING IN      COM   25271C102          35         506  SH     OTHER       01         466          40           0
DIAMOND OFFSHORE DRILLING IN      COM   25271C102      44,396     638,240  SH     DEFINED  01,08      75,741     562,499           0
DIAMOND OFFSHORE DRILLING IN      COM   25271C102      13,235     190,262  SH     DEFINED     09     190,262           0           0

DIAMONDBACK ENERGY INC            COM   25278X109         219       8,172  SH     DEFINED     01           0       8,172           0
DIAMONDBACK ENERGY INC            COM   25278X109       3,871     144,230  SH     DEFINED  01,08       2,087     142,143           0
DIAMONDBACK ENERGY INC            COM   25278X109       1,049      39,098  SH     DEFINED     09      39,098           0           0

DIAMONDROCK HOSPITALITY CO        COM   252784301       8,548     918,100  SH     DEFINED     01      72,880     845,220           0
DIAMONDROCK HOSPITALITY CO        COM   252784301      28,580   3,069,843  SH     DEFINED  01,08   1,152,201   1,917,642           0
DIAMONDROCK HOSPITALITY CO        COM   252784301       4,939     530,472  SH     DEFINED     09     530,472           0           0

DICE HLDGS INC                    COM   253017107         871      85,970  SH     DEFINED     01      32,561      53,409           0
DICE HLDGS INC                    COM   253017107          32       3,191  SH     OTHER       01       1,889       1,302           0
DICE HLDGS INC                    COM   253017107       5,082     501,680  SH     DEFINED  01,08      37,869     463,811           0
DICE HLDGS INC                    COM   253017107       1,202     118,687  SH     DEFINED     09     118,687           0           0

DICKS SPORTING GOODS INC          COM   253393102      11,474     242,584  SH     DEFINED     01     152,458      86,044       4,082
DICKS SPORTING GOODS INC          COM   253393102         889      18,804  SH     OTHER       01       3,604      15,135          65
DICKS SPORTING GOODS INC          COM   253393102      40,850     863,644  SH     DEFINED  01,08     149,564     714,080           0
DICKS SPORTING GOODS INC          COM   253393102       6,821     144,212  SH     DEFINED     09     144,212           0           0

DIEBOLD INC                       COM   253651103       1,052      34,700  SH     DEFINED     01      14,027      19,633       1,040
DIEBOLD INC                       COM   253651103         180       5,925  SH     OTHER       01           0       5,925           0
DIEBOLD INC                       COM   253651103      14,906     491,615  SH     DEFINED  01,08       5,753     485,862           0
DIEBOLD INC                       COM   253651103           0           1  SH     DEFINED     09           1           0           0

DIGI INTL INC                     COM   253798102       4,160     465,865  SH     DEFINED     01     135,561     325,952       4,352
DIGI INTL INC                     COM   253798102         186      20,876  SH     OTHER       01       7,269      11,436       2,171
DIGI INTL INC                     COM   253798102       2,521     282,263  SH     DEFINED  01,08      20,763     261,500           0
DIGI INTL INC                     COM   253798102         537      60,169  SH     DEFINED     09      60,169           0           0

DIGIMARC CORP NEW                 COM   25381B101         193       8,790  SH     DEFINED     01           0       8,790           0
DIGIMARC CORP NEW                 COM   25381B101       1,686      76,736  SH     DEFINED  01,08       7,041      69,695           0
DIGIMARC CORP NEW                 COM   25381B101         389      17,721  SH     DEFINED     09      17,721           0           0

DIGIRAD CORP                      COM   253827109         189      74,871  SH     DEFINED     01      72,727       2,144           0
DIGIRAD CORP                      COM   253827109          23       9,169  SH     DEFINED  01,08       2,144       7,025           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    100
  ________

DIGITAL RLTY TR INC               COM   253868103      52,389     782,981  SH     DEFINED     01     675,280      95,370      12,331
DIGITAL RLTY TR INC               COM   253868103       3,864      57,748  SH     OTHER       01      48,129       9,599          20
DIGITAL RLTY TR INC               COM   253868103      60,408     902,832  SH     DEFINED  01,08     401,048     501,784           0
DIGITAL RLTY TR INC               COM   253868103      15,524     232,009  SH     DEFINED     09     232,009           0           0

DIGITAL RIV INC                   COM   25388B104         944      66,726  SH     DEFINED     01      14,595      52,131           0
DIGITAL RIV INC                   COM   25388B104       5,786     409,178  SH     DEFINED  01,08      31,761     377,417           0
DIGITAL RIV INC                   COM   25388B104       1,314      92,941  SH     DEFINED     09      92,941           0           0

DIGITALGLOBE INC                  COM   25389M877       1,691      58,491  SH     DEFINED     01       8,364      50,127           0
DIGITALGLOBE INC                  COM   25389M877      17,559     607,352  SH     DEFINED  01,08      32,982     574,370           0
DIGITALGLOBE INC                  COM   25389M877       3,778     130,698  SH     DEFINED     09     130,698           0           0

DIME CMNTY BANCSHARES             COM   253922108       4,784     333,172  SH     DEFINED     01      12,055     321,117           0
DIME CMNTY BANCSHARES             COM   253922108       9,450     658,054  SH     DEFINED  01,08     324,471     333,583           0
DIME CMNTY BANCSHARES             COM   253922108       1,132      78,826  SH     DEFINED     09      78,826           0           0

DIGITAL GENERATION INC            COM   25400B108         548      85,412  SH     DEFINED     01      11,312      74,100           0
DIGITAL GENERATION INC            COM   25400B108       2,147     334,465  SH     DEFINED  01,08      65,573     268,892           0
DIGITAL GENERATION INC            COM   25400B108         469      73,019  SH     DEFINED     09      73,019           0           0

DILLARDS INC                      COM   254067101         860      10,945  SH     DEFINED     01       7,593       3,352           0
DILLARDS INC                      COM   254067101          36         460  SH     OTHER       01         154         306           0
DILLARDS INC                      COM   254067101      10,068     128,177  SH     DEFINED  01,08       5,080     123,097           0
DILLARDS INC                      COM   254067101           0           1  SH     DEFINED     09           1           0           0

DINEEQUITY INC                    COM   254423106       2,868      41,693  SH     DEFINED     01      18,759      22,650         284
DINEEQUITY INC                    COM   254423106          88       1,272  SH     OTHER       01         832         440           0
DINEEQUITY INC                    COM   254423106      12,004     174,508  SH     DEFINED  01,08      12,495     162,013           0
DINEEQUITY INC                    COM   254423106       2,552      37,093  SH     DEFINED     09      37,093           0           0

DIODES INC                        COM   254543101       1,099      52,390  SH     DEFINED     01      14,668      37,722           0
DIODES INC                        COM   254543101       8,047     383,569  SH     DEFINED  01,08      26,989     356,580           0
DIODES INC                        COM   254543101       1,937      92,317  SH     DEFINED     09      92,317           0           0

DISCOVERY LABORATORIES INC N      COM   254668403          71      30,958  SH     DEFINED     01       4,460      26,498           0
DISCOVERY LABORATORIES INC N      COM   254668403         987     430,856  SH     DEFINED  01,08       7,231     423,625           0
DISCOVERY LABORATORIES INC N      COM   254668403         244     106,566  SH     DEFINED     09     106,566           0           0

DISNEY WALT CO                    COM   254687106     331,976   5,844,647  SH     DEFINED     01   4,234,269   1,424,133     186,245
DISNEY WALT CO                    COM   254687106      61,230   1,077,994  SH     OTHER       01     758,706     236,751      82,537
DISNEY WALT CO                    COM   254687106     914,975  16,108,717  SH     DEFINED  01,08   2,368,179  13,740,538           0
DISNEY WALT CO                    COM   254687106     295,889   5,209,306  SH     DEFINED     09   5,209,306           0           0

DISCOVERY COMMUNICATNS NEW        COM   25470F104      24,768     314,555  SH     DEFINED     01     132,107     181,828         620
DISCOVERY COMMUNICATNS NEW        COM   25470F104         476       6,041  SH     OTHER       01       5,214         534         293
DISCOVERY COMMUNICATNS NEW        COM   25470F104     160,758   2,041,633  SH     DEFINED  01,08     200,574   1,841,059           0
DISCOVERY COMMUNICATNS NEW        COM   25470F104      44,355     563,305  SH     DEFINED     09     563,305           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    101
  ________

DISCOVERY COMMUNICATNS NEW        COM   25470F302         463       6,655  SH     DEFINED     01       6,319         336           0
DISCOVERY COMMUNICATNS NEW        COM   25470F302          25         353  SH     OTHER       01           0          60         293
DISCOVERY COMMUNICATNS NEW        COM   25470F302       7,031     101,107  SH     DEFINED  01,08      96,802       4,305           0
DISCOVERY COMMUNICATNS NEW        COM   25470F302       8,816     126,783  SH     DEFINED     09     126,783           0           0

DISH NETWORK CORP                 COM   25470M109       2,132      56,256  SH     DEFINED     01      29,615      26,641           0
DISH NETWORK CORP                 COM   25470M109           1          23  SH     OTHER       01           0           0          23
DISH NETWORK CORP                 COM   25470M109      39,305   1,037,070  SH     DEFINED  01,08     225,259     811,811           0
DISH NETWORK CORP                 COM   25470M109      11,421     301,358  SH     DEFINED     09     301,358           0           0

DISCOVER FINL SVCS                COM   254709108      48,420   1,079,838  SH     DEFINED     01     784,359     287,572       7,907
DISCOVER FINL SVCS                COM   254709108       2,998      66,864  SH     OTHER       01      38,379      27,868         617
DISCOVER FINL SVCS                COM   254709108     199,994   4,460,166  SH     DEFINED  01,08     694,165   3,766,001           0
DISCOVER FINL SVCS                COM   254709108      66,268   1,477,867  SH     DEFINED     09   1,477,867           0           0

DIRECTV                           COM   25490A309      46,992     830,389  SH     DEFINED     01     422,271     403,539       4,579
DIRECTV                           COM   25490A309       1,547      27,333  SH     OTHER       01      22,065       3,799       1,469
DIRECTV                           COM   25490A309     295,540   5,222,471  SH     DEFINED  01,08     766,733   4,455,738           0
DIRECTV                           COM   25490A309      96,500   1,705,243  SH     DEFINED     09   1,705,243           0           0

DIXIE GROUP INC                   COM   255519100          29       5,209  SH     DEFINED     01           0       5,209           0
DIXIE GROUP INC                   COM   255519100         108      19,276  SH     DEFINED  01,08       4,640      14,636           0

DR REDDYS LABS LTD                COM   256135203         376      11,633  SH     DEFINED     01         975      10,658           0
DR REDDYS LABS LTD                COM   256135203           8         240  SH     OTHER       01           0         240           0
DR REDDYS LABS LTD                COM   256135203       5,390     166,622  SH     DEFINED  01,08     166,222         400           0
DR REDDYS LABS LTD                COM   256135203          25         786  SH     DEFINED     09         786           0           0

DOCUMENT SEC SYS INC              COM   25614T101          65      28,612  SH     DEFINED  01,08          96      28,516           0

DOLAN CO                          COM   25659P402          79      33,201  SH     DEFINED     01       7,221      25,980           0
DOLAN CO                          COM   25659P402         760     318,191  SH     DEFINED  01,08      15,908     302,283           0
DOLAN CO                          COM   25659P402         171      71,658  SH     DEFINED     09      71,658           0           0

DOLBY LABORATORIES INC            COM   25659T107         514      15,301  SH     DEFINED     01       8,578       6,723           0
DOLBY LABORATORIES INC            COM   25659T107          44       1,322  SH     OTHER       01         441         864          17
DOLBY LABORATORIES INC            COM   25659T107       8,061     240,204  SH     DEFINED  01,08      45,251     194,953           0
DOLBY LABORATORIES INC            COM   25659T107       1,907      56,825  SH     DEFINED     09      56,825           0           0

DOLE FOOD CO INC NEW              COM   256603101       1,267     116,207  SH     DEFINED     01       2,716     113,491           0
DOLE FOOD CO INC NEW              COM   256603101       4,956     454,654  SH     DEFINED  01,08     102,508     352,146           0
DOLE FOOD CO INC NEW              COM   256603101         924      84,760  SH     DEFINED     09      84,760           0           0

DOLLAR GEN CORP NEW               COM   256677105      14,283     282,387  SH     DEFINED     01      72,512     209,697         178
DOLLAR GEN CORP NEW               COM   256677105          64       1,258  SH     OTHER       01         932         326           0
DOLLAR GEN CORP NEW               COM   256677105     114,735   2,268,393  SH     DEFINED  01,08     426,125   1,842,268           0
DOLLAR GEN CORP NEW               COM   256677105      44,290     875,649  SH     DEFINED     09     875,649           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    102
  ________

DOLLAR TREE INC                   COM   256746108      11,962     246,991  SH     DEFINED     01      87,103     154,821       5,067
DOLLAR TREE INC                   COM   256746108       1,503      31,036  SH     OTHER       01      30,642         394           0
DOLLAR TREE INC                   COM   256746108      99,235   2,049,031  SH     DEFINED  01,08     284,205   1,764,826           0
DOLLAR TREE INC                   COM   256746108      31,848     657,611  SH     DEFINED     09     657,611           0           0

DOMINION RES INC VA NEW           COM   25746U109      89,719   1,542,089  SH     DEFINED     01   1,046,765     455,168      40,156
DOMINION RES INC VA NEW           COM   25746U109      29,906     514,028  SH     OTHER       01     346,938     122,029      45,061
DOMINION RES INC VA NEW           COM   25746U109     300,947   5,172,684  SH     DEFINED  01,08     759,100   4,413,584           0
DOMINION RES INC VA NEW           COM   25746U109      99,796   1,715,304  SH     DEFINED     09   1,715,304           0           0

DOMINOS PIZZA INC                 COM   25754A201       5,057      98,312  SH     DEFINED     01       7,376      90,936           0
DOMINOS PIZZA INC                 COM   25754A201      34,454     669,799  SH     DEFINED  01,08      74,372     595,427           0
DOMINOS PIZZA INC                 COM   25754A201       7,424     144,327  SH     DEFINED     09     144,327           0           0

DOMTAR CORP                       COM   257559203       4,755      61,262  SH     DEFINED     01       7,122      54,140           0
DOMTAR CORP                       COM   257559203      24,571     316,558  SH     DEFINED  01,08      54,794     261,764           0
DOMTAR CORP                       COM   257559203           0           1  SH     DEFINED     09           1           0           0

DONALDSON INC                     COM   257651109       1,648      45,545  SH     DEFINED     01      24,291      20,934         320
DONALDSON INC                     COM   257651109       2,305      63,692  SH     OTHER       01      45,270       3,952      14,470
DONALDSON INC                     COM   257651109      38,002   1,050,068  SH     DEFINED  01,08      13,660   1,036,408           0
DONALDSON INC                     COM   257651109           0           2  SH     DEFINED     09           2           0           0

DONEGAL GROUP INC                 COM   257701201         256      16,789  SH     DEFINED     01       1,205      15,584           0
DONEGAL GROUP INC                 COM   257701201       1,407      92,168  SH     DEFINED  01,08      15,403      76,765           0
DONEGAL GROUP INC                 COM   257701201         236      15,447  SH     DEFINED     09      15,447           0           0

DONEGAL GROUP INC                 COM   257701300         136       5,910  SH     DEFINED     01         100       5,810           0
DONEGAL GROUP INC                 COM   257701300         195       8,476  SH     DEFINED  01,08       7,193       1,283           0

DONNELLEY R R & SONS CO           COM   257867101       3,578     296,945  SH     DEFINED     01     148,960     147,828         157
DONNELLEY R R & SONS CO           COM   257867101       6,813     565,365  SH     OTHER       01      79,890     478,410       7,065
DONNELLEY R R & SONS CO           COM   257867101      16,409   1,361,714  SH     DEFINED  01,08      16,974   1,344,740           0
DONNELLEY R R & SONS CO           COM   257867101           0           2  SH     DEFINED     09           2           0           0

DORAL FINL CORP                   COM   25811P886          60      84,509  SH     DEFINED     01      13,130      71,379           0
DORAL FINL CORP                   COM   25811P886         871   1,236,098  SH     DEFINED  01,08      31,936   1,204,162           0
DORAL FINL CORP                   COM   25811P886         179     254,576  SH     DEFINED     09     254,576           0           0

DORMAN PRODUCTS INC               COM   258278100       5,233     140,629  SH     DEFINED     01     103,743      36,683         203
DORMAN PRODUCTS INC               COM   258278100         129       3,477  SH     OTHER       01       1,272       2,205           0
DORMAN PRODUCTS INC               COM   258278100      10,656     286,365  SH     DEFINED  01,08      27,378     258,987           0
DORMAN PRODUCTS INC               COM   258278100       2,328      62,552  SH     DEFINED     09      62,552           0           0

DOT HILL SYS CORP                 COM   25848T109          24      21,506  SH     DEFINED     01           0      21,506           0
DOT HILL SYS CORP                 COM   25848T109         103      93,491  SH     DEFINED  01,08      13,488      80,003           0

DOUBLE EAGLE PETE CO              COM   258570209         101      18,892  SH     DEFINED     01       1,000      17,892           0
DOUBLE EAGLE PETE CO              COM   258570209         176      32,786  SH     DEFINED  01,08      16,371      16,415           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    103
  ________

DOUGLAS EMMETT INC                COM   25960P109         897      35,963  SH     DEFINED     01      22,289      13,674           0
DOUGLAS EMMETT INC                COM   25960P109           2          95  SH     OTHER       01           0           0          95
DOUGLAS EMMETT INC                COM   25960P109      19,899     798,195  SH     DEFINED  01,08     261,751     536,444           0
DOUGLAS EMMETT INC                COM   25960P109       1,151      46,187  SH     DEFINED     09      46,187           0           0

DOUGLAS DYNAMICS INC              COM   25960R105         662      47,882  SH     DEFINED     01       3,270      44,612           0
DOUGLAS DYNAMICS INC              COM   25960R105       3,170     229,366  SH     DEFINED  01,08       5,499     223,867           0
DOUGLAS DYNAMICS INC              COM   25960R105         763      55,179  SH     DEFINED     09      55,179           0           0

DOVER CORP                        COM   260003108      45,598     625,664  SH     DEFINED     01     465,437     155,267       4,960
DOVER CORP                        COM   260003108       4,095      56,187  SH     OTHER       01      31,160      23,452       1,575
DOVER CORP                        COM   260003108     116,305   1,595,836  SH     DEFINED  01,08     243,956   1,351,880           0
DOVER CORP                        COM   260003108      38,399     526,875  SH     DEFINED     09     526,875           0           0

DOVER DOWNS GAMING & ENTMT I      COM   260095104          31      14,794  SH     DEFINED     01         150      14,644           0
DOVER DOWNS GAMING & ENTMT I      COM   260095104          86      41,463  SH     DEFINED  01,08      10,633      30,830           0

DOVER MOTORSPORTS INC             COM   260174107          38      18,888  SH     DEFINED     01           0      18,888           0
DOVER MOTORSPORTS INC             COM   260174107          53      26,276  SH     DEFINED  01,08      11,793      14,483           0

DOW CHEM CO                       COM   260543103      67,414   2,117,268  SH     DEFINED     01   1,051,890   1,052,797      12,581
DOW CHEM CO                       COM   260543103       8,245     258,956  SH     OTHER       01     139,852     102,320      16,784
DOW CHEM CO                       COM   260543103     359,094  11,278,078  SH     DEFINED  01,08   1,907,260   9,310,531      60,287
DOW CHEM CO                       COM   260543103     113,464   3,563,576  SH     DEFINED     09   3,563,576           0           0

DR PEPPER SNAPPLE GROUP INC       COM   26138E109      11,525     245,469  SH     DEFINED     01     103,725     141,378         366
DR PEPPER SNAPPLE GROUP INC       COM   26138E109         195       4,158  SH     OTHER       01       3,717         261         180
DR PEPPER SNAPPLE GROUP INC       COM   26138E109      87,474   1,863,123  SH     DEFINED  01,08     269,486   1,593,637           0
DR PEPPER SNAPPLE GROUP INC       COM   26138E109      28,667     610,588  SH     DEFINED     09     610,588           0           0

DREAMWORKS ANIMATION SKG INC      COM   26153C103         635      33,509  SH     DEFINED     01       8,353      25,156           0
DREAMWORKS ANIMATION SKG INC      COM   26153C103           1          40  SH     OTHER       01          40           0           0
DREAMWORKS ANIMATION SKG INC      COM   26153C103      10,270     541,682  SH     DEFINED  01,08      28,776     512,906           0
DREAMWORKS ANIMATION SKG INC      COM   26153C103           0           1  SH     DEFINED     09           1           0           0

DRESSER-RAND GROUP INC            COM   261608103       2,702      43,814  SH     DEFINED     01      26,011      17,803           0
DRESSER-RAND GROUP INC            COM   261608103         171       2,769  SH     OTHER       01       1,440       1,329           0
DRESSER-RAND GROUP INC            COM   261608103      35,247     571,636  SH     DEFINED  01,08       7,580     564,056           0
DRESSER-RAND GROUP INC            COM   261608103           0           1  SH     DEFINED     09           1           0           0

DREW INDS INC                     COM   26168L205       7,850     216,188  SH     DEFINED     01      22,698     192,977         513
DREW INDS INC                     COM   26168L205          40       1,108  SH     OTHER       01       1,108           0           0
DREW INDS INC                     COM   26168L205      14,713     405,206  SH     DEFINED  01,08     203,104     202,102           0
DREW INDS INC                     COM   26168L205       1,768      48,695  SH     DEFINED     09      48,695           0           0

DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107           1      12,406         DEFINED     01      12,406           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    104
  ________

DRIL-QUIP INC                     COM   262037104      12,761     146,395  SH     DEFINED     01      77,089      68,773         533
DRIL-QUIP INC                     COM   262037104         341       3,912  SH     OTHER       01       1,540       2,121         251
DRIL-QUIP INC                     COM   262037104      50,574     580,173  SH     DEFINED  01,08      48,594     531,579           0
DRIL-QUIP INC                     COM   262037104       8,676      99,530  SH     DEFINED     09      99,530           0           0

DU PONT E I DE NEMOURS & CO       COM   263534109     231,916   4,717,574  SH     DEFINED     01   3,728,016     911,277      78,281
DU PONT E I DE NEMOURS & CO       COM   263534109      47,928     974,932  SH     OTHER       01     693,252     201,207      80,473
DU PONT E I DE NEMOURS & CO       COM   263534109     418,437   8,511,747  SH     DEFINED  01,08   1,319,038   7,192,709           0
DU PONT E I DE NEMOURS & CO       COM   263534109     136,174   2,770,020  SH     DEFINED     09   2,770,020           0           0

DUCOMMUN INC DEL                  COM   264147109         716      36,181  SH     DEFINED     01      16,864      18,767         550
DUCOMMUN INC DEL                  COM   264147109          23       1,185  SH     OTHER       01       1,185           0           0
DUCOMMUN INC DEL                  COM   264147109         755      38,159  SH     DEFINED  01,08      19,208      18,951           0
DUCOMMUN INC DEL                  COM   264147109           0           1  SH     DEFINED     09           1           0           0

DUFF & PHELPS CORP NEW            COM   26433B107         566      36,491  SH     DEFINED     01       4,303      32,188           0
DUFF & PHELPS CORP NEW            COM   26433B107       4,711     303,757  SH     DEFINED  01,08           0     303,757           0

DUKE ENERGY CORP NEW              COM   26441C204      64,793     892,595  SH     DEFINED     01     405,479     481,839       5,277
DUKE ENERGY CORP NEW              COM   26441C204      14,579     200,837  SH     OTHER       01     169,429      18,069      13,339
DUKE ENERGY CORP NEW              COM   26441C204     456,729   6,291,901  SH     DEFINED  01,08     906,129   5,385,772           0
DUKE ENERGY CORP NEW              COM   26441C204     150,344   2,071,134  SH     DEFINED     09   2,071,134           0           0

DUKE REALTY CORP                  COM   264411505       5,304     312,348  SH     DEFINED     01      59,222     251,196       1,930
DUKE REALTY CORP                  COM   264411505         173      10,187  SH     OTHER       01      10,022           0         165
DUKE REALTY CORP                  COM   264411505      60,688   3,574,098  SH     DEFINED  01,08   1,221,018   2,353,080           0
DUKE REALTY CORP                  COM   264411505      10,228     602,385  SH     DEFINED     09     602,385           0           0

DUN & BRADSTREET CORP DEL NE      COM   26483E100       4,841      57,871  SH     DEFINED     01      28,863      28,901         107
DUN & BRADSTREET CORP DEL NE      COM   26483E100         527       6,301  SH     OTHER       01       5,081       1,200          20
DUN & BRADSTREET CORP DEL NE      COM   26483E100      32,229     385,278  SH     DEFINED  01,08      67,170     318,108           0
DUN & BRADSTREET CORP DEL NE      COM   26483E100      11,386     136,119  SH     DEFINED     09     136,119           0           0

DUNKIN BRANDS GROUP INC           COM   265504100       5,250     142,370  SH     DEFINED     01     127,923      14,134         313
DUNKIN BRANDS GROUP INC           COM   265504100         149       4,045  SH     OTHER       01       3,825         220           0
DUNKIN BRANDS GROUP INC           COM   265504100      10,818     293,336  SH     DEFINED  01,08      11,175     282,161           0

DUPONT FABROS TECHNOLOGY INC      COM   26613Q106       5,692     234,548  SH     DEFINED     01      34,662     198,681       1,205
DUPONT FABROS TECHNOLOGY INC      COM   26613Q106          14         590  SH     OTHER       01         590           0           0
DUPONT FABROS TECHNOLOGY INC      COM   26613Q106      22,398     922,865  SH     DEFINED  01,08     298,706     624,159           0
DUPONT FABROS TECHNOLOGY INC      COM   26613Q106       4,200     173,043  SH     DEFINED     09     173,043           0           0

DURATA THERAPEUTICS INC           COM   26658A107          39       4,279  SH     DEFINED     01          20       4,259           0
DURATA THERAPEUTICS INC           COM   26658A107         673      74,758  SH     DEFINED  01,08       1,363      73,395           0
DURATA THERAPEUTICS INC           COM   26658A107         161      17,909  SH     DEFINED     09      17,909           0           0

DURECT CORP                       COM   266605104          34      25,570  SH     DEFINED     01           0      25,570           0
DURECT CORP                       COM   266605104         243     182,640  SH     DEFINED  01,08      21,582     161,058           0
DURECT CORP                       COM   266605104           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    105
  ________

DYAX CORP                         COM   26746E103         359      82,342  SH     DEFINED     01      14,969      67,373           0
DYAX CORP                         COM   26746E103       4,489   1,029,604  SH     DEFINED  01,08      36,852     992,752           0
DYAX CORP                         COM   26746E103       1,044     239,424  SH     DEFINED     09     239,424           0           0

DYCOM INDS INC                    COM   267475101       6,250     317,428  SH     DEFINED     01      21,275     296,153           0
DYCOM INDS INC                    COM   267475101      13,153     668,024  SH     DEFINED  01,08     308,143     359,881           0
DYCOM INDS INC                    COM   267475101       1,585      80,513  SH     DEFINED     09      80,513           0           0

DYNAMIC MATLS CORP                COM   267888105         347      19,947  SH     DEFINED     01       3,511      16,436           0
DYNAMIC MATLS CORP                COM   267888105       2,562     147,262  SH     DEFINED  01,08      10,830     136,432           0
DYNAMIC MATLS CORP                COM   267888105         584      33,584  SH     DEFINED     09      33,584           0           0

DYNAMICS RESH CORP                COM   268057106          30       5,100  SH     DEFINED     01          50       5,050           0
DYNAMICS RESH CORP                COM   268057106         133      22,317  SH     DEFINED  01,08       6,573      15,744           0

DYNASIL CORP AMER                 COM   268102100          55      78,775  SH     DEFINED     01      78,775           0           0
DYNASIL CORP AMER                 COM   268102100           2       2,849  SH     DEFINED  01,08           0       2,849           0

DYNAVAX TECHNOLOGIES CORP         COM   268158102         240     108,293  SH     DEFINED     01         775     107,518           0
DYNAVAX TECHNOLOGIES CORP         COM   268158102       4,164   1,875,537  SH     DEFINED  01,08      55,057   1,820,480           0
DYNAVAX TECHNOLOGIES CORP         COM   268158102       1,070     481,895  SH     DEFINED     09     481,895           0           0

DYNAVOX INC                       COM   26817F104           7      13,056  SH     DEFINED  01,08           0      13,056           0

DYNEX CAP INC                     COM   26817Q506       2,575     241,124  SH     DEFINED     01      21,714     219,410           0
DYNEX CAP INC                     COM   26817Q506       7,157     670,097  SH     DEFINED  01,08     215,769     454,328           0
DYNEX CAP INC                     COM   26817Q506       1,571     147,113  SH     DEFINED     09     147,113           0           0

DYNEGY INC NEW DEL                COM   26817R108         178       7,431  SH     DEFINED     01           0       7,431           0
DYNEGY INC NEW DEL                COM   26817R108       3,858     160,808  SH     DEFINED  01,08           0     160,808           0

E M C CORP MASS                   COM   268648102     254,295  10,644,425  SH     DEFINED     01   8,576,366   1,907,672     160,387
E M C CORP MASS                   COM   268648102      33,951   1,421,123  SH     OTHER       01   1,020,371     254,178     146,574
E M C CORP MASS                   COM   268648102     454,511  19,025,161  SH     DEFINED  01,08   3,026,635  15,998,526           0
E M C CORP MASS                   COM   268648102     149,636   6,263,530  SH     DEFINED     09   6,263,530           0           0

EMC INS GROUP INC                 COM   268664109       1,877      71,299  SH     DEFINED     01         545      70,754           0
EMC INS GROUP INC                 COM   268664109       3,004     114,081  SH     DEFINED  01,08      68,626      45,455           0
EMC INS GROUP INC                 COM   268664109         299      11,374  SH     DEFINED     09      11,374           0           0

ENI S P A                         COM   26874R108       5,614     125,071  SH     DEFINED     01     113,860      11,211           0
ENI S P A                         COM   26874R108         588      13,099  SH     OTHER       01       8,150       4,949           0
ENI S P A                         COM   26874R108       3,168      70,581  SH     DEFINED  01,08           0      70,581           0

EOG RES INC                       COM   26875P101      40,614     317,127  SH     DEFINED     01     124,885     190,677       1,565
EOG RES INC                       COM   26875P101       1,193       9,314  SH     OTHER       01       5,760         341       3,213
EOG RES INC                       COM   26875P101     320,605   2,503,359  SH     DEFINED  01,08     459,819   2,043,540           0
EOG RES INC                       COM   26875P101     102,932     803,717  SH     DEFINED     09     803,717           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    106
  ________

EPIQ SYS INC                      COM   26882D109         692      49,354  SH     DEFINED     01      12,764      36,590           0
EPIQ SYS INC                      COM   26882D109       4,872     347,243  SH     DEFINED  01,08      20,532     326,711           0
EPIQ SYS INC                      COM   26882D109       1,054      75,144  SH     DEFINED     09      75,144           0           0

EPL OIL & GAS INC                 COM   26883D108         835      31,147  SH     DEFINED     01       6,352      24,795           0
EPL OIL & GAS INC                 COM   26883D108          54       2,000  SH     OTHER       01           0       2,000           0
EPL OIL & GAS INC                 COM   26883D108       8,114     302,642  SH     DEFINED  01,08      14,865     287,777           0
EPL OIL & GAS INC                 COM   26883D108       1,938      72,275  SH     DEFINED     09      72,275           0           0

ESB FINL CORP                     COM   26884F102         200      14,580  SH     DEFINED     01       1,472      13,108           0
ESB FINL CORP                     COM   26884F102       1,470     107,353  SH     DEFINED  01,08       8,408      98,945           0
ESB FINL CORP                     COM   26884F102         380      27,768  SH     DEFINED     09      27,768           0           0

EQT CORP                          COM   26884L109      11,496     169,681  SH     DEFINED     01      68,469     100,706         506
EQT CORP                          COM   26884L109         437       6,449  SH     OTHER       01       6,154         295           0
EQT CORP                          COM   26884L109      87,687   1,294,277  SH     DEFINED  01,08     207,256   1,087,021           0
EQT CORP                          COM   26884L109      30,853     455,397  SH     DEFINED     09     455,397           0           0

EPR PPTYS                         COM   26884U109      15,360     295,108  SH     DEFINED     01      20,610     274,498           0
EPR PPTYS                         COM   26884U109          26         500  SH     OTHER       01         500           0           0
EPR PPTYS                         COM   26884U109      43,773     840,987  SH     DEFINED  01,08     364,606     476,381           0
EPR PPTYS                         COM   26884U109       6,825     131,118  SH     DEFINED     09     131,118           0           0

ERA GROUP INC                     COM   26885G109         266      12,675  SH     DEFINED     01       7,680       4,995           0
ERA GROUP INC                     COM   26885G109       1,826      86,934  SH     DEFINED  01,08       2,019      84,915           0
ERA GROUP INC                     COM   26885G109           0           1  SH     DEFINED     09           1           0           0

EAGLE BANCORP INC MD              COM   268948106         372      16,972  SH     DEFINED     01       1,983      14,989           0
EAGLE BANCORP INC MD              COM   268948106       4,141     189,169  SH     DEFINED  01,08       8,446     180,723           0
EAGLE BANCORP INC MD              COM   268948106       1,017      46,459  SH     DEFINED     09      46,459           0           0

ETFS GOLD TR                      COM   26922Y105         236       1,496  SH     DEFINED     01       1,496           0           0

E TRADE FINANCIAL CORP            COM   269246401       3,656     341,377  SH     DEFINED     01     168,007     173,026         344
E TRADE FINANCIAL CORP            COM   269246401          53       4,924  SH     OTHER       01       4,269         560          95
E TRADE FINANCIAL CORP            COM   269246401      22,500   2,100,825  SH     DEFINED  01,08      74,625   2,026,200           0
E TRADE FINANCIAL CORP            COM   269246401       3,745     349,710  SH     DEFINED     09     349,710           0           0

EV ENERGY PARTNERS LP             COM   26926V107       1,073      19,670  SH     DEFINED     01      19,670           0           0

EXCO RESOURCES INC                COM   269279402         313      43,906  SH     DEFINED     01      27,951      15,955           0
EXCO RESOURCES INC                COM   269279402       3,922     550,014  SH     DEFINED  01,08      22,755     527,259           0
EXCO RESOURCES INC                COM   269279402           0           1  SH     DEFINED     09           1           0           0

EAGLE MATERIALS INC               COM   26969P108       5,373      80,642  SH     DEFINED     01      25,780      54,862           0
EAGLE MATERIALS INC               COM   26969P108          61         918  SH     OTHER       01         284         634           0
EAGLE MATERIALS INC               COM   26969P108      35,972     539,871  SH     DEFINED  01,08      38,981     500,890           0
EAGLE MATERIALS INC               COM   26969P108       8,111     121,735  SH     DEFINED     09     121,735           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    107
  ________

EARTHLINK INC                     COM   270321102       3,085     570,272  SH     DEFINED     01      23,463     546,809           0
EARTHLINK INC                     COM   270321102           7       1,280  SH     OTHER       01       1,280           0           0
EARTHLINK INC                     COM   270321102       6,254   1,156,086  SH     DEFINED  01,08      92,920   1,063,166           0
EARTHLINK INC                     COM   270321102       1,419     262,377  SH     DEFINED     09     262,377           0           0

EAST WEST BANCORP INC             COM   27579R104       6,316     246,037  SH     DEFINED     01      45,657     199,982         398
EAST WEST BANCORP INC             COM   27579R104           6         246  SH     OTHER       01         246           0           0
EAST WEST BANCORP INC             COM   27579R104      31,569   1,229,795  SH     DEFINED  01,08     192,621   1,037,174           0
EAST WEST BANCORP INC             COM   27579R104           0           1  SH     DEFINED     09           1           0           0

EASTERN CO                        COM   276317104         185      10,524  SH     DEFINED     01         630       9,894           0
EASTERN CO                        COM   276317104       1,163      66,321  SH     DEFINED  01,08       7,404      58,917           0
EASTERN CO                        COM   276317104         226      12,875  SH     DEFINED     09      12,875           0           0

EASTERN INS HLDGS INC             COM   276534104         104       5,566  SH     DEFINED     01         670       4,896           0
EASTERN INS HLDGS INC             COM   276534104       1,215      64,745  SH     DEFINED  01,08       3,771      60,974           0
EASTERN INS HLDGS INC             COM   276534104         292      15,545  SH     DEFINED     09      15,545           0           0

EASTGROUP PPTY INC                COM   277276101       2,442      41,951  SH     DEFINED     01      11,705      30,246           0
EASTGROUP PPTY INC                COM   277276101          29         500  SH     OTHER       01           0           0         500
EASTGROUP PPTY INC                COM   277276101      21,826     375,020  SH     DEFINED  01,08      76,484     298,536           0
EASTGROUP PPTY INC                COM   277276101       4,903      84,247  SH     DEFINED     09      84,247           0           0

EASTMAN CHEM CO                   COM   277432100      18,779     268,764  SH     DEFINED     01     158,326     107,420       3,018
EASTMAN CHEM CO                   COM   277432100       1,331      19,045  SH     OTHER       01      15,973       2,768         304
EASTMAN CHEM CO                   COM   277432100      95,728   1,370,081  SH     DEFINED  01,08     207,153   1,162,928           0
EASTMAN CHEM CO                   COM   277432100      32,230     461,281  SH     DEFINED     09     461,281           0           0

EATON VANCE CORP                  COM   278265103      23,653     565,455  SH     DEFINED     01     489,047      69,539       6,869
EATON VANCE CORP                  COM   278265103       2,998      71,678  SH     OTHER       01      50,932      19,900         846
EATON VANCE CORP                  COM   278265103      41,110     982,795  SH     DEFINED  01,08     121,426     861,369           0
EATON VANCE CORP                  COM   278265103       6,894     164,801  SH     DEFINED     09     164,801           0           0

EBAY INC                          COM   278642103     102,397   1,888,549  SH     DEFINED     01   1,040,241     835,608      12,700
EBAY INC                          COM   278642103       7,177     132,363  SH     OTHER       01      93,856      37,655         852
EBAY INC                          COM   278642103     572,388  10,556,776  SH     DEFINED  01,08   1,533,831   9,022,945           0
EBAY INC                          COM   278642103     188,243   3,471,836  SH     DEFINED     09   3,471,836           0           0

EBIX INC                          COM   278715206       3,441     212,162  SH     DEFINED     01      96,835     113,086       2,241
EBIX INC                          COM   278715206         197      12,168  SH     OTHER       01       5,643       6,286         239
EBIX INC                          COM   278715206       7,866     484,959  SH     DEFINED  01,08     178,636     306,323           0
EBIX INC                          COM   278715206       1,126      69,422  SH     DEFINED     09      69,422           0           0

ECHELON CORP                      COM   27874N105          95      39,072  SH     DEFINED     01       3,910      35,162           0
ECHELON CORP                      COM   27874N105         936     383,656  SH     DEFINED  01,08      22,836     360,820           0
ECHELON CORP                      COM   27874N105         268     109,734  SH     DEFINED     09     109,734           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    108
  ________

ECHO GLOBAL LOGISTICS INC         COM   27875T101       3,044     137,591  SH     DEFINED     01     111,652      23,695       2,244
ECHO GLOBAL LOGISTICS INC         COM   27875T101         300      13,551  SH     OTHER       01       6,943       6,369         239
ECHO GLOBAL LOGISTICS INC         COM   27875T101       3,554     160,687  SH     DEFINED  01,08       3,920     156,767           0
ECHO GLOBAL LOGISTICS INC         COM   27875T101         799      36,120  SH     DEFINED     09      36,120           0           0

ECHO THERAPEUTICS INC             COM   27876L107          47      59,489  SH     DEFINED  01,08           0      59,489           0

ECHOSTAR CORP                     COM   278768106       4,216     108,177  SH     DEFINED     01      99,440       6,397       2,340
ECHOSTAR CORP                     COM   278768106         256       6,579  SH     OTHER       01       3,593       2,805         181
ECHOSTAR CORP                     COM   278768106       6,408     164,424  SH     DEFINED  01,08       3,392     161,032           0
ECHOSTAR CORP                     COM   278768106           0           1  SH     DEFINED     09           1           0           0

ECOLAB INC                        COM   278865100      42,629     531,663  SH     DEFINED     01     311,338     205,464      14,861
ECOLAB INC                        COM   278865100      10,399     129,698  SH     OTHER       01      72,556      35,965      21,177
ECOLAB INC                        COM   278865100     191,613   2,389,781  SH     DEFINED  01,08     386,373   2,003,408           0
ECOLAB INC                        COM   278865100      66,515     829,576  SH     DEFINED     09     829,576           0           0

ECOPETROL S A                     COM   279158109       1,130      20,731  SH     DEFINED     01      19,189       1,225         317
ECOPETROL S A                     COM   279158109         111       2,033  SH     OTHER       01       1,719         314           0
ECOPETROL S A                     COM   279158109       1,374      25,210  SH     DEFINED  01,08      12,430      12,780           0
ECOPETROL S A                     COM   279158109         755      13,843  SH     DEFINED     09      13,843           0           0

ECOTALITY INC                     COM   27922Y202          22      23,674  SH     DEFINED  01,08           0      23,674           0

EDGEN GROUP INC                   COM   28014Q107          66       9,188  SH     DEFINED     01         775       8,413           0
EDGEN GROUP INC                   COM   28014Q107       1,386     191,749  SH     DEFINED  01,08       2,194     189,555           0
EDGEN GROUP INC                   COM   28014Q107         277      38,326  SH     DEFINED     09      38,326           0           0

EDGEWATER TECHNOLOGY INC          COM   280358102          46      11,541  SH     DEFINED     01          95      11,446           0
EDGEWATER TECHNOLOGY INC          COM   280358102         105      26,462  SH     DEFINED  01,08      13,666      12,796           0

EDISON INTL                       COM   281020107      20,943     416,198  SH     DEFINED     01     191,985     221,341       2,872
EDISON INTL                       COM   281020107         684      13,596  SH     OTHER       01       6,758       1,168       5,670
EDISON INTL                       COM   281020107     144,236   2,866,369  SH     DEFINED  01,08     388,945   2,477,424           0
EDISON INTL                       COM   281020107      45,839     910,945  SH     DEFINED     09     910,945           0           0

EDUCATION RLTY TR INC             COM   28140H104       1,309     124,347  SH     DEFINED     01      15,177     109,170           0
EDUCATION RLTY TR INC             COM   28140H104         123      11,690  SH     OTHER       01      11,690           0           0
EDUCATION RLTY TR INC             COM   28140H104      14,782   1,403,788  SH     DEFINED  01,08     283,213   1,120,575           0
EDUCATION RLTY TR INC             COM   28140H104       3,300     313,423  SH     DEFINED     09     313,423           0           0

EDUCATION MGMT CORP NEW           COM   28140M103          65      17,715  SH     DEFINED     01       2,980      14,735           0
EDUCATION MGMT CORP NEW           COM   28140M103         932     254,055  SH     DEFINED  01,08       4,424     249,631           0
EDUCATION MGMT CORP NEW           COM   28140M103         245      66,771  SH     DEFINED     09      66,771           0           0

EDWARDS LIFESCIENCES CORP         COM   28176E108      20,477     249,239  SH     DEFINED     01     144,295     104,363         581
EDWARDS LIFESCIENCES CORP         COM   28176E108         454       5,529  SH     OTHER       01       2,893       2,161         475
EDWARDS LIFESCIENCES CORP         COM   28176E108      83,915   1,021,356  SH     DEFINED  01,08     146,882     874,474           0
EDWARDS LIFESCIENCES CORP         COM   28176E108      27,564     335,489  SH     DEFINED     09     335,489           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    109
  ________

EGAIN COMMUNICATIONS              COM   28225C806           7         831  SH     DEFINED     01           0         831           0
EGAIN COMMUNICATIONS              COM   28225C806          90      10,342  SH     DEFINED  01,08         831       9,511           0

EHEALTH INC                       COM   28238P109         581      32,492  SH     DEFINED     01       8,148      24,344           0
EHEALTH INC                       COM   28238P109       4,035     225,689  SH     DEFINED  01,08      19,278     206,411           0
EHEALTH INC                       COM   28238P109         982      54,944  SH     DEFINED     09      54,944           0           0

EINSTEIN NOAH REST GROUP INC      COM   28257U104         897      60,476  SH     DEFINED     01         630      59,846           0
EINSTEIN NOAH REST GROUP INC      COM   28257U104       1,945     131,142  SH     DEFINED  01,08      62,021      69,121           0
EINSTEIN NOAH REST GROUP INC      COM   28257U104         170      11,465  SH     DEFINED     09      11,465           0           0

8X8 INC NEW                       COM   282914100       1,166     170,270  SH     DEFINED     01     103,337      66,933           0
8X8 INC NEW                       COM   282914100          33       4,758  SH     OTHER       01           0       4,758           0
8X8 INC NEW                       COM   282914100       5,220     762,046  SH     DEFINED  01,08      42,928     719,118           0
8X8 INC NEW                       COM   282914100       1,168     170,580  SH     DEFINED     09     170,580           0           0

EL PASO ELEC CO                   COM   283677854      12,009     356,886  SH     DEFINED     01      34,900     320,977       1,009
EL PASO ELEC CO                   COM   283677854          15         445  SH     OTHER       01         191         254           0
EL PASO ELEC CO                   COM   283677854      24,533     729,054  SH     DEFINED  01,08     313,510     415,544           0
EL PASO ELEC CO                   COM   283677854       3,367     100,048  SH     DEFINED     09     100,048           0           0

EL PASO PIPELINE PARTNERS L       COM   283702108       2,896      66,020  SH     DEFINED     01      66,020           0           0
EL PASO PIPELINE PARTNERS L       COM   283702108         561      12,800  SH     OTHER       01       4,340       8,460           0

ELAN PLC                          COM   284131208         539      45,645  SH     DEFINED     01      42,127       3,412         106
ELAN PLC                          COM   284131208          60       5,091  SH     OTHER       01       5,091           0           0
ELAN PLC                          COM   284131208         279      23,605  SH     DEFINED  01,08           0      23,605           0

ELDORADO GOLD CORP NEW            COM   284902103         521      54,668  SH     DEFINED     01      49,682       3,370       1,616
ELDORADO GOLD CORP NEW            COM   284902103          56       5,835  SH     OTHER       01       5,835           0           0
ELDORADO GOLD CORP NEW            COM   284902103         334      35,025  SH     DEFINED  01,08           0      35,025           0

ELECTRO RENT CORP                 COM   285218103       3,570     192,581  SH     DEFINED     01       3,053     189,528           0
ELECTRO RENT CORP                 COM   285218103       6,954     375,084  SH     DEFINED  01,08     186,872     188,212           0
ELECTRO RENT CORP                 COM   285218103         870      46,948  SH     DEFINED     09      46,948           0           0

ELECTRO SCIENTIFIC INDS           COM   285229100         411      37,169  SH     DEFINED     01      10,181      26,988           0
ELECTRO SCIENTIFIC INDS           COM   285229100       2,860     258,794  SH     DEFINED  01,08      20,327     238,467           0
ELECTRO SCIENTIFIC INDS           COM   285229100         659      59,651  SH     DEFINED     09      59,651           0           0

ELECTRONIC ARTS INC               COM   285512109       7,261     410,236  SH     DEFINED     01     209,800     199,936         500
ELECTRONIC ARTS INC               COM   285512109         703      39,732  SH     OTHER       01       5,850      33,776         106
ELECTRONIC ARTS INC               COM   285512109      47,760   2,698,297  SH     DEFINED  01,08     377,250   2,321,047           0
ELECTRONIC ARTS INC               COM   285512109      16,692     943,058  SH     DEFINED     09     943,058           0           0

ELECTRONICS FOR IMAGING INC       COM   286082102       7,593     299,422  SH     DEFINED     01      18,612     280,810           0
ELECTRONICS FOR IMAGING INC       COM   286082102      19,235     758,473  SH     DEFINED  01,08     289,281     469,192           0
ELECTRONICS FOR IMAGING INC       COM   286082102       2,808     110,745  SH     DEFINED     09     110,745           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    110
  ________

ELEPHANT TALK COMM CORP           COM   286202205         156     127,663  SH     DEFINED  01,08           0     127,663           0

ELIZABETH ARDEN INC               COM   28660G106       4,085     101,482  SH     DEFINED     01       4,250      97,232           0
ELIZABETH ARDEN INC               COM   28660G106      14,102     350,359  SH     DEFINED  01,08      88,230     262,129           0
ELIZABETH ARDEN INC               COM   28660G106       2,434      60,483  SH     DEFINED     09      60,483           0           0

ELLIE MAE INC                     COM   28849P100       1,058      43,979  SH     DEFINED     01      26,287      17,692           0
ELLIE MAE INC                     COM   28849P100          31       1,276  SH     OTHER       01       1,276           0           0
ELLIE MAE INC                     COM   28849P100       5,836     242,657  SH     DEFINED  01,08       8,779     233,878           0
ELLIE MAE INC                     COM   28849P100       1,479      61,482  SH     DEFINED     09      61,482           0           0

ELLIS PERRY INTL INC              COM   288853104       1,421      78,117  SH     DEFINED     01       4,566      73,551           0
ELLIS PERRY INTL INC              COM   288853104       3,571     196,342  SH     DEFINED  01,08      71,195     125,147           0
ELLIS PERRY INTL INC              COM   288853104         563      30,951  SH     DEFINED     09      30,951           0           0

EMAGIN CORP                       COM   29076N206           6       1,880  SH     DEFINED     01       1,000         880           0
EMAGIN CORP                       COM   29076N206         119      34,659  SH     DEFINED  01,08         861      33,798           0

EMBOTELLADORA ANDINA S A          COM   29081P303           7         185  SH     DEFINED     01          20         165           0
EMBOTELLADORA ANDINA S A          COM   29081P303           6         154  SH     OTHER       01           0         154           0
EMBOTELLADORA ANDINA S A          COM   29081P303         251       6,264  SH     DEFINED  01,08       6,134         130           0

EMBRAER S A                       COM   29082A107       7,757     217,459  SH     DEFINED     01     188,289      24,430       4,740
EMBRAER S A                       COM   29082A107         406      11,388  SH     OTHER       01       9,158         823       1,407
EMBRAER S A                       COM   29082A107         310       8,701  SH     DEFINED  01,08           0       8,701           0

EMCOR GROUP INC                   COM   29084Q100      17,465     411,996  SH     DEFINED     01      36,415     375,581           0
EMCOR GROUP INC                   COM   29084Q100           4          98  SH     OTHER       01           0          98           0
EMCOR GROUP INC                   COM   29084Q100      44,363   1,046,541  SH     DEFINED  01,08     374,531     672,010           0
EMCOR GROUP INC                   COM   29084Q100       7,132     168,253  SH     DEFINED     09     168,253           0           0

EMCORE CORP                       COM   290846203          28       4,764  SH     DEFINED     01       1,255       3,509           0
EMCORE CORP                       COM   290846203          87      15,000  SH     OTHER       01      15,000           0           0
EMCORE CORP                       COM   290846203         248      42,684  SH     DEFINED  01,08       3,770      38,914           0

EMERGENT BIOSOLUTIONS INC         COM   29089Q105         648      46,376  SH     DEFINED     01       8,532      37,844           0
EMERGENT BIOSOLUTIONS INC         COM   29089Q105       4,317     308,827  SH     DEFINED  01,08      32,200     276,627           0
EMERGENT BIOSOLUTIONS INC         COM   29089Q105         884      63,226  SH     DEFINED     09      63,226           0           0

EMERITUS CORP                     COM   291005106       1,172      42,175  SH     DEFINED     01       4,790      37,385           0
EMERITUS CORP                     COM   291005106           0          15  SH     OTHER       01          15           0           0
EMERITUS CORP                     COM   291005106       9,620     346,177  SH     DEFINED  01,08      26,991     319,186           0
EMERITUS CORP                     COM   291005106       2,080      74,838  SH     DEFINED     09      74,838           0           0

EMERALD OIL INC                   COM   29101U209          70       9,957  SH     DEFINED     01       1,660       8,297           0
EMERALD OIL INC                   COM   29101U209         992     140,841  SH     DEFINED  01,08       2,192     138,649           0
EMERALD OIL INC                   COM   29101U209         289      41,102  SH     DEFINED     09      41,102           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    111
  ________

EMERSON ELEC CO                   COM   291011104     268,695   4,809,288  SH     DEFINED     01   3,678,058   1,049,966      81,264
EMERSON ELEC CO                   COM   291011104      58,910   1,054,418  SH     OTHER       01     731,109     226,160      97,149
EMERSON ELEC CO                   COM   291011104     373,695   6,688,652  SH     DEFINED  01,08   1,081,256   5,607,396           0
EMERSON ELEC CO                   COM   291011104     119,813   2,144,489  SH     DEFINED     09   2,144,489           0           0

EMERSON RADIO CORP                COM   291087203          29      17,398  SH     DEFINED     01           0      17,398           0
EMERSON RADIO CORP                COM   291087203          61      37,198  SH     DEFINED  01,08      16,706      20,492           0

EMMIS COMMUNICATIONS CORP         COM   291525103          11       6,665  SH     DEFINED     01           0       6,665           0
EMMIS COMMUNICATIONS CORP         COM   291525103          72      43,110  SH     DEFINED  01,08       1,287      41,823           0

EMPIRE DIST ELEC CO               COM   291641108       4,895     218,543  SH     DEFINED     01      19,029     199,514           0
EMPIRE DIST ELEC CO               COM   291641108      13,774     614,912  SH     DEFINED  01,08     187,514     427,398           0
EMPIRE DIST ELEC CO               COM   291641108       2,303     102,812  SH     DEFINED     09     102,812           0           0

EMPIRE RESORTS INC                COM   292052206           8       4,274  SH     DEFINED     01          33       4,241           0
EMPIRE RESORTS INC                COM   292052206          23      11,770  SH     DEFINED  01,08         449      11,321           0

EMPLOYERS HOLDINGS INC            COM   292218104       4,958     211,428  SH     DEFINED     01      13,113     198,315           0
EMPLOYERS HOLDINGS INC            COM   292218104      12,300     524,521  SH     DEFINED  01,08     192,863     331,658           0
EMPLOYERS HOLDINGS INC            COM   292218104       1,857      79,208  SH     DEFINED     09      79,208           0           0

EMPRESA NACIONAL DE ELCTRCID      COM   29244T101         569      10,720  SH     DEFINED     01       9,739         956          25
EMPRESA NACIONAL DE ELCTRCID      COM   29244T101          63       1,187  SH     OTHER       01         747         440           0
EMPRESA NACIONAL DE ELCTRCID      COM   29244T101       2,258      42,534  SH     DEFINED  01,08      36,919       5,615           0

EMULEX CORP                       COM   292475209         684     104,731  SH     DEFINED     01      14,250      90,481           0
EMULEX CORP                       COM   292475209       6,023     922,367  SH     DEFINED  01,08      62,340     860,027           0
EMULEX CORP                       COM   292475209       1,410     215,984  SH     DEFINED     09     215,984           0           0

ENBRIDGE INC                      COM   29250N105       6,010     129,133  SH     DEFINED     01     121,783       6,817         533
ENBRIDGE INC                      COM   29250N105         562      12,066  SH     OTHER       01       8,930       2,945         191
ENBRIDGE INC                      COM   29250N105       1,796      38,581  SH     DEFINED  01,08           0      38,581           0

ENBRIDGE ENERGY PARTNERS L P      COM   29250R106       3,740     124,083  SH     DEFINED     01     121,783       2,000         300
ENBRIDGE ENERGY PARTNERS L P      COM   29250R106         301       9,980  SH     OTHER       01       3,200       6,780           0

ENBRIDGE ENERGY MANAGEMENT L      COM   29250X103       1,795      59,395  SH     DEFINED     01       1,140      58,255           0
ENBRIDGE ENERGY MANAGEMENT L      COM   29250X103       1,937      64,088  SH     DEFINED  01,08      62,240       1,848           0
ENBRIDGE ENERGY MANAGEMENT L      COM   29250X103           0           2  SH     DEFINED     09           2           0           0

ENCANA CORP                       COM   292505104       9,659     496,337  SH     DEFINED     01     279,202     212,945       4,190
ENCANA CORP                       COM   292505104       1,692      86,962  SH     OTHER       01      66,521      18,722       1,719
ENCANA CORP                       COM   292505104       4,470     229,691  SH     DEFINED  01,08     196,450      33,241           0

ENCORE CAP GROUP INC              COM   292554102       4,781     158,840  SH     DEFINED     01      10,072     148,768           0
ENCORE CAP GROUP INC              COM   292554102         170       5,660  SH     OTHER       01       4,330       1,330           0
ENCORE CAP GROUP INC              COM   292554102      11,227     373,006  SH     DEFINED  01,08     150,603     222,403           0
ENCORE CAP GROUP INC              COM   292554102       1,568      52,096  SH     DEFINED     09      52,096           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    112
  ________

ENCORE WIRE CORP                  COM   292562105       3,116      88,975  SH     DEFINED     01      37,632      50,663         680
ENCORE WIRE CORP                  COM   292562105         301       8,590  SH     OTHER       01           0       8,395         195
ENCORE WIRE CORP                  COM   292562105       7,885     225,145  SH     DEFINED  01,08      46,589     178,556           0
ENCORE WIRE CORP                  COM   292562105       1,518      43,337  SH     DEFINED     09      43,337           0           0

ENDEAVOUR INTL CORP               COM   29259G200          84      28,369  SH     DEFINED     01       2,342      26,027           0
ENDEAVOUR INTL CORP               COM   29259G200       1,377     466,754  SH     DEFINED  01,08      14,434     452,320           0
ENDEAVOUR INTL CORP               COM   29259G200         344     116,646  SH     DEFINED     09     116,646           0           0

ENDO HEALTH SOLUTIONS INC         COM   29264F205       5,906     191,995  SH     DEFINED     01     173,608      17,394         993
ENDO HEALTH SOLUTIONS INC         COM   29264F205         253       8,215  SH     OTHER       01       8,143          63           9
ENDO HEALTH SOLUTIONS INC         COM   29264F205      26,743     869,421  SH     DEFINED  01,08      11,167     858,254           0
ENDO HEALTH SOLUTIONS INC         COM   29264F205           0           1  SH     DEFINED     09           1           0           0

ENERGEN CORP                      COM   29265N108       2,141      41,169  SH     DEFINED     01      33,584       7,204         381
ENERGEN CORP                      COM   29265N108           8         157  SH     OTHER       01           0         157           0
ENERGEN CORP                      COM   29265N108      31,547     606,561  SH     DEFINED  01,08      77,142     529,419           0
ENERGEN CORP                      COM   29265N108       5,005      96,235  SH     DEFINED     09      96,235           0           0

ENERGIZER HLDGS INC               COM   29266R108       2,275      22,809  SH     DEFINED     01      14,154       6,989       1,666
ENERGIZER HLDGS INC               COM   29266R108         313       3,139  SH     OTHER       01         339       2,800           0
ENERGIZER HLDGS INC               COM   29266R108      51,815     519,557  SH     DEFINED  01,08      68,906     450,651           0
ENERGIZER HLDGS INC               COM   29266R108       8,871      88,947  SH     DEFINED     09      88,947           0           0

ENDOLOGIX INC                     COM   29266S106         924      57,191  SH     DEFINED     01       6,652      50,539           0
ENDOLOGIX INC                     COM   29266S106       9,817     607,857  SH     DEFINED  01,08      33,471     574,386           0
ENDOLOGIX INC                     COM   29266S106       2,253     139,522  SH     DEFINED     09     139,522           0           0

ENDOCYTE INC                      COM   29269A102         240      19,254  SH     DEFINED     01       2,142      17,112           0
ENDOCYTE INC                      COM   29269A102       3,679     295,505  SH     DEFINED  01,08       4,552     290,953           0
ENDOCYTE INC                      COM   29269A102         876      70,378  SH     DEFINED     09      70,378           0           0

ENERGY RECOVERY INC               COM   29270J100         135      36,362  SH     DEFINED     01       4,435      31,927           0
ENERGY RECOVERY INC               COM   29270J100       1,542     416,672  SH     DEFINED  01,08      15,158     401,514           0
ENERGY RECOVERY INC               COM   29270J100         400     108,076  SH     DEFINED     09     108,076           0           0

ENERGY TRANSFER PRTNRS L P        COM   29273R109       7,275     143,511  SH     DEFINED     01     140,087         124       3,300
ENERGY TRANSFER PRTNRS L P        COM   29273R109       1,271      25,071  SH     OTHER       01      19,071       3,100       2,900
ENERGY TRANSFER PRTNRS L P        COM   29273R109           0           1  SH     DEFINED  01,08           1           0           0
ENERGY TRANSFER PRTNRS L P        COM   29273R109           0           1  SH     DEFINED     09           1           0           0

ENERGY TRANSFER EQUITY L P        COM   29273V100       6,719     114,902  SH     DEFINED     01     113,637           0       1,265
ENERGY TRANSFER EQUITY L P        COM   29273V100         109       1,865  SH     OTHER       01         600           0       1,265
ENERGY TRANSFER EQUITY L P        COM   29273V100           0           1  SH     DEFINED     09           1           0           0

ENERSIS S A                       COM   29274F104         572      29,725  SH     DEFINED     01      28,572       1,118          35
ENERSIS S A                       COM   29274F104          63       3,295  SH     OTHER       01       3,083         212           0
ENERSIS S A                       COM   29274F104       2,751     142,962  SH     DEFINED  01,08     122,605      20,357           0
ENERSIS S A                       COM   29274F104       1,201      62,404  SH     DEFINED     09      62,404           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    113
  ________

ENERSYS                        CONV DEB 29275YAA0       4,854   3,860,000  PRN    DEFINED     01     510,000   3,350,000           0
ENERSYS                        CONV DEB 29275YAA0     421,263   3,350,000  PRN    DEFINED  01,08   3,350,000           0           0

ENERSYS                           COM   29275Y102       8,512     186,750  SH     DEFINED     01      36,484     149,741         525
ENERSYS                           COM   29275Y102          84       1,840  SH     OTHER       01       1,365         475           0
ENERSYS                           COM   29275Y102      27,556     604,559  SH     DEFINED  01,08     119,580     484,979           0
ENERSYS                           COM   29275Y102       5,368     117,778  SH     DEFINED     09     117,778           0           0

ENERGYSOLUTIONS INC               COM   292756202         317      84,545  SH     DEFINED     01      15,660      68,885           0
ENERGYSOLUTIONS INC               COM   292756202       3,165     844,082  SH     DEFINED  01,08      40,087     803,995           0
ENERGYSOLUTIONS INC               COM   292756202         707     188,555  SH     DEFINED     09     188,555           0           0

ENERNOC INC                       COM   292764107         425      24,491  SH     DEFINED     01       6,375      18,116           0
ENERNOC INC                       COM   292764107       4,443     255,801  SH     DEFINED  01,08       9,641     246,160           0
ENERNOC INC                       COM   292764107       1,173      67,551  SH     DEFINED     09      67,551           0           0

ENERPLUS CORP                     COM   292766102         333      22,791  SH     DEFINED     01      21,521         850         420
ENERPLUS CORP                     COM   292766102         180      12,342  SH     OTHER       01      11,247       1,095           0
ENERPLUS CORP                     COM   292766102         141       9,667  SH     DEFINED  01,08           0       9,667           0

ENGILITY HLDGS INC                COM   29285W104         296      12,350  SH     DEFINED     01       9,558       2,792           0
ENGILITY HLDGS INC                COM   29285W104           1          46  SH     OTHER       01          40           0           6
ENGILITY HLDGS INC                COM   29285W104       1,769      73,789  SH     DEFINED  01,08       5,999      67,790           0

ENGLOBAL CORP                     COM   293306106           6       9,225  SH     DEFINED     01           0       9,225           0
ENGLOBAL CORP                     COM   293306106          32      53,120  SH     DEFINED  01,08      13,277      39,843           0

ENNIS INC                         COM   293389102       4,031     267,477  SH     DEFINED     01       4,281     263,196           0
ENNIS INC                         COM   293389102       7,937     526,689  SH     DEFINED  01,08     260,296     266,393           0
ENNIS INC                         COM   293389102       1,023      67,892  SH     DEFINED     09      67,892           0           0

ENPHASE ENERGY INC                COM   29355A107          24       3,870  SH     DEFINED     01           0       3,870           0
ENPHASE ENERGY INC                COM   29355A107         560      90,311  SH     DEFINED  01,08       1,325      88,986           0
ENPHASE ENERGY INC                COM   29355A107         125      20,176  SH     DEFINED     09      20,176           0           0

ENPRO INDS INC                    COM   29355X107       5,106      99,782  SH     DEFINED     01      27,986      71,346         450
ENPRO INDS INC                    COM   29355X107         104       2,023  SH     OTHER       01       1,323         700           0
ENPRO INDS INC                    COM   29355X107      13,729     268,311  SH     DEFINED  01,08      55,746     212,565           0
ENPRO INDS INC                    COM   29355X107       2,558      49,981  SH     DEFINED     09      49,981           0           0

ENSIGN GROUP INC                  COM   29358P101         864      25,862  SH     DEFINED     01       6,020      19,842           0
ENSIGN GROUP INC                  COM   29358P101       6,954     208,200  SH     DEFINED  01,08      17,275     190,925           0
ENSIGN GROUP INC                  COM   29358P101       1,412      42,280  SH     DEFINED     09      42,280           0           0

ENTEGRIS INC                      COM   29362U104       7,754     786,405  SH     DEFINED     01      18,244     768,161           0
ENTEGRIS INC                      COM   29362U104          40       4,100  SH     OTHER       01       1,347       2,753           0
ENTEGRIS INC                      COM   29362U104      20,904   2,120,122  SH     DEFINED  01,08     737,268   1,382,854           0
ENTEGRIS INC                      COM   29362U104       3,274     332,085  SH     DEFINED     09     332,085           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    114
  ________

ENTERCOM COMMUNICATIONS CORP      COM   293639100       2,111     283,761  SH     DEFINED     01       2,230     281,531           0
ENTERCOM COMMUNICATIONS CORP      COM   293639100       3,893     523,301  SH     DEFINED  01,08     287,303     235,998           0
ENTERCOM COMMUNICATIONS CORP      COM   293639100         371      49,875  SH     DEFINED     09      49,875           0           0

ENTERGY CORP NEW                  COM   29364G103      13,884     219,541  SH     DEFINED     01      88,195     130,036       1,310
ENTERGY CORP NEW                  COM   29364G103       1,326      20,973  SH     OTHER       01      13,109       7,051         813
ENTERGY CORP NEW                  COM   29364G103      98,900   1,563,885  SH     DEFINED  01,08     224,686   1,339,199           0
ENTERGY CORP NEW                  COM   29364G103      32,702     517,103  SH     DEFINED     09     517,103           0           0

ENTEROMEDICS INC                  COM   29365M208          16      16,116  SH     DEFINED     01           0      16,116           0
ENTEROMEDICS INC                  COM   29365M208         303     302,678  SH     DEFINED  01,08       4,666     298,012           0
ENTEROMEDICS INC                  COM   29365M208          67      67,254  SH     DEFINED     09      67,254           0           0

ENTERPRISE BANCORP INC MASS       COM   293668109         102       6,041  SH     DEFINED     01         700       5,341           0
ENTERPRISE BANCORP INC MASS       COM   293668109         997      58,795  SH     DEFINED  01,08       4,051      54,744           0
ENTERPRISE BANCORP INC MASS       COM   293668109         259      15,282  SH     DEFINED     09      15,282           0           0

ENTERPRISE FINL SVCS CORP         COM   293712105         188      13,094  SH     DEFINED     01       1,496      11,598           0
ENTERPRISE FINL SVCS CORP         COM   293712105       2,430     169,484  SH     DEFINED  01,08       6,445     163,039           0
ENTERPRISE FINL SVCS CORP         COM   293712105         668      46,551  SH     DEFINED     09      46,551           0           0

ENTERPRISE PRODS PARTNERS L       COM   293792107      20,980     347,980  SH     DEFINED     01     329,250      10,580       8,150
ENTERPRISE PRODS PARTNERS L       COM   293792107       2,848      47,242  SH     OTHER       01      38,862       6,080       2,300

ENTREMED INC                      COM   29382F202           2         978  SH     DEFINED     01           0         978           0
ENTREMED INC                      COM   29382F202          34      16,972  SH     DEFINED  01,08         870      16,102           0

ENTRAVISION COMMUNICATIONS C      COM   29382R107         169      52,866  SH     DEFINED     01           0      52,866           0
ENTRAVISION COMMUNICATIONS C      COM   29382R107       1,684     527,825  SH     DEFINED  01,08      29,345     498,480           0
ENTRAVISION COMMUNICATIONS C      COM   29382R107         342     107,148  SH     DEFINED     09     107,148           0           0

ENTROPIC COMMUNICATIONS INC       COM   29384R105         493     121,271  SH     DEFINED     01      57,483      63,788           0
ENTROPIC COMMUNICATIONS INC       COM   29384R105       3,663     901,043  SH     DEFINED  01,08      28,275     872,768           0
ENTROPIC COMMUNICATIONS INC       COM   29384R105         847     208,250  SH     DEFINED     09     208,250           0           0

ENZON PHARMACEUTICALS INC         COM   293904108         186      48,880  SH     DEFINED     01       6,100      42,780           0
ENZON PHARMACEUTICALS INC         COM   293904108       1,645     432,767  SH     DEFINED  01,08      31,283     401,484           0
ENZON PHARMACEUTICALS INC         COM   293904108         337      88,564  SH     DEFINED     09      88,564           0           0

ENVESTNET INC                     COM   29404K106         262      14,986  SH     DEFINED     01       3,428      11,558           0
ENVESTNET INC                     COM   29404K106          76       4,326  SH     OTHER       01           0       4,326           0
ENVESTNET INC                     COM   29404K106       3,798     216,894  SH     DEFINED  01,08       4,447     212,447           0
ENVESTNET INC                     COM   29404K106         894      51,041  SH     DEFINED     09      51,041           0           0

ENZO BIOCHEM INC                  COM   294100102          65      25,874  SH     DEFINED     01       9,964      15,910           0
ENZO BIOCHEM INC                  COM   294100102         227      89,906  SH     DEFINED  01,08      17,424      72,482           0
ENZO BIOCHEM INC                  COM   294100102           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    115
  ________

ENVIVIO INC                       COM   29413T106           6       3,757  SH     DEFINED     01           0       3,757           0
ENVIVIO INC                       COM   29413T106         135      79,130  SH     DEFINED  01,08       1,300      77,830           0
ENVIVIO INC                       COM   29413T106          36      20,970  SH     DEFINED     09      20,970           0           0

EPAM SYS INC                      COM   29414B104         744      32,024  SH     DEFINED     01      25,525       6,499           0
EPAM SYS INC                      COM   29414B104          28       1,195  SH     OTHER       01           0       1,195           0
EPAM SYS INC                      COM   29414B104       1,868      80,401  SH     DEFINED  01,08       8,597      71,804           0
EPAM SYS INC                      COM   29414B104         325      13,976  SH     DEFINED     09      13,976           0           0

EPLUS INC                         COM   294268107         560      12,109  SH     DEFINED     01         465      11,644           0
EPLUS INC                         COM   294268107       2,435      52,686  SH     DEFINED  01,08      11,654      41,032           0
EPLUS INC                         COM   294268107         489      10,584  SH     DEFINED     09      10,584           0           0

EQUIFAX INC                       COM   294429105       9,441     163,936  SH     DEFINED     01      77,804      85,714         418
EQUIFAX INC                       COM   294429105         795      13,812  SH     OTHER       01       3,654       8,958       1,200
EQUIFAX INC                       COM   294429105      61,665   1,070,767  SH     DEFINED  01,08     153,510     917,257           0
EQUIFAX INC                       COM   294429105      19,992     347,142  SH     DEFINED     09     347,142           0           0

EQUINIX INC                       COM   29444U502       3,394      15,692  SH     DEFINED     01       9,079       6,613           0
EQUINIX INC                       COM   29444U502          36         165  SH     OTHER       01         150           0          15
EQUINIX INC                       COM   29444U502      91,785     424,320  SH     DEFINED  01,08      60,017     364,303           0
EQUINIX INC                       COM   29444U502      16,499      76,276  SH     DEFINED     09      76,276           0           0

EQUITY LIFESTYLE PPTYS INC        COM   29472R108       1,748      22,761  SH     DEFINED     01       5,172      17,589           0
EQUITY LIFESTYLE PPTYS INC        COM   29472R108      19,320     251,560  SH     DEFINED  01,08      89,531     162,029           0
EQUITY LIFESTYLE PPTYS INC        COM   29472R108       1,029      13,402  SH     DEFINED     09      13,402           0           0

EQUITY ONE                        COM   294752100       8,912     371,806  SH     DEFINED     01       9,067     362,639         100
EQUITY ONE                        COM   294752100      29,315   1,222,981  SH     DEFINED  01,08     461,388     761,593           0
EQUITY ONE                        COM   294752100       3,677     153,402  SH     DEFINED     09     153,402           0           0

EQUITY RESIDENTIAL                COM   29476L107      22,932     416,491  SH     DEFINED     01     192,843     221,322       2,326
EQUITY RESIDENTIAL                COM   29476L107       1,458      26,479  SH     OTHER       01      18,510       6,165       1,804
EQUITY RESIDENTIAL                COM   29476L107     190,389   3,457,844  SH     DEFINED  01,08   1,023,625   2,434,219           0
EQUITY RESIDENTIAL                COM   29476L107      57,720   1,048,320  SH     DEFINED     09   1,048,320           0           0

ERICSSON                          COM   294821608      12,472     989,865  SH     DEFINED     01     931,298      53,338       5,229
ERICSSON                          COM   294821608       1,138      90,338  SH     OTHER       01      69,721      12,638       7,979
ERICSSON                          COM   294821608       1,882     149,402  SH     DEFINED  01,08           0     149,402           0

ERBA DIAGNOSTICS                  COM   29490B101           7      10,093  SH     DEFINED     01         300       9,793           0
ERBA DIAGNOSTICS                  COM   29490B101           5       7,404  SH     DEFINED  01,08       5,155       2,249           0

ERIE INDTY CO                     COM   29530P102         585       7,749  SH     DEFINED     01       4,428       3,321           0
ERIE INDTY CO                     COM   29530P102           2          30  SH     OTHER       01           0           0          30
ERIE INDTY CO                     COM   29530P102       8,531     112,942  SH     DEFINED  01,08           0     112,942           0
ERIE INDTY CO                     COM   29530P102           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    116
  ________

ESCALADE INC                      COM   296056104          55       8,983  SH     DEFINED     01           0       8,983           0
ESCALADE INC                      COM   296056104         113      18,346  SH     DEFINED  01,08       9,489       8,857           0

ESCO TECHNOLOGIES INC             COM   296315104       1,610      39,403  SH     DEFINED     01      10,608      28,795           0
ESCO TECHNOLOGIES INC             COM   296315104      12,231     299,337  SH     DEFINED  01,08      26,029     273,308           0
ESCO TECHNOLOGIES INC             COM   296315104       2,678      65,531  SH     DEFINED     09      65,531           0           0

ESSA BANCORP INC                  COM   29667D104          79       7,285  SH     DEFINED     01       1,805       5,480           0
ESSA BANCORP INC                  COM   29667D104       1,074      99,088  SH     DEFINED  01,08       2,997      96,091           0
ESSA BANCORP INC                  COM   29667D104         269      24,851  SH     DEFINED     09      24,851           0           0

ESSEX PPTY TR INC                 COM   297178105       1,534      10,184  SH     DEFINED     01       5,468       4,716           0
ESSEX PPTY TR INC                 COM   297178105      51,908     344,719  SH     DEFINED  01,08      71,984     272,735           0
ESSEX PPTY TR INC                 COM   297178105       1,951      12,957  SH     DEFINED     09      12,957           0           0

ESSEX RENT CORP                   COM   297187106           0          90  SH     DEFINED     01          90           0           0
ESSEX RENT CORP                   COM   297187106          71      15,882  SH     DEFINED  01,08           0      15,882           0

ESTERLINE TECHNOLOGIES CORP       COM   297425100      11,132     147,052  SH     DEFINED     01       4,358     142,694           0
ESTERLINE TECHNOLOGIES CORP       COM   297425100      41,269     545,165  SH     DEFINED  01,08     135,431     409,734           0
ESTERLINE TECHNOLOGIES CORP       COM   297425100       5,757      76,053  SH     DEFINED     09      76,053           0           0

ETABLISSEMENTS DELHAIZE FRER      COM   29759W101         541       9,913  SH     DEFINED     01       8,658       1,006         249
ETABLISSEMENTS DELHAIZE FRER      COM   29759W101          60       1,103  SH     OTHER       01       1,055          48           0
ETABLISSEMENTS DELHAIZE FRER      COM   29759W101         272       4,988  SH     DEFINED  01,08           0       4,988           0

ETHAN ALLEN INTERIORS INC         COM   297602104       4,584     139,260  SH     DEFINED     01       8,696     130,564           0
ETHAN ALLEN INTERIORS INC         COM   297602104           0          15  SH     OTHER       01          15           0           0
ETHAN ALLEN INTERIORS INC         COM   297602104      12,386     376,249  SH     DEFINED  01,08     124,502     251,747           0
ETHAN ALLEN INTERIORS INC         COM   297602104       2,016      61,253  SH     DEFINED     09      61,253           0           0

E2OPEN INC                        COM   29788A104          48       2,392  SH     DEFINED     01           0       2,392           0
E2OPEN INC                        COM   29788A104         917      46,009  SH     DEFINED  01,08         593      45,416           0
E2OPEN INC                        COM   29788A104         262      13,138  SH     DEFINED     09      13,138           0           0

EURONET WORLDWIDE INC             COM   298736109       5,769     219,017  SH     DEFINED     01       2,849     216,168           0
EURONET WORLDWIDE INC             COM   298736109      18,857     715,904  SH     DEFINED  01,08     209,498     506,406           0
EURONET WORLDWIDE INC             COM   298736109       3,369     127,888  SH     DEFINED     09     127,888           0           0

EVERCORE PARTNERS INC             COM   29977A105       1,799      43,235  SH     DEFINED     01      18,203      25,032           0
EVERCORE PARTNERS INC             COM   29977A105          43       1,040  SH     OTHER       01         320         720           0
EVERCORE PARTNERS INC             COM   29977A105      12,344     296,733  SH     DEFINED  01,08      17,302     279,431           0
EVERCORE PARTNERS INC             COM   29977A105       3,046      73,215  SH     DEFINED     09      73,215           0           0

EVERBANK FINL CORP                COM   29977G102         225      14,596  SH     DEFINED     01       2,600      11,996           0
EVERBANK FINL CORP                COM   29977G102       3,598     233,655  SH     DEFINED  01,08       8,194     225,461           0
EVERBANK FINL CORP                COM   29977G102         818      53,095  SH     DEFINED     09      53,095           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    117
  ________

EVOLUTION PETROLEUM CORP          COM   30049A107         226      22,223  SH     DEFINED     01       1,620      20,603           0
EVOLUTION PETROLEUM CORP          COM   30049A107       1,825     179,809  SH     DEFINED  01,08      13,823     165,986           0
EVOLUTION PETROLEUM CORP          COM   30049A107         441      43,422  SH     DEFINED     09      43,422           0           0

EVOLVING SYS INC                  COM   30049R209       1,350     212,971  SH     DEFINED     01     208,461       4,510           0
EVOLVING SYS INC                  COM   30049R209         103      16,312  SH     DEFINED  01,08       3,080      13,232           0

EXA CORP                          COM   300614500          46       4,782  SH     DEFINED     01         100       4,682           0
EXA CORP                          COM   300614500          30       3,190  SH     OTHER       01           0       3,190           0
EXA CORP                          COM   300614500         218      22,916  SH     DEFINED  01,08       2,494      20,422           0
EXA CORP                          COM   300614500         125      13,180  SH     DEFINED     09      13,180           0           0

EXACT SCIENCES CORP               COM   30063P105         597      60,963  SH     DEFINED     01       8,847      52,116           0
EXACT SCIENCES CORP               COM   30063P105       6,776     691,407  SH     DEFINED  01,08      30,371     661,036           0
EXACT SCIENCES CORP               COM   30063P105       1,616     164,871  SH     DEFINED     09     164,871           0           0

EXACTECH INC                      COM   30064E109         382      18,469  SH     DEFINED     01       1,314      17,155           0
EXACTECH INC                      COM   30064E109       2,111     102,021  SH     DEFINED  01,08      14,978      87,043           0
EXACTECH INC                      COM   30064E109         357      17,237  SH     DEFINED     09      17,237           0           0

EXACTTARGET INC                   COM   30064K105         690      29,670  SH     DEFINED     01       3,725      25,945           0
EXACTTARGET INC                   COM   30064K105       3,566     153,235  SH     DEFINED  01,08      26,755     126,480           0
EXACTTARGET INC                   COM   30064K105         550      23,656  SH     DEFINED     09      23,656           0           0

EXAR CORP                         COM   300645108         828      78,860  SH     DEFINED     01      18,097      60,763           0
EXAR CORP                         COM   300645108       4,655     443,309  SH     DEFINED  01,08      52,617     390,692           0
EXAR CORP                         COM   300645108       1,056     100,537  SH     DEFINED     09     100,537           0           0

EXAMWORKS GROUP INC               COM   30066A105         432      24,953  SH     DEFINED     01       3,530      21,423           0
EXAMWORKS GROUP INC               COM   30066A105       5,326     307,527  SH     DEFINED  01,08      11,965     295,562           0
EXAMWORKS GROUP INC               COM   30066A105       1,219      70,386  SH     DEFINED     09      70,386           0           0

EXCEL TR INC                      COM   30068C109         611      44,797  SH     DEFINED     01      13,538      31,259           0
EXCEL TR INC                      COM   30068C109       7,361     539,254  SH     DEFINED  01,08      95,179     444,075           0
EXCEL TR INC                      COM   30068C109       1,679     123,040  SH     DEFINED     09     123,040           0           0

EXELON CORP                       COM   30161N101      42,691   1,238,142  SH     DEFINED     01     530,197     699,541       8,404
EXELON CORP                       COM   30161N101       5,695     165,155  SH     OTHER       01     116,611      44,573       3,971
EXELON CORP                       COM   30161N101     268,774   7,795,069  SH     DEFINED  01,08   1,285,559   6,509,510           0
EXELON CORP                       COM   30161N101      87,467   2,536,759  SH     DEFINED     09   2,536,759           0           0

EXELIXIS INC                      COM   30161Q104         840     181,917  SH     DEFINED     01      25,264     156,653           0
EXELIXIS INC                      COM   30161Q104       9,237   1,999,311  SH     DEFINED  01,08      95,296   1,904,015           0
EXELIXIS INC                      COM   30161Q104       2,047     443,037  SH     DEFINED     09     443,037           0           0

EXELIS INC                        COM   30162A108         692      63,584  SH     DEFINED     01      45,908      17,676           0
EXELIS INC                        COM   30162A108         166      15,288  SH     OTHER       01      12,184       2,655         449
EXELIS INC                        COM   30162A108      15,015   1,378,823  SH     DEFINED  01,08      18,850   1,359,973           0
EXELIS INC                        COM   30162A108           0           2  SH     DEFINED     09           2           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    118
  ________

EXIDE TECHNOLOGIES                COM   302051206         184      68,216  SH     DEFINED     01      14,052      54,164           0
EXIDE TECHNOLOGIES                COM   302051206       2,195     812,861  SH     DEFINED  01,08      28,339     784,522           0
EXIDE TECHNOLOGIES                COM   302051206         544     201,524  SH     DEFINED     09     201,524           0           0

EXLSERVICE HOLDINGS INC           COM   302081104       2,191      66,645  SH     DEFINED     01      44,425      22,220           0
EXLSERVICE HOLDINGS INC           COM   302081104          59       1,790  SH     OTHER       01       1,790           0           0
EXLSERVICE HOLDINGS INC           COM   302081104       8,779     267,002  SH     DEFINED  01,08      16,398     250,604           0
EXLSERVICE HOLDINGS INC           COM   302081104       1,972      59,968  SH     DEFINED     09      59,968           0           0

EXONE CO                          COM   302104104         472      14,099  SH     DEFINED  01,08         891      13,208           0
EXONE CO                          COM   302104104         438      13,088  SH     DEFINED     09      13,088           0           0

EXPEDIA INC DEL                   COM   30212P303       6,590     109,805  SH     DEFINED     01      45,133      64,519         153
EXPEDIA INC DEL                   COM   30212P303         225       3,743  SH     OTHER       01       2,439       1,294          10
EXPEDIA INC DEL                   COM   30212P303      51,408     856,593  SH     DEFINED  01,08     140,113     716,480           0
EXPEDIA INC DEL                   COM   30212P303      17,601     293,281  SH     DEFINED     09     293,281           0           0

EXPEDITORS INTL WASH INC          COM   302130109      12,387     346,689  SH     DEFINED     01     151,332     190,344       5,013
EXPEDITORS INTL WASH INC          COM   302130109       2,057      57,570  SH     OTHER       01      35,296      20,494       1,780
EXPEDITORS INTL WASH INC          COM   302130109      66,772   1,868,782  SH     DEFINED  01,08     256,990   1,611,792           0
EXPEDITORS INTL WASH INC          COM   302130109      21,183     592,876  SH     DEFINED     09     592,876           0           0

EXPONENT INC                      COM   30214U102       4,627      85,780  SH     DEFINED     01      64,346      20,704         730
EXPONENT INC                      COM   30214U102         108       2,011  SH     OTHER       01         998         751         262
EXPONENT INC                      COM   30214U102       8,430     156,277  SH     DEFINED  01,08      14,469     141,808           0
EXPONENT INC                      COM   30214U102       1,855      34,398  SH     DEFINED     09      34,398           0           0

EXPRESS INC                       COM   30219E103       1,654      92,867  SH     DEFINED     01       7,701      85,166           0
EXPRESS INC                       COM   30219E103      17,423     978,261  SH     DEFINED  01,08      60,996     917,265           0
EXPRESS INC                       COM   30219E103       3,873     217,484  SH     DEFINED     09     217,484           0           0

EXPRESS SCRIPTS HLDG CO           COM   30219G108     232,087   4,027,887  SH     DEFINED     01   3,261,826     714,349      51,712
EXPRESS SCRIPTS HLDG CO           COM   30219G108      31,928     554,112  SH     OTHER       01     402,680     125,160      26,272
EXPRESS SCRIPTS HLDG CO           COM   30219G108     425,186   7,379,139  SH     DEFINED  01,08   1,121,316   6,257,823           0
EXPRESS SCRIPTS HLDG CO           COM   30219G108     141,043   2,447,811  SH     DEFINED     09   2,447,811           0           0

EXTERRAN PARTNERS LP              COM   30225N105         377      14,339  SH     DEFINED     01      14,339           0           0

EXTRA SPACE STORAGE INC           COM   30225T102       1,139      29,015  SH     DEFINED     01      16,686      12,329           0
EXTRA SPACE STORAGE INC           COM   30225T102      38,516     980,811  SH     DEFINED  01,08     205,171     775,640           0
EXTRA SPACE STORAGE INC           COM   30225T102       1,441      36,686  SH     DEFINED     09      36,686           0           0

EXTERRAN HLDGS INC                COM   30225X103       2,575      95,370  SH     DEFINED     01      26,734      68,636           0
EXTERRAN HLDGS INC                COM   30225X103      18,846     697,996  SH     DEFINED  01,08      46,290     651,706           0
EXTERRAN HLDGS INC                COM   30225X103       4,404     163,117  SH     DEFINED     09     163,117           0           0

EXTREME NETWORKS INC              COM   30226D106       1,748     518,647  SH     DEFINED     01      10,643     508,004           0
EXTREME NETWORKS INC              COM   30226D106       4,966   1,473,581  SH     DEFINED  01,08     492,087     981,494           0
EXTREME NETWORKS INC              COM   30226D106         769     228,117  SH     DEFINED     09     228,117           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    119
  ________

EZCORP INC                        COM   302301106       1,572      73,808  SH     DEFINED     01      26,713      47,095           0
EZCORP INC                        COM   302301106          43       2,000  SH     OTHER       01       2,000           0           0
EZCORP INC                        COM   302301106      11,281     529,640  SH     DEFINED  01,08      31,448     498,192           0
EZCORP INC                        COM   302301106       2,546     119,536  SH     DEFINED     09     119,536           0           0

EXXON MOBIL CORP                  COM   30231G102   1,019,167  11,310,251  SH     DEFINED     01   7,147,366   3,752,279     410,606
EXXON MOBIL CORP                  COM   30231G102     257,387   2,856,367  SH     OTHER       01   1,681,634     713,100     461,633
EXXON MOBIL CORP                  COM   30231G102   3,809,712  42,278,462  SH     DEFINED  01,08   7,477,099  34,764,272      37,091
EXXON MOBIL CORP                  COM   30231G102   1,216,637  13,501,688  SH     DEFINED     09  13,501,688           0           0

FBL FINL GROUP INC                COM   30239F106       8,714     224,241  SH     DEFINED     01       2,434     221,807           0
FBL FINL GROUP INC                COM   30239F106      12,615     324,620  SH     DEFINED  01,08     220,391     104,229           0
FBL FINL GROUP INC                COM   30239F106       1,011      26,020  SH     DEFINED     09      26,020           0           0

FEI CO                            COM   30241L109      10,935     169,404  SH     DEFINED     01      27,605     141,799           0
FEI CO                            COM   30241L109          54         831  SH     OTHER       01         236         595           0
FEI CO                            COM   30241L109      33,615     520,755  SH     DEFINED  01,08     131,755     389,000           0
FEI CO                            COM   30241L109       6,110      94,649  SH     DEFINED     09      94,649           0           0

FLIR SYS INC                      COM   302445101       5,099     196,046  SH     DEFINED     01      79,303     116,672          71
FLIR SYS INC                      COM   302445101          60       2,314  SH     OTHER       01       2,016         246          52
FLIR SYS INC                      COM   302445101      33,416   1,284,733  SH     DEFINED  01,08     174,526   1,110,207           0
FLIR SYS INC                      COM   302445101      10,899     419,027  SH     DEFINED     09     419,027           0           0

FBR & CO                          COM   30247C400         202      10,662  SH     DEFINED     01       1,898       8,764           0
FBR & CO                          COM   30247C400       1,877      99,142  SH     DEFINED  01,08       6,656      92,486           0
FBR & CO                          COM   30247C400         458      24,174  SH     DEFINED     09      24,174           0           0

FMC TECHNOLOGIES INC              COM   30249U101      18,515     340,409  SH     DEFINED     01     177,735     161,477       1,197
FMC TECHNOLOGIES INC              COM   30249U101         373       6,859  SH     OTHER       01       6,085         739          35
FMC TECHNOLOGIES INC              COM   30249U101     117,444   2,159,300  SH     DEFINED  01,08     327,954   1,831,346           0
FMC TECHNOLOGIES INC              COM   30249U101      38,760     712,627  SH     DEFINED     09     712,627           0           0

F M C CORP                        COM   302491303      10,660     186,914  SH     DEFINED     01      91,636      94,850         428
F M C CORP                        COM   302491303         141       2,479  SH     OTHER       01       1,682         797           0
F M C CORP                        COM   302491303      68,174   1,195,410  SH     DEFINED  01,08     161,122   1,034,288           0
F M C CORP                        COM   302491303      23,058     404,314  SH     DEFINED     09     404,314           0           0

F N B UNITED CORP                 COM   302519202          50       5,168  SH     DEFINED     01         120       5,048           0
F N B UNITED CORP                 COM   302519202         900      92,246  SH     DEFINED  01,08       1,680      90,566           0
F N B UNITED CORP                 COM   302519202         234      24,005  SH     DEFINED     09      24,005           0           0

FNB CORP PA                       COM   302520101      11,460     947,085  SH     DEFINED     01      55,195     891,890           0
FNB CORP PA                       COM   302520101      27,870   2,303,326  SH     DEFINED  01,08     902,821   1,400,505           0
FNB CORP PA                       COM   302520101       4,175     345,034  SH     DEFINED     09     345,034           0           0

FXCM INC                          COM   302693106         219      16,038  SH     DEFINED     01       2,780      13,258           0
FXCM INC                          COM   302693106       3,219     235,343  SH     DEFINED  01,08       4,279     231,064           0
FXCM INC                          COM   302693106         840      61,388  SH     DEFINED     09      61,388           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    120
  ________

FX ENERGY INC                     COM   302695101         195      58,166  SH     DEFINED     01       7,321      50,845           0
FX ENERGY INC                     COM   302695101       1,868     556,037  SH     DEFINED  01,08      35,339     520,698           0
FX ENERGY INC                     COM   302695101         456     135,823  SH     DEFINED     09     135,823           0           0

FAB UNVL CORP                     COM   302771100          55      14,384  SH     DEFINED  01,08           0      14,384           0

FTI CONSULTING INC                COM   302941109       1,780      47,255  SH     DEFINED     01       8,572      38,583         100
FTI CONSULTING INC                COM   302941109      21,605     573,698  SH     DEFINED  01,08      26,827     546,871           0
FTI CONSULTING INC                COM   302941109       3,910     103,813  SH     DEFINED     09     103,813           0           0

FACEBOOK INC                      COM   30303M102      18,725     732,008  SH     DEFINED     01     612,930     102,213      16,865
FACEBOOK INC                      COM   30303M102       1,222      47,786  SH     OTHER       01      16,996      21,752       9,038
FACEBOOK INC                      COM   30303M102      97,326   3,804,787  SH     DEFINED  01,08   1,732,546   2,072,241           0
FACEBOOK INC                      COM   30303M102      60,081   2,348,740  SH     DEFINED     09   2,348,740           0           0

FACTSET RESH SYS INC              COM   303075105       2,320      25,054  SH     DEFINED     01      17,227       7,738          89
FACTSET RESH SYS INC              COM   303075105         131       1,413  SH     OTHER       01         630         768          15
FACTSET RESH SYS INC              COM   303075105      29,292     316,326  SH     DEFINED  01,08       4,188     312,138           0
FACTSET RESH SYS INC              COM   303075105           0           1  SH     DEFINED     09           1           0           0

FAIR ISAAC CORP                   COM   303250104       7,617     166,706  SH     DEFINED     01      96,908      68,910         888
FAIR ISAAC CORP                   COM   303250104         115       2,523  SH     OTHER       01       1,253         941         329
FAIR ISAAC CORP                   COM   303250104      24,645     539,392  SH     DEFINED  01,08      56,482     482,910           0
FAIR ISAAC CORP                   COM   303250104       3,965      86,776  SH     DEFINED     09      86,776           0           0

FAIRCHILD SEMICONDUCTOR INTL      COM   303726103       4,962     350,921  SH     DEFINED     01      13,196     337,725           0
FAIRCHILD SEMICONDUCTOR INTL      COM   303726103      18,210   1,287,815  SH     DEFINED  01,08     345,503     942,312           0
FAIRCHILD SEMICONDUCTOR INTL      COM   303726103           0           1  SH     DEFINED     09           1           0           0

FAIRPOINT COMMUNICATIONS INC      COM   305560302         120      16,083  SH     DEFINED     01       3,457      12,626           0
FAIRPOINT COMMUNICATIONS INC      COM   305560302       1,621     217,029  SH     DEFINED  01,08       3,188     213,841           0
FAIRPOINT COMMUNICATIONS INC      COM   305560302         333      44,643  SH     DEFINED     09      44,643           0           0

FALCONSTOR SOFTWARE INC           COM   306137100          85      31,551  SH     DEFINED     01         100      31,451           0
FALCONSTOR SOFTWARE INC           COM   306137100         881     328,837  SH     DEFINED  01,08      20,930     307,907           0
FALCONSTOR SOFTWARE INC           COM   306137100         190      70,832  SH     DEFINED     09      70,832           0           0

FAMILY DLR STORES INC             COM   307000109       7,836     132,701  SH     DEFINED     01      61,510      70,866         325
FAMILY DLR STORES INC             COM   307000109         169       2,867  SH     OTHER       01       2,576         136         155
FAMILY DLR STORES INC             COM   307000109      50,363     852,880  SH     DEFINED  01,08     119,195     733,685           0
FAMILY DLR STORES INC             COM   307000109      16,417     278,020  SH     DEFINED     09     278,020           0           0

FAMOUS DAVES AMER INC             COM   307068106          77       7,102  SH     DEFINED     01           0       7,102           0
FAMOUS DAVES AMER INC             COM   307068106         207      19,102  SH     DEFINED  01,08       6,306      12,796           0

FARMER BROS CO                    COM   307675108         275      18,735  SH     DEFINED     01         265      18,470           0
FARMER BROS CO                    COM   307675108       1,288      87,593  SH     DEFINED  01,08      15,330      72,263           0
FARMER BROS CO                    COM   307675108         207      14,094  SH     DEFINED     09      14,094           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    121
  ________

FARMERS CAP BK CORP               COM   309562106         104       5,527  SH     DEFINED     01           0       5,527           0
FARMERS CAP BK CORP               COM   309562106         319      16,980  SH     DEFINED  01,08       5,190      11,790           0

FARMERS NATL BANC CORP            COM   309627107          58       9,205  SH     DEFINED     01         195       9,010           0
FARMERS NATL BANC CORP            COM   309627107         952     150,896  SH     DEFINED  01,08       2,747     148,149           0
FARMERS NATL BANC CORP            COM   309627107         425      67,335  SH     DEFINED     09      67,335           0           0

FARO TECHNOLOGIES INC             COM   311642102       2,803      64,600  SH     DEFINED     01      37,125      26,455       1,020
FARO TECHNOLOGIES INC             COM   311642102         217       4,991  SH     OTHER       01       1,710       2,762         519
FARO TECHNOLOGIES INC             COM   311642102       8,269     190,569  SH     DEFINED  01,08      11,870     178,699           0
FARO TECHNOLOGIES INC             COM   311642102       1,797      41,413  SH     DEFINED     09      41,413           0           0

FASTENAL CO                       COM   311900104      24,225     471,944  SH     DEFINED     01     242,661     219,665       9,618
FASTENAL CO                       COM   311900104       1,329      25,894  SH     OTHER       01      20,453       1,805       3,636
FASTENAL CO                       COM   311900104     128,450   2,502,443  SH     DEFINED  01,08     380,870   2,121,573           0
FASTENAL CO                       COM   311900104      42,341     824,875  SH     DEFINED     09     824,875           0           0

FEDERAL AGRIC MTG CORP            COM   313148306         221       7,165  SH     DEFINED     01         355       6,810           0
FEDERAL AGRIC MTG CORP            COM   313148306       3,146     102,170  SH     DEFINED  01,08       2,907      99,263           0
FEDERAL AGRIC MTG CORP            COM   313148306         693      22,497  SH     DEFINED     09      22,497           0           0

FEDERAL MOGUL CORP                COM   313549404          97      16,126  SH     DEFINED     01       3,347      12,779           0
FEDERAL MOGUL CORP                COM   313549404       1,166     193,320  SH     DEFINED  01,08       6,787     186,533           0
FEDERAL MOGUL CORP                COM   313549404         238      39,388  SH     DEFINED     09      39,388           0           0

FEDERAL REALTY INVT TR            COM   313747206       2,365      21,889  SH     DEFINED     01      10,274      11,495         120
FEDERAL REALTY INVT TR            COM   313747206          59         550  SH     OTHER       01         550           0           0
FEDERAL REALTY INVT TR            COM   313747206      71,629     662,986  SH     DEFINED  01,08     185,140     477,846           0
FEDERAL REALTY INVT TR            COM   313747206      11,572     107,109  SH     DEFINED     09     107,109           0           0

FEDERAL SIGNAL CORP               COM   313855108         783      96,242  SH     DEFINED     01      26,131      70,111           0
FEDERAL SIGNAL CORP               COM   313855108       5,584     685,985  SH     DEFINED  01,08      49,269     636,716           0
FEDERAL SIGNAL CORP               COM   313855108       1,287     158,095  SH     DEFINED     09     158,095           0           0

FEDERATED INVS INC PA             COM   314211103       2,592     109,495  SH     DEFINED     01      69,212      39,962         321
FEDERATED INVS INC PA             COM   314211103         157       6,620  SH     OTHER       01       6,580          40           0
FEDERATED INVS INC PA             COM   314211103      19,310     815,788  SH     DEFINED  01,08      10,375     805,413           0
FEDERATED INVS INC PA             COM   314211103           0           1  SH     DEFINED     09           1           0           0

FEDERATED NATL HLDG CO            COM   31422T101          15       1,913  SH     DEFINED     01           0       1,913           0
FEDERATED NATL HLDG CO            COM   31422T101          62       8,090  SH     DEFINED  01,08       2,784       5,306           0

FEDEX CORP                        COM   31428X106      43,808     446,111  SH     DEFINED     01     233,688     202,844       9,579
FEDEX CORP                        COM   31428X106       5,455      55,554  SH     OTHER       01      28,365      21,053       6,136
FEDEX CORP                        COM   31428X106     260,825   2,656,054  SH     DEFINED  01,08     396,967   2,259,087           0
FEDEX CORP                        COM   31428X106      86,409     879,928  SH     DEFINED     09     879,928           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    122
  ________

FELCOR LODGING TR INC             COM   31430F101         784     131,823  SH     DEFINED     01      17,575     114,248           0
FELCOR LODGING TR INC             COM   31430F101       9,331   1,568,174  SH     DEFINED  01,08     300,205   1,267,969           0
FELCOR LODGING TR INC             COM   31430F101       2,152     361,700  SH     DEFINED     09     361,700           0           0

FEMALE HEALTH CO                  COM   314462102         116      16,031  SH     DEFINED     01       1,538      14,493           0
FEMALE HEALTH CO                  COM   314462102       1,444     199,510  SH     DEFINED  01,08       5,571     193,939           0
FEMALE HEALTH CO                  COM   314462102         332      45,795  SH     DEFINED     09      45,795           0           0

FERRELLGAS PARTNERS L.P.          COM   315293100         473      25,503  SH     DEFINED     01      25,503           0           0

FERRO CORP                        COM   315405100         747     110,652  SH     DEFINED     01      14,013      96,639           0
FERRO CORP                        COM   315405100       6,187     916,567  SH     DEFINED  01,08      62,973     853,594           0
FERRO CORP                        COM   315405100       1,502     222,511  SH     DEFINED     09     222,511           0           0

F5 NETWORKS INC                   COM   315616102      22,044     247,463  SH     DEFINED     01     138,229     106,195       3,039
F5 NETWORKS INC                   COM   315616102       1,293      14,512  SH     OTHER       01       9,041       5,431          40
F5 NETWORKS INC                   COM   315616102      65,423     734,429  SH     DEFINED  01,08     124,019     610,410           0
F5 NETWORKS INC                   COM   315616102      20,717     232,571  SH     DEFINED     09     232,571           0           0

FIBRIA CELULOSE S A               COM   31573A109          12       1,027  SH     DEFINED     01         220         807           0
FIBRIA CELULOSE S A               COM   31573A109          15       1,206  SH     OTHER       01           0       1,206           0
FIBRIA CELULOSE S A               COM   31573A109          13       1,070  SH     DEFINED  01,08           0       1,070           0
FIBRIA CELULOSE S A               COM   31573A109         397      32,927  SH     DEFINED     09      32,927           0           0

FIDELITY NATL INFORMATION SV      COM   31620M106      14,391     363,235  SH     DEFINED     01     188,886     173,970         379
FIDELITY NATL INFORMATION SV      COM   31620M106         568      14,324  SH     OTHER       01       8,980       5,254          90
FIDELITY NATL INFORMATION SV      COM   31620M106      97,388   2,458,056  SH     DEFINED  01,08     311,338   2,146,718           0
FIDELITY NATL INFORMATION SV      COM   31620M106      31,695     799,986  SH     DEFINED     09     799,986           0           0

FIDELITY NATIONAL FINANCIAL       COM   31620R105       3,218     127,549  SH     DEFINED     01     103,772      23,777           0
FIDELITY NATIONAL FINANCIAL       COM   31620R105          43       1,699  SH     OTHER       01       1,038         661           0
FIDELITY NATIONAL FINANCIAL       COM   31620R105      45,676   1,810,377  SH     DEFINED  01,08     236,041   1,574,336           0
FIDELITY NATIONAL FINANCIAL       COM   31620R105       7,641     302,871  SH     DEFINED     09     302,871           0           0

FIDELITY SOUTHERN CORP NEW        COM   316394105         140      12,171  SH     DEFINED     01         110      12,061           0
FIDELITY SOUTHERN CORP NEW        COM   316394105       1,083      94,175  SH     DEFINED  01,08       8,875      85,300           0
FIDELITY SOUTHERN CORP NEW        COM   316394105         286      24,867  SH     DEFINED     09      24,867           0           0

FIDUS INVT CORP                   COM   316500107         758      39,592  SH     DEFINED     01         875      38,717           0
FIDUS INVT CORP                   COM   316500107       1,975     103,158  SH     DEFINED  01,08       1,757     101,401           0
FIDUS INVT CORP                   COM   316500107         746      38,947  SH     DEFINED     09      38,947           0           0

FIELDPOINT PETROLEUM CORP         COM   316570100           3         820  SH     DEFINED     01           0         820           0
FIELDPOINT PETROLEUM CORP         COM   316570100          65      15,773  SH     DEFINED  01,08         820      14,953           0

FIELDPOINT PETROLEUM CORP         WT    316570126           1       1,020         DEFINED     01           0       1,020           0
FIELDPOINT PETROLEUM CORP         WT    316570126           9      10,382         DEFINED  01,08       1,020       9,362           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    123
  ________

FIESTA RESTAURANT GROUP INC       COM   31660B101         333      12,525  SH     DEFINED     01       1,390      11,135           0
FIESTA RESTAURANT GROUP INC       COM   31660B101       4,504     169,517  SH     DEFINED  01,08       5,219     164,298           0
FIESTA RESTAURANT GROUP INC       COM   31660B101       1,062      39,965  SH     DEFINED     09      39,965           0           0

FIFTH & PAC COS INC               COM   316645100       7,565     400,679  SH     DEFINED     01      46,987     353,692           0
FIFTH & PAC COS INC               COM   316645100           1          61  SH     OTHER       01           0          61           0
FIFTH & PAC COS INC               COM   316645100      28,318   1,499,881  SH     DEFINED  01,08     309,699   1,190,182           0
FIFTH & PAC COS INC               COM   316645100       5,641     298,759  SH     DEFINED     09     298,759           0           0

FIFTH THIRD BANCORP               COM   316773100      19,351   1,186,451  SH     DEFINED     01     552,538     591,394      42,519
FIFTH THIRD BANCORP               COM   316773100       1,878     115,143  SH     OTHER       01      84,305      30,433         405
FIFTH THIRD BANCORP               COM   316773100     129,034   7,911,345  SH     DEFINED  01,08   1,169,917   6,741,428           0
FIFTH THIRD BANCORP               COM   316773100      42,444   2,602,305  SH     DEFINED     09   2,602,305           0           0

FIFTH STREET FINANCE CORP         COM   31678A103       1,127     102,254  SH     DEFINED     01      30,698      71,556           0
FIFTH STREET FINANCE CORP         COM   31678A103       9,932     901,252  SH     DEFINED  01,08      45,170     856,082           0
FIFTH STREET FINANCE CORP         COM   31678A103       2,987     271,096  SH     DEFINED     09     271,096           0           0

FINANCIAL ENGINES INC             COM   317485100       6,782     187,234  SH     DEFINED     01     140,569      44,201       2,464
FINANCIAL ENGINES INC             COM   317485100         426      11,761  SH     OTHER       01       6,475       5,086         200
FINANCIAL ENGINES INC             COM   317485100      17,919     494,715  SH     DEFINED  01,08      21,638     473,077           0
FINANCIAL ENGINES INC             COM   317485100       4,140     114,308  SH     DEFINED     09     114,308           0           0

FINANCIAL INSTNS INC              COM   317585404         834      41,804  SH     DEFINED     01       1,205      40,599           0
FINANCIAL INSTNS INC              COM   317585404       3,358     168,214  SH     DEFINED  01,08      36,361     131,853           0
FINANCIAL INSTNS INC              COM   317585404         625      31,336  SH     DEFINED     09      31,336           0           0

FINISAR CORP                      COM   31787A507       6,244     473,424  SH     DEFINED     01      14,637     458,787           0
FINISAR CORP                      COM   31787A507      17,632   1,336,777  SH     DEFINED  01,08     431,376     905,401           0
FINISAR CORP                      COM   31787A507       2,966     224,837  SH     DEFINED     09     224,837           0           0

FINISH LINE INC                   COM   317923100       2,272     115,979  SH     DEFINED     01      60,245      54,069       1,665
FINISH LINE INC                   COM   317923100          16         819  SH     OTHER       01         819           0           0
FINISH LINE INC                   COM   317923100      10,876     555,158  SH     DEFINED  01,08      36,337     518,821           0
FINISH LINE INC                   COM   317923100       2,379     121,436  SH     DEFINED     09     121,436           0           0

FIRST ACCEPTANCE CORP             COM   318457108          26      19,429  SH     DEFINED     01           0      19,429           0
FIRST ACCEPTANCE CORP             COM   318457108          52      38,340  SH     DEFINED  01,08      18,638      19,702           0

FIRST AMERN FINL CORP             COM   31847R102      11,706     457,814  SH     DEFINED     01      59,997     397,817           0
FIRST AMERN FINL CORP             COM   31847R102         623      24,361  SH     OTHER       01       2,581      21,780           0
FIRST AMERN FINL CORP             COM   31847R102      45,092   1,763,474  SH     DEFINED  01,08     351,442   1,412,032           0
FIRST AMERN FINL CORP             COM   31847R102       6,781     265,182  SH     DEFINED     09     265,182           0           0

FIRST BANCORP INC ME              COM   31866P102         268      14,891  SH     DEFINED     01       2,905      11,986           0
FIRST BANCORP INC ME              COM   31866P102       1,602      88,935  SH     DEFINED  01,08       8,620      80,315           0
FIRST BANCORP INC ME              COM   31866P102         339      18,839  SH     DEFINED     09      18,839           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    124
  ________

FIRST BANCORP P R                 COM   318672706         386      61,985  SH     DEFINED     01      21,749      40,236           0
FIRST BANCORP P R                 COM   318672706       4,473     718,026  SH     DEFINED  01,08      11,608     706,418           0
FIRST BANCORP P R                 COM   318672706       1,052     168,859  SH     DEFINED     09     168,859           0           0

FIRST BANCORP N C                 COM   318910106         275      20,379  SH     DEFINED     01       2,894      17,485           0
FIRST BANCORP N C                 COM   318910106       2,218     164,439  SH     DEFINED  01,08      11,484     152,955           0
FIRST BANCORP N C                 COM   318910106         697      51,688  SH     DEFINED     09      51,688           0           0

FIRST BUSEY CORP                  COM   319383105         368      80,593  SH     DEFINED     01      12,626      67,967           0
FIRST BUSEY CORP                  COM   319383105       3,594     786,513  SH     DEFINED  01,08      44,240     742,273           0
FIRST BUSEY CORP                  COM   319383105         908     198,646  SH     DEFINED     09     198,646           0           0

FIRST CALIFORNIA FINANCIAL G      COM   319395109         128      15,005  SH     DEFINED     01         850      14,155           0
FIRST CALIFORNIA FINANCIAL G      COM   319395109       1,911     224,248  SH     DEFINED  01,08       5,091     219,157           0
FIRST CALIFORNIA FINANCIAL G      COM   319395109         449      52,748  SH     DEFINED     09      52,748           0           0

FIRST CASH FINL SVCS INC          COM   31942D107       2,365      40,540  SH     DEFINED     01      10,241      30,299           0
FIRST CASH FINL SVCS INC          COM   31942D107          94       1,612  SH     OTHER       01           0       1,612           0
FIRST CASH FINL SVCS INC          COM   31942D107      18,148     311,067  SH     DEFINED  01,08      19,389     291,678           0
FIRST CASH FINL SVCS INC          COM   31942D107       4,187      71,773  SH     DEFINED     09      71,773           0           0

FIRST CTZNS BANCSHARES INC N      COM   31946M103         814       4,457  SH     DEFINED     01         649       3,808           0
FIRST CTZNS BANCSHARES INC N      COM   31946M103           1           5  SH     OTHER       01           0           0           5
FIRST CTZNS BANCSHARES INC N      COM   31946M103       5,014      27,444  SH     DEFINED  01,08       4,357      23,087           0
FIRST CTZNS BANCSHARES INC N      COM   31946M103           0           1  SH     DEFINED     09           1           0           0

FIRST COMWLTH FINL CORP PA        COM   319829107       1,006     134,795  SH     DEFINED     01      44,153      90,642           0
FIRST COMWLTH FINL CORP PA        COM   319829107       8,453   1,133,089  SH     DEFINED  01,08      59,987   1,073,102           0
FIRST COMWLTH FINL CORP PA        COM   319829107       1,852     248,271  SH     DEFINED     09     248,271           0           0

FIRST CMNTY BANCSHARES INC N      COM   31983A103         307      19,394  SH     DEFINED     01       2,896      16,498           0
FIRST CMNTY BANCSHARES INC N      COM   31983A103       2,768     174,623  SH     DEFINED  01,08      11,379     163,244           0
FIRST CMNTY BANCSHARES INC N      COM   31983A103         771      48,643  SH     DEFINED     09      48,643           0           0

FIRST CONN BANCORP INC MD         COM   319850103         183      12,397  SH     DEFINED     01       2,435       9,962           0
FIRST CONN BANCORP INC MD         COM   319850103       2,594     176,123  SH     DEFINED  01,08       2,429     173,694           0
FIRST CONN BANCORP INC MD         COM   319850103         712      48,334  SH     DEFINED     09      48,334           0           0

FIRST DEFIANCE FINL CORP          COM   32006W106         373      15,996  SH     DEFINED     01       1,290      14,706           0
FIRST DEFIANCE FINL CORP          COM   32006W106       2,386     102,309  SH     DEFINED  01,08       9,987      92,322           0
FIRST DEFIANCE FINL CORP          COM   32006W106         578      24,793  SH     DEFINED     09      24,793           0           0

FIRST FED BANCSHARES ARK          COM   32020F303          58       5,812  SH     DEFINED     01          10       5,802           0
FIRST FED BANCSHARES ARK          COM   32020F303         400      40,014  SH     DEFINED  01,08       4,130      35,884           0
FIRST FED BANCSHARES ARK          COM   32020F303         172      17,186  SH     DEFINED     09      17,186           0           0

FIRST FINL BANKSHARES             COM   32020R109       2,228      45,837  SH     DEFINED     01      11,266      34,571           0
FIRST FINL BANKSHARES             COM   32020R109      16,468     338,845  SH     DEFINED  01,08      23,081     315,764           0
FIRST FINL BANKSHARES             COM   32020R109       3,764      77,444  SH     DEFINED     09      77,444           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    125
  ________

FIRST FINL BANCORP OH             COM   320209109       6,536     407,238  SH     DEFINED     01      30,892     376,346           0
FIRST FINL BANCORP OH             COM   320209109      15,611     972,679  SH     DEFINED  01,08     350,532     622,147           0
FIRST FINL BANCORP OH             COM   320209109       2,257     140,632  SH     DEFINED     09     140,632           0           0

FIRST FINL CORP IND               COM   320218100       3,640     115,608  SH     DEFINED     01       5,798     109,810           0
FIRST FINL CORP IND               COM   320218100       6,924     219,890  SH     DEFINED  01,08     108,023     111,867           0
FIRST FINL CORP IND               COM   320218100         927      29,430  SH     DEFINED     09      29,430           0           0

FIRST FINANCIAL NORTHWEST IN      COM   32022K102          84      10,728  SH     DEFINED     01       1,835       8,893           0
FIRST FINANCIAL NORTHWEST IN      COM   32022K102       1,151     147,325  SH     DEFINED  01,08       4,839     142,486           0
FIRST FINANCIAL NORTHWEST IN      COM   32022K102         250      32,005  SH     DEFINED     09      32,005           0           0

FIRST FINL HLDGS INC              COM   320239106       1,648      78,605  SH     DEFINED     01       2,646      75,959           0
FIRST FINL HLDGS INC              COM   320239106       4,787     228,394  SH     DEFINED  01,08      67,475     160,919           0
FIRST FINL HLDGS INC              COM   320239106         930      44,354  SH     DEFINED     09      44,354           0           0

FIRST HORIZON NATL CORP           COM   320517105       3,160     295,875  SH     DEFINED     01     140,033     155,396         446
FIRST HORIZON NATL CORP           COM   320517105          35       3,279  SH     OTHER       01       3,056         215           8
FIRST HORIZON NATL CORP           COM   320517105      20,199   1,891,315  SH     DEFINED  01,08      67,046   1,824,269           0
FIRST HORIZON NATL CORP           COM   320517105       3,863     361,748  SH     DEFINED     09     361,748           0           0

FIRST INDUSTRIAL REALTY TRUS      COM   32054K103       6,291     367,235  SH     DEFINED     01      28,566     338,669           0
FIRST INDUSTRIAL REALTY TRUS      COM   32054K103      25,347   1,479,684  SH     DEFINED  01,08     506,720     972,964           0
FIRST INDUSTRIAL REALTY TRUS      COM   32054K103       4,972     290,236  SH     DEFINED     09     290,236           0           0

FIRST INTST BANCSYSTEM INC        COM   32055Y201         321      17,080  SH     DEFINED     01       3,495      13,585           0
FIRST INTST BANCSYSTEM INC        COM   32055Y201       3,245     172,499  SH     DEFINED  01,08       3,692     168,807           0
FIRST INTST BANCSYSTEM INC        COM   32055Y201         738      39,217  SH     DEFINED     09      39,217           0           0

FIRST LONG IS CORP                COM   320734106         450      15,162  SH     DEFINED     01         978      14,184           0
FIRST LONG IS CORP                COM   320734106       2,442      82,369  SH     DEFINED  01,08       9,825      72,544           0
FIRST LONG IS CORP                COM   320734106         602      20,293  SH     DEFINED     09      20,293           0           0

FIRST M & F CORP                  COM   320744105          28       2,002  SH     DEFINED     01           0       2,002           0
FIRST M & F CORP                  COM   320744105         175      12,385  SH     DEFINED  01,08       2,096      10,289           0

FIRST MARBLEHEAD CORP             COM   320771108          44      43,181  SH     DEFINED     01         170      43,011           0
FIRST MARBLEHEAD CORP             COM   320771108         624     618,021  SH     DEFINED  01,08      22,623     595,398           0
FIRST MARBLEHEAD CORP             COM   320771108         132     130,304  SH     DEFINED     09     130,304           0           0

FIRST MERCHANTS CORP              COM   320817109       2,467     159,466  SH     DEFINED     01       4,805     154,661           0
FIRST MERCHANTS CORP              COM   320817109       6,913     446,846  SH     DEFINED  01,08     154,289     292,557           0
FIRST MERCHANTS CORP              COM   320817109       1,159      74,936  SH     DEFINED     09      74,936           0           0

FIRST MIDWEST BANCORP DEL         COM   320867104       7,796     587,050  SH     DEFINED     01     129,468     457,582           0
FIRST MIDWEST BANCORP DEL         COM   320867104      16,204   1,220,202  SH     DEFINED  01,08     441,014     779,188           0
FIRST MIDWEST BANCORP DEL         COM   320867104       2,578     194,145  SH     DEFINED     09     194,145           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    126
  ________

FIRST NIAGARA FINL GP INC         COM   33582V108       1,973     222,740  SH     DEFINED     01     134,357      86,931       1,452
FIRST NIAGARA FINL GP INC         COM   33582V108          59       6,608  SH     OTHER       01       4,233       2,260         115
FIRST NIAGARA FINL GP INC         COM   33582V108      23,531   2,655,908  SH     DEFINED  01,08      69,277   2,586,631           0
FIRST NIAGARA FINL GP INC         COM   33582V108           0           1  SH     DEFINED     09           1           0           0

FIRST PACTRUST BANCORP INC        COM   33589V101          77       6,730  SH     DEFINED     01         115       6,615           0
FIRST PACTRUST BANCORP INC        COM   33589V101       1,167     102,351  SH     DEFINED  01,08       2,581      99,770           0
FIRST PACTRUST BANCORP INC        COM   33589V101         368      32,302  SH     DEFINED     09      32,302           0           0

FIRST POTOMAC RLTY TR             COM   33610F109       5,007     337,654  SH     DEFINED     01       7,213     330,441           0
FIRST POTOMAC RLTY TR             COM   33610F109      13,554     913,949  SH     DEFINED  01,08     396,914     517,035           0
FIRST POTOMAC RLTY TR             COM   33610F109       2,111     142,379  SH     DEFINED     09     142,379           0           0

FIRST REP BK SAN FRANCISCO C      COM   33616C100       1,119      28,968  SH     DEFINED     01       8,858      20,110           0
FIRST REP BK SAN FRANCISCO C      COM   33616C100         196       5,067  SH     OTHER       01       4,377         690           0
FIRST REP BK SAN FRANCISCO C      COM   33616C100      16,937     438,545  SH     DEFINED  01,08     105,197     333,348           0
FIRST REP BK SAN FRANCISCO C      COM   33616C100       5,574     144,327  SH     DEFINED     09     144,327           0           0

FIRST SOLAR INC                   COM   336433107       3,573     132,531  SH     DEFINED     01      49,294      83,176          61
FIRST SOLAR INC                   COM   336433107          41       1,533  SH     OTHER       01         964         569           0
FIRST SOLAR INC                   COM   336433107      23,378     867,138  SH     DEFINED  01,08      54,942     812,196           0
FIRST SOLAR INC                   COM   336433107       6,517     241,714  SH     DEFINED     09     241,714           0           0

FIRST SOUTH BANCORP INC VA        COM   33646W100          15       2,311  SH     DEFINED     01           0       2,311           0
FIRST SOUTH BANCORP INC VA        COM   33646W100         110      16,795  SH     DEFINED  01,08       3,170      13,625           0

1ST SOURCE CORP                   COM   336901103         601      25,363  SH     DEFINED     01       2,632      22,731           0
1ST SOURCE CORP                   COM   336901103       3,666     154,677  SH     DEFINED  01,08      19,134     135,543           0
1ST SOURCE CORP                   COM   336901103         813      34,309  SH     DEFINED     09      34,309           0           0

1ST UNITED BANCORP INC FLA        COM   33740N105         129      19,968  SH     DEFINED     01       3,825      16,143           0
1ST UNITED BANCORP INC FLA        COM   33740N105       1,850     286,359  SH     DEFINED  01,08       4,633     281,726           0
1ST UNITED BANCORP INC FLA        COM   33740N105         541      83,675  SH     DEFINED     09      83,675           0           0

FIRST UTD CORP                    COM   33741H107         397      47,906  SH     DEFINED     01      45,000       2,906           0
FIRST UTD CORP                    COM   33741H107          95      11,425  SH     DEFINED  01,08       3,275       8,150           0

FIRSTCITY FINL CORP               COM   33761X107          76       7,701  SH     DEFINED     01           0       7,701           0
FIRSTCITY FINL CORP               COM   33761X107         209      21,125  SH     DEFINED  01,08       7,313      13,812           0

FIRSTHAND TECH VALUE FD INC       COM   33766Y100          95       4,944  SH     DEFINED     01         260       4,684           0
FIRSTHAND TECH VALUE FD INC       COM   33766Y100       1,361      70,555  SH     DEFINED  01,08       1,269      69,286           0

FISERV INC                        COM   337738108      23,975     272,876  SH     DEFINED     01     127,475     143,771       1,630
FISERV INC                        COM   337738108       4,637      52,779  SH     OTHER       01      29,192       7,553      16,034
FISERV INC                        COM   337738108     105,986   1,206,310  SH     DEFINED  01,08     172,380   1,033,930           0
FISERV INC                        COM   337738108      34,618     394,014  SH     DEFINED     09     394,014           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    127
  ________

FISHER COMMUNICATIONS INC         COM   337756209         507      12,910  SH     DEFINED     01       1,829      11,081           0
FISHER COMMUNICATIONS INC         COM   337756209       3,677      93,694  SH     DEFINED  01,08       8,559      85,135           0
FISHER COMMUNICATIONS INC         COM   337756209         902      22,981  SH     DEFINED     09      22,981           0           0

FIRSTMERIT CORP                   COM   337915102       4,285     259,055  SH     DEFINED     01     113,659     142,272       3,124
FIRSTMERIT CORP                   COM   337915102          97       5,840  SH     OTHER       01       3,575       2,265           0
FIRSTMERIT CORP                   COM   337915102      25,571   1,546,028  SH     DEFINED  01,08      94,812   1,451,216           0
FIRSTMERIT CORP                   COM   337915102       6,709     405,615  SH     DEFINED     09     405,615           0           0

FLAGSTAR BANCORP INC              COM   337930705          75       5,405  SH     DEFINED     01       1,555       3,850           0
FLAGSTAR BANCORP INC              COM   337930705         495      35,539  SH     DEFINED  01,08       2,553      32,986           0

FIRSTENERGY CORP                  COM   337932107      18,738     444,038  SH     DEFINED     01     155,475     286,538       2,025
FIRSTENERGY CORP                  COM   337932107         424      10,042  SH     OTHER       01       9,229         355         458
FIRSTENERGY CORP                  COM   337932107     157,928   3,742,381  SH     DEFINED  01,08     558,308   3,184,073           0
FIRSTENERGY CORP                  COM   337932107      52,697   1,248,738  SH     DEFINED     09   1,248,738           0           0

FIVE BELOW INC                    COM   33829M101         304       8,014  SH     DEFINED     01       1,125       6,889           0
FIVE BELOW INC                    COM   33829M101       4,140     109,268  SH     DEFINED  01,08       1,603     107,665           0
FIVE BELOW INC                    COM   33829M101       1,065      28,110  SH     DEFINED     09      28,110           0           0

FIVE STAR QUALITY CARE INC        COM   33832D106       3,024     452,022  SH     DEFINED     01       5,689     446,333           0
FIVE STAR QUALITY CARE INC        COM   33832D106       5,999     896,716  SH     DEFINED  01,08     468,437     428,279           0
FIVE STAR QUALITY CARE INC        COM   33832D106         848     126,780  SH     DEFINED     09     126,780           0           0

FLAHERTY & CRMN PFD SEC INCO      COM   338478100         288      14,100  SH     DEFINED     01      14,100           0           0

FLEETCOR TECHNOLOGIES INC         COM   339041105       3,317      43,259  SH     DEFINED     01      34,629       8,209         421
FLEETCOR TECHNOLOGIES INC         COM   339041105         211       2,757  SH     OTHER       01       2,061         696           0
FLEETCOR TECHNOLOGIES INC         COM   339041105      17,668     230,448  SH     DEFINED  01,08       5,226     225,222           0

FLEXSTEEL INDS INC                COM   339382103         172       6,936  SH     DEFINED     01         105       6,831           0
FLEXSTEEL INDS INC                COM   339382103       1,176      47,534  SH     DEFINED  01,08       4,708      42,826           0
FLEXSTEEL INDS INC                COM   339382103         295      11,911  SH     DEFINED     09      11,911           0           0

FLEXSHARES TR                     COM   33939L100     214,304   3,201,905  SH     DEFINED     01   3,080,730      95,920      25,255
FLEXSHARES TR                     COM   33939L100      20,696     309,224  SH     OTHER       01     184,795      80,430      43,999

FLEXSHARES TR                     COM   33939L308      72,901   1,378,090  SH     DEFINED     01   1,352,142       3,830      22,118
FLEXSHARES TR                     COM   33939L308       9,567     180,856  SH     OTHER       01     118,747      55,159       6,950

FLEXSHARES TR                     COM   33939L407   1,693,952  48,260,730  SH     DEFINED     01  46,570,940     986,966     702,824
FLEXSHARES TR                     COM   33939L407     188,360   5,366,395  SH     OTHER       01   4,181,427     860,346     324,622
FLEXSHARES TR                     COM   33939L407       7,430     211,685  SH     DEFINED  01,08      42,050     169,635           0

FLEXSHARES TR                     COM   33939L506      11,419  44,659,674  SH     DEFINED     01  42,961,867     923,273     774,534
FLEXSHARES TR                     COM   33939L506         908   3,551,835  SH     OTHER       01   2,688,693     629,495     233,647


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    128
  ________

FLEXSHARES TR                     COM   33939L605       4,292  16,289,716  SH     DEFINED     01  15,790,068     272,285     227,363
FLEXSHARES TR                     COM   33939L605         384   1,456,201  SH     OTHER       01   1,133,410     252,356      70,435

FLEXSHARES TR                     COM   33939L803      69,760   1,270,667  SH     DEFINED     01   1,248,602      15,720       6,345
FLEXSHARES TR                     COM   33939L803       9,459     172,287  SH     OTHER       01     101,481      70,431         375

FLEXSHARES TR                     COM   33939L845       5,504     194,822  SH     DEFINED     01     194,822           0           0
FLEXSHARES TR                     COM   33939L845         607      21,485  SH     OTHER       01      14,735           0       6,750

FLEXSHARES TR                     COM   33939L852       1,956      68,885  SH     DEFINED     01      57,885           0      11,000
FLEXSHARES TR                     COM   33939L852          64       2,250  SH     OTHER       01       2,250           0           0

FLEXSHARES TR                     COM   33939L860      34,313   1,207,778  SH     DEFINED     01   1,201,478           0       6,300
FLEXSHARES TR                     COM   33939L860       5,099     179,464  SH     OTHER       01      60,943      41,595      76,926

FLEXSHARES TR                  UNDEFIND 33939L886          46      61,597         DEFINED     01      60,927           0         670

FLOTEK INDS INC DEL               COM   343389102         697      42,623  SH     DEFINED     01       6,584      36,039           0
FLOTEK INDS INC DEL               COM   343389102          65       4,000  SH     OTHER       01           0       4,000           0
FLOTEK INDS INC DEL               COM   343389102       8,610     526,606  SH     DEFINED  01,08      24,661     501,945           0
FLOTEK INDS INC DEL               COM   343389102       2,072     126,744  SH     DEFINED     09     126,744           0           0

FLUOR CORP NEW                    COM   343412102      12,974     195,599  SH     DEFINED     01      82,278     112,807         514
FLUOR CORP NEW                    COM   343412102         286       4,315  SH     OTHER       01       3,908         332          75
FLUOR CORP NEW                    COM   343412102      96,522   1,455,174  SH     DEFINED  01,08     218,584   1,236,590           0
FLUOR CORP NEW                    COM   343412102      29,352     442,509  SH     DEFINED     09     442,509           0           0

FLOW INTL CORP                    COM   343468104         191      48,919  SH     DEFINED     01       7,427      41,492           0
FLOW INTL CORP                    COM   343468104       1,948     498,224  SH     DEFINED  01,08      30,712     467,512           0
FLOW INTL CORP                    COM   343468104         414     105,818  SH     DEFINED     09     105,818           0           0

FLOWERS FOODS INC                 COM   343498101       2,791      84,744  SH     DEFINED     01      55,302      28,350       1,092
FLOWERS FOODS INC                 COM   343498101         113       3,427  SH     OTHER       01       2,190       1,237           0
FLOWERS FOODS INC                 COM   343498101      27,798     843,893  SH     DEFINED  01,08      11,914     831,979           0
FLOWERS FOODS INC                 COM   343498101           0           1  SH     DEFINED     09           1           0           0

FLOWSERVE CORP                    COM   34354P105       9,891      58,979  SH     DEFINED     01      25,166      33,667         146
FLOWSERVE CORP                    COM   34354P105         139         831  SH     OTHER       01         768          63           0
FLOWSERVE CORP                    COM   34354P105      73,257     436,808  SH     DEFINED  01,08      60,737     376,071           0
FLOWSERVE CORP                    COM   34354P105      24,433     145,686  SH     DEFINED     09     145,686           0           0

FLUIDIGM CORP DEL                 COM   34385P108         318      17,165  SH     DEFINED     01       4,094      13,071           0
FLUIDIGM CORP DEL                 COM   34385P108       4,759     257,094  SH     DEFINED  01,08       7,246     249,848           0
FLUIDIGM CORP DEL                 COM   34385P108       1,089      58,853  SH     DEFINED     09      58,853           0           0

FLUSHING FINL CORP                COM   343873105       6,480     382,545  SH     DEFINED     01       5,252     377,293           0
FLUSHING FINL CORP                COM   343873105      11,544     681,488  SH     DEFINED  01,08     368,799     312,689           0
FLUSHING FINL CORP                COM   343873105       1,349      79,632  SH     DEFINED     09      79,632           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    129
  ________

FOCUS MEDIA HLDG LTD              COM   34415V109         343      12,790  SH     DEFINED     01          90      12,700           0
FOCUS MEDIA HLDG LTD              COM   34415V109         351      13,110  SH     DEFINED  01,08      12,700         410           0

FOMENTO ECONOMICO MEXICANO S      COM   344419106       2,175      19,162  SH     DEFINED     01      17,364       1,798           0
FOMENTO ECONOMICO MEXICANO S      COM   344419106         232       2,042  SH     OTHER       01       1,183         859           0
FOMENTO ECONOMICO MEXICANO S      COM   344419106       1,179      10,391  SH     DEFINED  01,08           0      10,391           0

FONAR CORP                        COM   344437405          13       1,923  SH     DEFINED     01         140       1,783           0
FONAR CORP                        COM   344437405          98      14,200  SH     DEFINED  01,08       1,752      12,448           0

FOOT LOCKER INC                   COM   344849104       3,551     103,720  SH     DEFINED     01      89,922      13,092         706
FOOT LOCKER INC                   COM   344849104         320       9,344  SH     OTHER       01       6,450       2,634         260
FOOT LOCKER INC                   COM   344849104      39,780   1,161,789  SH     DEFINED  01,08      15,259   1,146,530           0
FOOT LOCKER INC                   COM   344849104           0           1  SH     DEFINED     09           1           0           0

FORBES ENERGY SVCS LTD            COM   345143101          27       7,265  SH     DEFINED     01          85       7,180           0
FORBES ENERGY SVCS LTD            COM   345143101         459     124,607  SH     DEFINED  01,08       2,460     122,147           0
FORBES ENERGY SVCS LTD            COM   345143101         150      40,753  SH     DEFINED     09      40,753           0           0

FORD MTR CO DEL                   COM   345370860      56,541   4,299,694  SH     DEFINED     01   1,653,210   2,638,437       8,047
FORD MTR CO DEL                   COM   345370860         908      69,057  SH     OTHER       01      58,839       7,712       2,506
FORD MTR CO DEL                   COM   345370860     451,667  34,347,320  SH     DEFINED  01,08   4,659,092  29,688,228           0
FORD MTR CO DEL                   COM   345370860     146,084  11,109,021  SH     DEFINED     09  11,109,021           0           0

FOREST CITY ENTERPRISES INC       COM   345550107       3,574     201,127  SH     DEFINED     01     181,761      18,233       1,133
FOREST CITY ENTERPRISES INC       COM   345550107          76       4,264  SH     OTHER       01       2,042       1,602         620
FOREST CITY ENTERPRISES INC       COM   345550107      14,538     818,105  SH     DEFINED  01,08     262,801     555,304           0
FOREST CITY ENTERPRISES INC       COM   345550107         840      47,279  SH     DEFINED     09      47,279           0           0

FOREST LABS INC                   COM   345838106      10,973     288,466  SH     DEFINED     01     121,693     163,632       3,141
FOREST LABS INC                   COM   345838106         616      16,184  SH     OTHER       01      15,265         804         115
FOREST LABS INC                   COM   345838106      81,928   2,153,723  SH     DEFINED  01,08     328,784   1,824,939           0
FOREST LABS INC                   COM   345838106      27,645     726,732  SH     DEFINED     09     726,732           0           0

FOREST OIL CORP                   COM   346091705         692     131,516  SH     DEFINED     01      21,902     109,614           0
FOREST OIL CORP                   COM   346091705           5         995  SH     OTHER       01         995           0           0
FOREST OIL CORP                   COM   346091705       8,423   1,601,415  SH     DEFINED  01,08      66,138   1,535,277           0
FOREST OIL CORP                   COM   346091705       1,621     308,171  SH     DEFINED     09     308,171           0           0

FORESTAR GROUP INC                COM   346233109       1,885      86,220  SH     DEFINED     01      37,676      47,997         547
FORESTAR GROUP INC                COM   346233109          55       2,509  SH     OTHER       01       1,589         920           0
FORESTAR GROUP INC                COM   346233109       8,400     384,259  SH     DEFINED  01,08      26,108     358,151           0
FORESTAR GROUP INC                COM   346233109       1,820      83,257  SH     DEFINED     09      83,257           0           0

FORMFACTOR INC                    COM   346375108         229      48,766  SH     DEFINED     01       3,829      44,937           0
FORMFACTOR INC                    COM   346375108       2,479     527,459  SH     DEFINED  01,08      30,190     497,269           0
FORMFACTOR INC                    COM   346375108         610     129,861  SH     DEFINED     09     129,861           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    130
  ________

FORRESTER RESH INC                COM   346563109         782      24,712  SH     DEFINED     01       5,713      18,999           0
FORRESTER RESH INC                COM   346563109       5,499     173,735  SH     DEFINED  01,08      16,639     157,096           0
FORRESTER RESH INC                COM   346563109       1,023      32,335  SH     DEFINED     09      32,335           0           0

FORTEGRA FINL CORP                COM   34954W104          28       3,245  SH     DEFINED     01           0       3,245           0
FORTEGRA FINL CORP                COM   34954W104         518      59,105  SH     DEFINED  01,08       1,162      57,943           0
FORTEGRA FINL CORP                COM   34954W104         205      23,435  SH     DEFINED     09      23,435           0           0

FORTINET INC                      COM   34959E109       2,232      94,254  SH     DEFINED     01      10,664      81,590       2,000
FORTINET INC                      COM   34959E109           4         190  SH     OTHER       01         190           0           0
FORTINET INC                      COM   34959E109      13,871     585,787  SH     DEFINED  01,08      71,386     514,401           0
FORTINET INC                      COM   34959E109           0           2  SH     DEFINED     09           2           0           0

FORTUNE BRANDS HOME & SEC IN      COM   34964C106       2,609      69,703  SH     DEFINED     01      47,707      21,271         725
FORTUNE BRANDS HOME & SEC IN      COM   34964C106         526      14,041  SH     OTHER       01      10,380       3,610          51
FORTUNE BRANDS HOME & SEC IN      COM   34964C106      45,522   1,216,181  SH     DEFINED  01,08      16,181   1,200,000           0
FORTUNE BRANDS HOME & SEC IN      COM   34964C106           0           2  SH     DEFINED     09           2           0           0

FORUM ENERGY TECHNOLOGIES IN      COM   34984V100         675      23,467  SH     DEFINED     01       2,658      20,809           0
FORUM ENERGY TECHNOLOGIES IN      COM   34984V100         144       5,000  SH     OTHER       01       5,000           0           0
FORUM ENERGY TECHNOLOGIES IN      COM   34984V100       6,573     228,531  SH     DEFINED  01,08       7,107     221,424           0
FORUM ENERGY TECHNOLOGIES IN      COM   34984V100       1,708      59,393  SH     DEFINED     09      59,393           0           0

FORWARD AIR CORP                  COM   349853101       6,050     162,233  SH     DEFINED     01     120,688      39,546       1,999
FORWARD AIR CORP                  COM   349853101         294       7,879  SH     OTHER       01       3,092       3,908         879
FORWARD AIR CORP                  COM   349853101      12,371     331,740  SH     DEFINED  01,08      22,039     309,701           0
FORWARD AIR CORP                  COM   349853101       2,677      71,790  SH     DEFINED     09      71,790           0           0

FORWARD INDS INC N Y              COM   349862300          10       4,800  SH     DEFINED     01           0       4,800           0
FORWARD INDS INC N Y              COM   349862300          27      13,317  SH     DEFINED  01,08         607      12,710           0

FOSSIL INC                        COM   349882100       5,760      59,630  SH     DEFINED     01      22,335      37,218          77
FOSSIL INC                        COM   349882100          61         629  SH     OTHER       01         535          94           0
FOSSIL INC                        COM   349882100      45,697     473,054  SH     DEFINED  01,08      63,504     409,550           0
FOSSIL INC                        COM   349882100      15,027     155,563  SH     DEFINED     09     155,563           0           0

FOSTER L B CO                     COM   350060109       1,387      31,316  SH     DEFINED     01      11,524      19,560         232
FOSTER L B CO                     COM   350060109          47       1,057  SH     OTHER       01         677         380           0
FOSTER L B CO                     COM   350060109       4,628     104,502  SH     DEFINED  01,08      12,527      91,975           0
FOSTER L B CO                     COM   350060109       1,070      24,165  SH     DEFINED     09      24,165           0           0

FOX CHASE BANCORP INC NEW         COM   35137T108         243      14,363  SH     DEFINED     01       1,112      13,251           0
FOX CHASE BANCORP INC NEW         COM   35137T108       2,142     126,844  SH     DEFINED  01,08       8,474     118,370           0
FOX CHASE BANCORP INC NEW         COM   35137T108         612      36,226  SH     DEFINED     09      36,226           0           0

FRANCE TELECOM                    COM   35177Q105       1,864     183,470  SH     DEFINED     01     166,200      17,270           0
FRANCE TELECOM                    COM   35177Q105         186      18,304  SH     OTHER       01      10,661       7,643           0
FRANCE TELECOM                    COM   35177Q105         916      90,119  SH     DEFINED  01,08           0      90,119           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    131
  ________

FRANCESCAS HLDGS CORP             COM   351793104         940      32,728  SH     DEFINED     01       2,901      29,827           0
FRANCESCAS HLDGS CORP             COM   351793104      10,976     382,157  SH     DEFINED  01,08      23,694     358,463           0
FRANCESCAS HLDGS CORP             COM   351793104       2,498      86,964  SH     DEFINED     09      86,964           0           0

FRANKLIN COVEY CO                 COM   353469109         356      24,493  SH     DEFINED     01       1,480      23,013           0
FRANKLIN COVEY CO                 COM   353469109       2,241     154,230  SH     DEFINED  01,08      15,828     138,402           0
FRANKLIN COVEY CO                 COM   353469109         569      39,181  SH     DEFINED     09      39,181           0           0

FRANKLIN ELEC INC                 COM   353514102       2,941      87,612  SH     DEFINED     01      25,706      61,906           0
FRANKLIN ELEC INC                 COM   353514102      17,319     515,901  SH     DEFINED  01,08      33,376     482,525           0
FRANKLIN ELEC INC                 COM   353514102       3,911     116,516  SH     DEFINED     09     116,516           0           0

FRANKLIN FINL CORP VA             COM   35353C102         170       9,328  SH     DEFINED     01       1,925       7,403           0
FRANKLIN FINL CORP VA             COM   35353C102       2,528     138,536  SH     DEFINED  01,08       1,865     136,671           0
FRANKLIN FINL CORP VA             COM   35353C102         632      34,653  SH     DEFINED     09      34,653           0           0

FRANKLIN RES INC                  COM   354613101     171,560   1,137,593  SH     DEFINED     01     975,303     123,246      39,044
FRANKLIN RES INC                  COM   354613101      28,138     186,577  SH     OTHER       01     147,165      27,790      11,622
FRANKLIN RES INC                  COM   354613101     188,298   1,248,579  SH     DEFINED  01,08     197,561   1,051,018           0
FRANKLIN RES INC                  COM   354613101      63,003     417,765  SH     DEFINED     09     417,765           0           0

FRANKLIN STREET PPTYS CORP        COM   35471R106       6,440     440,501  SH     DEFINED     01      44,169     396,332           0
FRANKLIN STREET PPTYS CORP        COM   35471R106      20,047   1,371,208  SH     DEFINED  01,08     536,891     834,317           0
FRANKLIN STREET PPTYS CORP        COM   35471R106       3,006     205,637  SH     DEFINED     09     205,637           0           0

FREDS INC                         COM   356108100       5,112     373,648  SH     DEFINED     01      14,612     359,036           0
FREDS INC                         COM   356108100      10,278     751,348  SH     DEFINED  01,08     374,143     377,205           0
FREDS INC                         COM   356108100       1,159      84,753  SH     DEFINED     09      84,753           0           0

FREEPORT-MCMORAN COPPER & GO      COM   35671D857      61,354   1,853,590  SH     DEFINED     01   1,096,143     734,870      22,577
FREEPORT-MCMORAN COPPER & GO      COM   35671D857       6,419     193,930  SH     OTHER       01      99,316      77,024      17,590
FREEPORT-MCMORAN COPPER & GO      COM   35671D857     327,080   9,881,575  SH     DEFINED  01,08   2,610,684   7,231,856      39,035
FREEPORT-MCMORAN COPPER & GO      COM   35671D857      94,551   2,856,532  SH     DEFINED     09   2,856,532           0           0

FREIGHTCAR AMER INC               COM   357023100         343      15,728  SH     DEFINED     01       1,841      13,887           0
FREIGHTCAR AMER INC               COM   357023100       2,765     126,697  SH     DEFINED  01,08       9,856     116,841           0
FREIGHTCAR AMER INC               COM   357023100         627      28,736  SH     DEFINED     09      28,736           0           0

FREQUENCY ELECTRS INC             COM   358010106          49       5,230  SH     DEFINED     01           0       5,230           0
FREQUENCY ELECTRS INC             COM   358010106         132      14,054  SH     DEFINED  01,08       3,828      10,226           0

FRESENIUS MED CARE AG&CO KGA      COM   358029106      23,649     698,444  SH     DEFINED     01     656,798      36,159       5,487
FRESENIUS MED CARE AG&CO KGA      COM   358029106       1,278      37,737  SH     OTHER       01      30,697       5,988       1,052
FRESENIUS MED CARE AG&CO KGA      COM   358029106         672      19,844  SH     DEFINED  01,08           0      19,844           0

FRESH MKT INC                     COM   35804H106       2,533      59,213  SH     DEFINED     01      42,346      15,772       1,095
FRESH MKT INC                     COM   35804H106         254       5,947  SH     OTHER       01       2,277       3,541         129
FRESH MKT INC                     COM   35804H106       5,927     138,567  SH     DEFINED  01,08       8,457     130,110           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    132
  ________

FRIEDMAN INDS INC                 COM   358435105          58       5,879  SH     DEFINED     01           0       5,879           0
FRIEDMAN INDS INC                 COM   358435105         185      18,567  SH     DEFINED  01,08       5,086      13,481           0

FRIENDFINDER NETWORKS INC         COM   358453306          14      25,428  SH     DEFINED  01,08           0      25,428           0

FRISCHS RESTAURANTS INC           COM   358748101         224      12,512  SH     DEFINED     01          55      12,457           0
FRISCHS RESTAURANTS INC           COM   358748101         738      41,136  SH     DEFINED  01,08      11,133      30,003           0
FRISCHS RESTAURANTS INC           COM   358748101         157       8,741  SH     DEFINED     09       8,741           0           0

FRONTIER COMMUNICATIONS CORP      COM   35906A108       4,759   1,192,620  SH     DEFINED     01     516,357     674,232       2,031
FRONTIER COMMUNICATIONS CORP      COM   35906A108         104      25,990  SH     OTHER       01      20,034       5,828         128
FRONTIER COMMUNICATIONS CORP      COM   35906A108      35,236   8,831,057  SH     DEFINED  01,08   1,300,821   7,530,236           0
FRONTIER COMMUNICATIONS CORP      COM   35906A108      11,389   2,854,381  SH     DEFINED     09   2,854,381           0           0

FROZEN FOOD EXPRESS INDS INC      COM   359360104          28      19,942  SH     DEFINED     01           0      19,942           0
FROZEN FOOD EXPRESS INDS INC      COM   359360104          51      36,823  SH     DEFINED  01,08      19,513      17,310           0

FUELCELL ENERGY INC               COM   35952H106         118     124,740  SH     DEFINED     01      17,810     106,930           0
FUELCELL ENERGY INC               COM   35952H106       1,450   1,535,956  SH     DEFINED  01,08      49,694   1,486,262           0
FUELCELL ENERGY INC               COM   35952H106         344     364,527  SH     DEFINED     09     364,527           0           0

FUEL SYS SOLUTIONS INC            COM   35952W103         417      25,317  SH     DEFINED     01       2,960      22,357           0
FUEL SYS SOLUTIONS INC            COM   35952W103       3,070     186,429  SH     DEFINED  01,08      37,959     148,470           0
FUEL SYS SOLUTIONS INC            COM   35952W103         519      31,485  SH     DEFINED     09      31,485           0           0

FUEL TECH INC                     COM   359523107          25       5,813  SH     DEFINED     01         350       5,463           0
FUEL TECH INC                     COM   359523107         161      37,325  SH     DEFINED  01,08       7,172      30,153           0
FUEL TECH INC                     COM   359523107           0           1  SH     DEFINED     09           1           0           0

FULL HOUSE RESORTS INC            COM   359678109           6       2,276  SH     DEFINED     01          75       2,201           0
FULL HOUSE RESORTS INC            COM   359678109          42      14,832  SH     DEFINED  01,08       1,912      12,920           0

FULLER H B CO                     COM   359694106       9,513     243,424  SH     DEFINED     01      25,911     217,513           0
FULLER H B CO                     COM   359694106      28,305     724,296  SH     DEFINED  01,08     207,972     516,324           0
FULLER H B CO                     COM   359694106       4,871     124,637  SH     DEFINED     09     124,637           0           0

FULTON FINL CORP PA               COM   360271100       4,474     382,399  SH     DEFINED     01     103,834     275,557       3,008
FULTON FINL CORP PA               COM   360271100          19       1,606  SH     OTHER       01       1,471           0         135
FULTON FINL CORP PA               COM   360271100      20,619   1,762,337  SH     DEFINED  01,08     269,848   1,492,489           0
FULTON FINL CORP PA               COM   360271100           0           1  SH     DEFINED     09           1           0           0

FURNITURE BRANDS INTL INC         COM   360921100          12      11,632  SH     DEFINED     01         440      11,192           0
FURNITURE BRANDS INTL INC         COM   360921100          95      95,022  SH     DEFINED  01,08      10,579      84,443           0
FURNITURE BRANDS INTL INC         COM   360921100           0           1  SH     DEFINED     09           1           0           0

FURIEX PHARMACEUTICALS INC        COM   36106P101         349       9,323  SH     DEFINED     01         878       8,445           0
FURIEX PHARMACEUTICALS INC        COM   36106P101       3,262      87,025  SH     DEFINED  01,08       8,189      78,836           0
FURIEX PHARMACEUTICALS INC        COM   36106P101         624      16,636  SH     DEFINED     09      16,636           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    133
  ________

FURMANITE CORPORATION             COM   361086101         432      64,535  SH     DEFINED     01       5,558      58,977           0
FURMANITE CORPORATION             COM   361086101       2,769     413,933  SH     DEFINED  01,08      43,852     370,081           0
FURMANITE CORPORATION             COM   361086101         657      98,259  SH     DEFINED     09      98,259           0           0

FUSION-IO INC                     COM   36112J107       6,640     405,626  SH     DEFINED     01     264,736     140,890           0
FUSION-IO INC                     COM   36112J107         130       7,940  SH     OTHER       01       1,078       6,862           0
FUSION-IO INC                     COM   36112J107       5,408     330,376  SH     DEFINED  01,08      56,815     273,561           0

FUTUREFUEL CORPORATION            COM   36116M106         389      31,977  SH     DEFINED     01      20,214      11,150         613
FUTUREFUEL CORPORATION            COM   36116M106          16       1,324  SH     OTHER       01       1,324           0           0
FUTUREFUEL CORPORATION            COM   36116M106       2,287     188,218  SH     DEFINED  01,08       5,422     182,796           0
FUTUREFUEL CORPORATION            COM   36116M106         576      47,430  SH     DEFINED     09      47,430           0           0

G & K SVCS INC                    COM   361268105       7,626     167,576  SH     DEFINED     01       7,674     159,902           0
G & K SVCS INC                    COM   361268105      16,276     357,627  SH     DEFINED  01,08     160,183     197,444           0
G & K SVCS INC                    COM   361268105       2,211      48,585  SH     DEFINED     09      48,585           0           0

GAMCO INVESTORS INC               COM   361438104         590      11,108  SH     DEFINED     01          20      11,088           0
GAMCO INVESTORS INC               COM   361438104       3,478      65,488  SH     DEFINED  01,08      11,272      54,216           0
GAMCO INVESTORS INC               COM   361438104         816      15,372  SH     DEFINED     09      15,372           0           0

GATX CORP                         COM   361448103       6,048     116,383  SH     DEFINED     01      85,008      28,997       2,378
GATX CORP                         COM   361448103         542      10,430  SH     OTHER       01       6,993       3,228         209
GATX CORP                         COM   361448103      19,171     368,884  SH     DEFINED  01,08      26,361     342,523           0
GATX CORP                         COM   361448103           0           1  SH     DEFINED     09           1           0           0

GEO GROUP INC                     COM   36159R103      14,300     380,115  SH     DEFINED     01      30,976     349,139           0
GEO GROUP INC                     COM   36159R103      40,044   1,064,446  SH     DEFINED  01,08     349,468     714,978           0
GEO GROUP INC                     COM   36159R103       6,736     179,042  SH     DEFINED     09     179,042           0           0

GFI GROUP INC                     COM   361652209         870     260,369  SH     DEFINED     01      12,148     248,221           0
GFI GROUP INC                     COM   361652209       3,077     921,216  SH     DEFINED  01,08     226,803     694,413           0
GFI GROUP INC                     COM   361652209         520     155,686  SH     DEFINED     09     155,686           0           0

GSI GROUP INC CDA NEW             COM   36191C205         171      20,022  SH     DEFINED     01       3,085      16,937           0
GSI GROUP INC CDA NEW             COM   36191C205       2,066     242,195  SH     DEFINED  01,08       6,594     235,601           0
GSI GROUP INC CDA NEW             COM   36191C205         622      72,900  SH     DEFINED     09      72,900           0           0

GNC HLDGS INC                     COM   36191G107       1,441      36,697  SH     DEFINED     01      25,641      11,056           0
GNC HLDGS INC                     COM   36191G107           5         130  SH     OTHER       01           0         130           0
GNC HLDGS INC                     COM   36191G107      11,236     286,043  SH     DEFINED  01,08       8,862     277,181           0

GSV CAP CORP                      COM   36191J101         107      13,009  SH     DEFINED     01       1,990      11,019           0
GSV CAP CORP                      COM   36191J101       1,340     162,187  SH     DEFINED  01,08       2,915     159,272           0
GSV CAP CORP                      COM   36191J101         379      45,856  SH     DEFINED     09      45,856           0           0

GT ADVANCED TECHNOLOGIES INC      COM   36191U106         398     120,677  SH     DEFINED     01      37,415      83,262           0
GT ADVANCED TECHNOLOGIES INC      COM   36191U106       4,237   1,284,007  SH     DEFINED  01,08      39,921   1,244,086           0
GT ADVANCED TECHNOLOGIES INC      COM   36191U106         931     282,213  SH     DEFINED     09     282,213           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    134
  ________

GSE HLDG INC                      COM   36191X100          41       4,905  SH     DEFINED     01       1,175       3,730           0
GSE HLDG INC                      COM   36191X100         654      79,198  SH     DEFINED  01,08       1,243      77,955           0
GSE HLDG INC                      COM   36191X100         180      21,768  SH     DEFINED     09      21,768           0           0

GP STRATEGIES CORP                COM   36225V104         353      14,792  SH     DEFINED     01       1,702      13,090           0
GP STRATEGIES CORP                COM   36225V104       4,020     168,462  SH     DEFINED  01,08       7,493     160,969           0
GP STRATEGIES CORP                COM   36225V104         912      38,213  SH     DEFINED     09      38,213           0           0

GSE SYS INC                       COM   36227K106          14       7,008  SH     DEFINED     01         170       6,838           0
GSE SYS INC                       COM   36227K106          61      30,505  SH     DEFINED  01,08       7,171      23,334           0

G-III APPAREL GROUP LTD           COM   36237H101         888      22,130  SH     DEFINED     01       1,944      20,186           0
G-III APPAREL GROUP LTD           COM   36237H101       7,435     185,366  SH     DEFINED  01,08      14,823     170,543           0
G-III APPAREL GROUP LTD           COM   36237H101       1,661      41,412  SH     DEFINED     09      41,412           0           0

GSI TECHNOLOGY                    COM   36241U106       1,030     156,364  SH     DEFINED     01       2,189     154,175           0
GSI TECHNOLOGY                    COM   36241U106       2,294     348,054  SH     DEFINED  01,08     154,333     193,721           0
GSI TECHNOLOGY                    COM   36241U106         275      41,778  SH     DEFINED     09      41,778           0           0

GAIAM INC                         COM   36268Q103          19       4,543  SH     DEFINED     01           0       4,543           0
GAIAM INC                         COM   36268Q103         152      36,105  SH     DEFINED  01,08       4,617      31,488           0
GAIAM INC                         COM   36268Q103           0           1  SH     DEFINED     09           1           0           0

GAIN CAP HLDGS INC                COM   36268W100          33       7,355  SH     DEFINED     01         135       7,220           0
GAIN CAP HLDGS INC                COM   36268W100         613     137,338  SH     DEFINED  01,08       2,538     134,800           0
GAIN CAP HLDGS INC                COM   36268W100         128      28,720  SH     DEFINED     09      28,720           0           0

GALENA BIOPHARMA INC              COM   363256108           3       1,337  SH     DEFINED     01         370         967           0
GALENA BIOPHARMA INC              COM   363256108         287     136,821  SH     DEFINED  01,08         967     135,854           0

GALLAGHER ARTHUR J & CO           COM   363576109      31,878     771,671  SH     DEFINED     01     722,718      37,708      11,245
GALLAGHER ARTHUR J & CO           COM   363576109       3,335      80,739  SH     OTHER       01      45,920       7,756      27,063
GALLAGHER ARTHUR J & CO           COM   363576109      38,744     937,879  SH     DEFINED  01,08      12,007     925,872           0
GALLAGHER ARTHUR J & CO           COM   363576109           0           1  SH     DEFINED     09           1           0           0

GAMESTOP CORP NEW                 COM   36467W109       6,591     235,656  SH     DEFINED     01     125,463     109,914         279
GAMESTOP CORP NEW                 COM   36467W109         480      17,176  SH     OTHER       01      16,817         319          40
GAMESTOP CORP NEW                 COM   36467W109      34,626   1,237,974  SH     DEFINED  01,08     206,350   1,031,624           0
GAMESTOP CORP NEW                 COM   36467W109      10,478     374,626  SH     DEFINED     09     374,626           0           0

GANNETT INC                       COM   364730101      12,152     555,638  SH     DEFINED     01     241,588     313,487         563
GANNETT INC                       COM   364730101         974      44,532  SH     OTHER       01      25,762      18,770           0
GANNETT INC                       COM   364730101      48,114   2,199,978  SH     DEFINED  01,08     244,596   1,955,382           0
GANNETT INC                       COM   364730101       7,152     327,022  SH     DEFINED     09     327,022           0           0

GAP INC DEL                       COM   364760108      15,445     436,306  SH     DEFINED     01     257,656     178,227         423
GAP INC DEL                       COM   364760108         247       6,972  SH     OTHER       01       6,066         831          75
GAP INC DEL                       COM   364760108      98,370   2,778,809  SH     DEFINED  01,08     448,614   2,330,195           0
GAP INC DEL                       COM   364760108      32,418     915,755  SH     DEFINED     09     915,755           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    135
  ________

GARDNER DENVER INC                COM   365558105       1,630      21,700  SH     DEFINED     01      15,729       5,753         218
GARDNER DENVER INC                COM   365558105         496       6,602  SH     OTHER       01       6,570          27           5
GARDNER DENVER INC                COM   365558105      27,703     368,827  SH     DEFINED  01,08       4,888     363,939           0
GARDNER DENVER INC                COM   365558105           0           1  SH     DEFINED     09           1           0           0

GARTNER INC                       COM   366651107       5,225      96,030  SH     DEFINED     01      85,167      10,250         613
GARTNER INC                       COM   366651107         472       8,681  SH     OTHER       01       6,458       2,223           0
GARTNER INC                       COM   366651107      37,851     695,660  SH     DEFINED  01,08       8,982     686,678           0
GARTNER INC                       COM   366651107           0           1  SH     DEFINED     09           1           0           0

GAS NAT INC                       COM   367204104          28       2,707  SH     DEFINED     01          95       2,612           0
GAS NAT INC                       COM   367204104         118      11,583  SH     DEFINED  01,08       2,773       8,810           0

GASCO ENERGY INC                  COM   367220100           2      58,142  SH     DEFINED     01         900      57,242           0
GASCO ENERGY INC                  COM   367220100           8     179,198  SH     DEFINED  01,08      28,089     151,109           0

GASTAR EXPL LTD                   COM   367299203          62      35,238  SH     DEFINED     01         360      34,878           0
GASTAR EXPL LTD                   COM   367299203         973     552,746  SH     DEFINED  01,08      16,259     536,487           0
GASTAR EXPL LTD                   COM   367299203         228     129,812  SH     DEFINED     09     129,812           0           0

GEEKNET INC                       COM   36846Q203         115       7,781  SH     DEFINED     01         500       7,281           0
GEEKNET INC                       COM   36846Q203         769      52,064  SH     DEFINED  01,08       5,220      46,844           0
GEEKNET INC                       COM   36846Q203         156      10,586  SH     DEFINED     09      10,586           0           0

GENCORP INC                       COM   368682100       1,181      88,796  SH     DEFINED     01      24,567      64,229           0
GENCORP INC                       COM   368682100       8,764     658,947  SH     DEFINED  01,08      41,017     617,930           0
GENCORP INC                       COM   368682100       1,922     144,535  SH     DEFINED     09     144,535           0           0

GENERAC HLDGS INC                 COM   368736104       1,484      41,999  SH     DEFINED     01      15,555      26,444           0
GENERAC HLDGS INC                 COM   368736104         375      10,613  SH     OTHER       01      10,113         500           0
GENERAC HLDGS INC                 COM   368736104      10,133     286,726  SH     DEFINED  01,08       9,648     277,078           0
GENERAC HLDGS INC                 COM   368736104       2,152      60,905  SH     DEFINED     09      60,905           0           0

GENERAL AMERN INVS INC            COM   368802104       2,378      76,142  SH     DEFINED     01      76,142           0           0
GENERAL AMERN INVS INC            COM   368802104         259       8,302  SH     OTHER       01       2,554           0       5,748

GENERAL CABLE CORP DEL NEW     CONV DEB 369300AL2       4,366   3,500,000  PRN    DEFINED     01     500,000   3,000,000           0
GENERAL CABLE CORP DEL NEW     CONV DEB 369300AL2       3,743   3,000,000  PRN    DEFINED  01,08   3,000,000           0           0

GENERAL CABLE CORP DEL NEW        COM   369300108       1,288      35,151  SH     DEFINED     01      12,499      22,552         100
GENERAL CABLE CORP DEL NEW        COM   369300108         440      12,000  SH     OTHER       01           0           0      12,000
GENERAL CABLE CORP DEL NEW        COM   369300108      14,451     394,513  SH     DEFINED  01,08      27,650     366,863           0
GENERAL CABLE CORP DEL NEW        COM   369300108           0           1  SH     DEFINED     09           1           0           0

GENERAL COMMUNICATION INC         COM   369385109       2,749     299,771  SH     DEFINED     01      13,744     285,927         100
GENERAL COMMUNICATION INC         COM   369385109       5,972     651,292  SH     DEFINED  01,08     277,039     374,253           0
GENERAL COMMUNICATION INC         COM   369385109         849      92,549  SH     DEFINED     09      92,549           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    136
  ________

GENERAL DYNAMICS CORP             COM   369550108      43,652     619,092  SH     DEFINED     01     367,738     238,414      12,940
GENERAL DYNAMICS CORP             COM   369550108       6,855      97,220  SH     OTHER       01      55,127      39,359       2,734
GENERAL DYNAMICS CORP             COM   369550108     203,503   2,886,158  SH     DEFINED  01,08     416,798   2,469,360           0
GENERAL DYNAMICS CORP             COM   369550108      61,000     865,125  SH     DEFINED     09     865,125           0           0

GENERAL ELECTRIC CO               COM   369604103     727,776  31,478,204  SH     DEFINED     01  20,780,397   9,854,339     843,468
GENERAL ELECTRIC CO               COM   369604103     162,566   7,031,405  SH     OTHER       01   4,298,977   2,027,439     704,989
GENERAL ELECTRIC CO               COM   369604103   2,186,073  94,553,329  SH     DEFINED  01,08  14,697,831  79,840,690      14,808
GENERAL ELECTRIC CO               COM   369604103     719,100  31,102,929  SH     DEFINED     09  31,102,929           0           0

GENERAL GROWTH PPTYS INC NEW      COM   370023103       2,631     132,340  SH     DEFINED     01      88,200      44,140           0
GENERAL GROWTH PPTYS INC NEW      COM   370023103      68,448   3,443,063  SH     DEFINED  01,08   1,482,580   1,960,483           0
GENERAL GROWTH PPTYS INC NEW      COM   370023103      16,139     811,814  SH     DEFINED     09     811,814           0           0

GENERAL MLS INC                   COM   370334104      68,590   1,390,998  SH     DEFINED     01     853,006     517,045      20,947
GENERAL MLS INC                   COM   370334104      16,657     337,801  SH     OTHER       01     215,283      70,105      52,413
GENERAL MLS INC                   COM   370334104     286,975   5,819,811  SH     DEFINED  01,08     854,428   4,965,383           0
GENERAL MLS INC                   COM   370334104      95,649   1,939,755  SH     DEFINED     09   1,939,755           0           0

GENERAL MOLY INC                  COM   370373102         149      67,520  SH     DEFINED     01      10,390      57,130           0
GENERAL MOLY INC                  COM   370373102       1,518     686,793  SH     DEFINED  01,08      28,925     657,868           0
GENERAL MOLY INC                  COM   370373102         349     157,901  SH     DEFINED     09     157,901           0           0

GENERAL MTRS CO                   COM   37045V100       5,878     211,293  SH     DEFINED     01     135,330      75,963           0
GENERAL MTRS CO                   COM   37045V100         251       9,011  SH     OTHER       01          80       8,900          31
GENERAL MTRS CO                   COM   37045V100     107,235   3,854,597  SH     DEFINED  01,08     864,187   2,990,410           0
GENERAL MTRS CO                   COM   37045V100      31,976   1,149,398  SH     DEFINED     09   1,149,398           0           0

GENERAL MTRS CO                CONV PFD 37045V209       3,515      81,850         DEFINED     01      11,850      70,000           0
GENERAL MTRS CO                CONV PFD 37045V209         816      19,000         OTHER       01      18,000       1,000           0
GENERAL MTRS CO                CONV PFD 37045V209       3,006      70,000         DEFINED  01,08      70,000           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
GENERAL STEEL HOLDINGS INC        COM   370853103           0           1  SH     DEFINED     09           1           0           0

GENESCO INC                       COM   371532102       2,131      35,467  SH     DEFINED     01       9,060      26,407           0
GENESCO INC                       COM   371532102      16,551     275,432  SH     DEFINED  01,08      17,943     257,489           0
GENESCO INC                       COM   371532102       3,614      60,138  SH     DEFINED     09      60,138           0           0

GENESEE & WYO INC                 COM   371559105       6,393      68,660  SH     DEFINED     01      21,379      47,181         100
GENESEE & WYO INC                 COM   371559105          79         849  SH     OTHER       01         549         300           0
GENESEE & WYO INC                 COM   371559105      60,930     654,382  SH     DEFINED  01,08      27,117     627,265           0
GENESEE & WYO INC                 COM   371559105      10,289     110,506  SH     DEFINED     09     110,506           0           0

GENTEX CORP                       COM   371901109       3,418     170,804  SH     DEFINED     01     129,344      39,032       2,428
GENTEX CORP                       COM   371901109         498      24,905  SH     OTHER       01      16,835       6,842       1,228
GENTEX CORP                       COM   371901109      21,704   1,084,682  SH     DEFINED  01,08      18,208   1,066,474           0
GENTEX CORP                       COM   371901109           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    137
  ________

GENESIS ENERGY L P                COM   371927104       1,651      34,249  SH     DEFINED     01      32,549           0       1,700
GENESIS ENERGY L P                COM   371927104          96       2,000  SH     OTHER       01           0       2,000           0

GENIE ENERGY LTD                  COM   372284208          92       9,979  SH     DEFINED     01       1,620       8,359           0
GENIE ENERGY LTD                  COM   372284208       1,409     152,107  SH     DEFINED  01,08       2,991     149,116           0
GENIE ENERGY LTD                  COM   372284208         478      51,624  SH     DEFINED     09      51,624           0           0

GENMARK DIAGNOSTICS INC           COM   372309104         579      44,832  SH     DEFINED  01,08           0      44,832           0

GENOMIC HEALTH INC                COM   37244C101         511      18,054  SH     DEFINED     01       1,843      16,211           0
GENOMIC HEALTH INC                COM   37244C101          25         889  SH     OTHER       01         298         591           0
GENOMIC HEALTH INC                COM   37244C101       5,475     193,583  SH     DEFINED  01,08      16,960     176,623           0
GENOMIC HEALTH INC                COM   37244C101       1,124      39,754  SH     DEFINED     09      39,754           0           0

GENVEC INC                        COM   37246C307           3       1,678  SH     DEFINED     01           0       1,678           0
GENVEC INC                        COM   37246C307          37      24,319  SH     DEFINED  01,08       1,128      23,191           0

GENUINE PARTS CO                  COM   372460105      52,816     677,129  SH     DEFINED     01     545,837     119,623      11,669
GENUINE PARTS CO                  COM   372460105       5,175      66,342  SH     OTHER       01      59,462       6,810          70
GENUINE PARTS CO                  COM   372460105     109,103   1,398,751  SH     DEFINED  01,08     192,373   1,206,378           0
GENUINE PARTS CO                  COM   372460105      34,390     440,899  SH     DEFINED     09     440,899           0           0

GENTIVA HEALTH SERVICES INC       COM   37247A102         428      39,575  SH     DEFINED     01      11,276      28,299           0
GENTIVA HEALTH SERVICES INC       COM   37247A102       3,603     332,969  SH     DEFINED  01,08      22,616     310,353           0
GENTIVA HEALTH SERVICES INC       COM   37247A102         799      73,817  SH     DEFINED     09      73,817           0           0

GENWORTH FINL INC                 COM   37247D106       6,320     632,041  SH     DEFINED     01     286,490     344,712         839
GENWORTH FINL INC                 COM   37247D106          99       9,895  SH     OTHER       01       8,712         918         265
GENWORTH FINL INC                 COM   37247D106      39,451   3,945,105  SH     DEFINED  01,08     229,474   3,715,631           0
GENWORTH FINL INC                 COM   37247D106       6,935     693,541  SH     DEFINED     09     693,541           0           0

GENTHERM INC                      COM   37253A103       1,497      91,412  SH     DEFINED     01      70,349      21,063           0
GENTHERM INC                      COM   37253A103          53       3,261  SH     OTHER       01       3,261           0           0
GENTHERM INC                      COM   37253A103       5,261     321,182  SH     DEFINED  01,08      11,329     309,853           0
GENTHERM INC                      COM   37253A103       1,286      78,500  SH     DEFINED     09      78,500           0           0

GEOSPACE TECHNOLOGIES CORP        COM   37364X109       2,967      27,494  SH     DEFINED     01      10,802      16,482         210
GEOSPACE TECHNOLOGIES CORP        COM   37364X109          49         457  SH     OTHER       01         451           6           0
GEOSPACE TECHNOLOGIES CORP        COM   37364X109      15,757     146,009  SH     DEFINED  01,08      13,011     132,998           0
GEOSPACE TECHNOLOGIES CORP        COM   37364X109       3,445      31,925  SH     DEFINED     09      31,925           0           0

GERDAU S A                        COM   373737105         604      78,365  SH     DEFINED     01      73,656       4,650          59
GERDAU S A                        COM   373737105          53       6,886  SH     OTHER       01       6,329         557           0
GERDAU S A                        COM   373737105         552      71,654  SH     DEFINED  01,08      26,388      45,266           0
GERDAU S A                        COM   373737105         422      54,685  SH     DEFINED     09      54,685           0           0

GERMAN AMERN BANCORP INC          COM   373865104         261      11,343  SH     DEFINED     01       1,502       9,841           0
GERMAN AMERN BANCORP INC          COM   373865104       2,806     121,960  SH     DEFINED  01,08       5,070     116,890           0
GERMAN AMERN BANCORP INC          COM   373865104         789      34,309  SH     DEFINED     09      34,309           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    138
  ________

GERON CORP                        COM   374163103         130     121,410  SH     DEFINED     01      17,480     103,930           0
GERON CORP                        COM   374163103       1,436   1,341,861  SH     DEFINED  01,08      49,131   1,292,730           0
GERON CORP                        COM   374163103         332     310,191  SH     DEFINED     09     310,191           0           0

GETTY RLTY CORP NEW               COM   374297109         850      42,065  SH     DEFINED     01      10,464      31,601           0
GETTY RLTY CORP NEW               COM   374297109          44       2,200  SH     OTHER       01       2,200           0           0
GETTY RLTY CORP NEW               COM   374297109       6,856     339,252  SH     DEFINED  01,08      70,709     268,543           0
GETTY RLTY CORP NEW               COM   374297109       1,488      73,618  SH     DEFINED     09      73,618           0           0

GEVO INC                          COM   374396109          36      16,205  SH     DEFINED     01       1,518      14,687           0
GEVO INC                          COM   374396109         647     288,653  SH     DEFINED  01,08       4,384     284,269           0
GEVO INC                          COM   374396109         115      51,510  SH     DEFINED     09      51,510           0           0

GIBRALTAR INDS INC                COM   374689107       5,925     324,678  SH     DEFINED     01      11,450     313,228           0
GIBRALTAR INDS INC                COM   374689107      11,506     630,443  SH     DEFINED  01,08     312,115     318,328           0
GIBRALTAR INDS INC                COM   374689107       1,419      77,777  SH     DEFINED     09      77,777           0           0

GIGOPTIX INC                      COM   37517Y103         104      98,908  SH     DEFINED     01      97,244       1,664           0
GIGOPTIX INC                      COM   37517Y103           2       2,094  SH     DEFINED  01,08       1,879         215           0

GIGA TRONICS INC                  COM   375175106           7       4,193  SH     DEFINED     01           0       4,193           0
GIGA TRONICS INC                  COM   375175106          17      10,265  SH     DEFINED  01,08       4,379       5,886           0

GILEAD SCIENCES INC               COM   375558103     143,805   2,938,386  SH     DEFINED     01   1,753,587   1,150,285      34,514
GILEAD SCIENCES INC               COM   375558103      12,177     248,815  SH     OTHER       01     154,922      75,440      18,453
GILEAD SCIENCES INC               COM   375558103     671,230  13,715,358  SH     DEFINED  01,08   2,050,066  11,665,292           0
GILEAD SCIENCES INC               COM   375558103     221,211   4,520,046  SH     DEFINED     09   4,520,046           0           0

GILDAN ACTIVEWEAR INC             COM   375916103         420      10,519  SH     DEFINED     01      10,009         480          30
GILDAN ACTIVEWEAR INC             COM   375916103          46       1,164  SH     OTHER       01         655         509           0
GILDAN ACTIVEWEAR INC             COM   375916103         228       5,725  SH     DEFINED  01,08           0       5,725           0

GLACIER BANCORP INC NEW           COM   37637Q105       3,644     191,993  SH     DEFINED     01      30,112     161,881           0
GLACIER BANCORP INC NEW           COM   37637Q105      16,806     885,460  SH     DEFINED  01,08     144,144     741,316           0
GLACIER BANCORP INC NEW           COM   37637Q105       3,480     183,369  SH     DEFINED     09     183,369           0           0

GLADSTONE CAPITAL CORP            COM   376535100         588      63,881  SH     DEFINED     01       3,575      60,306           0
GLADSTONE CAPITAL CORP            COM   376535100       2,080     226,069  SH     DEFINED  01,08      55,089     170,980           0
GLADSTONE CAPITAL CORP            COM   376535100         491      53,328  SH     DEFINED     09      53,328           0           0

GLADSTONE COML CORP               COM   376536108       1,637      84,087  SH     DEFINED     01       1,214      82,873           0
GLADSTONE COML CORP               COM   376536108       3,356     172,355  SH     DEFINED  01,08      57,391     114,964           0
GLADSTONE COML CORP               COM   376536108         581      29,829  SH     DEFINED     09      29,829           0           0

GLADSTONE INVT CORP               COM   376546107         141      19,306  SH     DEFINED     01       2,758      16,548           0
GLADSTONE INVT CORP               COM   376546107       1,500     205,222  SH     DEFINED  01,08       5,886     199,336           0
GLADSTONE INVT CORP               COM   376546107         470      64,322  SH     DEFINED     09      64,322           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    139
  ________

GLATFELTER                        COM   377316104      10,297     440,427  SH     DEFINED     01      18,217     422,110         100
GLATFELTER                        COM   377316104         389      16,626  SH     OTHER       01      12,916       3,710           0
GLATFELTER                        COM   377316104      20,799     889,623  SH     DEFINED  01,08     431,511     458,112           0
GLATFELTER                        COM   377316104       2,517     107,646  SH     DEFINED     09     107,646           0           0

GLAXOSMITHKLINE PLC               COM   37733W105      60,881   1,297,822  SH     DEFINED     01   1,086,602     179,410      31,810
GLAXOSMITHKLINE PLC               COM   37733W105      12,923     275,483  SH     OTHER       01     207,612      45,231      22,640
GLAXOSMITHKLINE PLC               COM   37733W105      12,413     264,617  SH     DEFINED  01,08     132,159     132,458           0

GLEACHER & CO INC                 COM   377341102          12      20,298  SH     DEFINED     01           0      20,298           0
GLEACHER & CO INC                 COM   377341102          91     151,705  SH     DEFINED  01,08      21,885     129,820           0
GLEACHER & CO INC                 COM   377341102           0           1  SH     DEFINED     09           1           0           0

GLOBAL CASH ACCESS HLDGS INC      COM   378967103         648      91,923  SH     DEFINED     01      23,589      68,334           0
GLOBAL CASH ACCESS HLDGS INC      COM   378967103       5,226     741,328  SH     DEFINED  01,08      49,860     691,468           0
GLOBAL CASH ACCESS HLDGS INC      COM   378967103       1,181     167,470  SH     DEFINED     09     167,470           0           0

GLIMCHER RLTY TR                  COM   379302102       1,698     146,361  SH     DEFINED     01       9,242     137,119           0
GLIMCHER RLTY TR                  COM   379302102      20,895   1,801,276  SH     DEFINED  01,08     365,821   1,435,455           0
GLIMCHER RLTY TR                  COM   379302102       4,585     395,222  SH     DEFINED     09     395,222           0           0

GLOBAL HIGH INCOME FUND INC    UNDEFIND 37933G108           2      13,000         DEFINED     01      13,000           0           0

GLOBAL PMTS INC                   COM   37940X102       5,571     112,182  SH     DEFINED     01      89,901      20,122       2,159
GLOBAL PMTS INC                   COM   37940X102         269       5,408  SH     OTHER       01       3,311       1,937         160
GLOBAL PMTS INC                   COM   37940X102      28,745     578,830  SH     DEFINED  01,08       7,680     571,150           0
GLOBAL PMTS INC                   COM   37940X102           0           1  SH     DEFINED     09           1           0           0

GLOBAL POWER EQUIPMENT GRP I      COM   37941P306         274      15,543  SH     DEFINED     01       1,899      13,644           0
GLOBAL POWER EQUIPMENT GRP I      COM   37941P306       3,129     177,565  SH     DEFINED  01,08       6,532     171,033           0
GLOBAL POWER EQUIPMENT GRP I      COM   37941P306         725      41,136  SH     DEFINED     09      41,136           0           0

GLOBAL GEOPHYSICAL SVCS INC       COM   37946S107          46      18,808  SH     DEFINED     01       2,004      16,804           0
GLOBAL GEOPHYSICAL SVCS INC       COM   37946S107         474     193,420  SH     DEFINED  01,08       4,811     188,609           0
GLOBAL GEOPHYSICAL SVCS INC       COM   37946S107         154      63,009  SH     DEFINED     09      63,009           0           0

GLOBAL X FDS                      COM   37950E754         129      20,000  SH     DEFINED     01      20,000           0           0

GLOBE SPECIALTY METALS INC        COM   37954N206       1,280      91,916  SH     DEFINED     01      24,808      67,108           0
GLOBE SPECIALTY METALS INC        COM   37954N206       9,217     662,090  SH     DEFINED  01,08      46,208     615,882           0
GLOBE SPECIALTY METALS INC        COM   37954N206       2,197     157,817  SH     DEFINED     09     157,817           0           0

GLOBECOMM SYSTEMS INC             COM   37956X103         313      26,039  SH     DEFINED     01       2,282      23,757           0
GLOBECOMM SYSTEMS INC             COM   37956X103       3,073     255,887  SH     DEFINED  01,08      15,895     239,992           0
GLOBECOMM SYSTEMS INC             COM   37956X103         666      55,486  SH     DEFINED     09      55,486           0           0

GLOBUS MED INC                    COM   379577208          80       5,421  SH     DEFINED     01           0       5,421           0
GLOBUS MED INC                    COM   379577208       1,432      97,537  SH     DEFINED  01,08       1,513      96,024           0
GLOBUS MED INC                    COM   379577208         337      22,940  SH     DEFINED     09      22,940           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    140
  ________

GLU MOBILE INC                    COM   379890106         128      42,518  SH     DEFINED     01       5,595      36,923           0
GLU MOBILE INC                    COM   379890106       1,666     555,221  SH     DEFINED  01,08      12,514     542,707           0
GLU MOBILE INC                    COM   379890106         365     121,637  SH     DEFINED     09     121,637           0           0

GMX RES INC                       COM   38011M603           2         983  SH     DEFINED     01          69         914           0
GMX RES INC                       COM   38011M603          30      13,794  SH     DEFINED  01,08       1,070      12,724           0

GOLD FIELDS LTD NEW               COM   38059T106          12       1,531  SH     DEFINED     01       1,495          36           0
GOLD FIELDS LTD NEW               COM   38059T106          26       3,350  SH     DEFINED  01,08           0       3,350           0
GOLD FIELDS LTD NEW               COM   38059T106         329      42,512  SH     DEFINED     09      42,512           0           0

GOLD RESOURCE CORP                COM   38068T105         301      23,127  SH     DEFINED     01       1,255      21,872           0
GOLD RESOURCE CORP                COM   38068T105       3,548     272,297  SH     DEFINED  01,08      12,064     260,233           0
GOLD RESOURCE CORP                COM   38068T105         912      69,990  SH     DEFINED     09      69,990           0           0

GOLDCORP INC NEW                  COM   380956409       2,898      86,187  SH     DEFINED     01      78,917       7,270           0
GOLDCORP INC NEW                  COM   380956409       1,175      34,943  SH     OTHER       01      18,218      15,392       1,333
GOLDCORP INC NEW                  COM   380956409       1,332      39,622  SH     DEFINED  01,08           0      39,622           0

GOLDEN ENTERPRISES INC            COM   381010107          49      14,491  SH     DEFINED     01           0      14,491           0
GOLDEN ENTERPRISES INC            COM   381010107          69      20,423  SH     DEFINED  01,08      15,673       4,750           0

GOLDEN MINERALS CO                COM   381119106          43      18,269  SH     DEFINED     01       1,385      16,884           0
GOLDEN MINERALS CO                COM   381119106         836     351,092  SH     DEFINED  01,08       6,253     344,839           0
GOLDEN MINERALS CO                COM   381119106         209      87,693  SH     DEFINED     09      87,693           0           0

GOLDEN STAR RES LTD CDA           COM   38119T104         291     182,126  SH     DEFINED     01      34,621     147,505           0
GOLDEN STAR RES LTD CDA           COM   38119T104       3,455   2,159,434  SH     DEFINED  01,08      40,874   2,118,560           0
GOLDEN STAR RES LTD CDA           COM   38119T104       1,010     631,052  SH     DEFINED     09     631,052           0           0

GOLDFIELD CORP                    COM   381370105          45      12,250  SH     DEFINED     01         475      11,775           0
GOLDFIELD CORP                    COM   381370105         239      64,791  SH     DEFINED  01,08      17,831      46,960           0

GOLDMAN SACHS GROUP INC           COM   38141G104     121,814     827,825  SH     DEFINED     01     477,005     339,086      11,734
GOLDMAN SACHS GROUP INC           COM   38141G104      12,956      88,045  SH     OTHER       01      42,163      41,923       3,959
GOLDMAN SACHS GROUP INC           COM   38141G104     607,089   4,125,645  SH     DEFINED  01,08     671,432   3,449,560       4,653
GOLDMAN SACHS GROUP INC           COM   38141G104     189,404   1,287,150  SH     DEFINED     09   1,287,150           0           0

GOLUB CAP BDC INC                 COM   38173M102         216      13,077  SH     DEFINED     01       3,044      10,033           0
GOLUB CAP BDC INC                 COM   38173M102       2,517     152,472  SH     DEFINED  01,08       3,512     148,960           0
GOLUB CAP BDC INC                 COM   38173M102         836      50,646  SH     DEFINED     09      50,646           0           0

GOODRICH PETE CORP                COM   382410405         405      25,884  SH     DEFINED     01       3,505      22,379           0
GOODRICH PETE CORP                COM   382410405       4,439     283,656  SH     DEFINED  01,08      13,184     270,472           0
GOODRICH PETE CORP                COM   382410405       1,002      64,056  SH     DEFINED     09      64,056           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    141
  ________

GOODYEAR TIRE & RUBR CO           COM   382550101       3,725     295,480  SH     DEFINED     01     124,447     170,694         339
GOODYEAR TIRE & RUBR CO           COM   382550101          58       4,628  SH     OTHER       01       4,141         352         135
GOODYEAR TIRE & RUBR CO           COM   382550101      27,353   2,170,026  SH     DEFINED  01,08     305,065   1,864,961           0
GOODYEAR TIRE & RUBR CO           COM   382550101       8,903     706,272  SH     DEFINED     09     706,272           0           0

GOOGLE INC                        COM   38259P508     518,252     652,556  SH     DEFINED     01     431,184     209,187      12,185
GOOGLE INC                        COM   38259P508      54,941      69,179  SH     OTHER       01      51,919       9,148       8,112
GOOGLE INC                        COM   38259P508   1,907,076   2,401,291  SH     DEFINED  01,08     362,396   2,038,895           0
GOOGLE INC                        COM   38259P508     629,031     792,043  SH     DEFINED     09     792,043           0           0

GORDMANS STORES INC               COM   38269P100          57       4,901  SH     DEFINED     01           0       4,901           0
GORDMANS STORES INC               COM   38269P100         992      84,682  SH     DEFINED  01,08       1,686      82,996           0
GORDMANS STORES INC               COM   38269P100         249      21,242  SH     DEFINED     09      21,242           0           0

GORMAN RUPP CO                    COM   383082104         949      31,570  SH     DEFINED     01       4,412      27,158           0
GORMAN RUPP CO                    COM   383082104           9         300  SH     OTHER       01         300           0           0
GORMAN RUPP CO                    COM   383082104       5,155     171,533  SH     DEFINED  01,08      19,026     152,507           0
GORMAN RUPP CO                    COM   383082104       1,124      37,397  SH     DEFINED     09      37,397           0           0

GOVERNMENT PPTYS INCOME TR        COM   38376A103       5,519     214,484  SH     DEFINED     01      42,322     171,222         940
GOVERNMENT PPTYS INCOME TR        COM   38376A103          12         453  SH     OTHER       01         453           0           0
GOVERNMENT PPTYS INCOME TR        COM   38376A103      18,742     728,400  SH     DEFINED  01,08     239,090     489,310           0
GOVERNMENT PPTYS INCOME TR        COM   38376A103       3,306     128,473  SH     DEFINED     09     128,473           0           0

GRACE W R & CO DEL NEW            COM   38388F108       1,678      21,653  SH     DEFINED     01      13,526       7,967         160
GRACE W R & CO DEL NEW            COM   38388F108      23,435     302,352  SH     DEFINED  01,08       7,480     294,872           0
GRACE W R & CO DEL NEW            COM   38388F108           0           1  SH     DEFINED     09           1           0           0

GRACO INC                         COM   384109104       4,821      83,070  SH     DEFINED     01      71,167      11,401         502
GRACO INC                         COM   384109104         299       5,157  SH     OTHER       01       2,390       2,767           0
GRACO INC                         COM   384109104      26,615     458,646  SH     DEFINED  01,08       6,963     451,683           0
GRACO INC                         COM   384109104           0           1  SH     DEFINED     09           1           0           0

GRAFTECH INTL LTD                 COM   384313102       1,647     214,512  SH     DEFINED     01     177,841      36,671           0
GRAFTECH INTL LTD                 COM   384313102       3,954     514,877  SH     DEFINED  01,08      35,748     479,129           0
GRAFTECH INTL LTD                 COM   384313102           0           1  SH     DEFINED     09           1           0           0

GRAHAM CORP                       COM   384556106         427      17,265  SH     DEFINED     01         995      16,270           0
GRAHAM CORP                       COM   384556106       2,825     114,195  SH     DEFINED  01,08      13,495     100,700           0
GRAHAM CORP                       COM   384556106         525      21,224  SH     DEFINED     09      21,224           0           0

GRAINGER W W INC                  COM   384802104      73,730     327,716  SH     DEFINED     01     240,911      79,319       7,486
GRAINGER W W INC                  COM   384802104      25,989     115,515  SH     OTHER       01      65,775      26,355      23,385
GRAINGER W W INC                  COM   384802104     119,542     531,344  SH     DEFINED  01,08      79,848     451,496           0
GRAINGER W W INC                  COM   384802104      39,724     176,567  SH     DEFINED     09     176,567           0           0

GRAMERCY CAP CORP                 COM   384871109         366      70,334  SH     DEFINED     01       7,640      62,694           0
GRAMERCY CAP CORP                 COM   384871109       2,086     400,413  SH     DEFINED  01,08           0     400,413           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    142
  ________

GRAN TIERRA ENERGY INC            COM   38500T101       2,757     468,801  SH     DEFINED     01       5,570     463,231           0
GRAN TIERRA ENERGY INC            COM   38500T101          53       9,000  SH     OTHER       01           0       9,000           0
GRAN TIERRA ENERGY INC            COM   38500T101       3,139     533,829  SH     DEFINED  01,08     506,973      26,856           0

GRAND CANYON ED INC               COM   38526M106       4,949     194,902  SH     DEFINED     01     131,787      58,667       4,448
GRAND CANYON ED INC               COM   38526M106         653      25,730  SH     OTHER       01       9,295      16,023         412
GRAND CANYON ED INC               COM   38526M106      11,007     433,511  SH     DEFINED  01,08      23,077     410,434           0
GRAND CANYON ED INC               COM   38526M106       2,487      97,937  SH     DEFINED     09      97,937           0           0

GRANITE CONSTR INC                COM   387328107       6,914     217,157  SH     DEFINED     01       6,315     210,842           0
GRANITE CONSTR INC                COM   387328107           1          19  SH     OTHER       01           0          19           0
GRANITE CONSTR INC                COM   387328107      22,732     713,932  SH     DEFINED  01,08     209,437     504,495           0
GRANITE CONSTR INC                COM   387328107       3,097      97,264  SH     DEFINED     09      97,264           0           0

GRANITE REAL ESTATE INVT TR       COM   387437114       1,486      38,911  SH     DEFINED     01      38,911           0           0
GRANITE REAL ESTATE INVT TR       COM   387437114         460      12,033  SH     OTHER       01       3,033       9,000           0
GRANITE REAL ESTATE INVT TR       COM   387437114           8         200  SH     DEFINED  01,08         200           0           0

GRAPHIC PACKAGING HLDG CO         COM   388689101       7,190     959,996  SH     DEFINED     01      13,888     946,108           0
GRAPHIC PACKAGING HLDG CO         COM   388689101      17,592   2,348,732  SH     DEFINED  01,08     931,063   1,417,669           0
GRAPHIC PACKAGING HLDG CO         COM   388689101       2,574     343,614  SH     DEFINED     09     343,614           0           0

GRAY TELEVISION INC               COM   389375106          94      20,010  SH     DEFINED     01       1,285      18,725           0
GRAY TELEVISION INC               COM   389375106         445      94,914  SH     DEFINED  01,08      10,876      84,038           0

GREAT LAKES DREDGE & DOCK CO      COM   390607109       1,779     264,386  SH     DEFINED     01       8,571     255,815           0
GREAT LAKES DREDGE & DOCK CO      COM   390607109       5,662     841,265  SH     DEFINED  01,08     234,449     606,816           0
GREAT LAKES DREDGE & DOCK CO      COM   390607109         959     142,443  SH     DEFINED     09     142,443           0           0

GREAT SOUTHN BANCORP INC          COM   390905107         489      20,029  SH     DEFINED     01       1,728      18,301           0
GREAT SOUTHN BANCORP INC          COM   390905107       2,806     115,051  SH     DEFINED  01,08      14,909     100,142           0
GREAT SOUTHN BANCORP INC          COM   390905107         612      25,112  SH     DEFINED     09      25,112           0           0

GREAT PLAINS ENERGY INC           COM   391164100       7,080     305,286  SH     DEFINED     01      54,858     250,428           0
GREAT PLAINS ENERGY INC           COM   391164100      31,101   1,341,159  SH     DEFINED  01,08     252,792   1,088,367           0
GREAT PLAINS ENERGY INC           COM   391164100           0           1  SH     DEFINED     09           1           0           0

GREATBATCH INC                    COM   39153L106       6,287     210,476  SH     DEFINED     01      10,442     200,034           0
GREATBATCH INC                    COM   39153L106      13,223     442,680  SH     DEFINED  01,08     202,649     240,031           0
GREATBATCH INC                    COM   39153L106       1,545      51,729  SH     DEFINED     09      51,729           0           0

GREEN DOT CORP                    COM   39304D102         434      25,992  SH     DEFINED     01      11,392      14,600           0
GREEN DOT CORP                    COM   39304D102       4,152     248,479  SH     DEFINED  01,08       5,372     243,107           0
GREEN DOT CORP                    COM   39304D102         955      57,146  SH     DEFINED     09      57,146           0           0

GREEN MTN COFFEE ROASTERS IN      COM   393122106       2,634      46,404  SH     DEFINED     01      29,401      17,003           0
GREEN MTN COFFEE ROASTERS IN      COM   393122106         184       3,246  SH     OTHER       01       3,136          70          40
GREEN MTN COFFEE ROASTERS IN      COM   393122106      61,918   1,090,881  SH     DEFINED  01,08     143,198     947,683           0
GREEN MTN COFFEE ROASTERS IN      COM   393122106      10,553     185,918  SH     DEFINED     09     185,918           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    143
  ________

GREEN PLAINS RENEWABLE ENERG      COM   393222104         216      18,914  SH     DEFINED     01       3,864      15,050           0
GREEN PLAINS RENEWABLE ENERG      COM   393222104       2,858     249,856  SH     DEFINED  01,08       8,972     240,884           0
GREEN PLAINS RENEWABLE ENERG      COM   393222104         746      65,177  SH     DEFINED     09      65,177           0           0

GREENBRIER COS INC                COM   393657101       2,420     106,560  SH     DEFINED     01      27,802      77,948         810
GREENBRIER COS INC                COM   393657101          40       1,751  SH     OTHER       01       1,751           0           0
GREENBRIER COS INC                COM   393657101       7,648     336,766  SH     DEFINED  01,08     108,358     228,408           0
GREENBRIER COS INC                COM   393657101       1,291      56,846  SH     DEFINED     09      56,846           0           0

GREENHILL & CO INC                COM   395259104       2,448      45,867  SH     DEFINED     01      25,428      20,439           0
GREENHILL & CO INC                COM   395259104         180       3,376  SH     OTHER       01       3,376           0           0
GREENHILL & CO INC                COM   395259104      22,693     425,114  SH     DEFINED  01,08       8,340     416,774           0
GREENHILL & CO INC                COM   395259104       3,810      71,371  SH     DEFINED     09      71,371           0           0

GREENHUNTER ENERGY INC            COM   39530A104           2       1,614  SH     DEFINED     01         100       1,514           0
GREENHUNTER ENERGY INC            COM   39530A104          25      16,365  SH     DEFINED  01,08       1,759      14,606           0

GREENWAY MED TECHNOLOGIES IN      COM   39679B103       1,675     105,358  SH     DEFINED     01      86,394      16,948       2,016
GREENWAY MED TECHNOLOGIES IN      COM   39679B103         182      11,419  SH     OTHER       01       4,008       7,195         216
GREENWAY MED TECHNOLOGIES IN      COM   39679B103       1,608     101,148  SH     DEFINED  01,08       5,257      95,891           0
GREENWAY MED TECHNOLOGIES IN      COM   39679B103         301      18,935  SH     DEFINED     09      18,935           0           0

GREIF INC                         COM   397624107       1,127      21,009  SH     DEFINED     01      13,074       4,935       3,000
GREIF INC                         COM   397624107      13,352     249,006  SH     DEFINED  01,08       4,302     244,704           0
GREIF INC                         COM   397624107           0           1  SH     DEFINED     09           1           0           0

GRIFFIN LD & NURSERIES INC        COM   398231100         119       3,966  SH     DEFINED     01         323       3,643           0
GRIFFIN LD & NURSERIES INC        COM   398231100         797      26,514  SH     DEFINED  01,08       2,143      24,371           0
GRIFFIN LD & NURSERIES INC        COM   398231100         234       7,796  SH     DEFINED     09       7,796           0           0

GRIFFON CORP                      COM   398433102       4,009     336,285  SH     DEFINED     01      19,477     316,808           0
GRIFFON CORP                      COM   398433102       9,378     786,725  SH     DEFINED  01,08     315,150     471,575           0
GRIFFON CORP                      COM   398433102       1,349     113,145  SH     DEFINED     09     113,145           0           0

GRIFOLS S A                       COM   398438408          20         694  SH     DEFINED     01         169         525           0
GRIFOLS S A                       COM   398438408         458      15,782  SH     DEFINED  01,08      15,782           0           0

GROUP 1 AUTOMOTIVE INC            COM   398905109       7,683     127,904  SH     DEFINED     01       9,086     118,818           0
GROUP 1 AUTOMOTIVE INC            COM   398905109      20,629     343,422  SH     DEFINED  01,08     112,859     230,563           0
GROUP 1 AUTOMOTIVE INC            COM   398905109       3,370      56,103  SH     DEFINED     09      56,103           0           0

GROUPE CGI INC                    COM   39945C109         271       9,964  SH     DEFINED     01       9,964           0           0
GROUPE CGI INC                    COM   39945C109         203       7,465  SH     DEFINED  01,08       7,465           0           0

GROUPON INC                       COM   399473107         403      65,927  SH     DEFINED     01      31,169      34,758           0
GROUPON INC                       COM   399473107           0          15  SH     OTHER       01           0           0          15
GROUPON INC                       COM   399473107       3,682     601,567  SH     DEFINED  01,08      44,492     557,075           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    144
  ________

GRUPO FINANCIERO GALICIA S A      COM   399909100           0          90  SH     DEFINED     01          90           0           0
GRUPO FINANCIERO GALICIA S A      COM   399909100       1,521     276,583  SH     DEFINED  01,08     276,203         380           0

GRUPO TELEVISA SA                 COM   40049J206       1,073      40,332  SH     DEFINED     01      36,158       4,127          47
GRUPO TELEVISA SA                 COM   40049J206         224       8,421  SH     OTHER       01       3,084       5,337           0
GRUPO TELEVISA SA                 COM   40049J206       1,025      38,508  SH     DEFINED  01,08      16,810      21,698           0

GTX INC DEL                       COM   40052B108         155      37,282  SH     DEFINED     01       2,660      34,622           0
GTX INC DEL                       COM   40052B108       1,204     290,212  SH     DEFINED  01,08      28,570     261,642           0
GTX INC DEL                       COM   40052B108         200      48,165  SH     DEFINED     09      48,165           0           0

GUARANTY BANCORP DEL              COM   40075T102         122      58,185  SH     DEFINED     01       7,755      50,430           0
GUARANTY BANCORP DEL              COM   40075T102       1,490     709,561  SH     DEFINED  01,08      27,636     681,925           0
GUARANTY BANCORP DEL              COM   40075T102         499     237,523  SH     DEFINED     09     237,523           0           0

GUESS INC                         COM   401617105         719      28,958  SH     DEFINED     01      22,782       6,176           0
GUESS INC                         COM   401617105      12,713     512,021  SH     DEFINED  01,08       6,884     505,137           0
GUESS INC                         COM   401617105           0           1  SH     DEFINED     09           1           0           0

GUIDANCE SOFTWARE INC             COM   401692108         105       9,666  SH     DEFINED     01       1,400       8,266           0
GUIDANCE SOFTWARE INC             COM   401692108       1,536     141,524  SH     DEFINED  01,08       3,768     137,756           0
GUIDANCE SOFTWARE INC             COM   401692108         417      38,465  SH     DEFINED     09      38,465           0           0

GUIDEWIRE SOFTWARE INC            COM   40171V100         766      19,916  SH     DEFINED     01       3,343      16,573           0
GUIDEWIRE SOFTWARE INC            COM   40171V100         124       3,220  SH     OTHER       01       3,220           0           0
GUIDEWIRE SOFTWARE INC            COM   40171V100       8,849     230,204  SH     DEFINED  01,08       6,880     223,324           0
GUIDEWIRE SOFTWARE INC            COM   40171V100       2,048      53,284  SH     DEFINED     09      53,284           0           0

GULF ISLAND FABRICATION INC       COM   402307102         510      24,200  SH     DEFINED     01       5,504      18,696           0
GULF ISLAND FABRICATION INC       COM   402307102       3,365     159,765  SH     DEFINED  01,08      13,282     146,483           0
GULF ISLAND FABRICATION INC       COM   402307102         716      33,980  SH     DEFINED     09      33,980           0           0

GULFMARK OFFSHORE INC             COM   402629208       9,520     244,366  SH     DEFINED     01       9,749     234,332         285
GULFMARK OFFSHORE INC             COM   402629208           5         140  SH     OTHER       01          60          80           0
GULFMARK OFFSHORE INC             COM   402629208      19,303     495,467  SH     DEFINED  01,08     234,506     260,961           0
GULFMARK OFFSHORE INC             COM   402629208       2,606      66,879  SH     DEFINED     09      66,879           0           0

GULFPORT ENERGY CORP              COM   402635304      14,012     305,735  SH     DEFINED     01     100,939     203,340       1,456
GULFPORT ENERGY CORP              COM   402635304         596      12,997  SH     OTHER       01      10,026       2,810         161
GULFPORT ENERGY CORP              COM   402635304      41,954     915,425  SH     DEFINED  01,08     166,952     748,473           0
GULFPORT ENERGY CORP              COM   402635304       8,704     189,909  SH     DEFINED     09     189,909           0           0

GYRODYNE CO AMER INC              COM   403820103         268       3,642  SH     DEFINED     01           0       3,642           0
GYRODYNE CO AMER INC              COM   403820103       1,227      16,685  SH     DEFINED  01,08       3,493      13,192           0
GYRODYNE CO AMER INC              COM   403820103         205       2,786  SH     DEFINED     09       2,786           0           0

H & E EQUIPMENT SERVICES INC      COM   404030108         620      30,374  SH     DEFINED     01       4,214      26,160           0
H & E EQUIPMENT SERVICES INC      COM   404030108       6,341     310,845  SH     DEFINED  01,08      16,226     294,619           0
H & E EQUIPMENT SERVICES INC      COM   404030108       1,379      67,604  SH     DEFINED     09      67,604           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    145
  ________

HCA HOLDINGS INC                  COM   40412C101       2,288      56,316  SH     DEFINED     01      15,543      40,773           0
HCA HOLDINGS INC                  COM   40412C101      44,124   1,086,006  SH     DEFINED  01,08     310,104     775,902           0
HCA HOLDINGS INC                  COM   40412C101      16,255     400,071  SH     DEFINED     09     400,071           0           0

HCC INS HLDGS INC                 COM   404132102      14,902     354,553  SH     DEFINED     01     341,269      12,557         727
HCC INS HLDGS INC                 COM   404132102         281       6,674  SH     OTHER       01       1,040       5,362         272
HCC INS HLDGS INC                 COM   404132102      31,061     739,011  SH     DEFINED  01,08      10,867     728,144           0
HCC INS HLDGS INC                 COM   404132102           0           1  SH     DEFINED     09           1           0           0

HCP INC                           COM   40414L109      73,474   1,473,598  SH     DEFINED     01   1,132,729     314,681      26,188
HCP INC                           COM   40414L109       4,675      93,757  SH     OTHER       01      77,374      13,523       2,860
HCP INC                           COM   40414L109     246,555   4,944,943  SH     DEFINED  01,08   1,472,849   3,472,094           0
HCP INC                           COM   40414L109      74,490   1,493,988  SH     DEFINED     09   1,493,988           0           0

HDFC BANK LTD                     COM   40415F101          40       1,066  SH     DEFINED     01         355         711           0
HDFC BANK LTD                     COM   40415F101          26         691  SH     OTHER       01           0         691           0
HDFC BANK LTD                     COM   40415F101      13,833     369,670  SH     DEFINED  01,08     367,870       1,800           0
HDFC BANK LTD                     COM   40415F101       1,664      44,461  SH     DEFINED     09      44,461           0           0

HF FINL CORP                      COM   404172108          55       4,001  SH     DEFINED     01          40       3,961           0
HF FINL CORP                      COM   404172108         136       9,896  SH     DEFINED  01,08       3,582       6,314           0

HFF INC                           COM   40418F108         619      31,055  SH     DEFINED     01       8,291      22,764           0
HFF INC                           COM   40418F108       6,978     350,107  SH     DEFINED  01,08       6,794     343,313           0
HFF INC                           COM   40418F108       1,598      80,183  SH     DEFINED     09      80,183           0           0

HMN FINL INC                      COM   40424G108          18       3,123  SH     DEFINED     01           0       3,123           0
HMN FINL INC                      COM   40424G108          42       7,134  SH     DEFINED  01,08       2,467       4,667           0

HMS HLDGS CORP                    COM   40425J101       3,533     130,142  SH     DEFINED     01      39,920      90,222           0
HMS HLDGS CORP                    COM   40425J101         186       6,845  SH     OTHER       01       1,112       5,733           0
HMS HLDGS CORP                    COM   40425J101      33,966   1,251,048  SH     DEFINED  01,08      63,044   1,188,004           0
HMS HLDGS CORP                    COM   40425J101       5,860     215,852  SH     DEFINED     09     215,852           0           0

HNI CORP                          COM   404251100       2,084      58,718  SH     DEFINED     01      10,200      48,518           0
HNI CORP                          COM   404251100           1          30  SH     OTHER       01           0          30           0
HNI CORP                          COM   404251100      24,065     678,074  SH     DEFINED  01,08      34,852     643,222           0
HNI CORP                          COM   404251100       3,795     106,923  SH     DEFINED     09     106,923           0           0

HSBC HLDGS PLC                    COM   404280406      50,202     941,162  SH     DEFINED     01     861,874      68,825      10,463
HSBC HLDGS PLC                    COM   404280406       6,400     119,989  SH     OTHER       01      64,879      53,630       1,480
HSBC HLDGS PLC                    COM   404280406       9,492     177,952  SH     DEFINED  01,08           0     177,952           0

HSN INC                           COM   404303109       2,797      50,977  SH     DEFINED     01       5,602      45,375           0
HSN INC                           COM   404303109      28,660     522,422  SH     DEFINED  01,08      30,776     491,646           0
HSN INC                           COM   404303109       4,953      90,284  SH     DEFINED     09      90,284           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    146
  ________

HACKETT GROUP INC                 COM   404609109         153      33,442  SH     DEFINED     01       2,605      30,837           0
HACKETT GROUP INC                 COM   404609109       1,230     269,114  SH     DEFINED  01,08      24,111     245,003           0
HACKETT GROUP INC                 COM   404609109         230      50,379  SH     DEFINED     09      50,379           0           0

HAEMONETICS CORP                  COM   405024100       3,284      78,837  SH     DEFINED     01      22,954      55,883           0
HAEMONETICS CORP                  COM   405024100         125       3,000  SH     OTHER       01           0       3,000           0
HAEMONETICS CORP                  COM   405024100      23,434     562,516  SH     DEFINED  01,08      38,417     524,099           0
HAEMONETICS CORP                  COM   405024100       5,172     124,147  SH     DEFINED     09     124,147           0           0

HAIN CELESTIAL GROUP INC          COM   405217100       3,468      56,781  SH     DEFINED     01      17,866      38,915           0
HAIN CELESTIAL GROUP INC          COM   405217100           1          20  SH     OTHER       01           0          20           0
HAIN CELESTIAL GROUP INC          COM   405217100      25,794     422,296  SH     DEFINED  01,08      26,664     395,632           0
HAIN CELESTIAL GROUP INC          COM   405217100       5,521      90,387  SH     DEFINED     09      90,387           0           0

HALCON RES CORP                   COM   40537Q209         733      94,158  SH     DEFINED     01      10,363      83,795           0
HALCON RES CORP                   COM   40537Q209       9,197   1,180,624  SH     DEFINED  01,08      54,776   1,125,848           0
HALCON RES CORP                   COM   40537Q209       2,175     279,143  SH     DEFINED     09     279,143           0           0

HALLADOR ENERGY COMPANY           COM   40609P105          22       3,203  SH     DEFINED     01           0       3,203           0
HALLADOR ENERGY COMPANY           COM   40609P105         440      63,806  SH     DEFINED  01,08         976      62,830           0
HALLADOR ENERGY COMPANY           COM   40609P105          91      13,202  SH     DEFINED     09      13,202           0           0

HALLIBURTON CO                    COM   406216101      65,385   1,618,041  SH     DEFINED     01     948,859     660,577       8,605
HALLIBURTON CO                    COM   406216101       4,534     112,195  SH     OTHER       01      66,450      41,164       4,581
HALLIBURTON CO                    COM   406216101     342,625   8,478,712  SH     DEFINED  01,08   1,407,094   7,071,618           0
HALLIBURTON CO                    COM   406216101     111,717   2,764,579  SH     DEFINED     09   2,764,579           0           0

HALLMARK FINL SVCS INC    EC      COM   40624Q203         102      11,379  SH     DEFINED     01       1,431       9,948           0
HALLMARK FINL SVCS INC    EC      COM   40624Q203       1,216     135,115  SH     DEFINED  01,08       7,000     128,115           0
HALLMARK FINL SVCS INC    EC      COM   40624Q203         364      40,401  SH     DEFINED     09      40,401           0           0

HALOZYME THERAPEUTICS INC         COM   40637H109         501      86,824  SH     DEFINED     01      12,616      74,208           0
HALOZYME THERAPEUTICS INC         COM   40637H109       5,581     968,039  SH     DEFINED  01,08      39,508     928,531           0
HALOZYME THERAPEUTICS INC         COM   40637H109       1,237     214,595  SH     DEFINED     09     214,595           0           0

HAMPTON ROADS BANKSHARES INC      COM   409321502           0          85  SH     DEFINED     01           0          85           0
HAMPTON ROADS BANKSHARES INC      COM   409321502          69      52,943  SH     DEFINED  01,08         312      52,631           0

HANCOCK HLDG CO                   COM   410120109       6,372     206,086  SH     DEFINED     01      10,809     195,277           0
HANCOCK HLDG CO                   COM   410120109      37,700   1,219,263  SH     DEFINED  01,08     166,944   1,052,319           0
HANCOCK HLDG CO                   COM   410120109       5,762     186,360  SH     DEFINED     09     186,360           0           0

HANDY & HARMAN LTD                COM   410315105          48       3,096  SH     DEFINED     01         100       2,996           0
HANDY & HARMAN LTD                COM   410315105         840      54,603  SH     DEFINED  01,08       1,484      53,119           0
HANDY & HARMAN LTD                COM   410315105         280      18,169  SH     DEFINED     09      18,169           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    147
  ________

HANESBRANDS INC                   COM   410345102       4,021      88,267  SH     DEFINED     01      56,937      30,788         542
HANESBRANDS INC                   COM   410345102         110       2,414  SH     OTHER       01       1,574         840           0
HANESBRANDS INC                   COM   410345102      34,093     748,303  SH     DEFINED  01,08      14,230     734,073           0
HANESBRANDS INC                   COM   410345102           0           1  SH     DEFINED     09           1           0           0

HANGER INC                        COM   41043F208       4,733     150,117  SH     DEFINED     01      15,563     134,554           0
HANGER INC                        COM   41043F208          20         629  SH     OTHER       01         213         416           0
HANGER INC                        COM   41043F208      14,721     466,885  SH     DEFINED  01,08     129,744     337,141           0
HANGER INC                        COM   41043F208       2,662      84,426  SH     DEFINED     09      84,426           0           0

HANMI FINL CORP                   COM   410495204       1,262      78,899  SH     DEFINED     01      12,356      66,543           0
HANMI FINL CORP                   COM   410495204       6,081     380,048  SH     DEFINED  01,08      54,975     325,073           0
HANMI FINL CORP                   COM   410495204       1,268      79,221  SH     DEFINED     09      79,221           0           0

HANOVER INS GROUP INC             COM   410867105       3,022      60,829  SH     DEFINED     01      31,572      28,802         455
HANOVER INS GROUP INC             COM   410867105         102       2,046  SH     OTHER       01       1,326         720           0
HANOVER INS GROUP INC             COM   410867105      17,622     354,706  SH     DEFINED  01,08      24,763     329,943           0
HANOVER INS GROUP INC             COM   410867105           0           1  SH     DEFINED     09           1           0           0

HANSEN MEDICAL INC                COM   411307101          82      40,843  SH     DEFINED     01       7,355      33,488           0
HANSEN MEDICAL INC                COM   411307101           5       2,265  SH     OTHER       01           0           0       2,265
HANSEN MEDICAL INC                COM   411307101       1,094     544,044  SH     DEFINED  01,08      16,543     527,501           0
HANSEN MEDICAL INC                COM   411307101         234     116,172  SH     DEFINED     09     116,172           0           0

HANWHA SOLARONE CO LTD            COM   41135V103          18      20,000  SH     DEFINED     01      20,000           0           0
HANWHA SOLARONE CO LTD            COM   41135V103           0         140  SH     DEFINED  01,08           0         140           0

HARBINGER GROUP INC               COM   41146A106         405      48,979  SH     DEFINED     01       4,180      44,799           0
HARBINGER GROUP INC               COM   41146A106       3,180     385,044  SH     DEFINED  01,08      26,267     358,777           0
HARBINGER GROUP INC               COM   41146A106         813      98,450  SH     DEFINED     09      98,450           0           0

HARDINGE INC                      COM   412324303         187      13,701  SH     DEFINED     01       1,405      12,296           0
HARDINGE INC                      COM   412324303       1,573     115,393  SH     DEFINED  01,08       6,020     109,373           0
HARDINGE INC                      COM   412324303         419      30,729  SH     DEFINED     09      30,729           0           0

HARLEY DAVIDSON INC               COM   412822108      15,689     294,351  SH     DEFINED     01     133,951     159,710         690
HARLEY DAVIDSON INC               COM   412822108       1,408      26,422  SH     OTHER       01      19,234       7,058         130
HARLEY DAVIDSON INC               COM   412822108     110,151   2,066,632  SH     DEFINED  01,08     312,571   1,754,061           0
HARLEY DAVIDSON INC               COM   412822108      36,884     692,006  SH     DEFINED     09     692,006           0           0

HARMAN INTL INDS INC              COM   413086109       3,515      78,767  SH     DEFINED     01      32,181      46,450         136
HARMAN INTL INDS INC              COM   413086109          54       1,203  SH     OTHER       01       1,045         118          40
HARMAN INTL INDS INC              COM   413086109      24,066     539,223  SH     DEFINED  01,08      19,025     520,198           0
HARMAN INTL INDS INC              COM   413086109       4,529     101,482  SH     DEFINED     09     101,482           0           0

HARMONIC INC                      COM   413160102         982     169,543  SH     DEFINED     01      48,134     121,409           0
HARMONIC INC                      COM   413160102       7,372   1,273,194  SH     DEFINED  01,08      65,354   1,207,840           0
HARMONIC INC                      COM   413160102       1,737     299,997  SH     DEFINED     09     299,997           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    148
  ________

HARRIS & HARRIS GROUP INC         COM   413833104          87      24,058  SH     DEFINED     01         260      23,798           0
HARRIS & HARRIS GROUP INC         COM   413833104         893     247,993  SH     DEFINED  01,08      11,702     236,291           0
HARRIS & HARRIS GROUP INC         COM   413833104         320      88,927  SH     DEFINED     09      88,927           0           0

HARRIS CORP DEL                   COM   413875105       7,247     156,379  SH     DEFINED     01      88,223      67,722         434
HARRIS CORP DEL                   COM   413875105          79       1,709  SH     OTHER       01       1,656          53           0
HARRIS CORP DEL                   COM   413875105      46,249     998,032  SH     DEFINED  01,08     148,098     849,934           0
HARRIS CORP DEL                   COM   413875105      15,301     330,184  SH     DEFINED     09     330,184           0           0

HARRIS INTERACTIVE INC            COM   414549105          35      20,711  SH     DEFINED     01         100      20,611           0
HARRIS INTERACTIVE INC            COM   414549105         115      68,160  SH     DEFINED  01,08      11,544      56,616           0

HARRIS TEETER SUPERMARKETS I      COM   414585109       4,748     111,177  SH     DEFINED     01      43,358      67,322         497
HARRIS TEETER SUPERMARKETS I      COM   414585109          48       1,119  SH     OTHER       01         558         416         145
HARRIS TEETER SUPERMARKETS I      COM   414585109      28,927     677,285  SH     DEFINED  01,08      55,603     621,682           0
HARRIS TEETER SUPERMARKETS I      COM   414585109       4,684     109,671  SH     DEFINED     09     109,671           0           0

HARSCO CORP                       COM   415864107       4,033     162,822  SH     DEFINED     01     111,594      48,062       3,166
HARSCO CORP                       COM   415864107         174       7,019  SH     OTHER       01       4,025       2,775         219
HARSCO CORP                       COM   415864107      16,430     663,285  SH     DEFINED  01,08      44,030     619,255           0
HARSCO CORP                       COM   415864107           0           1  SH     DEFINED     09           1           0           0

HARTE-HANKS INC                   COM   416196103       2,303     295,683  SH     DEFINED     01      17,813     277,870           0
HARTE-HANKS INC                   COM   416196103       5,832     748,668  SH     DEFINED  01,08     280,174     468,494           0
HARTE-HANKS INC                   COM   416196103         784     100,629  SH     DEFINED     09     100,629           0           0

HARTFORD FINL SVCS GROUP INC      COM   416515104      15,160     587,591  SH     DEFINED     01     279,280     306,245       2,066
HARTFORD FINL SVCS GROUP INC      COM   416515104         894      34,658  SH     OTHER       01      21,077      13,351         230
HARTFORD FINL SVCS GROUP INC      COM   416515104     105,184   4,076,897  SH     DEFINED  01,08     792,830   3,284,067           0
HARTFORD FINL SVCS GROUP INC      COM   416515104      32,218   1,248,763  SH     DEFINED     09   1,248,763           0           0

HARTFORD FINL SVCS GROUP INC   CONV PFD 416515708       5,510     232,000         DEFINED     01      32,903     199,097           0

HARVARD BIOSCIENCE INC            COM   416906105         210      37,158  SH     DEFINED     01       2,530      34,628           0
HARVARD BIOSCIENCE INC            COM   416906105       1,435     253,965  SH     DEFINED  01,08      22,342     231,623           0
HARVARD BIOSCIENCE INC            COM   416906105         274      48,412  SH     DEFINED     09      48,412           0           0

HARVEST NATURAL RESOURCES IN      COM   41754V103         450     128,185  SH     DEFINED     01      93,539      34,646           0
HARVEST NATURAL RESOURCES IN      COM   41754V103       1,482     422,143  SH     DEFINED  01,08      24,610     397,533           0
HARVEST NATURAL RESOURCES IN      COM   41754V103         414     117,907  SH     DEFINED     09     117,907           0           0

HASBRO INC                        COM   418056107       6,970     158,626  SH     DEFINED     01      61,613      96,279         734
HASBRO INC                        COM   418056107         147       3,337  SH     OTHER       01       1,640       1,647          50
HASBRO INC                        COM   418056107      48,450   1,102,641  SH     DEFINED  01,08     173,329     929,312           0
HASBRO INC                        COM   418056107      16,064     365,600  SH     DEFINED     09     365,600           0           0

HASTINGS ENTMT INC                COM   418365102           8       3,345  SH     DEFINED     01           0       3,345           0
HASTINGS ENTMT INC                COM   418365102          18       7,663  SH     DEFINED  01,08       4,735       2,928           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    149
  ________

HATTERAS FINL CORP                COM   41902R103       1,961      71,495  SH     DEFINED     01      34,550      35,799       1,146
HATTERAS FINL CORP                COM   41902R103          11         410  SH     OTHER       01         410           0           0
HATTERAS FINL CORP                COM   41902R103      10,808     394,033  SH     DEFINED  01,08      10,780     383,253           0
HATTERAS FINL CORP                COM   41902R103           0           1  SH     DEFINED     09           1           0           0

HAUPPAUGE DIGITAL INC             COM   419131107           6       5,508  SH     DEFINED     01           0       5,508           0
HAUPPAUGE DIGITAL INC             COM   419131107          30      28,287  SH     DEFINED  01,08       7,306      20,981           0

HAVERTY FURNITURE INC             COM   419596101       2,719     132,259  SH     DEFINED     01       7,798     124,461           0
HAVERTY FURNITURE INC             COM   419596101       6,526     317,431  SH     DEFINED  01,08     123,078     194,353           0
HAVERTY FURNITURE INC             COM   419596101         904      43,985  SH     DEFINED     09      43,985           0           0

HAWAIIAN ELEC INDUSTRIES          COM   419870100       1,737      62,700  SH     DEFINED     01      54,198       8,502           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100         143       5,169  SH     OTHER       01       5,046         123           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100      23,135     834,884  SH     DEFINED  01,08      12,261     822,623           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100           0           1  SH     DEFINED     09           1           0           0

HAWAIIAN HOLDINGS INC             COM   419879101         301      52,128  SH     DEFINED     01       5,475      46,653           0
HAWAIIAN HOLDINGS INC             COM   419879101       3,138     543,906  SH     DEFINED  01,08      24,850     519,056           0
HAWAIIAN HOLDINGS INC             COM   419879101         697     120,866  SH     DEFINED     09     120,866           0           0

HAWAIIAN TELCOM HOLDCO INC        COM   420031106         129       5,594  SH     DEFINED     01          56       5,538           0
HAWAIIAN TELCOM HOLDCO INC        COM   420031106       2,188      94,852  SH     DEFINED  01,08       1,567      93,285           0
HAWAIIAN TELCOM HOLDCO INC        COM   420031106         601      26,044  SH     DEFINED     09      26,044           0           0

HAWKINS INC                       COM   420261109         725      18,139  SH     DEFINED     01       3,524      14,615           0
HAWKINS INC                       COM   420261109       4,167     104,303  SH     DEFINED  01,08      11,849      92,454           0
HAWKINS INC                       COM   420261109         964      24,126  SH     DEFINED     09      24,126           0           0

HAYNES INTERNATIONAL INC          COM   420877201       1,113      20,126  SH     DEFINED     01       3,924      16,202           0
HAYNES INTERNATIONAL INC          COM   420877201       7,917     143,157  SH     DEFINED  01,08      10,316     132,841           0
HAYNES INTERNATIONAL INC          COM   420877201       1,834      33,164  SH     DEFINED     09      33,164           0           0

HEALTHCARE SVCS GRP INC           COM   421906108       3,016     117,690  SH     DEFINED     01      34,163      83,527           0
HEALTHCARE SVCS GRP INC           COM   421906108         392      15,276  SH     OTHER       01       5,975       9,301           0
HEALTHCARE SVCS GRP INC           COM   421906108      19,257     751,349  SH     DEFINED  01,08      48,914     702,435           0
HEALTHCARE SVCS GRP INC           COM   421906108       4,180     163,087  SH     DEFINED     09     163,087           0           0

HEALTHSOUTH CORP                  COM   421924309       3,651     138,439  SH     DEFINED     01      15,103     123,336           0
HEALTHSOUTH CORP                  COM   421924309         147       5,580  SH     OTHER       01       5,580           0           0
HEALTHSOUTH CORP                  COM   421924309      27,817   1,054,882  SH     DEFINED  01,08      68,118     986,764           0
HEALTHSOUTH CORP                  COM   421924309       6,170     233,989  SH     DEFINED     09     233,989           0           0

HEALTH MGMT ASSOC INC NEW         COM   421933102      15,765   1,224,975  SH     DEFINED     01   1,080,011     144,964           0
HEALTH MGMT ASSOC INC NEW         COM   421933102         689      53,568  SH     OTHER       01      41,038      12,345         185
HEALTH MGMT ASSOC INC NEW         COM   421933102      26,453   2,055,412  SH     DEFINED  01,08     137,927   1,917,485           0
HEALTH MGMT ASSOC INC NEW         COM   421933102           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    150
  ________

HEALTHCARE RLTY TR                COM   421946104      16,623     585,538  SH     DEFINED     01      68,616     516,922           0
HEALTHCARE RLTY TR                COM   421946104      44,580   1,570,271  SH     DEFINED  01,08     662,992     907,279           0
HEALTHCARE RLTY TR                COM   421946104       6,940     244,468  SH     DEFINED     09     244,468           0           0

HEADWATERS INC                    COM   42210P102       1,060      97,212  SH     DEFINED     01      25,193      72,019           0
HEADWATERS INC                    COM   42210P102       8,779     805,379  SH     DEFINED  01,08      50,103     755,276           0
HEADWATERS INC                    COM   42210P102       2,035     186,660  SH     DEFINED     09     186,660           0           0

HEALTH CARE REIT INC              COM   42217K106      61,347     903,352  SH     DEFINED     01     703,550     183,375      16,427
HEALTH CARE REIT INC              COM   42217K106       3,658      53,868  SH     OTHER       01      44,920       8,198         750
HEALTH CARE REIT INC              COM   42217K106     191,252   2,816,262  SH     DEFINED  01,08     839,477   1,976,785           0
HEALTH CARE REIT INC              COM   42217K106      59,217     871,994  SH     DEFINED     09     871,994           0           0

HEALTH NET INC                    COM   42222G108         638      22,288  SH     DEFINED     01      11,853      10,435           0
HEALTH NET INC                    COM   42222G108           1          30  SH     OTHER       01           0           0          30
HEALTH NET INC                    COM   42222G108      17,442     609,443  SH     DEFINED  01,08      10,940     598,503           0
HEALTH NET INC                    COM   42222G108           0           1  SH     DEFINED     09           1           0           0

HEALTHSTREAM INC                  COM   42222N103         657      28,650  SH     DEFINED     01       6,754      21,896           0
HEALTHSTREAM INC                  COM   42222N103       5,138     223,955  SH     DEFINED  01,08      19,060     204,895           0
HEALTHSTREAM INC                  COM   42222N103       1,037      45,200  SH     DEFINED     09      45,200           0           0

HEALTHWAYS INC                    COM   422245100         652      53,196  SH     DEFINED     01      13,895      39,301           0
HEALTHWAYS INC                    COM   422245100       4,409     359,953  SH     DEFINED  01,08      18,811     341,142           0
HEALTHWAYS INC                    COM   422245100       1,035      84,480  SH     DEFINED     09      84,480           0           0

HEALTH INS INNOVATIONS INC        COM   42225K106         156      10,309  SH     DEFINED  01,08         648       9,661           0
HEALTH INS INNOVATIONS INC        COM   42225K106         162      10,743  SH     DEFINED     09      10,743           0           0

HEALTHCARE TR AMER INC            COM   42225P105          64       5,454  SH     DEFINED     01           0       5,454           0
HEALTHCARE TR AMER INC            COM   42225P105       1,104      93,919  SH     DEFINED  01,08       4,400      89,519           0

HEARTLAND FINL USA INC            COM   42234Q102      11,004     435,443  SH     DEFINED     01     343,295      92,148           0
HEARTLAND FINL USA INC            COM   42234Q102           0          10  SH     OTHER       01           0          10           0
HEARTLAND FINL USA INC            COM   42234Q102       5,929     234,639  SH     DEFINED  01,08      91,521     143,118           0
HEARTLAND FINL USA INC            COM   42234Q102         908      35,917  SH     DEFINED     09      35,917           0           0

HEARTLAND EXPRESS INC             COM   422347104       1,028      77,062  SH     DEFINED     01      12,291      64,771           0
HEARTLAND EXPRESS INC             COM   422347104       7,531     564,512  SH     DEFINED  01,08      52,959     511,553           0
HEARTLAND EXPRESS INC             COM   422347104       1,569     117,620  SH     DEFINED     09     117,620           0           0

HEARTLAND PMT SYS INC             COM   42235N108       1,768      53,628  SH     DEFINED     01      13,260      40,368           0
HEARTLAND PMT SYS INC             COM   42235N108          47       1,436  SH     OTHER       01         478         958           0
HEARTLAND PMT SYS INC             COM   42235N108      14,245     432,068  SH     DEFINED  01,08      30,126     401,942           0
HEARTLAND PMT SYS INC             COM   42235N108       3,153      95,638  SH     DEFINED     09      95,638           0           0

HEARTWARE INTL INC                COM   422368100         768       8,690  SH     DEFINED     01         891       7,799           0
HEARTWARE INTL INC                COM   422368100      11,115     125,732  SH     DEFINED  01,08       3,537     122,195           0
HEARTWARE INTL INC                COM   422368100       3,511      39,716  SH     DEFINED     09      39,716           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    151
  ________

HECKMANN CORP                     COM   422680108         383      89,293  SH     DEFINED     01      10,887      76,406       2,000
HECKMANN CORP                     COM   422680108       5,079   1,183,838  SH     DEFINED  01,08      37,314   1,146,524           0
HECKMANN CORP                     COM   422680108       1,511     352,193  SH     DEFINED     09     352,193           0           0

HECLA MNG CO                      COM   422704106       3,137     794,294  SH     DEFINED     01      21,245     773,049           0
HECLA MNG CO                      COM   422704106      13,848   3,505,808  SH     DEFINED  01,08     676,284   2,829,524           0
HECLA MNG CO                      COM   422704106       2,753     696,939  SH     DEFINED     09     696,939           0           0

HEICO CORP NEW                    COM   422806109       2,302      53,025  SH     DEFINED     01       6,212      46,813           0
HEICO CORP NEW                    COM   422806109      21,223     488,897  SH     DEFINED  01,08      33,343     455,554           0
HEICO CORP NEW                    COM   422806109       5,617     129,387  SH     DEFINED     09     129,387           0           0

HEICO CORP NEW                    COM   422806208       2,287      66,664  SH     DEFINED     01      59,279       7,223         162
HEICO CORP NEW                    COM   422806208         114       3,310  SH     OTHER       01       1,661       1,649           0
HEICO CORP NEW                    COM   422806208       3,597     104,844  SH     DEFINED  01,08         725     104,119           0
HEICO CORP NEW                    COM   422806208           0           1  SH     DEFINED     09           1           0           0

HEIDRICK & STRUGGLES INTL IN      COM   422819102         493      32,971  SH     DEFINED     01       6,651      15,732      10,588
HEIDRICK & STRUGGLES INTL IN      COM   422819102           5         357  SH     OTHER       01         357           0           0
HEIDRICK & STRUGGLES INTL IN      COM   422819102       3,115     208,366  SH     DEFINED  01,08       9,490     198,876           0
HEIDRICK & STRUGGLES INTL IN      COM   422819102         597      39,934  SH     DEFINED     09      39,934           0           0

HEINZ H J CO                      COM   423074103      50,788     702,759  SH     DEFINED     01     444,171     241,373      17,215
HEINZ H J CO                      COM   423074103      11,852     164,002  SH     OTHER       01     112,564      23,013      28,425
HEINZ H J CO                      COM   423074103     207,929   2,877,107  SH     DEFINED  01,08     419,791   2,457,316           0
HEINZ H J CO                      COM   423074103      69,171     957,114  SH     DEFINED     09     957,114           0           0

HELIX ENERGY SOLUTIONS GRP I      COM   42330P107      16,881     737,801  SH     DEFINED     01     281,057     449,871       6,873
HELIX ENERGY SOLUTIONS GRP I      COM   42330P107         461      20,149  SH     OTHER       01      11,447       8,113         589
HELIX ENERGY SOLUTIONS GRP I      COM   42330P107      40,432   1,767,114  SH     DEFINED  01,08     398,555   1,368,559           0
HELIX ENERGY SOLUTIONS GRP I      COM   42330P107       6,093     266,319  SH     DEFINED     09     266,319           0           0

HELMERICH & PAYNE INC             COM   423452101      11,529     189,941  SH     DEFINED     01     101,812      65,831      22,298
HELMERICH & PAYNE INC             COM   423452101         349       5,747  SH     OTHER       01       4,967         780           0
HELMERICH & PAYNE INC             COM   423452101      57,963     954,906  SH     DEFINED  01,08     162,355     792,551           0
HELMERICH & PAYNE INC             COM   423452101      19,862     327,214  SH     DEFINED     09     327,214           0           0

HEMISPHERX BIOPHARMA INC          COM   42366C103           6      31,270  SH     DEFINED     01         400      30,870           0
HEMISPHERX BIOPHARMA INC          COM   42366C103          41     215,996  SH     DEFINED  01,08      12,568     203,428           0

HENRY JACK & ASSOC INC            COM   426281101       9,218     199,484  SH     DEFINED     01     157,142      40,990       1,352
HENRY JACK & ASSOC INC            COM   426281101         568      12,293  SH     OTHER       01       1,909       9,884         500
HENRY JACK & ASSOC INC            COM   426281101      30,366     657,124  SH     DEFINED  01,08      12,423     644,701           0
HENRY JACK & ASSOC INC            COM   426281101           0           1  SH     DEFINED     09           1           0           0

HERITAGE COMMERCE CORP            COM   426927109         117      17,376  SH     DEFINED     01       2,240      15,136           0
HERITAGE COMMERCE CORP            COM   426927109       1,333     198,057  SH     DEFINED  01,08       6,937     191,120           0
HERITAGE COMMERCE CORP            COM   426927109         344      51,087  SH     DEFINED     09      51,087           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    152
  ________

HERCULES OFFSHORE INC             COM   427093109       1,187     159,907  SH     DEFINED     01      24,341     135,566           0
HERCULES OFFSHORE INC             COM   427093109      12,366   1,666,639  SH     DEFINED  01,08      94,532   1,572,107           0
HERCULES OFFSHORE INC             COM   427093109       3,004     404,816  SH     DEFINED     09     404,816           0           0

HERCULES TECH GROWTH CAP INC      COM   427096508       5,026     410,290  SH     DEFINED     01       8,560     401,730           0
HERCULES TECH GROWTH CAP INC      COM   427096508      10,361     845,809  SH     DEFINED  01,08     362,194     483,615           0
HERCULES TECH GROWTH CAP INC      COM   427096508       1,737     141,801  SH     DEFINED     09     141,801           0           0

HERITAGE FINL CORP WASH           COM   42722X106         226      15,602  SH     DEFINED     01       2,120      13,482           0
HERITAGE FINL CORP WASH           COM   42722X106       2,185     150,657  SH     DEFINED  01,08       7,259     143,398           0
HERITAGE FINL CORP WASH           COM   42722X106         604      41,680  SH     DEFINED     09      41,680           0           0

HERITAGE OAKS BANCORP             COM   42724R107          55       9,734  SH     DEFINED     01         150       9,584           0
HERITAGE OAKS BANCORP             COM   42724R107         970     170,235  SH     DEFINED  01,08       3,012     167,223           0
HERITAGE OAKS BANCORP             COM   42724R107         287      50,379  SH     DEFINED     09      50,379           0           0

HERITAGE CRYSTAL CLEAN INC        COM   42726M106          84       5,530  SH     DEFINED     01         500       5,030           0
HERITAGE CRYSTAL CLEAN INC        COM   42726M106       1,160      76,835  SH     DEFINED  01,08       2,186      74,649           0
HERITAGE CRYSTAL CLEAN INC        COM   42726M106         294      19,498  SH     DEFINED     09      19,498           0           0

HERITAGE FINL GROUP INC           COM   42726X102         144       9,976  SH     DEFINED     01       1,310       8,666           0
HERITAGE FINL GROUP INC           COM   42726X102       1,200      82,877  SH     DEFINED  01,08       5,481      77,396           0
HERITAGE FINL GROUP INC           COM   42726X102         314      21,693  SH     DEFINED     09      21,693           0           0

HERSHA HOSPITALITY TR             COM   427825104       1,262     216,106  SH     DEFINED     01      24,156     191,950           0
HERSHA HOSPITALITY TR             COM   427825104      12,569   2,152,310  SH     DEFINED  01,08     437,785   1,714,525           0
HERSHA HOSPITALITY TR             COM   427825104       2,795     478,563  SH     DEFINED     09     478,563           0           0

HERSHEY CO                        COM   427866108      21,380     244,261  SH     DEFINED     01     133,113     108,893       2,255
HERSHEY CO                        COM   427866108       1,508      17,223  SH     OTHER       01       9,657       7,506          60
HERSHEY CO                        COM   427866108     118,613   1,355,111  SH     DEFINED  01,08     204,106   1,151,005           0
HERSHEY CO                        COM   427866108      39,427     450,442  SH     DEFINED     09     450,442           0           0

HESKA CORP                        COM   42805E306          55       5,881  SH     DEFINED     01          30       5,851           0
HESKA CORP                        COM   42805E306         147      15,839  SH     DEFINED  01,08       6,441       9,398           0

HERTZ GLOBAL HOLDINGS INC         COM   42805T105       8,428     378,599  SH     DEFINED     01     297,541      75,675       5,383
HERTZ GLOBAL HOLDINGS INC         COM   42805T105         997      44,777  SH     OTHER       01       9,023      35,589         165
HERTZ GLOBAL HOLDINGS INC         COM   42805T105      35,071   1,575,519  SH     DEFINED  01,08     382,427   1,193,092           0
HERTZ GLOBAL HOLDINGS INC         COM   42805T105      11,093     498,346  SH     DEFINED     09     498,346           0           0

HESS CORP                         COM   42809H107      43,769     611,209  SH     DEFINED     01     397,587     211,638       1,984
HESS CORP                         COM   42809H107       2,264      31,609  SH     OTHER       01      13,498      18,056          55
HESS CORP                         COM   42809H107     199,864   2,791,007  SH     DEFINED  01,08     528,901   2,262,106           0
HESS CORP                         COM   42809H107      65,140     909,652  SH     DEFINED     09     909,652           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    153
  ________

HEWLETT PACKARD CO                COM   428236103      69,958   2,934,477  SH     DEFINED     01   1,434,526   1,458,107      41,844
HEWLETT PACKARD CO                COM   428236103       8,718     365,681  SH     OTHER       01     185,277     165,427      14,977
HEWLETT PACKARD CO                COM   428236103     428,293  17,965,298  SH     DEFINED  01,08   2,912,294  14,966,428      86,576
HEWLETT PACKARD CO                COM   428236103     126,956   5,325,347  SH     DEFINED     09   5,325,347           0           0

HEXCEL CORP NEW                   COM   428291108       3,752     129,343  SH     DEFINED     01      11,784     117,359         200
HEXCEL CORP NEW                   COM   428291108      31,794   1,095,971  SH     DEFINED  01,08      63,050   1,032,921           0
HEXCEL CORP NEW                   COM   428291108       7,207     248,440  SH     DEFINED     09     248,440           0           0

HHGREGG INC                       COM   42833L108         254      23,003  SH     DEFINED     01       1,030      21,973           0
HHGREGG INC                       COM   42833L108       1,906     172,453  SH     DEFINED  01,08      14,653     157,800           0
HHGREGG INC                       COM   42833L108         346      31,272  SH     DEFINED     09      31,272           0           0

HI-TECH PHARMACAL INC             COM   42840B101         667      20,154  SH     DEFINED     01       4,062      16,092           0
HI-TECH PHARMACAL INC             COM   42840B101       4,258     128,611  SH     DEFINED  01,08      13,445     115,166           0
HI-TECH PHARMACAL INC             COM   42840B101         853      25,764  SH     DEFINED     09      25,764           0           0

HIBBETT SPORTS INC                COM   428567101       5,331      94,735  SH     DEFINED     01      64,644      29,630         461
HIBBETT SPORTS INC                COM   428567101         118       2,104  SH     OTHER       01       1,447         487         170
HIBBETT SPORTS INC                COM   428567101      16,547     294,073  SH     DEFINED  01,08      20,784     273,289           0
HIBBETT SPORTS INC                COM   428567101       3,692      65,609  SH     DEFINED     09      65,609           0           0

HICKORY TECH CORP                 COM   429060106         218      21,449  SH     DEFINED     01       1,100      20,349           0
HICKORY TECH CORP                 COM   429060106       1,586     156,269  SH     DEFINED  01,08      16,105     140,164           0
HICKORY TECH CORP                 COM   429060106         389      38,317  SH     DEFINED     09      38,317           0           0

HIGHER ONE HLDGS INC              COM   42983D104         341      38,337  SH     DEFINED     01      11,916      26,421           0
HIGHER ONE HLDGS INC              COM   42983D104       3,083     346,842  SH     DEFINED  01,08      11,972     334,870           0
HIGHER ONE HLDGS INC              COM   42983D104         684      76,912  SH     DEFINED     09      76,912           0           0

HIGHWOODS PPTYS INC               COM   431284108      12,647     319,618  SH     DEFINED     01      15,312     304,156         150
HIGHWOODS PPTYS INC               COM   431284108          20         500  SH     OTHER       01         500           0           0
HIGHWOODS PPTYS INC               COM   431284108      59,418   1,501,594  SH     DEFINED  01,08     435,003   1,066,591           0
HIGHWOODS PPTYS INC               COM   431284108       8,783     221,959  SH     DEFINED     09     221,959           0           0

HILL INTERNATIONAL INC            COM   431466101          66      22,169  SH     DEFINED     01       2,511      19,658           0
HILL INTERNATIONAL INC            COM   431466101         699     233,616  SH     DEFINED  01,08      15,340     218,276           0
HILL INTERNATIONAL INC            COM   431466101         158      52,711  SH     DEFINED     09      52,711           0           0

HILL ROM HLDGS INC                COM   431475102       2,161      61,356  SH     DEFINED     01      30,527      30,253         576
HILL ROM HLDGS INC                COM   431475102         374      10,612  SH     OTHER       01       1,692       8,870          50
HILL ROM HLDGS INC                COM   431475102      16,453     467,158  SH     DEFINED  01,08      12,072     455,086           0
HILL ROM HLDGS INC                COM   431475102           0           1  SH     DEFINED     09           1           0           0

HILLENBRAND INC                   COM   431571108       2,454      97,068  SH     DEFINED     01      48,630      48,438           0
HILLENBRAND INC                   COM   431571108          65       2,585  SH     OTHER       01       1,125       1,460           0
HILLENBRAND INC                   COM   431571108      17,541     693,872  SH     DEFINED  01,08      40,986     652,886           0
HILLENBRAND INC                   COM   431571108       3,458     136,780  SH     DEFINED     09     136,780           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    154
  ________

HILLSHIRE BRANDS CO               COM   432589109       2,604      74,072  SH     DEFINED     01      58,615      15,457           0
HILLSHIRE BRANDS CO               COM   432589109          66       1,867  SH     OTHER       01       1,800          67           0
HILLSHIRE BRANDS CO               COM   432589109      31,939     908,659  SH     DEFINED  01,08      11,908     896,751           0

HILLTOP HOLDINGS INC              COM   432748101       1,088      80,670  SH     DEFINED     01      45,195      35,475           0
HILLTOP HOLDINGS INC              COM   432748101       5,716     423,736  SH     DEFINED  01,08      23,705     400,031           0
HILLTOP HOLDINGS INC              COM   432748101       1,317      97,603  SH     DEFINED     09      97,603           0           0

HINGHAM INSTN SVGS MASS           COM   433323102          86       1,238  SH     DEFINED     01          30       1,208           0
HINGHAM INSTN SVGS MASS           COM   433323102         825      11,843  SH     DEFINED  01,08       1,025      10,818           0
HINGHAM INSTN SVGS MASS           COM   433323102         149       2,139  SH     DEFINED     09       2,139           0           0

HITTITE MICROWAVE CORP            COM   43365Y104       4,345      71,744  SH     DEFINED     01      38,000      33,531         213
HITTITE MICROWAVE CORP            COM   43365Y104          56         929  SH     OTHER       01         461         468           0
HITTITE MICROWAVE CORP            COM   43365Y104      20,581     339,850  SH     DEFINED  01,08      21,619     318,231           0
HITTITE MICROWAVE CORP            COM   43365Y104       4,667      77,071  SH     DEFINED     09      77,071           0           0

HOLLY ENERGY PARTNERS L P         COM   435763107         898      22,401  SH     DEFINED     01      19,901           0       2,500
HOLLY ENERGY PARTNERS L P         COM   435763107         100       2,500  SH     OTHER       01           0           0       2,500

HOLLYFRONTIER CORP                COM   436106108      16,178     314,438  SH     DEFINED     01     289,196      25,242           0
HOLLYFRONTIER CORP                COM   436106108         645      12,544  SH     OTHER       01      12,469          66           9
HOLLYFRONTIER CORP                COM   436106108      88,182   1,713,929  SH     DEFINED  01,08     226,822   1,487,107           0
HOLLYFRONTIER CORP                COM   436106108      14,978     291,114  SH     DEFINED     09     291,114           0           0

HOLLYWOOD MEDIA CORP              COM   436233100           9       7,410  SH     DEFINED     01           0       7,410           0
HOLLYWOOD MEDIA CORP              COM   436233100          20      16,327  SH     DEFINED  01,08       4,973      11,354           0

HOLOGIC INC                    CONV DEB 436440AC5       5,536   5,285,000  PRN    DEFINED     01     940,000   4,345,000           0
HOLOGIC INC                    CONV DEB 436440AC5       4,551   4,345,000  PRN    DEFINED  01,08   4,345,000           0           0

HOLOGIC INC                       COM   436440101       5,610     248,211  SH     DEFINED     01      58,917     189,294           0
HOLOGIC INC                       COM   436440101         195       8,650  SH     OTHER       01       8,560           0          90
HOLOGIC INC                       COM   436440101      53,954   2,387,340  SH     DEFINED  01,08     436,432   1,950,908           0
HOLOGIC INC                       COM   436440101       8,763     387,730  SH     DEFINED     09     387,730           0           0

HOME BANCORP INC                  COM   43689E107          81       4,339  SH     DEFINED     01       1,105       3,234           0
HOME BANCORP INC                  COM   43689E107       1,143      61,434  SH     DEFINED  01,08       1,002      60,432           0
HOME BANCORP INC                  COM   43689E107         331      17,794  SH     DEFINED     09      17,794           0           0

HOME BANCSHARES INC               COM   436893200       5,043     133,866  SH     DEFINED     01       9,979     123,887           0
HOME BANCSHARES INC               COM   436893200      13,387     355,388  SH     DEFINED  01,08     126,117     229,271           0
HOME BANCSHARES INC               COM   436893200       2,106      55,903  SH     DEFINED     09      55,903           0           0

HOME DEPOT INC                    COM   437076102     392,864   5,630,042  SH     DEFINED     01   4,294,181   1,202,139     133,722
HOME DEPOT INC                    COM   437076102      71,597   1,026,036  SH     OTHER       01     702,062     210,977     112,997
HOME DEPOT INC                    COM   437076102     942,133  13,501,475  SH     DEFINED  01,08   1,958,129  11,543,346           0
HOME DEPOT INC                    COM   437076102     309,745   4,438,876  SH     DEFINED     09   4,438,876           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    155
  ________

HOME FED BANCORP INC MD           COM   43710G105         366      28,600  SH     DEFINED     01      15,772      12,828           0
HOME FED BANCORP INC MD           COM   43710G105       1,971     153,956  SH     DEFINED  01,08       8,468     145,488           0
HOME FED BANCORP INC MD           COM   43710G105         559      43,681  SH     DEFINED     09      43,681           0           0

HOME PROPERTIES INC               COM   437306103         908      14,317  SH     DEFINED     01       8,021       6,296           0
HOME PROPERTIES INC               COM   437306103         642      10,129  SH     OTHER       01       2,290       7,839           0
HOME PROPERTIES INC               COM   437306103      30,384     479,088  SH     DEFINED  01,08     100,753     378,335           0
HOME PROPERTIES INC               COM   437306103       1,155      18,207  SH     DEFINED     09      18,207           0           0

HOMEAWAY INC                      COM   43739Q100         470      14,447  SH     DEFINED     01       6,581       7,866           0
HOMEAWAY INC                      COM   43739Q100           0          10  SH     OTHER       01           0           0          10
HOMEAWAY INC                      COM   43739Q100       4,199     129,189  SH     DEFINED  01,08       3,600     125,589           0

HOMEOWNERS CHOICE INC             COM   43741E103         806      29,561  SH     DEFINED     01      24,886       4,675           0
HOMEOWNERS CHOICE INC             COM   43741E103       2,389      87,659  SH     DEFINED  01,08       3,138      84,521           0
HOMEOWNERS CHOICE INC             COM   43741E103         674      24,747  SH     DEFINED     09      24,747           0           0

HOMESTREET INC                    COM   43785V102         121       5,426  SH     DEFINED     01         840       4,586           0
HOMESTREET INC                    COM   43785V102       2,074      92,841  SH     DEFINED  01,08       1,159      91,682           0
HOMESTREET INC                    COM   43785V102         489      21,883  SH     DEFINED     09      21,883           0           0

HOMETRUST BANCSHARES INC          COM   437872104         206      13,036  SH     DEFINED     01       1,465      11,571           0
HOMETRUST BANCSHARES INC          COM   437872104       3,319     210,043  SH     DEFINED  01,08       3,961     206,082           0
HOMETRUST BANCSHARES INC          COM   437872104         737      46,654  SH     DEFINED     09      46,654           0           0

HONDA MOTOR LTD                   COM   438128308       6,064     158,505  SH     DEFINED     01     143,297      15,208           0
HONDA MOTOR LTD                   COM   438128308         728      19,034  SH     OTHER       01      11,468       6,066       1,500
HONDA MOTOR LTD                   COM   438128308       4,617     120,683  SH     DEFINED  01,08      33,464      87,219           0

HONEYWELL INTL INC                COM   438516106      88,909   1,179,947  SH     DEFINED     01     602,949     558,386      18,612
HONEYWELL INTL INC                COM   438516106       8,374     111,137  SH     OTHER       01      78,364      29,258       3,515
HONEYWELL INTL INC                COM   438516106     527,718   7,003,562  SH     DEFINED  01,08   1,024,624   5,978,938           0
HONEYWELL INTL INC                COM   438516106     155,370   2,061,974  SH     DEFINED     09   2,061,974           0           0

HOOKER FURNITURE CORP             COM   439038100       1,510      94,734  SH     DEFINED     01       1,165      93,569           0
HOOKER FURNITURE CORP             COM   439038100       3,091     193,899  SH     DEFINED  01,08      94,215      99,684           0
HOOKER FURNITURE CORP             COM   439038100         448      28,100  SH     DEFINED     09      28,100           0           0

HOOPER HOLMES INC                 COM   439104100          17      36,164  SH     DEFINED     01         700      35,464           0
HOOPER HOLMES INC                 COM   439104100          60     131,019  SH     DEFINED  01,08      24,871     106,148           0

HOPFED BANCORP INC                COM   439734104          28       2,580  SH     DEFINED     01           0       2,580           0
HOPFED BANCORP INC                COM   439734104          94       8,716  SH     DEFINED  01,08       2,913       5,803           0

HORACE MANN EDUCATORS CORP N      COM   440327104       7,162     343,508  SH     DEFINED     01      16,985     326,423         100
HORACE MANN EDUCATORS CORP N      COM   440327104      15,212     729,616  SH     DEFINED  01,08     319,239     410,377           0
HORACE MANN EDUCATORS CORP N      COM   440327104       2,121     101,723  SH     DEFINED     09     101,723           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    156
  ________

HORIZON BANCORP IND               COM   440407104          82       4,080  SH     DEFINED     01         290       3,790           0
HORIZON BANCORP IND               COM   440407104       1,159      57,367  SH     DEFINED  01,08       1,015      56,352           0
HORIZON BANCORP IND               COM   440407104         291      14,385  SH     DEFINED     09      14,385           0           0

HORIZON TECHNOLOGY FIN CORP       COM   44045A102          77       5,279  SH     DEFINED     01         410       4,869           0
HORIZON TECHNOLOGY FIN CORP       COM   44045A102         966      66,121  SH     DEFINED  01,08       1,181      64,940           0
HORIZON TECHNOLOGY FIN CORP       COM   44045A102         305      20,906  SH     DEFINED     09      20,906           0           0

HORMEL FOODS CORP                 COM   440452100       6,809     164,785  SH     DEFINED     01      60,946     103,577         262
HORMEL FOODS CORP                 COM   440452100         127       3,080  SH     OTHER       01         833       2,247           0
HORMEL FOODS CORP                 COM   440452100      49,690   1,202,567  SH     DEFINED  01,08     172,855   1,029,712           0
HORMEL FOODS CORP                 COM   440452100      14,229     344,364  SH     DEFINED     09     344,364           0           0

HORIZON PHARMA INC                COM   44047T109          61      22,397  SH     DEFINED     01         135      22,262           0
HORIZON PHARMA INC                COM   44047T109       1,095     404,078  SH     DEFINED  01,08       5,573     398,505           0
HORIZON PHARMA INC                COM   44047T109         253      93,381  SH     DEFINED     09      93,381           0           0

HORNBECK OFFSHORE SVCS INC N      COM   440543106      12,243     263,520  SH     DEFINED     01      11,782     251,738           0
HORNBECK OFFSHORE SVCS INC N      COM   440543106      28,132     605,507  SH     DEFINED  01,08     255,430     350,077           0
HORNBECK OFFSHORE SVCS INC N      COM   440543106       4,058      87,343  SH     DEFINED     09      87,343           0           0

HORSEHEAD HLDG CORP               COM   440694305         616      56,609  SH     DEFINED     01       8,066      48,543           0
HORSEHEAD HLDG CORP               COM   440694305       5,198     477,720  SH     DEFINED  01,08      32,622     445,098           0
HORSEHEAD HLDG CORP               COM   440694305       1,121     103,067  SH     DEFINED     09     103,067           0           0

HOSPITALITY PPTYS TR              COM   44106M102       2,203      80,283  SH     DEFINED     01      49,441      30,842           0
HOSPITALITY PPTYS TR              COM   44106M102         113       4,131  SH     OTHER       01       4,089           0          42
HOSPITALITY PPTYS TR              COM   44106M102      36,697   1,337,351  SH     DEFINED  01,08     276,791   1,060,560           0
HOSPITALITY PPTYS TR              COM   44106M102       1,363      49,665  SH     DEFINED     09      49,665           0           0

HOSPIRA INC                       COM   441060100      11,129     338,991  SH     DEFINED     01     196,436     133,263       9,292
HOSPIRA INC                       COM   441060100       3,582     109,107  SH     OTHER       01      42,517      58,745       7,845
HOSPIRA INC                       COM   441060100      48,302   1,471,280  SH     DEFINED  01,08     221,397   1,249,883           0
HOSPIRA INC                       COM   441060100      15,826     482,056  SH     DEFINED     09     482,056           0           0

HOST HOTELS & RESORTS INC         COM   44107P104      15,602     892,036  SH     DEFINED     01     386,427     503,998       1,611
HOST HOTELS & RESORTS INC         COM   44107P104         279      15,930  SH     OTHER       01      13,872       1,770         288
HOST HOTELS & RESORTS INC         COM   44107P104     138,261   7,905,119  SH     DEFINED  01,08   2,376,363   5,528,756           0
HOST HOTELS & RESORTS INC         COM   44107P104      41,591   2,377,996  SH     DEFINED     09   2,377,996           0           0

HOT TOPIC INC                     COM   441339108         882      63,554  SH     DEFINED     01      17,123      46,431           0
HOT TOPIC INC                     COM   441339108       6,741     485,690  SH     DEFINED  01,08      37,413     448,277           0
HOT TOPIC INC                     COM   441339108       1,458     105,018  SH     DEFINED     09     105,018           0           0

HOUSTON AMERN ENERGY CORP         COM   44183U100           1       4,890  SH     DEFINED     01           0       4,890           0
HOUSTON AMERN ENERGY CORP         COM   44183U100           7      29,628  SH     DEFINED  01,08       5,396      24,232           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    157
  ________

HOUSTON WIRE & CABLE CO           COM   44244K109         229      17,697  SH     DEFINED     01       2,901      14,796           0
HOUSTON WIRE & CABLE CO           COM   44244K109       2,428     187,472  SH     DEFINED  01,08      11,360     176,112           0
HOUSTON WIRE & CABLE CO           COM   44244K109         669      51,688  SH     DEFINED     09      51,688           0           0

HOVNANIAN ENTERPRISES INC         COM   442487203       1,217     210,847  SH     DEFINED     01      13,126     197,721           0
HOVNANIAN ENTERPRISES INC         COM   442487203       7,581   1,313,856  SH     DEFINED  01,08     276,042   1,037,814           0
HOVNANIAN ENTERPRISES INC         COM   442487203       1,528     264,849  SH     DEFINED     09     264,849           0           0

HOWARD HUGHES CORP                COM   44267D107         631       7,534  SH     DEFINED     01       4,515       3,019           0
HOWARD HUGHES CORP                COM   44267D107           1          10  SH     OTHER       01           0           0          10
HOWARD HUGHES CORP                COM   44267D107       9,432     112,543  SH     DEFINED  01,08       2,657     109,886           0

HUB GROUP INC                     COM   443320106       1,466      38,112  SH     DEFINED     01      13,526      24,586           0
HUB GROUP INC                     COM   443320106      15,186     394,840  SH     DEFINED  01,08       9,033     385,807           0
HUB GROUP INC                     COM   443320106       3,566      92,728  SH     DEFINED     09      92,728           0           0

HUBBELL INC                       COM   443510201       1,643      16,922  SH     DEFINED     01      10,544       6,378           0
HUBBELL INC                       COM   443510201         169       1,740  SH     OTHER       01       1,710          30           0
HUBBELL INC                       COM   443510201      40,311     415,108  SH     DEFINED  01,08       4,968     410,140           0
HUBBELL INC                       COM   443510201           0           1  SH     DEFINED     09           1           0           0

HUDSON CITY BANCORP               COM   443683107       5,058     585,464  SH     DEFINED     01     262,414     322,321         729
HUDSON CITY BANCORP               COM   443683107          78       9,054  SH     OTHER       01       8,125         624         305
HUDSON CITY BANCORP               COM   443683107      37,873   4,383,426  SH     DEFINED  01,08     620,125   3,763,301           0
HUDSON CITY BANCORP               COM   443683107      12,021   1,391,360  SH     DEFINED     09   1,391,360           0           0

HUDSON GLOBAL INC                 COM   443787106          98      24,847  SH     DEFINED     01       3,300      21,547           0
HUDSON GLOBAL INC                 COM   443787106       1,213     307,961  SH     DEFINED  01,08       7,799     300,162           0
HUDSON GLOBAL INC                 COM   443787106         253      64,131  SH     DEFINED     09      64,131           0           0

HUDSON PAC PPTYS INC              COM   444097109         699      32,146  SH     DEFINED     01       4,556      27,590           0
HUDSON PAC PPTYS INC              COM   444097109          76       3,482  SH     OTHER       01       3,482           0           0
HUDSON PAC PPTYS INC              COM   444097109      11,233     516,464  SH     DEFINED  01,08      95,783     420,681           0
HUDSON PAC PPTYS INC              COM   444097109       2,623     120,580  SH     DEFINED     09     120,580           0           0

HUDSON TECHNOLOGIES INC           COM   444144109           1         252  SH     DEFINED     01           0         252           0
HUDSON TECHNOLOGIES INC           COM   444144109         120      29,753  SH     DEFINED  01,08         252      29,501           0

HUDSON VALLEY HOLDING CORP        COM   444172100         173      11,612  SH     DEFINED     01       2,249       9,363           0
HUDSON VALLEY HOLDING CORP        COM   444172100       2,343     157,152  SH     DEFINED  01,08       2,304     154,848           0
HUDSON VALLEY HOLDING CORP        COM   444172100         550      36,907  SH     DEFINED     09      36,907           0           0

HUMANA INC                        COM   444859102      13,826     200,065  SH     DEFINED     01      91,099     108,207         759
HUMANA INC                        COM   444859102         220       3,183  SH     OTHER       01       2,720         463           0
HUMANA INC                        COM   444859102      98,290   1,422,227  SH     DEFINED  01,08     218,655   1,203,572           0
HUMANA INC                        COM   444859102      32,901     476,062  SH     DEFINED     09     476,062           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    158
  ________

HUNT J B TRANS SVCS INC           COM   445658107       3,448      46,288  SH     DEFINED     01      30,328      15,664         296
HUNT J B TRANS SVCS INC           COM   445658107          20         265  SH     OTHER       01          60         205           0
HUNT J B TRANS SVCS INC           COM   445658107      58,009     778,849  SH     DEFINED  01,08     107,790     671,059           0
HUNT J B TRANS SVCS INC           COM   445658107      10,377     139,329  SH     DEFINED     09     139,329           0           0

HUNTINGTON BANCSHARES INC         COM   446150104       6,712     910,756  SH     DEFINED     01     433,641     475,511       1,604
HUNTINGTON BANCSHARES INC         COM   446150104         109      14,818  SH     OTHER       01      13,610         928         280
HUNTINGTON BANCSHARES INC         COM   446150104      49,561   6,724,736  SH     DEFINED  01,08     264,588   6,460,148           0
HUNTINGTON BANCSHARES INC         COM   446150104       8,685   1,178,443  SH     DEFINED     09   1,178,443           0           0

HUNTINGTON INGALLS INDS INC       COM   446413106       1,749      32,798  SH     DEFINED     01      28,383       3,720         695
HUNTINGTON INGALLS INDS INC       COM   446413106          27         504  SH     OTHER       01         311         193           0
HUNTINGTON INGALLS INDS INC       COM   446413106      19,337     362,587  SH     DEFINED  01,08       4,603     357,984           0

HUNTSMAN CORP                     COM   447011107       2,144     115,323  SH     DEFINED     01      59,980      55,343           0
HUNTSMAN CORP                     COM   447011107           5         268  SH     OTHER       01           0         143         125
HUNTSMAN CORP                     COM   447011107      16,222     872,597  SH     DEFINED  01,08      33,677     838,920           0
HUNTSMAN CORP                     COM   447011107           0           1  SH     DEFINED     09           1           0           0

HURCO COMPANIES INC               COM   447324104         251       9,230  SH     DEFINED     01         650       8,580           0
HURCO COMPANIES INC               COM   447324104       1,838      67,513  SH     DEFINED  01,08       6,295      61,218           0
HURCO COMPANIES INC               COM   447324104         498      18,292  SH     DEFINED     09      18,292           0           0

HURON CONSULTING GROUP INC        COM   447462102       1,084      26,882  SH     DEFINED     01       3,293      23,589           0
HURON CONSULTING GROUP INC        COM   447462102         183       4,530  SH     OTHER       01       4,530           0           0
HURON CONSULTING GROUP INC        COM   447462102      10,342     256,501  SH     DEFINED  01,08      15,227     241,274           0
HURON CONSULTING GROUP INC        COM   447462102       2,212      54,873  SH     DEFINED     09      54,873           0           0

HUTCHINSON TECHNOLOGY INC         COM   448407106          25       9,245  SH     DEFINED     01         155       9,090           0
HUTCHINSON TECHNOLOGY INC         COM   448407106         145      52,582  SH     DEFINED  01,08       5,966      46,616           0

HYATT HOTELS CORP                 COM   448579102       1,782      41,222  SH     DEFINED     01      33,864       6,708         650
HYATT HOTELS CORP                 COM   448579102          27         619  SH     OTHER       01           0         425         194
HYATT HOTELS CORP                 COM   448579102       8,121     187,852  SH     DEFINED  01,08           0     187,852           0

IDT CORP                          COM   448947507         245      20,297  SH     DEFINED     01       2,570      17,727           0
IDT CORP                          COM   448947507       2,194     181,915  SH     DEFINED  01,08      13,315     168,600           0
IDT CORP                          COM   448947507         384      31,830  SH     DEFINED     09      31,830           0           0

HYPERDYNAMICS CORP                COM   448954107          18      29,892  SH     DEFINED     01           0      29,892           0
HYPERDYNAMICS CORP                COM   448954107         178     292,356  SH     DEFINED  01,08       8,125     284,231           0

HYPERION THERAPEUTICS INC         COM   44915N101          49       1,910  SH     DEFINED     01           0       1,910           0
HYPERION THERAPEUTICS INC         COM   44915N101         656      25,406  SH     DEFINED  01,08         337      25,069           0
HYPERION THERAPEUTICS INC         COM   44915N101         258      10,008  SH     DEFINED     09      10,008           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    159
  ________

HYSTER YALE MATLS HANDLING I      COM   449172105       5,717     100,146  SH     DEFINED     01       6,973      93,173           0
HYSTER YALE MATLS HANDLING I      COM   449172105          12         202  SH     OTHER       01           2         200           0
HYSTER YALE MATLS HANDLING I      COM   449172105      11,435     200,303  SH     DEFINED  01,08      96,459     103,844           0
HYSTER YALE MATLS HANDLING I      COM   449172105       1,467      25,700  SH     DEFINED     09      25,700           0           0

IAC INTERACTIVECORP               COM   44919P508       1,003      22,453  SH     DEFINED     01      15,479       6,974           0
IAC INTERACTIVECORP               COM   44919P508          94       2,104  SH     OTHER       01         581       1,523           0
IAC INTERACTIVECORP               COM   44919P508      14,550     325,648  SH     DEFINED  01,08       7,683     317,965           0
IAC INTERACTIVECORP               COM   44919P508           0           1  SH     DEFINED     09           1           0           0

ICF INTL INC                      COM   44925C103         529      19,445  SH     DEFINED     01       3,061      16,384           0
ICF INTL INC                      COM   44925C103         174       6,386  SH     OTHER       01       6,386           0           0
ICF INTL INC                      COM   44925C103       5,676     208,680  SH     DEFINED  01,08      10,293     198,387           0
ICF INTL INC                      COM   44925C103       1,364      50,147  SH     DEFINED     09      50,147           0           0

ICG GROUP INC                     COM   44928D108         473      37,931  SH     DEFINED     01       5,613      32,218         100
ICG GROUP INC                     COM   44928D108       4,905     393,031  SH     DEFINED  01,08      19,578     373,453           0
ICG GROUP INC                     COM   44928D108       1,200      96,188  SH     DEFINED     09      96,188           0           0

ICU MED INC                       COM   44930G107       1,100      18,652  SH     DEFINED     01       5,023      13,629           0
ICU MED INC                       COM   44930G107       8,414     142,730  SH     DEFINED  01,08      10,915     131,815           0
ICU MED INC                       COM   44930G107       1,746      29,619  SH     DEFINED     09      29,619           0           0

ICAD INC                          COM   44934S206          13       2,595  SH     DEFINED     01         820       1,775           0
ICAD INC                          COM   44934S206          97      19,498  SH     DEFINED  01,08       2,332      17,166           0

I D SYSTEMS INC                   COM   449489103          27       4,823  SH     DEFINED     01           0       4,823           0
I D SYSTEMS INC                   COM   449489103         111      19,516  SH     DEFINED  01,08       4,326      15,190           0

IEC ELECTRS CORP NEW              COM   44949L105          25       4,299  SH     DEFINED     01           0       4,299           0
IEC ELECTRS CORP NEW              COM   44949L105          97      16,858  SH     DEFINED  01,08       4,299      12,559           0

IGI LABS INC                      COM   449575109           5       2,710  SH     DEFINED     01           0       2,710           0
IGI LABS INC                      COM   449575109          23      13,598  SH     DEFINED  01,08       2,475      11,123           0

IPG PHOTONICS CORP                COM   44980X109         556       8,374  SH     DEFINED     01       4,587       3,787           0
IPG PHOTONICS CORP                COM   44980X109       8,200     123,468  SH     DEFINED  01,08       2,992     120,476           0
IPG PHOTONICS CORP                COM   44980X109           0           1  SH     DEFINED     09           1           0           0

IPC THE HOSPITALIST CO INC        COM   44984A105       4,346      97,701  SH     DEFINED     01      64,650      31,595       1,456
IPC THE HOSPITALIST CO INC        COM   44984A105         354       7,958  SH     OTHER       01       3,505       4,297         156
IPC THE HOSPITALIST CO INC        COM   44984A105       8,534     191,857  SH     DEFINED  01,08      16,058     175,799           0
IPC THE HOSPITALIST CO INC        COM   44984A105       1,901      42,731  SH     DEFINED     09      42,731           0           0

ISTAR FINL INC                    COM   45031U101         898      82,469  SH     DEFINED     01      13,071      69,398           0
ISTAR FINL INC                    COM   45031U101       9,400     863,151  SH     DEFINED  01,08      44,658     818,493           0
ISTAR FINL INC                    COM   45031U101       2,268     208,291  SH     DEFINED     09     208,291           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    160
  ________

ITT EDUCATIONAL SERVICES INC      COM   45068B109         253      18,369  SH     DEFINED     01      10,741       7,628           0
ITT EDUCATIONAL SERVICES INC      COM   45068B109       1,370      99,421  SH     DEFINED  01,08      11,786      87,635           0
ITT EDUCATIONAL SERVICES INC      COM   45068B109           0           1  SH     DEFINED     09           1           0           0

IXIA                              COM   45071R109       1,874      86,620  SH     DEFINED     01      18,541      68,079           0
IXIA                              COM   45071R109          55       2,525  SH     OTHER       01         846       1,679           0
IXIA                              COM   45071R109      11,138     514,682  SH     DEFINED  01,08      54,229     460,453           0
IXIA                              COM   45071R109       2,358     108,948  SH     DEFINED     09     108,948           0           0

IBERIABANK CORP                   COM   450828108      10,052     200,951  SH     DEFINED     01      76,576     123,434         941
IBERIABANK CORP                   COM   450828108         159       3,181  SH     OTHER       01       2,253         928           0
IBERIABANK CORP                   COM   450828108      20,044     400,729  SH     DEFINED  01,08     106,822     293,907           0
IBERIABANK CORP                   COM   450828108       3,650      72,980  SH     DEFINED     09      72,980           0           0

ITT CORP NEW                      COM   450911201       2,546      89,540  SH     DEFINED     01      63,911      25,629           0
ITT CORP NEW                      COM   450911201         324      11,387  SH     OTHER       01       6,475       3,774       1,138
ITT CORP NEW                      COM   450911201      19,380     681,666  SH     DEFINED  01,08       9,225     672,441           0
ITT CORP NEW                      COM   450911201           0           1  SH     DEFINED     09           1           0           0

IAMGOLD CORP                      COM   450913108         198      27,442  SH     DEFINED     01      25,172       1,470         800
IAMGOLD CORP                      COM   450913108          14       1,886  SH     OTHER       01       1,707         179           0
IAMGOLD CORP                      COM   450913108         121      16,777  SH     DEFINED  01,08           0      16,777           0

IBIO INC                          COM   451033104           1       2,774  SH     DEFINED     01           0       2,774           0
IBIO INC                          COM   451033104          14      25,841  SH     DEFINED  01,08       3,077      22,764           0

ICICI BK LTD                      COM   45104G104      18,459     430,276  SH     DEFINED     01     381,538      47,139       1,599
ICICI BK LTD                      COM   45104G104       1,343      31,301  SH     OTHER       01      18,151      12,276         874
ICICI BK LTD                      COM   45104G104      10,797     251,689  SH     DEFINED  01,08     250,379       1,310           0

ICONIX BRAND GROUP INC            COM   451055107      12,447     481,154  SH     DEFINED     01      80,551     396,710       3,893
ICONIX BRAND GROUP INC            COM   451055107         416      16,081  SH     OTHER       01       2,056      14,025           0
ICONIX BRAND GROUP INC            COM   451055107      28,307   1,094,189  SH     DEFINED  01,08     396,610     697,579           0
ICONIX BRAND GROUP INC            COM   451055107       4,036     156,013  SH     DEFINED     09     156,013           0           0

IDACORP INC                       COM   451107106      16,210     335,822  SH     DEFINED     01      16,347     319,375         100
IDACORP INC                       COM   451107106      47,541     984,895  SH     DEFINED  01,08     314,206     670,689           0
IDACORP INC                       COM   451107106       5,899     122,211  SH     DEFINED     09     122,211           0           0

IDENIX PHARMACEUTICALS INC        COM   45166R204         525     148,331  SH     DEFINED     01      10,322     138,009           0
IDENIX PHARMACEUTICALS INC        COM   45166R204       3,499     988,521  SH     DEFINED  01,08      34,659     953,862           0
IDENIX PHARMACEUTICALS INC        COM   45166R204         825     232,919  SH     DEFINED     09     232,919           0           0

IDEX CORP                         COM   45167R104       2,981      55,806  SH     DEFINED     01      38,363      17,280         163
IDEX CORP                         COM   45167R104         323       6,041  SH     OTHER       01       3,901       2,100          40
IDEX CORP                         COM   45167R104      32,560     609,502  SH     DEFINED  01,08       8,509     600,993           0
IDEX CORP                         COM   45167R104           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    161
  ________

IDEXX LABS INC                    COM   45168D104       3,579      38,734  SH     DEFINED     01      24,826      13,705         203
IDEXX LABS INC                    COM   45168D104         100       1,078  SH     OTHER       01       1,043          35           0
IDEXX LABS INC                    COM   45168D104      38,178     413,229  SH     DEFINED  01,08       5,484     407,745           0
IDEXX LABS INC                    COM   45168D104           0           1  SH     DEFINED     09           1           0           0

IDERA PHARMACEUTICALS INC         COM   45168K306           2       4,411  SH     DEFINED     01           0       4,411           0
IDERA PHARMACEUTICALS INC         COM   45168K306          12      23,084  SH     DEFINED  01,08       5,833      17,251           0

IGATE CORP                        COM   45169U105         958      50,845  SH     DEFINED     01      11,470      39,375           0
IGATE CORP                        COM   45169U105       6,861     364,149  SH     DEFINED  01,08      29,065     335,084           0
IGATE CORP                        COM   45169U105       1,456      77,296  SH     DEFINED     09      77,296           0           0

IDENTIVE GROUP INC                COM   45170X106          17      11,726  SH     DEFINED     01           0      11,726           0
IDENTIVE GROUP INC                COM   45170X106         142      96,275  SH     DEFINED  01,08       9,991      86,284           0

IKANOS COMMUNICATIONS             COM   45173E105          13       6,560  SH     DEFINED     01           0       6,560           0
IKANOS COMMUNICATIONS             COM   45173E105         163      81,585  SH     DEFINED  01,08       6,808      74,777           0

IGNITE RESTAURANT GROUP INC       COM   451730105          58       3,944  SH     DEFINED     01           0       3,944           0
IGNITE RESTAURANT GROUP INC       COM   451730105       1,013      69,016  SH     DEFINED  01,08       1,104      67,912           0
IGNITE RESTAURANT GROUP INC       COM   451730105         246      16,783  SH     DEFINED     09      16,783           0           0

IHS INC                           COM   451734107       3,289      31,406  SH     DEFINED     01      21,402       9,893         111
IHS INC                           COM   451734107          15         140  SH     OTHER       01          68          72           0
IHS INC                           COM   451734107      27,444     262,072  SH     DEFINED  01,08      59,683     202,389           0
IHS INC                           COM   451734107       8,092      77,275  SH     DEFINED     09      77,275           0           0

ILLINOIS TOOL WKS INC             COM   452308109      84,124   1,380,438  SH     DEFINED     01     974,005     355,587      50,846
ILLINOIS TOOL WKS INC             COM   452308109   1,958,611  32,139,991  SH     OTHER       01  30,128,072     374,488   1,637,431
ILLINOIS TOOL WKS INC             COM   452308109     225,689   3,703,468  SH     DEFINED  01,08     564,096   3,139,372           0
ILLINOIS TOOL WKS INC             COM   452308109      76,115   1,249,019  SH     DEFINED     09   1,249,019           0           0

ILLUMINA INC                      COM   452327109       4,589      85,019  SH     DEFINED     01      67,189      17,745          85
ILLUMINA INC                      COM   452327109         526       9,749  SH     OTHER       01       8,525       1,159          65
ILLUMINA INC                      COM   452327109      34,717     643,145  SH     DEFINED  01,08     140,495     502,650           0
ILLUMINA INC                      COM   452327109       9,317     172,609  SH     DEFINED     09     172,609           0           0

IMATION CORP                      COM   45245A107         160      41,983  SH     DEFINED     01       5,563      36,420           0
IMATION CORP                      COM   45245A107           9       2,400  SH     OTHER       01           0       2,400           0
IMATION CORP                      COM   45245A107       1,313     343,626  SH     DEFINED  01,08      26,097     317,529           0
IMATION CORP                      COM   45245A107         291      76,053  SH     DEFINED     09      76,053           0           0

IMAX CORP                         COM   45245E109         916      34,250  SH     DEFINED     01      32,410       1,840           0
IMAX CORP                         COM   45245E109           8         296  SH     OTHER       01           0         296           0

IMMERSION CORP                    COM   452521107         337      28,683  SH     DEFINED     01       2,817      25,866           0
IMMERSION CORP                    COM   452521107       3,476     296,091  SH     DEFINED  01,08      12,672     283,419           0
IMMERSION CORP                    COM   452521107         797      67,928  SH     DEFINED     09      67,928           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    162
  ________

IMMUNOGEN INC                     COM   45253H101       1,469      91,411  SH     DEFINED     01      11,561      79,850           0
IMMUNOGEN INC                     COM   45253H101      14,480     901,066  SH     DEFINED  01,08      46,727     854,339           0
IMMUNOGEN INC                     COM   45253H101       3,394     211,175  SH     DEFINED     09     211,175           0           0

IMMUNOCELLULAR THERAPEUTICS       COM   452536105          90      32,674  SH     DEFINED     01       5,140      27,534           0
IMMUNOCELLULAR THERAPEUTICS       COM   452536105       1,277     466,059  SH     DEFINED  01,08       7,206     458,853           0
IMMUNOCELLULAR THERAPEUTICS       COM   452536105         270      98,607  SH     DEFINED     09      98,607           0           0

IMPAC MTG HLDGS INC               COM   45254P508          19       1,831  SH     DEFINED     01           0       1,831           0
IMPAC MTG HLDGS INC               COM   45254P508         144      14,092  SH     DEFINED  01,08       2,084      12,008           0

IMPAX LABORATORIES INC            COM   45256B101       1,267      82,048  SH     DEFINED     01       7,773      74,275           0
IMPAX LABORATORIES INC            COM   45256B101      11,544     747,664  SH     DEFINED  01,08      53,074     694,590           0
IMPAX LABORATORIES INC            COM   45256B101       2,524     163,457  SH     DEFINED     09     163,457           0           0

IMPERIAL HLDGS INC                COM   452834104         105      26,037  SH     DEFINED  01,08           0      26,037           0

IMMUNOMEDICS INC                  COM   452907108         220      91,206  SH     DEFINED     01       9,998      81,208           0
IMMUNOMEDICS INC                  COM   452907108       1,807     749,794  SH     DEFINED  01,08      60,624     689,170           0
IMMUNOMEDICS INC                  COM   452907108         518     215,058  SH     DEFINED     09     215,058           0           0

IMPERIAL OIL LTD                  COM   453038408      14,781     361,736  SH     DEFINED     01     350,340       9,696       1,700
IMPERIAL OIL LTD                  COM   453038408         748      18,315  SH     OTHER       01      12,659       4,796         860
IMPERIAL OIL LTD                  COM   453038408         897      21,957  SH     DEFINED  01,08       9,997      11,960           0

IMPERVA INC                       COM   45321L100         805      20,919  SH     DEFINED     01       1,135      19,784           0
IMPERVA INC                       COM   45321L100       4,534     117,778  SH     DEFINED  01,08      13,956     103,822           0
IMPERVA INC                       COM   45321L100       1,058      27,485  SH     DEFINED     09      27,485           0           0

INCONTACT INC                     COM   45336E109         268      33,146  SH     DEFINED     01       3,160      29,986           0
INCONTACT INC                     COM   45336E109       3,410     421,555  SH     DEFINED  01,08      16,615     404,940           0
INCONTACT INC                     COM   45336E109         716      88,553  SH     DEFINED     09      88,553           0           0

INCYTE CORP                       COM   45337C102       1,436      61,354  SH     DEFINED     01      15,215      46,139           0
INCYTE CORP                       COM   45337C102          24       1,046  SH     OTHER       01         342         704           0
INCYTE CORP                       COM   45337C102      11,808     504,386  SH     DEFINED  01,08      47,443     456,943           0
INCYTE CORP                       COM   45337C102           0           1  SH     DEFINED     09           1           0           0

INDEPENDENCE HLDG CO NEW          COM   453440307         164      16,114  SH     DEFINED     01       1,443      14,671           0
INDEPENDENCE HLDG CO NEW          COM   453440307         971      95,382  SH     DEFINED  01,08      10,344      85,038           0
INDEPENDENCE HLDG CO NEW          COM   453440307         144      14,167  SH     DEFINED     09      14,167           0           0

INDEPENDENT BANK CORP MASS        COM   453836108       5,599     171,804  SH     DEFINED     01       9,345     162,459           0
INDEPENDENT BANK CORP MASS        COM   453836108      13,118     402,512  SH     DEFINED  01,08     164,974     237,538           0
INDEPENDENT BANK CORP MASS        COM   453836108       1,823      55,924  SH     DEFINED     09      55,924           0           0

INDEPENDENT BANK CORP MICH        COM   453838609           9       1,084  SH     DEFINED     01           0       1,084           0
INDEPENDENT BANK CORP MICH        COM   453838609         105      12,421  SH     DEFINED  01,08         588      11,833           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    163
  ________

INFINITY PHARMACEUTICALS INC      COM   45665G303       1,357      28,004  SH     DEFINED     01       2,436      25,568           0
INFINITY PHARMACEUTICALS INC      COM   45665G303      15,562     321,068  SH     DEFINED  01,08      12,751     308,317           0
INFINITY PHARMACEUTICALS INC      COM   45665G303       3,535      72,929  SH     DEFINED     09      72,929           0           0

INFINITY PPTY & CAS CORP          COM   45665Q103       1,274      22,674  SH     DEFINED     01       5,004      17,670           0
INFINITY PPTY & CAS CORP          COM   45665Q103       7,689     136,808  SH     DEFINED  01,08      15,398     121,410           0
INFINITY PPTY & CAS CORP          COM   45665Q103       1,712      30,465  SH     DEFINED     09      30,465           0           0

INFORMATICA CORP                  COM   45666Q102       1,979      57,408  SH     DEFINED     01      19,658      37,750           0
INFORMATICA CORP                  COM   45666Q102          42       1,206  SH     OTHER       01         404         802           0
INFORMATICA CORP                  COM   45666Q102      28,638     830,801  SH     DEFINED  01,08      33,125     797,676           0
INFORMATICA CORP                  COM   45666Q102           0           1  SH     DEFINED     09           1           0           0

INFINERA CORPORATION              COM   45667G103         828     118,262  SH     DEFINED     01      16,894     101,368           0
INFINERA CORPORATION              COM   45667G103       8,410   1,201,415  SH     DEFINED  01,08      65,581   1,135,834           0
INFINERA CORPORATION              COM   45667G103       1,987     283,882  SH     DEFINED     09     283,882           0           0

INFOBLOX INC                      COM   45672H104         288      13,261  SH     DEFINED     01       1,097      12,164           0
INFOBLOX INC                      COM   45672H104         107       4,953  SH     OTHER       01           0           0       4,953
INFOBLOX INC                      COM   45672H104       2,943     135,638  SH     DEFINED  01,08       2,472     133,166           0
INFOBLOX INC                      COM   45672H104         410      18,886  SH     DEFINED     09      18,886           0           0

INFORMATION SERVICES GROUP I      COM   45675Y104           7       3,691  SH     DEFINED     01           0       3,691           0
INFORMATION SERVICES GROUP I      COM   45675Y104          86      42,412  SH     DEFINED  01,08       5,203      37,209           0

INFOSONICS CORP                   COM   456784107           7      12,600  SH     DEFINED     01           0      12,600           0
INFOSONICS CORP                   COM   456784107           5       8,533  SH     DEFINED  01,08           0       8,533           0

INFOSYS LTD                       COM   456788108       3,490      64,739  SH     DEFINED     01       2,569      62,170           0
INFOSYS LTD                       COM   456788108          49         909  SH     OTHER       01         731         178           0
INFOSYS LTD                       COM   456788108      18,096     335,662  SH     DEFINED  01,08     333,412       2,250           0
INFOSYS LTD                       COM   456788108         663      12,296  SH     DEFINED     09      12,296           0           0

ING GROEP N V                     COM   456837103       3,279     454,835  SH     DEFINED     01     425,314      29,521           0
ING GROEP N V                     COM   456837103         356      49,388  SH     OTHER       01      27,941      11,642       9,805
ING GROEP N V                     COM   456837103       1,772     245,710  SH     DEFINED  01,08      65,747     179,963           0

INGLES MKTS INC                   COM   457030104         595      27,723  SH     DEFINED     01       1,977      25,746           0
INGLES MKTS INC                   COM   457030104       3,386     157,651  SH     DEFINED  01,08      20,653     136,998           0
INGLES MKTS INC                   COM   457030104         641      29,834  SH     DEFINED     09      29,834           0           0

INGRAM MICRO INC                  COM   457153104         466      23,704  SH     DEFINED     01      16,930       6,454         320
INGRAM MICRO INC                  COM   457153104      21,835   1,109,521  SH     DEFINED  01,08      15,054   1,094,467           0
INGRAM MICRO INC                  COM   457153104           0           1  SH     DEFINED     09           1           0           0

INGREDION INC                     COM   457187102       2,538      35,093  SH     DEFINED     01      25,435       9,658           0
INGREDION INC                     COM   457187102         128       1,776  SH     OTHER       01           0       1,751          25
INGREDION INC                     COM   457187102      41,658     576,018  SH     DEFINED  01,08       7,616     568,402           0
INGREDION INC                     COM   457187102           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    164
  ________

INLAND REAL ESTATE CORP           COM   457461200       1,241     122,973  SH     DEFINED     01      40,597      82,376           0
INLAND REAL ESTATE CORP           COM   457461200      10,394   1,030,092  SH     DEFINED  01,08     197,023     833,069           0
INLAND REAL ESTATE CORP           COM   457461200       2,169     214,959  SH     DEFINED     09     214,959           0           0

INNODATA INC                      COM   457642205          81      23,485  SH     DEFINED     01           0      23,485           0
INNODATA INC                      COM   457642205         790     228,993  SH     DEFINED  01,08      15,542     213,451           0
INNODATA INC                      COM   457642205         182      52,764  SH     DEFINED     09      52,764           0           0

INSIGHT ENTERPRISES INC           COM   45765U103       8,680     420,961  SH     DEFINED     01      14,120     406,841           0
INSIGHT ENTERPRISES INC           COM   45765U103      18,106     878,082  SH     DEFINED  01,08     416,719     461,363           0
INSIGHT ENTERPRISES INC           COM   45765U103       2,222     107,748  SH     DEFINED     09     107,748           0           0

INSIGNIA SYS INC                  COM   45765Y105          10       4,726  SH     DEFINED     01       1,000       3,726           0
INSIGNIA SYS INC                  COM   45765Y105          52      25,610  SH     DEFINED  01,08       3,823      21,787           0

INSMED INC                        COM   457669307          81      10,872  SH     DEFINED     01         520      10,352           0
INSMED INC                        COM   457669307         478      63,804  SH     DEFINED  01,08       9,798      54,006           0

INNOTRAC CORP                     COM   45767M109          17       5,465  SH     DEFINED     01           0       5,465           0
INNOTRAC CORP                     COM   45767M109          22       7,271  SH     DEFINED  01,08       6,368         903           0

INNOSPEC INC                      COM   45768S105       1,218      27,518  SH     DEFINED     01       3,654      23,864           0
INNOSPEC INC                      COM   45768S105       9,300     210,032  SH     DEFINED  01,08      18,172     191,860           0
INNOSPEC INC                      COM   45768S105       2,595      58,609  SH     DEFINED     09      58,609           0           0

INNOVATIVE SOLUTIONS & SUPPO      COM   45769N105          46       9,330  SH     DEFINED     01           0       9,330           0
INNOVATIVE SOLUTIONS & SUPPO      COM   45769N105         150      30,520  SH     DEFINED  01,08       5,753      24,767           0

INPHI CORP                        COM   45772F107         160      15,318  SH     DEFINED     01       2,740      12,578           0
INPHI CORP                        COM   45772F107       2,443     233,776  SH     DEFINED  01,08       4,893     228,883           0
INPHI CORP                        COM   45772F107         612      58,573  SH     DEFINED     09      58,573           0           0

INOVIO PHARMACEUTICALS INC        COM   45773H102         121     202,624  SH     DEFINED  01,08         910     201,714           0

INNERWORKINGS INC                 COM   45773Y105       3,160     208,713  SH     DEFINED     01     152,764      51,908       4,041
INNERWORKINGS INC                 COM   45773Y105         329      21,731  SH     OTHER       01       6,771      12,907       2,053
INNERWORKINGS INC                 COM   45773Y105       5,271     348,149  SH     DEFINED  01,08      15,024     333,125           0
INNERWORKINGS INC                 COM   45773Y105       1,130      74,660  SH     DEFINED     09      74,660           0           0

INNOPHOS HOLDINGS INC             COM   45774N108       5,487     100,511  SH     DEFINED     01      18,050      82,052         409
INNOPHOS HOLDINGS INC             COM   45774N108          11         200  SH     OTHER       01         200           0           0
INNOPHOS HOLDINGS INC             COM   45774N108      16,920     309,940  SH     DEFINED  01,08      78,908     231,032           0
INNOPHOS HOLDINGS INC             COM   45774N108       2,968      54,372  SH     DEFINED     09      54,372           0           0

INSTEEL INDUSTRIES INC            COM   45774W108         653      39,987  SH     DEFINED     01      20,581      18,799         607
INSTEEL INDUSTRIES INC            COM   45774W108          21       1,308  SH     OTHER       01       1,308           0           0
INSTEEL INDUSTRIES INC            COM   45774W108       2,968     181,865  SH     DEFINED  01,08      14,771     167,094           0
INSTEEL INDUSTRIES INC            COM   45774W108         698      42,773  SH     DEFINED     09      42,773           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    165
  ________

INSPERITY INC                     COM   45778Q107       1,003      35,337  SH     DEFINED     01       8,492      26,845           0
INSPERITY INC                     COM   45778Q107       7,390     260,472  SH     DEFINED  01,08      19,337     241,135           0
INSPERITY INC                     COM   45778Q107       1,672      58,937  SH     DEFINED     09      58,937           0           0

INSTITUTIONAL FINL MKTS INC       COM   45779L107           3       1,370  SH     DEFINED     01           0       1,370           0
INSTITUTIONAL FINL MKTS INC       COM   45779L107          33      14,224  SH     DEFINED  01,08       2,426      11,798           0

INSULET CORP                      COM   45784P101       1,244      48,121  SH     DEFINED     01       7,137      40,984           0
INSULET CORP                      COM   45784P101      14,442     558,485  SH     DEFINED  01,08      21,383     537,102           0
INSULET CORP                      COM   45784P101       3,395     131,303  SH     DEFINED     09     131,303           0           0

INTEGRA LIFESCIENCES HLDGS C      COM   457985208       1,182      30,301  SH     DEFINED     01       7,971      22,330           0
INTEGRA LIFESCIENCES HLDGS C      COM   457985208       8,643     221,553  SH     DEFINED  01,08      16,508     205,045           0
INTEGRA LIFESCIENCES HLDGS C      COM   457985208       1,888      48,390  SH     DEFINED     09      48,390           0           0

INTEGRATED ELECTRICAL SVC         COM   45811E301          15       2,343  SH     DEFINED     01           0       2,343           0
INTEGRATED ELECTRICAL SVC         COM   45811E301          97      14,897  SH     DEFINED  01,08       3,482      11,415           0

INTEGRATED DEVICE TECHNOLOGY      COM   458118106       1,299     173,913  SH     DEFINED     01      35,436     138,477           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106      14,831   1,985,435  SH     DEFINED  01,08      95,662   1,889,773           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106       2,565     343,421  SH     DEFINED     09     343,421           0           0

INTEGRATED SILICON SOLUTION       COM   45812P107         263      28,704  SH     DEFINED     01         730      27,974           0
INTEGRATED SILICON SOLUTION       COM   45812P107       2,643     288,267  SH     DEFINED  01,08      13,989     274,278           0
INTEGRATED SILICON SOLUTION       COM   45812P107         637      69,485  SH     DEFINED     09      69,485           0           0

INTEL CORP                     CONV DEB 458140AD2       3,332   3,140,000  PRN    DEFINED     01     740,000   2,400,000           0
INTEL CORP                     CONV DEB 458140AD2         690     650,000  PRN    OTHER       01           0     650,000           0
INTEL CORP                     CONV DEB 458140AD2       2,547   2,400,000  PRN    DEFINED  01,08   2,400,000           0           0

INTEL CORP                        COM   458140100     319,912  14,651,348  SH     DEFINED     01  10,294,977   4,087,343     269,028
INTEL CORP                        COM   458140100      61,997   2,839,338  SH     OTHER       01   1,780,962     809,779     248,597
INTEL CORP                        COM   458140100   1,003,781  45,971,208  SH     DEFINED  01,08   7,334,136  38,419,516     217,556
INTEL CORP                        COM   458140100     323,154  14,799,816  SH     DEFINED     09  14,799,816           0           0

INTELLICHECK MOBILISA INC         COM   45817G102           1       3,685  SH     DEFINED     01           0       3,685           0
INTELLICHECK MOBILISA INC         COM   45817G102           5      13,404  SH     DEFINED  01,08       1,885      11,519           0

INTEGRYS ENERGY GROUP INC         COM   45822P105      12,159     209,066  SH     DEFINED     01     144,714      61,499       2,853
INTEGRYS ENERGY GROUP INC         COM   45822P105         844      14,510  SH     OTHER       01      10,361       2,607       1,542
INTEGRYS ENERGY GROUP INC         COM   45822P105      41,674     716,542  SH     DEFINED  01,08      97,906     618,636           0
INTEGRYS ENERGY GROUP INC         COM   45822P105      13,426     230,847  SH     DEFINED     09     230,847           0           0

INTER PARFUMS INC                 COM   458334109       2,625     107,451  SH     DEFINED     01       5,947     101,504           0
INTER PARFUMS INC                 COM   458334109       6,720     275,053  SH     DEFINED  01,08     103,314     171,739           0
INTER PARFUMS INC                 COM   458334109         992      40,614  SH     DEFINED     09      40,614           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    166
  ________

INTERACTIVE BROKERS GROUP IN      COM   45841N107         471      31,614  SH     DEFINED     01      12,404      19,210           0
INTERACTIVE BROKERS GROUP IN      COM   45841N107       2,824     189,373  SH     DEFINED  01,08      25,423     163,950           0
INTERACTIVE BROKERS GROUP IN      COM   45841N107           0           1  SH     DEFINED     09           1           0           0

INTERACTIVE INTELLIGENCE GRO      COM   45841V109       1,969      44,403  SH     DEFINED     01      24,819      18,927         657
INTERACTIVE INTELLIGENCE GRO      COM   45841V109          63       1,416  SH     OTHER       01       1,416           0           0
INTERACTIVE INTELLIGENCE GRO      COM   45841V109       7,502     169,157  SH     DEFINED  01,08      15,525     153,632           0
INTERACTIVE INTELLIGENCE GRO      COM   45841V109       1,645      37,100  SH     DEFINED     09      37,100           0           0

INTERCEPT PHARMACEUTICALS IN      COM   45845P108         111       2,958  SH     DEFINED     01         470       2,488           0
INTERCEPT PHARMACEUTICALS IN      COM   45845P108       1,800      48,135  SH     DEFINED  01,08         752      47,383           0
INTERCEPT PHARMACEUTICALS IN      COM   45845P108         458      12,256  SH     DEFINED     09      12,256           0           0

INTERCONTINENTAL HTLS GRP PL      COM   45857P400         752      24,706  SH     DEFINED     01      23,101       1,160         445
INTERCONTINENTAL HTLS GRP PL      COM   45857P400          49       1,615  SH     OTHER       01       1,485         130           0
INTERCONTINENTAL HTLS GRP PL      COM   45857P400         388      12,768  SH     DEFINED  01,08           0      12,768           0

INTERCONTINENTALEXCHANGE INC      COM   45865V100     119,818     734,765  SH     DEFINED     01     637,244      86,828      10,693
INTERCONTINENTALEXCHANGE INC      COM   45865V100      13,935      85,456  SH     OTHER       01      67,873      14,508       3,075
INTERCONTINENTALEXCHANGE INC      COM   45865V100     110,330     676,583  SH     DEFINED  01,08     117,788     558,795           0
INTERCONTINENTALEXCHANGE INC      COM   45865V100      35,041     214,883  SH     DEFINED     09     214,883           0           0

INTERFACE INC                     COM   458665304       2,215     115,262  SH     DEFINED     01      51,365      62,766       1,131
INTERFACE INC                     COM   458665304          43       2,262  SH     OTHER       01       2,222          40           0
INTERFACE INC                     COM   458665304      12,703     660,950  SH     DEFINED  01,08      43,135     617,815           0
INTERFACE INC                     COM   458665304       2,871     149,354  SH     DEFINED     09     149,354           0           0

INTERDIGITAL INC                  COM   45867G101       3,372      70,445  SH     DEFINED     01      24,950      44,795         700
INTERDIGITAL INC                  COM   45867G101          62       1,299  SH     OTHER       01       1,299           0           0
INTERDIGITAL INC                  COM   45867G101      28,553     596,475  SH     DEFINED  01,08      31,611     564,864           0
INTERDIGITAL INC                  COM   45867G101       4,745      99,133  SH     DEFINED     09      99,133           0           0

INTERMEC INC                      COM   458786100         815      82,937  SH     DEFINED     01      23,123      59,814           0
INTERMEC INC                      COM   458786100       6,145     625,144  SH     DEFINED  01,08      38,815     586,329           0
INTERMEC INC                      COM   458786100       1,569     159,585  SH     DEFINED     09     159,585           0           0

INTERMOLECULAR INC                COM   45882D109          93       9,086  SH     DEFINED     01       1,430       7,656           0
INTERMOLECULAR INC                COM   45882D109       1,406     137,827  SH     DEFINED  01,08       2,047     135,780           0
INTERMOLECULAR INC                COM   45882D109         341      33,399  SH     DEFINED     09      33,399           0           0

INTERMUNE INC                     COM   45884X103         796      87,934  SH     DEFINED     01      10,236      77,698           0
INTERMUNE INC                     COM   45884X103       7,905     873,458  SH     DEFINED  01,08      51,195     822,263           0
INTERMUNE INC                     COM   45884X103       1,868     206,445  SH     DEFINED     09     206,445           0           0

INTERNAP NETWORK SVCS CORP        COM   45885A300         502      53,722  SH     DEFINED     01       7,698      46,024           0
INTERNAP NETWORK SVCS CORP        COM   45885A300       5,374     574,802  SH     DEFINED  01,08      28,931     545,871           0
INTERNAP NETWORK SVCS CORP        COM   45885A300       1,211     129,485  SH     DEFINED     09     129,485           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    167
  ________

INTERNATIONAL BANCSHARES COR      COM   459044103       9,700     466,349  SH     DEFINED     01       7,313     459,036           0
INTERNATIONAL BANCSHARES COR      COM   459044103           1          30  SH     OTHER       01           0          30           0
INTERNATIONAL BANCSHARES COR      COM   459044103      25,433   1,222,746  SH     DEFINED  01,08     478,048     744,698           0
INTERNATIONAL BANCSHARES COR      COM   459044103       2,670     128,356  SH     DEFINED     09     128,356           0           0

INTERNATIONAL BUSINESS MACHS      COM   459200101     618,465   2,899,508  SH     DEFINED     01   2,030,039     771,348      98,121
INTERNATIONAL BUSINESS MACHS      COM   459200101     144,571     677,781  SH     OTHER       01     446,552     175,678      55,551
INTERNATIONAL BUSINESS MACHS      COM   459200101   2,047,887   9,600,971  SH     DEFINED  01,08   1,447,982   8,152,989           0
INTERNATIONAL BUSINESS MACHS      COM   459200101     674,351   3,161,515  SH     DEFINED     09   3,161,515           0           0

INTERNATIONAL FLAVORS&FRAGRA      COM   459506101      27,086     353,284  SH     DEFINED     01      44,349     308,834         101
INTERNATIONAL FLAVORS&FRAGRA      COM   459506101         506       6,605  SH     OTHER       01       5,092       1,513           0
INTERNATIONAL FLAVORS&FRAGRA      COM   459506101      55,743     727,052  SH     DEFINED  01,08     102,827     624,225           0
INTERNATIONAL FLAVORS&FRAGRA      COM   459506101      17,998     234,751  SH     DEFINED     09     234,751           0           0

INTERNATIONAL GAME TECHNOLOG      COM   459902102       9,184     556,606  SH     DEFINED     01     362,529     187,671       6,406
INTERNATIONAL GAME TECHNOLOG      COM   459902102         822      49,826  SH     OTHER       01      11,636      37,742         448
INTERNATIONAL GAME TECHNOLOG      COM   459902102      39,881   2,417,040  SH     DEFINED  01,08     392,624   2,024,416           0
INTERNATIONAL GAME TECHNOLOG      COM   459902102      10,882     659,532  SH     DEFINED     09     659,532           0           0

INTL PAPER CO                     COM   460146103      28,108     603,431  SH     DEFINED     01     291,502     300,087      11,842
INTL PAPER CO                     COM   460146103       2,077      44,589  SH     OTHER       01      28,457      14,654       1,478
INTL PAPER CO                     COM   460146103     211,685   4,544,546  SH     DEFINED  01,08   1,209,185   3,335,361           0
INTL PAPER CO                     COM   460146103      61,778   1,326,278  SH     DEFINED     09   1,326,278           0           0

INTERNATIONAL RECTIFIER CORP      COM   460254105       4,468     211,258  SH     DEFINED     01     138,998      68,011       4,249
INTERNATIONAL RECTIFIER CORP      COM   460254105         192       9,067  SH     OTHER       01       4,888       3,596         583
INTERNATIONAL RECTIFIER CORP      COM   460254105      20,261     957,980  SH     DEFINED  01,08      45,673     912,307           0
INTERNATIONAL RECTIFIER CORP      COM   460254105       3,726     176,187  SH     DEFINED     09     176,187           0           0

INTERNATIONAL SHIPHOLDING CO      COM   460321201         151       8,309  SH     DEFINED     01         980       7,329           0
INTERNATIONAL SHIPHOLDING CO      COM   460321201       1,036      56,903  SH     DEFINED  01,08       4,846      52,057           0
INTERNATIONAL SHIPHOLDING CO      COM   460321201         249      13,666  SH     DEFINED     09      13,666           0           0

INTERNATIONAL SPEEDWAY CORP       COM   460335201       2,970      90,867  SH     DEFINED     01       2,657      88,210           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201         441      13,500  SH     OTHER       01           0      13,500           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201      13,884     424,838  SH     DEFINED  01,08      72,150     352,688           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201       2,268      69,410  SH     DEFINED     09      69,410           0           0

INTERPHASE CORP                   COM   460593106           7       2,880  SH     DEFINED     01           0       2,880           0
INTERPHASE CORP                   COM   460593106          39      15,297  SH     DEFINED  01,08       2,991      12,306           0

INTERSIL CORP                     COM   46069S109       5,634     646,822  SH     DEFINED     01     101,159     542,471       3,192
INTERSIL CORP                     COM   46069S109          14       1,565  SH     OTHER       01       1,565           0           0
INTERSIL CORP                     COM   46069S109      18,904   2,170,345  SH     DEFINED  01,08     471,863   1,698,482           0
INTERSIL CORP                     COM   46069S109       2,778     318,978  SH     DEFINED     09     318,978           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    168
  ________

INTERPUBLIC GROUP COS INC         COM   460690100       7,267     557,726  SH     DEFINED     01     289,407     267,293       1,026
INTERPUBLIC GROUP COS INC         COM   460690100         890      68,269  SH     OTHER       01      10,255      57,664         350
INTERPUBLIC GROUP COS INC         COM   460690100      48,927   3,754,918  SH     DEFINED  01,08     576,045   3,178,873           0
INTERPUBLIC GROUP COS INC         COM   460690100      16,683   1,280,337  SH     DEFINED     09   1,280,337           0           0

INTERVEST BANCSHARES CORP         COM   460927106          14       2,437  SH     DEFINED     01         355       2,082           0
INTERVEST BANCSHARES CORP         COM   460927106         111      18,794  SH     DEFINED  01,08       2,265      16,529           0

INTEROIL CORP                     COM   460951106         977      12,842  SH     DEFINED     01      12,738           0         104
INTEROIL CORP                     COM   460951106           9         124  SH     OTHER       01          64          60           0
INTEROIL CORP                     COM   460951106         464       6,100  SH     DEFINED  01,08       6,100           0           0

INTERSECTIONS INC                 COM   460981301         287      30,484  SH     DEFINED     01          50      30,434           0
INTERSECTIONS INC                 COM   460981301         911      96,805  SH     DEFINED  01,08       3,460      93,345           0
INTERSECTIONS INC                 COM   460981301         179      18,981  SH     DEFINED     09      18,981           0           0

INTERVAL LEISURE GROUP INC        COM   46113M108       1,310      60,279  SH     DEFINED     01      12,336      47,943           0
INTERVAL LEISURE GROUP INC        COM   46113M108       9,618     442,420  SH     DEFINED  01,08      32,439     409,981           0
INTERVAL LEISURE GROUP INC        COM   46113M108       2,111      97,080  SH     DEFINED     09      97,080           0           0

INTEST CORP                       COM   461147100          14       4,431  SH     DEFINED     01           0       4,431           0
INTEST CORP                       COM   461147100          46      14,951  SH     DEFINED  01,08       4,544      10,407           0

INTEVAC INC                       COM   461148108       1,007     213,292  SH     DEFINED     01       8,626     204,666           0
INTEVAC INC                       COM   461148108       1,997     423,019  SH     DEFINED  01,08     193,446     229,573           0
INTEVAC INC                       COM   461148108         211      44,680  SH     DEFINED     09      44,680           0           0

INTL FCSTONE INC                  COM   46116V105         379      21,767  SH     DEFINED     01       2,031      19,736           0
INTL FCSTONE INC                  COM   46116V105       2,714     155,892  SH     DEFINED  01,08      15,377     140,515           0
INTL FCSTONE INC                  COM   46116V105         669      38,404  SH     DEFINED     09      38,404           0           0

INTRALINKS HLDGS INC              COM   46118H104         181      28,507  SH     DEFINED     01       5,311      23,196           0
INTRALINKS HLDGS INC              COM   46118H104       2,383     374,640  SH     DEFINED  01,08       7,741     366,899           0
INTRALINKS HLDGS INC              COM   46118H104         680     106,928  SH     DEFINED     09     106,928           0           0

INTUITIVE SURGICAL INC            COM   46120E602      47,067      95,823  SH     DEFINED     01      57,406      37,129       1,288
INTUITIVE SURGICAL INC            COM   46120E602       1,577       3,211  SH     OTHER       01       2,146       1,060           5
INTUITIVE SURGICAL INC            COM   46120E602     178,898     364,213  SH     DEFINED  01,08      53,940     310,273           0
INTUITIVE SURGICAL INC            COM   46120E602      57,844     117,763  SH     DEFINED     09     117,763           0           0

INTUIT                            COM   461202103      45,114     687,086  SH     DEFINED     01     465,176     216,098       5,812
INTUIT                            COM   461202103       2,117      32,247  SH     OTHER       01      25,596       5,411       1,240
INTUIT                            COM   461202103     167,100   2,544,928  SH     DEFINED  01,08     367,942   2,176,986           0
INTUIT                            COM   461202103      53,686     817,634  SH     DEFINED     09     817,634           0           0

INVACARE CORP                     COM   461203101         645      49,398  SH     DEFINED     01      12,402      36,996           0
INVACARE CORP                     COM   461203101           0           7  SH     OTHER       01           0           7           0
INVACARE CORP                     COM   461203101       4,560     349,424  SH     DEFINED  01,08      26,127     323,297           0
INVACARE CORP                     COM   461203101       1,058      81,046  SH     DEFINED     09      81,046           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    169
  ________

INTRICON CORP                     COM   46121H109          36       7,778  SH     DEFINED     01           0       7,778           0
INTRICON CORP                     COM   46121H109          67      14,619  SH     DEFINED  01,08       9,915       4,704           0

INTREPID POTASH INC               COM   46121Y102       1,381      73,604  SH     DEFINED     01      48,700      23,958         946
INTREPID POTASH INC               COM   46121Y102         281      15,002  SH     OTHER       01      11,307       3,420         275
INTREPID POTASH INC               COM   46121Y102       7,937     423,099  SH     DEFINED  01,08      30,212     392,887           0
INTREPID POTASH INC               COM   46121Y102           0           1  SH     DEFINED     09           1           0           0

INVENTURE FOODS INC               COM   461212102          72       9,192  SH     DEFINED     01         395       8,797           0
INVENTURE FOODS INC               COM   461212102         999     128,368  SH     DEFINED  01,08       5,171     123,197           0
INVENTURE FOODS INC               COM   461212102         250      32,188  SH     DEFINED     09      32,188           0           0

INUVO INC                         COM   46122W204           2       3,064  SH     DEFINED     01         463       2,601           0
INUVO INC                         COM   46122W204          12      18,846  SH     DEFINED  01,08       1,766      17,080           0

INVENSENSE INC                    COM   46123D205         336      31,496  SH     DEFINED     01       2,576      28,920           0
INVENSENSE INC                    COM   46123D205       4,121     385,865  SH     DEFINED  01,08       9,328     376,537           0
INVENSENSE INC                    COM   46123D205         914      85,622  SH     DEFINED     09      85,622           0           0

INVESCO MORTGAGE CAPITAL INC      COM   46131B100      12,173     569,083  SH     DEFINED     01      27,158     541,925           0
INVESCO MORTGAGE CAPITAL INC      COM   46131B100      38,922   1,819,640  SH     DEFINED  01,08     508,075   1,311,565           0
INVESCO MORTGAGE CAPITAL INC      COM   46131B100       7,022     328,295  SH     DEFINED     09     328,295           0           0

INVESCO MUN OPPORTUNITY TR     UNDEFIND 46132C107           2      15,497         DEFINED     01      15,497           0           0
INVESCO MUN OPPORTUNITY TR     UNDEFIND 46132C107           1       6,648         OTHER       01       5,441       1,207           0

INVESTMENT TECHNOLOGY GRP NE      COM   46145F105         653      59,178  SH     DEFINED     01      15,992      43,086         100
INVESTMENT TECHNOLOGY GRP NE      COM   46145F105       4,855     439,747  SH     DEFINED  01,08      35,866     403,881           0
INVESTMENT TECHNOLOGY GRP NE      COM   46145F105       1,144     103,643  SH     DEFINED     09     103,643           0           0

INVESTORS BANCORP INC             COM   46146P102       2,153     114,628  SH     DEFINED     01      57,869      55,449       1,310
INVESTORS BANCORP INC             COM   46146P102         324      17,275  SH     OTHER       01           0      16,350         925
INVESTORS BANCORP INC             COM   46146P102       9,779     520,718  SH     DEFINED  01,08      34,915     485,803           0
INVESTORS BANCORP INC             COM   46146P102       2,132     113,545  SH     DEFINED     09     113,545           0           0

INVESTORS REAL ESTATE TR          COM   461730103       3,824     387,447  SH     DEFINED     01      12,634     374,633         180
INVESTORS REAL ESTATE TR          COM   461730103      14,354   1,454,297  SH     DEFINED  01,08     525,943     928,354           0
INVESTORS REAL ESTATE TR          COM   461730103       2,507     254,041  SH     DEFINED     09     254,041           0           0

INVESTORS TITLE CO                COM   461804106         313       4,527  SH     DEFINED     01           0       4,527           0
INVESTORS TITLE CO                COM   461804106       1,124      16,279  SH     DEFINED  01,08       4,100      12,179           0
INVESTORS TITLE CO                COM   461804106         238       3,440  SH     DEFINED     09       3,440           0           0

ION GEOPHYSICAL CORP              COM   462044108       1,311     192,570  SH     DEFINED     01      43,843     148,447         280
ION GEOPHYSICAL CORP              COM   462044108       9,983   1,465,955  SH     DEFINED  01,08     102,647   1,363,308           0
ION GEOPHYSICAL CORP              COM   462044108       2,090     306,863  SH     DEFINED     09     306,863           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    170
  ________

IPASS INC                         COM   46261V108          87      43,862  SH     DEFINED     01           0      43,862           0
IPASS INC                         COM   46261V108       1,035     522,611  SH     DEFINED  01,08      24,702     497,909           0
IPASS INC                         COM   46261V108         258     130,362  SH     DEFINED     09     130,362           0           0

IRIDEX CORP                       COM   462684101          24       5,385  SH     DEFINED     01           0       5,385           0
IRIDEX CORP                       COM   462684101          34       7,555  SH     DEFINED  01,08       4,966       2,589           0

IRIDIUM COMMUNICATIONS INC        COM   46269C102         223      37,025  SH     DEFINED     01       3,140      33,885           0
IRIDIUM COMMUNICATIONS INC        COM   46269C102       3,340     553,841  SH     DEFINED  01,08      17,099     536,742           0
IRIDIUM COMMUNICATIONS INC        COM   46269C102         715     118,584  SH     DEFINED     09     118,584           0           0

IROBOT CORP                       COM   462726100         850      33,138  SH     DEFINED     01      10,438      22,700           0
IROBOT CORP                       COM   462726100       7,620     296,968  SH     DEFINED  01,08      13,627     283,341           0
IROBOT CORP                       COM   462726100       1,688      65,776  SH     DEFINED     09      65,776           0           0

IRON MTN INC                      COM   462846106       7,568     208,415  SH     DEFINED     01      82,446     125,832         137
IRON MTN INC                      COM   462846106         310       8,538  SH     OTHER       01       2,281       6,257           0
IRON MTN INC                      COM   462846106      53,275   1,467,225  SH     DEFINED  01,08     199,150   1,268,075           0
IRON MTN INC                      COM   462846106      16,943     466,629  SH     DEFINED     09     466,629           0           0

IRONWOOD PHARMACEUTICALS INC      COM   46333X108       1,178      64,444  SH     DEFINED     01       9,764      54,680           0
IRONWOOD PHARMACEUTICALS INC      COM   46333X108         104       5,700  SH     OTHER       01           0       5,700           0
IRONWOOD PHARMACEUTICALS INC      COM   46333X108      14,708     804,353  SH     DEFINED  01,08      17,464     786,889           0
IRONWOOD PHARMACEUTICALS INC      COM   46333X108       3,446     188,460  SH     DEFINED     09     188,460           0           0

ISHARES SILVER TRUST              COM   46428Q109       1,025      37,364  SH     DEFINED     01      37,364           0           0
ISHARES SILVER TRUST              COM   46428Q109         238       8,675  SH     OTHER       01       8,675           0           0

ISHARES GOLD TRUST                COM   464285105     104,804   6,752,831  SH     DEFINED     01   6,591,380      71,530      89,921
ISHARES GOLD TRUST                COM   464285105      12,222     787,470  SH     OTHER       01     645,437      94,626      47,407

ISHARES INC                       COM   464286103         914      33,789  SH     DEFINED     01      30,064           0       3,725
ISHARES INC                       COM   464286103         464      17,170  SH     OTHER       01      12,445           0       4,725

ISHARES INC                       COM   464286400         580      10,644  SH     DEFINED     01      10,624           0          20
ISHARES INC                       COM   464286400         337       6,180  SH     OTHER       01       6,180           0           0

ISHARES INC                       COM   464286509       1,455      51,030  SH     DEFINED     01      43,880       7,100          50
ISHARES INC                       COM   464286509         290      10,185  SH     OTHER       01      10,185           0           0
ISHARES INC                       COM   464286509       2,696      94,569  SH     DEFINED  01,08      94,569           0           0

ISHARES INC                       COM   464286632         273       6,048  SH     DEFINED     01       6,048           0           0

ISHARES INC                       COM   464286665       4,843      97,437  SH     DEFINED     01      96,362           0       1,075
ISHARES INC                       COM   464286665         288       5,785  SH     OTHER       01       5,785           0           0

ISHARES INC                       COM   464286673         399      28,588  SH     DEFINED     01      28,488           0         100
ISHARES INC                       COM   464286673         310      22,200  SH     OTHER       01      12,895       3,305       6,000


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    171
  ________

ISHARES INC                       COM   464286731           1         100  SH     DEFINED     01           0           0         100
ISHARES INC                       COM   464286731          34       2,585  SH     OTHER       01       1,035       1,550           0
ISHARES INC                       COM   464286731      26,237   1,966,759  SH     DEFINED  01,08   1,966,759           0           0

ISHARES INC                       COM   464286772           1          25  SH     DEFINED     01           0           0          25
ISHARES INC                       COM   464286772         130       2,190  SH     OTHER       01       2,190           0           0
ISHARES INC                       COM   464286772       4,747      79,880  SH     DEFINED  01,08      79,880           0           0

ISHARES INC                       COM   464286822         248       3,325  SH     DEFINED     01       3,325           0           0

ISHARES INC                       COM   464286830         171      11,450  SH     DEFINED     01      11,450           0           0
ISHARES INC                       COM   464286830          79       5,260  SH     OTHER       01       2,080       3,180           0

ISHARES INC                       COM   464286848       1,218     112,784  SH     DEFINED     01     112,784           0           0
ISHARES INC                       COM   464286848          89       8,200  SH     OTHER       01         200           0       8,000

ISHARES INC                       COM   464286871         321      16,175  SH     DEFINED     01      16,175           0           0
ISHARES INC                       COM   464286871           9         435  SH     OTHER       01         435           0           0

ISHARES TR                        COM   464287101      13,543     192,290  SH     DEFINED     01      51,290     141,000           0

ISHARES TR                        COM   464287168     159,584   2,517,105  SH     DEFINED     01   2,340,208      93,845      83,052
ISHARES TR                        COM   464287168      31,568     497,915  SH     OTHER       01     352,594     112,846      32,475

ISHARES TR                        COM   464287184          56       1,515  SH     DEFINED     01       1,480           0          35
ISHARES TR                        COM   464287184         484      13,110  SH     OTHER       01       9,755       3,355           0

ISHARES TR                        COM   464287200      13,765      87,472  SH     DEFINED     01      85,701       1,706          65
ISHARES TR                        COM   464287200       3,676      23,360  SH     OTHER       01      17,166       5,445         749

ISHARES TR                     UNDEFIND 464287226         483     435,985         DEFINED     01     421,674       5,614       8,697
ISHARES TR                     UNDEFIND 464287226          31      27,998         OTHER       01      20,693       7,305           0

ISHARES TR                        COM   464287234     328,614   7,683,279  SH     DEFINED     01   6,858,740     461,009     363,530
ISHARES TR                        COM   464287234      84,852   1,983,904  SH     OTHER       01   1,556,703     207,959     219,242

ISHARES TR                     UNDEFIND 464287242       1,776   1,480,966         DEFINED     01   1,429,172      16,525      35,269
ISHARES TR                     UNDEFIND 464287242         289     240,639         OTHER       01     177,834      46,155      16,650

ISHARES TR                        COM   464287309       5,260      63,851  SH     DEFINED     01      63,851           0           0
ISHARES TR                        COM   464287309         297       3,609  SH     OTHER       01       3,609           0           0

ISHARES TR                        COM   464287341         383       9,588  SH     DEFINED     01       4,188           0       5,400
ISHARES TR                        COM   464287341         156       3,900  SH     OTHER       01           0       3,900           0

ISHARES TR                        COM   464287374       1,101      27,145  SH     DEFINED     01      27,145           0           0
ISHARES TR                        COM   464287374       1,289      31,768  SH     OTHER       01      26,478           0       5,290


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    172
  ________

ISHARES TR                        COM   464287390         247       5,661  SH     DEFINED     01       5,661           0           0
ISHARES TR                        COM   464287390          91       2,075  SH     OTHER       01       2,075           0           0

ISHARES TR                        COM   464287408       2,692      36,481  SH     DEFINED     01      36,481           0           0
ISHARES TR                        COM   464287408         291       3,949  SH     OTHER       01       3,949           0           0

ISHARES TR                     UNDEFIND 464287457          26      31,190         DEFINED     01      27,850       1,600       1,740

ISHARES TR                        COM   464287465     561,904   9,527,021  SH     DEFINED     01   8,625,753     503,083     398,185
ISHARES TR                        COM   464287465     141,093   2,392,216  SH     OTHER       01   1,729,399     420,462     242,355
ISHARES TR                        COM   464287465     173,933   2,949,024  SH     DEFINED  01,08   1,710,386   1,238,638           0

ISHARES TR                        COM   464287473       7,526     132,029  SH     DEFINED     01      26,516     105,513           0
ISHARES TR                        COM   464287473         337       5,911  SH     OTHER       01       4,401           0       1,510

ISHARES TR                        COM   464287481      14,932     213,714  SH     DEFINED     01      40,586     172,778         350
ISHARES TR                        COM   464287481         213       3,055  SH     OTHER       01       2,885         170           0

ISHARES TR                        COM   464287499      49,421     388,258  SH     DEFINED     01     379,115         958       8,185
ISHARES TR                        COM   464287499       8,221      64,585  SH     OTHER       01      44,024      12,292       8,269

ISHARES TR                        COM   464287507      35,893     311,926  SH     DEFINED     01     277,947      26,280       7,699
ISHARES TR                        COM   464287507       7,320      63,616  SH     OTHER       01      41,452       4,860      17,304
ISHARES TR                        COM   464287507       5,600      48,669  SH     DEFINED  01,08           0      48,669           0

ISHARES TR                        COM   464287556       6,190      38,707  SH     DEFINED     01      37,057         840         810
ISHARES TR                        COM   464287556       1,219       7,620  SH     OTHER       01       6,065         955         600

ISHARES TR                        COM   464287564          16         195  SH     DEFINED     01         195           0           0
ISHARES TR                        COM   464287564         322       3,911  SH     OTHER       01         910       3,001           0

ISHARES TR                        COM   464287598      32,753     403,515  SH     DEFINED     01     376,455      18,562       8,498
ISHARES TR                        COM   464287598       5,568      68,596  SH     OTHER       01      34,534      16,655      17,407

ISHARES TR                        COM   464287606       6,817      53,196  SH     DEFINED     01      53,196           0           0
ISHARES TR                        COM   464287606       1,489      11,620  SH     OTHER       01       7,724           0       3,896

ISHARES TR                        COM   464287614     307,519   4,308,804  SH     DEFINED     01   1,264,496   3,037,211       7,097
ISHARES TR                        COM   464287614       4,445      62,278  SH     OTHER       01      25,741      19,257      17,280

ISHARES TR                        COM   464287622      34,756     398,533  SH     DEFINED     01     390,533       7,600         400
ISHARES TR                        COM   464287622      18,429     211,319  SH     OTHER       01     179,231      30,388       1,700

ISHARES TR                        COM   464287630      43,811     522,747  SH     DEFINED     01     486,027      21,030      15,690
ISHARES TR                        COM   464287630      10,788     128,716  SH     OTHER       01      72,460      28,461      27,795

ISHARES TR                        COM   464287648      26,415     245,404  SH     DEFINED     01     190,531      50,337       4,536
ISHARES TR                        COM   464287648       6,261      58,169  SH     OTHER       01      41,747       6,146      10,276


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    173
  ________

ISHARES TR                        COM   464287655     131,667   1,394,332  SH     DEFINED     01   1,148,591     212,595      33,146
ISHARES TR                        COM   464287655      26,959     285,496  SH     OTHER       01     183,320      77,399      24,777

ISHARES TR                        COM   464287689      40,753     436,051  SH     DEFINED     01     400,165      35,886           0
ISHARES TR                        COM   464287689       3,474      37,175  SH     OTHER       01      19,170      13,055       4,950

ISHARES TR                        COM   464287705       7,832      77,625  SH     DEFINED     01      64,448       3,100      10,077
ISHARES TR                        COM   464287705       2,771      27,466  SH     OTHER       01      15,281       8,496       3,689

ISHARES TR                        COM   464287713       1,512      62,221  SH     DEFINED     01      59,696       1,625         900
ISHARES TR                        COM   464287713         632      25,999  SH     OTHER       01      13,046       2,300      10,653

ISHARES TR                        COM   464287739       3,791      54,557  SH     DEFINED     01       4,773      49,784           0

ISHARES TR                        COM   464287762         155       1,605  SH     DEFINED     01       1,605           0           0
ISHARES TR                        COM   464287762         210       2,180  SH     OTHER       01         865       1,315           0

ISHARES TR                        COM   464287804      58,490     671,838  SH     DEFINED     01     642,338       8,880      20,620
ISHARES TR                        COM   464287804      14,974     171,992  SH     OTHER       01     125,225      30,109      16,658
ISHARES TR                        COM   464287804       5,404      62,067  SH     DEFINED  01,08           0      62,067           0

ISHARES TR                        COM   464287879         379       4,218  SH     DEFINED     01       4,218           0           0
ISHARES TR                        COM   464287879          58         640  SH     OTHER       01         640           0           0

ISHARES TR                        COM   464287887         484       5,152  SH     DEFINED     01       5,152           0           0
ISHARES TR                        COM   464287887          48         510  SH     OTHER       01         510           0           0

ISHARES TR                        COM   464288174       3,139      62,888  SH     DEFINED     01      62,888           0           0

ISHARES TR                        COM   464288182       2,770      46,880  SH     DEFINED     01      46,880           0           0

ISHARES TR                        COM   464288273         409       9,300  SH     DEFINED  01,08       9,300           0           0

ISHARES TR                        COM   464288372         183       4,925  SH     DEFINED     01       4,925           0           0
ISHARES TR                        COM   464288372         306       8,225  SH     OTHER       01       8,225           0           0

ISHARES TR                     UNDEFIND 464288414          15      14,030         DEFINED     01      14,030           0           0
ISHARES TR                     UNDEFIND 464288414           2       2,000         OTHER       01       2,000           0           0

ISHARES TR                     UNDEFIND 464288513       2,608   2,764,494         DEFINED     01   2,640,253      75,273      48,968
ISHARES TR                     UNDEFIND 464288513         496     525,195         OTHER       01     334,051     126,083      65,061

ISHARES TR                        COM   464288539         193      12,335  SH     DEFINED     01      12,335           0           0

ISHARES TR                        COM   464288570       5,261      90,450  SH     DEFINED     01      90,450           0           0

ISHARES TR                     UNDEFIND 464288620         195     173,083         DEFINED     01     151,613       1,755      19,715
ISHARES TR                     UNDEFIND 464288620          27      24,176         OTHER       01      15,156       5,075       3,945


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    174
  ________

ISHARES TR                     UNDEFIND 464288638       1,688   1,518,361         DEFINED     01   1,467,235      27,235      23,891
ISHARES TR                     UNDEFIND 464288638         220     197,983         OTHER       01     154,485      13,693      29,805

ISHARES TR                     UNDEFIND 464288646       4,164   3,945,343         DEFINED     01   3,798,198      40,574     106,571
ISHARES TR                     UNDEFIND 464288646         486     460,308         OTHER       01     377,687      59,382      23,239

ISHARES TR                     UNDEFIND 464288653         139     103,879         DEFINED     01     103,879           0           0

ISHARES TR                        PFD   464288687       1,680      41,449         DEFINED     01      39,224       2,225           0
ISHARES TR                        PFD   464288687         727      17,935         OTHER       01      16,635           0       1,300

ISHARES TR                        COM   464288802         261       3,925  SH     DEFINED     01           0           0       3,925

ISHARES TR                        COM   464288877      11,941     240,083  SH     DEFINED     01     240,083           0           0

ISHARES TR                        COM   464288885         157       2,477  SH     DEFINED     01       1,602         875           0
ISHARES TR                        COM   464288885         718      11,340  SH     OTHER       01      11,340           0           0

ISHARES TR                     UNDEFIND 46429B135         300      11,100         DEFINED     01      11,100           0           0

ISIS PHARMACEUTICALS INC          COM   464330109       1,973     116,497  SH     DEFINED     01      14,006     102,491           0
ISIS PHARMACEUTICALS INC          COM   464330109      18,809   1,110,329  SH     DEFINED  01,08      67,883   1,042,446           0
ISIS PHARMACEUTICALS INC          COM   464330109       4,234     249,955  SH     DEFINED     09     249,955           0           0

ISHARES INC                       COM   46434G103      37,454     737,861  SH     DEFINED  01,08     737,861           0           0

ISLE OF CAPRI CASINOS INC         COM   464592104         246      39,098  SH     DEFINED     01       2,724      36,374           0
ISLE OF CAPRI CASINOS INC         COM   464592104       1,470     233,641  SH     DEFINED  01,08      28,016     205,625           0
ISLE OF CAPRI CASINOS INC         COM   464592104         268      42,586  SH     DEFINED     09      42,586           0           0

ISORAY INC                        COM   46489V104          25      47,026  SH     DEFINED  01,08           0      47,026           0

ISRAMCO INC                       COM   465141406         198       2,001  SH     DEFINED     01           0       2,001           0
ISRAMCO INC                       COM   465141406       1,133      11,427  SH     DEFINED  01,08       1,462       9,965           0
ISRAMCO INC                       COM   465141406         289       2,918  SH     DEFINED     09       2,918           0           0

ITAU UNIBANCO HLDG SA             PFD   465562106      27,554   1,547,978         DEFINED     01   1,450,992      88,381       8,605
ITAU UNIBANCO HLDG SA             PFD   465562106       1,578      88,663         OTHER       01      65,279      17,524       5,860
ITAU UNIBANCO HLDG SA             PFD   465562106       9,893     555,780         DEFINED  01,08     433,730     122,050           0

ITERIS INC                        COM   46564T107       2,087   1,146,949  SH     DEFINED     01   1,140,005       6,944           0
ITERIS INC                        COM   46564T107          61      33,573  SH     DEFINED  01,08       6,964      26,609           0

ITC HLDGS CORP                    COM   465685105       2,066      23,146  SH     DEFINED     01      16,254       6,892           0
ITC HLDGS CORP                    COM   465685105          56         630  SH     OTHER       01           0          30         600
ITC HLDGS CORP                    COM   465685105      19,430     217,679  SH     DEFINED  01,08       8,109     209,570           0
ITC HLDGS CORP                    COM   465685105           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    175
  ________

ITRON INC                         COM   465741106       1,463      31,531  SH     DEFINED     01      10,489      21,042           0
ITRON INC                         COM   465741106           1          31  SH     OTHER       01           0          30           1
ITRON INC                         COM   465741106      14,633     315,366  SH     DEFINED  01,08      25,218     290,148           0
ITRON INC                         COM   465741106           0           1  SH     DEFINED     09           1           0           0

IXYS CORP                         COM   46600W106         409      42,671  SH     DEFINED     01       3,786      38,885           0
IXYS CORP                         COM   46600W106       2,637     275,012  SH     DEFINED  01,08      31,045     243,967           0
IXYS CORP                         COM   46600W106         542      56,526  SH     DEFINED     09      56,526           0           0

J & J SNACK FOODS CORP            COM   466032109       4,345      56,504  SH     DEFINED     01      37,040      19,218         246
J & J SNACK FOODS CORP            COM   466032109          83       1,078  SH     OTHER       01         536         542           0
J & J SNACK FOODS CORP            COM   466032109      13,018     169,308  SH     DEFINED  01,08      14,895     154,413           0
J & J SNACK FOODS CORP            COM   466032109       2,865      37,255  SH     DEFINED     09      37,255           0           0

JDS UNIPHASE CORP                 COM   46612J507       3,345     250,299  SH     DEFINED     01     120,899     128,982         418
JDS UNIPHASE CORP                 COM   46612J507          52       3,868  SH     OTHER       01       3,257         451         160
JDS UNIPHASE CORP                 COM   46612J507      24,648   1,844,228  SH     DEFINED  01,08      64,852   1,779,376           0
JDS UNIPHASE CORP                 COM   46612J507       4,594     343,718  SH     DEFINED     09     343,718           0           0

JPMORGAN CHASE & CO               COM   46625H100     559,848  11,796,204  SH     DEFINED     01   8,253,388   3,125,750     417,066
JPMORGAN CHASE & CO               COM   46625H100     103,384   2,178,349  SH     OTHER       01   1,378,501     464,733     335,115
JPMORGAN CHASE & CO               COM   46625H100   1,660,528  34,987,948  SH     DEFINED  01,08   5,501,270  29,320,612     166,066
JPMORGAN CHASE & CO               COM   46625H100     527,641  11,117,598  SH     DEFINED     09  11,117,598           0           0

JMP GROUP INC                     COM   46629U107          77      11,162  SH     DEFINED     01       1,830       9,332           0
JMP GROUP INC                     COM   46629U107       1,070     154,795  SH     DEFINED  01,08       5,250     149,545           0
JMP GROUP INC                     COM   46629U107         220      31,842  SH     DEFINED     09      31,842           0           0

JABIL CIRCUIT INC                 COM   466313103       4,450     240,805  SH     DEFINED     01      93,502     146,948         355
JABIL CIRCUIT INC                 COM   466313103         333      17,996  SH     OTHER       01       3,526      13,205       1,265
JABIL CIRCUIT INC                 COM   466313103      27,315   1,478,060  SH     DEFINED  01,08      51,720   1,426,340           0
JABIL CIRCUIT INC                 COM   466313103       5,028     272,057  SH     DEFINED     09     272,057           0           0

JACK IN THE BOX INC               COM   466367109       2,509      72,526  SH     DEFINED     01      18,239      54,087         200
JACK IN THE BOX INC               COM   466367109          22         625  SH     OTHER       01         600          25           0
JACK IN THE BOX INC               COM   466367109      17,177     496,596  SH     DEFINED  01,08      40,144     456,452           0
JACK IN THE BOX INC               COM   466367109       3,743     108,217  SH     DEFINED     09     108,217           0           0

JACOBS ENGR GROUP INC DEL         COM   469814107      15,078     268,093  SH     DEFINED     01     166,784     100,362         947
JACOBS ENGR GROUP INC DEL         COM   469814107       4,657      82,814  SH     OTHER       01      46,488       9,501      26,825
JACOBS ENGR GROUP INC DEL         COM   469814107      63,114   1,122,219  SH     DEFINED  01,08     164,804     957,415           0
JACOBS ENGR GROUP INC DEL         COM   469814107      19,154     340,571  SH     DEFINED     09     340,571           0           0

JAKKS PAC INC                     COM   47012E106       1,412     134,611  SH     DEFINED     01       6,423     128,188           0
JAKKS PAC INC                     COM   47012E106       2,707     258,014  SH     DEFINED  01,08      24,944     233,070           0
JAKKS PAC INC                     COM   47012E106         590      56,269  SH     DEFINED     09      56,269           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    176
  ________

JAMBA INC                         COM   47023A101         137      47,978  SH     DEFINED     01       6,780      41,198           0
JAMBA INC                         COM   47023A101       2,245     787,766  SH     DEFINED  01,08      12,682     775,084           0
JAMBA INC                         COM   47023A101         583     204,579  SH     DEFINED     09     204,579           0           0

JAMES RIVER COAL CO               COM   470355207         277     158,002  SH     DEFINED     01       1,395     156,607           0
JAMES RIVER COAL CO               COM   470355207         131      74,718  SH     DEFINED  01,08      13,416      61,302           0
JAMES RIVER COAL CO               COM   470355207           0           1  SH     DEFINED     09           1           0           0

JANUS CAP GROUP INC               COM   47102X105       2,929     311,624  SH     DEFINED     01      37,240     274,384           0
JANUS CAP GROUP INC               COM   47102X105         530      56,385  SH     OTHER       01       1,364      55,021           0
JANUS CAP GROUP INC               COM   47102X105      15,771   1,677,763  SH     DEFINED  01,08     284,149   1,393,614           0
JANUS CAP GROUP INC               COM   47102X105           0           1  SH     DEFINED     09           1           0           0

JARDEN CORP                       COM   471109108       1,488      34,715  SH     DEFINED     01      24,071      10,644           0
JARDEN CORP                       COM   471109108         203       4,746  SH     OTHER       01         639       4,107           0
JARDEN CORP                       COM   471109108      36,146     843,554  SH     DEFINED  01,08      13,212     830,342           0
JARDEN CORP                       COM   471109108           0           1  SH     DEFINED     09           1           0           0

JAVELIN MTG INVT CORP             COM   47200B104          80       4,054  SH     DEFINED     01         177       3,877           0
JAVELIN MTG INVT CORP             COM   47200B104       1,436      73,084  SH     DEFINED  01,08       1,182      71,902           0
JAVELIN MTG INVT CORP             COM   47200B104         346      17,619  SH     DEFINED     09      17,619           0           0

JETBLUE AIRWAYS CORP              COM   477143101      10,386   1,505,157  SH     DEFINED     01      33,846   1,471,311           0
JETBLUE AIRWAYS CORP              COM   477143101          16       2,364  SH     OTHER       01           0       2,364           0
JETBLUE AIRWAYS CORP              COM   477143101      30,916   4,480,614  SH     DEFINED  01,08   1,449,586   3,031,028           0
JETBLUE AIRWAYS CORP              COM   477143101       3,940     570,978  SH     DEFINED     09     570,978           0           0

JIVE SOFTWARE INC                 COM   47760A108         157      10,333  SH     DEFINED     01       1,630       8,703           0
JIVE SOFTWARE INC                 COM   47760A108       2,851     187,547  SH     DEFINED  01,08       3,291     184,256           0
JIVE SOFTWARE INC                 COM   47760A108         618      40,650  SH     DEFINED     09      40,650           0           0

JOES JEANS INC                    COM   47777N101           2       1,337  SH     DEFINED     01         100       1,237           0
JOES JEANS INC                    COM   47777N101         159      93,641  SH     DEFINED  01,08       2,544      91,097           0

JOHN BEAN TECHNOLOGIES CORP       COM   477839104       1,500      72,310  SH     DEFINED     01      36,940      35,370           0
JOHN BEAN TECHNOLOGIES CORP       COM   477839104          49       2,339  SH     OTHER       01       1,529         810           0
JOHN BEAN TECHNOLOGIES CORP       COM   477839104       6,669     321,375  SH     DEFINED  01,08      13,366     308,009           0
JOHN BEAN TECHNOLOGIES CORP       COM   477839104       1,419      68,374  SH     DEFINED     09      68,374           0           0

JOHNSON & JOHNSON                 COM   478160104     595,702   7,306,539  SH     DEFINED     01   4,266,625   2,859,909     180,005
JOHNSON & JOHNSON                 COM   478160104     128,584   1,577,137  SH     OTHER       01     987,635     432,111     157,391
JOHNSON & JOHNSON                 COM   478160104   2,040,203  25,023,953  SH     DEFINED  01,08   3,846,570  21,145,232      32,151
JOHNSON & JOHNSON                 COM   478160104     676,745   8,300,565  SH     DEFINED     09   8,300,565           0           0

JOHNSON CTLS INC                  COM   478366107      71,826   2,048,075  SH     DEFINED     01   1,427,022     581,584      39,469
JOHNSON CTLS INC                  COM   478366107      18,637     531,416  SH     OTHER       01     372,328     109,257      49,831
JOHNSON CTLS INC                  COM   478366107     224,106   6,390,240  SH     DEFINED  01,08   1,101,207   5,228,121      60,912
JOHNSON CTLS INC                  COM   478366107      71,525   2,039,493  SH     DEFINED     09   2,039,493           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    177
  ________

JOHNSON OUTDOORS INC              COM   479167108         248      10,385  SH     DEFINED     01          40      10,345           0
JOHNSON OUTDOORS INC              COM   479167108       1,463      61,361  SH     DEFINED  01,08       8,212      53,149           0
JOHNSON OUTDOORS INC              COM   479167108         360      15,092  SH     DEFINED     09      15,092           0           0

JONES LANG LASALLE INC            COM   48020Q107       1,305      13,131  SH     DEFINED     01       8,561       4,570           0
JONES LANG LASALLE INC            COM   48020Q107         694       6,980  SH     OTHER       01       2,030       4,925          25
JONES LANG LASALLE INC            COM   48020Q107      32,541     327,339  SH     DEFINED  01,08       4,388     322,951           0
JONES LANG LASALLE INC            COM   48020Q107           0           1  SH     DEFINED     09           1           0           0

JONES GROUP INC                   COM   48020T101       3,992     313,831  SH     DEFINED     01      13,185     300,646           0
JONES GROUP INC                   COM   48020T101      13,795   1,084,490  SH     DEFINED  01,08     275,317     809,173           0
JONES GROUP INC                   COM   48020T101       2,600     204,397  SH     DEFINED     09     204,397           0           0

JOS A BANK CLOTHIERS INC          COM   480838101       1,743      43,673  SH     DEFINED     01      10,642      33,031           0
JOS A BANK CLOTHIERS INC          COM   480838101      12,605     315,913  SH     DEFINED  01,08      22,358     293,555           0
JOS A BANK CLOTHIERS INC          COM   480838101       2,769      69,399  SH     DEFINED     09      69,399           0           0

JOURNAL COMMUNICATIONS INC        COM   481130102       3,627     539,740  SH     DEFINED     01       6,326     533,414           0
JOURNAL COMMUNICATIONS INC        COM   481130102       6,422     955,646  SH     DEFINED  01,08     539,735     415,911           0
JOURNAL COMMUNICATIONS INC        COM   481130102         671      99,856  SH     DEFINED     09      99,856           0           0

JOY GLOBAL INC                    COM   481165108      21,422     359,910  SH     DEFINED     01     291,164      65,978       2,768
JOY GLOBAL INC                    COM   481165108       1,560      26,210  SH     OTHER       01      13,193       4,306       8,711
JOY GLOBAL INC                    COM   481165108      57,521     966,414  SH     DEFINED  01,08     148,249     818,165           0
JOY GLOBAL INC                    COM   481165108      18,326     307,890  SH     DEFINED     09     307,890           0           0

J2 GLOBAL INC                     COM   48123V102       2,659      67,808  SH     DEFINED     01      17,347      50,461           0
J2 GLOBAL INC                     COM   48123V102          70       1,790  SH     OTHER       01           0       1,790           0
J2 GLOBAL INC                     COM   48123V102      19,863     506,590  SH     DEFINED  01,08      35,314     471,276           0
J2 GLOBAL INC                     COM   48123V102       4,415     112,587  SH     DEFINED     09     112,587           0           0

JUNIPER NETWORKS INC              COM   48203R104      14,695     792,637  SH     DEFINED     01     403,208     387,287       2,142
JUNIPER NETWORKS INC              COM   48203R104         362      19,541  SH     OTHER       01      13,380       6,161           0
JUNIPER NETWORKS INC              COM   48203R104      85,769   4,626,172  SH     DEFINED  01,08     717,281   3,908,891           0
JUNIPER NETWORKS INC              COM   48203R104      28,522   1,538,420  SH     DEFINED     09   1,538,420           0           0

KAR AUCTION SVCS INC              COM   48238T109         749      37,413  SH     DEFINED     01      27,261      10,152           0
KAR AUCTION SVCS INC              COM   48238T109           5         246  SH     OTHER       01           0         246           0
KAR AUCTION SVCS INC              COM   48238T109       4,148     207,076  SH     DEFINED  01,08       4,288     202,788           0
KAR AUCTION SVCS INC              COM   48238T109           0           1  SH     DEFINED     09           1           0           0

KB FINANCIAL GROUP INC            COM   48241A105       1,249      37,795  SH     DEFINED     01      33,742       3,959          94
KB FINANCIAL GROUP INC            COM   48241A105         263       7,945  SH     OTHER       01       2,636       5,309           0
KB FINANCIAL GROUP INC            COM   48241A105       1,099      33,276  SH     DEFINED  01,08      12,331      20,945           0

KBR INC                           COM   48242W106       1,587      49,474  SH     DEFINED     01      34,956      14,518           0
KBR INC                           COM   48242W106      39,258   1,223,750  SH     DEFINED  01,08     145,888   1,077,862           0
KBR INC                           COM   48242W106       6,115     190,619  SH     DEFINED     09     190,619           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    178
  ________

KKR & CO L P DEL                  COM   48248M102         291      15,082  SH     DEFINED     01      15,082           0           0
KKR & CO L P DEL                  COM   48248M102         500      25,900  SH     OTHER       01         700      25,200           0

KLA-TENCOR CORP                   COM   482480100      22,726     430,902  SH     DEFINED     01     238,083     192,517         302
KLA-TENCOR CORP                   COM   482480100         914      17,331  SH     OTHER       01       9,841       6,709         781
KLA-TENCOR CORP                   COM   482480100      82,707   1,568,208  SH     DEFINED  01,08     245,753   1,322,455           0
KLA-TENCOR CORP                   COM   482480100      25,094     475,800  SH     DEFINED     09     475,800           0           0

KMG CHEMICALS INC                 COM   482564101         168       8,641  SH     DEFINED     01         760       7,881           0
KMG CHEMICALS INC                 COM   482564101       1,583      81,447  SH     DEFINED  01,08       5,080      76,367           0
KMG CHEMICALS INC                 COM   482564101         304      15,641  SH     DEFINED     09      15,641           0           0

KT CORP                           COM   48268K101         339      21,570  SH     DEFINED     01         210      21,360           0
KT CORP                           COM   48268K101          11         708  SH     OTHER       01           0         708           0
KT CORP                           COM   48268K101       1,024      65,176  SH     DEFINED  01,08      63,986       1,190           0
KT CORP                           COM   48268K101         318      20,251  SH     DEFINED     09      20,251           0           0

K-SWISS INC                       COM   482686102         183      38,627  SH     DEFINED     01       8,567      30,060           0
K-SWISS INC                       COM   482686102       1,362     287,396  SH     DEFINED  01,08      19,121     268,275           0
K-SWISS INC                       COM   482686102         242      50,993  SH     DEFINED     09      50,993           0           0

K12 INC                           COM   48273U102       1,107      45,933  SH     DEFINED     01       4,061      41,872           0
K12 INC                           COM   48273U102         219       9,089  SH     OTHER       01       4,356       4,733           0
K12 INC                           COM   48273U102       7,511     311,517  SH     DEFINED  01,08      20,644     290,873           0
K12 INC                           COM   48273U102       1,568      65,038  SH     DEFINED     09      65,038           0           0

KVH INDS INC                      COM   482738101         276      20,351  SH     DEFINED     01       1,430      18,921           0
KVH INDS INC                      COM   482738101       2,093     154,240  SH     DEFINED  01,08      11,330     142,910           0
KVH INDS INC                      COM   482738101         577      42,503  SH     DEFINED     09      42,503           0           0

KADANT INC                        COM   48282T104         981      39,235  SH     DEFINED     01       2,059      37,176           0
KADANT INC                        COM   48282T104       3,786     151,425  SH     DEFINED  01,08      34,864     116,561           0
KADANT INC                        COM   48282T104         650      25,998  SH     DEFINED     09      25,998           0           0

KAISER ALUMINUM CORP              COM   483007704       7,375     114,082  SH     DEFINED     01      42,468      70,767         847
KAISER ALUMINUM CORP              COM   483007704         320       4,947  SH     OTHER       01       1,288       3,552         107
KAISER ALUMINUM CORP              COM   483007704      16,154     249,862  SH     DEFINED  01,08      58,268     191,594           0
KAISER ALUMINUM CORP              COM   483007704       3,163      48,924  SH     DEFINED     09      48,924           0           0

KALOBIOS PHARMACEUTICALS INC      COM   48344T100          71      11,891  SH     DEFINED  01,08       1,280      10,611           0
KALOBIOS PHARMACEUTICALS INC      COM   48344T100         164      27,386  SH     DEFINED     09      27,386           0           0

KAMAN CORP                        COM   483548103       2,486      70,088  SH     DEFINED     01      10,421      59,667           0
KAMAN CORP                        COM   483548103          59       1,656  SH     OTHER       01       1,656           0           0
KAMAN CORP                        COM   483548103      11,666     328,903  SH     DEFINED  01,08      48,770     280,133           0
KAMAN CORP                        COM   483548103       2,304      64,953  SH     DEFINED     09      64,953           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    179
  ________

KANSAS CITY LIFE INS CO           COM   484836101         340       8,680  SH     DEFINED     01         638       8,042           0
KANSAS CITY LIFE INS CO           COM   484836101       1,810      46,261  SH     DEFINED  01,08       7,217      39,044           0
KANSAS CITY LIFE INS CO           COM   484836101         359       9,170  SH     DEFINED     09       9,170           0           0

KANSAS CITY SOUTHERN              COM   485170302      26,799     241,648  SH     DEFINED     01     188,063      50,830       2,755
KANSAS CITY SOUTHERN              COM   485170302       1,371      12,361  SH     OTHER       01       3,352       3,009       6,000
KANSAS CITY SOUTHERN              COM   485170302     104,874     945,662  SH     DEFINED  01,08     130,749     814,913           0
KANSAS CITY SOUTHERN              COM   485170302      18,650     168,174  SH     DEFINED     09     168,174           0           0

KAPSTONE PAPER & PACKAGING C      COM   48562P103       6,353     228,517  SH     DEFINED     01      69,150     155,568       3,799
KAPSTONE PAPER & PACKAGING C      COM   48562P103         144       5,164  SH     OTHER       01       4,359         805           0
KAPSTONE PAPER & PACKAGING C      COM   48562P103      15,490     557,180  SH     DEFINED  01,08     151,699     405,481           0
KAPSTONE PAPER & PACKAGING C      COM   48562P103       2,872     103,326  SH     DEFINED     09     103,326           0           0

KAYAK SOFTWARE CORP               COM   486577109          93       2,336  SH     DEFINED     01         360       1,976           0
KAYAK SOFTWARE CORP               COM   486577109       1,329      33,254  SH     DEFINED  01,08         558      32,696           0
KAYAK SOFTWARE CORP               COM   486577109         281       7,022  SH     DEFINED     09       7,022           0           0

KAYDON CORP                       COM   486587108       1,202      46,976  SH     DEFINED     01      12,792      34,184           0
KAYDON CORP                       COM   486587108       8,765     342,641  SH     DEFINED  01,08      23,203     319,438           0
KAYDON CORP                       COM   486587108       1,999      78,143  SH     DEFINED     09      78,143           0           0

KAYNE ANDERSON ENRGY TTL RT       COM   48660P104         127       4,280  SH     DEFINED     01       4,280           0           0
KAYNE ANDERSON ENRGY TTL RT       COM   48660P104         391      13,152  SH     OTHER       01      10,152       3,000           0

KAYNE ANDERSON MLP INVSMNT C      COM   486606106         224       6,447  SH     DEFINED     01       6,447           0           0
KAYNE ANDERSON MLP INVSMNT C      COM   486606106         191       5,500  SH     OTHER       01       4,000       1,500           0

KAYNE ANDERSON MDSTM ENERGY       COM   48661E108         361      10,880  SH     DEFINED     01      10,880           0           0
KAYNE ANDERSON MDSTM ENERGY       COM   48661E108          83       2,500  SH     OTHER       01       2,500           0           0

KB HOME                           COM   48666K109       3,828     175,847  SH     DEFINED     01      13,195     162,652           0
KB HOME                           COM   48666K109      27,705   1,272,634  SH     DEFINED  01,08     190,744   1,081,890           0
KB HOME                           COM   48666K109       4,470     205,319  SH     DEFINED     09     205,319           0           0

KCAP FINL INC                     COM   48668E101         205      19,010  SH     DEFINED     01       2,682      16,328           0
KCAP FINL INC                     COM   48668E101       2,189     203,228  SH     DEFINED  01,08       6,113     197,115           0
KCAP FINL INC                     COM   48668E101         621      57,680  SH     DEFINED     09      57,680           0           0

KEARNY FINL CORP                  COM   487169104         342      33,573  SH     DEFINED     01           0      33,573           0
KEARNY FINL CORP                  COM   487169104       1,843     180,669  SH     DEFINED  01,08      32,062     148,607           0
KEARNY FINL CORP                  COM   487169104         401      39,270  SH     DEFINED     09      39,270           0           0

KELLOGG CO                        COM   487836108      43,370     673,129  SH     DEFINED     01     412,401     250,460      10,268
KELLOGG CO                        COM   487836108      11,643     180,707  SH     OTHER       01     123,609      49,011       8,087
KELLOGG CO                        COM   487836108     146,753   2,277,710  SH     DEFINED  01,08     410,287   1,867,423           0
KELLOGG CO                        COM   487836108      48,514     752,979  SH     DEFINED     09     752,979           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    180
  ________

KELLY SVCS INC                    COM   488152208         777      41,622  SH     DEFINED     01       9,336      32,286           0
KELLY SVCS INC                    COM   488152208          28       1,510  SH     OTHER       01       1,500          10           0
KELLY SVCS INC                    COM   488152208       5,582     298,809  SH     DEFINED  01,08      22,455     276,354           0
KELLY SVCS INC                    COM   488152208       1,188      63,590  SH     DEFINED     09      63,590           0           0

KEMET CORP                        COM   488360207         280      44,720  SH     DEFINED     01       8,864      35,856           0
KEMET CORP                        COM   488360207       2,873     459,611  SH     DEFINED  01,08      16,671     442,940           0
KEMET CORP                        COM   488360207         753     120,550  SH     DEFINED     09     120,550           0           0

KEMPER CORP DEL                   COM   488401100       2,640      80,951  SH     DEFINED     01      11,571      69,380           0
KEMPER CORP DEL                   COM   488401100          98       3,020  SH     OTHER       01       1,800           0       1,220
KEMPER CORP DEL                   COM   488401100      15,029     460,876  SH     DEFINED  01,08      74,601     386,275           0
KEMPER CORP DEL                   COM   488401100           0           1  SH     DEFINED     09           1           0           0

KENNAMETAL INC                    COM   489170100         945      24,206  SH     DEFINED     01      14,124       9,882         200
KENNAMETAL INC                    COM   489170100      22,989     588,853  SH     DEFINED  01,08       7,980     580,873           0
KENNAMETAL INC                    COM   489170100           0           1  SH     DEFINED     09           1           0           0

KENNEDY-WILSON HLDGS INC          COM   489398107         736      47,430  SH     DEFINED     01       7,070      40,360           0
KENNEDY-WILSON HLDGS INC          COM   489398107       7,267     468,533  SH     DEFINED  01,08      32,304     436,229           0
KENNEDY-WILSON HLDGS INC          COM   489398107       1,859     119,837  SH     DEFINED     09     119,837           0           0

KERYX BIOPHARMACEUTICALS INC      COM   492515101         459      65,150  SH     DEFINED     01      10,953      54,197           0
KERYX BIOPHARMACEUTICALS INC      COM   492515101       5,611     796,488  SH     DEFINED  01,08      15,301     781,187           0
KERYX BIOPHARMACEUTICALS INC      COM   492515101       1,397     198,288  SH     DEFINED     09     198,288           0           0

KEWAUNEE SCIENTIFIC CORP          COM   492854104          26       2,010  SH     DEFINED     01           0       2,010           0
KEWAUNEE SCIENTIFIC CORP          COM   492854104         573      44,080  SH     OTHER       01           0      44,080           0
KEWAUNEE SCIENTIFIC CORP          COM   492854104          65       4,989  SH     DEFINED  01,08       2,419       2,570           0

KEY ENERGY SVCS INC               COM   492914106       6,783     839,483  SH     DEFINED     01      25,920     813,563           0
KEY ENERGY SVCS INC               COM   492914106      18,414   2,278,932  SH     DEFINED  01,08     766,804   1,512,128           0
KEY ENERGY SVCS INC               COM   492914106       3,054     377,963  SH     DEFINED     09     377,963           0           0

KEY TECHNOLOGY INC                COM   493143101          96       7,560  SH     DEFINED     01           0       7,560           0
KEY TECHNOLOGY INC                COM   493143101         178      14,076  SH     DEFINED  01,08       7,282       6,794           0

KEY TRONICS CORP                  COM   493144109         212      18,490  SH     DEFINED     01         385      18,105           0
KEY TRONICS CORP                  COM   493144109       1,306     113,940  SH     DEFINED  01,08      12,839     101,101           0
KEY TRONICS CORP                  COM   493144109         302      26,386  SH     DEFINED     09      26,386           0           0

KEYCORP NEW                       COM   493267108      18,745   1,881,989  SH     DEFINED     01   1,270,389     583,129      28,471
KEYCORP NEW                       COM   493267108       2,632     264,266  SH     OTHER       01     173,527      89,734       1,005
KEYCORP NEW                       COM   493267108      82,955   8,328,845  SH     DEFINED  01,08   1,220,148   7,108,697           0
KEYCORP NEW                       COM   493267108      26,803   2,691,049  SH     DEFINED     09   2,691,049           0           0

KEYNOTE SYS INC                   COM   493308100         461      32,994  SH     DEFINED     01       1,529      31,465           0
KEYNOTE SYS INC                   COM   493308100       2,623     187,880  SH     DEFINED  01,08      27,156     160,724           0
KEYNOTE SYS INC                   COM   493308100         541      38,770  SH     DEFINED     09      38,770           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    181
  ________

KEYW HLDG CORP                    COM   493723100         260      16,094  SH     DEFINED     01       2,350      13,744           0
KEYW HLDG CORP                    COM   493723100       4,134     256,285  SH     DEFINED  01,08       4,232     252,053           0
KEYW HLDG CORP                    COM   493723100         928      57,550  SH     DEFINED     09      57,550           0           0

KFORCE INC                        COM   493732101       2,377     145,192  SH     DEFINED     01       4,579     140,613           0
KFORCE INC                        COM   493732101       7,303     446,093  SH     DEFINED  01,08     133,232     312,861           0
KFORCE INC                        COM   493732101       1,083      66,162  SH     DEFINED     09      66,162           0           0

KID BRANDS INC                    COM   49375T100          11       6,938  SH     DEFINED     01           0       6,938           0
KID BRANDS INC                    COM   49375T100          55      35,755  SH     DEFINED  01,08       5,300      30,455           0

KILROY RLTY CORP                  COM   49427F108       2,247      42,888  SH     DEFINED     01      36,110       6,778           0
KILROY RLTY CORP                  COM   49427F108           8         161  SH     OTHER       01           0         136          25
KILROY RLTY CORP                  COM   49427F108      36,138     689,665  SH     DEFINED  01,08     148,490     541,175           0
KILROY RLTY CORP                  COM   49427F108       1,392      26,567  SH     DEFINED     09      26,567           0           0

KIMBALL INTL INC                  COM   494274103         374      41,280  SH     DEFINED     01       4,920      36,360           0
KIMBALL INTL INC                  COM   494274103       3,245     358,184  SH     DEFINED  01,08      24,521     333,663           0
KIMBALL INTL INC                  COM   494274103         745      82,178  SH     DEFINED     09      82,178           0           0

KIMBERLY CLARK CORP               COM   494368103     183,060   1,868,344  SH     DEFINED     01   1,122,730     716,655      28,959
KIMBERLY CLARK CORP               COM   494368103      26,881     274,357  SH     OTHER       01     176,342      79,450      18,565
KIMBERLY CLARK CORP               COM   494368103     352,720   3,599,915  SH     DEFINED  01,08     566,683   3,033,232           0
KIMBERLY CLARK CORP               COM   494368103     112,889   1,152,164  SH     DEFINED     09   1,152,164           0           0

KIMCO RLTY CORP                   COM   49446R109      11,066     494,040  SH     DEFINED     01     245,454     247,615         971
KIMCO RLTY CORP                   COM   49446R109         431      19,242  SH     OTHER       01      16,750         908       1,584
KIMCO RLTY CORP                   COM   49446R109      98,431   4,394,250  SH     DEFINED  01,08   1,290,642   3,103,608           0
KIMCO RLTY CORP                   COM   49446R109      29,093   1,298,804  SH     DEFINED     09   1,298,804           0           0

KINDER MORGAN MANAGEMENT LLC      COM   49455U100       5,306      60,396  SH     DEFINED     01      55,955       4,317         124
KINDER MORGAN MANAGEMENT LLC      COM   49455U100         143       1,632  SH     OTHER       01           0       1,632           0
KINDER MORGAN MANAGEMENT LLC      COM   49455U100       9,451     107,582  SH     DEFINED  01,08     104,208       3,374           0
KINDER MORGAN MANAGEMENT LLC      COM   49455U100      11,802     134,348  SH     DEFINED     09     134,348           0           0

KINDER MORGAN ENERGY PARTNER      COM   494550106      13,336     148,552  SH     DEFINED     01     141,607           0       6,945
KINDER MORGAN ENERGY PARTNER      COM   494550106       2,740      30,527  SH     OTHER       01      24,506           0       6,021

KINDER MORGAN INC DEL             COM   49456B101      81,833   2,115,637  SH     DEFINED     01   1,617,898     463,768      33,971
KINDER MORGAN INC DEL             COM   49456B101       5,702     147,419  SH     OTHER       01     101,969      23,712      21,738
KINDER MORGAN INC DEL             COM   49456B101     204,224   5,279,824  SH     DEFINED  01,08     834,908   4,444,916           0
KINDER MORGAN INC DEL             COM   49456B101      73,774   1,907,291  SH     DEFINED     09   1,907,291           0           0

KINDRED HEALTHCARE INC            COM   494580103       5,955     565,568  SH     DEFINED     01      20,248     545,320           0
KINDRED HEALTHCARE INC            COM   494580103       6,244     593,009  SH     DEFINED  01,08      43,997     549,012           0
KINDRED HEALTHCARE INC            COM   494580103       1,322     125,566  SH     DEFINED     09     125,566           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    182
  ________

KINROSS GOLD CORP                 COM   496902404       1,106     139,496  SH     DEFINED     01     126,764      10,180       2,552
KINROSS GOLD CORP                 COM   496902404          75       9,426  SH     OTHER       01       8,884         542           0
KINROSS GOLD CORP                 COM   496902404         680      85,735  SH     DEFINED  01,08      29,821      55,914           0

KIOR INC                          COM   497217109          79      16,940  SH     DEFINED     01       2,700      14,240           0
KIOR INC                          COM   497217109          32       6,852  SH     OTHER       01       6,852           0           0
KIOR INC                          COM   497217109       1,087     233,679  SH     DEFINED  01,08       4,042     229,637           0
KIOR INC                          COM   497217109         300      64,449  SH     DEFINED     09      64,449           0           0

KIRBY CORP                        COM   497266106       8,272     107,709  SH     DEFINED     01      97,185       9,686         838
KIRBY CORP                        COM   497266106         209       2,724  SH     OTHER       01       1,449         955         320
KIRBY CORP                        COM   497266106      32,567     424,053  SH     DEFINED  01,08       5,288     418,765           0
KIRBY CORP                        COM   497266106           0           1  SH     DEFINED     09           1           0           0

KIRKLANDS INC                     COM   497498105         224      19,544  SH     DEFINED     01       4,310      15,234           0
KIRKLANDS INC                     COM   497498105       1,807     157,700  SH     DEFINED  01,08      11,030     146,670           0
KIRKLANDS INC                     COM   497498105         390      34,003  SH     DEFINED     09      34,003           0           0

KITE RLTY GROUP TR                COM   49803T102       2,808     416,653  SH     DEFINED     01      27,721     388,932           0
KITE RLTY GROUP TR                COM   49803T102       8,545   1,267,868  SH     DEFINED  01,08     575,505     692,363           0
KITE RLTY GROUP TR                COM   49803T102       1,247     185,074  SH     DEFINED     09     185,074           0           0

KNOLL INC                         COM   498904200       1,135      62,611  SH     DEFINED     01       5,186      57,425           0
KNOLL INC                         COM   498904200           0          20  SH     OTHER       01           0          20           0
KNOLL INC                         COM   498904200       9,897     545,877  SH     DEFINED  01,08      41,368     504,509           0
KNOLL INC                         COM   498904200       2,076     114,525  SH     DEFINED     09     114,525           0           0

KNIGHT CAP GROUP INC              COM   499005106         561     150,742  SH     DEFINED     01      24,279     126,463           0
KNIGHT CAP GROUP INC              COM   499005106       7,326   1,969,435  SH     DEFINED  01,08      35,341   1,934,094           0
KNIGHT CAP GROUP INC              COM   499005106       1,717     461,628  SH     DEFINED     09     461,628           0           0

KNIGHT TRANSN INC                 COM   499064103       5,224     324,457  SH     DEFINED     01     255,351      68,053       1,053
KNIGHT TRANSN INC                 COM   499064103         138       8,580  SH     OTHER       01       6,253       2,327           0
KNIGHT TRANSN INC                 COM   499064103      10,639     660,803  SH     DEFINED  01,08      48,149     612,654           0
KNIGHT TRANSN INC                 COM   499064103       2,360     146,611  SH     DEFINED     09     146,611           0           0

KODIAK OIL & GAS CORP             COM   50015Q100       3,365     370,235  SH     DEFINED     01      95,013     275,222           0
KODIAK OIL & GAS CORP             COM   50015Q100           7         757  SH     OTHER       01           0         757           0
KODIAK OIL & GAS CORP             COM   50015Q100      26,245   2,887,238  SH     DEFINED  01,08     193,576   2,693,662           0
KODIAK OIL & GAS CORP             COM   50015Q100       6,058     666,456  SH     DEFINED     09     666,456           0           0

KOHLS CORP                        COM   500255104      27,356     593,011  SH     DEFINED     01     412,098     165,625      15,288
KOHLS CORP                        COM   500255104       5,273     114,298  SH     OTHER       01      57,312      48,290       8,696
KOHLS CORP                        COM   500255104      89,258   1,934,932  SH     DEFINED  01,08     287,890   1,647,042           0
KOHLS CORP                        COM   500255104      29,562     640,849  SH     DEFINED     09     640,849           0           0

KONA GRILL INC                    COM   50047H201          57       6,247  SH     DEFINED     01           0       6,247           0
KONA GRILL INC                    COM   50047H201         187      20,474  SH     DEFINED  01,08       6,375      14,099           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    183
  ________

KONINKLIJKE PHILIPS ELECTRS       COM   500472303       2,964     100,309  SH     DEFINED     01      84,599      15,710           0
KONINKLIJKE PHILIPS ELECTRS       COM   500472303       1,032      34,911  SH     OTHER       01      31,354       3,557           0
KONINKLIJKE PHILIPS ELECTRS       COM   500472303       2,315      78,349  SH     DEFINED  01,08      30,640      47,709           0

KOPPERS HOLDINGS INC              COM   50060P106       2,781      63,223  SH     DEFINED     01      34,640      28,049         534
KOPPERS HOLDINGS INC              COM   50060P106         405       9,213  SH     OTHER       01       1,833       7,380           0
KOPPERS HOLDINGS INC              COM   50060P106      10,367     235,714  SH     DEFINED  01,08      16,310     219,404           0
KOPPERS HOLDINGS INC              COM   50060P106       2,229      50,693  SH     DEFINED     09      50,693           0           0

KOPIN CORP                        COM   500600101         380     102,752  SH     DEFINED     01      26,751      76,001           0
KOPIN CORP                        COM   500600101       2,638     712,980  SH     DEFINED  01,08      49,814     663,166           0
KOPIN CORP                        COM   500600101         669     180,707  SH     DEFINED     09     180,707           0           0

KOREA ELECTRIC PWR                COM   500631106          44       3,239  SH     DEFINED     01       1,972       1,267           0
KOREA ELECTRIC PWR                COM   500631106          18       1,323  SH     OTHER       01           0       1,323           0
KOREA ELECTRIC PWR                COM   500631106         838      61,691  SH     DEFINED  01,08      58,990       2,701           0

KORN FERRY INTL                   COM   500643200       5,284     295,845  SH     DEFINED     01      23,866     264,762       7,217
KORN FERRY INTL                   COM   500643200      13,404     750,525  SH     DEFINED  01,08     259,126     491,399           0
KORN FERRY INTL                   COM   500643200       2,160     120,936  SH     DEFINED     09     120,936           0           0

KOSS CORP                         COM   500692108          47       9,502  SH     DEFINED     01           0       9,502           0
KOSS CORP                         COM   500692108          90      18,095  SH     DEFINED  01,08      11,005       7,090           0

KRAFT FOODS GROUP INC             COM   50076Q106     100,356   1,947,517  SH     DEFINED     01   1,463,011     465,349      19,157
KRAFT FOODS GROUP INC             COM   50076Q106       9,554     185,416  SH     OTHER       01     137,436      39,736       8,244
KRAFT FOODS GROUP INC             COM   50076Q106     276,211   5,360,189  SH     DEFINED  01,08     798,265   4,561,924           0
KRAFT FOODS GROUP INC             COM   50076Q106      88,695   1,721,223  SH     DEFINED     09   1,721,223           0           0

KRATOS DEFENSE & SEC SOLUTIO      COM   50077B207         170      33,869  SH     DEFINED     01       5,222      28,647           0
KRATOS DEFENSE & SEC SOLUTIO      COM   50077B207       2,174     432,238  SH     DEFINED  01,08      15,973     416,265           0
KRATOS DEFENSE & SEC SOLUTIO      COM   50077B207         503      99,927  SH     DEFINED     09      99,927           0           0

KRATON PERFORMANCE POLYMERS       COM   50077C106         901      38,525  SH     DEFINED     01       9,380      29,145           0
KRATON PERFORMANCE POLYMERS       COM   50077C106       8,057     344,329  SH     DEFINED  01,08      19,182     325,147           0
KRATON PERFORMANCE POLYMERS       COM   50077C106       1,911      81,663  SH     DEFINED     09      81,663           0           0

KRISPY KREME DOUGHNUTS INC        COM   501014104         878      60,818  SH     DEFINED     01       8,636      52,182           0
KRISPY KREME DOUGHNUTS INC        COM   501014104       9,078     628,693  SH     DEFINED  01,08      32,961     595,732           0
KRISPY KREME DOUGHNUTS INC        COM   501014104       2,087     144,529  SH     DEFINED     09     144,529           0           0

KROGER CO                         COM   501044101      23,412     706,466  SH     DEFINED     01     310,502     390,963       5,001
KROGER CO                         COM   501044101         523      15,780  SH     OTHER       01      10,159       5,122         499
KROGER CO                         COM   501044101     155,232   4,684,114  SH     DEFINED  01,08     647,908   4,036,206           0
KROGER CO                         COM   501044101      49,021   1,479,200  SH     DEFINED     09   1,479,200           0           0

KRONOS WORLDWIDE INC              COM   50105F105         229      14,655  SH     DEFINED     01         861      13,794           0
KRONOS WORLDWIDE INC              COM   50105F105       2,609     166,699  SH     DEFINED  01,08       8,312     158,387           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    184
  ________

KUBOTA CORP                       COM   501173207       2,657      36,821  SH     DEFINED     01      33,648       2,142       1,031
KUBOTA CORP                       COM   501173207         311       4,303  SH     OTHER       01       2,160         878       1,265
KUBOTA CORP                       COM   501173207         805      11,152  SH     DEFINED  01,08           0      11,152           0

KULICKE & SOFFA INDS INC          COM   501242101       3,787     327,605  SH     DEFINED     01      29,998     297,607           0
KULICKE & SOFFA INDS INC          COM   501242101       5,142     444,816  SH     DEFINED  01,08     308,702     136,114           0
KULICKE & SOFFA INDS INC          COM   501242101           0           1  SH     DEFINED     09           1           0           0

KYOCERA CORP                      COM   501556203       1,370      14,976  SH     DEFINED     01      14,028         932          16
KYOCERA CORP                      COM   501556203         133       1,457  SH     OTHER       01         880         577           0
KYOCERA CORP                      COM   501556203       1,105      12,088  SH     DEFINED  01,08       3,415       8,673           0

KYTHERA BIOPHARMACEUTICALS I      COM   501570105          66       2,714  SH     DEFINED     01           0       2,714           0
KYTHERA BIOPHARMACEUTICALS I      COM   501570105       1,282      52,629  SH     DEFINED  01,08         828      51,801           0
KYTHERA BIOPHARMACEUTICALS I      COM   501570105         343      14,077  SH     DEFINED     09      14,077           0           0

LCA-VISION INC                    COM   501803308          51      15,290  SH     DEFINED     01          16      15,274           0
LCA-VISION INC                    COM   501803308         174      51,668  SH     DEFINED  01,08      14,652      37,016           0

LG DISPLAY CO LTD                 COM   50186V102          22       1,521  SH     DEFINED     01         410       1,111           0
LG DISPLAY CO LTD                 COM   50186V102          15       1,033  SH     OTHER       01           0       1,033           0
LG DISPLAY CO LTD                 COM   50186V102         595      40,790  SH     DEFINED  01,08      38,700       2,090           0

LHC GROUP INC                     COM   50187A107         591      27,482  SH     DEFINED     01       6,044      21,438           0
LHC GROUP INC                     COM   50187A107       3,851     179,097  SH     DEFINED  01,08      17,716     161,381           0
LHC GROUP INC                     COM   50187A107         875      40,701  SH     DEFINED     09      40,701           0           0

LKQ CORP                          COM   501889208      14,473     665,135  SH     DEFINED     01     561,299      95,214       8,622
LKQ CORP                          COM   501889208         990      45,504  SH     OTHER       01      22,770      18,504       4,230
LKQ CORP                          COM   501889208      54,689   2,513,274  SH     DEFINED  01,08     306,274   2,207,000           0
LKQ CORP                          COM   501889208       9,035     415,215  SH     DEFINED     09     415,215           0           0

LMI AEROSPACE INC                 COM   502079106         669      32,192  SH     DEFINED     01      20,987      11,205           0
LMI AEROSPACE INC                 COM   502079106       2,035      97,903  SH     DEFINED  01,08       7,556      90,347           0
LMI AEROSPACE INC                 COM   502079106         412      19,806  SH     DEFINED     09      19,806           0           0

LPL FINL HLDGS INC                COM   50212V100         438      13,584  SH     DEFINED     01       5,009       8,575           0
LPL FINL HLDGS INC                COM   50212V100       5,827     180,735  SH     DEFINED  01,08       6,969     173,766           0

LRAD CORP                         COM   50213V109           4       3,403  SH     DEFINED     01           0       3,403           0
LRAD CORP                         COM   50213V109          45      43,284  SH     DEFINED  01,08       3,403      39,881           0

LSI INDS INC                      COM   50216C108         157      22,438  SH     DEFINED     01       2,342      20,096           0
LSI INDS INC                      COM   50216C108       1,450     207,697  SH     DEFINED  01,08      11,710     195,987           0
LSI INDS INC                      COM   50216C108         283      40,529  SH     DEFINED     09      40,529           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    185
  ________

LSB INDS INC                      COM   502160104       1,623      46,656  SH     DEFINED     01      22,984      23,339         333
LSB INDS INC                      COM   502160104          11         317  SH     OTHER       01         220           0          97
LSB INDS INC                      COM   502160104       7,272     209,094  SH     DEFINED  01,08      14,177     194,917           0
LSB INDS INC                      COM   502160104       1,560      44,865  SH     DEFINED     09      44,865           0           0

LSI CORPORATION                   COM   502161102       4,651     685,994  SH     DEFINED     01     291,327     393,983         684
LSI CORPORATION                   COM   502161102          76      11,152  SH     OTHER       01      10,206         929          17
LSI CORPORATION                   COM   502161102      33,353   4,919,278  SH     DEFINED  01,08     648,133   4,271,145           0
LSI CORPORATION                   COM   502161102      10,519   1,551,498  SH     DEFINED     09   1,551,498           0           0

LTC PPTYS INC                     COM   502175102      10,404     255,447  SH     DEFINED     01      29,455     225,291         701
LTC PPTYS INC                     COM   502175102          14         343  SH     OTHER       01         343           0           0
LTC PPTYS INC                     COM   502175102      24,137     592,610  SH     DEFINED  01,08     273,428     319,182           0
LTC PPTYS INC                     COM   502175102       3,555      87,294  SH     DEFINED     09      87,294           0           0

LTX-CREDENCE CORP                 COM   502403207       1,043     172,745  SH     DEFINED     01       8,292     164,453           0
LTX-CREDENCE CORP                 COM   502403207       3,866     640,019  SH     DEFINED  01,08     143,075     496,944           0
LTX-CREDENCE CORP                 COM   502403207         840     139,026  SH     DEFINED     09     139,026           0           0

L-3 COMMUNICATIONS HLDGS INC      COM   502424104       8,484     104,846  SH     DEFINED     01      41,840      62,980          26
L-3 COMMUNICATIONS HLDGS INC      COM   502424104         156       1,934  SH     OTHER       01       1,177         157         600
L-3 COMMUNICATIONS HLDGS INC      COM   502424104      65,377     807,924  SH     DEFINED  01,08     124,821     683,103           0
L-3 COMMUNICATIONS HLDGS INC      COM   502424104      20,389     251,967  SH     DEFINED     09     251,967           0           0

LA Z BOY INC                      COM   505336107       4,960     262,826  SH     DEFINED     01      21,278     241,548           0
LA Z BOY INC                      COM   505336107           1          28  SH     OTHER       01          28           0           0
LA Z BOY INC                      COM   505336107      14,454     765,994  SH     DEFINED  01,08     228,256     537,738           0
LA Z BOY INC                      COM   505336107       2,397     127,049  SH     DEFINED     09     127,049           0           0

LABORATORY CORP AMER HLDGS        COM   50540R409      18,401     203,997  SH     DEFINED     01     140,645      61,914       1,438
LABORATORY CORP AMER HLDGS        COM   50540R409       1,052      11,660  SH     OTHER       01       5,424       6,236           0
LABORATORY CORP AMER HLDGS        COM   50540R409      75,891     841,364  SH     DEFINED  01,08     131,600     709,764           0
LABORATORY CORP AMER HLDGS        COM   50540R409      25,654     284,415  SH     DEFINED     09     284,415           0           0

LACLEDE GROUP INC                 COM   505597104       5,699     133,474  SH     DEFINED     01      12,181     121,293           0
LACLEDE GROUP INC                 COM   505597104          85       2,000  SH     OTHER       01       2,000           0           0
LACLEDE GROUP INC                 COM   505597104      14,676     343,692  SH     DEFINED  01,08     116,375     227,317           0
LACLEDE GROUP INC                 COM   505597104       2,421      56,697  SH     DEFINED     09      56,697           0           0

LADENBURG THALMAN FIN SVCS I      COM   50575Q102         143      86,012  SH     DEFINED     01      10,715      75,297           0
LADENBURG THALMAN FIN SVCS I      COM   50575Q102       1,772   1,067,482  SH     DEFINED  01,08      37,487   1,029,995           0
LADENBURG THALMAN FIN SVCS I      COM   50575Q102         501     301,832  SH     DEFINED     09     301,832           0           0

LAKELAND BANCORP INC              COM   511637100       2,632     267,194  SH     DEFINED     01       4,276     262,918           0
LAKELAND BANCORP INC              COM   511637100       5,147     522,488  SH     DEFINED  01,08     257,091     265,397           0
LAKELAND BANCORP INC              COM   511637100         664      67,460  SH     DEFINED     09      67,460           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    186
  ________

LAKELAND FINL CORP                COM   511656100       2,285      85,628  SH     DEFINED     01       2,856      82,772           0
LAKELAND FINL CORP                COM   511656100       6,676     250,115  SH     DEFINED  01,08      82,856     167,259           0
LAKELAND FINL CORP                COM   511656100       1,175      44,030  SH     DEFINED     09      44,030           0           0

LAKES ENTMNT INC                  COM   51206P109          13       4,506  SH     DEFINED     01         100       4,406           0
LAKES ENTMNT INC                  COM   51206P109          67      23,017  SH     DEFINED  01,08       5,150      17,867           0

LAM RESEARCH CORP              CONV DEB 512807AL2       6,935   6,500,000  PRN    DEFINED     01     850,000   5,650,000           0
LAM RESEARCH CORP              CONV DEB 512807AL2       6,028   5,650,000  PRN    DEFINED  01,08   5,650,000           0           0

LAM RESEARCH CORP                 COM   512807108       7,398     178,437  SH     DEFINED     01     100,321      77,398         718
LAM RESEARCH CORP                 COM   512807108         129       3,103  SH     OTHER       01       2,775         309          19
LAM RESEARCH CORP                 COM   512807108      59,751   1,441,172  SH     DEFINED  01,08     228,251   1,212,921           0
LAM RESEARCH CORP                 COM   512807108      21,010     506,761  SH     DEFINED     09     506,761           0           0

LAMAR ADVERTISING CO              COM   512815101       1,000      20,584  SH     DEFINED     01      12,148       8,436           0
LAMAR ADVERTISING CO              COM   512815101           1          20  SH     OTHER       01           0           0          20
LAMAR ADVERTISING CO              COM   512815101      22,728     467,847  SH     DEFINED  01,08       6,484     461,363           0
LAMAR ADVERTISING CO              COM   512815101           0           1  SH     DEFINED     09           1           0           0

LANCASTER COLONY CORP             COM   513847103       1,752      22,753  SH     DEFINED     01       2,727      20,026           0
LANCASTER COLONY CORP             COM   513847103         361       4,685  SH     OTHER       01           0       4,685           0
LANCASTER COLONY CORP             COM   513847103      21,264     276,155  SH     DEFINED  01,08      14,732     261,423           0
LANCASTER COLONY CORP             COM   513847103       3,534      45,890  SH     DEFINED     09      45,890           0           0

LANDAUER INC                      COM   51476K103       2,404      42,638  SH     DEFINED     01      30,112      12,125         401
LANDAUER INC                      COM   51476K103          52         917  SH     OTHER       01         455         342         120
LANDAUER INC                      COM   51476K103       6,075     107,746  SH     DEFINED  01,08       8,181      99,565           0
LANDAUER INC                      COM   51476K103       1,288      22,837  SH     DEFINED     09      22,837           0           0

LANDEC CORP                       COM   514766104         430      29,724  SH     DEFINED     01       4,848      24,876           0
LANDEC CORP                       COM   514766104       3,989     275,703  SH     DEFINED  01,08      17,477     258,226           0
LANDEC CORP                       COM   514766104         998      68,955  SH     DEFINED     09      68,955           0           0

LANDSTAR SYS INC                  COM   515098101         952      16,677  SH     DEFINED     01      10,182       6,495           0
LANDSTAR SYS INC                  COM   515098101          54         938  SH     OTHER       01           0         938           0
LANDSTAR SYS INC                  COM   515098101      19,713     345,303  SH     DEFINED  01,08       5,288     340,015           0
LANDSTAR SYS INC                  COM   515098101           0           1  SH     DEFINED     09           1           0           0

LANNET INC                        COM   516012101         183      18,081  SH     DEFINED     01           0      18,081           0
LANNET INC                        COM   516012101       1,615     159,790  SH     DEFINED  01,08      13,092     146,698           0
LANNET INC                        COM   516012101         430      42,561  SH     DEFINED     09      42,561           0           0

LAREDO PETE HLDGS INC             COM   516806106         129       7,035  SH     DEFINED     01       4,457       2,578           0
LAREDO PETE HLDGS INC             COM   516806106       1,785      97,587  SH     DEFINED  01,08       6,800      90,787           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    187
  ________

LAS VEGAS SANDS CORP              COM   517834107      15,847     281,221  SH     DEFINED     01     228,187      50,188       2,846
LAS VEGAS SANDS CORP              COM   517834107       1,060      18,816  SH     OTHER       01       8,541       9,237       1,038
LAS VEGAS SANDS CORP              COM   517834107     111,062   1,970,925  SH     DEFINED  01,08     473,662   1,497,263           0
LAS VEGAS SANDS CORP              COM   517834107      35,659     632,808  SH     DEFINED     09     632,808           0           0

LASALLE HOTEL PPTYS               COM   517942108      12,540     494,102  SH     DEFINED     01      63,311     430,106         685
LASALLE HOTEL PPTYS               COM   517942108          38       1,483  SH     OTHER       01       1,483           0           0
LASALLE HOTEL PPTYS               COM   517942108      39,609   1,560,626  SH     DEFINED  01,08     597,454     963,172           0
LASALLE HOTEL PPTYS               COM   517942108       6,940     273,455  SH     DEFINED     09     273,455           0           0

LATAM AIRLS GROUP S A             COM   51817R106         526      24,174  SH     DEFINED     01      22,199       1,950          25
LATAM AIRLS GROUP S A             COM   51817R106          44       2,022  SH     OTHER       01       1,707         315           0
LATAM AIRLS GROUP S A             COM   51817R106       1,470      67,596  SH     DEFINED  01,08      52,233      15,363           0

LATTICE SEMICONDUCTOR CORP        COM   518415104       2,293     420,291  SH     DEFINED     01      17,804     402,487           0
LATTICE SEMICONDUCTOR CORP        COM   518415104       8,394   1,538,682  SH     DEFINED  01,08     363,454   1,175,228           0
LATTICE SEMICONDUCTOR CORP        COM   518415104       1,597     292,776  SH     DEFINED     09     292,776           0           0

LAUDER ESTEE COS INC              COM   518439104      41,140     642,517  SH     DEFINED     01     440,731     196,587       5,199
LAUDER ESTEE COS INC              COM   518439104       2,044      31,916  SH     OTHER       01      18,741      12,818         357
LAUDER ESTEE COS INC              COM   518439104     136,521   2,132,139  SH     DEFINED  01,08     321,882   1,810,257           0
LAUDER ESTEE COS INC              COM   518439104      46,488     726,027  SH     DEFINED     09     726,027           0           0

LAWSON PRODS INC                  COM   520776105         133       7,566  SH     DEFINED     01       1,025       6,541           0
LAWSON PRODS INC                  COM   520776105         226      12,865  SH     DEFINED  01,08       5,927       6,938           0

LAYNE CHRISTENSEN CO              COM   521050104         508      23,756  SH     DEFINED     01       3,102      20,654           0
LAYNE CHRISTENSEN CO              COM   521050104       4,579     214,165  SH     DEFINED  01,08      14,317     199,848           0
LAYNE CHRISTENSEN CO              COM   521050104         982      45,923  SH     DEFINED     09      45,923           0           0

LEAPFROG ENTERPRISES INC          COM   52186N106         455      53,142  SH     DEFINED     01       9,163      43,979           0
LEAPFROG ENTERPRISES INC          COM   52186N106       4,688     547,664  SH     DEFINED  01,08      30,115     517,549           0
LEAPFROG ENTERPRISES INC          COM   52186N106       1,018     118,894  SH     DEFINED     09     118,894           0           0

LEAP WIRELESS INTL INC            COM   521863308         298      50,472  SH     DEFINED     01      10,006      40,466           0
LEAP WIRELESS INTL INC            COM   521863308           0          30  SH     OTHER       01           0          30           0
LEAP WIRELESS INTL INC            COM   521863308       3,277     555,913  SH     DEFINED  01,08      19,177     536,736           0
LEAP WIRELESS INTL INC            COM   521863308         774     131,216  SH     DEFINED     09     131,216           0           0

LEAR CORP                         COM   521865204       1,393      25,386  SH     DEFINED     01      18,311       7,075           0
LEAR CORP                         COM   521865204           0           1  SH     OTHER       01           0           0           1
LEAR CORP                         COM   521865204      21,461     391,130  SH     DEFINED  01,08      11,987     379,143           0
LEAR CORP                         COM   521865204           0           2  SH     DEFINED     09           2           0           0

LEARNING TREE INTL INC            COM   522015106          46      12,424  SH     DEFINED     01           0      12,424           0
LEARNING TREE INTL INC            COM   522015106          98      26,541  SH     DEFINED  01,08      10,530      16,011           0

LEE ENTERPRISES INC               COM   523768109           7       5,361  SH     DEFINED     01         260       5,101           0
LEE ENTERPRISES INC               COM   523768109           8       6,001  SH     DEFINED  01,08       5,551         450           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    188
  ________

LEGGETT & PLATT INC               COM   524660107       7,505     222,163  SH     DEFINED     01     121,136      99,269       1,758
LEGGETT & PLATT INC               COM   524660107         255       7,539  SH     OTHER       01       7,156         243         140
LEGGETT & PLATT INC               COM   524660107      45,654   1,351,504  SH     DEFINED  01,08     185,592   1,165,912           0
LEGGETT & PLATT INC               COM   524660107      13,620     403,192  SH     DEFINED     09     403,192           0           0

LEGACY RESERVES LP                COM   524707304         731      26,467  SH     DEFINED     01      26,467           0           0

LEGG MASON INC                    COM   524901105       4,610     143,388  SH     DEFINED     01      62,458      80,760         170
LEGG MASON INC                    COM   524901105          51       1,584  SH     OTHER       01       1,356         183          45
LEGG MASON INC                    COM   524901105      34,454   1,071,668  SH     DEFINED  01,08     151,042     920,626           0
LEGG MASON INC                    COM   524901105      11,218     348,920  SH     DEFINED     09     348,920           0           0

LEMAITRE VASCULAR INC             COM   525558201          83      13,443  SH     DEFINED     01           0      13,443           0
LEMAITRE VASCULAR INC             COM   525558201         152      24,585  SH     DEFINED  01,08      13,539      11,046           0

LENDER PROCESSING SVCS INC        COM   52602E102       1,393      54,718  SH     DEFINED     01      28,577      26,141           0
LENDER PROCESSING SVCS INC        COM   52602E102         113       4,441  SH     OTHER       01       1,411       2,985          45
LENDER PROCESSING SVCS INC        COM   52602E102      16,142     634,030  SH     DEFINED  01,08       7,875     626,155           0
LENDER PROCESSING SVCS INC        COM   52602E102           0           2  SH     DEFINED     09           2           0           0

LENNAR CORP                       COM   526057104      10,042     242,096  SH     DEFINED     01     147,391      90,707       3,998
LENNAR CORP                       COM   526057104         668      16,102  SH     OTHER       01       9,149       6,948           5
LENNAR CORP                       COM   526057104      59,075   1,424,175  SH     DEFINED  01,08     200,286   1,223,889           0
LENNAR CORP                       COM   526057104      19,664     474,071  SH     DEFINED     09     474,071           0           0

LENNOX INTL INC                   COM   526107107         982      15,474  SH     DEFINED     01       7,884       7,490         100
LENNOX INTL INC                   COM   526107107      22,079     347,759  SH     DEFINED  01,08       4,388     343,371           0
LENNOX INTL INC                   COM   526107107           0           1  SH     DEFINED     09           1           0           0

LEUCADIA NATL CORP                COM   527288104      11,344     413,559  SH     DEFINED     01     212,863     198,002       2,694
LEUCADIA NATL CORP                COM   527288104         579      21,122  SH     OTHER       01       5,088      14,709       1,325
LEUCADIA NATL CORP                COM   527288104      72,328   2,636,824  SH     DEFINED  01,08     383,509   2,253,315           0
LEUCADIA NATL CORP                COM   527288104      23,324     850,301  SH     DEFINED     09     850,301           0           0

LEVEL 3 COMMUNICATIONS INC        COM   52729N308         902      44,436  SH     DEFINED     01      25,052      19,384           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N308           1          42  SH     OTHER       01           0           0          42
LEVEL 3 COMMUNICATIONS INC        COM   52729N308      16,550     815,674  SH     DEFINED  01,08     181,618     634,056           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N308       4,718     232,529  SH     DEFINED     09     232,529           0           0

LEXICON PHARMACEUTICALS INC       COM   528872104         452     207,269  SH     DEFINED     01      28,816     178,453           0
LEXICON PHARMACEUTICALS INC       COM   528872104       5,937   2,723,179  SH     DEFINED  01,08      69,165   2,654,014           0
LEXICON PHARMACEUTICALS INC       COM   528872104       1,092     500,919  SH     DEFINED     09     500,919           0           0

LEXINGTON REALTY TRUST            COM   529043101       3,152     267,143  SH     DEFINED     01     113,214     153,929           0
LEXINGTON REALTY TRUST            COM   529043101          76       6,475  SH     OTHER       01           0       6,475           0
LEXINGTON REALTY TRUST            COM   529043101      24,317   2,060,785  SH     DEFINED  01,08     511,426   1,549,359           0
LEXINGTON REALTY TRUST            COM   529043101       5,215     441,950  SH     DEFINED     09     441,950           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    189
  ________

LEXMARK INTL NEW                  COM   529771107       1,538      58,276  SH     DEFINED     01      27,418      30,491         367
LEXMARK INTL NEW                  COM   529771107          25         939  SH     OTHER       01         916           0          23
LEXMARK INTL NEW                  COM   529771107      13,700     518,947  SH     DEFINED  01,08      43,122     475,825           0
LEXMARK INTL NEW                  COM   529771107           0           1  SH     DEFINED     09           1           0           0

LIBBEY INC                        COM   529898108         830      42,941  SH     DEFINED     01      23,624      18,548         769
LIBBEY INC                        COM   529898108          32       1,658  SH     OTHER       01       1,658           0           0
LIBBEY INC                        COM   529898108       4,176     216,020  SH     DEFINED  01,08       9,194     206,826           0
LIBBEY INC                        COM   529898108         958      49,549  SH     DEFINED     09      49,549           0           0

LIBERTY GLOBAL INC                COM   530555101       5,510      75,086  SH     DEFINED     01      41,633      33,453           0
LIBERTY GLOBAL INC                COM   530555101          76       1,039  SH     OTHER       01         414          75         550
LIBERTY GLOBAL INC                COM   530555101      88,653   1,208,138  SH     DEFINED  01,08     164,864   1,043,274           0
LIBERTY GLOBAL INC                COM   530555101      15,378     209,570  SH     DEFINED     09     209,570           0           0

LIBERTY GLOBAL INC                COM   530555309       1,140      16,610  SH     DEFINED     01      11,278       5,332           0
LIBERTY GLOBAL INC                COM   530555309         127       1,857  SH     OTHER       01       1,259           0         598
LIBERTY GLOBAL INC                COM   530555309       9,155     133,395  SH     DEFINED  01,08     128,061       5,334           0
LIBERTY GLOBAL INC                COM   530555309      11,246     163,859  SH     DEFINED     09     163,859           0           0

LIBERTY INTERACTIVE CORP          COM   53071M104       3,805     178,031  SH     DEFINED     01      97,402      80,629           0
LIBERTY INTERACTIVE CORP          COM   53071M104          63       2,964  SH     OTHER       01       1,467           0       1,497
LIBERTY INTERACTIVE CORP          COM   53071M104      59,643   2,790,983  SH     DEFINED  01,08     567,089   2,223,894           0
LIBERTY INTERACTIVE CORP          COM   53071M104      15,641     731,896  SH     DEFINED     09     731,896           0           0

LIBERTY INTERACTIVE CORP          COM   53071M880         684       9,051  SH     DEFINED     01       5,836       3,215           0
LIBERTY INTERACTIVE CORP          COM   53071M880          12         158  SH     OTHER       01          73           0          85
LIBERTY INTERACTIVE CORP          COM   53071M880      10,382     137,366  SH     DEFINED  01,08       3,103     134,263           0

LIBERTY PPTY TR                   COM   531172104       1,332      33,509  SH     DEFINED     01      20,565      12,944           0
LIBERTY PPTY TR                   COM   531172104          20         500  SH     OTHER       01         500           0           0
LIBERTY PPTY TR                   COM   531172104      47,431   1,193,235  SH     DEFINED  01,08     338,139     855,096           0
LIBERTY PPTY TR                   COM   531172104       8,168     205,481  SH     DEFINED     09     205,481           0           0

LIBERTY MEDIA CORP DELAWARE       COM   531229102       3,573      32,006  SH     DEFINED     01      20,658      10,853         495
LIBERTY MEDIA CORP DELAWARE       COM   531229102          26         229  SH     OTHER       01         103           0         126
LIBERTY MEDIA CORP DELAWARE       COM   531229102      61,433     550,327  SH     DEFINED  01,08     112,146     438,181           0
LIBERTY MEDIA CORP DELAWARE       COM   531229102      16,748     150,030  SH     DEFINED     09     150,030           0           0

LIFEWAY FOODS INC                 COM   531914109          99       7,152  SH     DEFINED     01           0       7,152           0
LIFEWAY FOODS INC                 COM   531914109         815      58,611  SH     DEFINED  01,08       3,572      55,039           0
LIFEWAY FOODS INC                 COM   531914109         157      11,314  SH     DEFINED     09      11,314           0           0

LIFE PARTNERS HOLDINGS INC        COM   53215T106          54      13,729  SH     DEFINED     01           0      13,729           0
LIFE PARTNERS HOLDINGS INC        COM   53215T106          87      22,277  SH     DEFINED  01,08       2,605      19,672           0
LIFE PARTNERS HOLDINGS INC        COM   53215T106           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    190
  ________

LIFE TIME FITNESS INC             COM   53217R207       2,538      59,333  SH     DEFINED     01       6,415      52,918           0
LIFE TIME FITNESS INC             COM   53217R207      25,540     597,012  SH     DEFINED  01,08      28,091     568,921           0
LIFE TIME FITNESS INC             COM   53217R207       4,476     104,620  SH     DEFINED     09     104,620           0           0

LIFE TECHNOLOGIES CORP            COM   53217V109      13,109     202,824  SH     DEFINED     01      87,703     114,635         486
LIFE TECHNOLOGIES CORP            COM   53217V109       1,584      24,509  SH     OTHER       01       5,210       4,312      14,987
LIFE TECHNOLOGIES CORP            COM   53217V109     101,348   1,568,132  SH     DEFINED  01,08     225,756   1,342,376           0
LIFE TECHNOLOGIES CORP            COM   53217V109      32,689     505,792  SH     DEFINED     09     505,792           0           0

LIFEPOINT HOSPITALS INC        CONV DEB 53219LAH2       3,790   3,475,000  PRN    DEFINED     01     975,000   2,500,000           0
LIFEPOINT HOSPITALS INC        CONV DEB 53219LAH2     272,658   2,500,000  PRN    DEFINED  01,08   2,500,000           0           0

LIFEPOINT HOSPITALS INC           COM   53219L109       8,339     172,085  SH     DEFINED     01       8,197     163,888           0
LIFEPOINT HOSPITALS INC           COM   53219L109           0           9  SH     OTHER       01           0           0           9
LIFEPOINT HOSPITALS INC           COM   53219L109      25,575     527,759  SH     DEFINED  01,08     171,128     356,631           0
LIFEPOINT HOSPITALS INC           COM   53219L109           0           1  SH     DEFINED     09           1           0           0

LIGAND PHARMACEUTICALS INC        COM   53220K504         761      28,550  SH     DEFINED     01       1,252      27,298           0
LIGAND PHARMACEUTICALS INC        COM   53220K504       5,715     214,444  SH     DEFINED  01,08      26,102     188,342           0
LIGAND PHARMACEUTICALS INC        COM   53220K504       1,207      45,274  SH     DEFINED     09      45,274           0           0

LIFEVANTAGE CORP                  COM   53222K106         449     191,118  SH     DEFINED  01,08           0     191,118           0

LIFETIME BRANDS INC               COM   53222Q103         122      10,678  SH     DEFINED     01          75      10,603           0
LIFETIME BRANDS INC               COM   53222Q103          92       8,026  SH     OTHER       01           0       8,026           0
LIFETIME BRANDS INC               COM   53222Q103       1,062      93,060  SH     DEFINED  01,08       4,907      88,153           0
LIFETIME BRANDS INC               COM   53222Q103         185      16,204  SH     DEFINED     09      16,204           0           0

LIGHTBRIDGE CORP                  COM   53224K104          22      12,408  SH     DEFINED  01,08           0      12,408           0

LIFELOCK INC                      COM   53224V100          94       9,738  SH     DEFINED     01           0       9,738           0
LIFELOCK INC                      COM   53224V100       1,847     191,790  SH     DEFINED  01,08       2,533     189,257           0
LIFELOCK INC                      COM   53224V100         476      49,423  SH     DEFINED     09      49,423           0           0

LILLY ELI & CO                    COM   532457108      89,323   1,572,863  SH     DEFINED     01     714,254     849,001       9,608
LILLY ELI & CO                    COM   532457108      11,194     197,111  SH     OTHER       01      94,844      75,429      26,838
LILLY ELI & CO                    COM   532457108     514,277   9,055,770  SH     DEFINED  01,08   1,383,532   7,672,238           0
LILLY ELI & CO                    COM   532457108     174,048   3,064,762  SH     DEFINED     09   3,064,762           0           0

LIMELIGHT NETWORKS INC            COM   53261M104         117      56,342  SH     DEFINED     01       8,655      47,687           0
LIMELIGHT NETWORKS INC            COM   53261M104       1,319     634,138  SH     DEFINED  01,08      24,012     610,126           0
LIMELIGHT NETWORKS INC            COM   53261M104         367     176,261  SH     DEFINED     09     176,261           0           0

LIME ENERGY CO                    COM   53261U205           9      12,134  SH     DEFINED  01,08           0      12,134           0

LIMONEIRA CO                      COM   532746104         120       6,231  SH     DEFINED     01         830       5,401           0
LIMONEIRA CO                      COM   532746104       1,572      81,387  SH     DEFINED  01,08       1,307      80,080           0
LIMONEIRA CO                      COM   532746104         525      27,189  SH     DEFINED     09      27,189           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    191
  ________

LIN TV CORP                       COM   532774106         370      33,661  SH     DEFINED     01       4,460      29,201           0
LIN TV CORP                       COM   532774106       3,623     329,699  SH     DEFINED  01,08      22,794     306,905           0
LIN TV CORP                       COM   532774106         915      83,297  SH     DEFINED     09      83,297           0           0

LINCOLN EDL SVCS CORP             COM   533535100         145      24,714  SH     DEFINED     01       8,157      16,557           0
LINCOLN EDL SVCS CORP             COM   533535100       1,311     223,758  SH     DEFINED  01,08       7,923     215,835           0
LINCOLN EDL SVCS CORP             COM   533535100         304      51,952  SH     DEFINED     09      51,952           0           0

LINCOLN ELEC HLDGS INC            COM   533900106       2,196      40,534  SH     DEFINED     01      25,196      15,199         139
LINCOLN ELEC HLDGS INC            COM   533900106         442       8,152  SH     OTHER       01          86          41       8,025
LINCOLN ELEC HLDGS INC            COM   533900106      33,357     615,661  SH     DEFINED  01,08       8,380     607,281           0
LINCOLN ELEC HLDGS INC            COM   533900106           0           2  SH     DEFINED     09           2           0           0

LINCOLN NATL CORP IND             COM   534187109      20,016     613,786  SH     DEFINED     01     422,674     184,701       6,411
LINCOLN NATL CORP IND             COM   534187109      13,073     400,880  SH     OTHER       01      64,172       2,038     334,670
LINCOLN NATL CORP IND             COM   534187109      80,108   2,456,539  SH     DEFINED  01,08     390,422   2,066,117           0
LINCOLN NATL CORP IND             COM   534187109      26,440     810,784  SH     DEFINED     09     810,784           0           0

LINDSAY CORP                      COM   535555106       1,667      18,910  SH     DEFINED     01       5,271      13,639           0
LINDSAY CORP                      COM   535555106      12,508     141,846  SH     DEFINED  01,08       9,700     132,146           0
LINDSAY CORP                      COM   535555106       2,749      31,172  SH     DEFINED     09      31,172           0           0

LINEAR TECHNOLOGY CORP            COM   535678106      18,346     478,145  SH     DEFINED     01     260,824     212,264       5,057
LINEAR TECHNOLOGY CORP            COM   535678106       3,062      79,812  SH     OTHER       01      44,644      30,836       4,332
LINEAR TECHNOLOGY CORP            COM   535678106      81,966   2,136,205  SH     DEFINED  01,08     314,901   1,821,304           0
LINEAR TECHNOLOGY CORP            COM   535678106      25,829     673,165  SH     DEFINED     09     673,165           0           0

LINKEDIN CORP                     COM   53578A108      19,611     111,388  SH     DEFINED     01      88,548      22,111         729
LINKEDIN CORP                     COM   53578A108       1,068       6,068  SH     OTHER       01       3,170       2,878          20
LINKEDIN CORP                     COM   53578A108      64,756     367,809  SH     DEFINED  01,08     106,109     261,700           0
LINKEDIN CORP                     COM   53578A108      22,859     129,836  SH     DEFINED     09     129,836           0           0

LIONS GATE ENTMNT CORP            COM   535919203       1,877      78,971  SH     DEFINED     01      12,088      66,883           0
LIONS GATE ENTMNT CORP            COM   535919203      17,228     724,777  SH     DEFINED  01,08      46,057     678,720           0
LIONS GATE ENTMNT CORP            COM   535919203       4,618     194,290  SH     DEFINED     09     194,290           0           0

LINN ENERGY LLC                   COM   536020100       4,525     119,178  SH     DEFINED     01     110,378           0       8,800
LINN ENERGY LLC                   COM   536020100         289       7,600  SH     OTHER       01       5,300       2,300           0

LIONBRIDGE TECHNOLOGIES INC       COM   536252109         234      60,568  SH     DEFINED     01       7,885      52,683           0
LIONBRIDGE TECHNOLOGIES INC       COM   536252109           4       1,000  SH     OTHER       01           0       1,000           0
LIONBRIDGE TECHNOLOGIES INC       COM   536252109       2,314     597,809  SH     DEFINED  01,08      25,073     572,736           0
LIONBRIDGE TECHNOLOGIES INC       COM   536252109         487     125,788  SH     DEFINED     09     125,788           0           0

LIPOSCIENCE INC                   COM   53630M108          69       6,596  SH     DEFINED  01,08         889       5,707           0
LIPOSCIENCE INC                   COM   53630M108         171      16,234  SH     DEFINED     09      16,234           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    192
  ________

LIQUIDITY SERVICES INC            COM   53635B107       2,998     100,561  SH     DEFINED     01      75,097      24,936         528
LIQUIDITY SERVICES INC            COM   53635B107         156       5,226  SH     OTHER       01       1,735       3,491           0
LIQUIDITY SERVICES INC            COM   53635B107       7,853     263,436  SH     DEFINED  01,08      18,684     244,752           0
LIQUIDITY SERVICES INC            COM   53635B107       1,708      57,312  SH     DEFINED     09      57,312           0           0

LITHIA MTRS INC                   COM   536797103       1,481      31,194  SH     DEFINED     01       9,252      21,942           0
LITHIA MTRS INC                   COM   536797103      11,187     235,614  SH     DEFINED  01,08      15,528     220,086           0
LITHIA MTRS INC                   COM   536797103       2,486      52,364  SH     DEFINED     09      52,364           0           0

LITTELFUSE INC                    COM   537008104       8,394     123,721  SH     DEFINED     01       8,596     115,125           0
LITTELFUSE INC                    COM   537008104      22,594     333,005  SH     DEFINED  01,08     104,048     228,957           0
LITTELFUSE INC                    COM   537008104       3,662      53,969  SH     DEFINED     09      53,969           0           0

LIVE NATION ENTERTAINMENT IN      COM   538034109       2,212     178,817  SH     DEFINED     01      51,042     127,775           0
LIVE NATION ENTERTAINMENT IN      COM   538034109      18,627   1,505,834  SH     DEFINED  01,08      88,586   1,417,248           0
LIVE NATION ENTERTAINMENT IN      COM   538034109       4,349     351,581  SH     DEFINED     09     351,581           0           0

LIVEPERSON INC                    COM   538146101       1,329      97,883  SH     DEFINED     01      45,323      52,560           0
LIVEPERSON INC                    COM   538146101          16       1,205  SH     OTHER       01           0       1,205           0
LIVEPERSON INC                    COM   538146101       8,245     607,145  SH     DEFINED  01,08      38,290     568,855           0
LIVEPERSON INC                    COM   538146101       1,910     140,645  SH     DEFINED     09     140,645           0           0

LLOYDS BANKING GROUP PLC          COM   539439109       2,847     948,841  SH     DEFINED     01     861,469      87,372           0
LLOYDS BANKING GROUP PLC          COM   539439109         267      88,986  SH     OTHER       01      52,021      36,965           0
LLOYDS BANKING GROUP PLC          COM   539439109       1,694     564,768  SH     DEFINED  01,08      47,134     517,634           0

LO-JACK CORP                      COM   539451104          28       8,994  SH     DEFINED     01           0       8,994           0
LO-JACK CORP                      COM   539451104         113      36,250  SH     DEFINED  01,08       6,316      29,934           0

LOCAL CORP                        COM   53954W104           2       1,246  SH     DEFINED     01         160       1,086           0
LOCAL CORP                        COM   53954W104          68      40,145  SH     DEFINED  01,08       1,086      39,059           0

LOCKHEED MARTIN CORP              COM   539830109      51,619     534,804  SH     DEFINED     01     347,697     184,193       2,914
LOCKHEED MARTIN CORP              COM   539830109       6,179      64,023  SH     OTHER       01      41,118      12,723      10,182
LOCKHEED MARTIN CORP              COM   539830109     234,825   2,432,915  SH     DEFINED  01,08     373,327   2,059,588           0
LOCKHEED MARTIN CORP              COM   539830109      70,962     735,204  SH     DEFINED     09     735,204           0           0

LOEWS CORP                        COM   540424108      26,570     602,903  SH     DEFINED     01     380,994     220,888       1,021
LOEWS CORP                        COM   540424108         372       8,430  SH     OTHER       01       5,231       3,007         192
LOEWS CORP                        COM   540424108     121,107   2,748,052  SH     DEFINED  01,08     402,275   2,345,777           0
LOEWS CORP                        COM   540424108      39,312     892,031  SH     DEFINED     09     892,031           0           0

LOGMEIN INC                       COM   54142L109       1,519      79,045  SH     DEFINED     01      27,183      51,862           0
LOGMEIN INC                       COM   54142L109          19         982  SH     OTHER       01         982           0           0
LOGMEIN INC                       COM   54142L109       5,404     281,159  SH     DEFINED  01,08      47,009     234,150           0
LOGMEIN INC                       COM   54142L109       1,002      52,140  SH     DEFINED     09      52,140           0           0

LOOKSMART LTD                     COM   543442503           7       7,656  SH     DEFINED     01           0       7,656           0
LOOKSMART LTD                     COM   543442503          26      31,146  SH     DEFINED  01,08       6,614      24,532           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    193
  ________

LORAL SPACE & COMMUNICATNS I      COM   543881106         920      14,866  SH     DEFINED     01       1,450      13,416           0
LORAL SPACE & COMMUNICATNS I      COM   543881106       8,097     130,858  SH     DEFINED  01,08      10,770     120,088           0
LORAL SPACE & COMMUNICATNS I      COM   543881106       1,766      28,540  SH     DEFINED     09      28,540           0           0

LORILLARD INC                     COM   544147101      18,066     447,736  SH     DEFINED     01     184,094     262,291       1,351
LORILLARD INC                     COM   544147101         353       8,744  SH     OTHER       01       8,147         597           0
LORILLARD INC                     COM   544147101     131,540   3,259,969  SH     DEFINED  01,08     415,995   2,843,974           0
LORILLARD INC                     COM   544147101      36,763     911,115  SH     DEFINED     09     911,115           0           0

LOUISIANA PAC CORP                COM   546347105       5,091     235,673  SH     DEFINED     01      24,530     211,143           0
LOUISIANA PAC CORP                COM   546347105      47,572   2,202,412  SH     DEFINED  01,08     368,683   1,833,729           0
LOUISIANA PAC CORP                COM   546347105       7,405     342,824  SH     DEFINED     09     342,824           0           0

LOWES COS INC                     COM   548661107      77,461   2,042,742  SH     DEFINED     01   1,285,777     713,747      43,218
LOWES COS INC                     COM   548661107      11,945     314,999  SH     OTHER       01     189,236      97,416      28,347
LOWES COS INC                     COM   548661107     374,641   9,879,777  SH     DEFINED  01,08   1,476,723   8,403,054           0
LOWES COS INC                     COM   548661107     126,026   3,323,461  SH     DEFINED     09   3,323,461           0           0

LUBYS INC                         COM   549282101         192      25,735  SH     DEFINED     01       1,880      23,855           0
LUBYS INC                         COM   549282101       1,473     196,920  SH     DEFINED  01,08      14,051     182,869           0
LUBYS INC                         COM   549282101         374      50,058  SH     DEFINED     09      50,058           0           0

LUCAS ENERGY INC                  COM   549333201           4       3,088  SH     DEFINED     01         220       2,868           0
LUCAS ENERGY INC                  COM   549333201          52      39,419  SH     DEFINED  01,08       1,042      38,377           0

LUFKIN INDS INC                   COM   549764108       5,489      82,673  SH     DEFINED     01      12,775      69,898           0
LUFKIN INDS INC                   COM   549764108      26,536     399,705  SH     DEFINED  01,08      47,185     352,520           0
LUFKIN INDS INC                   COM   549764108       5,479      82,527  SH     DEFINED     09      82,527           0           0

LULULEMON ATHLETICA INC           COM   550021109      11,211     179,815  SH     DEFINED     01     152,220      27,044         551
LULULEMON ATHLETICA INC           COM   550021109         347       5,562  SH     OTHER       01       4,059       1,503           0
LULULEMON ATHLETICA INC           COM   550021109       8,748     140,317  SH     DEFINED  01,08     137,008       3,309           0
LULULEMON ATHLETICA INC           COM   550021109       9,707     155,701  SH     DEFINED     09     155,701           0           0

LUMBER LIQUIDATORS HLDGS INC      COM   55003T107       2,971      42,314  SH     DEFINED     01      10,540      31,774           0
LUMBER LIQUIDATORS HLDGS INC      COM   55003T107      21,430     305,182  SH     DEFINED  01,08      24,014     281,168           0
LUMBER LIQUIDATORS HLDGS INC      COM   55003T107       4,885      69,574  SH     DEFINED     09      69,574           0           0

LUMINEX CORP DEL                  COM   55027E102       1,051      63,594  SH     DEFINED     01      17,038      46,556           0
LUMINEX CORP DEL                  COM   55027E102       7,518     455,105  SH     DEFINED  01,08      30,144     424,961           0
LUMINEX CORP DEL                  COM   55027E102       1,781     107,799  SH     DEFINED     09     107,799           0           0

LUMOS NETWORKS CORP               COM   550283105         288      21,381  SH     DEFINED     01       6,760      14,621           0
LUMOS NETWORKS CORP               COM   550283105       2,234     165,763  SH     DEFINED  01,08      11,124     154,639           0
LUMOS NETWORKS CORP               COM   550283105         432      32,049  SH     DEFINED     09      32,049           0           0

LUNA INNOVATIONS                  COM   550351100           1       1,137  SH     DEFINED     01           0       1,137           0
LUNA INNOVATIONS                  COM   550351100          16      12,788  SH     DEFINED  01,08       1,137      11,651           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    194
  ________

LUXOTTICA GROUP S P A             COM   55068R202       5,383     107,038  SH     DEFINED     01     104,267       2,658         113
LUXOTTICA GROUP S P A             COM   55068R202         235       4,673  SH     OTHER       01       3,208       1,465           0
LUXOTTICA GROUP S P A             COM   55068R202         391       7,766  SH     DEFINED  01,08           0       7,766           0

LYDALL INC DEL                    COM   550819106         373      24,327  SH     DEFINED     01       6,527      17,800           0
LYDALL INC DEL                    COM   550819106       2,650     172,654  SH     DEFINED  01,08       8,296     164,358           0
LYDALL INC DEL                    COM   550819106         643      41,863  SH     DEFINED     09      41,863           0           0

M & T BK CORP                     COM   55261F104      15,112     146,488  SH     DEFINED     01      74,320      71,934         234
M & T BK CORP                     COM   55261F104         383       3,711  SH     OTHER       01       3,446         220          45
M & T BK CORP                     COM   55261F104     113,099   1,096,349  SH     DEFINED  01,08     157,850     938,499           0
M & T BK CORP                     COM   55261F104      35,751     346,558  SH     DEFINED     09     346,558           0           0

MBIA INC                          COM   55262C100         531      51,677  SH     DEFINED     01      27,302      24,375           0
MBIA INC                          COM   55262C100           2         200  SH     OTHER       01           0           0         200
MBIA INC                          COM   55262C100       5,912     575,643  SH     DEFINED  01,08      14,651     560,992           0
MBIA INC                          COM   55262C100           0           1  SH     DEFINED     09           1           0           0

MB FINANCIAL INC NEW              COM   55264U108       2,615     108,175  SH     DEFINED     01      41,112      67,063           0
MB FINANCIAL INC NEW              COM   55264U108         178       7,380  SH     OTHER       01       5,670       1,710           0
MB FINANCIAL INC NEW              COM   55264U108      14,606     604,311  SH     DEFINED  01,08      48,734     555,577           0
MB FINANCIAL INC NEW              COM   55264U108       3,230     133,643  SH     DEFINED     09     133,643           0           0

M D C HLDGS INC                   COM   552676108       5,124     139,817  SH     DEFINED     01      43,015      96,169         633
M D C HLDGS INC                   COM   552676108         390      10,634  SH     OTHER       01       8,138       2,313         183
M D C HLDGS INC                   COM   552676108      21,714     592,464  SH     DEFINED  01,08      83,064     509,400           0
M D C HLDGS INC                   COM   552676108       3,550      96,858  SH     DEFINED     09      96,858           0           0

MDU RES GROUP INC                 COM   552690109       2,008      80,348  SH     DEFINED     01      54,708      25,260         380
MDU RES GROUP INC                 COM   552690109       2,318      92,771  SH     OTHER       01      16,788      73,317       2,666
MDU RES GROUP INC                 COM   552690109      38,676   1,547,645  SH     DEFINED  01,08     180,136   1,367,509           0
MDU RES GROUP INC                 COM   552690109       5,756     230,334  SH     DEFINED     09     230,334           0           0

MDC PARTNERS INC                  COM   552697104         269      16,618  SH     DEFINED     01       2,604      14,014           0
MDC PARTNERS INC                  COM   552697104       3,375     208,726  SH     DEFINED  01,08       3,552     205,174           0
MDC PARTNERS INC                  COM   552697104       1,023      63,259  SH     DEFINED     09      63,259           0           0

MEMC ELECTR MATLS INC             COM   552715104         956     217,362  SH     DEFINED     01      46,098     171,264           0
MEMC ELECTR MATLS INC             COM   552715104          92      21,000  SH     OTHER       01      21,000           0           0
MEMC ELECTR MATLS INC             COM   552715104      13,790   3,134,024  SH     DEFINED  01,08      79,931   3,054,093           0
MEMC ELECTR MATLS INC             COM   552715104       2,576     585,502  SH     DEFINED     09     585,502           0           0

MFA FINANCIAL INC                 COM   55272X102       6,286     674,454  SH     DEFINED     01     109,854     564,600           0
MFA FINANCIAL INC                 COM   55272X102           7         795  SH     OTHER       01         680           0         115
MFA FINANCIAL INC                 COM   55272X102      18,776   2,014,646  SH     DEFINED  01,08     576,338   1,438,308           0
MFA FINANCIAL INC                 COM   55272X102           0           1  SH     DEFINED     09           1           0           0

MFRI INC                          COM   552721102          34       4,626  SH     DEFINED     01           0       4,626           0
MFRI INC                          COM   552721102          89      12,268  SH     DEFINED  01,08       4,126       8,142           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    195
  ________

MFS INTER INCOME TR            UNDEFIND 55273C107           1      10,647         DEFINED     01      10,647           0           0

MGE ENERGY INC                    COM   55277P104       1,480      26,703  SH     DEFINED     01       4,313      22,390           0
MGE ENERGY INC                    COM   55277P104           1          10  SH     OTHER       01           0          10           0
MGE ENERGY INC                    COM   55277P104      13,819     249,258  SH     DEFINED  01,08      15,969     233,289           0
MGE ENERGY INC                    COM   55277P104       3,259      58,792  SH     DEFINED     09      58,792           0           0

MELA SCIENCES INC                 COM   55277R100           4       3,198  SH     DEFINED     01           0       3,198           0
MELA SCIENCES INC                 COM   55277R100          77      66,687  SH     DEFINED  01,08       5,426      61,261           0

MGIC INVT CORP WIS                COM   552848103         977     197,443  SH     DEFINED     01      30,607     166,836           0
MGIC INVT CORP WIS                COM   552848103      10,450   2,111,211  SH     DEFINED  01,08     119,888   1,991,323           0
MGIC INVT CORP WIS                COM   552848103       3,846     777,068  SH     DEFINED     09     777,068           0           0

MGM RESORTS INTERNATIONAL         COM   552953101       1,109      84,298  SH     DEFINED     01      51,219      32,279         800
MGM RESORTS INTERNATIONAL         COM   552953101           9         679  SH     OTHER       01           0         679           0
MGM RESORTS INTERNATIONAL         COM   552953101      25,401   1,931,654  SH     DEFINED  01,08     445,129   1,486,525           0
MGM RESORTS INTERNATIONAL         COM   552953101       7,616     579,135  SH     DEFINED     09     579,135           0           0

MHI HOSPITALITY CORP              COM   55302L102           9       2,054  SH     DEFINED     01           0       2,054           0
MHI HOSPITALITY CORP              COM   55302L102          52      12,506  SH     DEFINED  01,08           0      12,506           0

MGP INGREDIENTS INC NEW           COM   55303J106          36       8,318  SH     DEFINED     01           0       8,318           0
MGP INGREDIENTS INC NEW           COM   55303J106          98      22,537  SH     DEFINED  01,08       5,319      17,218           0

M/I HOMES INC                     COM   55305B101         725      29,659  SH     DEFINED     01       9,066      20,593           0
M/I HOMES INC                     COM   55305B101       5,614     229,621  SH     DEFINED  01,08      11,438     218,183           0
M/I HOMES INC                     COM   55305B101       1,413      57,776  SH     DEFINED     09      57,776           0           0

MKS INSTRUMENT INC                COM   55306N104      10,840     398,546  SH     DEFINED     01      16,186     382,360           0
MKS INSTRUMENT INC                COM   55306N104      24,923     916,290  SH     DEFINED  01,08     388,911     527,379           0
MKS INSTRUMENT INC                COM   55306N104       3,494     128,457  SH     DEFINED     09     128,457           0           0

MPG OFFICE TR INC                 COM   553274101         232      84,261  SH     DEFINED     01           0      84,261           0
MPG OFFICE TR INC                 COM   553274101         550     200,119  SH     DEFINED  01,08      96,234     103,885           0

MRC GLOBAL INC                    COM   55345K103       1,255      38,099  SH     DEFINED     01      31,433       6,666           0
MRC GLOBAL INC                    COM   55345K103          10         300  SH     OTHER       01           0         300           0
MRC GLOBAL INC                    COM   55345K103       5,515     167,486  SH     DEFINED  01,08           0     167,486           0

MSC INDL DIRECT INC               COM   553530106       1,260      14,683  SH     DEFINED     01       7,038       7,545         100
MSC INDL DIRECT INC               COM   553530106         123       1,430  SH     OTHER       01         660         770           0
MSC INDL DIRECT INC               COM   553530106      29,893     348,481  SH     DEFINED  01,08       4,498     343,983           0
MSC INDL DIRECT INC               COM   553530106           0           1  SH     DEFINED     09           1           0           0

MSCI INC                          COM   55354G100       1,080      31,831  SH     DEFINED     01      15,330      16,501           0
MSCI INC                          COM   55354G100          79       2,325  SH     OTHER       01       1,015       1,310           0
MSCI INC                          COM   55354G100      30,439     897,108  SH     DEFINED  01,08      11,759     885,349           0
MSCI INC                          COM   55354G100           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    196
  ________

MTR GAMING GROUP INC              COM   553769100          72      21,887  SH     DEFINED     01           0      21,887           0
MTR GAMING GROUP INC              COM   553769100         750     227,349  SH     DEFINED  01,08      10,945     216,404           0
MTR GAMING GROUP INC              COM   553769100         178      54,027  SH     DEFINED     09      54,027           0           0

MTS SYS CORP                      COM   553777103       1,705      29,314  SH     DEFINED     01       7,768      21,546           0
MTS SYS CORP                      COM   553777103      10,928     187,926  SH     DEFINED  01,08      17,589     170,337           0
MTS SYS CORP                      COM   553777103       2,244      38,592  SH     DEFINED     09      38,592           0           0

MVC CAPITAL INC                   COM   553829102       2,369     184,613  SH     DEFINED     01       5,818     178,795           0
MVC CAPITAL INC                   COM   553829102       4,786     373,010  SH     DEFINED  01,08     172,697     200,313           0
MVC CAPITAL INC                   COM   553829102         816      63,564  SH     DEFINED     09      63,564           0           0

MWI VETERINARY SUPPLY INC         COM   55402X105       3,934      29,745  SH     DEFINED     01      15,277      14,468           0
MWI VETERINARY SUPPLY INC         COM   55402X105          69         525  SH     OTHER       01         525           0           0
MWI VETERINARY SUPPLY INC         COM   55402X105      18,790     142,072  SH     DEFINED  01,08      10,903     131,169           0
MWI VETERINARY SUPPLY INC         COM   55402X105       4,116      31,119  SH     DEFINED     09      31,119           0           0

MYR GROUP INC DEL                 COM   55405W104         565      23,004  SH     DEFINED     01         991      22,013           0
MYR GROUP INC DEL                 COM   55405W104          25       1,000  SH     OTHER       01           0       1,000           0
MYR GROUP INC DEL                 COM   55405W104       5,525     224,968  SH     DEFINED  01,08      13,550     211,418           0
MYR GROUP INC DEL                 COM   55405W104       1,206      49,115  SH     DEFINED     09      49,115           0           0

MA COM TECHNOLOGY SOLUTIONS       COM   55405Y100         499      31,022  SH     DEFINED     01      28,071       2,951           0
MA COM TECHNOLOGY SOLUTIONS       COM   55405Y100          22       1,364  SH     OTHER       01           0       1,364           0
MA COM TECHNOLOGY SOLUTIONS       COM   55405Y100       1,127      70,141  SH     DEFINED  01,08       1,005      69,136           0
MA COM TECHNOLOGY SOLUTIONS       COM   55405Y100         252      15,684  SH     DEFINED     09      15,684           0           0

MAC-GRAY CORP                     COM   554153106         179      13,970  SH     DEFINED     01       1,400      12,570           0
MAC-GRAY CORP                     COM   554153106       1,485     116,015  SH     DEFINED  01,08       8,291     107,724           0
MAC-GRAY CORP                     COM   554153106         412      32,156  SH     DEFINED     09      32,156           0           0

MACATAWA BK CORP                  COM   554225102          81      14,917  SH     DEFINED     01       4,424      10,493           0
MACATAWA BK CORP                  COM   554225102         242      44,772  SH     DEFINED  01,08      10,908      33,864           0

MACERICH CO                       COM   554382101       1,975      30,673  SH     DEFINED     01      17,776      12,897           0
MACERICH CO                       COM   554382101          31         482  SH     OTHER       01         430           0          52
MACERICH CO                       COM   554382101      90,889   1,411,761  SH     DEFINED  01,08     417,531     994,230           0
MACERICH CO                       COM   554382101      16,704     259,459  SH     DEFINED     09     259,459           0           0

MACK CALI RLTY CORP               COM   554489104         743      25,980  SH     DEFINED     01      17,964       8,016           0
MACK CALI RLTY CORP               COM   554489104          25         859  SH     OTHER       01         830           0          29
MACK CALI RLTY CORP               COM   554489104      23,382     817,267  SH     DEFINED  01,08     173,084     644,183           0
MACK CALI RLTY CORP               COM   554489104         892      31,180  SH     DEFINED     09      31,180           0           0

MACQUARIE INFRASTR CO LLC         COM   55608B105         243       4,502  SH     DEFINED     01       1,930       2,572           0
MACQUARIE INFRASTR CO LLC         COM   55608B105         502       9,293  SH     DEFINED  01,08       7,594       1,699           0
MACQUARIE INFRASTR CO LLC         COM   55608B105           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    197
  ________

MACYS INC                         COM   55616P104      20,133     481,191  SH     DEFINED     01     209,813     270,427         951
MACYS INC                         COM   55616P104         516      12,328  SH     OTHER       01      11,492         579         257
MACYS INC                         COM   55616P104     151,716   3,626,096  SH     DEFINED  01,08     562,881   3,063,215           0
MACYS INC                         COM   55616P104      49,917   1,193,046  SH     DEFINED     09   1,193,046           0           0

MADDEN STEVEN LTD                 COM   556269108       4,729     109,399  SH     DEFINED     01      45,137      63,877         385
MADDEN STEVEN LTD                 COM   556269108          44       1,012  SH     OTHER       01         832         180           0
MADDEN STEVEN LTD                 COM   556269108      20,045     463,702  SH     DEFINED  01,08      51,961     411,741           0
MADDEN STEVEN LTD                 COM   556269108       4,161      96,263  SH     DEFINED     09      96,263           0           0

MADISON SQUARE GARDEN CO          COM   55826P100       1,016      17,645  SH     DEFINED     01       9,022       8,623           0
MADISON SQUARE GARDEN CO          COM   55826P100         313       5,442  SH     OTHER       01           0       5,400          42
MADISON SQUARE GARDEN CO          COM   55826P100      14,625     253,910  SH     DEFINED  01,08       8,267     245,643           0
MADISON SQUARE GARDEN CO          COM   55826P100           0           1  SH     DEFINED     09           1           0           0

MAGELLAN HEALTH SVCS INC          COM   559079207       6,184     129,990  SH     DEFINED     01      11,088     118,902           0
MAGELLAN HEALTH SVCS INC          COM   559079207          48       1,000  SH     OTHER       01       1,000           0           0
MAGELLAN HEALTH SVCS INC          COM   559079207      18,748     394,115  SH     DEFINED  01,08     113,452     280,663           0
MAGELLAN HEALTH SVCS INC          COM   559079207       3,205      67,369  SH     DEFINED     09      67,369           0           0

MAGELLAN MIDSTREAM PRTNRS LP      COM   559080106       8,061     150,865  SH     DEFINED     01     131,041      19,824           0
MAGELLAN MIDSTREAM PRTNRS LP      COM   559080106       2,419      45,275  SH     OTHER       01      36,675       8,400         200

MAGELLAN PETE CORP                COM   559091301          19      17,291  SH     DEFINED     01           0      17,291           0
MAGELLAN PETE CORP                COM   559091301         111     103,576  SH     DEFINED  01,08      18,813      84,763           0

MAGIC SOFTWARE ENTERPRISES L      COM   559166103          52      10,000  SH     DEFINED     01      10,000           0           0

MAGNA INTL INC                    COM   559222401       9,958     169,645  SH     DEFINED     01      31,059       2,366     136,220
MAGNA INTL INC                    COM   559222401         122       2,083  SH     OTHER       01       1,262         821           0
MAGNA INTL INC                    COM   559222401         652      11,109  SH     DEFINED  01,08           0      11,109           0

MAGNACHIP SEMICONDUCTOR CORP      COM   55933J203          99       5,705  SH     DEFINED     01         205       5,500           0
MAGNACHIP SEMICONDUCTOR CORP      COM   55933J203         123       7,126  SH     DEFINED  01,08       6,300         826           0

MAGNUM HUNTER RES CORP DEL        COM   55973B102         633     157,823  SH     DEFINED     01      44,492     112,251       1,080
MAGNUM HUNTER RES CORP DEL        COM   55973B102       6,265   1,562,294  SH     DEFINED  01,08      63,124   1,499,170           0
MAGNUM HUNTER RES CORP DEL        COM   55973B102       1,415     352,932  SH     DEFINED     09     352,932           0           0

MAIDENFORM BRANDS INC             COM   560305104         766      43,674  SH     DEFINED     01      19,618      23,689         367
MAIDENFORM BRANDS INC             COM   560305104          14         790  SH     OTHER       01         790           0           0
MAIDENFORM BRANDS INC             COM   560305104       4,592     261,932  SH     DEFINED  01,08      14,238     247,694           0
MAIDENFORM BRANDS INC             COM   560305104       1,057      60,295  SH     DEFINED     09      60,295           0           0

MAIN STREET CAPITAL CORP          COM   56035L104       1,745      54,367  SH     DEFINED     01       3,236      51,131           0
MAIN STREET CAPITAL CORP          COM   56035L104       9,506     296,239  SH     DEFINED  01,08      43,028     253,211           0
MAIN STREET CAPITAL CORP          COM   56035L104       2,411      75,136  SH     DEFINED     09      75,136           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    198
  ________

MAINSOURCE FINANCIAL GP INC       COM   56062Y102         820      58,420  SH     DEFINED     01       4,160      54,260           0
MAINSOURCE FINANCIAL GP INC       COM   56062Y102       3,408     242,729  SH     DEFINED  01,08      50,931     191,798           0
MAINSOURCE FINANCIAL GP INC       COM   56062Y102         740      52,709  SH     DEFINED     09      52,709           0           0

MAJESCO ENTERTAINMENT CO          COM   560690208           3       5,936  SH     DEFINED     01           0       5,936           0
MAJESCO ENTERTAINMENT CO          COM   560690208          41      75,103  SH     DEFINED  01,08           0      75,103           0

MAKO SURGICAL CORP                COM   560879108         398      35,715  SH     DEFINED     01       6,268      29,447           0
MAKO SURGICAL CORP                COM   560879108       4,825     432,715  SH     DEFINED  01,08      22,936     409,779           0
MAKO SURGICAL CORP                COM   560879108       1,083      97,152  SH     DEFINED     09      97,152           0           0

MANHATTAN ASSOCS INC              COM   562750109       7,316      98,477  SH     DEFINED     01      72,522      25,171         784
MANHATTAN ASSOCS INC              COM   562750109       2,028      27,293  SH     OTHER       01      26,171         832         290
MANHATTAN ASSOCS INC              COM   562750109      17,071     229,791  SH     DEFINED  01,08      17,724     212,067           0
MANHATTAN ASSOCS INC              COM   562750109       3,786      50,965  SH     DEFINED     09      50,965           0           0

MANITEX INTL INC                  COM   563420108           3         265  SH     DEFINED     01         265           0           0
MANITEX INTL INC                  COM   563420108         226      18,186  SH     DEFINED  01,08           0      18,186           0

MANITOWOC INC                     COM   563571108       1,921      93,411  SH     DEFINED     01      31,743      61,668           0
MANITOWOC INC                     COM   563571108           2         100  SH     OTHER       01           0           0         100
MANITOWOC INC                     COM   563571108      12,821     623,592  SH     DEFINED  01,08      72,437     551,155           0
MANITOWOC INC                     COM   563571108           0           1  SH     DEFINED     09           1           0           0

MANNING & NAPIER INC              COM   56382Q102         690      41,727  SH     DEFINED     01      24,906      16,821           0
MANNING & NAPIER INC              COM   56382Q102          37       2,210  SH     OTHER       01       1,460         750           0
MANNING & NAPIER INC              COM   56382Q102       2,244     135,682  SH     DEFINED  01,08       2,152     133,530           0
MANNING & NAPIER INC              COM   56382Q102         482      29,157  SH     DEFINED     09      29,157           0           0

MANNKIND CORP                     COM   56400P201         408     120,437  SH     DEFINED     01      14,960     105,477           0
MANNKIND CORP                     COM   56400P201       4,611   1,360,289  SH     DEFINED  01,08      49,772   1,310,517           0
MANNKIND CORP                     COM   56400P201       1,106     326,140  SH     DEFINED     09     326,140           0           0

MANPOWERGROUP INC                 COM   56418H100       3,051      53,790  SH     DEFINED     01      42,993       8,911       1,886
MANPOWERGROUP INC                 COM   56418H100         207       3,653  SH     OTHER       01       3,585          43          25
MANPOWERGROUP INC                 COM   56418H100      37,858     667,461  SH     DEFINED  01,08      92,003     575,458           0
MANPOWERGROUP INC                 COM   56418H100       6,867     121,077  SH     DEFINED     09     121,077           0           0

MANTECH INTL CORP                 COM   564563104         863      32,133  SH     DEFINED     01       3,736      28,397           0
MANTECH INTL CORP                 COM   564563104       9,809     365,053  SH     DEFINED  01,08      17,826     347,227           0
MANTECH INTL CORP                 COM   564563104       1,491      55,485  SH     DEFINED     09      55,485           0           0

MANULIFE FINL CORP                COM   56501R106       4,628     314,375  SH     DEFINED     01     278,011      36,364           0
MANULIFE FINL CORP                COM   56501R106       2,479     168,436  SH     OTHER       01      69,375      99,061           0
MANULIFE FINL CORP                COM   56501R106       1,378      93,595  SH     DEFINED  01,08           0      93,595           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    199
  ________

MARATHON OIL CORP                 COM   565849106      37,669   1,117,115  SH     DEFINED     01     512,966     599,484       4,665
MARATHON OIL CORP                 COM   565849106         665      19,723  SH     OTHER       01      14,921       3,890         912
MARATHON OIL CORP                 COM   565849106     225,667   6,692,389  SH     DEFINED  01,08   1,335,950   5,356,439           0
MARATHON OIL CORP                 COM   565849106      71,305   2,114,622  SH     DEFINED     09   2,114,622           0           0

MARATHON PETE CORP                COM   56585A102      50,090     559,039  SH     DEFINED     01     353,939     204,583         517
MARATHON PETE CORP                COM   56585A102       1,444      16,111  SH     OTHER       01      13,273       2,680         158
MARATHON PETE CORP                COM   56585A102     268,222   2,993,545  SH     DEFINED  01,08     444,731   2,548,814           0
MARATHON PETE CORP                COM   56585A102      89,219     995,747  SH     DEFINED     09     995,747           0           0

MARCHEX INC                       COM   56624R108         112      26,575  SH     DEFINED     01       2,047      24,528           0
MARCHEX INC                       COM   56624R108         991     235,348  SH     DEFINED  01,08      16,416     218,932           0
MARCHEX INC                       COM   56624R108         184      43,656  SH     DEFINED     09      43,656           0           0

MARCUS CORP                       COM   566330106       3,114     249,305  SH     DEFINED     01       6,678     242,627           0
MARCUS CORP                       COM   566330106         160      12,828  SH     OTHER       01           0      12,828           0
MARCUS CORP                       COM   566330106       5,599     448,299  SH     DEFINED  01,08     247,985     200,314           0
MARCUS CORP                       COM   566330106         541      43,347  SH     DEFINED     09      43,347           0           0

MARINEMAX INC                     COM   567908108         369      27,138  SH     DEFINED     01       9,623      17,515           0
MARINEMAX INC                     COM   567908108       2,922     215,005  SH     DEFINED  01,08       9,544     205,461           0
MARINEMAX INC                     COM   567908108         739      54,394  SH     DEFINED     09      54,394           0           0

MARINE PRODS CORP                 COM   568427108         180      24,479  SH     DEFINED     01         811      23,668           0
MARINE PRODS CORP                 COM   568427108       1,005     136,506  SH     DEFINED  01,08      21,121     115,385           0
MARINE PRODS CORP                 COM   568427108         196      26,676  SH     DEFINED     09      26,676           0           0

MARKEL CORP                       COM   570535104       2,675       5,312  SH     DEFINED     01       4,463         849           0
MARKEL CORP                       COM   570535104          13          25  SH     OTHER       01          25           0           0
MARKEL CORP                       COM   570535104      18,868      37,473  SH     DEFINED  01,08         941      36,532           0
MARKEL CORP                       COM   570535104           1           1  SH     DEFINED     09           1           0           0

MARKET LEADER INC                 COM   57056R103         181      20,226  SH     DEFINED     01       2,655      17,571           0
MARKET LEADER INC                 COM   57056R103       2,037     227,352  SH     DEFINED  01,08      13,275     214,077           0
MARKET LEADER INC                 COM   57056R103         443      49,487  SH     DEFINED     09      49,487           0           0

MARKETAXESS HLDGS INC             COM   57060D108       1,908      51,166  SH     DEFINED     01      13,829      37,337           0
MARKETAXESS HLDGS INC             COM   57060D108      15,141     405,930  SH     DEFINED  01,08      25,145     380,785           0
MARKETAXESS HLDGS INC             COM   57060D108       3,318      88,955  SH     DEFINED     09      88,955           0           0

MARKET VECTORS ETF TR             COM   57060U605       1,013      18,700  SH     DEFINED     01      18,700           0           0
MARKET VECTORS ETF TR             COM   57060U605          96       1,780  SH     OTHER       01       1,780           0           0

MARKET VECTORS ETF TR             COM   57060U613           9         225  SH     DEFINED     01         225           0           0
MARKET VECTORS ETF TR             COM   57060U613         303       7,520  SH     OTHER       01       7,520           0           0

MARKET VECTORS ETF TR          UNDEFIND 57060U886           2      11,845         OTHER       01           0      11,845           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    200
  ________

MARKWEST ENERGY PARTNERS L P      COM   570759100       3,961      65,197  SH     DEFINED     01      64,297           0         900
MARKWEST ENERGY PARTNERS L P      COM   570759100       1,662      27,362  SH     OTHER       01      15,529      10,233       1,600

MARLIN BUSINESS SVCS CORP         COM   571157106         195       8,402  SH     DEFINED     01       1,105       7,297           0
MARLIN BUSINESS SVCS CORP         COM   571157106       1,930      83,210  SH     DEFINED  01,08       4,083      79,127           0
MARLIN BUSINESS SVCS CORP         COM   571157106         489      21,077  SH     DEFINED     09      21,077           0           0

MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107       1,833      42,707  SH     DEFINED     01      16,411      26,296           0
MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107         132       3,075  SH     OTHER       01       3,075           0           0
MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107      12,470     290,609  SH     DEFINED  01,08      18,017     272,592           0
MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107       2,822      65,757  SH     DEFINED     09      65,757           0           0

MARSH & MCLENNAN COS INC          COM   571748102      29,377     773,677  SH     DEFINED     01     397,157     347,361      29,159
MARSH & MCLENNAN COS INC          COM   571748102       1,528      40,252  SH     OTHER       01      25,658      14,469         125
MARSH & MCLENNAN COS INC          COM   571748102     183,463   4,831,785  SH     DEFINED  01,08     701,212   4,130,573           0
MARSH & MCLENNAN COS INC          COM   571748102      59,307   1,561,932  SH     DEFINED     09   1,561,932           0           0

MARRIOTT INTL INC NEW             COM   571903202      14,155     335,196  SH     DEFINED     01     138,080     196,460         656
MARRIOTT INTL INC NEW             COM   571903202         428      10,126  SH     OTHER       01       9,073       1,043          10
MARRIOTT INTL INC NEW             COM   571903202      95,610   2,264,036  SH     DEFINED  01,08     360,183   1,903,853           0
MARRIOTT INTL INC NEW             COM   571903202      32,097     760,062  SH     DEFINED     09     760,062           0           0

MARTEN TRANS LTD                  COM   573075108         423      20,993  SH     DEFINED     01       1,865      19,128           0
MARTEN TRANS LTD                  COM   573075108       3,532     175,468  SH     DEFINED  01,08      14,305     161,163           0
MARTEN TRANS LTD                  COM   573075108         775      38,500  SH     DEFINED     09      38,500           0           0

MARTHA STEWART LIVING OMNIME      COM   573083102          83      31,491  SH     DEFINED     01       3,303      28,188           0
MARTHA STEWART LIVING OMNIME      COM   573083102         780     295,641  SH     DEFINED  01,08      22,778     272,863           0
MARTHA STEWART LIVING OMNIME      COM   573083102         156      59,096  SH     DEFINED     09      59,096           0           0

MARTIN MARIETTA MATLS INC         COM   573284106       2,228      21,840  SH     DEFINED     01      15,673       6,067         100
MARTIN MARIETTA MATLS INC         COM   573284106         357       3,497  SH     OTHER       01          50          54       3,393
MARTIN MARIETTA MATLS INC         COM   573284106      39,073     382,990  SH     DEFINED  01,08      49,817     333,173           0
MARTIN MARIETTA MATLS INC         COM   573284106       6,678      65,460  SH     DEFINED     09      65,460           0           0

MARTIN MIDSTREAM PRTNRS L P       COM   573331105         398      10,331  SH     DEFINED     01      10,331           0           0

MASCO CORP                        COM   574599106      15,348     757,940  SH     DEFINED     01     496,236     257,172       4,532
MASCO CORP                        COM   574599106         852      42,069  SH     OTHER       01      18,192      19,602       4,275
MASCO CORP                        COM   574599106      66,087   3,263,547  SH     DEFINED  01,08     505,024   2,758,523           0
MASCO CORP                        COM   574599106      21,995   1,086,172  SH     DEFINED     09   1,086,172           0           0

MASIMO CORP                       COM   574795100       1,631      83,150  SH     DEFINED     01      22,706      59,760         684
MASIMO CORP                       COM   574795100          29       1,477  SH     OTHER       01       1,477           0           0
MASIMO CORP                       COM   574795100      14,417     734,799  SH     DEFINED  01,08      39,358     695,441           0
MASIMO CORP                       COM   574795100       2,439     124,311  SH     DEFINED     09     124,311           0           0

MASSEY ENERGY CO               CONV DEB 576203AJ2         260     270,000  PRN    DEFINED     01     270,000           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    201
  ________

MAST THERAPEUTICS INC             COM   576314108          59      86,723  SH     DEFINED  01,08           0      86,723           0

MASTEC INC                        COM   576323109       2,008      68,891  SH     DEFINED     01       7,161      61,730           0
MASTEC INC                        COM   576323109      17,647     605,371  SH     DEFINED  01,08      42,984     562,387           0
MASTEC INC                        COM   576323109       3,983     136,654  SH     DEFINED     09     136,654           0           0

MASTERCARD INC                    COM   57636Q104     135,410     250,235  SH     DEFINED     01     160,632      87,207       2,396
MASTERCARD INC                    COM   57636Q104       7,671      14,175  SH     OTHER       01       6,917       4,481       2,777
MASTERCARD INC                    COM   57636Q104     513,197     948,380  SH     DEFINED  01,08     140,842     807,538           0
MASTERCARD INC                    COM   57636Q104     172,057     317,959  SH     DEFINED     09     317,959           0           0

MATADOR RES CO                    COM   576485205          64       7,218  SH     DEFINED     01           0       7,218           0
MATADOR RES CO                    COM   576485205       1,833     206,883  SH     DEFINED  01,08       3,724     203,159           0
MATADOR RES CO                    COM   576485205         294      33,158  SH     DEFINED     09      33,158           0           0

MATERIAL SCIENCES CORP            COM   576674105          41       3,830  SH     DEFINED     01           0       3,830           0
MATERIAL SCIENCES CORP            COM   576674105         212      19,657  SH     DEFINED  01,08       5,111      14,546           0

MATERION CORP                     COM   576690101       6,288     220,649  SH     DEFINED     01      16,356     204,293           0
MATERION CORP                     COM   576690101         235       8,230  SH     OTHER       01       6,350       1,880           0
MATERION CORP                     COM   576690101      12,105     424,751  SH     DEFINED  01,08     204,672     220,079           0
MATERION CORP                     COM   576690101       1,514      53,109  SH     DEFINED     09      53,109           0           0

MATRIX SVC CO                     COM   576853105         558      37,443  SH     DEFINED     01      10,408      27,035           0
MATRIX SVC CO                     COM   576853105       4,318     289,828  SH     DEFINED  01,08      19,663     270,165           0
MATRIX SVC CO                     COM   576853105         930      62,389  SH     DEFINED     09      62,389           0           0

MATSON INC                        COM   57686G105         846      34,390  SH     DEFINED     01      14,170      20,220           0
MATSON INC                        COM   57686G105           1          35  SH     OTHER       01           0           0          35
MATSON INC                        COM   57686G105       8,940     363,423  SH     DEFINED  01,08      19,119     344,304           0
MATSON INC                        COM   57686G105           0           1  SH     DEFINED     09           1           0           0

MATTEL INC                        COM   577081102      72,412   1,654,372  SH     DEFINED     01   1,222,655     406,086      25,631
MATTEL INC                        COM   577081102       4,293      98,083  SH     OTHER       01      84,017      13,751         315
MATTEL INC                        COM   577081102     142,492   3,255,474  SH     DEFINED  01,08     584,012   2,671,462           0
MATTEL INC                        COM   577081102      43,950   1,004,112  SH     DEFINED     09   1,004,112           0           0

MATTERSIGHT CORP                  COM   577097108          45      10,492  SH     DEFINED     01           0      10,492           0
MATTERSIGHT CORP                  COM   577097108         397      92,586  SH     DEFINED  01,08       7,512      85,074           0
MATTERSIGHT CORP                  COM   577097108         111      25,891  SH     DEFINED     09      25,891           0           0

MATTHEWS INTL CORP                COM   577128101       1,193      34,177  SH     DEFINED     01       5,655      28,522           0
MATTHEWS INTL CORP                COM   577128101      14,127     404,606  SH     DEFINED  01,08      25,684     378,922           0
MATTHEWS INTL CORP                COM   577128101       2,509      71,853  SH     DEFINED     09      71,853           0           0

MATTRESS FIRM HLDG CORP           COM   57722W106         207       6,003  SH     DEFINED     01           0       6,003           0
MATTRESS FIRM HLDG CORP           COM   57722W106       3,767     109,048  SH     DEFINED  01,08       2,078     106,970           0
MATTRESS FIRM HLDG CORP           COM   57722W106         896      25,936  SH     DEFINED     09      25,936           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    202
  ________

MATTSON TECHNOLOGY INC            COM   577223100          54      39,358  SH     DEFINED     01          80      39,278           0
MATTSON TECHNOLOGY INC            COM   577223100         801     580,225  SH     DEFINED  01,08      20,604     559,621           0
MATTSON TECHNOLOGY INC            COM   577223100         209     151,765  SH     DEFINED     09     151,765           0           0

MAUI LD & PINEAPPLE INC           COM   577345101           9       2,311  SH     DEFINED     01           0       2,311           0
MAUI LD & PINEAPPLE INC           COM   577345101          36       8,847  SH     DEFINED  01,08       1,091       7,756           0

MAXIM INTEGRATED PRODS INC        COM   57772K101       4,081     125,018  SH     DEFINED     01      93,794      30,699         525
MAXIM INTEGRATED PRODS INC        COM   57772K101         118       3,616  SH     OTHER       01       3,063         271         282
MAXIM INTEGRATED PRODS INC        COM   57772K101      47,901   1,467,562  SH     DEFINED  01,08     300,078   1,167,484           0
MAXIM INTEGRATED PRODS INC        COM   57772K101      13,374     409,735  SH     DEFINED     09     409,735           0           0

MAXLINEAR INC                     COM   57776J100         111      17,978  SH     DEFINED     01       3,195      13,943         840
MAXLINEAR INC                     COM   57776J100       1,354     218,451  SH     DEFINED  01,08       3,301     215,150           0
MAXLINEAR INC                     COM   57776J100         300      48,426  SH     DEFINED     09      48,426           0           0

MAXWELL TECHNOLOGIES INC          COM   577767106         571     106,026  SH     DEFINED     01      70,804      32,910       2,312
MAXWELL TECHNOLOGIES INC          COM   577767106          49       9,119  SH     OTHER       01       5,026       3,847         246
MAXWELL TECHNOLOGIES INC          COM   577767106       1,716     318,445  SH     DEFINED  01,08      10,898     307,547           0
MAXWELL TECHNOLOGIES INC          COM   577767106         359      66,515  SH     DEFINED     09      66,515           0           0

MAXYGEN INC                       COM   577776107          65      26,966  SH     DEFINED     01         390      26,576           0
MAXYGEN INC                       COM   577776107         729     302,410  SH     DEFINED  01,08      21,590     280,820           0
MAXYGEN INC                       COM   577776107         121      50,113  SH     DEFINED     09      50,113           0           0

MAXIMUS INC                       COM   577933104      16,121     201,590  SH     DEFINED     01      84,361     114,647       2,582
MAXIMUS INC                       COM   577933104         718       8,981  SH     OTHER       01       3,348       4,741         892
MAXIMUS INC                       COM   577933104      36,354     454,598  SH     DEFINED  01,08      96,905     357,693           0
MAXIMUS INC                       COM   577933104       6,817      85,241  SH     DEFINED     09      85,241           0           0

MBT FINL CORP                     COM   578877102          15       3,750  SH     DEFINED     01           0       3,750           0
MBT FINL CORP                     COM   578877102          51      13,113  SH     DEFINED  01,08       5,849       7,264           0

MCCLATCHY CO                      COM   579489105         167      57,445  SH     DEFINED     01       5,446      51,999           0
MCCLATCHY CO                      COM   579489105       1,782     614,350  SH     DEFINED  01,08      27,999     586,351           0
MCCLATCHY CO                      COM   579489105         372     128,198  SH     DEFINED     09     128,198           0           0

MCCORMICK & CO INC                COM   579780206      18,401     250,183  SH     DEFINED     01     138,027     107,619       4,537
MCCORMICK & CO INC                COM   579780206       1,113      15,136  SH     OTHER       01      10,659       3,832         645
MCCORMICK & CO INC                COM   579780206      87,180   1,185,311  SH     DEFINED  01,08     170,255   1,015,056           0
MCCORMICK & CO INC                COM   579780206      28,236     383,899  SH     DEFINED     09     383,899           0           0

MCDERMOTT INTL INC                COM   580037109         893      81,239  SH     DEFINED     01      47,668      33,571           0
MCDERMOTT INTL INC                COM   580037109          60       5,500  SH     OTHER       01       5,500           0           0
MCDERMOTT INTL INC                COM   580037109      10,650     969,079  SH     DEFINED  01,08      21,435     947,644           0
MCDERMOTT INTL INC                COM   580037109           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    203
  ________

MCDONALDS CORP                    COM   580135101     457,762   4,591,857  SH     DEFINED     01   3,624,995     874,145      92,717
MCDONALDS CORP                    COM   580135101      91,697     919,818  SH     OTHER       01     620,211     224,039      75,568
MCDONALDS CORP                    COM   580135101     897,221   9,000,108  SH     DEFINED  01,08   1,345,265   7,654,843           0
MCDONALDS CORP                    COM   580135101     297,049   2,979,729  SH     DEFINED     09   2,979,729           0           0

MCEWEN MNG INC                    COM   58039P107         509     178,040  SH     DEFINED     01      18,797     159,243           0
MCEWEN MNG INC                    COM   58039P107       6,503   2,273,641  SH     DEFINED  01,08      59,307   2,214,334           0
MCEWEN MNG INC                    COM   58039P107       1,564     546,828  SH     DEFINED     09     546,828           0           0

MCG CAPITAL CORP                  COM   58047P107         310      64,860  SH     DEFINED     01      12,101      52,759           0
MCG CAPITAL CORP                  COM   58047P107       3,165     662,071  SH     DEFINED  01,08      34,683     627,388           0
MCG CAPITAL CORP                  COM   58047P107         776     162,419  SH     DEFINED     09     162,419           0           0

MCGRATH RENTCORP                  COM   580589109       1,024      32,913  SH     DEFINED     01       3,288      29,625           0
MCGRATH RENTCORP                  COM   580589109       8,632     277,547  SH     DEFINED  01,08      21,313     256,234           0
MCGRATH RENTCORP                  COM   580589109       1,846      59,360  SH     DEFINED     09      59,360           0           0

MCGRAW HILL COS INC               COM   580645109      31,027     595,765  SH     DEFINED     01     392,376     200,549       2,840
MCGRAW HILL COS INC               COM   580645109       3,103      59,586  SH     OTHER       01      31,336       6,110      22,140
MCGRAW HILL COS INC               COM   580645109     127,915   2,456,133  SH     DEFINED  01,08     329,628   2,126,505           0
MCGRAW HILL COS INC               COM   580645109      39,673     761,778  SH     DEFINED     09     761,778           0           0

MCKESSON CORP                     COM   58155Q103      51,266     474,862  SH     DEFINED     01     307,411     162,165       5,286
MCKESSON CORP                     COM   58155Q103       7,516      69,620  SH     OTHER       01      53,983      10,577       5,060
MCKESSON CORP                     COM   58155Q103     225,985   2,093,232  SH     DEFINED  01,08     308,303   1,784,929           0
MCKESSON CORP                     COM   58155Q103      76,225     706,053  SH     DEFINED     09     706,053           0           0

MCMORAN EXPLORATION CO            COM   582411104       1,917     117,252  SH     DEFINED     01      14,138     103,114           0
MCMORAN EXPLORATION CO            COM   582411104      17,516   1,071,324  SH     DEFINED  01,08      67,348   1,003,976           0
MCMORAN EXPLORATION CO            COM   582411104       4,214     257,739  SH     DEFINED     09     257,739           0           0

MEAD JOHNSON NUTRITION CO         COM   582839106      19,082     246,372  SH     DEFINED     01     111,671     134,324         377
MEAD JOHNSON NUTRITION CO         COM   582839106         414       5,343  SH     OTHER       01       4,990         278          75
MEAD JOHNSON NUTRITION CO         COM   582839106     144,113   1,860,719  SH     DEFINED  01,08     309,660   1,551,059           0
MEAD JOHNSON NUTRITION CO         COM   582839106      46,505     600,453  SH     DEFINED     09     600,453           0           0

MEADOWBROOK INS GROUP INC         COM   58319P108         553      78,415  SH     DEFINED     01      19,847      58,568           0
MEADOWBROOK INS GROUP INC         COM   58319P108       3,801     539,167  SH     DEFINED  01,08      45,121     494,046           0
MEADOWBROOK INS GROUP INC         COM   58319P108         842     119,453  SH     DEFINED     09     119,453           0           0

MEADWESTVACO CORP                 COM   583334107       7,683     211,659  SH     DEFINED     01      89,990     121,066         603
MEADWESTVACO CORP                 COM   583334107       1,491      41,080  SH     OTHER       01       4,455         392      36,233
MEADWESTVACO CORP                 COM   583334107      65,782   1,812,167  SH     DEFINED  01,08     471,234   1,340,933           0
MEADWESTVACO CORP                 COM   583334107      19,082     525,673  SH     DEFINED     09     525,673           0           0

MEASUREMENT SPECIALTIES INC       COM   583421102       1,478      37,161  SH     DEFINED     01      19,575      17,130         456
MEASUREMENT SPECIALTIES INC       COM   583421102          39         982  SH     OTHER       01         982           0           0
MEASUREMENT SPECIALTIES INC       COM   583421102       6,692     168,279  SH     DEFINED  01,08      13,009     155,270           0
MEASUREMENT SPECIALTIES INC       COM   583421102       1,518      38,160  SH     DEFINED     09      38,160           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    204
  ________

MECHEL OAO                        COM   583840103         203      40,178  SH     DEFINED     01         150      40,028           0
MECHEL OAO                        COM   583840103           1         272  SH     OTHER       01           0         272           0
MECHEL OAO                        COM   583840103       1,856     366,708  SH     DEFINED  01,08     366,068         640           0
MECHEL OAO                        COM   583840103       3,287     649,634  SH     DEFINED     09     649,634           0           0

MEDALLION FINL CORP               COM   583928106         889      67,241  SH     DEFINED     01       1,780      65,461           0
MEDALLION FINL CORP               COM   583928106       2,500     189,093  SH     DEFINED  01,08      10,788     178,305           0
MEDALLION FINL CORP               COM   583928106         583      44,096  SH     DEFINED     09      44,096           0           0

MEDASSETS INC                     COM   584045108       1,207      62,682  SH     DEFINED     01       9,186      53,496           0
MEDASSETS INC                     COM   584045108      11,606     602,925  SH     DEFINED  01,08      33,273     569,652           0
MEDASSETS INC                     COM   584045108       2,823     146,645  SH     DEFINED     09     146,645           0           0

MEDGENICS INC                     COM   58436Q203          75      15,537  SH     DEFINED  01,08           0      15,537           0

MEDIA GEN INC                     COM   584404107          50       8,477  SH     DEFINED     01         250       8,227           0
MEDIA GEN INC                     COM   584404107         221      37,166  SH     DEFINED  01,08       4,762      32,404           0
MEDIA GEN INC                     COM   584404107           0           1  SH     DEFINED     09           1           0           0

MEDICAL ACTION INDS INC           COM   58449L100          95      15,853  SH     DEFINED     01          50      15,803           0
MEDICAL ACTION INDS INC           COM   58449L100         324      54,070  SH     DEFINED  01,08      17,245      36,825           0

MEDICAL PPTYS TRUST INC           COM   58463J304      16,528   1,030,430  SH     DEFINED     01      54,967     975,463           0
MEDICAL PPTYS TRUST INC           COM   58463J304      41,521   2,588,581  SH     DEFINED  01,08   1,194,470   1,394,111           0
MEDICAL PPTYS TRUST INC           COM   58463J304       6,608     411,963  SH     DEFINED     09     411,963           0           0

MEDICINOVA INC                    COM   58468P206           0          59  SH     DEFINED     01           0          59           0
MEDICINOVA INC                    COM   58468P206          30      11,131  SH     DEFINED  01,08         124      11,007           0

MEDICINES CO                      COM   584688105       2,641      79,049  SH     DEFINED     01      21,229      57,820           0
MEDICINES CO                      COM   584688105      20,509     613,845  SH     DEFINED  01,08      39,588     574,257           0
MEDICINES CO                      COM   584688105       4,555     136,334  SH     DEFINED     09     136,334           0           0

MEDIFAST INC                      COM   58470H101         327      14,259  SH     DEFINED     01       5,249       9,010           0
MEDIFAST INC                      COM   58470H101       3,444     150,246  SH     DEFINED  01,08       5,319     144,927           0
MEDIFAST INC                      COM   58470H101         740      32,288  SH     DEFINED     09      32,288           0           0

MEDIDATA SOLUTIONS INC            COM   58471A105       1,637      28,236  SH     DEFINED     01       8,608      19,628           0
MEDIDATA SOLUTIONS INC            COM   58471A105      14,293     246,514  SH     DEFINED  01,08      15,640     230,874           0
MEDIDATA SOLUTIONS INC            COM   58471A105       3,389      58,454  SH     DEFINED     09      58,454           0           0

MEDIVATION INC                    COM   58501N101       1,559      33,338  SH     DEFINED     01      10,220      23,118           0
MEDIVATION INC                    COM   58501N101      14,399     307,934  SH     DEFINED  01,08      20,406     287,528           0
MEDIVATION INC                    COM   58501N101           0           2  SH     DEFINED     09           2           0           0

MEDNAX INC                        COM   58502B106       9,664     107,825  SH     DEFINED     01      87,727      18,060       2,038
MEDNAX INC                        COM   58502B106         727       8,114  SH     OTHER       01       3,125       4,428         561
MEDNAX INC                        COM   58502B106      33,330     371,859  SH     DEFINED  01,08       4,888     366,971           0
MEDNAX INC                        COM   58502B106           0           1  SH     DEFINED     09           1           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    205
  ________

MEDLEY CAP CORP                   COM   58503F106         479      30,232  SH     DEFINED     01       3,687      26,545           0
MEDLEY CAP CORP                   COM   58503F106       3,973     250,636  SH     DEFINED  01,08       4,901     245,735           0
MEDLEY CAP CORP                   COM   58503F106       1,308      82,543  SH     DEFINED     09      82,543           0           0

MEDTRONIC INC                     COM   585055106      79,541   1,693,811  SH     DEFINED     01     866,145     791,644      36,022
MEDTRONIC INC                     COM   585055106      12,803     272,639  SH     OTHER       01     173,266      82,493      16,880
MEDTRONIC INC                     COM   585055106     436,564   9,296,516  SH     DEFINED  01,08   1,535,659   7,706,900      53,957
MEDTRONIC INC                     COM   585055106     142,242   3,028,999  SH     DEFINED     09   3,028,999           0           0

MEETME INC                        COM   585141104          21       9,358  SH     DEFINED     01         250       9,108           0
MEETME INC                        COM   585141104         432     189,407  SH     DEFINED  01,08       3,179     186,228           0
MEETME INC                        COM   585141104          71      31,073  SH     DEFINED     09      31,073           0           0

MEMSIC INC                        COM   586264103           6       2,294  SH     DEFINED     01           0       2,294           0
MEMSIC INC                        COM   586264103          70      25,573  SH     DEFINED  01,08       5,182      20,391           0

MENS WEARHOUSE INC                COM   587118100      12,695     379,876  SH     DEFINED     01      18,774     361,102           0
MENS WEARHOUSE INC                COM   587118100      29,548     884,150  SH     DEFINED  01,08     364,638     519,512           0
MENS WEARHOUSE INC                COM   587118100       4,256     127,349  SH     DEFINED     09     127,349           0           0

MENTOR GRAPHICS CORP              COM   587200106       6,645     368,125  SH     DEFINED     01      15,599     352,526           0
MENTOR GRAPHICS CORP              COM   587200106      29,013   1,607,365  SH     DEFINED  01,08     339,284   1,268,081           0
MENTOR GRAPHICS CORP              COM   587200106       4,189     232,069  SH     DEFINED     09     232,069           0           0

MERCADOLIBRE INC                  COM   58733R102       5,410      56,029  SH     DEFINED     01      49,339       6,226         464
MERCADOLIBRE INC                  COM   58733R102         314       3,252  SH     OTHER       01       2,360         626         266
MERCADOLIBRE INC                  COM   58733R102       4,260      44,117  SH     DEFINED  01,08      43,050       1,067           0
MERCADOLIBRE INC                  COM   58733R102           0           1  SH     DEFINED     09           1           0           0

MERCANTILE BANK CORP              COM   587376104         112       6,798  SH     DEFINED     01         350       6,448           0
MERCANTILE BANK CORP              COM   587376104       1,336      80,996  SH     DEFINED  01,08       3,221      77,775           0
MERCANTILE BANK CORP              COM   587376104         323      19,546  SH     DEFINED     09      19,546           0           0

MERCER INTL INC                   COM   588056101       2,076     300,479  SH     DEFINED     01       1,425     299,054           0
MERCER INTL INC                   COM   588056101       2,144     310,264  SH     DEFINED  01,08     306,220       4,044           0

MERCHANTS BANCSHARES              COM   588448100         301       9,979  SH     DEFINED     01         455       9,524           0
MERCHANTS BANCSHARES              COM   588448100       1,725      57,253  SH     DEFINED  01,08       6,525      50,728           0
MERCHANTS BANCSHARES              COM   588448100         342      11,362  SH     DEFINED     09      11,362           0           0

MERCK & CO INC NEW                COM   58933Y105     343,016   7,760,543  SH     DEFINED     01   5,159,259   2,519,508      81,776
MERCK & CO INC NEW                COM   58933Y105      43,690     988,461  SH     OTHER       01     663,774     243,507      81,180
MERCK & CO INC NEW                COM   58933Y105   1,228,628  27,797,015  SH     DEFINED  01,08   4,445,123  23,305,261      46,631
MERCK & CO INC NEW                COM   58933Y105     400,796   9,067,775  SH     DEFINED     09   9,067,775           0           0

MERCURY SYS INC                   COM   589378108         299      40,626  SH     DEFINED     01      12,395      28,231           0
MERCURY SYS INC                   COM   589378108       2,533     343,726  SH     DEFINED  01,08      17,427     326,299           0
MERCURY SYS INC                   COM   589378108         593      80,442  SH     DEFINED     09      80,442           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    206
  ________

MERCURY GENL CORP NEW             COM   589400100       1,303      34,355  SH     DEFINED     01      19,955      14,400           0
MERCURY GENL CORP NEW             COM   589400100          96       2,523  SH     OTHER       01       2,523           0           0
MERCURY GENL CORP NEW             COM   589400100      10,067     265,421  SH     DEFINED  01,08       2,429     262,992           0
MERCURY GENL CORP NEW             COM   589400100           0           1  SH     DEFINED     09           1           0           0

MEREDITH CORP                     COM   589433101       6,195     161,916  SH     DEFINED     01       5,004     156,912           0
MEREDITH CORP                     COM   589433101      24,158     631,425  SH     DEFINED  01,08     150,533     480,892           0
MEREDITH CORP                     COM   589433101       3,454      90,277  SH     DEFINED     09      90,277           0           0

MERGE HEALTHCARE INC              COM   589499102         195      67,619  SH     DEFINED     01      26,940      40,679           0
MERGE HEALTHCARE INC              COM   589499102       1,777     614,751  SH     DEFINED  01,08      20,470     594,281           0
MERGE HEALTHCARE INC              COM   589499102         416     144,014  SH     DEFINED     09     144,014           0           0

MERIDIAN BIOSCIENCE INC           COM   589584101       4,626     202,744  SH     DEFINED     01     152,916      47,775       2,053
MERIDIAN BIOSCIENCE INC           COM   589584101         107       4,695  SH     OTHER       01       2,883       1,812           0
MERIDIAN BIOSCIENCE INC           COM   589584101      10,659     467,200  SH     DEFINED  01,08      29,520     437,680           0
MERIDIAN BIOSCIENCE INC           COM   589584101       2,422     106,153  SH     DEFINED     09     106,153           0           0

MERIDIAN INTERSTAT BANCORP I      COM   58964Q104         124       6,601  SH     DEFINED     01         903       5,698           0
MERIDIAN INTERSTAT BANCORP I      COM   58964Q104       1,509      80,499  SH     DEFINED  01,08       3,171      77,328           0
MERIDIAN INTERSTAT BANCORP I      COM   58964Q104         464      24,744  SH     DEFINED     09      24,744           0           0

MERIT MED SYS INC                 COM   589889104         727      59,306  SH     DEFINED     01      15,244      44,062           0
MERIT MED SYS INC                 COM   589889104       5,590     455,953  SH     DEFINED  01,08      30,738     425,215           0
MERIT MED SYS INC                 COM   589889104       1,267     103,379  SH     DEFINED     09     103,379           0           0

MERITAGE HOMES CORP               COM   59001A102       7,404     158,009  SH     DEFINED     01      11,390     146,619           0
MERITAGE HOMES CORP               COM   59001A102           0          10  SH     OTHER       01           0          10           0
MERITAGE HOMES CORP               COM   59001A102      20,548     438,504  SH     DEFINED  01,08     128,810     309,694           0
MERITAGE HOMES CORP               COM   59001A102       3,520      75,120  SH     DEFINED     09      75,120           0           0

MERITOR INC                       COM   59001K100         437      92,474  SH     DEFINED     01      14,353      78,121           0
MERITOR INC                       COM   59001K100       4,753   1,004,945  SH     DEFINED  01,08      41,385     963,560           0
MERITOR INC                       COM   59001K100       1,167     246,784  SH     DEFINED     09     246,784           0           0

MERRIMACK PHARMACEUTICALS IN      COM   590328100          87      14,229  SH     DEFINED     01       6,831       7,398           0
MERRIMACK PHARMACEUTICALS IN      COM   590328100       1,073     175,921  SH     DEFINED  01,08       5,771     170,150           0
MERRIMACK PHARMACEUTICALS IN      COM   590328100         231      37,805  SH     DEFINED     09      37,805           0           0

MERU NETWORKS INC                 COM   59047Q103          34       5,012  SH     DEFINED     01         537       4,475           0
MERU NETWORKS INC                 COM   59047Q103         179      26,455  SH     DEFINED  01,08       4,475      21,980           0

MESA LABS INC                     COM   59064R109         267       5,062  SH     DEFINED     01         500       4,562           0
MESA LABS INC                     COM   59064R109       1,623      30,760  SH     DEFINED  01,08       3,776      26,984           0
MESA LABS INC                     COM   59064R109         328       6,207  SH     DEFINED     09       6,207           0           0

MET PRO CORP                      COM   590876306         193      18,690  SH     DEFINED     01       1,690      17,000           0
MET PRO CORP                      COM   590876306       1,564     151,449  SH     DEFINED  01,08       9,484     141,965           0
MET PRO CORP                      COM   590876306         310      29,972  SH     DEFINED     09      29,972           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    207
  ________

META FINL GROUP INC               COM   59100U108         147       5,557  SH     DEFINED     01           0       5,557           0
META FINL GROUP INC               COM   59100U108         275      10,383  SH     DEFINED  01,08       6,090       4,293           0

METABOLIX INC                     COM   591018809          19      10,484  SH     DEFINED     01           0      10,484           0
METABOLIX INC                     COM   591018809          97      53,198  SH     DEFINED  01,08       5,297      47,901           0
METABOLIX INC                     COM   591018809           0           1  SH     DEFINED     09           1           0           0

METALICO INC                      COM   591176102          50      30,876  SH     DEFINED     01       2,849      28,027           0
METALICO INC                      COM   591176102         661     408,264  SH     DEFINED  01,08      17,179     391,085           0
METALICO INC                      COM   591176102         114      70,454  SH     DEFINED     09      70,454           0           0

METALS USA HLDGS CORP             COM   59132A104         149       7,205  SH     DEFINED     01         820       6,385           0
METALS USA HLDGS CORP             COM   59132A104       2,320     112,329  SH     DEFINED  01,08           0     112,329           0

METHODE ELECTRS INC               COM   591520200         737      57,229  SH     DEFINED     01      15,020      42,209           0
METHODE ELECTRS INC               COM   591520200       5,193     403,199  SH     DEFINED  01,08      30,907     372,292           0
METHODE ELECTRS INC               COM   591520200       1,260      97,829  SH     DEFINED     09      97,829           0           0

METLIFE INC                       COM   59156R108     123,374   3,244,980  SH     DEFINED     01   2,305,197     913,839      25,944
METLIFE INC                       COM   59156R108      12,354     324,924  SH     OTHER       01     221,119      96,627       7,178
METLIFE INC                       COM   59156R108     358,808   9,437,341  SH     DEFINED  01,08   1,516,337   7,701,803     219,201
METLIFE INC                       COM   59156R108     108,474   2,853,071  SH     DEFINED     09   2,853,071           0           0

METRO BANCORP INC PA              COM   59161R101         265      15,992  SH     DEFINED     01       1,895      14,097           0
METRO BANCORP INC PA              COM   59161R101       2,409     145,629  SH     DEFINED  01,08       8,023     137,606           0
METRO BANCORP INC PA              COM   59161R101         540      32,662  SH     DEFINED     09      32,662           0           0

METROCORP BANCSHARES INC          COM   591650106         135      13,345  SH     DEFINED     01          95      13,250           0
METROCORP BANCSHARES INC          COM   591650106       1,489     147,559  SH     DEFINED  01,08       7,769     139,790           0
METROCORP BANCSHARES INC          COM   591650106         378      37,417  SH     DEFINED     09      37,417           0           0

METROPCS COMMUNICATIONS INC       COM   591708102       4,106     376,669  SH     DEFINED     01     181,843     194,073         753
METROPCS COMMUNICATIONS INC       COM   591708102          54       4,995  SH     OTHER       01       4,400         500          95
METROPCS COMMUNICATIONS INC       COM   591708102      30,194   2,770,137  SH     DEFINED  01,08     395,590   2,374,547           0
METROPCS COMMUNICATIONS INC       COM   591708102      10,081     924,888  SH     DEFINED     09     924,888           0           0

METTLER TOLEDO INTERNATIONAL      COM   592688105       2,704      12,684  SH     DEFINED     01       8,185       4,399         100
METTLER TOLEDO INTERNATIONAL      COM   592688105         118         555  SH     OTHER       01           0         540          15
METTLER TOLEDO INTERNATIONAL      COM   592688105      49,287     231,156  SH     DEFINED  01,08       3,126     228,030           0
METTLER TOLEDO INTERNATIONAL      COM   592688105           0           1  SH     DEFINED     09           1           0           0

MEXCO ENERGY CORP                 COM   592770101         349      54,906  SH     DEFINED     01         100      54,806           0
MEXCO ENERGY CORP                 COM   592770101          19       3,051  SH     DEFINED  01,08         306       2,745           0

MEXICO FD INC                     COM   592835102         903      24,642  SH     OTHER       01      24,642           0           0

MICREL INC                        COM   594793101         863      82,150  SH     DEFINED     01      18,794      63,356           0
MICREL INC                        COM   594793101       5,931     564,318  SH     DEFINED  01,08      43,465     520,853           0
MICREL INC                        COM   594793101       1,272     121,005  SH     DEFINED     09     121,005           0           0


  FORM 13F                    DATE 03-29-13                    NORTHERN TRUST CORPORATION                       PAGE    208
  ________

MICROS SYS INC                    COM   594901100       2,507      55,087  SH     DEFINED     01      39,419      15,502         166
MICROS SYS INC                    COM   594901100          90       1,967  SH     OTHER       01         848       1,115           4
MICROS SYS INC                    COM   594901100      27,248     598,727  SH     DEFINED  01,08       7,880     590,847           0
MICROS SYS INC                    COM   594901100           0           1  SH     DEFINED     09           1           0           0

MICROSOFT CORP                    COM   594918104     422,693  14,776,890  SH     DEFINED     01   8,523,734   5,978,697     274,459
MICROSOFT CORP                    COM   594918104      70,637   2,469,386  SH     OTHER       01   1,570,421     672,237     226,728
MICROSOFT CORP                    COM   594918104   1,986,199  69,435,383  SH     DEFINED  01,08  10,268,783  59,150,325      16,275
MICROSOFT CORP                    COM   594918104     644,735  22,539,249  SH     DEFINED     09  22,539,249           0           0

MICROVISION INC DEL               COM   594960304           1         899  SH     DEFINED     01          88         811           0
MICROVISION INC DEL               COM   594960304          62      39,303  SH     DEFINED  01,08         778      38,525           0
MICROVISION INC DEL               COM   594960304           0           1  SH     DEFINED     09           1           0           0

MICROSTRATEGY INC                 COM   594972408       1,867      18,472  SH     DEFINED     01       3,485      14,987           0
MICROSTRATEGY INC                 COM   594972408      10,476     103,636  SH     DEFINED  01,08      12,779      90,857           0
MICROSTRATEGY INC                 COM   594972408       2,165      21,418  SH     DEFINED     09      21,418           0           0

MICROCHIP TECHNOLOGY INC          COM   595017104      26,656     724,944  SH     DEFINED     01     512,899     189,499      22,546
MICROCHIP TECHNOLOGY INC          COM   595017104       9,553     259,801  SH     OTHER       01     179,711      29,768      50,322
MICROCHIP TECHNOLOGY INC          COM   595017104      67,149   1,826,194  SH     DEFINED  01,08     309,653   1,516,541           0
MICROCHIP TECHNOLOGY INC          COM   595017104      21,461     583,649  SH     DEFINED     09     583,649           0           0

MICROFINANCIAL INC                COM   595072109          97      11,466  SH     DEFINED     01           0      11,466           0
MICROFINANCIAL INC                COM   595072109         789      93,601  SH     DEFINED  01,08      10,280      83,321           0
MICROFINANCIAL INC                COM   595072109         185      21,949  SH     DEFINED     09      21,949           0           0

MICRON TECHNOLOGY INC             COM   595112103      12,398   1,242,887  SH     DEFINED     01     596,265     644,307       2,315
MICRON TECHNOLOGY INC             COM   595112103         205      20,561  SH     OTHER       01      18,726       1,400         435
MICRON TECHNOLOGY INC             COM   595112103      90,357   9,058,304  SH     DEFINED  01,08   1,248,677   7,809,627           0
MICRON TECHNOLOGY INC             COM   595