S T A T E O F N E W J E R S E Y 4300
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

DCP EQUITY (4300) PAGE: 1

TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS


SALES OF STOCK AND OTHER EQUITIES


SALE 11/04/09 80660510 SCHERING-PLOUGH CORP.
09223 11/05/09 423136 TENDERED 75,000.00 10.500 787,500.00 -104,743.34

SUBTOTAL STOCK SALES: 75,000.00 787,500.00 -104,743.34


TOTAL FUND SALES: 75,000.00 787,500.00 -104,743.34


END OF REPORT FOR: DCP EQUITY



S T A T E O F N E W J E R S E Y 4340
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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) PAGE: 2
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF STOCK AND OTHER EQUITIES
------------------------------------

PUR 11/23/09 00206R10 AT&T INC
49791 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 25,000.00 26.600 125.00 665,125.00

PUR 11/24/09 00206R10 AT&T INC
49791 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 5,000.00 26.909 25.00 134,571.00

PUR 11/17/09 00817Y10 AETNA INC
48818 11/20/09 423185 ELECTRONIC BROKERAGE SYSTEM 10,000.00 29.469 50.00 294,740.00

PUR 11/18/09 00817Y10 AETNA INC
48818 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 10,000.00 29.190 50.00 291,952.00

PUR 11/23/09 00817Y10 AETNA INC
48818 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 1,000.00 29.558 5.00 29,563.00

PUR 11/06/09 00950H20 AIRSPAN NETWORKS INC.
48651 11/12/09 423156 INSTINET (DOMESTIC) 6,667.00 .700 33.34 4,700.24

PUR 11/12/09 00950H20 AIRSPAN NETWORKS INC.
48651 11/17/09 423172 INSTINET (DOMESTIC) 10,000.00 .600 50.00 6,050.00

PUR 11/16/09 00950H20 AIRSPAN NETWORKS INC.
48651 11/19/09 423181 MAGNA SECURITIES CORP 5,000.00 .614 50.00 3,119.50

PUR 11/20/09 00950H20 AIRSPAN NETWORKS INC.
48651 11/25/09 423203 MERRIMAN/OTC 5,000.00 .608 50.00 3,087.50

PUR 11/05/09 01964550 ALLIS-CHALMERS ENERGY INC.
36840 11/10/09 423152 CITIGROUP/CITIBANK DOMESTIC 20,000.00 3.782 600.00 76,232.00

PUR 11/17/09 01964550 ALLIS-CHALMERS ENERGY INC.
36840 11/20/09 423185 ELECTRONIC BROKERAGE SYSTEM 10,000.00 3.641 50.00 36,462.00

PUR 10/28/09 02942910 AMERICAN SCIENCE & ENGIN
49020 11/02/09 423126 SOLEIL SECURITIES CORP. 10,000.00 67.598 300.00 676,283.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 3
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/17/09 03042010 AMERICAN WATER WORKS CO INC
49725 11/23/09 423188 CREDIT SUISSE SEC (USA) LLC 10,000.00 21.630 216,300.00

PUR 11/18/09 03042010 AMERICAN WATER WORKS CO INC
49725 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 10,000.00 21.500 50.00 215,049.00

PUR 11/20/09 03042010 AMERICAN WATER WORKS CO INC
49725 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 10,000.00 21.430 50.00 214,350.00

PUR 10/28/09 03760410 APOLLO GROUP A
48571 11/02/09 423126 SOLEIL SECURITIES CORP. 2,000.00 59.214 60.00 118,487.20

PUR 11/16/09 03760410 APOLLO GROUP A
48571 11/19/09 423181 MAGNA SECURITIES CORP 1,000.00 57.330 10.00 57,340.00

PUR 11/20/09 03760410 APOLLO GROUP A
48571 11/25/09 423203 MERRIMAN/OTC 2,000.00 55.089 20.00 110,197.60

PUR 10/30/09 03783310 APPLE INC.
36208 11/04/09 423134 MERRIMAN/OTC 1,000.00 189.36 10.00 189,370.00

PUR 10/28/09 04004710 ARENA PHARMACEUTICALS INC
49009 11/02/09 423126 SOLEIL SECURITIES CORP. 10,000.00 4.253 300.00 42,832.00

PUR 10/29/09 04004710 ARENA PHARMACEUTICALS INC
49009 11/03/09 423130 SOLEIL SECURITIES CORP. 10,000.00 3.880 300.00 39,100.00

PUR 10/28/09 04685W10 ATHENAHEALTH INC
49023 11/02/09 423126 SOLEIL SECURITIES CORP. 12,000.00 36.146 360.00 434,113.20

PUR 10/29/09 04685W10 ATHENAHEALTH INC
49023 11/03/09 423130 SOLEIL SECURITIES CORP. 2,000.00 35.629 60.00 71,318.40

PUR 10/30/09 04685W10 ATHENAHEALTH INC
49023 11/04/09 423134 CREDIT SUISSE SEC (AES) 1,000.00 37.309 10.00 37,319.00

PUR 11/02/09 04685W10 ATHENAHEALTH INC
49023 11/05/09 423139 MERRIMAN/OTC 2,000.00 38.190 20.00 76,400.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 4
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 04743P10 ATHEROS COMMUNICATIONS IN
48434 11/05/09 423139 MERRIMAN/OTC 3,000.00 24.680 30.00 74,070.00

PUR 11/20/09 05714910 BAKER (MICHAEL) CORP
37926 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 1,000.00 37.683 5.00 37,688.00

PUR 11/16/09 06212810 BANK OF FLORIDA CORP.
40773 11/19/09 423181 MAGNA SECURITIES CORP 2,000.00 1.160 20.00 2,340.00

PUR 11/02/09 08578910 BERRY PETROLEUM CO
42924 11/05/09 423139 STIFEL NICOLAUS 6,000.00 25.881 180.00 155,463.60

PUR 11/20/09 09062X10 BIOGEN IDEC INC
47969 11/25/09 423203 MERRIMAN/OTC 2,000.00 46.413 20.00 92,845.80

PUR 11/18/09 11012210 BRISTOL-MYERS SQUIBB CO.
37974 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 2,000.00 24.120 10.00 48,250.00

PUR 11/20/09 11012210 BRISTOL-MYERS SQUIBB CO.
37974 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 24.300 10.00 48,610.00

PUR 10/28/09 11776U30 BSQUARE CORP
48982 11/02/09 423126 CREDIT SUISSE SEC (AES) 20,000.00 2.463 200.00 49,462.00

PUR 10/29/09 11776U30 BSQUARE CORP
48982 11/03/09 423130 SOLEIL SECURITIES CORP. 20,000.00 2.434 600.00 49,280.00

PUR 10/30/09 11776U30 BSQUARE CORP
48982 11/04/09 423134 MERRIMAN/OTC 15,000.00 2.469 150.00 37,185.00

PUR 11/02/09 11776U30 BSQUARE CORP
48982 11/05/09 423139 BUCKINGHAM RESEARCH GROUP I 600.00 2.400 18.00 1,458.00

PUR 11/02/09 11776U30 BSQUARE CORP
48982 11/05/09 423139 MERRIMAN/OTC 5,000.00 2.435 50.00 12,225.50

PUR 11/03/09 11776U30 BSQUARE CORP
48982 11/06/09 423143 BUCKINGHAM RESEARCH GROUP I 19,400.00 2.481 582.00 48,711.46



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 5
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/04/09 11776U30 BSQUARE CORP
48982 11/09/09 423147 MERRIMAN/OTC 9,179.00 2.500 91.79 23,039.29

PUR 11/04/09 11776U30 BSQUARE CORP
48982 11/09/09 423147 MERRIMAN/OTC 20,000.00 2.500 200.00 50,198.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 29,179.00 2.500 73,237.29
291.79


PUR 11/05/09 11776U30 BSQUARE CORP
48982 11/10/09 423152 MERRIMAN/OTC 5,821.00 2.500 58.21 14,610.71

PUR 11/06/09 11776U30 BSQUARE CORP
48982 11/12/09 423156 LABRANCHE/0TC 18,137.00 2.481 181.37 45,175.64

PUR 11/06/09 11776U30 BSQUARE CORP
48982 11/12/09 423156 LABRANCHE/0TC 20,000.00 2.484 200.00 49,872.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 38,137.00 2.482 95,047.64
381.37


PUR 11/06/09 11776U30 BSQUARE CORP
48982 11/12/09 423156 MERRIMAN/OTC 5,000.00 2.484 50.00 12,467.50

PUR 11/09/09 11776U30 BSQUARE CORP
48982 11/13/09 423160 LABRANCHE/0TC 1,863.00 2.500 18.63 4,676.13

PUR 11/12/09 11776U30 BSQUARE CORP
48982 11/17/09 423172 SUSQUEHANNA/OTC 20,000.00 2.352 200.00 47,240.00

PUR 11/05/09 11844010 THE BUCKLE INC
48865 11/10/09 423152 ELECTRONIC BROKERAGE SYSTEM 3,000.00 30.929 15.00 92,801.10

PUR 11/20/09 11844010 THE BUCKLE INC
48865 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 1,000.00 28.210 5.00 28,215.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 6
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 12526910 CF INDUSTRIES HOLDINGS INC
49564 11/10/09 423152 ELECTRONIC BROKERAGE SYSTEM 4,000.00 79.410 20.00 317,658.00

PUR 11/06/09 12526910 CF INDUSTRIES HOLDINGS INC
49564 11/12/09 423156 ELECTRONIC BROKERAGE SYSTEM 1,000.00 79.820 5.00 79,825.00

PUR 11/20/09 12526910 CF INDUSTRIES HOLDINGS INC
49564 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 82.490 10.00 164,990.00

PUR 11/23/09 12526910 CF INDUSTRIES HOLDINGS INC
49564 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 1,000.00 84.078 5.00 84,083.00

PUR 11/05/09 12665010 CVS CORP
49562 11/10/09 423152 ELECTRONIC BROKERAGE SYSTEM 3,000.00 28.660 15.00 85,995.00

PUR 11/05/09 12665010 CVS CORP
49562 11/10/09 423152 ELECTRONIC BROKERAGE SYSTEM 22,000.00 27.999 110.00 616,081.40
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 25,000.00 28.078 702,076.40
125.00


PUR 11/06/09 12665010 CVS CORP
49562 11/12/09 423156 ELECTRONIC BROKERAGE SYSTEM 2,000.00 29.393 10.00 58,795.00

PUR 11/09/09 12665010 CVS CORP
49562 11/13/09 423160 MAGNA SECURITIES CORP 3,000.00 30.268 30.00 90,833.10

PUR 11/05/09 12960310 CALGON CARBON CORP
46470 11/10/09 423152 ELECTRONIC BROKERAGE SYSTEM 7,000.00 13.750 35.00 96,282.90

PUR 11/03/09 14343640 CARMIKE CINEMAS
49214 11/06/09 423143 BUCKINGHAM RESEARCH GROUP I 100,000.00 6.653 3,000.00 668,340.00

PUR 11/04/09 14343640 CARMIKE CINEMAS
49214 11/09/09 423147 MERRIMAN/OTC 10,000.00 6.176 100.00 61,857.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 7
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/18/09 14343640 CARMIKE CINEMAS
49214 11/23/09 423191 MERRIMAN/OTC 4,000.00 5.895 40.00 23,618.00

PUR 11/19/09 14343640 CARMIKE CINEMAS
49214 11/24/09 423197 MERRIMAN/OTC 2,000.00 5.690 20.00 11,399.60

PUR 11/19/09 14343640 CARMIKE CINEMAS
49214 11/24/09 423197 MERRIMAN/OTC 2,000.00 6.003 20.00 12,026.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 4,000.00 5.846 23,425.60
40.00


PUR 11/20/09 14343640 CARMIKE CINEMAS
49214 11/25/09 423203 MERRIMAN/OTC 6,000.00 5.979 60.00 35,934.60

PUR 11/23/09 14343640 CARMIKE CINEMAS
49214 11/27/09 423208 MERRIMAN/OTC 3,000.00 6.312 30.00 18,965.10

PUR 11/24/09 14343640 CARMIKE CINEMAS
49214 11/30/09 423212 MERRIMAN/OTC 3,000.00 6.222 30.00 18,696.00

PUR 11/23/09 15670810 CEPHALON
49788 11/27/09 423208 MERRIMAN/OTC 1,000.00 54.220 10.00 54,230.00

PUR 11/23/09 15670810 CEPHALON
49788 11/27/09 423208 MERRIMAN/OTC 12,000.00 54.843 120.00 658,240.80
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 13,000.00 54.795 712,470.80
130.00


PUR 11/06/09 15678210 CERNER CORP
49590 11/12/09 423156 LABRANCHE/0TC 7,000.00 77.306 70.00 541,213.40

PUR 11/20/09 15678210 CERNER CORP
49590 11/25/09 423203 MERRIMAN/OTC 1,000.00 75.990 10.00 75,999.80



S T A T E O F N E W J E R S E Y 4340
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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 8
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/06/09 16516710 CHESAPEAKE ENERGY CORP.
41851 11/12/09 423156 ELECTRONIC BROKERAGE SYSTEM 2,000.00 24.749 10.00 49,507.00

PUR 10/29/09 17275R10 CISCO SYSTEMS
48983 11/03/09 423130 SOLEIL SECURITIES CORP. 2,000.00 23.240 60.00 46,540.00

PUR 11/16/09 18538Q10 CLEARWIRE CORP CL-A
49696 11/19/09 423181 LABRANCHE/0TC 70,000.00 6.168 700.00 432,446.00

PUR 11/20/09 18538Q10 CLEARWIRE CORP CL-A
49696 11/25/09 423203 MERRIMAN/OTC 10,000.00 5.782 100.00 57,918.00

PUR 11/23/09 18538Q10 CLEARWIRE CORP CL-A
49696 11/27/09 423208 MERRIMAN/OTC 4,000.00 5.790 40.00 23,200.00

PUR 11/20/09 18911Q10 CLOUD PEAK ENERGY INC
49782 11/25/09 423203 BLAYLOCK ROBERT VAN LLC 50,000.00 14.514 500.00 726,215.00

PUR 10/30/09 19210850 COEUR D'ALENE MINES CORP
49193 11/04/09 423134 SANFORD BERNSTEIN & CO. 25,000.00 19.957 1,000.00 499,930.00

PUR 11/04/09 24237010 DEAN FOODS
47992 11/09/09 423147 CITIGROUP/CITIBANK DOMESTIC 2,000.00 17.174 60.00 34,408.00

PUR 10/28/09 25470M10 DISH NETWORKS
48225 11/02/09 423126 SOLEIL SECURITIES CORP. 4,000.00 17.285 120.00 69,258.00

PUR 10/28/09 25470M10 DISH NETWORKS
48225 11/02/09 423126 SOLEIL SECURITIES CORP. 6,000.00 17.700 180.00 106,377.60
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 10,000.00 17.534 175,635.60
300.00


PUR 11/18/09 25470M10 DISH NETWORKS
48225 11/23/09 423191 MERRIMAN/OTC 4,000.00 19.856 40.00 79,465.20



S T A T E O F N E W J E R S E Y 4340
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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 9
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/19/09 25470M10 DISH NETWORKS
48225 11/24/09 423197 MERRIMAN/OTC 4,000.00 19.860 40.00 79,480.00

PUR 11/10/09 25659P40 DOLAN MEDIA CO
49620 11/16/09 423164 MAGNA SECURITIES CORP 30,000.00 11.027 300.00 331,104.00

PUR 11/11/09 25659P40 DOLAN MEDIA CO
49620 11/16/09 423168 MAGNA SECURITIES CORP 20,000.00 11.178 200.00 223,758.00

PUR 11/17/09 25674610 DOLLAR TREE INC
42995 11/20/09 423185 MERRIMAN/OTC 1,000.00 49.120 10.00 49,130.00

PUR 11/02/09 26864810 EMC CORP MASS
49212 11/05/09 423139 CITIGROUP/CITIBANK DOMESTIC 21,000.00 16.370 840.00 344,607.90

PUR 11/03/09 26864810 EMC CORP MASS
49212 11/06/09 423143 CITIGROUP/CITIBANK DOMESTIC 9,000.00 16.351 360.00 147,519.00

PUR 11/12/09 26864810 EMC CORP MASS
49212 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 2,000.00 16.770 10.00 33,550.00

PUR 11/12/09 29362U10 ENTERGRIS INC
49651 11/17/09 423172 SUSQUEHANNA/OTC 50,000.00 4.055 500.00 203,270.00

PUR 11/13/09 29362U10 ENTERGRIS INC
49651 11/18/09 423177 MERRIMAN/OTC 10,000.00 3.865 100.00 38,750.00

PUR 11/11/09 29363910 ENTERCOM COMMUNICATIONS COR
37233 11/16/09 423168 ELECTRONIC BROKERAGE SYSTEM 4,000.00 6.630 20.00 26,540.00

PUR 11/12/09 29363910 ENTERCOM COMMUNICATIONS COR
37233 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 2,000.00 6.594 10.00 13,197.00

PUR 11/20/09 29363910 ENTERCOM COMMUNICATIONS COR
37233 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 6.276 10.00 12,561.00

PUR 11/23/09 29363910 ENTERCOM COMMUNICATIONS COR
37233 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 5,000.00 6.393 25.00 31,989.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 10
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/24/09 29363910 ENTERCOM COMMUNICATIONS COR
37233 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 3,000.00 5.980 15.00 17,955.00

PUR 11/11/09 29380T10 ENTERTAINMENT PROPERTIES TR
43302 11/16/09 423168 ELECTRONIC BROKERAGE SYSTEM 2,000.00 31.390 10.00 62,790.00

PUR 11/12/09 29380T10 ENTERTAINMENT PROPERTIES TR
43302 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 2,000.00 31.371 10.00 62,751.00

PUR 11/24/09 29380T10 ENTERTAINMENT PROPERTIES TR
43302 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 2,000.00 31.360 10.00 62,730.00

PUR 11/17/09 34959E10 FORTINET INC
49746 11/23/09 423194 MORGAN STANLEY 10,000.00 12.500 125,000.00

PUR 10/28/09 35874810 FRISCHS RESTAURANTS, INC.
48545 11/02/09 423126 RAYMOND JAMES & ASSOCIATES, 1,000.00 24.335 30.00 24,365.00

PUR 10/30/09 35874810 FRISCHS RESTAURANTS, INC.
48545 11/04/09 423134 RAYMOND JAMES & ASSOCIATES, 100.00 22.490 3.00 2,252.00

PUR 11/02/09 35874810 FRISCHS RESTAURANTS, INC.
48545 11/05/09 423139 RAYMOND JAMES & ASSOCIATES, 1,900.00 23.536 57.00 44,775.59

PUR 10/28/09 35952W10 FUEL SYSTEMS SOLUTIONS INC
48125 11/02/09 423126 SOLEIL SECURITIES CORP. 1,000.00 31.000 30.00 31,029.90

PUR 11/12/09 36159R10 GEO GROUP INC
49652 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 10,000.00 20.666 50.00 206,710.00

PUR 11/13/09 36159R10 GEO GROUP INC
49652 11/18/09 423177 ELECTRONIC BROKERAGE SYSTEM 5,000.00 20.395 25.00 102,001.00

PUR 11/16/09 36159R10 GEO GROUP INC
49652 11/19/09 423181 ELECTRONIC BROKERAGE SYSTEM 5,000.00 20.790 25.00 103,975.00

PUR 11/17/09 36159R10 GEO GROUP INC
49652 11/20/09 423185 ELECTRONIC BROKERAGE SYSTEM 5,000.00 20.946 25.00 104,756.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 11
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/18/09 36159R10 GEO GROUP INC
49652 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 5,000.00 20.900 25.00 104,525.00

PUR 11/20/09 36159R10 GEO GROUP INC
49652 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 20.000 10.00 40,010.00

PUR 11/17/09 36960410 GENERAL ELECTRIC CO.
12731 11/20/09 423185 STURDIVANT/EXECUTION 7,264.00 15.998 72.64 116,278.48

PUR 11/18/09 36960410 GENERAL ELECTRIC CO.
12731 11/23/09 423191 STURDIVANT/EXECUTION 2,736.00 16.000 27.36 43,803.36

PUR 11/20/09 43146610 HILL INTERNATIONAL INC
49784 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 10,000.00 6.787 50.00 67,924.00

PUR 11/23/09 43146610 HILL INTERNATIONAL INC
49784 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 10,000.00 7.014 50.00 70,185.00

PUR 11/24/09 43146610 HILL INTERNATIONAL INC
49784 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 5,000.00 6.749 25.00 33,770.00

PUR 11/24/09 43146610 HILL INTERNATIONAL INC
49784 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 5,000.00 6.929 25.00 34,672.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 10,000.00 6.839 68,442.00
50.00


PUR 11/10/09 43575830 HOLLY CORP
49619 11/16/09 423164 WILLIAMS CAPITAL GROUP 15,000.00 28.250 150.00 423,898.50

PUR 11/11/09 43575830 HOLLY CORP
49619 11/16/09 423168 ELECTRONIC BROKERAGE SYSTEM 5,000.00 28.842 25.00 144,235.00

PUR 11/12/09 43575830 HOLLY CORP
49619 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 5,000.00 28.024 25.00 140,143.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 12
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/20/09 43575830 HOLLY CORP
49619 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 26.220 10.00 52,450.00

PUR 11/16/09 45091110 ITT CORP
48790 11/19/09 423181 ELECTRONIC BROKERAGE SYSTEM 1,000.00 52.710 5.00 52,715.00

PUR 11/20/09 45091110 ITT CORP
48790 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 50.168 10.00 100,345.00

PUR 11/23/09 45091110 ITT CORP
48790 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 1,000.00 51.663 5.00 51,668.00

PUR 11/02/09 45678T30 INFOSPACE INC
48854 11/05/09 423139 RAYMOND JAMES & ASSOCIATES, 10,000.00 8.326 300.00 83,563.00

PUR 11/10/09 45678T30 INFOSPACE INC
48854 11/16/09 423164 SUSQUEHANNA/OTC 2,000.00 8.497 20.00 17,014.00

PUR 11/11/09 45678T30 INFOSPACE INC
48854 11/16/09 423168 SUSQUEHANNA/OTC 2,000.00 8.501 20.00 17,022.40

PUR 10/30/09 46069010 INTERPUBLIC GROUP OF COS IN
48101 11/04/09 423134 CITIGROUP/CITIBANK DOMESTIC 10,000.00 6.046 400.00 60,856.00

PUR 10/30/09 46069010 INTERPUBLIC GROUP OF COS IN
48101 11/04/09 423134 RAYMOND JAMES & ASSOCIATES, 10,000.00 6.327 300.00 63,567.00

PUR 11/05/09 46612K10 JDA SOFTWARE
49565 11/10/09 423152 MERRIMAN/OTC 22,000.00 22.057 220.00 485,467.40

PUR 11/06/09 46612K10 JDA SOFTWARE
49565 11/12/09 423156 LABRANCHE/0TC 8,000.00 21.930 80.00 175,520.80

PUR 11/09/09 46612K10 JDA SOFTWARE
49565 11/13/09 423160 SUSQUEHANNA/OTC 2,000.00 22.300 20.00 44,620.00

PUR 10/30/09 46625H10 JP MORGAN CHASE & CO
28084 11/04/09 423134 STIFEL NICOLAUS 2,000.00 41.790 60.00 83,639.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 13
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/16/09 46625H10 JP MORGAN CHASE & CO
28084 11/19/09 423181 ELECTRONIC BROKERAGE SYSTEM 2,000.00 42.820 10.00 85,650.00

PUR 11/17/09 46981410 JACOBS ENGINEERING GROUP IN
47299 11/20/09 423185 ELECTRONIC BROKERAGE SYSTEM 1,000.00 38.760 5.00 38,765.00

PUR 11/20/09 46981410 JACOBS ENGINEERING GROUP IN
47299 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 1,000.00 36.320 5.00 36,325.00

PUR 11/23/09 46981410 JACOBS ENGINEERING GROUP IN
47299 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 1,000.00 37.024 5.00 37,029.00

PUR 11/05/09 47816010 JOHNSON & JOHNSON
18884 11/10/09 423152 ELECTRONIC BROKERAGE SYSTEM 2,000.00 59.860 10.00 119,730.00

PUR 11/04/09 48247020 KIT DIGITAL INC
47968 11/09/09 423147 MERRIMAN/OTC 2,000.00 9.735 20.00 19,490.00

PUR 11/12/09 48247020 KIT DIGITAL INC
47968 11/17/09 423172 SUSQUEHANNA/OTC 2,000.00 9.889 20.00 19,797.00

PUR 11/19/09 48247020 KIT DIGITAL INC
47968 11/24/09 423197 MERRIMAN/OTC 1,000.00 10.594 10.00 10,604.00

PUR 10/28/09 48360030 KANA SOFTWARE, INC.
38561 11/02/09 423126 INSTINET (PORTAL) 20,000.00 .773 100.00 15,550.00

PUR 11/03/09 48517030 KANSAS CITY SOUTHERN
25663 11/06/09 423143 CITIGROUP/CITIBANK DOMESTIC 2,000.00 25.866 80.00 51,812.80

PUR 11/04/09 48517030 KANSAS CITY SOUTHERN
25663 11/09/09 423147 CITIGROUP/CITIBANK DOMESTIC 2,000.00 26.287 80.00 52,654.80

PUR 11/17/09 52186520 LEAR CORP
49723 11/20/09 423185 ELECTRONIC BROKERAGE SYSTEM 8,000.00 67.696 40.00 541,606.40

PUR 11/18/09 52186520 LEAR CORP
49723 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 1,000.00 67.000 5.00 67,005.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 14
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/24/09 52186520 LEAR CORP
49723 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 1,000.00 65.600 5.00 65,605.00

PUR 10/28/09 52490110 LEGG MASON INC
48852 11/02/09 423126 RAYMOND JAMES & ASSOCIATES, 2,000.00 30.320 60.00 60,700.00

PUR 11/20/09 52490110 LEGG MASON INC
48852 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 1,000.00 29.320 5.00 29,325.00

PUR 11/05/09 53245710 ELI LILLY & CO.
44053 11/10/09 423152 CITIGROUP/CITIBANK DOMESTIC 2,000.00 34.211 60.00 68,481.00

PUR 11/06/09 53245710 ELI LILLY & CO.
44053 11/12/09 423156 ELECTRONIC BROKERAGE SYSTEM 4,000.00 34.410 20.00 137,658.00

PUR 11/18/09 53245710 ELI LILLY & CO.
44053 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 1,000.00 36.060 5.00 36,065.00

PUR 10/29/09 53261M10 LIMELIGHT NETWORKS INC
48436 11/03/09 423130 SOLEIL SECURITIES CORP. 10,000.00 3.551 300.00 35,806.00

PUR 10/30/09 53261M10 LIMELIGHT NETWORKS INC
48436 11/04/09 423134 MERRIMAN/OTC 10,000.00 3.480 100.00 34,903.00

PUR 11/11/09 53261M10 LIMELIGHT NETWORKS INC
48436 11/16/09 423168 SUSQUEHANNA/OTC 10,000.00 3.368 100.00 33,776.00

PUR 11/06/09 53591920 LIONS GATE ENTERTAINMENT CO
48350 11/12/09 423156 ELECTRONIC BROKERAGE SYSTEM 10,000.00 5.111 50.00 51,156.00

PUR 11/20/09 53591920 LIONS GATE ENTERTAINMENT CO
48350 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 4,000.00 5.157 20.00 20,648.00

PUR 11/06/09 55405W10 MYR GROUP INC DEL
49588 11/12/09 423156 LABRANCHE/0TC 20,000.00 16.684 200.00 333,886.00

PUR 11/11/09 55405W10 MYR GROUP INC DEL
49588 11/16/09 423168 SUSQUEHANNA/OTC 10,000.00 16.109 100.00 161,186.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 15
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/23/09 55616P10 MACY'S INC
49790 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 30,000.00 16.708 150.00 501,375.00

PUR 11/24/09 55616P10 MACY'S INC
49790 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 2,000.00 16.900 10.00 33,810.00

PUR 10/30/09 58933110 MERCK & CO
48505 11/04/09 423134 RAYMOND JAMES & ASSOCIATES, 6,000.00 31.621 180.00 189,907.80

PUR 11/06/09 58949910 MERGE HEALTHCARE INC
47985 11/12/09 423156 LABRANCHE/0TC 10,000.00 3.861 100.00 38,707.00

PUR 11/13/09 58949910 MERGE HEALTHCARE INC
47985 11/18/09 423177 LABRANCHE/0TC 10,000.00 3.005 100.00 30,150.00

PUR 11/20/09 58949910 MERGE HEALTHCARE INC
47985 11/25/09 423203 MERRIMAN/OTC 10,000.00 3.147 100.00 31,566.00

PUR 11/04/09 60871R20 MOLSON COORS BREWING CO.
41264 11/09/09 423147 CITIGROUP/CITIBANK DOMESTIC 6,000.00 45.573 240.00 273,678.60

PUR 11/02/09 61945A10 MOSIAC CO
48352 11/05/09 423139 STIFEL NICOLAUS 1,000.00 47.671 30.00 47,701.00

PUR 11/20/09 62944T10 NVR INC
48031 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 300.00 656.33 1.50 196,901.49

PUR 11/23/09 69002720 OUTDOOR CHANNEL HOLDINGS IN
29494 11/27/09 423208 MERRIMAN/OTC 2,000.00 6.259 20.00 12,538.40

PUR 11/24/09 69002720 OUTDOOR CHANNEL HOLDINGS IN
29494 11/30/09 423212 ITG (CHANNEL) 6,517.00 5.923 65.17 38,663.41

PUR 11/20/09 71344810 PEPSICO, INC.
43554 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 62.040 10.00 124,090.00

PUR 10/28/09 75075340 RAILAMERICA INC
48836 11/02/09 423126 RAYMOND JAMES & ASSOCIATES, 2,000.00 11.332 60.00 22,723.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 16
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/11/09 75075340 RAILAMERICA INC
48836 11/16/09 423168 ELECTRONIC BROKERAGE SYSTEM 2,000.00 12.579 10.00 25,167.00

PUR 11/12/09 75091710 RAMBUS INC
49653 11/17/09 423172 MERRIMAN/OTC 30,000.00 18.148 300.00 544,734.00

PUR 11/13/09 75091710 RAMBUS INC
49653 11/18/09 423177 MERRIMAN/OTC 4,000.00 18.372 40.00 73,528.40

PUR 11/23/09 75091710 RAMBUS INC
49653 11/27/09 423208 MERRIMAN/OTC 1,000.00 16.700 10.00 16,710.00

PUR 10/28/09 76041610 REPUBLIC FIRST BANCORP INC.
43802 11/02/09 423126 SOLEIL SECURITIES CORP. 2,000.00 4.402 60.00 8,864.00

PUR 11/02/09 77937610 ROVI CORP
49211 11/05/09 423139 BUCKINGHAM RESEARCH GROUP I 14,000.00 27.719 420.00 388,487.40

PUR 11/03/09 77937610 ROVI CORP
49211 11/06/09 423143 MERRIMAN/OTC 6,000.00 27.708 60.00 166,307.40

PUR 11/04/09 77937610 ROVI CORP
49211 11/09/09 423147 MERRIMAN/OTC 1,000.00 27.922 10.00 27,932.00

PUR 11/04/09 78477410 STEC INC
48520 11/09/09 423147 MERRIMAN/OTC 1,000.00 14.469 10.00 14,479.00

PUR 11/04/09 78477410 STEC INC
48520 11/09/09 423147 MERRIMAN/OTC 3,000.00 16.036 30.00 48,138.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 4,000.00 15.644 62,617.00
40.00


PUR 11/05/09 78477410 STEC INC
48520 11/10/09 423152 LABRANCHE/0TC 4,000.00 14.600 40.00 58,440.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 17
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/10/09 78477410 STEC INC
48520 11/16/09 423164 SUSQUEHANNA/OTC 2,000.00 13.397 20.00 26,814.80

PUR 11/13/09 78477410 STEC INC
48520 11/18/09 423177 MERRIMAN/OTC 1,000.00 13.591 10.00 13,600.80

PUR 11/18/09 79084910 ST. JUDE MEDICAL INC.
33134 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 1,000.00 35.150 5.00 35,155.00

PUR 11/05/09 80090720 SANMINA-SCI CORP
49559 11/10/09 423152 BUCKINGHAM RESEARCH GROUP I 60,000.00 8.107 1,800.00 488,226.00

PUR 11/06/09 80090720 SANMINA-SCI CORP
49559 11/12/09 423156 LABRANCHE/0TC 10,000.00 8.216 100.00 82,259.00

PUR 10/29/09 82028010 SHAW GROUP INC
48841 11/03/09 423130 SOLEIL SECURITIES CORP. 2,000.00 27.050 60.00 54,160.00

PUR 10/30/09 82028010 SHAW GROUP INC
48841 11/04/09 423134 MERRIMAN/OTC 1,000.00 25.711 10.00 25,720.60

PUR 10/30/09 83546010 SONIC SOLUTIONS
42767 11/04/09 423134 CREDIT SUISSE SEC (AES) 10,000.00 5.082 100.00 50,919.00

PUR 10/30/09 87113010 SYBASE INC
48744 11/04/09 423134 RAYMOND JAMES & ASSOCIATES, 1,000.00 40.100 30.00 40,130.00

PUR 11/20/09 87113010 SYBASE INC
48744 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 1,000.00 40.370 5.00 40,375.00

PUR 11/10/09 88830R10 TITAN MACHINERY INC
47828 11/16/09 423164 SUSQUEHANNA/OTC 2,000.00 10.813 20.00 21,645.20

PUR 11/17/09 88830R10 TITAN MACHINERY INC
47828 11/20/09 423185 MERRIMAN/OTC 2,000.00 10.920 20.00 21,860.00

PUR 11/17/09 88830R10 TITAN MACHINERY INC
47828 11/20/09 423185 MERRIMAN/OTC 4,000.00 10.964 40.00 43,896.40
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 6,000.00 10.949 65,756.40
60.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 18
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 90323610 URS CORP.
42955 11/05/09 423139 STIFEL NICOLAUS 1,000.00 39.315 30.00 39,345.00

PUR 11/19/09 91126810 UNITED ONLINE, INC.
44273 11/24/09 423197 MERRIMAN/OTC 10,000.00 6.960 100.00 69,700.00

PUR 11/05/09 91886610 VALASSIS COMMUNICATIONS INC
49561 11/10/09 423152 CITIGROUP/CITIBANK DOMESTIC 25,000.00 17.807 1,000.00 446,182.50

PUR 11/06/09 91886610 VALASSIS COMMUNICATIONS INC
49561 11/12/09 423156 ELECTRONIC BROKERAGE SYSTEM 5,000.00 17.981 25.00 89,930.00

PUR 11/12/09 91886610 VALASSIS COMMUNICATIONS INC
49561 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 2,000.00 17.012 10.00 34,033.00

PUR 11/13/09 91886610 VALASSIS COMMUNICATIONS INC
49561 11/18/09 423177 BLAYLOCK ROBERT VAN LLC 2,000.00 16.407 20.00 32,834.60

PUR 11/20/09 91886610 VALASSIS COMMUNICATIONS INC
49561 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 2,000.00 16.300 10.00 32,610.00

PUR 11/23/09 91886610 VALASSIS COMMUNICATIONS INC
49561 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 2,000.00 16.777 10.00 33,563.00

PUR 10/28/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/02/09 423126 RAYMOND JAMES & ASSOCIATES, 10,000.00 29.390 300.00 294,200.00

PUR 10/29/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/03/09 423130 RAYMOND JAMES & ASSOCIATES, 2,000.00 30.050 60.00 60,160.00

PUR 10/30/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/04/09 423134 RAYMOND JAMES & ASSOCIATES, 2,000.00 29.720 60.00 59,500.00

PUR 11/02/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/05/09 423139 STIFEL NICOLAUS 2,000.00 29.862 60.00 59,784.00

PUR 11/04/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/09/09 423147 CITIGROUP/CITIBANK DOMESTIC 2,000.00 29.241 60.00 58,541.80



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 19
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/16/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/19/09 423181 ELECTRONIC BROKERAGE SYSTEM 2,000.00 30.166 10.00 60,342.00

PUR 11/18/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/23/09 423191 ELECTRONIC BROKERAGE SYSTEM 5,000.00 30.650 25.00 153,275.00

PUR 11/20/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/25/09 423203 ELECTRONIC BROKERAGE SYSTEM 1,000.00 30.345 5.00 30,350.00

PUR 11/23/09 92343V10 VERIZON COMMUNICATIONS INC
49011 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 2,000.00 30.900 10.00 61,810.00

PUR 11/23/09 92826C83 VISA INC-CLASS A SHARES
49000 11/27/09 423208 ELECTRONIC BROKERAGE SYSTEM 1,000.00 80.256 5.00 80,261.00

PUR 11/12/09 94974610 WELLS FARGO & COMPANY
46540 11/17/09 423172 ELECTRONIC BROKERAGE SYSTEM 1,000.00 28.690 5.00 28,695.00

PUR 10/30/09 98884U10 ZAGG INCORPORATED
47586 11/04/09 423134 MERRIMAN/OTC 2,000.00 5.850 20.00 11,720.00

PUR 11/12/09 98884U10 ZAGG INCORPORATED
47586 11/17/09 423172 SUSQUEHANNA/OTC 10,000.00 5.538 100.00 55,484.00

PUR 11/13/09 98884U10 ZAGG INCORPORATED
47586 11/18/09 423177 MERRIMAN/OTC 10,000.00 4.691 100.00 47,012.00

PUR 11/24/09 H8912P10 TYCO ELECTRONICS LTD
48848 11/30/09 423212 ELECTRONIC BROKERAGE SYSTEM 1,000.00 24.050 5.00 24,055.00
-------------- ---------- -------------- --------------
SUBTOTAL STOCK PURCHASES: 1,606,484.00 23,852,675.80
24,465.01
-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 1,606,484.00 23,852,675.80
24,465.01



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 20
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

SALES OF STOCK AND OTHER EQUITIES
---------------------------------

SALE 11/04/09 00817Y10 AETNA INC 3.66
48818 11/09/09 423148 CITIGROUP/CITIBANK DOMESTIC 5,000.00 28.446 150.00 142,074.34 10,244.15

SALE 11/05/09 00817Y10 AETNA INC 1.45
48818 11/10/09 423153 CITIGROUP/CITIBANK DOMESTIC 2,000.00 28.141 60.00 56,220.55 3,488.48

SALE 11/12/09 00817Y10 AETNA INC 7.58
48818 11/17/09 423173 ELECTRONIC BROKERAGE SYSTEM 10,000.00 29.485 50.00 294,789.42 31,129.05

SALE 11/02/09 01880410 ALLIANT TECHSYSTEMS INC 4.03
48503 11/05/09 423140 JP MORGAN 2,000.00 78.307 60.00 156,549.97 4,203.37

SALE 11/05/09 01880410 ALLIANT TECHSYSTEMS INC 2.09
48503 11/10/09 423153 CITIGROUP/CITIBANK DOMESTIC 1,000.00 81.089 30.00 81,056.91 4,883.61

SALE 11/11/09 01880410 ALLIANT TECHSYSTEMS INC 2.15
48503 11/16/09 423169 ELECTRONIC BROKERAGE SYSTEM 1,000.00 83.522 5.00 83,514.85 7,341.55

SALE 11/12/09 01880410 ALLIANT TECHSYSTEMS INC 2.21
48503 11/17/09 423173 ELECTRONIC BROKERAGE SYSTEM 1,000.00 85.856 5.00 85,848.79 9,675.49

SALE 11/16/09 01880410 ALLIANT TECHSYSTEMS INC 2.22
48503 11/19/09 423182 ELECTRONIC BROKERAGE SYSTEM 1,000.00 86.162 5.00 86,154.78 9,981.48

SALE 11/17/09 01880410 ALLIANT TECHSYSTEMS INC 8.92
48503 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 4,000.00 86.690 20.00 346,731.08 42,037.88

SALE 11/16/09 02040910 ALMOST FAMILY INC .92
44964 11/19/09 423182 MAGNA SECURITIES CORP 1,000.00 35.650 10.00 35,639.08 14,273.22

SALE 11/17/09 02040910 ALMOST FAMILY INC 1.84
44964 11/20/09 423186 MERRIMAN/OTC 2,000.00 35.795 20.00 71,567.16 28,835.44

SALE 11/18/09 02040910 ALMOST FAMILY INC 1.88
44964 11/23/09 423192 MERRIMAN/OTC 2,000.00 36.430 20.00 72,837.32 30,105.60



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 21
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/19/09 02040910 ALMOST FAMILY INC 1.86
44964 11/24/09 423198 MERRIMAN/OTC 2,000.00 36.048 20.00 72,074.14 29,342.42

SALE 11/20/09 02040910 ALMOST FAMILY INC .92
44964 11/25/09 423204 MERRIMAN/OTC 1,000.00 35.503 10.00 35,492.08 14,126.22

SALE 11/23/09 02040910 ALMOST FAMILY INC 1.91
44964 11/27/09 423209 MERRIMAN/OTC 2,000.00 36.968 20.00 73,913.09 31,181.37

SALE 11/24/09 02040910 ALMOST FAMILY INC 1.91
44964 11/30/09 423213 MERRIMAN/OTC 2,000.00 36.981 20.00 73,940.69 31,208.97

SALE 11/02/09 02209S10 ALTRIA GROUP INC. .94
42872 11/05/09 423140 STIFEL NICOLAUS 2,000.00 18.135 60.00 36,208.06 143.36

SALE 11/06/09 02942910 AMERICAN SCIENCE & ENGIN 1.91
49020 11/12/09 423157 LABRANCHE/0TC 1,000.00 74.360 10.00 74,348.09 6,719.79

SALE 11/16/09 04743P10 ATHEROS COMMUNICATIONS IN 3.68
48434 11/19/09 423182 MAGNA SECURITIES CORP 5,000.00 28.607 50.00 142,979.32 8,127.32

SALE 11/17/09 04743P10 ATHEROS COMMUNICATIONS IN 2.22
48434 11/20/09 423186 MERRIMAN/OTC 3,000.00 28.764 30.00 86,258.28 5,347.08

SALE 11/19/09 04743P10 ATHEROS COMMUNICATIONS IN 1.47
48434 11/24/09 423198 MERRIMAN/OTC 2,000.00 28.520 20.00 57,018.53 3,077.73

SALE 11/04/09 04951310 ATMEL CORP. 1.94
44327 11/09/09 423148 MERRIMAN/OTC 20,000.00 3.771 200.00 75,216.06 5,904.54

SALE 11/05/09 05276910 AUTODESK INC 2.60
48499 11/10/09 423153 BUCKINGHAM RESEARCH GROUP I 4,000.00 25.261 120.00 100,919.40 6,258.46

SALE 11/05/09 05276910 AUTODESK INC 4.03
48499 11/10/09 423153 MERRIMAN/OTC 6,000.00 26.073 60.00 156,376.37 14,384.95

SALE 11/06/09 05276910 AUTODESK INC 6.75
48499 11/12/09 423157 LABRANCHE/0TC 10,000.00 26.276 100.00 262,650.25 25,997.89



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 22
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/23/09 05333210 AUTOZONE INC 7.64
48123 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 2,000.00 148.51 10.00 297,015.36 7,890.56

SALE 11/24/09 05333210 AUTOZONE INC 11.32
48123 11/30/09 423213 ELECTRONIC BROKERAGE SYSTEM 3,000.00 146.69 15.00 440,070.68 6,383.48

SALE 11/16/09 05714910 BAKER (MICHAEL) CORP .99
37926 11/19/09 423182 ELECTRONIC BROKERAGE SYSTEM 1,000.00 38.435 5.00 38,429.01 5,723.02

SALE 11/17/09 05714910 BAKER (MICHAEL) CORP 2.09
37926 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 2,000.00 40.583 10.00 81,152.91 15,740.94

SALE 11/18/09 05714910 BAKER (MICHAEL) CORP 2.01
37926 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 2,000.00 39.024 10.00 78,036.59 12,624.62

SALE 11/20/09 12665010 CVS CORP 1.63
49562 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 31.621 10.00 63,229.37 6,449.07

SALE 11/20/09 12665010 CVS CORP 1.62
49562 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 31.350 10.00 62,688.38 5,908.08
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 4,000.00 31.485 3.25 125,917.75 12,357.15
20.00


SALE 11/23/09 12665010 CVS CORP 3.31
49562 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 4,000.00 32.155 20.00 128,596.69 15,036.09

SALE 11/23/09 12665010 CVS CORP 3.29
49562 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 4,000.00 31.950 20.00 127,776.71 14,216.11
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 8,000.00 32.053 6.60 256,373.40 29,252.20
40.00


SALE 11/24/09 12665010 CVS CORP 1.64
49562 11/30/09 423213 ELECTRONIC BROKERAGE SYSTEM 2,000.00 31.900 10.00 63,788.36 7,008.06



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 23
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 10/30/09 13442910 CAMPBELL SOUP CO. 7.48
43631 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 9,000.00 32.326 270.00 290,659.22 -2,025.15

SALE 11/05/09 17275R10 CISCO SYSTEMS 3.70
48983 11/10/09 423153 MERRIMAN/OTC 6,000.00 23.950 60.00 143,636.30 -1,790.43

SALE 11/05/09 19210850 COEUR D'ALENE MINES CORP 2.90
49193 11/10/09 423153 ELECTRONIC BROKERAGE SYSTEM 5,000.00 22.600 25.00 112,972.10 12,986.10

SALE 11/17/09 19210850 COEUR D'ALENE MINES CORP 2.27
49193 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 4,000.00 22.040 20.00 88,137.73 8,148.93

SALE 11/06/09 20030N20 COMCAST "A SPL" 3.60
48816 11/12/09 423157 LABRANCHE/0TC 10,000.00 13.990 100.00 139,796.40 -6,897.60

SALE 11/10/09 20030N20 COMCAST "A SPL" 3.72
48816 11/16/09 423165 SUSQUEHANNA/OTC 10,000.00 14.474 100.00 144,639.28 -2,054.72

SALE 11/11/09 20030N20 COMCAST "A SPL" 3.72
48816 11/16/09 423169 SUSQUEHANNA/OTC 10,000.00 14.473 100.00 144,621.28 -2,072.72

SALE 11/12/09 20030N20 COMCAST "A SPL" 3.80
48816 11/17/09 423173 SUSQUEHANNA/OTC 10,000.00 14.759 100.00 147,481.20 787.20

SALE 11/04/09 23280610 CYPRESS SEMICONDUCTOR CORP .90
47083 11/09/09 423148 CITIGROUP/CITIBANK DOMESTIC 4,000.00 8.745 120.00 34,860.30 -257.21

SALE 11/12/09 23280610 CYPRESS SEMICONDUCTOR CORP 5.64
47083 11/17/09 423173 PRINCETON SECURITIES GROUP 24,000.00 9.129 240.00 218,843.16 8,138.08

SALE 11/16/09 23280610 CYPRESS SEMICONDUCTOR CORP 5.04
47083 11/19/09 423182 ELECTRONIC BROKERAGE SYSTEM 20,000.00 9.786 100.00 195,622.96 20,035.40

SALE 11/23/09 24237010 DEAN FOODS 3.33
47992 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 8,000.00 16.192 40.00 129,491.87 -20,738.26

SALE 10/28/09 25189310 DEVRY 11.29
48633 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 8,000.00 54.880 240.00 438,788.71 -2,244.89



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 24
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/12/09 25470M10 DISH NETWORKS 5.33
48225 11/17/09 423173 SUSQUEHANNA/OTC 10,000.00 20.702 100.00 206,915.67 32,927.00

SALE 11/13/09 25470M10 DISH NETWORKS 1.61
48225 11/18/09 423178 MERRIMAN/OTC 3,000.00 20.810 30.00 62,398.39 10,201.79

SALE 11/17/09 25470M10 DISH NETWORKS .56
48225 11/20/09 423186 MERRIMAN/OTC 1,000.00 21.700 10.00 21,689.44 4,290.57

SALE 11/10/09 26017410 DOVER MOTORSPORTS INC .09
47763 11/16/09 423165 ELECTRONIC BROKERAGE SYSTEM 2,000.00 1.650 10.00 3,289.91 481.46

SALE 11/17/09 29270J10 ENERGY RECOVERY INC 1.41
46542 11/20/09 423186 MERRIMAN/OTC 10,000.00 5.483 100.00 54,728.59 -24,710.14

SALE 11/18/09 29270J10 ENERGY RECOVERY INC 1.42
46542 11/23/09 423192 MAGNA SECURITIES CORP 10,000.00 5.500 100.00 54,898.58 -24,540.15

SALE 11/23/09 29270J10 ENERGY RECOVERY INC 1.44
46542 11/27/09 423209 MERRIMAN/OTC 10,000.00 5.603 100.00 55,924.56 -23,514.17

SALE 11/02/09 29380T10 ENTERTAINMENT PROPERTIES TR 1.76
43302 11/05/09 423140 STIFEL NICOLAUS 2,000.00 34.153 60.00 68,243.24 29,664.45

SALE 11/10/09 30231G10 EXXON MOBIL CORP. 3.73
15201 11/16/09 423165 ELECTRONIC BROKERAGE SYSTEM 2,000.00 72.450 10.00 144,886.27 4,586.92

SALE 11/17/09 30231G10 EXXON MOBIL CORP. 1.93
15201 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 1,000.00 74.766 5.00 74,759.07 4,609.40

SALE 11/18/09 30372610 FAIRCHILD SEMICON INTL 2.27
48867 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 10,000.00 8.820 50.00 88,147.73 671.80

SALE 11/19/09 30372610 FAIRCHILD SEMICON INTL 2.22
48867 11/24/09 423198 ELECTRONIC BROKERAGE SYSTEM 10,000.00 8.600 50.00 85,947.78 -1,528.15

SALE 11/10/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 1.21
48125 11/16/09 423165 SUSQUEHANNA/OTC 1,000.00 47.019 10.00 47,007.49 14,397.61



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 25
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/16/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 1.26
48125 11/19/09 423182 MAGNA SECURITIES CORP 1,000.00 48.743 10.00 48,731.24 16,121.36

SALE 11/17/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 1.34
48125 11/20/09 423186 MERRIMAN/OTC 1,000.00 51.796 10.00 51,784.96 19,175.08

SALE 11/19/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 1.31
48125 11/24/09 423198 MERRIMAN/OTC 1,000.00 50.943 10.00 50,931.49 18,321.61

SALE 11/23/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 2.56
48125 11/27/09 423209 MERRIMAN/OTC 2,000.00 49.710 20.00 99,398.04 34,178.29

SALE 11/20/09 36955010 GENERAL DYNAMICS CORP. 10.23
46066 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 6,000.00 66.282 30.00 397,652.97 118,427.77

SALE 10/30/09 38141G10 GOLDMAN SACHS GROUP INC 4.38
47742 11/04/09 423135 STIFEL NICOLAUS 1,000.00 170.42 30.00 170,393.52 12,855.68

SALE 11/16/09 38141G10 GOLDMAN SACHS GROUP INC 4.57
47742 11/19/09 423182 ELECTRONIC BROKERAGE SYSTEM 1,000.00 177.66 5.00 177,658.43 20,120.59

SALE 11/20/09 38141G10 GOLDMAN SACHS GROUP INC 17.59
47742 11/25/09 423204 BMO CAPITAL MARKETS/EXECUTI 4,000.00 171.06 40.00 684,218.01 54,066.65

SALE 11/20/09 38141G10 GOLDMAN SACHS GROUP INC 4.40
47742 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 1,000.00 170.95 5.00 170,940.60 13,402.76

SALE 11/12/09 38259P50 GOOGLE INC. 1.47
33645 11/17/09 423173 LABRANCHE/0TC 100.00 571.64 1.00 57,162.36 13,883.14

SALE 11/17/09 38259P50 GOOGLE INC. 2.96
33645 11/20/09 423186 MERRIMAN/OTC 200.00 574.67 2.00 114,930.02 28,371.58

SALE 10/28/09 39762420 GREIF INC. CL B .26
37621 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 200.00 49.100 6.00 9,813.74 -319.93

SALE 10/30/09 39762420 GREIF INC. CL B .37
37621 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 300.00 47.417 9.00 14,215.64 -984.86



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 26
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/17/09 39762420 GREIF INC. CL B .40
37621 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 300.00 51.500 1.50 15,448.10 247.60

SALE 11/18/09 39762420 GREIF INC. CL B .27
37621 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 200.00 51.275 1.00 10,253.73 120.06

SALE 10/28/09 42823610 HEWLETT-PACKARD 2.42
47960 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 2,000.00 47.030 60.00 93,997.58 3,116.47

SALE 11/02/09 42823610 HEWLETT-PACKARD 14.83
47960 11/05/09 423140 JP MORGAN 12,000.00 48.068 360.00 576,438.77 31,152.13

SALE 11/05/09 43707610 HOME DEPOT INC 6.59
48819 11/10/09 423153 ELECTRONIC BROKERAGE SYSTEM 10,000.00 25.625 50.00 256,193.41 -17,482.59

SALE 11/06/09 43707610 HOME DEPOT INC 6.71
48819 11/12/09 423157 WILLIAMS CAPITAL GROUP 10,000.00 26.090 100.00 260,793.29 -12,882.71

SALE 11/17/09 43707610 HOME DEPOT INC 6.91
48819 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 10,000.00 26.887 50.00 268,813.09 -4,862.91

SALE 11/23/09 43851610 HONEYWELL INTERNATIONAL INC 3.97
46467 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 4,000.00 38.578 20.00 154,286.03 26,568.03

SALE 11/23/09 44701110 HUNTSMAN CORP. 6.86
41546 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 30,000.00 8.888 150.00 266,474.14 72,870.49

SALE 11/05/09 44993410 IMS HEALTH INC 16.01
48920 11/10/09 423153 ELECTRONIC BROKERAGE SYSTEM 30,000.00 20.770 150.00 622,933.99 106,006.99

SALE 11/05/09 44993410 IMS HEALTH INC 5.36
48920 11/10/09 423153 ELECTRONIC BROKERAGE SYSTEM 10,000.00 20.850 50.00 208,444.64 36,135.64
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 40,000.00 20.790 21.37 831,378.63 142,142.63
200.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 27
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/11/09 45814010 INTEL CORP 5.08
48017 11/16/09 423169 SUSQUEHANNA/OTC 10,000.00 19.759 100.00 197,484.92 5,371.28

SALE 11/12/09 45814010 INTEL CORP 5.13
48017 11/17/09 423173 MAGNA SECURITIES CORP 10,000.00 19.928 100.00 199,169.87 7,056.23

SALE 11/13/09 45814010 INTEL CORP 5.06
48017 11/18/09 423178 MERRIMAN/OTC 10,000.00 19.658 100.00 196,474.94 4,361.30

SALE 11/17/09 45814010 INTEL CORP 5.17
48017 11/20/09 423186 MERRIMAN/OTC 10,000.00 20.087 100.00 200,759.83 8,646.19

SALE 11/20/09 45814010 INTEL CORP 4.92
48017 11/25/09 423204 MERRIMAN/OTC 10,000.00 19.140 100.00 191,295.08 -818.57

SALE 11/17/09 45920010 INTL BUSINESS MACHINES CORP 3.28
45198 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 1,000.00 127.41 5.00 127,401.72 28,643.09

SALE 11/17/09 46069010 INTERPUBLIC GROUP OF COS IN .90
48101 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 5,000.00 6.930 25.00 34,624.10 2,880.85

SALE 11/20/09 46069010 INTERPUBLIC GROUP OF COS IN .86
48101 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 5,000.00 6.670 25.00 33,324.14 1,580.89

SALE 11/17/09 46612K10 JDA SOFTWARE 1.26
49565 11/20/09 423186 MERRIMAN/OTC 2,000.00 24.461 20.00 48,900.74 4,800.23

SALE 11/18/09 46612K10 JDA SOFTWARE 1.30
49565 11/23/09 423192 MERRIMAN/OTC 2,000.00 25.137 20.00 50,251.70 6,151.19

SALE 11/23/09 46612K10 JDA SOFTWARE 2.49
49565 11/27/09 423209 MERRIMAN/OTC 4,000.00 24.133 40.00 96,488.71 8,287.69

SALE 11/23/09 46612K10 JDA SOFTWARE 2.49
49565 11/27/09 423209 MERRIMAN/OTC 4,000.00 24.213 40.00 96,809.91 8,608.88
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 8,000.00 24.173 4.98 193,298.62 16,896.57
80.00



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 28
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/11/09 48517030 KANSAS CITY SOUTHERN 1.51
25663 11/16/09 423169 ELECTRONIC BROKERAGE SYSTEM 2,000.00 29.322 10.00 58,632.49 11,989.29

SALE 11/17/09 48517030 KANSAS CITY SOUTHERN .76
25663 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 1,000.00 29.210 5.00 29,204.24 5,882.64

SALE 11/02/09 50540R40 LABORATORY CORP OF AMERICA 3.59
21677 11/05/09 423140 JP MORGAN 2,000.00 69.761 60.00 139,458.41 12,311.53

SALE 11/17/09 52605730 LENNAR CORP. CL B .59
44247 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 2,000.00 11.383 10.00 22,755.41 9,470.72

SALE 11/20/09 52605730 LENNAR CORP. CL B .55
44247 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 10.656 10.00 21,301.45 8,016.76

SALE 11/23/09 57632310 MASTEC INC 1.94
46344 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 6,000.00 12.519 30.00 75,082.06 1,058.89

SALE 11/05/09 58155Q10 MCKESSON CORP. 12.74
44745 11/10/09 423153 ELECTRONIC BROKERAGE SYSTEM 8,000.00 61.967 40.00 495,686.46 181,175.47

SALE 10/30/09 58497720 MEDTOX SCIENTIFIC INC. .26
38052 11/04/09 423135 CREDIT SUISSE SEC (AES) 1,000.00 9.843 10.00 9,832.74 -1,571.79

SALE 11/02/09 58497720 MEDTOX SCIENTIFIC INC. .51
38052 11/05/09 423140 MERRIMAN/OTC 2,000.00 9.771 20.00 19,520.49 -3,288.57

SALE 11/11/09 58497720 MEDTOX SCIENTIFIC INC. .25
38052 11/16/09 423169 SUSQUEHANNA/OTC 1,000.00 9.458 10.00 9,447.75 -1,956.78

SALE 11/12/09 58497720 MEDTOX SCIENTIFIC INC. .24
38052 11/17/09 423173 SUSQUEHANNA/OTC 1,000.00 9.260 10.00 9,249.76 -2,154.77

SALE 11/11/09 58933Y10 MERCK & CO INC NEW 1.72
49253 11/16/09 423169 ELECTRONIC BROKERAGE SYSTEM 2,000.00 33.370 10.00 66,728.28 2,613.45

SALE 11/17/09 58933Y10 MERCK & CO INC NEW 1.73
49253 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 2,000.00 33.485 10.00 66,957.27 2,842.44



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 29
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/18/09 58933Y10 MERCK & CO INC NEW 1.82
49253 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 2,000.00 35.250 10.00 70,488.18 6,373.35

SALE 11/19/09 58933Y10 MERCK & CO INC NEW .92
49253 11/24/09 423198 ELECTRONIC BROKERAGE SYSTEM 1,000.00 35.530 5.00 35,524.08 3,466.67

SALE 11/03/09 59491810 MICROSOFT CORP. 1.42
12799 11/06/09 423144 MERRIMAN/OTC 2,000.00 27.620 20.00 55,218.58 9,832.91

SALE 11/02/09 60871R20 MOLSON COORS BREWING CO. 1.28
41264 11/05/09 423140 JP MORGAN 1,000.00 49.497 30.00 49,465.72 4,376.03

SALE 10/28/09 61744644 MORGAN STANLEY 1.67
47655 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 2,000.00 32.350 60.00 64,638.33 9,465.70

SALE 11/17/09 61744644 MORGAN STANLEY .88
47655 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 1,000.00 34.090 5.00 34,084.12 6,497.81

SALE 11/20/09 61945A10 MOSIAC CO 4.24
48352 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 3,000.00 54.973 15.00 164,900.66 14,918.90

SALE 11/20/09 61945A10 MOSIAC CO 2.77
48352 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 53.847 10.00 107,680.23 7,692.39
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 5,000.00 54.523 7.01 272,580.89 22,611.29
25.00


SALE 10/28/09 62886E10 NCR CORP 2.69
46577 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 10,000.00 10.435 300.00 104,047.31 -545.77

SALE 10/30/09 62886E10 NCR CORP 6.93
46577 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 26,000.00 10.361 780.00 268,601.67 -3,340.34

SALE 10/28/09 62944T10 NVR INC 3.55
48031 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 200.00 690.30 6.00 138,050.45 14,892.89



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 30
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/12/09 62944T10 NVR INC 1.80
48031 11/17/09 423173 ELECTRONIC BROKERAGE SYSTEM 100.00 698.88 .50 69,885.85 8,307.07

SALE 10/28/09 65011110 NEW YORK TIMES 2.48
48779 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 10,000.00 9.620 300.00 95,897.52 13,754.84

SALE 10/29/09 65011110 NEW YORK TIMES 2.26
48779 11/03/09 423131 STIFEL NICOLAUS 10,000.00 8.776 300.00 87,457.74 5,315.06

SALE 10/30/09 65011110 NEW YORK TIMES 2.19
48779 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 10,000.00 8.509 300.00 84,786.81 2,644.13

SALE 11/06/09 65011110 NEW YORK TIMES 2.10
48779 11/12/09 423157 ELECTRONIC BROKERAGE SYSTEM 10,000.00 8.152 50.00 81,465.90 -676.79

SALE 10/30/09 65163910 NEWMONT MINING 1.10
47942 11/04/09 423135 STIFEL NICOLAUS 1,000.00 42.785 30.00 42,753.90 1,786.06

SALE 11/06/09 65163910 NEWMONT MINING 2.52
47942 11/12/09 423157 WILLIAMS CAPITAL GROUP 2,000.00 48.997 20.00 97,971.48 16,035.80

SALE 11/10/09 65163910 NEWMONT MINING 2.59
47942 11/16/09 423165 ELECTRONIC BROKERAGE SYSTEM 2,000.00 50.200 10.00 100,387.41 18,451.73

SALE 11/16/09 65163910 NEWMONT MINING 1.34
47942 11/19/09 423182 ELECTRONIC BROKERAGE SYSTEM 1,000.00 51.910 5.00 51,903.66 10,935.82

SALE 11/17/09 65163910 NEWMONT MINING 1.33
47942 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 1,000.00 51.690 5.00 51,683.67 10,715.83

SALE 11/18/09 65163910 NEWMONT MINING 1.37
47942 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 1,000.00 53.187 5.00 53,180.63 12,212.79

SALE 11/20/09 65163910 NEWMONT MINING 1.35
47942 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 1,000.00 52.170 5.00 52,163.65 11,195.81

SALE 10/28/09 66680710 NORTHROP GRUMMA 10.42
47046 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 8,000.00 50.680 240.00 405,189.58 14,113.58



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 31
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 10/28/09 68389X10 ORACLE CORP 5.47
46204 11/02/09 423127 SOLEIL SECURITIES CORP. 10,000.00 21.253 300.00 212,227.53 17,273.21

SALE 11/17/09 68389X10 ORACLE CORP 1.17
46204 11/20/09 423186 MERRIMAN/OTC 2,000.00 22.640 20.00 45,258.83 6,267.97

SALE 11/20/09 68389X10 ORACLE CORP 1.15
46204 11/25/09 423204 MERRIMAN/OTC 2,000.00 22.260 20.00 44,498.85 5,507.99

SALE 11/23/09 68389X10 ORACLE CORP 1.17
46204 11/27/09 423209 MERRIMAN/OTC 2,000.00 22.620 20.00 45,218.83 6,227.97

SALE 11/23/09 71708110 PFIZER INC 4.79
48433 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 10,000.00 18.600 50.00 185,945.21 22,544.54

SALE 11/02/09 71817210 PHILIP MORRIS INTERNATIONAL 3.74
40646 11/05/09 423140 JP MORGAN 3,000.00 48.398 90.00 145,100.26 21,241.22

SALE 11/20/09 72925110 PLUM CREEK TIMBER CO INC 1.76
46288 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 34.210 10.00 68,408.24 -1,369.63

SALE 10/29/09 74271810 PROCTER & GAMBLE CO. 1.53
33680 11/03/09 423131 RAYMOND JAMES & ASSOCIATES, 1,000.00 59.391 30.00 59,359.47 702.72

SALE 10/29/09 74271810 PROCTER & GAMBLE CO. 1.55
33680 11/03/09 423131 STIFEL NICOLAUS 1,000.00 59.940 30.00 59,908.45 1,251.70

SALE 11/20/09 74271810 PROCTER & GAMBLE CO. 3.18
33680 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 61.678 10.00 123,343.62 6,030.12

SALE 11/10/09 74731Q10 PZENA INVESTMENT MGMT INC .42
46575 11/16/09 423165 ELECTRONIC BROKERAGE SYSTEM 2,000.00 8.020 10.00 16,029.58 3,439.44

SALE 11/23/09 75075340 RAILAMERICA INC 1.36
48836 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 4,000.00 13.207 20.00 52,804.64 -6,012.54

SALE 11/20/09 75190730 RAMTRON INTERNATIONAL CORP. .09
42765 11/25/09 423204 MERRIMAN/OTC 2,000.00 1.678 20.00 3,334.91 -1,787.81



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 32
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/23/09 75190730 RAMTRON INTERNATIONAL CORP. .11
42765 11/27/09 423209 MERRIMAN/OTC 2,000.00 2.004 20.00 3,986.89 -1,135.83

SALE 10/30/09 75876610 REGAL ENTERTAINMENT GROUP 3.23
47946 11/04/09 423135 STIFEL NICOLAUS 10,000.00 12.554 300.00 125,237.77 3,157.05

SALE 11/02/09 75876610 REGAL ENTERTAINMENT GROUP 3.23
47946 11/05/09 423140 JP MORGAN 10,000.00 12.557 300.00 125,261.77 3,181.04

SALE 11/03/09 75876610 REGAL ENTERTAINMENT GROUP 3.25
47946 11/06/09 423144 BUCKINGHAM RESEARCH GROUP I 10,000.00 12.646 300.00 126,154.75 4,074.02

SALE 11/03/09 75876610 REGAL ENTERTAINMENT GROUP 3.24
47946 11/06/09 423144 CITIGROUP/CITIBANK DOMESTIC 10,000.00 12.589 300.00 125,581.76 3,501.04

SALE 11/04/09 75876610 REGAL ENTERTAINMENT GROUP 3.30
47946 11/09/09 423148 CITIGROUP/CITIBANK DOMESTIC 10,000.00 12.816 300.00 127,854.70 5,773.97

SALE 11/04/09 75876610 REGAL ENTERTAINMENT GROUP 3.26
47946 11/09/09 423148 CITIGROUP/CITIBANK DOMESTIC 10,000.00 12.656 300.00 126,259.74 4,179.02
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 20,000.00 12.736 6.56 254,114.44 9,952.99
600.00


SALE 11/06/09 75876610 REGAL ENTERTAINMENT GROUP 3.24
47946 11/12/09 423157 ELECTRONIC BROKERAGE SYSTEM 10,000.00 12.602 50.00 125,969.76 3,889.04

SALE 11/09/09 75876610 REGAL ENTERTAINMENT GROUP 3.18
47946 11/13/09 423161 WILLIAMS CAPITAL GROUP 10,000.00 12.338 100.00 123,278.82 1,198.09

SALE 10/28/09 76011210 RENTECH INC. .66
39062 11/02/09 423127 INSTINET (DOMESTIC) 20,000.00 1.282 140.00 25,493.34 7,909.01

SALE 10/30/09 76011210 RENTECH INC. .68
39062 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 20,000.00 1.320 600.00 25,799.32 8,214.99



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 33
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/17/09 76011210 RENTECH INC. .65
39062 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 20,000.00 1.245 100.00 24,803.35 7,219.02

SALE 11/18/09 76011210 RENTECH INC. .33
39062 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 10,000.00 1.270 50.00 12,649.67 3,857.51

SALE 11/20/09 76011210 RENTECH INC. .33
39062 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 10,000.00 1.251 50.00 12,454.67 3,662.50

SALE 11/23/09 76011210 RENTECH INC. .33
39062 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 10,000.00 1.260 50.00 12,549.67 3,757.51

SALE 11/11/09 77937610 ROVI CORP 2.33
49211 11/16/09 423169 SUSQUEHANNA/OTC 3,000.00 30.219 30.00 90,624.97 7,378.28

SALE 11/20/09 77937610 ROVI CORP 1.54
49211 11/25/09 423204 MERRIMAN/OTC 2,000.00 29.938 20.00 59,854.46 4,356.67

SALE 10/28/09 83269640 JM SMUCKER CO/THE 2.69
44932 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 2,000.00 52.253 80.00 104,423.11 23,704.76

SALE 10/29/09 83269640 JM SMUCKER CO/THE 2.68
44932 11/03/09 423131 STIFEL NICOLAUS 2,000.00 52.128 60.00 104,193.92 23,475.57

SALE 10/30/09 83269640 JM SMUCKER CO/THE 2.71
44932 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 2,000.00 52.603 60.00 105,143.89 24,425.54

SALE 11/02/09 83269640 JM SMUCKER CO/THE 2.72
44932 11/05/09 423140 STIFEL NICOLAUS 2,000.00 52.724 60.00 105,385.88 24,667.53

SALE 11/17/09 83269640 JM SMUCKER CO/THE 1.39
44932 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 1,000.00 53.980 5.00 53,973.61 13,614.43

SALE 11/20/09 83269640 JM SMUCKER CO/THE 1.44
44932 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 1,000.00 55.966 5.00 55,959.56 15,600.38

SALE 11/23/09 83269640 JM SMUCKER CO/THE 1.51
44932 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 1,000.00 58.430 5.00 58,423.49 18,064.31



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 34
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/05/09 83546010 SONIC SOLUTIONS 1.64
42767 11/10/09 423153 MERRIMAN/OTC 10,000.00 6.354 100.00 63,433.36 14,645.09

SALE 11/10/09 83546010 SONIC SOLUTIONS 1.00
42767 11/16/09 423165 SUSQUEHANNA/OTC 5,000.00 7.746 50.00 38,680.00 14,285.86

SALE 11/12/09 83546010 SONIC SOLUTIONS 5.84
42767 11/17/09 423173 SUSQUEHANNA/OTC 25,000.00 9.075 250.00 226,621.66 104,650.98

SALE 11/03/09 85453210 STANLEY INC 1.50
48707 11/06/09 423144 CITIGROUP/CITIBANK DOMESTIC 2,000.00 29.020 60.00 57,977.50 5,503.41

SALE 11/04/09 85453210 STANLEY INC 1.50
48707 11/09/09 423148 CITIGROUP/CITIBANK DOMESTIC 2,000.00 29.143 60.00 58,224.50 5,750.41

SALE 11/04/09 86681020 SUN MICROSYSTEM 2.57
48955 11/09/09 423148 MERRIMAN/OTC 12,000.00 8.333 120.00 99,877.03 -3,565.25

SALE 11/05/09 86681020 SUN MICROSYSTEM 10.65
48955 11/10/09 423153 BUCKINGHAM RESEARCH GROUP I 50,000.00 8.287 1,500.00 412,819.35 -18,190.16

SALE 11/06/09 86681020 SUN MICROSYSTEM 4.18
48955 11/12/09 423157 LABRANCHE/0TC 20,000.00 8.140 200.00 162,587.82 -9,815.99

SALE 10/29/09 86816810 SUPERIOR INDUSTRIES INTL .72
47344 11/03/09 423131 STIFEL NICOLAUS 2,000.00 13.940 60.00 27,819.28 46.24

SALE 10/30/09 86816810 SUPERIOR INDUSTRIES INTL .73
47344 11/04/09 423135 RAYMOND JAMES & ASSOCIATES, 2,000.00 14.030 60.00 27,999.27 226.24

SALE 11/17/09 86816810 SUPERIOR INDUSTRIES INTL .78
47344 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 2,000.00 15.067 10.00 30,122.22 2,349.18

SALE 11/18/09 86816810 SUPERIOR INDUSTRIES INTL .78
47344 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 2,000.00 15.147 10.00 30,282.22 2,509.19

SALE 11/19/09 86816810 SUPERIOR INDUSTRIES INTL .82
47344 11/24/09 423198 ELECTRONIC BROKERAGE SYSTEM 2,000.00 15.760 10.00 31,509.18 3,736.14



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 35
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/23/09 86816810 SUPERIOR INDUSTRIES INTL .79
47344 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 2,000.00 15.303 10.00 30,595.21 2,822.18

SALE 11/17/09 87150310 SYMANTEC CORP 4.58
48936 11/20/09 423186 MERRIMAN/OTC 10,000.00 17.810 100.00 177,995.42 9,000.57

SALE 11/17/09 87150310 SYMANTEC CORP 4.55
48936 11/20/09 423186 MERRIMAN/OTC 10,000.00 17.670 100.00 176,597.45 7,602.60
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 20,000.00 17.740 9.13 354,592.87 16,603.17
200.00


SALE 11/20/09 87150310 SYMANTEC CORP 4.56
48936 11/25/09 423204 MERRIMAN/OTC 10,000.00 17.710 100.00 176,995.44 8,000.59

SALE 11/20/09 87150310 SYMANTEC CORP 4.61
48936 11/25/09 423204 MERRIMAN/OTC 10,000.00 17.923 100.00 179,127.39 10,132.54
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 20,000.00 17.817 9.17 356,122.83 18,133.13
200.00


SALE 11/03/09 87157D10 SYNAPTICS INCORPORATED 1.13
39378 11/06/09 423144 MERRIMAN/OTC 2,000.00 21.900 20.00 43,778.87 -7,688.97

SALE 11/23/09 87157D10 SYNAPTICS INCORPORATED 1.35
39378 11/27/09 423209 MERRIMAN/OTC 2,000.00 26.149 20.00 52,275.65 807.81

SALE 10/28/09 87405410 TAKE-TWO INTERACTIVE 3.09
48446 11/02/09 423127 SOLEIL SECURITIES CORP. 10,000.00 12.006 300.00 119,757.91 7,965.28

SALE 10/30/09 87405410 TAKE-TWO INTERACTIVE 2.92
48446 11/04/09 423135 CREDIT SUISSE SEC (AES) 10,000.00 11.354 100.00 113,439.08 1,646.45

SALE 11/18/09 87655330 TASTY BAKING CO. .16
38737 11/23/09 423192 MERRIMAN/OTC 1,000.00 6.194 10.00 6,183.54 -1,063.44



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 36
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/23/09 88731730 TIME WARNER INC 1.65
45489 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 2,000.00 32.100 10.00 64,188.35 12,870.71

SALE 11/23/09 88731730 TIME WARNER INC 1.66
45489 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 2,000.00 32.210 10.00 64,408.34 13,090.70
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 4,000.00 32.155 3.31 128,596.69 25,961.41
20.00


SALE 11/24/09 88731730 TIME WARNER INC 4.87
45489 11/30/09 423213 ELECTRONIC BROKERAGE SYSTEM 6,000.00 31.520 30.00 189,085.13 35,132.21

SALE 10/28/09 88870610 TIVO INC. .89
36147 11/02/09 423127 SOLEIL SECURITIES CORP. 3,000.00 11.416 90.00 34,156.21 12,456.80

SALE 10/30/09 88870610 TIVO INC. 1.13
36147 11/04/09 423135 CREDIT SUISSE SEC (AES) 4,000.00 10.969 40.00 43,836.07 14,903.53

SALE 11/24/09 88870610 TIVO INC. .57
36147 11/30/09 423213 ITG (CHANNEL) 2,000.00 11.025 20.00 22,029.43 7,563.16

SALE 11/16/09 90323610 URS CORP. 1.18
42955 11/19/09 423182 ELECTRONIC BROKERAGE SYSTEM 1,000.00 45.710 5.00 45,703.82 8,450.51

SALE 11/17/09 90323610 URS CORP. 2.30
42955 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 2,000.00 44.610 10.00 89,207.70 14,701.09

SALE 10/30/09 92165910 VANDA PHARMACEUTICALS INC 1.05
48838 11/04/09 423135 MERRIMAN/OTC 4,000.00 10.150 40.00 40,558.95 -8,150.37

SALE 10/28/09 92826C83 VISA INC-CLASS A SHARES 1.98
49000 11/02/09 423127 RAYMOND JAMES & ASSOCIATES, 1,000.00 76.985 30.00 76,953.02 8,222.42

SALE 11/17/09 93114210 WAL-MART STORES, INC. 2.75
40141 11/20/09 423186 ELECTRONIC BROKERAGE SYSTEM 2,000.00 53.426 10.00 106,838.25 5,593.49



S T A T E O F N E W J E R S E Y 4340
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

N.J. BEST - POOLED EQUITY FD (4340) -Cont. PAGE: 37
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/18/09 93114210 WAL-MART STORES, INC. 2.78
40141 11/23/09 423192 ELECTRONIC BROKERAGE SYSTEM 2,000.00 54.000 10.00 107,987.22 6,742.46

SALE 11/20/09 93114210 WAL-MART STORES, INC. 2.79
40141 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 2,000.00 54.190 10.00 108,367.21 7,122.45

SALE 11/02/09 96216610 WEYERHAEUSER CO .93
46167 11/05/09 423140 JP MORGAN 1,000.00 36.105 30.00 36,074.07 3,237.74

SALE 11/20/09 96216610 WEYERHAEUSER CO .99
46167 11/25/09 423204 ELECTRONIC BROKERAGE SYSTEM 1,000.00 38.440 5.00 38,434.01 5,597.68

SALE 11/23/09 96216610 WEYERHAEUSER CO 1.01
46167 11/27/09 423209 ELECTRONIC BROKERAGE SYSTEM 1,000.00 39.197 5.00 39,190.99 6,354.66

SALE 10/28/09 98074510 WOODWARD GOVERNOR CO 1.87
47833 11/02/09 423127 SOLEIL SECURITIES CORP. 3,000.00 24.138 90.00 72,320.93 11,448.82

SALE 11/10/09 98884U10 ZAGG INCORPORATED 1.77
47586 11/16/09 423165 SUSQUEHANNA/OTC 10,000.00 6.876 100.00 68,660.23 5,593.56
-------------- ---------- -------------- --------------
SUBTOTAL STOCK SALES: 1,148,600.00 605.41 23,501,183.86 2,244,873.21
15,827.00
-------------- ---------- -------------- --------------
TOTAL FUND SALES: 1,148,600.00 605.41 23,501,183.86 2,244,873.21
15,827.00

END OF REPORT FOR: N.J. BEST - POOLED EQUITY FD



S T A T E O F N E W J E R S E Y 4805
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

SUPPLEMENTAL ANNUITY COLLECT TR (4805) PAGE: 38
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

SALES OF STOCK AND OTHER EQUITIES
---------------------------------

SALE 11/04/09 80660510 SCHERING-PLOUGH CORP.
09222 11/05/09 423136 TENDERED 100,000.00 10.500 1,050,000.00 315,399.43
-------------- ---------- -------------- --------------
SUBTOTAL STOCK SALES: 100,000.00 1,050,000.00 315,399.43

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 100,000.00 1,050,000.00 315,399.43


END OF REPORT FOR: SUPPLEMENTAL ANNUITY COLLECT TR



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) PAGE: 39
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF FIXED INCOME SECURITIES
-----------------------------------

PUR 11/12/09 00279AGU ABBEY NATIONAL YANKEE CERT .1700 .170
49634 11/12/09 288260 ABBEY NATIONAL 12/14/09 70,000,000.00 100.00 70,000,000.00

PUR 11/02/09 00282CZ7 ABBOTT LABS DISC C P .0900 .090
49207 11/02/09 288217 BANK OF AMERICA SECURITIES 12/07/09 14,399,000.00 99.991 14,397,740.09

PUR 11/04/09 0556M4UM BNP PARIBAS YANKEE CERT DEP .1900 .190
49218 11/04/09 288231 BNP PARIBAS 12/04/09 50,000,000.00 100.00 50,000,000.00

PUR 11/06/09 0556M4UW BNP PARIBAS YANKEE CERT DEP .1900 .190
49576 11/06/09 288243 BNP PARIBAS 12/07/09 37,000,000.00 100.00 37,000,000.00

PUR 11/10/09 0556M4VC BNP PARIBAS YANKEE CERT DEP .1700 .170
49610 11/10/09 288254 BNP PARIBAS 12/01/09 33,000,000.00 100.00 33,000,000.00

PUR 11/13/09 0556M4VR BNP PARIBAS YANKEE CERT DEP .1800 .180
49657 11/13/09 288266 BNP PARIBAS 12/16/09 40,000,000.00 100.00 40,000,000.00

PUR 11/06/09 0556N0Y9 BNP PARIBAS FINANCE INC DIS .1200 .120
49568 11/06/09 288243 BNP PARIBAS 11/09/09 55,000,000.00 99.999 54,999,450.00

PUR 11/17/09 06366FMX BANK OF MONTREAL YANKEE C D .1500 .150
49703 11/17/09 288278 BMO/HARRIS TRUST & SAVINGS 12/18/09 20,000,000.00 100.00 20,000,000.00

PUR 11/18/09 06366FNB BANK OF MONTREAL YANKEE C D .1600 .160
49721 11/18/09 288284 BMO/HARRIS TRUST & SAVINGS 12/22/09 45,000,000.00 100.00 45,000,000.00

PUR 11/19/09 06366FNF BANK OF MONTREAL YANKEE C D .1500 .150
49741 11/19/09 288290 BMO/HARRIS TRUST & SAVINGS 12/23/09 45,000,000.00 100.00 45,000,000.00

PUR 11/20/09 06416PH4 BANK OF NOVA SCOTIA YANKEE .1400 .140
49749 11/20/09 288296 BANK OF NOVA SCOTIA 1/04/10 140,000,000.00 100.00 140,000,000.00

PUR 11/02/09 06538AFW BANK OF TOKYO MITSUBISHI YA .1875 .188
49203 11/02/09 288217 BANK OF TOKYO MITSUBUSHI 11/23/09 25,000,000.00 100.00 25,000,000.00



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 40
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 0660P0Y6 BANK OF AMERICA CORP DISC C .1200 .120
49243 11/05/09 288237 BANK OF AMERICA SECURITIES 11/06/09 30,000,000.00 100.00 29,999,900.01

PUR 11/24/09 0660P0YR BANK OF AMERICA CORP DISC C .1000 .101
49797 11/24/09 288308 BANK OF AMERICA 11/25/09 30,000,000.00 100.00 29,999,916.16

PUR 11/06/09 0660P0YW BANK OF AMERICA CORP DISC C .1700 .170
49574 11/06/09 288243 BANK OF AMERICA 11/30/09 38,000,000.00 99.989 37,995,693.35

PUR 11/10/09 0660P0Z1 BANK OF AMERICA CORP DISC C .1600 .160
49613 11/10/09 288254 BANK OF AMERICA SECURITIES 12/01/09 42,000,000.00 99.991 41,996,080.01

PUR 11/30/09 0660P0ZN BANK OF AMERICA CORP DISC C .1600 .160
49816 11/30/09 288317 BANK OF AMERICA 12/22/09 38,000,000.00 99.990 37,996,284.44

PUR 11/04/09 13170MAA CALYON YANKEE CERT DEP .1500 .150
49233 11/04/09 288231 CALYON NY 11/16/09 45,000,000.00 100.00 45,000,000.00

PUR 11/12/09 13170MAH CALYON YANKEE CERT DEP .1800 .180
49637 11/12/09 288260 CALYON NY 12/15/09 75,000,000.00 100.00 75,000,000.00

PUR 11/16/09 13170MAK CALYON YANKEE CERT DEP .1800 .180
49675 11/16/09 288272 CALYON NY 12/21/09 45,000,000.00 100.00 45,000,000.00

PUR 11/12/09 13170RYD CALYON DISC C P .1300 .130
49640 11/12/09 288260 CALYON NY 11/13/09 20,000,000.00 100.00 19,999,927.78

PUR 11/20/09 13170RYP CALYON DISC C P .1300 .130
49751 11/20/09 288296 CALYON NY 11/23/09 40,000,000.00 99.999 39,999,566.67

PUR 11/23/09 13170RYQ CALYON NA INC DISC C P .1300 .130
49777 11/23/09 288302 CALYON NY 11/24/09 25,000,000.00 100.00 24,999,909.72

PUR 11/17/09 13443CYR CAMPBELL SOUP CO DISC C P .0800 .080
49704 11/17/09 288278 JP MORGAN 11/25/09 22,844,000.00 99.998 22,843,593.88

PUR 11/23/09 13443CZ1 CAMPBELL SOUP CO DISC C P .0700 .070
49785 11/23/09 288302 BANK OF AMERICA SECURITIES 12/01/09 24,000,000.00 99.998 23,999,626.66



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 41
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/17/09 13606XRY CANADIAN IMPERIAL BK OF COM .1600 .160
49701 11/17/09 288278 CANADIAN IMPERIAL BANK 12/16/09 40,000,000.00 100.00 40,000,000.00

PUR 11/04/09 14178LY5 CARGILL INC DISC C P .1200 .120
49235 11/04/09 288231 CREDIT SUISSE SEC (USA) LLC 11/05/09 13,743,000.00 100.00 13,742,954.19

PUR 11/18/09 14178LYK CARGILL INC DISC C P .1100 .110
49726 11/18/09 288284 CREDIT SUISSE SEC (USA) LLC 11/19/09 32,070,000.00 100.00 32,069,901.99

PUR 11/18/09 14178LYK CARGILL INC DISC C P .1200 .120
49727 11/18/09 288284 JP MORGAN 11/19/09 12,554,000.00 100.00 12,553,958.16

PUR 11/19/09 14178LYP CARGILL INC DISC C P .1000 .100
49743 11/19/09 288290 BANK OF AMERICA SECURITIES 11/23/09 15,000,000.00 99.999 14,999,833.34

PUR 11/19/09 14178LYP CARGILL INC DISC C P .1000 .100
49744 11/19/09 288290 JP MORGAN 11/23/09 5,284,000.00 99.999 5,283,941.29

PUR 11/20/09 14178LYP CARGILL INC DISC C P .1100 .110
49755 11/20/09 288296 CITIGROUP GBL MKT(FMLY SALO 11/23/09 30,000,000.00 99.999 29,999,724.99

PUR 11/23/09 14178LYQ CARGILL INC DISC C P .1000 .100
49787 11/23/09 288302 JP MORGAN 11/24/09 14,537,000.00 100.00 14,536,959.62

PUR 11/17/09 16677EQ2 CHEVRON FUNDING CORP IBN .1000 .100
49697 11/17/09 288278 CHEVRON USA INC 12/02/09 30,000,000.00 100.00 30,000,000.00

PUR 11/18/09 16677EQ3 CHEVRON FUNDING CORP IBN .0800 .080
49716 11/18/09 288284 CHEVRON USA INC 12/01/09 50,000,000.00 100.00 50,000,000.00

PUR 11/18/09 16677EQ4 CHEVRON FUNDING CORP IBN .0800 .080
49717 11/18/09 288284 CHEVRON USA INC 12/02/09 50,000,000.00 100.00 50,000,000.00

PUR 11/18/09 16677EQ5 CHEVRON FUNDING CORP IBN .1000 .100
49713 11/18/09 288284 CHEVRON USA INC 12/09/09 30,000,000.00 100.00 30,000,000.00

PUR 11/19/09 16677EQ7 CHEVRON FUNDING CORP IBN .0900 .090
49732 11/19/09 288290 CHEVRON USA INC 12/09/09 20,000,000.00 100.00 20,000,000.00



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 42
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/20/09 16677EQ9 CHEVRON FUNDING CORP IBN .0900 .090
49748 11/20/09 288296 CHEVRON USA INC 12/07/09 30,000,000.00 100.00 30,000,000.00

PUR 11/24/09 19416EYR COLGATE-PALMOLIVE CO DISC C .0800 .080
49798 11/24/09 288308 CITIGROUP GBL MKT(FMLY SALO 11/25/09 7,900,000.00 100.00 7,899,982.45

PUR 11/09/09 20259XVQ COMMERZBANK YANKEE CERT DEP .2000 .200
49600 11/09/09 288249 TRADITION AISEL SECURITIES 12/10/09 55,000,000.00 100.00 55,000,000.00

PUR 11/10/09 20259XVS COMMERZBANK YANKEE CERT DEP .2000 .200
49611 11/10/09 288254 BGC FINANCIAL 12/10/09 25,000,000.00 100.00 25,000,000.00

PUR 11/05/09 2082M2Y6 CONOCO PHILLIPS DISC C P .1100 .110
49246 11/05/09 288237 BANK OF AMERICA SECURITIES 11/06/09 10,000,000.00 100.00 9,999,969.44

PUR 11/05/09 2082M2Y6 CONOCO PHILLIPS DISC C P .1100 .110
49247 11/05/09 288237 BANK OF AMERICA SECURITIES 11/06/09 7,937,000.00 100.00 7,936,975.74

PUR 11/05/09 2082M2Y6 CONOCO PHILLIPS DISC C P .1100 .110
49248 11/05/09 288237 JP MORGAN 11/06/09 39,063,000.00 100.00 39,062,880.62

PUR 11/18/09 22536FXN CREDIT INDUSTRIEL COMM NY Y .1700 .170
49722 11/18/09 288284 CREDIT INDUSTRIAL&COMMERCIA 12/16/09 50,000,000.00 100.00 50,000,000.00

PUR 11/19/09 22536FXP CREDIT INDUSTRIEL COMM NY Y .1600 .160
49742 11/19/09 288290 CREDIT INDUSTRIAL&COMMERCIA 12/23/09 60,000,000.00 100.00 60,000,000.00

PUR 11/16/09 2363F6ZJ DANSKE CORP DISC C P .1700 .170
49672 11/16/09 288272 JP MORGAN 12/18/09 50,000,000.00 99.985 49,992,444.45

PUR 11/06/09 29101AYA EMERSON ELECTRIC CO DISC C .1200 .120
49577 11/06/09 288243 JP MORGAN 11/10/09 25,000,000.00 99.999 24,999,666.68

PUR 11/06/09 29101AYA EMERSON ELECTRIC CO DISC C .1200 .120
49579 11/06/09 288243 JP MORGAN 11/10/09 24,631,000.00 99.999 24,630,671.59

PUR 11/23/09 29101AZ8 EMERSON ELECTRIC CO DISC C .0900 .090
49778 11/23/09 288302 BANK OF AMERICA SECURITIES 12/08/09 30,000,000.00 99.996 29,998,875.00



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 43
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 30257AYG FPL GROUP CAP DISC C P .1100 .110
49205 11/02/09 288217 BANK OF AMERICA SECURITIES 11/16/09 15,000,000.00 99.996 14,999,358.33

PUR 11/13/09 30257AYP FPL GROUP CAP DISC C P .1000 .100
49656 11/13/09 288266 BANK OF AMERICA SECURITIES 11/23/09 16,800,000.00 99.997 16,799,533.33

PUR 11/16/09 30257AZ1 FPL GROUP CAP DISC C P .1000 .100
49683 11/16/09 288272 BANK OF AMERICA SECURITIES 12/01/09 31,000,000.00 99.996 30,998,708.32

PUR 11/23/09 30257AZ8 FPL GROUP CAP DISC C P .1000 .100
49781 11/23/09 288302 BGC FINANCIAL 12/08/09 10,000,000.00 99.996 9,999,583.33

PUR 11/20/09 313385TG FEDL HOME LOAN BK CONS DISC .0620 .062
49760 11/20/09 288296 RBC CAPITAL (DOMESTIC) 2/19/10 50,000,000.00 99.984 49,992,163.90

PUR 11/19/09 313397TD FHLMC DISCOUNT NOTES .0650 .065
49735 11/19/09 288290 HSBC SECURITIES INC. (DOMES 2/16/10 100,000,000.00 99.984 99,983,930.60

PUR 11/19/09 313397TD FHLMC DISCOUNT NOTES .0650 .065
49737 11/19/09 288290 HSBC SECURITIES INC. (DOMES 2/16/10 32,000,000.00 99.984 31,994,857.79

PUR 11/09/09 313589RZ FEDERAL NATL MTG ASSN DISC .0900 .090
49603 11/09/09 288249 MORGAN STANLEY 1/19/10 34,506,000.00 99.982 34,499,875.18

PUR 11/12/09 34108AYH FLORIDA POWER & LIGHT CORP .1000 .100
49635 11/12/09 288260 BANK OF AMERICA SECURITIES 11/17/09 33,600,000.00 99.999 33,599,533.33

PUR 11/04/09 3696E2WT GENERAL ELECTRIC CO IBN .1500 .150
49219 11/04/09 288231 GENERAL ELECTRIC COMPANY 11/23/09 60,000,000.00 100.00 60,000,000.00

PUR 11/04/09 3696E2WU GENERAL ELECTRIC CO IBN .1400 .140
49221 11/04/09 288231 GENERAL ELECTRIC COMPANY 11/12/09 80,000,000.00 100.00 80,000,000.00

PUR 11/05/09 3696E2WV GENERAL ELECTRIC CO IBN .0900 .090
49241 11/05/09 288237 GENERAL ELECTRIC COMPANY 11/06/09 60,000,000.00 100.00 60,000,000.00

PUR 11/12/09 3696E2XB GENERAL ELECTRIC CO IBN .1600 .160
49630 11/12/09 288260 GENERAL ELECTRIC COMPANY 12/01/09 50,000,000.00 100.00 50,000,000.00



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 44
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/12/09 3696E2XC GENERAL ELECTRIC CO IBN .1600 .160
49629 11/12/09 288260 GENERAL ELECTRIC COMPANY 12/02/09 30,000,000.00 100.00 30,000,000.00

PUR 11/23/09 3696E2XY GENERAL ELECTRIC CO IBN .1400 .140
49780 11/23/09 288302 GENERAL ELECTRIC COMPANY 12/01/09 60,000,000.00 100.00 60,000,000.00

PUR 11/05/09 4611K0Y9 INTESA FUNDING LLC DISC C P .1100 .110
49242 11/05/09 288237 BANK OF AMERICA SECURITIES 11/09/09 28,000,000.00 99.999 27,999,657.78

PUR 11/16/09 4611K0YH INTESA FUNDING LLC DISC C P .1100 .110
49688 11/16/09 288272 MORGAN STANLEY 11/17/09 10,142,000.00 100.00 10,141,969.01

PUR 11/16/09 4611K0YH INTESA FUNDING LLC DISC C P .1100 .110
49689 11/16/09 288272 MORGAN STANLEY 11/17/09 2,067,000.00 100.00 2,066,993.68

PUR 11/24/09 4611K0YR INTESA FUNDING LLC DISC C P .1200 .120
49796 11/24/09 288302 SAN PAOLO IMI 11/25/09 40,000,000.00 100.00 39,999,866.67

PUR 11/10/09 4611K0Z1 INTESA FUNDING LLC DISC C P .1600 .160
49616 11/10/09 288254 SAN PAOLO IMI 12/01/09 28,000,000.00 99.991 27,997,386.67

PUR 11/16/09 4611K0Z1 INTESA FUNDING INC DISC C P .1300 .130
49684 11/16/09 288272 JP MORGAN 12/01/09 10,000,000.00 99.995 9,999,458.33

PUR 11/16/09 4611K0Z8 INTESA FUNDING LLC DISC C P .1300 .130
49669 11/16/09 288272 BANK OF AMERICA SECURITIES 12/08/09 100,000,000.00 99.992 99,992,055.60

PUR 11/17/09 4662J0Z3 JP MORGAN CHASE & CO DISC C .1000 .100
49707 11/17/09 288278 JP MORGAN CHASE 12/03/09 13,903,000.00 99.996 13,902,382.10

PUR 11/19/09 4662J0ZA JP MORGAN CHASE & CO DISC C .1000 .100
49740 11/19/09 288290 JP MORGAN CHASE 12/10/09 13,000,000.00 99.994 12,999,241.67

PUR 11/17/09 4823T0MX KBC YANKEE CERT OF DEP .1500 .150
49706 11/17/09 288278 BGC FINANCIAL 12/15/09 57,156,000.00 100.00 57,156,000.00

PUR 11/05/09 63253LFM NATIONAL AUSTRALIA FUND DE .1000 .100
49240 11/05/09 288237 NATL AUSTRALIA FUNDING DELA 11/06/09 17,000,000.00 100.00 17,000,000.00



S T A T E O F N E W J E R S E Y 5050
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 45
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 63253LFM NATIONAL AUSTRALIA FUND DE .1000 .100
49249 11/05/09 288237 NATL AUSTRALIA FUNDING DELA 11/06/09 53,000,000.00 100.00 53,000,000.00

PUR 11/06/09 63253LFN NATIONAL AUSTRALIA FUND DE .1000 .100
49566 11/06/09 288243 NATL AUSTRALIA FUNDING DELA 11/09/09 70,000,000.00 100.00 70,000,000.00

PUR 11/24/09 63253LFP NATIONAL AUSTRALIA FUND DE .1000 .100
49799 11/24/09 288308 NATL AUSTRALIA FUNDING DELA 11/25/09 19,986,000.00 100.00 19,986,000.00

PUR 11/30/09 63253LFQ NATIONAL AUSTRALIA FUND DE .1200 .120
49822 11/30/09 288317 NATIONAL AUSTRALIA CAPITAL 12/01/09 8,329,000.00 100.00 8,329,000.00

PUR 11/04/09 6555P0Z4 NORDEA N.A. INC DISC C P .1600 .160
49220 11/04/09 288231 BGC FINANCIAL 12/04/09 90,000,000.00 99.987 89,988,000.00

PUR 11/10/09 6555P0ZB NORDEA N.A. INC DISC C P .1500 .150
49617 11/10/09 288254 MESIROW FINANCIAL, INC 12/11/09 47,000,000.00 99.987 46,993,929.17

PUR 11/12/09 6555P0ZE NORDEA N.A. INC DISC C P .1600 .160
49631 11/12/09 288260 BGC FINANCIAL 12/14/09 43,000,000.00 99.986 42,993,884.44

PUR 11/19/09 69830JZU PANASONIC FINANCE INC DISC .2100 .210
49733 11/19/09 288290 CREDIT SUISSE SEC (USA) LLC 12/28/09 28,000,000.00 99.977 27,993,630.00

PUR 11/23/09 74800KA7 QUEBEC PROVINCE DISC C P .1000 .100
49786 11/23/09 288302 MESIROW FINANCIAL, INC 1/07/10 36,000,000.00 99.988 35,995,500.00

PUR 11/05/09 83365RY6 SOCIETE GENERALE N.A. INC D .1400 .140
49244 11/05/09 288237 BANK OF AMERICA SECURITIES 11/06/09 50,000,000.00 100.00 49,999,805.55

PUR 11/02/09 83365RY9 SOCIETE GENERALE N.A. INC D .1500 .150
49201 11/02/09 288217 SOCIETE GENERALE INTERNATIO 11/09/09 75,000,000.00 99.997 74,997,812.50

PUR 11/06/09 83365RY9 SOCIETE GENERALE N.A. INC D .1400 .140
49567 11/06/09 288243 BANK OF AMERICA SECURITIES 11/09/09 50,000,000.00 99.999 49,999,416.65

PUR 11/09/09 83365RYA SOCIETE GENERALE N.A. INC D .1500 .150
49601 11/09/09 288249 JP MORGAN 11/10/09 10,000,000.00 100.00 9,999,958.33



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/09/09 83365RYA SOCIETE GENERALE N.A. INC D .1500 .150
49602 11/09/09 288249 JP MORGAN 11/10/09 7,352,000.00 100.00 7,351,969.36

PUR 11/13/09 83365RYG SOCIETE GENERALE N.A. INC D .1300 .130
49662 11/13/09 288266 JP MORGAN 11/16/09 25,000,000.00 99.999 24,999,729.17

PUR 11/19/09 83365RYL SOCIETE GENERALE N.A. INC D .1400 .140
49738 11/19/09 288290 SOCIETE GENERALE INTERNATIO 11/20/09 50,000,000.00 100.00 49,999,805.56

PUR 11/20/09 83365RYP SOCIETE GENERALE N.A. INC D .1300 .130
49747 11/20/09 288296 SOCIETE GENERALE INTERNATIO 11/23/09 50,000,000.00 99.999 49,999,458.33

PUR 11/23/09 83365RYQ SOCIETE GENERALE N.A. INC D .1400 .140
49776 11/23/09 288302 BANK OF AMERICA SECURITIES 11/24/09 50,000,000.00 100.00 49,999,805.55

PUR 11/24/09 83365RYR SOCIETE GENERALE N.A. INC D .1400 .140
49795 11/24/09 288308 BANK OF AMERICA SECURITIES 11/25/09 50,000,000.00 100.00 49,999,805.55

PUR 11/09/09 83365RYW SOCIETE GENERALE N.A. INC D .1900 .190
49587 11/09/09 288249 BANK OF AMERICA SECURITIES 11/30/09 75,000,000.00 99.989 74,991,687.53

PUR 11/30/09 83365RZ1 SOCIETE GENERALE N.A. INC D .1500 .150
49812 11/30/09 288317 SOCIETE GENERALE INTERNATIO 12/01/09 75,000,000.00 100.00 74,999,687.50

PUR 11/16/09 83365RZM SOCIETE GENERALE N.A. INC D .1850 .185
49674 11/16/09 288272 SOCIETE GENERALE INTERNATIO 12/21/09 55,000,000.00 99.982 54,990,107.63

PUR 11/30/09 8336W0US SOCIETE GENERALE YANKEE CTF .1700 .170
49813 11/30/09 288317 SOCIETE GENERALE INTERNATIO 12/08/09 50,000,000.00 100.00 50,000,000.00

PUR 11/02/09 89233GYP TOYOTA MOTOR CREDIT DISC C .1500 .150
49202 11/02/09 288217 TOYOTA MOTOR CR CORP. 11/23/09 75,000,000.00 99.991 74,993,437.50

PUR 11/02/09 89233GZ2 TOYOTA MOTOR CREDIT DISC C .1600 .160
49206 11/02/09 288217 TOYOTA MOTOR CR CORP. 12/02/09 45,000,000.00 99.987 44,994,000.00

PUR 11/30/09 89233GZ8 TOYOTA MOTOR CREDIT DISC C .1300 .130
49814 11/30/09 288317 TOYOTA MOTOR CR CORP. 12/08/09 45,000,000.00 99.997 44,998,700.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 47
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/30/09 89233GZ8 TOYOTA MOTOR CREDIT DISC C .1300 .130
49815 11/30/09 288317 TOYOTA MOTOR CR CORP. 12/08/09 30,000,000.00 99.997 29,999,133.33

PUR 11/19/09 90467AYW UNICREDITO DE INC. DISC C P .1900 .190
49734 11/19/09 288290 BGC FINANCIAL 11/30/09 80,000,000.00 99.994 79,995,355.55

PUR 11/30/09 90467AZV UNICREDITO DE INC. DISC C P .2300 .230
49817 11/30/09 288317 BGC FINANCIAL 12/29/09 80,000,000.00 99.981 79,985,177.78

PUR 11/05/09 90477DY6 UNILEVER CAPITAL CORP DISC .0800 .080
49255 11/05/09 288237 JP MORGAN 11/06/09 3,382,000.00 100.00 3,381,992.49

PUR 11/16/09 912795U3 U S TREASURY BILLS .1140 .114
49673 11/16/09 288272 CITIGROUP GBL MKT(FMLY SALO 4/08/10 50,000,000.00 99.955 49,977,358.34

PUR 11/20/09 912795U4 U.S. TREASURY BILLS .1070 .107
49757 11/20/09 288296 GOLDMAN SACHS & COMPANY 5/06/10 100,000,000.00 99.950 99,950,363.90

PUR 11/20/09 912795U8 U.S. TREASURY BILLS .1770 .177
49758 11/20/09 288296 BARCLAYS CAPITAL INC 8/26/10 43,000,000.00 99.863 42,941,014.75

PUR 11/20/09 912795U8 U.S. TREASURY BILLS .1770 .177
49759 11/20/09 288296 BARCLAYS CAPITAL INC 8/26/10 34,512,000.00 99.863 34,464,658.16

PUR 11/16/09 912828HU U.S. TREASURY NOTES 1.7500 .105
49677 11/16/09 288272 JP MORGAN 3/31/10 53,500,000.00 100.61 53,826,194.85

PUR 11/12/09 91302CYL UNITED TECHNOLOGIES CORP DC .1000 .100
49636 11/12/09 288260 BANK OF AMERICA SECURITIES 11/20/09 18,400,000.00 99.998 18,399,591.12

PUR 11/20/09 93114EZ1 WAL-MART STORES INC DISC C .0700 .070
49756 11/20/09 288296 CITIGROUP GBL MKT(FMLY SALO 12/01/09 10,000,000.00 99.998 9,999,786.11

PUR 11/12/09 93114EZ8 WAL-MART STORES INC DISC C .0900 .090
49641 11/12/09 288260 CREDIT SUISSE SEC (USA) LLC 12/08/09 3,933,000.00 99.994 3,932,744.36

PUR 11/17/09 93114EZ9 WAL-MART STORES INC DISC C .0800 .080
49705 11/17/09 288278 CREDIT SUISSE SEC (USA) LLC 12/09/09 25,000,000.00 99.995 24,998,777.78



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

CASH MANAGEMENT FD (5050) -Cont. PAGE: 48
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/19/09 93114EZ9 WAL-MART STORES INC DISC C .0800 .080
49739 11/19/09 288290 CITIGROUP GBL MKT(FMLY SALO 12/09/09 17,500,000.00 99.996 17,499,222.23

PUR 11/20/09 93114EZG WAL-MART STORES INC DISC C .0900 .090
49750 11/20/09 288296 BGC FINANCIAL 12/16/09 90,000,000.00 99.994 89,994,150.00

PUR 11/10/09 9612C0ZA WESTPAC BANKING CORP DISC C .1500 .150
49618 11/10/09 288254 JP MORGAN 12/10/09 5,090,000.00 99.988 5,089,363.75

PUR 11/13/09 9612C0ZA WESTPAC BANKING CORP DISC C .1500 .150
49658 11/13/09 288266 JP MORGAN 12/10/09 53,200,000.00 99.989 53,194,015.00

PUR 11/13/09 9612C0ZA WESTPAC BANKING CORP DISC C .1500 .150
49664 11/13/09 288266 JP MORGAN 12/10/09 14,473,000.00 99.989 14,471,371.79
-------------- ---------- -------------- --------------
SUBTOTAL FIXED PURCHASES: 4733793000.00 4733754385.55

-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 4733793000.00 4733754385.55

SALES OF FIXED INCOME SECURITIES
--------------------------------

SALE 11/25/09 912795R8 U.S. TREASURY BILLS .2745 .275
47793 11/25/09 288312 JP MORGAN 1/14/10 30,000,000.00 100.00 29,999,979.17 11,416.67

SALE 11/27/09 912795R8 U.S. TREASURY BILLS .2745 .275
47793 11/30/09 288317 HSBC (DOMESTIC) 1/14/10 10,000,000.00 100.00 10,000,087.50 3,518.75

SALE 11/25/09 912795S7 U.S. TREASURY BILLS .0545 .055
49036 11/25/09 288312 JP MORGAN 1/28/10 70,000,000.00 100.00 69,999,937.78 6,720.00

SALE 11/23/09 912795UT U.S. TREASURY BILLS .4445 .446
47788 11/23/09 288302 BARCLAYS CAPITAL INC 6/10/10 1,001,000.00 99.925 1,000,250.24 1,709.79
-------------- ---------- -------------- --------------
SUBTOTAL FIXED SALES: 111,001,000.00 111,000,254.69 23,365.21

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 111,001,000.00 111,000,254.69 23,365.21


END OF REPORT FOR: CASH MANAGEMENT FD



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) PAGE: 49
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF STOCK AND OTHER EQUITIES
------------------------------------

PUR 11/11/09 01736110 ALLEGHENY ENERGY, INC.
06156 11/16/09 423166 GRISWOLD COMPANY 100,000.00 22.830 1,000.00 2,284,040.00

PUR 11/23/09 02209S10 ALTRIA GROUP INC.
24276 11/27/09 423206 GRISWOLD COMPANY 130,000.00 19.171 1,300.00 2,493,491.00

PUR 11/23/09 02209S10 ALTRIA GROUP INC.
24276 11/27/09 423206 PRINCETON SECURITIES GROUP 130,000.00 19.169 1,300.00 2,493,257.00

PUR 11/24/09 02209S10 ALTRIA GROUP INC.
24276 11/30/09 423210 CASTLE OAK SECURITIES 100,000.00 19.388 1,000.00 1,939,780.00

PUR 11/24/09 02209S10 ALTRIA GROUP INC.
24276 11/30/09 423210 MURIEL SEIBERT & CO 100,000.00 19.392 1,000.00 1,940,240.00

PUR 11/24/09 02209S10 ALTRIA GROUP INC.
24276 11/30/09 423210 STURDIVANT/EXECUTION 60,000.00 19.393 600.00 1,164,162.00

PUR 11/13/09 02385010 AMERICAN APPAREL INC
45496 11/18/09 423175 GRISWOLD COMPANY 100,000.00 2.853 1,000.00 286,290.00

PUR 11/17/09 03042010 AMERICAN WATER WORKS CO INC
40887 11/23/09 423187 BOENNING & SCATTERGOOD 25,000.00 21.630 540,750.00

PUR 11/17/09 03042010 AMERICAN WATER WORKS CO INC
40887 11/23/09 423187 CREDIT SUISSE SEC (USA) LLC 40,000.00 21.630 865,200.00

PUR 11/17/09 03042010 AMERICAN WATER WORKS CO INC
40887 11/23/09 423187 JANNEY MONTGOMERY SCOTT 25,000.00 21.630 540,750.00

PUR 11/17/09 03042010 AMERICAN WATER WORKS CO INC
40887 11/23/09 423187 MERRILL LYNCH (RESEARCH) 50,000.00 21.630 1,081,500.00

PUR 11/17/09 03042010 AMERICAN WATER WORKS CO INC
40887 11/23/09 423187 MORGAN STANLEY 50,000.00 21.630 1,081,500.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 50
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 10/28/09 03076C10 AMERIPRISE FINANCIAL INC
32042 11/02/09 423124 LEERINK SWANN LLC 50,000.00 36.047 2,000.00 1,804,355.00

PUR 11/23/09 03265410 ANALOG DEVICES, INC.
15593 11/27/09 423206 BMO CAPITAL MARKETS/EXECUTI 75,000.00 27.833 750.00 2,088,217.50

PUR 11/06/09 05874B10 BALLY TECHNOLOGIES, INC.
42543 11/12/09 423154 MAGNA SECURITIES CORP 18,000.00 42.986 180.00 773,924.40

PUR 11/03/09 06846N10 BILL BARRETT CORP.
40495 11/06/09 423141 COWEN AND CO., LLC 100,000.00 30.664 4,000.00 3,070,390.00

PUR 11/06/09 10112110 BOSTON PROPERTIES, INC.
38209 11/12/09 423154 MAGNA SECURITIES CORP 15,000.00 60.709 150.00 910,789.50

PUR 11/24/09 11776U30 BSQUARE CORP
47459 11/30/09 423210 LABRANCHE/0TC 10,000.00 2.230 100.00 22,404.00

PUR 11/06/09 12665010 CVS CORP
07705 11/12/09 423154 BMO CAPITAL MARKETS/EXECUTI 28,487.00 29.500 284.87 840,651.37

PUR 11/06/09 12665010 CVS CORP
07705 11/12/09 423154 GRISWOLD COMPANY 95,200.00 29.480 952.00 2,807,400.40

PUR 11/06/09 12665010 CVS CORP
07705 11/12/09 423154 MAGNA SECURITIES CORP 126,606.00 29.420 1,266.06 3,726,001.92

PUR 11/06/09 12665010 CVS CORP
07705 11/12/09 423154 MERIDIAN EQUITY PARTNERS 94,953.00 29.491 949.53 2,801,236.94

PUR 11/06/09 12665010 CVS CORP
07705 11/12/09 423154 WILLIAMS CAPITAL GROUP 94,954.00 29.488 949.54 2,800,943.60

PUR 11/12/09 12665010 CVS CORP
07705 11/17/09 423170 GRISWOLD COMPANY 44,800.00 29.498 448.00 1,321,953.92

PUR 11/24/09 14343640 CARMIKE CINEMAS, INC.
36872 11/30/09 423210 LABRANCHE/0TC 20,000.00 6.100 200.00 122,196.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 51
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/13/09 14365830 CARNIVAL CORP
49668 11/18/09 423175 WILLIAMS CAPITAL GROUP 50,000.00 32.184 500.00 1,609,685.00

PUR 11/02/09 16113310 CHARMING SHOPES
45492 11/05/09 423137 MERRIMAN/OTC 20,000.00 4.521 200.00 90,612.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 BMO CAPITAL MARKETS 2,520.00 15.000 37,800.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 CALYON SECURITIES(USA) INC. 5,600.00 15.000 84,000.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 CAPITAL ONE BANK (SECONDARY 1,282.00 15.000 19,230.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 CITIGROUP/CITIBANK DOMESTIC 2,520.00 15.000 37,800.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 CREDIT SUISSE SEC (USA) LLC 46,962.00 15.000 704,430.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 ING /IER 2,520.00 15.000 37,800.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 JP MORGAN 5,600.00 15.000 84,000.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 MORGAN STANLEY 46,962.00 15.000 704,430.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 NATIXIS SECURITIES N. AMER. 2,520.00 15.000 37,800.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 PNC CAPITAL MARKETS 2,520.00 15.000 37,800.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 RAYMOND JAMES & ASSOCIATES, 2,520.00 15.000 37,800.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 52
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 RBC CAPITAL (DOMESTIC) 34,154.00 15.000 512,310.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 SCOTIA CAPITAL MARKETS (DOM 5,600.00 15.000 84,000.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 SG COWEN & CO. 5,600.00 15.000 84,000.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 SUN TRUST BANK INC 2,520.00 15.000 37,800.00

PUR 11/19/09 18911Q10 CLOUD PEAK ENERGY
49767 11/25/09 423200 WACHOVIA SECURITIES, INC. 5,600.00 15.000 84,000.00

PUR 10/30/09 19238U10 COGDELL SPENCER INC.
40172 11/04/09 423132 STIFEL NICOLAUS 20,000.00 4.834 800.00 97,472.00

PUR 11/23/09 21935010 CORNING INC.
23978 11/27/09 423206 WILLIAMS CAPITAL GROUP 50,000.00 16.754 500.00 838,185.00

PUR 11/09/09 23257210 CYMER, INC.
16861 11/13/09 423158 LABRANCHE/0TC 15,000.00 36.079 150.00 541,341.00

PUR 11/10/09 23257210 CYMER, INC.
16861 11/16/09 423162 LABRANCHE/0TC 30,000.00 35.887 300.00 1,076,910.00

PUR 11/17/09 25468710 WALT DISNEY CO. (THE)
15735 11/20/09 423183 GRISWOLD COMPANY 100,000.00 30.864 1,000.00 3,087,360.00

PUR 11/17/09 25468710 WALT DISNEY CO. (THE)
15735 11/20/09 423183 ICAP CORPORATES LLC 100,000.00 30.872 1,000.00 3,088,170.00

PUR 11/24/09 25470M10 DISH NETWORKS
49806 11/30/09 423210 LABRANCHE/0TC 150,000.00 20.783 1,500.00 3,119,010.00

PUR 11/24/09 25470M10 DISH NETWORKS
49806 11/30/09 423210 MAGNA SECURITIES CORP 150,000.00 20.808 1,500.00 3,122,745.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/24/09 25470M10 DISH NETWORKS
49806 11/30/09 423210 MERRIMAN/OTC 200,000.00 20.713 2,000.00 4,144,580.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 BARCLAYS CAPITAL (DOMESTIC) 1,250.00 21.000 26,250.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 CITIGROUP/CITIBANK DOMESTIC 5,500.00 21.000 115,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 DEUTSCHE BANK AG (DOMESTIC) 500.00 21.000 10,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 GOLDMAN SACHS & COMPANY 5,500.00 21.000 115,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 HSBC SECURITIES INC. 500.00 21.000 10,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 JP MORGAN 2,500.00 21.000 52,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 KOLBERG KRAVIS ROBERTS & CO 5,500.00 21.000 115,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 MERRILL LYNCH (RESEARCH) 2,500.00 21.000 52,500.00

PUR 11/12/09 25667710 DOLLAR GENERAL
49663 11/18/09 423174 WACHOVIA SECURITIES, INC. 1,250.00 21.000 26,250.00

PUR 10/30/09 29268T10 ENERGY FOCUS, INC.
37248 11/02/09 423038 TENDERED 360,000.00 .750 270,000.00

PUR 11/16/09 34484910 FOOT LOCKER INC
48395 11/19/09 423179 BLAYLOCK ROBERT VAN LLC 75,000.00 11.044 750.00 829,012.50

PUR 11/23/09 34484910 FOOT LOCKER INC
48395 11/27/09 423206 BMO CAPITAL MARKETS/EXECUTI 25,000.00 10.142 250.00 253,795.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 54
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/24/09 34484910 FOOT LOCKER INC
48395 11/30/09 423210 BMO CAPITAL MARKETS/EXECUTI 20,000.00 9.875 200.00 197,696.00

PUR 11/12/09 36476010 GAP INC. (THE)
45204 11/17/09 423170 BMO CAPITAL MARKETS/EXECUTI 25,000.00 22.290 250.00 557,490.00

PUR 10/30/09 40377710 GYMBOREE CORP
48455 11/04/09 423132 BUCKINGHAM RESEARCH GROUP I 10,000.00 44.374 300.00 444,043.00

PUR 11/18/09 40377710 GYMBOREE CORP
48455 11/23/09 423189 MERRIMAN/OTC 10,000.00 41.226 100.00 412,355.00

PUR 11/18/09 40377710 GYMBOREE CORP
48455 11/23/09 423189 MERRIMAN/OTC 10,000.00 41.000 100.00 410,100.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 20,000.00 41.113 822,455.00
200.00


PUR 11/06/09 43575830 HOLLY CORP.
32035 11/12/09 423154 MAGNA SECURITIES CORP 50,000.00 27.967 500.00 1,398,830.00

PUR 11/17/09 43707610 HOME DEPOT INC
9428 11/20/09 423183 BLAYLOCK ROBERT VAN LLC 50,000.00 26.823 500.00 1,341,630.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 CITIGROUP/CITIBANK DOMESTIC 1,600.00 25.000 40,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 DEUTSCHE BANK AG (DOMESTIC) 8,000.00 25.000 200,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 GOLDMAN SACHS & COMPANY 15,600.00 25.000 390,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 HSBC SECURITIES INC. 300.00 25.000 7,500.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 55
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 JANNEY MONTGOMERY/OTC 172.00 25.000 4,300.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 JP MORGAN 8,000.00 25.000 200,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 M.R. BEALE 172.00 25.000 4,300.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 MERRILL LYNCH (RESEARCH) 1,600.00 25.000 40,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 MURIEL SEIBERT & CO 172.00 25.000 4,300.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 PIPER JAFFRAY 300.00 25.000 7,500.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 RAMIREZ 172.00 25.000 4,300.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 ROBERT W. BAIRD & CO INC 240.00 25.000 6,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 SCOTIA CAPITAL USA INC. 300.00 25.000 7,500.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 UBS WARBURG LLC 1,600.00 25.000 40,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 WACHOVIA SECURITIES, INC. 1,600.00 25.000 40,000.00

PUR 11/04/09 44857910 HYATT HOTEL'S
49245 11/10/09 423149 WILLIAMS CAPITAL GROUP 172.00 25.000 4,300.00

PUR 10/28/09 46625H10 JP MORGAN CHASE & CO
19046 11/02/09 423124 SANFORD BERNSTEIN & CO. 100,000.00 43.278 4,000.00 4,331,780.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 56
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 46625H10 JP MORGAN CHASE & CO
19046 11/05/09 423137 COWEN AND CO., LLC 100,000.00 42.465 4,000.00 4,250,490.00

PUR 11/13/09 48247020 KIT DIGITAL INC
45475 11/18/09 423175 LABRANCHE/0TC 10,000.00 9.879 100.00 98,891.00

PUR 11/09/09 48248010 KLA-TENCOR CORP.
08730 11/13/09 423158 LABRANCHE/0TC 30,000.00 33.298 300.00 999,243.00

PUR 11/24/09 50064320 KORN/FERRY INTERNATIONAL
48778 11/30/09 423210 WILLIAMS CAPITAL GROUP 17,000.00 16.286 170.00 277,037.10

PUR 11/17/09 53591920 LIONS GATE ENTERTAINMENT CO
35302 11/20/09 423183 WILLIAMS CAPITAL GROUP 20,000.00 5.263 200.00 105,468.00

PUR 11/18/09 55616P10 MACY'S INC
45230 11/23/09 423189 ICAP CORPORATES LLC 25,000.00 17.794 250.00 445,095.00

PUR 11/06/09 56845T30 MARINER ENERGY, INC.
33504 11/12/09 423154 PRINCETON SECURITIES GROUP 150,000.00 13.241 1,500.00 1,987,590.00

PUR 10/28/09 57636Q10 MASTERCARD INC
49021 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 40,000.00 225.82 1,600.00 9,034,548.00

PUR 11/02/09 57636Q10 MASTERCARD INC
49021 11/05/09 423137 JP MORGAN 30,000.00 222.25 1,200.00 6,668,691.00

PUR 11/09/09 59513710 MICROSEMI CORP.
22161 11/13/09 423158 MERRIMAN/OTC 25,000.00 14.274 250.00 357,102.50

PUR 11/11/09 59668010 MIDDLESEX WATER CO.
30181 11/16/09 423166 MERRIMAN/OTC 5,000.00 16.122 50.00 80,660.50

PUR 11/13/09 65566410 NORDSTROM INC
47646 11/18/09 423175 WILLIAMS CAPITAL GROUP 5,000.00 32.945 50.00 164,775.00

PUR 11/18/09 65566410 NORDSTROM INC
47646 11/23/09 423189 ICAP CORPORATES LLC 20,000.00 34.603 200.00 692,250.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 57
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/20/09 65584410 NORFOLK SOUTHERN CORP.
44991 11/25/09 423201 ICAP CORPORATES LLC 290,000.00 51.124 2,900.00 14,828,860.00

PUR 11/23/09 65584410 NORFOLK SOUTHERN CORP.
44991 11/27/09 423206 CABRERA 50,000.00 52.153 500.00 2,608,165.00

PUR 11/23/09 65584410 NORFOLK SOUTHERN CORP.
44991 11/27/09 423206 CASTLE OAK SECURITIES 100,000.00 52.202 1,000.00 5,221,170.00

PUR 11/23/09 65584410 NORFOLK SOUTHERN CORP.
44991 11/27/09 423206 STURDIVANT/EXECUTION 100,000.00 52.213 1,000.00 5,222,330.00

PUR 11/24/09 65584410 NORFOLK SOUTHERN CORP.
44991 11/30/09 423210 BMO CAPITAL MARKETS/EXECUTI 50,000.00 51.638 500.00 2,582,415.00

PUR 11/24/09 65584410 NORFOLK SOUTHERN CORP.
44991 11/30/09 423210 ICAP CORPORATES LLC 200,000.00 51.498 2,000.00 10,301,520.00

PUR 10/28/09 66765510 NORTHWEST NATURAL GAS CO
48823 11/02/09 423124 STIFEL NICOLAUS 60,000.00 42.216 2,400.00 2,535,378.00

PUR 11/11/09 67019E10 NSTAR
49627 11/16/09 423166 MERIDIAN EQUITY PARTNERS 75,000.00 32.270 750.00 2,420,962.50

PUR 11/11/09 67083710 OGE ENERGY CORP
49628 11/16/09 423166 ICAP CORPORATES LLC 100,000.00 34.443 1,000.00 3,445,310.00

PUR 11/17/09 69487310 PACIFIC SUNWEAR
49720 11/20/09 423183 INSTINET (PORTAL) 75,000.00 3.937 525.00 295,770.00

PUR 11/02/09 70788210 PENN VIRGINIA CORP
49210 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 55,000.00 19.896 2,200.00 1,096,463.50

PUR 11/03/09 70788210 PENN VIRGINIA CORP
49210 11/06/09 423141 COWEN AND CO., LLC 50,000.00 20.197 2,000.00 1,011,865.00

PUR 11/12/09 70788210 PENN VIRGINIA CORP
49210 11/17/09 423170 MAGNA SECURITIES CORP 100,000.00 19.858 1,000.00 1,986,800.00



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 58
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/12/09 72378710 PIONEER NATURAL RESOURCES C
34242 11/17/09 423170 GRISWOLD COMPANY 100,000.00 42.664 1,000.00 4,267,420.00

PUR 11/24/09 75876610 REGAL ENTERTAINMENT GROUP-A
28183 11/30/09 423210 BLAYLOCK ROBERT VAN LLC 50,000.00 13.612 500.00 681,110.00

PUR 11/18/09 83211010 SMITH INTERNATIONAL, INC.
20580 11/23/09 423189 BLAYLOCK ROBERT VAN LLC 75,000.00 27.982 750.00 2,099,422.50

PUR 11/18/09 83211010 SMITH INTERNATIONAL, INC.
20580 11/23/09 423189 ICAP CORPORATES LLC 100,000.00 28.011 1,000.00 2,802,110.00

PUR 10/28/09 84403010 SOUTHERN UNION
48957 11/02/09 423124 JP MORGAN 50,000.00 20.099 2,000.00 1,006,970.00

PUR 11/05/09 84610H10 SOVRAN SELF STORAGE INC
47664 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 9,696.00 29.443 387.84 285,868.14

PUR 11/06/09 84610H10 SOVRAN SELF STORAGE INC
47664 11/12/09 423154 CITIGROUP/CITIBANK DOMESTIC 5,304.00 29.387 212.16 156,082.40

PUR 11/06/09 86764P10 SUNOCO, INC.
32159 11/12/09 423154 GRISWOLD COMPANY 100,000.00 28.119 1,000.00 2,812,880.00

PUR 11/06/09 86764P10 SUNOCO, INC.
32159 11/12/09 423154 PRINCETON SECURITIES GROUP 50,000.00 28.669 500.00 1,433,955.00

PUR 11/13/09 92553P20 VIACOM INC. CL B
32872 11/18/09 423175 ICAP CORPORATES LLC 100,000.00 30.579 1,000.00 3,058,870.00

PUR 10/28/09 92826C83 VISA INC-CLASS A SHARES
49022 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 100,000.00 76.963 4,000.00 7,700,290.00

PUR 11/02/09 92826C83 VISA INC-CLASS A SHARES
49022 11/05/09 423137 COWEN AND CO., LLC 100,000.00 77.801 4,000.00 7,784,140.00

PUR 11/04/09 93439040 WARNACO GROUP INC
46680 11/09/09 423145 CITIGROUP/CITIBANK DOMESTIC 5,000.00 40.860 200.00 204,500.50



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 59
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 93439040 WARNACO GROUP INC
46680 11/10/09 423150 BMO CAPITAL MARKETS/EXECUTI 10,000.00 40.900 100.00 409,100.00

PUR 11/18/09 97639130 WINTHROP REALTY TRUST
43956 11/19/09 423038 TENDERED 13,028.00 9.050 117,903.40

PUR 11/23/09 98391910 XILINX, INC.
30040 11/27/09 423206 MERRIMAN/OTC 25,000.00 22.523 250.00 563,330.00
-------------- ---------- -------------- --------------
SUBTOTAL STOCK PURCHASES: 6,218,028.00 189,317,028.09
80,375.00
-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 6,218,028.00 189,317,028.09
80,375.00
SALES OF STOCK AND OTHER EQUITIES
---------------------------------

SALE 11/19/09 03251110 ANADARKO PETROLEUM CORP. .85
9798 11/24/09 423199 GOLDMAN SACHS (OPTIONS) 600.00 55.000 12.00 32,987.15 10,728.42

SALE 11/20/09 03251110 ANADARKO PETROLEUM CORP. 83.97
9798 11/25/09 423205 GOLDMAN SACHS (OPTIONS) 59,400.00 55.000 1,188.00 3,265,728.03 1,062,113.44

SALE 11/17/09 03892310 ARBOR REALTY TRUST INC. 5.52
39086 11/20/09 423184 WILLIAMS CAPITAL GROUP 119,500.00 1.795 1,195.00 213,349.78 -1,599,738.29

SALE 11/24/09 05548J10 BJ'S WHOLESALE CLUB, INC. 4.50
24138 11/30/09 423211 MAGNA SECURITIES CORP 5,000.00 34.950 50.00 174,695.50 58,990.09

SALE 10/28/09 06405810 BANK OF NEW YORK MELLON COR 284.98
37689 11/02/09 423125 RBC CAPITAL (DOMESTIC) 400,000.00 27.721 16,000.00 11,072,235.02 3,852,973.87

SALE 11/02/09 06405810 BANK OF NEW YORK MELLON COR 138.68
37689 11/05/09 423138 COWEN AND CO., LLC 200,000.00 26.980 8,000.00 5,387,821.32 1,778,190.75

SALE 11/24/09 07589610 BED BATH & BEYOND INC 19.18
21207 11/30/09 423211 ITG (CHANNEL) 20,000.00 37.299 200.00 745,752.82 78,009.53



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 60
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/20/09 12640810 CSX CORP 231.30
47056 11/25/09 423205 GOLDMAN SACHS (OPTIONS) 200,000.00 45.000 4,000.00 8,995,768.70 2,331,707.86

SALE 11/20/09 12640810 CSX CORP 186.40
47056 11/25/09 423202 GRISWOLD COMPANY 150,000.00 48.350 1,500.00 7,250,858.60 2,252,812.97

SALE 11/20/09 12640810 CSX CORP 93.20
47056 11/25/09 423202 MERIDIAN EQUITY PARTNERS 75,000.00 48.352 750.00 3,625,526.80 1,126,503.98

SALE 11/20/09 12640810 CSX CORP 93.26
47056 11/25/09 423202 PRINCETON SECURITIES GROUP 75,000.00 48.382 750.00 3,627,791.74 1,128,768.92

SALE 11/23/09 12640810 CSX CORP 125.46
47056 11/27/09 423207 JACKSON SECS 100,000.00 48.817 1,000.00 4,880,564.54 1,548,534.12

SALE 11/23/09 12640810 CSX CORP 75.70
47056 11/27/09 423207 PACIFIC AMERICAN SECURITIES 60,000.00 49.089 600.00 2,944,640.30 945,422.05

SALE 11/23/09 12640810 CSX CORP 125.57
47056 11/27/09 423207 SANDGRAIN SECURITIES 100,000.00 48.858 1,000.00 4,884,694.43 1,552,664.01

SALE 11/24/09 12686C10 CABLEVISION SYSTEMS-NY GRP- 12.85
37985 11/30/09 423211 BLAYLOCK ROBERT VAN LLC 20,000.00 24.982 200.00 499,417.15 -18,127.90

SALE 11/03/09 16676410 CHEVRON CORP. 79.25
21041 11/06/09 423142 COWEN AND CO., LLC 40,000.00 77.091 1,600.00 3,081,944.75 1,763,888.91

SALE 11/02/09 17296710 CITIGROUP INC. 32.44
48460 11/05/09 423138 SANFORD BERNSTEIN & CO. 322,400.00 3.914 9,672.00 1,252,233.64 204,313.80

SALE 11/02/09 17296710 CITIGROUP INC. 53.55
48460 11/05/09 423138 SOLEIL SECURITIES CORP. 534,300.00 3.899 16,029.00 2,067,313.44 330,639.83

SALE 11/02/09 17296710 CITIGROUP INC. 14.54
48460 11/05/09 423138 STIFEL NICOLAUS 143,300.00 3.948 4,299.00 561,420.53 95,642.26

SALE 11/24/09 17737610 CITRIX SYSTEMS INC. 49.13
30888 11/30/09 423211 MAGNA SECURITIES CORP 50,000.00 38.229 500.00 1,910,905.87 387,205.78



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 61
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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/12/09 18975410 COACH, INC. 22.55
24924 11/17/09 423171 BMO CAPITAL MARKETS/EXECUTI 25,000.00 35.082 250.00 876,779.95 345,714.61

SALE 11/13/09 18975410 COACH, INC. 40.69
24924 11/18/09 423176 WILLIAMS CAPITAL GROUP 45,000.00 35.176 450.00 1,582,420.31 626,502.69

SALE 11/16/09 18975410 COACH, INC. 23.62
24924 11/19/09 423180 BLAYLOCK ROBERT VAN LLC 25,000.00 36.758 250.00 918,663.88 387,598.54

SALE 11/18/09 19416210 COLGATE-PALMOLIVE CO. 254.57
04501 11/23/09 423190 PRINCETON SECURITIES GROUP 115,000.00 86.133 1,150.00 9,903,855.93 5,135,952.16

SALE 11/18/09 19416210 COLGATE-PALMOLIVE CO. 254.05
04501 11/23/09 423190 STURDIVANT/EXECUTION 115,000.00 85.957 1,150.00 9,883,673.95 5,115,770.18

SALE 11/24/09 20030N20 COMCAST CORP. "A SPL" 73.48
23899 11/30/09 423211 INSTINET (PORTAL) 200,000.00 14.295 1,400.00 2,857,506.52 -539,290.61

SALE 11/12/09 23329310 DPL INC. 105.19
20626 11/17/09 423171 MERIDIAN EQUITY PARTNERS 150,000.00 27.286 1,500.00 4,091,354.81 282,550.73

SALE 11/09/09 24702R10 DELL INC. 9.96
37381 11/13/09 423159 MERRIMAN/OTC 25,000.00 15.498 250.00 387,190.04 -288,588.92

SALE 11/11/09 26874Q10 ENSCO INTERNATIONAL, INC. 65.38
21551 11/16/09 423167 MERIDIAN EQUITY PARTNERS 55,000.00 46.248 550.00 2,543,024.62 941,415.51

SALE 11/09/09 27579R10 EAST WEST BANCORP, INC. 16.61
19101 11/13/09 423159 SUSQUEHANNA/OTC 50,000.00 12.919 500.00 645,433.39 -42,863.37

SALE 11/06/09 30218210 EXPRESS SCRIPTS, INC. 162.89
16686 11/12/09 423155 MERRIMAN/OTC 75,000.00 84.506 750.00 6,337,007.11 5,985,230.30

SALE 11/06/09 30231G10 EXXON MOBIL CORP. 157.97
15200 11/12/09 423155 ICAP CORPORATES LLC 85,000.00 72.315 850.00 6,145,792.53 4,086,908.75

SALE 11/11/09 30231G10 EXXON MOBIL CORP. 93.41
15200 11/16/09 423167 GRISWOLD COMPANY 50,000.00 72.685 500.00 3,633,666.59 2,422,558.48



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 62
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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/18/09 30231G10 EXXON MOBIL CORP. 125.48
15200 11/23/09 423190 BMO CAPITAL MARKETS/EXECUTI 65,000.00 75.109 650.00 4,881,329.02 3,306,888.48

SALE 11/20/09 35671D85 FREEPORT-MCMORAN COPPER-B 192.75
26353 11/25/09 423205 GOLDMAN SACHS (OPTIONS) 100,000.00 75.000 2,000.00 7,497,807.25 2,316,365.47

SALE 11/24/09 36238G10 GSI COMMERCE INC. 17.03
22768 11/30/09 423211 MAGNA SECURITIES CORP 30,000.00 22.082 300.00 662,139.97 321,790.48

SALE 11/06/09 42809H10 HESS CORP. 51.20
34089 11/12/09 423155 WILLIAMS CAPITAL GROUP 35,000.00 56.916 350.00 1,991,644.80 752,487.20

SALE 10/30/09 43707610 HOME DEPOT INC 36.40
9428 11/04/09 423133 CITIGROUP/CITIBANK DOMESTIC 55,000.00 25.749 2,200.00 1,413,964.10 205,526.62

SALE 11/24/09 45666Q10 INFORMATICA CORP. 11.57
33384 11/30/09 423211 MAGNA SECURITIES CORP 20,000.00 22.504 200.00 449,866.43 155,404.94

SALE 11/06/09 45990210 INTERNATIONAL GAME TECHNOLO 20.64
27625 11/12/09 423155 MAGNA SECURITIES CORP 40,000.00 20.076 400.00 802,627.36 -639,438.39

SALE 11/24/09 47110910 JARDEN CORP. 7.08
36727 11/30/09 423211 BMO CAPITAL MARKETS/EXECUTI 10,000.00 27.532 100.00 275,212.92 -68,790.71

SALE 11/05/09 50025510 KOHLS CORP. 27.70
04751 11/10/09 423151 BMO CAPITAL MARKETS/EXECUTI 20,000.00 53.889 200.00 1,077,546.30 228,330.34

SALE 11/23/09 50124210 KULICKE & SOFFA INDUSTRIES, 7.05
22506 11/27/09 423207 INSTINET (PORTAL) 60,000.00 4.569 420.00 273,712.95 -619,997.09

SALE 11/13/09 53071M50 LIBERTY MEDIA CORP. 87.41
43578 11/18/09 423176 MAGNA SECURITIES CORP 100,000.00 34.009 1,000.00 3,399,842.59 1,565,818.60

SALE 11/17/09 53071M50 LIBERTY MEDIA CORP. 276.08
43578 11/20/09 423184 LABRANCHE/0TC 300,000.00 35.808 3,000.00 10,739,243.92 5,237,171.93

SALE 11/17/09 53071M50 LIBERTY MEDIA CORP. 137.83
43578 11/20/09 423184 MAGNA SECURITIES CORP 150,000.00 35.751 1,500.00 5,361,057.17 2,610,021.18



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 63
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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/17/09 53071M50 LIBERTY MEDIA CORP. 137.78
43578 11/20/09 423184 MERRIMAN/OTC 150,000.00 35.740 1,500.00 5,359,287.22 2,608,251.23

SALE 11/06/09 58405U10 MEDCO HEALTH SOLUTIONS, INC 152.06
25730 11/12/09 423155 BLAYLOCK ROBERT VAN LLC 98,966.00 59.783 989.66 5,915,372.35 4,651,295.46

SALE 11/06/09 58405U10 MEDCO HEALTH SOLUTIONS, INC 153.85
25730 11/12/09 423155 BMO CAPITAL MARKETS/EXECUTI 100,000.00 59.861 1,000.00 5,984,926.15 4,707,642.14

SALE 11/24/09 59497240 MICROSTRATEGY INC. 23.13
23208 11/30/09 423211 ITG (CHANNEL) 10,000.00 89.977 100.00 899,648.87 -527,542.79

SALE 11/02/09 63707110 NATIONAL OILWELL VARCO, INC 52.98
34243 11/05/09 423138 BUCKINGHAM RESEARCH GROUP I 50,000.00 41.224 2,000.00 2,059,162.02 357,652.84

SALE 11/20/09 63707110 NATIONAL OILWELL VARCO, INC 105.37
34243 11/25/09 423205 GOLDMAN SACHS (OPTIONS) 100,000.00 41.000 2,000.00 4,097,894.63 694,876.28

SALE 11/24/09 65122910 NEWELL RUBBERMAID INC. 3.77
22814 11/30/09 423211 MAGNA SECURITIES CORP 10,000.00 14.653 100.00 146,422.23 -17,511.89

SALE 10/28/09 66585910 NORTHERN TRUST CORP. 130.66
09024 11/02/09 423125 SOLEIL SECURITIES CORP. 100,000.00 50.838 3,000.00 5,080,659.34 1,750,755.19

SALE 11/02/09 66585910 NORTHERN TRUST CORP. 78.66
09024 11/05/09 423138 SOLEIL SECURITIES CORP. 60,000.00 51.009 1,800.00 3,058,649.34 1,060,706.85

SALE 11/09/09 67066G10 NVIDIA CORP. 17.32
34698 11/13/09 423159 MERRIMAN/OTC 50,000.00 13.473 500.00 673,152.68 -279,148.73

SALE 11/20/09 69347510 PNC FINANCIAL SERVICES GROU 130.05
05720 11/25/09 423205 GOLDMAN SACHS (OPTIONS) 110,000.00 46.000 2,200.00 5,057,669.95 -284,288.65

SALE 11/18/09 70816010 J.C. PENNEY CO INC 7.48
38304 11/23/09 423190 BLAYLOCK ROBERT VAN LLC 10,000.00 29.098 100.00 290,869.52 -358,474.59

SALE 11/18/09 70816010 J.C. PENNEY CO INC 37.46
38304 11/23/09 423190 MERIDIAN EQUITY PARTNERS 50,000.00 29.151 500.00 1,457,012.54 -1,789,708.02



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 64
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/19/09 70816010 J.C. PENNEY CO INC 11.21
38304 11/24/09 423196 MERIDIAN EQUITY PARTNERS 15,000.00 29.063 150.00 435,777.79 -538,238.38

SALE 11/04/09 80660510 SCHERING-PLOUGH CORP.
14412 11/05/09 423136 TENDERED 5,923,200.00 10.500 62,193,600.00 17,953,226.91

SALE 10/28/09 81685110 SEMPRA ENERGY 66.24
10435 11/02/09 423125 STIFEL NICOLAUS 50,000.00 51.543 2,000.00 2,575,098.76 1,278,557.15

SALE 11/23/09 83269640 JM SMUCKER CO/THE 134.01
43751 11/27/09 423207 MURIEL SEIBERT & CO 90,000.00 57.934 900.00 5,213,061.99 3,954,083.73

SALE 11/24/09 83269640 JM SMUCKER CO/THE 127.77
43751 11/30/09 423211 PRINCETON SECURITIES GROUP 85,000.00 58.489 850.00 4,970,587.23 3,781,552.21

SALE 10/28/09 85747710 STATE STREET CORP. 110.42
09025 11/02/09 423125 COWEN AND CO., LLC 100,000.00 42.964 4,000.00 4,292,249.58 1,411,338.94

SALE 11/02/09 85747710 STATE STREET CORP. 109.69
09025 11/05/09 423138 COWEN AND CO., LLC 100,000.00 42.679 4,000.00 4,263,820.31 1,382,909.67

SALE 11/23/09 88250810 TEXAS INSTRUMENTS INC. 16.20
18069 11/27/09 423207 WILLIAMS CAPITAL GROUP 25,000.00 25.209 250.00 629,953.80 319,345.35

SALE 11/24/09 88731730 TIME WARNER INC 81.50
45487 11/30/09 423211 CASTLE OAK SECURITIES 100,000.00 31.712 1,000.00 3,170,098.50 -599,509.51

SALE 11/17/09 89235610 TRACTOR SUPPLY CO. 24.66
07254 11/20/09 423184 MAGNA SECURITIES CORP 20,000.00 47.972 200.00 959,221.34 247,713.79

SALE 11/24/09 90781810 UNION PACIFIC CORP 165.41
47375 11/30/09 423211 GRISWOLD COMPANY 100,000.00 64.359 1,000.00 6,434,724.59 1,267,586.02

SALE 11/24/09 90781810 UNION PACIFIC CORP 165.45
47375 11/30/09 423211 MERIDIAN EQUITY PARTNERS 100,000.00 64.374 1,000.00 6,436,224.55 1,269,085.98

SALE 11/11/09 96945710 WILLIAMS COS INC. 59.35
02222 11/16/09 423167 PRINCETON SECURITIES GROUP 115,000.00 20.080 1,150.00 2,308,025.15 395,253.69



S T A T E O F N E W J E R S E Y 5140
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD A (5140) -Cont. PAGE: 65
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/12/09 98389B10 XCEL ENERGY INC. 49.94
17863 11/17/09 423171 MAGNA SECURITIES CORP 100,000.00 19.431 1,000.00 1,942,030.06 -139,211.63
-------------- ---------- -------------- --------------
SUBTOTAL STOCK SALES: 12,496,666.00 6,141.34 301,013,215.01 103,280,481.74
123,704.66
-------------- ---------- -------------- --------------
TOTAL FUND SALES: 12,496,666.00 6,141.34 301,013,215.01 103,280,481.74
123,704.66

END OF REPORT FOR: COMMON PENSION FD A



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) PAGE: 66
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF FIXED INCOME SECURITIES
-----------------------------------

PUR 11/10/09 002819AC ABBOTT LABS NOTES 6.1500 5.404
38757 11/16/09 288271 STIFEL NICOLAUS 11/30/37 5,000,000.00 110.70 5,535,300.00

PUR 11/18/09 002819AC ABBOTT LABS NOTES 6.1500 5.347
38757 11/23/09 288301 CREDIT SUISSE SEC (USA) LLC 11/30/37 10,000,000.00 111.59 11,159,300.00

PUR 10/30/09 046353AD ASTRAZENECA PLC SR NOTES 6.4500 5.385
38194 11/04/09 288230 GOLDMAN SACHS & COMPANY 9/15/37 11,000,000.00 115.26 12,679,590.00

PUR 11/17/09 097023BC BOEING CO SENIOR NOTES 3.7500 4.015
49714 11/20/09 288295 CITIGROUP/CITIBANK DOMESTIC 11/20/16 35,000,000.00 98.397 34,438,950.00

PUR 11/03/09 126408GP CSX CORP NOTES 7.4500 6.062
48768 11/06/09 288242 CREDIT SUISSE SEC (USA) LLC 4/01/38 5,000,000.00 118.68 5,934,450.00

PUR 11/09/09 17275RAF CISCO SYSTEMS INC SR NOTES 5.5000 5.678
49615 11/17/09 288277 DEUTSCHE BANK SECURITIES IN 1/15/40 15,000,000.00 97.439 14,615,850.00

PUR 11/09/09 17275RAH CISCO SYSTEMS INC SR NOTES 4.4500 4.468
49614 11/17/09 288277 BARCLAYS CAPITAL INC 1/15/20 40,000,000.00 99.852 39,940,800.00

PUR 11/06/09 244199BD DEERE & CO NOTES 5.3750 5.186
49586 11/12/09 288259 DEUTSCHE BANK SECURITIES IN 10/16/29 14,000,000.00 102.32 14,325,640.00

PUR 11/12/09 244199BD DEERE & CO NOTES 5.3750 5.202
49586 11/17/09 288277 RBC CAPITAL (DOMESTIC) 10/16/29 10,000,000.00 102.12 10,212,500.00

PUR 11/03/09 25244SAF DIAGEO FINANCE BV NOTES 3.2500 3.336
49215 11/06/09 288242 CITIGROUP/CITIBANK DOMESTIC 1/15/15 15,000,000.00 99.591 14,938,650.00

PUR 11/04/09 263534BZ EI DUPONT DE NEMOURS NOTES 4.6250 4.676
49238 11/09/09 288248 CREDIT SUISSE SEC (USA) LLC 1/15/20 20,000,000.00 99.585 19,917,000.00

PUR 11/16/09 26442CAH DUKE ENERGY CORP 1ST MTG BD 5.3000 5.328
49699 11/19/09 288289 BANK OF AMERICA SECURITIES 2/15/40 40,000,000.00 99.573 39,829,200.00



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) -Cont. PAGE: 67
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/16/09 26442CAH DUKE ENERGY CORP 1ST MTG BD 5.3000 5.328
49699 11/19/09 288289 TOUSSAINT CAPITAL 2/15/40 5,000,000.00 99.573 4,978,650.00

PUR 11/10/09 291011BC EMERSON ELECTRIC CO NOTES 4.2500 4.311
49633 11/16/09 288271 JP MORGAN 11/15/20 15,000,000.00 99.470 14,920,500.00

PUR 11/10/09 291011BD EMERSON ELECTRIC CO NOTES 5.2500 5.326
49632 11/16/09 288271 JP MORGAN 11/15/39 10,000,000.00 98.868 9,886,800.00

PUR 10/29/09 34160PDF FLA DEPT OF MGT SER BAB 6.8250 6.824
49195 11/19/09 288289 JP MORGAN 8/01/29 15,000,000.00 100.00 15,000,000.00

PUR 10/22/09 46513GBR ISRAEL STATE OF (+2) 2.0250 2.025
49035 11/02/09 288216 DEVELOPMENT CORP FOR ISRAEL 11/01/14 10,000,000.00 100.00 10,000,000.00

PUR 10/21/09 472719AJ JEFF CNTY COLORADO BAB 6.2500 6.250
48940 11/05/09 288236 STIFEL NICOLAUS 12/01/29 2,250,000.00 100.00 2,250,000.00

PUR 11/04/09 485512KT KANSAS ST TURNPIKE AUTH BAB 6.7400 6.739
49239 11/19/09 288289 PIPER JAFFRAY 9/01/39 7,000,000.00 100.00 7,000,000.00

PUR 11/16/09 589331AQ MERCK & CO INC NOTES 5.8500 5.217
49698 11/19/09 288289 CREDIT SUISSE SEC (USA) LLC 6/30/39 10,000,000.00 109.47 10,947,000.00

PUR 11/10/09 655044AD NOBLE ENERGY INC NOTES 8.2500 5.510
44902 11/16/09 288271 JEFFERIES & COMPANY 3/01/19 1,000,000.00 119.70 1,197,050.00

PUR 11/10/09 655044AD NOBLE ENERGY INC NOTES 8.2500 5.499
44902 11/16/09 288271 JEFFERIES & COMPANY 3/01/19 11,000,000.00 119.79 13,177,230.00

PUR 11/17/09 655855FA NORFOLK SOUTHERN RAILWAY NO 9.7500 5.364
49712 11/20/09 288295 MORGAN KEEGAN 6/15/20 10,000,000.00 135.02 13,502,900.00

PUR 10/29/09 717081CY PFIZER INC NOTES 7.2000 5.545
45246 11/02/09 288216 DEUTSCHE BANK AG (DOMESTIC) 3/15/39 10,000,000.00 123.85 12,385,000.00

PUR 11/12/09 717081CY PFIZER INC NOTES 7.2000 5.475
45246 11/17/09 288277 BARCLAYS CAPITAL INC 3/15/39 10,000,000.00 125.03 12,503,300.00



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) -Cont. PAGE: 68
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/12/09 717081CY PFIZER INC NOTES 7.2000 5.473
45246 11/17/09 288277 JP MORGAN 3/15/39 7,000,000.00 125.06 8,754,690.00

PUR 11/17/09 742651DJ PRIVATE EXPORT FD CORP SEC 4.3000 4.373
49715 11/24/09 288307 BANK OF AMERICA SECURITIES 12/15/21 25,000,000.00 99.319 24,829,750.00

PUR 11/09/09 744533BK PUBLIC SERVICE CO OF OKLAHO 5.1500 5.186
49612 11/13/09 288265 BARCLAYS CAPITAL INC 12/01/19 12,000,000.00 99.717 11,966,040.00

PUR 11/18/09 74456QAU PSE&G SR SECURED NOTES 5.3750 5.397
49730 11/24/09 288307 WELLS FARGO 11/01/39 7,000,000.00 99.679 6,977,530.00

PUR 11/12/09 755111BR RAYTHEON CO NOTES 4.4000 4.429
49648 11/19/09 288289 BANK OF AMERICA SECURITIES 2/15/20 20,000,000.00 99.755 19,951,000.00

PUR 10/21/09 873547GW TACOMA WASH WATER REV BAB 5.7510 5.751
48939 11/04/09 288230 CITIGROUP/CITIBANK DOMESTIC 12/01/39 5,000,000.00 100.00 5,000,000.00

PUR 11/13/09 893830AF TRANSOCEAN INC. NOTES 7.5000 5.989
41590 11/18/09 288283 FTN MIDWEST SECURITIES 4/15/31 2,000,000.00 118.08 2,361,780.00

PUR 11/19/09 893830AT TRANSOCEAN INC SENIOR NOTES 6.8000 5.714
42942 11/24/09 288307 UBS WARBURG LLC 3/15/38 10,000,000.00 115.13 11,513,800.00

PUR 11/17/09 92343VAR VERIZON COMM INC SR NOTES 8.9500 6.217
43637 11/20/09 288295 BARCLAYS CAPITAL INC 3/01/39 20,000,000.00 136.62 27,324,600.00

PUR 10/30/09 947075AF WEATHERFORD INT'L LTD SENIO 9.6250 6.213
45066 11/04/09 288230 BARCLAYS CAPITAL INC 3/01/19 10,000,000.00 123.86 12,386,000.00

PUR 11/24/09 947075AF WEATHERFORD INT'L LTD SENIO 9.6250 6.130
45066 11/30/09 288316 BARCLAYS CAPITAL INC 3/01/19 15,000,000.00 124.38 18,657,900.00

PUR 11/13/09 947075AG WEATHERFORD INT'L LTD 9.8750 7.391
44574 11/18/09 288283 CREDIT SUISSE SEC (USA) LLC 3/01/39 10,000,000.00 129.57 12,957,500.00
-------------- ---------- -------------- --------------
SUBTOTAL FIXED PURCHASES: 479,250,000.00 513,956,250.00

-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 479,250,000.00 513,956,250.00



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) -Cont. PAGE: 69
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

SALES OF FIXED INCOME SECURITIES
--------------------------------

SALE 11/10/09 002819AB ABBOTT LABS NOTES 5.6000 5.639
38758 11/16/09 288271 STIFEL NICOLAUS 11/30/17 5,000,000.00 109.85 5,492,600.00 505,234.35

SALE 11/18/09 002819AB ABBOTT LABS NOTES 5.6000 5.639
38758 11/23/09 288301 CREDIT SUISSE SEC (USA) LLC 11/30/17 10,000,000.00 110.55 11,055,900.00 1,080,986.54

SALE 10/30/09 046353AB ASTRAZENECA PLC SR NOTES 5.9000 5.909
38193 11/04/09 288230 GOLDMAN SACHS & COMPANY 9/15/17 10,000,000.00 111.29 11,129,400.00 1,135,846.81

SALE 11/12/09 088281CB BEXAR CNTY TEXAS BLD AMER B 6.6280 6.627
48157 11/17/09 288277 MERRILL LYNCH (RESEARCH) 6/15/39 9,000,000.00 102.49 9,224,820.00 224,820.00

SALE 11/03/09 126408GK CSX CORP NOTES 6.1500 6.155
37099 11/06/09 288242 CREDIT SUISSE SEC (USA) LLC 5/01/37 5,000,000.00 102.32 5,116,000.00 119,584.70

SALE 10/30/09 141781AW CARGILL INC. BONDS 6.6250 6.643
38221 11/04/09 288230 CITIGROUP GBL MKT(FMLY SALO 9/15/37 10,000,000.00 109.09 10,909,200.00 932,980.91

SALE 10/30/09 166751AJ CHEVRON CORP NOTES 4.9500 4.954
44945 11/04/09 288230 BARCLAYS CAPITAL INC 3/03/19 10,000,000.00 106.53 10,653,000.00 656,613.95

SALE 10/30/09 166751AJ CHEVRON CORP NOTES 4.9500 4.954
44945 11/04/09 288230 CREDIT SUISSE SEC (USA) LLC 3/03/19 10,000,000.00 107.12 10,712,300.00 715,913.95

SALE 11/10/09 167505KH CHICAGO ILL BD ED REV BDS B 6.1380 6.137
48452 11/16/09 288271 BARCLAYS CAPITAL INC 12/01/39 7,500,000.00 102.69 7,701,825.00 201,825.00

SALE 10/30/09 172311GB CINCINNATI OHIO WATER BLDG 6.4580 6.457
47882 11/04/09 288230 RBC CAPITAL (DOMESTIC) 12/01/34 6,000,000.00 102.96 6,177,720.00 177,720.00

SALE 10/29/09 209111EM CONSOLIDATED EDISON CO OF N 6.2000 6.270
34597 11/03/09 288225 MIZUHO SECURITIES 6/15/36 10,000,000.00 108.77 10,877,000.00 967,876.16

SALE 10/30/09 209111EM CONSOLIDATED EDISON CO OF N 6.2000 6.270
34597 11/04/09 288230 MIZUHO SECURITIES 6/15/36 5,000,000.00 110.47 5,523,950.00 569,379.07



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) -Cont. PAGE: 70
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/04/09 209111EM CONSOLIDATED EDISON CO OF N 6.2000 6.270
34597 11/09/09 288248 MIZUHO SECURITIES 6/15/36 8,000,000.00 108.54 8,683,920.00 756,530.87

SALE 11/04/09 210371AF CONSTELLATION ENERGY GROUP 7.6000 6.183
30431 11/09/09 288248 CANTOR FITZGERALD SECURITIE 4/01/32 10,000,000.00 107.87 10,787,800.00 -916,422.82

SALE 11/04/09 210371AF CONSTELLATION ENERGY GROUP 7.6000 6.183
30431 11/09/09 288248 CREDIT SUISSE SEC (USA) LLC 4/01/32 10,000,000.00 108.21 10,821,400.00 -882,822.82

SALE 11/09/09 224044BH COX COMMUNICATIONS, INC. NO 5.5000 5.581
25873 11/13/09 288265 CANTOR FITZGERALD SECURITIE 10/01/15 7,500,000.00 106.77 8,008,050.00 538,692.37

SALE 11/06/09 24422EQV JOHN DEERE CAP CORP NOTES 5.7500 5.797
42754 11/12/09 288259 DEUTSCHE BANK SECURITIES IN 9/10/18 10,000,000.00 109.50 10,950,500.00 983,498.87

SALE 11/12/09 24422EQV JOHN DEERE CAP CORP NOTES 5.7500 5.797
42754 11/17/09 288277 RBC CAPITAL (DOMESTIC) 9/10/18 10,000,000.00 109.71 10,971,400.00 1,004,392.59

SALE 11/16/09 25244SAF DIAGEO FINANCE BV NOTES 3.2500 3.336
49215 11/19/09 288289 CREDIT SUISSE SEC (USA) LLC 1/15/15 5,000,000.00 100.80 5,040,350.00 60,655.78

SALE 11/04/09 263534BQ E.I. DUPONT DE NEMOURS SR. 5.2500 5.378
38704 11/09/09 288248 MIZUHO SECURITIES 12/15/16 10,000,000.00 107.16 10,716,400.00 791,638.53

SALE 11/18/09 28264QGC EKSPORTFINANS BONDS 5.5000 5.298
37610 11/23/09 288301 CANTOR FITZGERALD SECURITIE 6/26/17 25,000,000.00 109.26 27,315,500.00 2,004,659.14

SALE 11/10/09 291011AY EMERSON ELECTRIC CO NOTES 4.8750 4.920
44410 11/16/09 288271 MIZUHO SECURITIES 10/15/19 15,000,000.00 104.91 15,736,650.00 790,000.65

SALE 10/29/09 45687AAA INGERSOLL RAND FIN GUAR NOT 6.8750 6.895
42272 11/03/09 288225 BTIG 8/15/18 10,000,000.00 109.83 10,983,100.00 997,561.57

SALE 10/30/09 472719AJ JEFF CNTY COLORADO BAB 6.2500 6.250
48940 11/05/09 288236 LOOP CAPITAL 12/01/29 2,250,000.00 101.25 2,278,125.00 28,125.00

SALE 11/17/09 494550BD KINDER MORGAN ENERGY PARTNE 6.5000 6.567
48471 11/20/09 288295 MORGAN STANLEY 9/01/39 10,000,000.00 103.65 10,365,700.00 454,621.75



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) -Cont. PAGE: 71
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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/12/09 516823L3 LAREDO TEXAS BUILD AMERICA 6.5660 6.565
48313 11/17/09 288277 LOOP CAPITAL 2/15/39 4,000,000.00 101.03 4,041,280.00 41,280.00

SALE 11/18/09 60636WNU MISSOURI ST HIGHWAY BAB 5.4450 5.445
48516 11/23/09 288301 GOLDMAN SACHS & COMPANY 5/01/33 5,000,000.00 99.936 4,996,800.00 -3,200.00

SALE 10/30/09 666807AW NORTHROP GRUMMAN CORP 7.7500 6.256
43975 11/04/09 288230 CANTOR FITZGERALD SECURITIE 2/15/31 5,000,000.00 127.51 6,375,650.00 504,342.40

SALE 11/23/09 693304AL PECO ENERGY CO 1ST MTG BDS 5.3500 5.362
40275 11/30/09 288316 FTN Financial Securities 3/01/18 26,000,000.00 108.21 28,136,940.00 2,159,038.93

SALE 11/12/09 693506BB PPG INDUSTRIES SR NOTES 6.6500 8.741
43463 11/17/09 288277 BTIG 3/15/18 15,000,000.00 109.88 16,483,350.00 3,314,292.74

SALE 10/30/09 713448BJ PEPSICO INC NOTES 7.9000 5.547
43462 11/04/09 288230 CASTLE OAK SECURITIES 11/01/18 10,000,000.00 125.78 12,578,600.00 930,358.90

SALE 10/30/09 717081AQ PFIZER INC. NOTES 4.6500 4.863
24385 11/04/09 288230 BARCLAYS CAPITAL INC 3/01/18 10,000,000.00 103.19 10,319,900.00 465,007.13

SALE 11/12/09 717081AQ PFIZER INC. NOTES 4.6500 4.863
24385 11/17/09 288277 BARCLAYS CAPITAL INC 3/01/18 15,000,000.00 103.54 15,531,300.00 748,264.95

SALE 11/16/09 806605AJ SCHERING PLOUGH CORP 6.0000 6.066
38290 11/19/09 288289 CREDIT SUISSE SEC (USA) LLC 9/15/17 10,000,000.00 112.64 11,264,100.00 1,305,689.65

SALE 10/28/09 884903AZ THOMSON CORPORATION 5.7000 5.838
38436 11/02/09 288216 CHAPDELAINE 10/01/14 5,000,000.00 110.40 5,520,050.00 549,425.34

SALE 10/28/09 884903AZ THOMSON CORPORATION 5.7000 5.838
38436 11/02/09 288216 JP MORGAN 10/01/14 10,000,000.00 110.38 11,038,600.00 1,097,350.68

SALE 11/19/09 893830AS TRANSOCEAN INC NOTES 6.0000 6.830
43135 11/24/09 288307 UBS WARBURG LLC 3/15/18 10,000,000.00 109.26 10,926,600.00 1,447,306.17

SALE 10/30/09 897745BC TROY UNIV ALABAMA BAB 6.4020 6.401
48508 11/04/09 288230 OPPENHEIMER & CO., INC 11/01/29 6,000,000.00 101.60 6,096,360.00 96,360.00



S T A T E O F N E W J E R S E Y 5142
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

COMMON PENSION FD B (5142) -Cont. PAGE: 72
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/18/09 914440KK UNIV OF MASS BUILD AUTH BAB 6.5730 6.573
48897 11/23/09 288301 LOOP CAPITAL 5/01/39 7,000,000.00 102.03 7,142,520.00 142,520.00

SALE 11/04/09 917565LB UTAH TRANS AUTH REV BDS 200 5.9370 5.934
46951 11/09/09 288248 MERRILL LYNCH (RESEARCH) 6/15/39 6,000,000.00 104.58 6,275,280.00 275,280.00

SALE 11/17/09 92343VAU VERIZON COMM INC NOTES 7.3500 7.494
45372 11/20/09 288295 BARCLAYS CAPITAL INC 4/01/39 20,000,000.00 119.04 23,808,600.00 4,151,314.72

SALE 11/09/09 927804FC VIRGINIA ELEC & PWR CO SR N 5.9500 6.442
38223 11/13/09 288265 FTN Financial Securities 9/15/17 5,000,000.00 109.90 5,495,250.00 645,255.24

SALE 11/09/09 927804FC VIRGINIA ELEC & PWR CO SR N 5.9500 6.442
38223 11/13/09 288265 FTN Financial Securities 9/15/17 10,000,000.00 109.92 10,992,500.00 1,292,510.48

SALE 10/30/09 947074AJ WEATHERFORD INT'S INC. SR N 6.3500 6.064
39605 11/04/09 288230 FTN MIDWEST SECURITIES 6/15/17 5,000,000.00 106.05 5,302,600.00 216,898.51

SALE 11/04/09 947074AJ WEATHERFORD INT'S INC. SR N 6.3500 6.064
39605 11/09/09 288248 BARCLAYS CAPITAL INC 6/15/17 10,000,000.00 105.62 10,562,200.00 390,969.89

SALE 11/24/09 947074AK WEATHERFORD INT'L INC. SR N 6.8000 6.408
39607 11/30/09 288316 BANK OF AMERICA SECURITIES 6/15/37 5,000,000.00 100.95 5,047,800.00 -203,990.30

SALE 11/16/09 947075AB WEATHERFORD INT'L LTD NOTES 6.5000 6.278
36620 11/19/09 288289 BANK OF AMERICA SECURITIES 8/01/36 7,000,000.00 97.795 6,845,650.00 -353,557.34

SALE 11/24/09 947075AB WEATHERFORD INT'L LTD NOTES 6.5000 6.278
36620 11/30/09 288316 FTN MIDWEST SECURITIES 8/01/36 10,000,000.00 97.336 9,733,600.00 -550,933.07

SALE 11/13/09 947075AE WEATHERFORD INT'L LTD NOTES 7.0000 8.405
40523 11/18/09 288283 FTN MIDWEST SECURITIES 3/15/38 5,000,000.00 102.62 5,131,300.00 886,823.36
-------------- ---------- -------------- --------------
SUBTOTAL FIXED SALES: 451,250,000.00 486,879,440.00 33,448,521.30

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 451,250,000.00 486,879,440.00 33,448,521.30


END OF REPORT FOR: COMMON PENSION FD B



S T A T E O F N E W J E R S E Y 5161
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

REIT COMMON PENSION FD A (5161) PAGE: 73
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF STOCK AND OTHER EQUITIES
------------------------------------

PUR 11/06/09 22002T10 CORPORATE OFFICE PROPERTIES
41467 11/12/09 423154 BLAYLOCK ROBERT VAN LLC 14,000.00 33.798 140.00 473,317.60

PUR 11/24/09 22002T10 CORPORATE OFFICE PROPERTIES
41467 11/30/09 423210 MAGNA SECURITIES CORP 15,000.00 33.843 150.00 507,789.00

PUR 11/24/09 22002T10 CORPORATE OFFICE PROPERTIES
41467 11/30/09 423210 WILLIAMS CAPITAL GROUP 10,000.00 33.965 100.00 339,745.00

PUR 10/28/09 60972010 MONMOUTH REAL ESTATE INVT
48864 11/02/09 423124 GOLDMAN SACHS & COMPANY 1,900.00 6.697 57.00 12,782.06

PUR 11/03/09 60972010 MONMOUTH REAL ESTATE INVT
48864 11/06/09 423141 MERRIMAN/OTC 8,805.00 6.698 88.05 59,063.06

PUR 11/17/09 60972010 MONMOUTH REAL ESTATE INVT
48864 11/20/09 423183 INSTINET (PORTAL) 50,000.00 6.869 350.00 343,805.00

PUR 10/30/09 72925110 PLUM CREEK TIMBER CO INC
47624 11/04/09 423132 RAYMOND JAMES & ASSOCIATES, 15,000.00 31.701 600.00 476,119.50

PUR 11/17/09 85571B10 STARWOOD PPTY TRUST INC
48091 11/20/09 423183 MAGNA SECURITIES CORP 2,200.00 19.892 22.00 43,785.06

PUR 11/18/09 85571B10 STARWOOD PPTY TRUST INC
48091 11/23/09 423189 ITG (CHANNEL) 5,000.00 19.879 50.00 99,446.50

PUR 11/18/09 85571B10 STARWOOD PPTY TRUST INC
48091 11/23/09 423189 MAGNA SECURITIES CORP 5,300.00 19.897 53.00 105,508.16

PUR 11/06/09 92904210 VORNADO REALTY TRUST
44124 11/12/09 423154 MAGNA SECURITIES CORP 15,000.00 61.592 150.00 924,036.00

PUR 11/18/09 97639130 WINTHROP REALTY TRUST
43957 11/19/09 423038 TENDERED 31,640.00 9.050 286,342.00
-------------- ---------- -------------- --------------
SUBTOTAL STOCK PURCHASES: 173,845.00 3,671,738.94
1,760.05
-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 173,845.00 3,671,738.94
1,760.05



S T A T E O F N E W J E R S E Y 5161
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

REIT COMMON PENSION FD A (5161) -Cont. PAGE: 74
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

SALES OF STOCK AND OTHER EQUITIES
---------------------------------

SALE 11/06/09 55448910 MACK CALI RLTY CORP 11.55
46439 11/12/09 423155 BLAYLOCK ROBERT VAN LLC 15,000.00 29.936 150.00 448,879.95 73,879.95

SALE 11/06/09 78440X10 SL GREEN REALTY CORP. 48.78
40578 11/12/09 423155 MAGNA SECURITIES CORP 50,000.00 37.957 500.00 1,897,311.22 -1,064,795.96
-------------- ---------- -------------- --------------
SUBTOTAL STOCK SALES: 65,000.00 60.33 2,346,191.17 -990,916.01
650.00
-------------- ---------- -------------- --------------
TOTAL FUND SALES: 65,000.00 60.33 2,346,191.17 -990,916.01
650.00

END OF REPORT FOR: REIT COMMON PENSION FD A



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) PAGE: 75
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF STOCK AND OTHER EQUITIES
------------------------------------

PUR 11/23/09 00206R10 AT&T INC
49792 11/27/09 423206 ICAP CORPORATES LLC 250,000.00 26.746 2,500.00 6,688,875.00

PUR 11/23/09 00206R10 AT&T INC
49792 11/27/09 423206 PRINCETON SECURITIES GROUP 250,000.00 26.742 2,500.00 6,687,900.00

PUR 11/24/09 00206R10 AT&T INC
49792 11/30/09 423210 CABRERA 100,000.00 27.137 1,000.00 2,714,740.00

PUR 11/24/09 00206R10 AT&T INC
49792 11/30/09 423210 JACKSON SECS 100,000.00 27.011 1,000.00 2,702,070.00

PUR 11/24/09 00206R10 AT&T INC
49792 11/30/09 423210 MURIEL SEIBERT & CO 100,000.00 26.992 1,000.00 2,700,160.00

PUR 11/24/09 00206R10 AT&T INC
49792 11/30/09 423210 PACIFIC AMERICAN SECURITIES 100,000.00 27.163 1,000.00 2,717,270.00

PUR 11/24/09 00206R10 AT&T INC
49792 11/30/09 423210 SANDGRAIN SECURITIES 100,000.00 27.004 1,000.00 2,701,350.00

PUR 11/10/09 00282410 ABBOTT LABORATORIES
39882 11/16/09 423162 WILLIAMS CAPITAL GROUP 20,000.00 52.618 200.00 1,052,566.00

PUR 11/20/09 00282410 ABBOTT LABORATORIES
39882 11/25/09 423201 BMO CAPITAL MARKETS/EXECUTI 20,000.00 53.208 200.00 1,064,360.00

PUR 11/23/09 00282410 ABBOTT LABORATORIES
39882 11/27/09 423206 BMO CAPITAL MARKETS/EXECUTI 20,000.00 53.091 200.00 1,062,016.00

PUR 11/24/09 00282410 ABBOTT LABORATORIES
39882 11/30/09 423210 BLAYLOCK ROBERT VAN LLC 20,000.00 53.837 200.00 1,076,934.00

PUR 11/18/09 00817Y10 AETNA INC
48821 11/23/09 423189 MURIEL SEIBERT & CO 100,000.00 29.200 1,000.00 2,921,030.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 76
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/19/09 00817Y10 AETNA INC
48821 11/24/09 423195 MURIEL SEIBERT & CO 100,000.00 28.540 1,000.00 2,854,980.00

PUR 11/20/09 00817Y10 AETNA INC
48821 11/25/09 423201 MERIDIAN EQUITY PARTNERS 100,000.00 28.424 1,000.00 2,843,360.00

PUR 11/23/09 00817Y10 AETNA INC
48821 11/27/09 423206 ICAP CORPORATES LLC 100,000.00 29.467 1,000.00 2,947,650.00

PUR 10/30/09 01307810 ALBERTO-CULVER CO.
45095 11/04/09 423132 SANFORD BERNSTEIN & CO. 30,000.00 26.902 1,200.00 808,245.00

PUR 11/02/09 01307810 ALBERTO-CULVER CO.
45095 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 30,000.00 27.063 1,200.00 813,099.00

PUR 11/05/09 01307810 ALBERTO-CULVER CO.
45095 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 30,000.00 27.415 1,200.00 823,653.00

PUR 11/10/09 01307810 ALBERTO-CULVER CO.
45095 11/16/09 423162 WILLIAMS CAPITAL GROUP 20,000.00 28.003 200.00 560,268.00

PUR 10/30/09 02942910 AMERICAN SCIENCE & ENGIN
49191 11/04/09 423132 BUCKINGHAM RESEARCH GROUP I 15,000.00 66.144 450.00 992,611.50

PUR 11/02/09 02942910 AMERICAN SCIENCE & ENGIN
49191 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 5,000.00 66.157 150.00 330,936.50

PUR 11/03/09 02942910 AMERICAN SCIENCE & ENGIN
49191 11/06/09 423141 BUCKINGHAM RESEARCH GROUP I 15,000.00 68.237 450.00 1,024,005.00

PUR 11/04/09 02942910 AMERICAN SCIENCE & ENGIN
49191 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 5,000.00 68.925 150.00 344,773.00

PUR 11/18/09 03042010 AMERICAN WATER WORKS CO INC
47765 11/23/09 423189 BMO CAPITAL MARKETS/EXECUTI 100,000.00 21.500 1,000.00 2,150,990.00

PUR 11/20/09 03042010 AMERICAN WATER WORKS CO INC
47765 11/25/09 423201 BLAYLOCK ROBERT VAN LLC 40,000.00 21.300 400.00 852,388.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 77
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/20/09 03042010 AMERICAN WATER WORKS CO INC
47765 11/25/09 423201 GRISWOLD COMPANY 100,000.00 21.455 1,000.00 2,146,530.00

PUR 10/28/09 03760410 APOLLO GROUP A
48570 11/02/09 423124 SOLEIL SECURITIES CORP. 30,000.00 59.214 900.00 1,777,308.00

PUR 11/02/09 03760410 APOLLO GROUP A
48570 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 10,000.00 57.783 300.00 578,125.00

PUR 11/16/09 03760410 APOLLO GROUP A
48570 11/19/09 423179 MAGNA SECURITIES CORP 10,000.00 58.027 100.00 580,373.00

PUR 11/20/09 03760410 APOLLO GROUP A
48570 11/25/09 423201 ITG (CHANNEL) 30,000.00 55.094 300.00 1,653,114.00

PUR 11/23/09 03760410 APOLLO GROUP A
48570 11/27/09 423206 LABRANCHE/0TC 20,000.00 55.014 200.00 1,100,482.00

PUR 11/24/09 03760410 APOLLO GROUP A
48570 11/30/09 423210 LABRANCHE/0TC 20,000.00 55.357 200.00 1,107,330.00

PUR 10/28/09 04685W10 ATHENAHEALTH INC
49024 11/02/09 423124 SOLEIL SECURITIES CORP. 20,000.00 36.146 600.00 723,522.00

PUR 10/29/09 04685W10 ATHENAHEALTH INC
49024 11/03/09 423128 SOLEIL SECURITIES CORP. 30,000.00 35.629 900.00 1,069,776.00

PUR 10/30/09 04685W10 ATHENAHEALTH INC
49024 11/04/09 423132 BUCKINGHAM RESEARCH GROUP I 30,000.00 37.926 900.00 1,138,671.00

PUR 11/02/09 04685W10 ATHENAHEALTH INC
49024 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 200.00 38.700 6.00 7,746.00

PUR 11/02/09 04743P10 ATHEROS COMMUNICATIONS IN
48472 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 20,000.00 24.547 600.00 491,540.00

PUR 11/02/09 08578910 BERRY PETROLEUM CO
42925 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 20,000.00 25.967 800.00 520,134.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 78
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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/20/09 09062X10 BIOGEN IDEC INC
47970 11/25/09 423201 MERRIMAN/OTC 50,000.00 46.413 500.00 2,321,145.00

PUR 11/16/09 11012210 BRISTOL-MYERS SQUIBB CO.
39897 11/19/09 423179 MERIDIAN EQUITY PARTNERS 100,000.00 24.270 1,000.00 2,428,010.00

PUR 11/18/09 11012210 BRISTOL-MYERS SQUIBB CO.
39897 11/23/09 423189 GRISWOLD COMPANY 100,000.00 24.131 1,000.00 2,414,100.00

PUR 11/24/09 11012210 BRISTOL-MYERS SQUIBB CO.
39897 11/30/09 423210 BMO CAPITAL MARKETS/EXECUTI 100,000.00 24.940 1,000.00 2,495,010.00

PUR 10/28/09 11844010 THE BUCKLE INC
48866 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 20,000.00 30.583 800.00 612,458.00

PUR 10/28/09 11844010 THE BUCKLE INC
48866 11/02/09 423124 RBC CAPITAL (DOMESTIC) 20,000.00 29.900 800.00 598,806.00

PUR 10/29/09 11844010 THE BUCKLE INC
48866 11/03/09 423128 RAYMOND JAMES & ASSOCIATES, 30,000.00 30.419 1,200.00 913,767.00

PUR 10/30/09 11844010 THE BUCKLE INC
48866 11/04/09 423132 RAYMOND JAMES & ASSOCIATES, 30,000.00 30.328 1,200.00 911,037.00

PUR 11/02/09 11844010 THE BUCKLE INC
48866 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 20,000.00 30.422 800.00 609,236.00

PUR 11/03/09 11844010 THE BUCKLE INC
48866 11/06/09 423141 CITIGROUP/CITIBANK DOMESTIC 20,000.00 30.586 800.00 612,512.00

PUR 11/04/09 11844010 THE BUCKLE INC
48866 11/09/09 423145 CITIGROUP/CITIBANK DOMESTIC 20,000.00 31.455 800.00 629,898.00

PUR 11/05/09 11844010 THE BUCKLE INC
48866 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 20,000.00 28.764 800.00 576,084.00

PUR 11/05/09 11844010 THE BUCKLE INC
48866 11/10/09 423150 MAGNA SECURITIES CORP 20,000.00 29.805 200.00 596,300.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 11844010 THE BUCKLE INC
48866 11/10/09 423150 MAGNA SECURITIES CORP 20,000.00 30.300 200.00 606,192.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 40,000.00 30.052 1,202,492.00
400.00


PUR 11/06/09 11844010 THE BUCKLE INC
48866 11/12/09 423154 MAGNA SECURITIES CORP 20,000.00 30.134 200.00 602,870.00

PUR 11/11/09 11844010 THE BUCKLE INC
48866 11/16/09 423166 BLAYLOCK ROBERT VAN LLC 20,000.00 30.237 200.00 604,936.00

PUR 11/12/09 11844010 THE BUCKLE INC
48866 11/17/09 423170 WILLIAMS CAPITAL GROUP 20,000.00 28.958 200.00 579,352.00

PUR 11/13/09 11844010 THE BUCKLE INC
48866 11/18/09 423175 BLAYLOCK ROBERT VAN LLC 20,000.00 28.842 200.00 577,034.00

PUR 11/20/09 11844010 THE BUCKLE INC
48866 11/25/09 423201 BMO CAPITAL MARKETS/EXECUTI 20,000.00 28.296 200.00 566,116.00

PUR 11/02/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 30,000.00 83.072 1,200.00 2,493,357.00

PUR 11/05/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 20,000.00 79.883 800.00 1,598,464.00

PUR 11/05/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/10/09 423150 MAGNA SECURITIES CORP 20,000.00 79.426 200.00 1,588,724.00

PUR 11/11/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/16/09 423166 BLAYLOCK ROBERT VAN LLC 10,000.00 78.558 100.00 785,683.00

PUR 11/20/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/25/09 423201 BMO CAPITAL MARKETS/EXECUTI 20,000.00 82.255 200.00 1,645,292.00



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/23/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/27/09 423206 WILLIAMS CAPITAL GROUP 20,000.00 83.812 200.00 1,676,434.00

PUR 11/24/09 12526910 CF INDUSTRIES HOLDINGS INC
46083 11/30/09 423210 BLAYLOCK ROBERT VAN LLC 10,000.00 82.726 100.00 827,358.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 BLAYLOCK ROBERT VAN LLC 100,000.00 28.867 1,000.00 2,887,670.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 BMO CAPITAL MARKETS/EXECUTI 100,000.00 28.521 1,000.00 2,853,080.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 GRISWOLD COMPANY 100,000.00 28.933 1,000.00 2,894,330.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 ICAP CORPORATES LLC 100,000.00 28.560 1,000.00 2,856,970.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 MERIDIAN EQUITY PARTNERS 100,000.00 28.649 1,000.00 2,865,900.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 PRINCETON SECURITIES GROUP 100,000.00 28.589 1,000.00 2,859,850.00

PUR 11/05/09 12665010 CVS CORP
49563 11/10/09 423150 WILLIAMS CAPITAL GROUP 100,000.00 28.654 1,000.00 2,866,360.00

PUR 11/06/09 12665010 CVS CORP
49563 11/12/09 423154 BMO CAPITAL MARKETS/EXECUTI 16,513.00 29.500 165.13 487,298.63

PUR 11/06/09 12665010 CVS CORP
49563 11/12/09 423154 MAGNA SECURITIES CORP 73,394.00 29.420 733.94 2,159,978.08

PUR 11/06/09 12665010 CVS CORP
49563 11/12/09 423154 MERIDIAN EQUITY PARTNERS 55,047.00 29.491 550.47 1,623,958.06

PUR 11/06/09 12665010 CVS CORP
49563 11/12/09 423154 WILLIAMS CAPITAL GROUP 55,046.00 29.488 550.46 1,623,741.40



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/09/09 12665010 CVS CORP
49563 11/13/09 423158 MAGNA SECURITIES CORP 100,000.00 30.268 1,000.00 3,027,770.00

PUR 11/05/09 12960310 CALGON CARBON CORP
46471 11/10/09 423150 MAGNA SECURITIES CORP 30,000.00 13.824 300.00 415,023.00

PUR 11/06/09 12960310 CALGON CARBON CORP
46471 11/12/09 423154 MAGNA SECURITIES CORP 30,000.00 14.737 300.00 442,407.00

PUR 11/23/09 15670810 CEPHALON
49789 11/27/09 423206 ITG (CHANNEL) 50,000.00 54.465 500.00 2,723,745.00

PUR 11/23/09 15670810 CEPHALON
49789 11/27/09 423206 MAGNA SECURITIES CORP 100,000.00 54.732 1,000.00 5,474,180.00

PUR 11/23/09 15670810 CEPHALON
49789 11/27/09 423206 MERRIMAN/OTC 70,000.00 54.843 700.00 3,839,738.00

PUR 11/24/09 15670810 CEPHALON
49789 11/30/09 423210 LABRANCHE/0TC 30,000.00 54.904 300.00 1,647,429.00

PUR 10/30/09 15678210 CERNER CORP.
43671 11/04/09 423132 MERRIMAN/OTC 20,000.00 75.945 200.00 1,519,104.00

PUR 11/05/09 15678210 CERNER CORP.
43671 11/10/09 423150 BUCKINGHAM RESEARCH GROUP I 10,000.00 76.984 300.00 770,144.00

PUR 11/06/09 15678210 CERNER CORP.
43671 11/12/09 423154 LABRANCHE/0TC 20,000.00 77.306 200.00 1,546,324.00

PUR 11/09/09 15678210 CERNER CORP.
43671 11/13/09 423158 SUSQUEHANNA/OTC 7,300.00 79.008 73.00 576,830.67

PUR 11/10/09 15678210 CERNER CORP.
43671 11/16/09 423162 SUSQUEHANNA/OTC 2,700.00 79.408 27.00 214,428.60

PUR 11/18/09 15678210 CERNER CORP.
43671 11/23/09 423189 MAGNA SECURITIES CORP 10,000.00 77.620 100.00 776,300.00



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/20/09 15678210 CERNER CORP.
43671 11/25/09 423201 MERRIMAN/OTC 10,000.00 75.626 100.00 756,358.00

PUR 10/29/09 16516710 CHESAPEAKE ENERGY CORP.
41852 11/03/09 423128 JP MORGAN 100,000.00 25.810 4,000.00 2,585,030.00

PUR 10/29/09 17275R10 CISCO SYSTEMS INC
39905 11/03/09 423128 BUCKINGHAM RESEARCH GROUP I 100,000.00 23.318 3,000.00 2,334,840.00

PUR 11/11/09 17275R10 CISCO SYSTEMS INC
39905 11/16/09 423166 LABRANCHE/0TC 100,000.00 23.883 1,000.00 2,389,330.00

PUR 11/12/09 17275R10 CISCO SYSTEMS INC
39905 11/17/09 423170 LABRANCHE/0TC 100,000.00 23.583 1,000.00 2,359,280.00

PUR 11/12/09 17275R10 CISCO SYSTEMS INC
39905 11/17/09 423170 MAGNA SECURITIES CORP 100,000.00 23.366 1,000.00 2,337,570.00

PUR 11/20/09 18911Q10 CLOUD PEAK ENERGY INC
49783 11/25/09 423201 CREDIT SUISSE SEC (USA) LLC 250,000.00 14.504 10,000.00 3,635,950.00

PUR 11/20/09 18911Q10 CLOUD PEAK ENERGY INC
49783 11/25/09 423201 MORGAN STANLEY 250,000.00 14.520 10,000.00 3,639,975.00

PUR 11/24/09 18911Q10 CLOUD PEAK ENERGY INC
49783 11/30/09 423210 JACKSON SECS 100,000.00 14.356 1,000.00 1,436,640.00

PUR 10/30/09 19210850 COEUR D'ALENE MINES CORP ID
47108 11/04/09 423132 SANFORD BERNSTEIN & CO. 20,000.00 19.957 800.00 399,944.00

PUR 11/02/09 19210850 COEUR D'ALENE MINES CORP ID
47108 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 20,000.00 20.738 800.00 415,562.00

PUR 11/20/09 19259P30 COINSTAR INC.
42814 11/25/09 423201 ITG (CHANNEL) 5,000.00 26.252 50.00 131,310.50

PUR 11/20/09 19259P30 COINSTAR INC.
42814 11/25/09 423201 MERRIMAN/OTC 15,000.00 26.258 150.00 394,017.00



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 10/28/09 25470M10 DISH NETWORKS
48191 11/02/09 423124 SOLEIL SECURITIES CORP. 100,000.00 17.516 3,000.00 1,754,580.00

PUR 11/18/09 25470M10 DISH NETWORKS
48191 11/23/09 423189 CASTLE OAK SECURITIES 100,000.00 19.880 1,000.00 1,988,950.00

PUR 11/19/09 25470M10 DISH NETWORKS
48191 11/24/09 423195 CASTLE OAK SECURITIES 100,000.00 19.778 1,000.00 1,978,770.00

PUR 11/02/09 26864810 EMC CORP MASS
49209 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 300,000.00 16.370 12,000.00 4,922,970.00

PUR 11/03/09 26864810 EMC CORP MASS
49209 11/06/09 423141 CITIGROUP/CITIBANK DOMESTIC 200,000.00 16.351 8,000.00 3,278,200.00

PUR 11/12/09 26864810 EMC CORP MASS
49209 11/17/09 423170 MERIDIAN EQUITY PARTNERS 100,000.00 16.805 1,000.00 1,681,480.00

PUR 11/16/09 26864810 EMC CORP MASS
49209 11/19/09 423179 GRISWOLD COMPANY 100,000.00 17.128 1,000.00 1,713,800.00

PUR 10/28/09 26969P10 EAGLE MATERIALS INC
48402 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 30,000.00 24.871 1,200.00 747,327.00

PUR 10/30/09 26969P10 EAGLE MATERIALS INC
48402 11/04/09 423132 RAYMOND JAMES & ASSOCIATES, 20,000.00 24.913 800.00 499,054.00

PUR 11/02/09 26969P10 EAGLE MATERIALS INC
48402 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 20,000.00 25.195 800.00 504,692.00

PUR 11/05/09 26969P10 EAGLE MATERIALS INC
48402 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 20,000.00 25.352 800.00 507,836.00

PUR 10/28/09 29267A20 ENER1 INC
48727 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 30,000.00 5.474 1,200.00 165,432.00

PUR 10/28/09 29267A20 ENER1 INC
48727 11/02/09 423124 RBC CAPITAL (DOMESTIC) 20,000.00 5.175 800.00 104,298.00



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 10/30/09 29267A20 ENER1 INC
48727 11/04/09 423132 RAYMOND JAMES & ASSOCIATES, 20,000.00 5.070 800.00 102,198.00

PUR 11/02/09 29267A20 ENER1 INC
48727 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 20,000.00 5.018 800.00 101,156.00

PUR 11/03/09 29267A20 ENER1 INC
48727 11/06/09 423141 CITIGROUP/CITIBANK DOMESTIC 20,000.00 5.270 800.00 106,206.00

PUR 11/05/09 29267A20 ENER1 INC
48727 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 20,000.00 5.351 800.00 107,818.00

PUR 11/06/09 29267A20 ENER1 INC
48727 11/12/09 423154 MAGNA SECURITIES CORP 20,000.00 5.391 200.00 108,014.00

PUR 11/11/09 29363910 ENTERCOM COMMUNICATIONS COR
39918 11/16/09 423166 BLAYLOCK ROBERT VAN LLC 20,000.00 6.684 200.00 133,882.00

PUR 11/20/09 29363910 ENTERCOM COMMUNICATIONS COR
39918 11/25/09 423201 BLAYLOCK ROBERT VAN LLC 10,000.00 6.301 100.00 63,108.00

PUR 11/11/09 29380T10 ENTERTAINMENT PROPERTIES TR
39916 11/16/09 423166 BLAYLOCK ROBERT VAN LLC 20,000.00 31.292 200.00 626,034.00

PUR 11/12/09 29380T10 ENTERTAINMENT PROPERTIES TR
39916 11/17/09 423170 WILLIAMS CAPITAL GROUP 20,000.00 31.283 200.00 625,854.00

PUR 11/20/09 29380T10 ENTERTAINMENT PROPERTIES TR
39916 11/25/09 423201 BMO CAPITAL MARKETS/EXECUTI 20,000.00 30.796 200.00 616,112.00

PUR 11/23/09 29380T10 ENTERTAINMENT PROPERTIES TR
39916 11/27/09 423206 WILLIAMS CAPITAL GROUP 10,000.00 31.845 100.00 318,552.00

PUR 11/10/09 30257110 FPL GROUP INC
48536 11/16/09 423162 WILLIAMS CAPITAL GROUP 20,000.00 50.659 200.00 1,013,378.00

PUR 11/23/09 30257110 FPL GROUP INC
48536 11/27/09 423206 WILLIAMS CAPITAL GROUP 10,000.00 51.917 100.00 519,268.00



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 DEUTSCHE BANK AG (DOMESTIC) 8,625.00 12.500 107,812.50

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 JMP SECURITIES 1,500.00 12.500 18,750.00

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 JP MORGAN 19,500.00 12.500 243,750.00

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 MORGAN STANLEY 22,250.00 12.500 278,125.00

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 RBC CAPITAL (DOMESTIC) 3,750.00 12.500 46,875.00

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 ROBERT W. BAIRD & CO INC 3,750.00 12.500 46,875.00

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 SIGNAL HILL CAPITAL 1,125.00 12.500 14,062.50

PUR 11/17/09 34959E10 FORTINET INC
49745 11/23/09 423193 THINKPANMURE LLC 4,500.00 12.500 56,250.00

PUR 10/28/09 35952W10 FUEL SYSTEMS SOLUTIONS INC
48126 11/02/09 423124 SOLEIL SECURITIES CORP. 20,000.00 31.000 600.00 620,598.00

PUR 11/17/09 36960410 GENERAL ELECTRIC CO.
39923 11/20/09 423183 STURDIVANT/EXECUTION 72,636.00 15.998 726.36 1,162,720.77

PUR 11/18/09 36960410 GENERAL ELECTRIC CO.
39923 11/23/09 423189 STURDIVANT/EXECUTION 27,364.00 16.000 273.64 438,097.64

PUR 11/10/09 43575830 HOLLY CORP.
39928 11/16/09 423162 WILLIAMS CAPITAL GROUP 40,000.00 28.250 400.00 1,130,396.00

PUR 11/11/09 43575830 HOLLY CORP.
39928 11/16/09 423166 BLAYLOCK ROBERT VAN LLC 20,000.00 28.747 200.00 575,132.00



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/12/09 43575830 HOLLY CORP.
39928 11/17/09 423170 WILLIAMS CAPITAL GROUP 20,000.00 28.215 200.00 564,508.00

PUR 11/20/09 43575830 HOLLY CORP.
39928 11/25/09 423201 BLAYLOCK ROBERT VAN LLC 50,000.00 26.148 500.00 1,307,915.00

PUR 11/16/09 45091110 ITT CORP.
39934 11/19/09 423179 WILLIAMS CAPITAL GROUP 20,000.00 53.122 200.00 1,062,648.00

PUR 11/20/09 45091110 ITT CORP.
39934 11/25/09 423201 WILLIAMS CAPITAL GROUP 20,000.00 50.267 200.00 1,005,540.00

PUR 11/23/09 45091110 ITT CORP.
39934 11/27/09 423206 WILLIAMS CAPITAL GROUP 10,000.00 51.604 100.00 516,140.00

PUR 10/30/09 46069010 INTERPUBLIC GROUP OF COS IN
48102 11/04/09 423132 CITIGROUP/CITIBANK DOMESTIC 100,000.00 6.046 4,000.00 608,560.00

PUR 10/30/09 46069010 INTERPUBLIC GROUP OF COS IN
48102 11/04/09 423132 COWEN AND CO., LLC 100,000.00 6.265 4,000.00 630,470.00

PUR 11/02/09 46069010 INTERPUBLIC GROUP OF COS IN
48102 11/05/09 423137 COWEN AND CO., LLC 100,000.00 5.976 4,000.00 601,640.00

PUR 11/04/09 46069010 INTERPUBLIC GROUP OF COS IN
48102 11/09/09 423145 COWEN AND CO., LLC 100,000.00 6.268 4,000.00 630,780.00

PUR 11/06/09 46575420 I2 TECHNOLOGIES
49589 11/12/09 423154 LABRANCHE/0TC 100,000.00 17.869 1,000.00 1,787,860.00

PUR 11/09/09 46575420 I2 TECHNOLOGIES
49589 11/13/09 423158 LABRANCHE/0TC 100,000.00 18.184 1,000.00 1,819,430.00

PUR 11/02/09 46603210 J&J SNACK FOODS CORP.
39938 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 4,500.00 39.278 135.00 176,884.65

PUR 11/03/09 46603210 J&J SNACK FOODS CORP.
39938 11/06/09 423141 BUCKINGHAM RESEARCH GROUP I 5,500.00 39.520 165.00 217,523.90



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/04/09 46603210 J&J SNACK FOODS CORP.
39938 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 10,000.00 39.481 300.00 395,106.00

PUR 11/16/09 46625H10 JP MORGAN CHASE & CO
39940 11/19/09 423179 CASTLE OAK SECURITIES 100,000.00 43.033 1,000.00 4,304,280.00

PUR 11/17/09 46981410 JACOBS ENGINEERING GROUP IN
47300 11/20/09 423183 GRISWOLD COMPANY 20,000.00 38.851 200.00 777,228.00

PUR 11/20/09 46981410 JACOBS ENGINEERING GROUP IN
47300 11/25/09 423201 BLAYLOCK ROBERT VAN LLC 30,000.00 36.128 300.00 1,084,146.00

PUR 11/23/09 46981410 JACOBS ENGINEERING GROUP IN
47300 11/27/09 423206 WILLIAMS CAPITAL GROUP 20,000.00 36.892 200.00 738,042.00

PUR 11/04/09 47012E10 JAKKS PACIFIC, INC.
41682 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 20,000.00 12.297 600.00 246,540.00

PUR 11/05/09 47012E10 JAKKS PACIFIC, INC.
41682 11/10/09 423150 BUCKINGHAM RESEARCH GROUP I 20,000.00 11.865 600.00 237,902.00

PUR 11/06/09 47012E10 JAKKS PACIFIC, INC.
41682 11/12/09 423154 SUSQUEHANNA/OTC 20,000.00 11.824 200.00 236,682.00

PUR 11/05/09 47816010 JOHNSON & JOHNSON
39939 11/10/09 423150 BLAYLOCK ROBERT VAN LLC 50,000.00 59.930 500.00 2,997,005.00

PUR 11/03/09 48517030 KANSAS CITY SOUTHERN
39942 11/06/09 423141 CITIGROUP/CITIBANK DOMESTIC 50,000.00 25.866 2,000.00 1,295,320.00

PUR 11/04/09 48517030 KANSAS CITY SOUTHERN
39942 11/09/09 423145 CITIGROUP/CITIBANK DOMESTIC 50,000.00 26.287 2,000.00 1,316,370.00

PUR 11/17/09 52186520 LEAR CORP
49728 11/20/09 423183 ELECTRONIC BROKERAGE SYSTEM 30,000.00 67.696 150.00 2,031,024.00

PUR 11/17/09 52186520 LEAR CORP
49728 11/20/09 423183 ELECTRONIC BROKERAGE SYSTEM 20,000.00 67.016 100.00 1,340,424.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 50,000.00 67.424 3,371,448.00
250.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 88
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/18/09 52186520 LEAR CORP
49728 11/23/09 423189 WILLIAMS CAPITAL GROUP 30,000.00 66.963 300.00 2,009,190.00

PUR 11/19/09 52186520 LEAR CORP
49728 11/24/09 423195 BLAYLOCK ROBERT VAN LLC 20,000.00 63.975 200.00 1,279,690.00

PUR 11/19/09 52186520 LEAR CORP
49728 11/24/09 423195 BMO CAPITAL MARKETS/EXECUTI 30,000.00 65.087 300.00 1,952,922.00

PUR 11/20/09 52186520 LEAR CORP
49728 11/25/09 423201 BLAYLOCK ROBERT VAN LLC 30,000.00 64.296 300.00 1,929,183.00

PUR 11/23/09 52186520 LEAR CORP
49728 11/27/09 423206 BMO CAPITAL MARKETS/EXECUTI 20,000.00 64.326 200.00 1,286,724.00

PUR 11/24/09 52186520 LEAR CORP
49728 11/30/09 423210 BLAYLOCK ROBERT VAN LLC 20,000.00 64.466 200.00 1,289,520.00

PUR 10/28/09 52490110 LEGG MASON INC
48853 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 50,000.00 30.064 2,000.00 1,505,220.00

PUR 11/20/09 52490110 LEGG MASON INC
48853 11/25/09 423201 ICAP CORPORATES LLC 100,000.00 29.310 1,000.00 2,931,950.00

PUR 11/05/09 53245710 ELI LILLY & CO.
39946 11/10/09 423150 BLAYLOCK ROBERT VAN LLC 80,000.00 34.380 800.00 2,751,168.00

PUR 11/06/09 53245710 ELI LILLY & CO.
39946 11/12/09 423154 MERIDIAN EQUITY PARTNERS 100,000.00 34.453 1,000.00 3,446,290.00

PUR 11/06/09 53591920 LIONS GATE ENTERTAINMENT CO
44270 11/12/09 423154 MAGNA SECURITIES CORP 10,000.00 5.120 100.00 51,300.00

PUR 11/16/09 53591920 LIONS GATE ENTERTAINMENT CO
44270 11/19/09 423179 WILLIAMS CAPITAL GROUP 20,000.00 5.242 200.00 105,042.00

PUR 11/17/09 53591920 LIONS GATE ENTERTAINMENT CO
44270 11/20/09 423183 GRISWOLD COMPANY 20,000.00 5.224 200.00 104,688.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 89
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/18/09 53591920 LIONS GATE ENTERTAINMENT CO
44270 11/23/09 423189 WILLIAMS CAPITAL GROUP 20,000.00 5.231 200.00 104,824.00

PUR 11/19/09 53591920 LIONS GATE ENTERTAINMENT CO
44270 11/24/09 423195 BMO CAPITAL MARKETS/EXECUTI 20,000.00 5.037 200.00 100,930.00

PUR 11/20/09 53591920 LIONS GATE ENTERTAINMENT CO
44270 11/25/09 423201 BMO CAPITAL MARKETS/EXECUTI 20,000.00 5.113 200.00 102,456.00

PUR 11/23/09 55616P10 MACY'S INC
39949 11/27/09 423206 MAGNA SECURITIES CORP 100,000.00 16.721 1,000.00 1,673,060.00

PUR 10/30/09 58933110 MERCK & CO
48506 11/04/09 423132 COWEN AND CO., LLC 150,000.00 31.545 6,000.00 4,737,780.00

PUR 10/28/09 59161R10 METRO BANCORP INC
47377 11/02/09 423124 SOLEIL SECURITIES CORP. 10,000.00 11.959 300.00 119,894.00

PUR 11/04/09 59161R10 METRO BANCORP INC
47377 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 10,000.00 11.475 300.00 115,053.00

PUR 11/06/09 59161R10 METRO BANCORP INC
47377 11/12/09 423154 SUSQUEHANNA/OTC 4,960.00 10.799 49.60 53,611.65

PUR 11/09/09 59161R10 METRO BANCORP INC
47377 11/13/09 423158 SUSQUEHANNA/OTC 5,040.00 10.977 50.40 55,376.50

PUR 11/04/09 60871R20 MOLSON COORS BREWING CO.
41268 11/09/09 423145 CITIGROUP/CITIBANK DOMESTIC 20,000.00 45.573 800.00 912,262.00

PUR 11/05/09 61166W10 MONSANTO CO.
39952 11/10/09 423150 MAGNA SECURITIES CORP 10,000.00 69.486 100.00 694,959.00

PUR 11/02/09 61945A10 MOSIAC CO
48351 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 50,000.00 47.199 2,000.00 2,361,930.00

PUR 11/03/09 61945A10 MOSIAC CO
48351 11/06/09 423141 CITIGROUP/CITIBANK DOMESTIC 20,000.00 47.879 800.00 958,384.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 90
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 61945A10 MOSIAC CO
48351 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 30,000.00 48.439 1,200.00 1,454,367.00

PUR 11/20/09 62886E10 NCR CORP
46578 11/25/09 423201 PRINCETON SECURITIES GROUP 50,000.00 9.960 500.00 498,495.00

PUR 10/28/09 75075340 RAILAMERICA INC
48835 11/02/09 423124 STIFEL NICOLAUS 30,000.00 11.469 1,200.00 345,270.00

PUR 10/29/09 75075340 RAILAMERICA INC
48835 11/03/09 423128 STIFEL NICOLAUS 20,000.00 11.789 800.00 236,574.00

PUR 10/30/09 75075340 RAILAMERICA INC
48835 11/04/09 423132 SANFORD BERNSTEIN & CO. 20,000.00 11.776 800.00 236,320.00

PUR 11/02/09 75075340 RAILAMERICA INC
48835 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 30,000.00 11.789 1,200.00 354,873.00

PUR 11/16/09 75075340 RAILAMERICA INC
48835 11/19/09 423179 WILLIAMS CAPITAL GROUP 50,000.00 12.201 500.00 610,535.00

PUR 11/17/09 75075340 RAILAMERICA INC
48835 11/20/09 423183 BMO CAPITAL MARKETS/EXECUTI 4,173.00 12.464 41.73 52,055.67

PUR 11/18/09 75075340 RAILAMERICA INC
48835 11/23/09 423189 BMO CAPITAL MARKETS/EXECUTI 45,827.00 12.411 458.27 569,235.50

PUR 11/12/09 75091710 RAMBUS INC
49654 11/17/09 423170 MERRIMAN/OTC 50,000.00 18.148 500.00 907,890.00

PUR 11/13/09 75091710 RAMBUS INC
49654 11/18/09 423175 MERRIMAN/OTC 60,000.00 18.372 600.00 1,102,926.00

PUR 11/17/09 75091710 RAMBUS INC
49654 11/20/09 423183 MAGNA SECURITIES CORP 60,000.00 18.883 600.00 1,133,592.00

PUR 11/18/09 75091710 RAMBUS INC
49654 11/23/09 423189 ITG (CHANNEL) 50,000.00 18.694 500.00 935,180.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 91
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/18/09 75091710 RAMBUS INC
49654 11/23/09 423189 MERRIMAN/OTC 50,000.00 18.696 500.00 935,280.00

PUR 11/20/09 75091710 RAMBUS INC
49654 11/25/09 423201 MERRIMAN/OTC 60,000.00 18.033 600.00 1,082,568.00

PUR 11/23/09 75091710 RAMBUS INC
49654 11/27/09 423206 ITG (CHANNEL) 30,000.00 16.850 300.00 505,794.00

PUR 11/23/09 75091710 RAMBUS INC
49654 11/27/09 423206 LABRANCHE/0TC 40,000.00 17.782 400.00 711,668.00

PUR 11/24/09 75091710 RAMBUS INC
49654 11/30/09 423210 LABRANCHE/0TC 40,000.00 17.635 400.00 705,800.00

PUR 11/05/09 7591EP10 REGIONS FINANCIAL CORP
46982 11/10/09 423150 GRISWOLD COMPANY 100,000.00 4.715 1,000.00 472,510.00

PUR 11/02/09 77937610 ROVI CORP
49208 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 40,000.00 27.719 1,200.00 1,109,964.00

PUR 11/03/09 77937610 ROVI CORP
49208 11/06/09 423141 BUCKINGHAM RESEARCH GROUP I 50,000.00 27.669 1,500.00 1,384,945.00

PUR 11/04/09 77937610 ROVI CORP
49208 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 20,000.00 27.831 600.00 557,222.00

PUR 11/05/09 77937610 ROVI CORP
49208 11/10/09 423150 SUSQUEHANNA/OTC 20,000.00 28.257 200.00 565,336.00

PUR 11/06/09 77937610 ROVI CORP
49208 11/12/09 423154 SUSQUEHANNA/OTC 4,000.00 28.589 40.00 114,395.20

PUR 11/04/09 78477410 STEC INC
48521 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 50,000.00 14.528 1,500.00 727,915.00

PUR 11/04/09 78477410 STEC INC
48521 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 100,000.00 15.789 3,000.00 1,581,860.00
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 150,000.00 15.369 2,309,775.00
4,500.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 92
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 78477410 STEC INC
48521 11/10/09 423150 BUCKINGHAM RESEARCH GROUP I 50,000.00 14.402 1,500.00 721,580.00

PUR 11/10/09 78477410 STEC INC
48521 11/16/09 423162 SUSQUEHANNA/OTC 50,000.00 13.397 500.00 670,370.00

PUR 11/13/09 78477410 STEC INC
48521 11/18/09 423175 MERRIMAN/OTC 50,000.00 13.591 500.00 680,040.00

PUR 11/05/09 80090720 SANMINA-SCI CORP
49560 11/10/09 423150 BUCKINGHAM RESEARCH GROUP I 100,000.00 8.107 3,000.00 813,710.00

PUR 11/06/09 80090720 SANMINA-SCI CORP
49560 11/12/09 423154 LABRANCHE/0TC 100,000.00 8.216 1,000.00 822,590.00

PUR 11/09/09 80090720 SANMINA-SCI CORP
49560 11/13/09 423158 LABRANCHE/0TC 100,000.00 8.454 1,000.00 846,360.00

PUR 11/12/09 80090720 SANMINA-SCI CORP
49560 11/17/09 423170 INSTINET (DOMESTIC) 17,000.00 8.399 119.00 142,905.40

PUR 11/12/09 80090720 SANMINA-SCI CORP
49560 11/17/09 423170 LABRANCHE/0TC 83,000.00 8.423 830.00 699,972.20

PUR 11/20/09 80090720 SANMINA-SCI CORP
49560 11/25/09 423201 SANDGRAIN SECURITIES 100,000.00 8.422 1,000.00 843,190.00

PUR 11/23/09 80090720 SANMINA-SCI CORP
49560 11/27/09 423206 ITG (CHANNEL) 50,000.00 8.377 500.00 419,350.00

PUR 11/24/09 80090720 SANMINA-SCI CORP
49560 11/30/09 423210 LABRANCHE/0TC 50,000.00 8.359 500.00 418,450.00

PUR 10/29/09 82028010 SHAW GROUP INC
48842 11/03/09 423128 BUCKINGHAM RESEARCH GROUP I 50,000.00 27.583 1,500.00 1,380,670.00

PUR 10/30/09 82028010 SHAW GROUP INC
48842 11/04/09 423132 MERRIMAN/OTC 20,000.00 25.711 200.00 514,412.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 93
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 82028010 SHAW GROUP INC
48842 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 30,000.00 25.578 900.00 768,252.00

PUR 11/03/09 82028010 SHAW GROUP INC
48842 11/06/09 423141 BUCKINGHAM RESEARCH GROUP I 20,000.00 25.047 600.00 501,534.00

PUR 11/04/09 82028010 SHAW GROUP INC
48842 11/09/09 423145 BUCKINGHAM RESEARCH GROUP I 20,000.00 26.099 600.00 522,584.00

PUR 10/28/09 85453210 STANLEY INC
48729 11/02/09 423124 RAYMOND JAMES & ASSOCIATES, 10,000.00 25.840 400.00 258,795.00

PUR 11/16/09 85811910 STEEL DYNAMICS INC
43421 11/19/09 423179 LABRANCHE/0TC 50,000.00 15.615 500.00 781,245.00

PUR 10/28/09 87113010 SYBASE INC
48743 11/02/09 423124 STIFEL NICOLAUS 50,000.00 39.875 2,000.00 1,995,755.00

PUR 10/29/09 87113010 SYBASE INC
48743 11/03/09 423128 JP MORGAN 50,000.00 39.960 2,000.00 1,999,975.00

PUR 11/20/09 87113010 SYBASE INC
48743 11/25/09 423201 PRINCETON SECURITIES GROUP 50,000.00 40.046 500.00 2,002,805.00

PUR 10/29/09 87150310 SYMANTEC CORP
48728 11/03/09 423128 BUCKINGHAM RESEARCH GROUP I 100,000.00 17.298 3,000.00 1,732,810.00

PUR 11/02/09 90323610 URS CORP
42782 11/05/09 423137 CITIGROUP/CITIBANK DOMESTIC 20,000.00 39.156 800.00 783,910.00

PUR 11/19/09 91126810 UNITED ONLINE, INC.
44855 11/24/09 423195 SANDGRAIN SECURITIES 50,000.00 6.992 500.00 350,095.00

PUR 11/20/09 91126810 UNITED ONLINE, INC.
44855 11/25/09 423201 MERRIMAN/OTC 50,000.00 7.019 500.00 351,455.00

PUR 11/05/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/10/09 423150 CITIGROUP/CITIBANK DOMESTIC 20,000.00 17.807 800.00 356,946.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 94
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/05/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/10/09 423150 COWEN AND CO., LLC 5,000.00 17.327 200.00 86,834.00

PUR 11/06/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/12/09 423154 MAGNA SECURITIES CORP 25,000.00 17.926 250.00 448,395.00

PUR 11/10/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/16/09 423162 WILLIAMS CAPITAL GROUP 25,000.00 17.265 250.00 431,865.00

PUR 11/12/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/17/09 423170 WILLIAMS CAPITAL GROUP 25,000.00 16.942 250.00 423,797.50

PUR 11/13/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/18/09 423175 BLAYLOCK ROBERT VAN LLC 25,000.00 16.407 250.00 410,432.50

PUR 11/17/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/20/09 423183 BMO CAPITAL MARKETS/EXECUTI 25,000.00 17.506 250.00 437,892.50

PUR 11/18/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/23/09 423189 BMO CAPITAL MARKETS/EXECUTI 20,000.00 17.471 200.00 349,622.00

PUR 11/20/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/25/09 423201 BMO CAPITAL MARKETS/EXECUTI 20,000.00 16.239 200.00 324,982.00

PUR 11/24/09 91886610 VALASSIS COMMUNICATIONS INC
42815 11/30/09 423210 BMO CAPITAL MARKETS/EXECUTI 30,000.00 15.834 300.00 475,308.00

PUR 10/28/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/02/09 423124 CITIGROUP/CITIBANK DOMESTIC 400,000.00 29.888 16,000.00 11,971,120.00

PUR 10/29/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/03/09 423128 CITIGROUP/CITIBANK DOMESTIC 200,000.00 30.078 8,000.00 6,023,580.00

PUR 10/29/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/03/09 423128 SANFORD BERNSTEIN & CO. 200,000.00 29.829 8,000.00 5,973,840.00

PUR 10/30/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/04/09 423132 COWEN AND CO., LLC 200,000.00 29.554 8,000.00 5,918,780.00



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 95
------------------------------------------------------------------------------------------------------------------------------------
TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/05/09 423137 BUCKINGHAM RESEARCH GROUP I 100,000.00 29.374 4,000.00 2,941,390.00

PUR 11/02/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/05/09 423137 COWEN AND CO., LLC 100,000.00 29.526 4,000.00 2,956,590.00

PUR 11/04/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/09/09 423145 COWEN AND CO., LLC 100,000.00 29.221 4,000.00 2,926,140.00

PUR 11/12/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/17/09 423170 MERIDIAN EQUITY PARTNERS 100,000.00 30.268 1,000.00 3,027,840.00

PUR 11/18/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/23/09 423189 PRINCETON SECURITIES GROUP 100,000.00 30.469 1,000.00 3,047,920.00

PUR 11/20/09 92343V10 VERIZON COMMUNICATIONS INC
49012 11/25/09 423201 MERIDIAN EQUITY PARTNERS 100,000.00 30.406 1,000.00 3,041,620.00

PUR 11/12/09 94974610 WELLS FARGO & COMPANY
46541 11/17/09 423170 ICAP CORPORATES LLC 200,000.00 28.580 2,000.00 5,717,900.00
-------------- ---------- -------------- --------------
SUBTOTAL STOCK PURCHASES: 13,659,200.00 352,769,390.52
280,295.00
-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 13,659,200.00 352,769,390.52
280,295.00
SALES OF STOCK AND OTHER EQUITIES
---------------------------------

SALE 11/17/09 01307810 ALBERTO-CULVER CO. 7.41
45095 11/20/09 423184 WILLIAMS CAPITAL GROUP 10,000.00 28.804 100.00 287,929.59 33,739.87

SALE 11/05/09 01880410 ALLIANT TECHSYSTEMS INC 20.88
48504 11/10/09 423151 CITIGROUP/CITIBANK DOMESTIC 10,000.00 81.245 400.00 812,028.12 45,953.06

SALE 11/12/09 01880410 ALLIANT TECHSYSTEMS INC 22.09
48504 11/17/09 423171 BMO CAPITAL MARKETS/EXECUTI 10,000.00 85.950 100.00 859,372.91 93,297.85



S T A T E O F N E W J E R S E Y 5162
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

MULTI SECTOR COMMON A (5162) -Cont. PAGE: 96
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
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SALE 11/16/09 01880410 ALLIANT TECHSYSTEMS INC 22.30
48504 11/19/09 423180 BMO CAPITAL MARKETS/EXECUTI 10,000.00 86.768 100.00 867,560.70 101,485.64

SALE 11/17/09 01880410 ALLIANT TECHSYSTEMS INC 22.20
48504 11/20/09 423184 WILLIAMS CAPITAL GROUP 10,000.00 86.365 100.00 863,527.80 97,452.74

SALE 11/18/09 01880410 ALLIANT TECHSYSTEMS INC 22.13
48504 11/23/09 423190 BLAYLOCK ROBERT VAN LLC 10,000.00 86.077 100.00 860,647.87 94,572.81

SALE 11/19/09 01880410 ALLIANT TECHSYSTEMS INC 43.44
48504 11/24/09 423196 BLAYLOCK ROBERT VAN LLC 20,000.00 84.511 200.00 1,689,972.56 157,822.43

SALE 11/24/09 01880410 ALLIANT TECHSYSTEMS INC 44.47
48504 11/30/09 423211 WILLIAMS CAPITAL GROUP 20,000.00 86.511 200.00 1,729,971.53 197,821.40

SALE 11/24/09 02040910 ALMOST FAMILY INC 9.51
44961 11/30/09 423211 MERRIMAN/OTC 10,000.00 36.981 100.00 369,703.49 200,505.22

SALE 11/05/09 03076C10 AMERIPRISE FINANCIAL INC 47.32
47266 11/10/09 423151 BLAYLOCK ROBERT VAN LLC 50,000.00 36.824 500.00 1,840,647.68 588,095.77

SALE 10/30/09 03116210 AMGEN INC. 28.08
39886 11/04/09 423133 BUCKINGHAM RESEARCH GROUP I 20,000.00 54.621 600.00 1,091,781.92 -65,588.91

SALE 11/17/09 03251110 ANADARKO PETROLEUM CORP. 32.91
39888 11/20/09 423184 WILLIAMS CAPITAL GROUP 20,000.00 64.019 200.00 1,280,141.09 841,238.34

SALE 11/20/09 03251110 ANADARKO PETROLEUM CORP. 31.31
39888 11/25/09 423202 WILLIAMS CAPITAL GROUP 20,000.00 60.901 200.00 1,217,790.69 778,887.94

SALE 11/23/09 03251110 ANADARKO PETROLEUM CORP. 31.91
39888 11/27/09 423207 BLAYLOCK ROBERT VAN LLC 20,000.00 62.064 200.00 1,241,044.09 802,141.34

SALE 11/20/09 03529010 ANIXTER INTERNATIONAL INC. 22.62
39891 11/25/09 423202 WILLIAMS CAPITAL GROUP 20,000.00 44.002 200.00 879,823.38 -101,428.10

SALE 11/17/09 04743P10 ATHEROS COMMUNICATIONS IN 14.90
48472 11/20/09 423184 LABRANCHE/0TC 20,000.00 28.983 200.00 579,439.10 34,540.64



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SALE 11/19/09 04743P10 ATHEROS COMMUNICATIONS IN 7.33
48472 11/24/09 423196 MERRIMAN/OTC 10,000.00 28.520 100.00 285,092.67 12,643.44

SALE 11/06/09 05276910 AUTODESK INC 33.76
48500 11/12/09 423155 LABRANCHE/0TC 50,000.00 26.276 500.00 1,313,251.24 123,129.74

SALE 11/12/09 05276910 AUTODESK INC 34.96
48500 11/17/09 423171 SUSQUEHANNA/OTC 50,000.00 27.204 500.00 1,359,685.04 169,563.54

SALE 11/23/09 05333210 AUTOZONE INC 76.00
48124 11/27/09 423207 BMO CAPITAL MARKETS/EXECUTI 20,000.00 147.84 200.00 2,956,598.00 36,058.14

SALE 11/24/09 05333210 AUTOZONE INC 75.64
48124 11/30/09 423211 WILLIAMS CAPITAL GROUP 20,000.00 147.14 200.00 2,942,700.36 22,160.50

SALE 10/28/09 06405810 BANK OF NEW YORK MELLON COR 71.59
44007 11/02/09 423125 LEERINK SWANN LLC 100,000.00 27.856 4,000.00 2,781,528.41 228,125.95

SALE 10/29/09 06405810 BANK OF NEW YORK MELLON COR 71.07
44007 11/03/09 423129 JP MORGAN 100,000.00 27.652 4,000.00 2,761,128.93 207,726.47

SALE 10/30/09 06405810 BANK OF NEW YORK MELLON COR 69.34
44007 11/04/09 423133 STIFEL NICOLAUS 100,000.00 26.977 4,000.00 2,693,600.66 140,198.20

SALE 11/05/09 06405810 BANK OF NEW YORK MELLON COR 67.51
44007 11/10/09 423151 BUCKINGHAM RESEARCH GROUP I 100,000.00 26.268 4,000.00 2,622,722.49 69,320.03

SALE 11/16/09 06405810 BANK OF NEW YORK MELLON COR 70.89
44007 11/19/09 423180 JACKSON SECS 100,000.00 27.580 1,000.00 2,756,969.11 203,566.65

SALE 10/30/09 12589610 CMS ENERGY CORP. 24.16
43755 11/04/09 423133 STIFEL NICOLAUS 70,000.00 13.429 2,800.00 937,191.84 202,276.83

SALE 11/02/09 12589610 CMS ENERGY CORP. 33.87
43755 11/05/09 423138 JP MORGAN 100,000.00 13.177 4,000.00 1,313,616.13 263,737.55

SALE 11/20/09 12665010 CVS CORP 40.55
49563 11/25/09 423202 BMO CAPITAL MARKETS/EXECUTI 50,000.00 31.552 500.00 1,577,079.45 126,734.14



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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SALE 11/23/09 12665010 CVS CORP 41.03
49563 11/27/09 423207 MERIDIAN EQUITY PARTNERS 50,000.00 31.928 500.00 1,595,858.97 145,513.66

SALE 11/23/09 12665010 CVS CORP 41.26
49563 11/27/09 423207 MERIDIAN EQUITY PARTNERS 50,000.00 32.106 500.00 1,604,758.74 154,413.43
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 100,000.00 32.017 82.29 3,200,617.71 299,927.09
1,000.00


SALE 11/23/09 12665010 CVS CORP 82.75
49563 11/27/09 423207 PRINCETON SECURITIES GROUP 100,000.00 32.195 1,000.00 3,218,437.25 317,746.63

SALE 11/24/09 12665010 CVS CORP 82.07
49563 11/30/09 423211 MERIDIAN EQUITY PARTNERS 100,000.00 31.933 1,000.00 3,192,257.93 291,567.31

SALE 11/24/09 12665010 CVS CORP 41.00
49563 11/30/09 423211 PRINCETON SECURITIES GROUP 50,000.00 31.906 500.00 1,594,734.00 144,388.69

SALE 11/06/09 12686C10 CABLEVISION SYSTEMS-NY GRP- 12.71
39907 11/12/09 423155 MAGNA SECURITIES CORP 20,000.00 24.713 200.00 494,055.29 -19,095.90

SALE 11/18/09 12686C10 CABLEVISION SYSTEMS-NY GRP- 13.35
39907 11/23/09 423190 BMO CAPITAL MARKETS/EXECUTI 20,000.00 25.962 200.00 519,018.65 5,867.46

SALE 11/23/09 12686C10 CABLEVISION SYSTEMS-NY GRP- 13.02
39907 11/27/09 423207 BLAYLOCK ROBERT VAN LLC 20,000.00 25.314 200.00 506,070.98 -7,080.21

SALE 10/30/09 13442910 CAMPBELL SOUP CO. 41.45
43629 11/04/09 423133 STIFEL NICOLAUS 50,000.00 32.254 2,000.00 1,610,633.55 -59,523.95

SALE 11/02/09 13442910 CAMPBELL SOUP CO. 40.72
43629 11/05/09 423138 JP MORGAN 50,000.00 31.685 2,000.00 1,582,229.28 -87,928.22

SALE 11/05/09 17275R10 CISCO SYSTEMS INC 30.60
39905 11/10/09 423151 LABRANCHE/0TC 50,000.00 23.812 500.00 1,190,069.40 303,443.15



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------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/05/09 17275R10 CISCO SYSTEMS INC 61.27
39905 11/10/09 423151 MERRIMAN/OTC 100,000.00 23.840 1,000.00 2,382,948.73 609,696.23

SALE 11/05/09 17275R10 CISCO SYSTEMS INC 30.69
39905 11/10/09 423151 SUSQUEHANNA/OTC 50,000.00 23.881 500.00 1,193,519.31 306,893.06

SALE 11/11/09 20030N20 COMCAST "A SPL" 37.21
48815 11/16/09 423167 MERRIMAN/OTC 100,000.00 14.476 1,000.00 1,446,582.79 -19,931.43

SALE 11/12/09 20030N20 COMCAST "A SPL" 37.90
48815 11/17/09 423171 SUSQUEHANNA/OTC 100,000.00 14.745 1,000.00 1,473,422.10 6,907.88

SALE 11/12/09 20030N20 COMCAST "A SPL" 37.93
48815 11/17/09 423171 SUSQUEHANNA/OTC 100,000.00 14.759 1,000.00 1,474,812.07 8,297.85
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 200,000.00 14.752 75.83 2,948,234.17 15,205.73
2,000.00


SALE 11/13/09 20030N20 COMCAST "A SPL" 37.89
48815 11/18/09 423176 MAGNA SECURITIES CORP 100,000.00 14.741 1,000.00 1,473,012.11 6,497.89

SALE 11/16/09 20030N20 COMCAST "A SPL" 38.54
48815 11/19/09 423180 SANDGRAIN SECURITIES 100,000.00 14.994 1,000.00 1,498,311.46 31,797.24

SALE 11/17/09 20030N20 COMCAST "A SPL" 38.06
48815 11/20/09 423184 LABRANCHE/0TC 100,000.00 14.808 1,000.00 1,479,801.94 13,287.71

SALE 11/18/09 20030N20 COMCAST "A SPL" 37.28
48815 11/23/09 423190 JACKSON SECS 100,000.00 14.503 1,000.00 1,449,212.72 -17,301.51

SALE 11/19/09 20030N20 COMCAST "A SPL" 36.55
48815 11/24/09 423196 JACKSON SECS 100,000.00 14.218 1,000.00 1,420,783.45 -45,730.78

SALE 11/20/09 20030N20 COMCAST "A SPL" 36.83
48815 11/25/09 423202 MURIEL SEIBERT & CO 100,000.00 14.330 1,000.00 1,431,923.17 -34,591.06



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SALE 11/02/09 20337210 COMMSCOPE INC. 20.73
39906 11/05/09 423138 JP MORGAN 30,000.00 26.877 1,200.00 805,092.27 -321,114.85

SALE 11/20/09 20825C10 CONOCOPHILLIPS 66.84
39904 11/25/09 423202 GRISWOLD COMPANY 50,000.00 52.008 500.00 2,599,838.16 903,077.16

SALE 10/30/09 21037110 CONSTELLATION ENERGY GROUP, 16.21
43011 11/04/09 423133 RAYMOND JAMES & ASSOCIATES, 20,000.00 31.525 800.00 629,681.79 137,175.55

SALE 11/05/09 21037110 CONSTELLATION ENERGY GROUP, 16.70
43011 11/10/09 423151 BUCKINGHAM RESEARCH GROUP I 20,000.00 32.487 800.00 648,921.30 156,415.06

SALE 11/09/09 21037110 CONSTELLATION ENERGY GROUP, 25.02
43011 11/13/09 423159 WILLIAMS CAPITAL GROUP 30,000.00 32.451 300.00 973,192.98 234,433.62

SALE 11/12/09 23280610 CYPRESS SEMICONDUCTOR CORP 23.47
47084 11/17/09 423171 PRINCETON SECURITIES GROUP 100,000.00 9.129 1,000.00 911,846.53 29,751.99

SALE 11/17/09 23280610 CYPRESS SEMICONDUCTOR CORP 25.05
47084 11/20/09 423184 ICAP CORPORATES LLC 100,000.00 9.748 1,000.00 973,814.95 91,720.40

SALE 11/18/09 23280610 CYPRESS SEMICONDUCTOR CORP 25.43
47084 11/23/09 423190 ICAP CORPORATES LLC 100,000.00 9.896 1,000.00 988,594.57 106,500.03

SALE 11/19/09 23280610 CYPRESS SEMICONDUCTOR CORP 24.64
47084 11/24/09 423196 GRISWOLD COMPANY 100,000.00 9.586 1,000.00 957,585.36 75,490.81

SALE 11/20/09 23280610 CYPRESS SEMICONDUCTOR CORP 24.31
47084 11/25/09 423202 MERIDIAN EQUITY PARTNERS 100,000.00 9.459 1,000.00 944,875.69 62,781.15

SALE 11/24/09 23280610 CYPRESS SEMICONDUCTOR CORP 19.94
47084 11/30/09 423211 GRISWOLD COMPANY 80,000.00 9.695 800.00 774,780.06 69,104.42

SALE 11/24/09 23280610 CYPRESS SEMICONDUCTOR CORP 5.01
47084 11/30/09 423211 SANDGRAIN SECURITIES 20,000.00 9.740 200.00 194,594.99 18,176.08

SALE 10/28/09 25189310 DEVRY 73.39
48698 11/02/09 423125 RAYMOND JAMES & ASSOCIATES, 50,000.00 57.106 2,000.00 2,853,231.61 134,698.83



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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SALE 10/28/09 25189310 DEVRY 72.08
48698 11/02/09 423125 RAYMOND JAMES & ASSOCIATES, 50,000.00 56.091 2,000.00 2,802,462.92 83,930.13
-------------- ====== ---------- -------------- --------------
2 INTRA-DAY TRANSACTIONS SUBTOTAL: 100,000.00 56.598 145.47 5,655,694.53 218,628.96
4,000.00


SALE 11/05/09 25189310 DEVRY 28.22
48698 11/10/09 423151 BMO CAPITAL MARKETS/EXECUTI 20,000.00 54.894 200.00 1,097,659.78 10,246.67

SALE 11/11/09 25189310 DEVRY 55.40
48698 11/16/09 423167 MAGNA SECURITIES CORP 40,000.00 53.885 400.00 2,154,940.60 -19,885.63

SALE 11/12/09 25189310 DEVRY 55.10
48698 11/17/09 423171 GRISWOLD COMPANY 40,000.00 53.593 400.00 2,143,280.90 -31,545.33

SALE 11/16/09 25189310 DEVRY 55.76
48698 11/19/09 423180 BMO CAPITAL MARKETS/EXECUTI 40,000.00 54.238 400.00 2,169,052.24 -5,773.99

SALE 11/17/09 25189310 DEVRY 55.89
48698 11/20/09 423184 WILLIAMS CAPITAL GROUP 40,000.00 54.364 400.00 2,174,088.11 -738.12

SALE 11/12/09 25470M10 DISH NETWORKS 53.21
48191 11/17/09 423171 SUSQUEHANNA/OTC 100,000.00 20.702 1,000.00 2,069,156.79 365,134.23

SALE 11/23/09 26353410 DU PONT (E.I.) DE NEMOURS 44.61
40720 11/27/09 423207 MERIDIAN EQUITY PARTNERS 50,000.00 34.712 500.00 1,735,075.39 -116,564.04

SALE 11/18/09 27886510 ECOLAB INC 23.57
48283 11/23/09 423190 BMO CAPITAL MARKETS/EXECUTI 20,000.00 45.856 200.00 916,894.43 73,865.43

SALE 11/19/09 27886510 ECOLAB INC 23.28
48283 11/24/09 423196 MERIDIAN EQUITY PARTNERS 20,000.00 45.280 200.00 905,376.72 62,347.72

SALE 11/20/09 27886510 ECOLAB INC 23.23
48283 11/25/09 423202 WILLIAMS CAPITAL GROUP 20,000.00 45.186 200.00 903,486.77 60,457.77



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SALE 11/23/09 27886510 ECOLAB INC 23.40
48283 11/27/09 423207 BLAYLOCK ROBERT VAN LLC 20,000.00 45.507 200.00 909,912.60 66,883.60

SALE 11/12/09 30161N10 EXELON CORP. 24.08
39920 11/17/09 423171 BMO CAPITAL MARKETS/EXECUTI 20,000.00 46.830 200.00 936,369.92 94,250.00

SALE 11/13/09 30205120 EXIDE TECHNOLOGIES 5.82
44060 11/18/09 423176 LABRANCHE/0TC 30,000.00 7.543 300.00 225,981.18 114,655.88

SALE 11/17/09 30205120 EXIDE TECHNOLOGIES 4.09
44060 11/20/09 423184 MERRIMAN/OTC 20,000.00 7.947 200.00 158,727.91 84,511.04

SALE 11/23/09 30205120 EXIDE TECHNOLOGIES 2.07
44060 11/27/09 423207 MERRIMAN/OTC 10,000.00 8.031 100.00 80,207.93 43,099.50

SALE 11/24/09 30205120 EXIDE TECHNOLOGIES 4.13
44060 11/30/09 423211 MERRIMAN/OTC 20,000.00 8.019 200.00 160,181.87 85,965.00

SALE 10/29/09 30231G10 EXXON MOBIL CORP. 93.46
39995 11/03/09 423129 JP MORGAN 50,000.00 72.729 2,000.00 3,634,356.54 1,397,424.87

SALE 11/06/09 30231G10 EXXON MOBIL CORP. 74.25
39995 11/12/09 423155 BMO CAPITAL MARKETS/EXECUTI 40,000.00 72.220 400.00 2,888,313.75 1,098,768.41

SALE 11/09/09 30231G10 EXXON MOBIL CORP. 37.48
39995 11/13/09 423159 WILLIAMS CAPITAL GROUP 20,000.00 72.908 200.00 1,457,920.52 563,147.85

SALE 11/10/09 30231G10 EXXON MOBIL CORP. 56.26
39995 11/16/09 423163 BMO CAPITAL MARKETS/EXECUTI 30,000.00 72.963 300.00 2,188,542.74 846,383.74

SALE 11/19/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 13.10
48126 11/24/09 423196 MERRIMAN/OTC 10,000.00 50.943 100.00 509,314.90 185,149.79

SALE 11/23/09 35952W10 FUEL SYSTEMS SOLUTIONS INC 12.72
48126 11/27/09 423207 LABRANCHE/0TC 10,000.00 49.497 100.00 494,860.28 170,695.17

SALE 11/20/09 36955010 GENERAL DYNAMICS CORP. 85.07
39922 11/25/09 423202 PRINCETON SECURITIES GROUP 50,000.00 66.200 500.00 3,309,429.93 965,193.29



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SALE 11/16/09 38141G10 GOLDMAN SACHS GROUP INC 45.65
46117 11/19/09 423180 BMO CAPITAL MARKETS/EXECUTI 10,000.00 177.60 100.00 1,775,885.35 356,353.39

SALE 11/17/09 38141G10 GOLDMAN SACHS GROUP INC 45.47
46117 11/20/09 423184 BMO CAPITAL MARKETS/EXECUTI 10,000.00 176.90 100.00 1,768,909.53 349,377.57

SALE 11/20/09 38141G10 GOLDMAN SACHS GROUP INC 43.97
46117 11/25/09 423202 BMO CAPITAL MARKETS/EXECUTI 10,000.00 171.06 100.00 1,710,545.03 291,013.07

SALE 11/23/09 38141G10 GOLDMAN SACHS GROUP INC 44.34
46117 11/27/09 423207 BMO CAPITAL MARKETS/EXECUTI 10,000.00 172.51 100.00 1,724,957.66 305,425.70

SALE 11/24/09 38141G10 GOLDMAN SACHS GROUP INC 88.02
46117 11/30/09 423211 WILLIAMS CAPITAL GROUP 20,000.00 171.24 200.00 3,424,611.98 585,548.07

SALE 11/12/09 38259P50 GOOGLE INC. 29.38
39926 11/17/09 423171 LABRANCHE/0TC 2,000.00 571.64 20.00 1,143,247.22 286,935.57

SALE 11/17/09 38259P50 GOOGLE INC. 29.59
39926 11/20/09 423184 MERRIMAN/OTC 2,000.00 575.51 20.00 1,150,969.41 294,657.76

SALE 11/18/09 38259P50 GOOGLE INC. 29.56
39926 11/23/09 423190 MERRIMAN/OTC 2,000.00 575.03 20.00 1,150,022.44 293,710.79

SALE 10/28/09 42823610 HEWLETT-PACKARD CO 121.59
46749 11/02/09 423125 COWEN AND CO., LLC 100,000.00 47.310 4,000.00 4,726,888.41 620,687.50

SALE 11/02/09 42823610 HEWLETT-PACKARD CO 123.52
46749 11/05/09 423138 BUCKINGHAM RESEARCH GROUP I 100,000.00 48.062 4,000.00 4,802,076.48 695,875.57

SALE 11/03/09 42823610 HEWLETT-PACKARD CO 122.59
46749 11/06/09 423142 COWEN AND CO., LLC 100,000.00 47.697 4,000.00 4,765,577.41 659,376.50

SALE 11/20/09 42823610 HEWLETT-PACKARD CO 25.72
46749 11/25/09 423202 BLAYLOCK ROBERT VAN LLC 20,000.00 50.038 200.00 1,000,526.28 179,286.10

SALE 11/20/09 42823610 HEWLETT-PACKARD CO 25.62
46749 11/25/09 423202 WILLIAMS CAPITAL GROUP 20,000.00 49.834 200.00 996,444.38 175,204.20



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SALE 11/23/09 42823610 HEWLETT-PACKARD CO 26.17
46749 11/27/09 423207 BLAYLOCK ROBERT VAN LLC 20,000.00 50.913 200.00 1,018,039.83 196,799.65

SALE 11/05/09 43707610 HOME DEPOT INC 65.76
48820 11/10/09 423151 WILLIAMS CAPITAL GROUP 100,000.00 25.585 1,000.00 2,557,474.24 -180,646.87

SALE 11/06/09 43707610 HOME DEPOT INC 33.62
48820 11/12/09 423155 BLAYLOCK ROBERT VAN LLC 50,000.00 26.161 500.00 1,307,511.38 -61,549.18

SALE 11/17/09 43707610 HOME DEPOT INC 34.48
48820 11/20/09 423184 PRINCETON SECURITIES GROUP 50,000.00 26.833 500.00 1,341,090.52 -27,970.04

SALE 11/20/09 43707610 HOME DEPOT INC 69.55
48820 11/25/09 423202 MURIEL SEIBERT & CO 100,000.00 27.059 1,000.00 2,704,780.45 -33,340.66

SALE 11/23/09 43707610 HOME DEPOT INC 70.60
48820 11/27/09 423207 MERIDIAN EQUITY PARTNERS 100,000.00 27.471 1,000.00 2,745,989.40 7,868.29

SALE 11/24/09 43707610 HOME DEPOT INC 70.76
48820 11/30/09 423211 GRISWOLD COMPANY 100,000.00 27.531 1,000.00 2,751,999.24 13,878.13

SALE 11/23/09 43851610 HONEYWELL INTERNATIONAL INC 39.63
46469 11/27/09 423207 MERIDIAN EQUITY PARTNERS 40,000.00 38.543 400.00 1,541,260.37 269,145.70

SALE 10/30/09 44701110 HUNTSMAN CORP. 20.77
41547 11/04/09 423133 STIFEL NICOLAUS 100,000.00 8.078 4,000.00 803,799.23 -82,622.17

SALE 11/05/09 44993410 IMS HEALTH INC 133.46
48921 11/10/09 423151 ICAP CORPORATES LLC 250,000.00 20.772 2,500.00 5,190,291.54 807,624.87

SALE 11/05/09 44993410 IMS HEALTH INC 53.58
48921 11/10/09 423151 MERIDIAN EQUITY PARTNERS 100,000.00 20.845 1,000.00 2,083,486.42 330,419.75

SALE 11/05/09 44993410 IMS HEALTH INC 133.49
48921 11/10/09 423151 PRINCETON SECURITIES GROUP 250,000.00 20.776 2,500.00 5,191,391.51 808,724.85

SALE 11/06/09 44993410 IMS HEALTH INC 53.47
48921 11/12/09 423155 MERIDIAN EQUITY PARTNERS 100,000.00 20.802 1,000.00 2,079,176.53 326,109.86



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SALE 11/06/09 44993410 IMS HEALTH INC 106.87
48921 11/12/09 423155 WILLIAMS CAPITAL GROUP 200,000.00 20.791 2,000.00 4,156,033.13 649,899.80

SALE 11/12/09 45814010 INTEL CORP 51.22
46920 11/17/09 423171 MAGNA SECURITIES CORP 100,000.00 19.928 1,000.00 1,991,698.78 187,612.67

SALE 11/16/09 45814010 INTEL CORP 51.92
46920 11/19/09 423180 MURIEL SEIBERT & CO 100,000.00 20.202 1,000.00 2,019,178.08 215,091.97

SALE 11/18/09 45814010 INTEL CORP 51.57
46920 11/23/09 423190 SANDGRAIN SECURITIES 100,000.00 20.064 1,000.00 2,005,318.43 201,232.32

SALE 11/20/09 45814010 INTEL CORP 49.22
46920 11/25/09 423202 JACKSON SECS 100,000.00 19.150 1,000.00 1,913,960.78 109,874.67

SALE 10/28/09 46204410 ION GEOPHYSICAL CORP 10.11
47696 11/02/09 423125 COWEN AND CO., LLC 100,000.00 3.931 4,000.00 389,049.89 157,255.28

SALE 10/30/09 46204410 ION GEOPHYSICAL CORP 5.09
47696 11/04/09 423133 STIFEL NICOLAUS 50,000.00 3.956 2,000.00 195,804.91 79,907.60

SALE 11/11/09 46204410 ION GEOPHYSICAL CORP 13.88
47696 11/16/09 423167 ICAP CORPORATES LLC 100,000.00 5.401 1,000.00 539,036.12 307,241.51

SALE 11/12/09 46204410 ION GEOPHYSICAL CORP 13.20
47696 11/17/09 423171 PRINCETON SECURITIES GROUP 100,000.00 5.135 1,000.00 512,496.80 280,702.18

SALE 11/16/09 46204410 ION GEOPHYSICAL CORP 13.42
47696 11/19/09 423180 STURDIVANT/EXECUTION 100,000.00 5.219 1,000.00 520,926.58 289,131.97

SALE 11/17/09 46204410 ION GEOPHYSICAL CORP 14.40
47696 11/20/09 423184 PRINCETON SECURITIES GROUP 100,000.00 5.602 1,000.00 559,215.60 327,420.98

SALE 11/18/09 46204410 ION GEOPHYSICAL CORP 14.64
47696 11/23/09 423190 MERIDIAN EQUITY PARTNERS 100,000.00 5.696 1,000.00 568,565.36 336,770.75

SALE 11/19/09 46204410 ION GEOPHYSICAL CORP 14.38
47696 11/24/09 423196 ICAP CORPORATES LLC 100,000.00 5.595 1,000.00 558,455.62 326,661.00



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SALE 10/30/09 47110910 JARDEN CORP 14.18
48339 11/04/09 423133 RAYMOND JAMES & ASSOCIATES, 20,000.00 27.579 800.00 550,755.82 67,108.82

SALE 11/02/09 47110910 JARDEN CORP 20.42
48339 11/05/09 423138 JP MORGAN 30,000.00 26.484 1,200.00 793,299.58 67,829.08

SALE 11/06/09 47110910 JARDEN CORP 6.85
48339 11/12/09 423155 MAGNA SECURITIES CORP 10,000.00 26.629 100.00 266,178.15 24,354.65

SALE 11/10/09 47110910 JARDEN CORP 14.45
48339 11/16/09 423163 BMO CAPITAL MARKETS/EXECUTI 20,000.00 28.108 200.00 561,951.55 78,304.55

SALE 11/11/09 47110910 JARDEN CORP 15.05
48339 11/16/09 423167 MAGNA SECURITIES CORP 20,000.00 29.269 200.00 585,158.95 101,511.95

SALE 11/12/09 47110910 JARDEN CORP 15.00
48339 11/17/09 423171 BMO CAPITAL MARKETS/EXECUTI 20,000.00 29.171 200.00 583,209.00 99,562.00

SALE 11/13/09 47110910 JARDEN CORP 14.96
48339 11/18/09 423176 BMO CAPITAL MARKETS/EXECUTI 20,000.00 29.095 200.00 581,693.04 98,046.04

SALE 11/02/09 47836610 JOHNSON CONTROLS INC 25.20
48030 11/05/09 423138 CITIGROUP/CITIBANK DOMESTIC 40,000.00 24.505 1,600.00 978,554.80 -41,003.71

SALE 11/11/09 47836610 JOHNSON CONTROLS INC 13.95
48030 11/16/09 423167 MAGNA SECURITIES CORP 20,000.00 27.127 200.00 542,320.05 32,540.80

SALE 11/17/09 47836610 JOHNSON CONTROLS INC 36.15
48030 11/20/09 423184 MERIDIAN EQUITY PARTNERS 50,000.00 28.127 500.00 1,405,828.85 131,380.71

SALE 11/18/09 47836610 JOHNSON CONTROLS INC 35.84
48030 11/23/09 423190 BLAYLOCK ROBERT VAN LLC 50,000.00 27.886 500.00 1,393,774.16 119,326.02

SALE 11/19/09 47836610 JOHNSON CONTROLS INC 34.92
48030 11/24/09 423196 MERIDIAN EQUITY PARTNERS 50,000.00 27.175 500.00 1,358,215.08 83,766.94

SALE 11/17/09 48517030 KANSAS CITY SOUTHERN 15.00
39942 11/20/09 423184 MERIDIAN EQUITY PARTNERS 20,000.00 29.175 200.00 583,285.00 51,714.42



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SALE 11/18/09 48517030 KANSAS CITY SOUTHERN 15.07
39942 11/23/09 423190 WILLIAMS CAPITAL GROUP 20,000.00 29.314 200.00 586,058.93 54,488.35

SALE 10/30/09 50207910 LMI AEROSPACE INC. 5.63
40010 11/04/09 423133 BUCKINGHAM RESEARCH GROUP I 20,000.00 10.939 600.00 218,174.37 -122,963.13

SALE 11/12/09 50207910 LMI AEROSPACE INC. 3.38
40010 11/17/09 423171 SUSQUEHANNA/OTC 10,000.00 13.116 100.00 131,051.62 -39,517.13

SALE 11/13/09 50207910 LMI AEROSPACE INC. 3.41
40010 11/18/09 423176 LABRANCHE/0TC 10,000.00 13.253 100.00 132,430.59 -38,138.16

SALE 11/20/09 50207910 LMI AEROSPACE INC. 3.02
40010 11/25/09 423202 MERRIMAN/OTC 10,000.00 11.739 100.00 117,283.98 -53,284.77

SALE 11/23/09 50207910 LMI AEROSPACE INC. 3.09
40010 11/27/09 423207 MERRIMAN/OTC 10,000.00 11.997 100.00 119,868.91 -50,699.84

SALE 10/30/09 53983010 LOCKHEED MARTIN 124.63
47134 11/04/09 423133 STIFEL NICOLAUS 70,000.00 69.275 2,800.00 4,846,346.37 -1,090,507.63

SALE 11/02/09 53983010 LOCKHEED MARTIN 53.10
47134 11/05/09 423138 JP MORGAN 30,000.00 68.870 1,200.00 2,064,837.90 -479,528.10

SALE 10/30/09 54142L10 LOGMEIN INC 5.16
47584 11/04/09 423133 MERRIMAN/OTC 10,000.00 20.050 100.00 200,394.84 14,218.90

SALE 11/02/09 54142L10 LOGMEIN INC 5.16
47584 11/05/09 423138 BUCKINGHAM RESEARCH GROUP I 10,000.00 20.049 300.00 200,182.84 14,006.90

SALE 11/16/09 54142L10 LOGMEIN INC 5.03
47584 11/19/09 423180 MERRIMAN/OTC 10,000.00 19.541 100.00 195,305.97 9,130.03

SALE 11/02/09 55608B10 MACQUARIE INFRASTRUCTURE CO 9.64
41252 11/05/09 423138 JP MORGAN 50,000.00 7.496 2,000.00 372,810.36 -782,622.80

SALE 11/09/09 55608B10 MACQUARIE INFRASTRUCTURE CO 11.30
41252 11/13/09 423159 BMO CAPITAL MARKETS/EXECUTI 50,000.00 8.790 500.00 439,003.70 -716,429.46



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SALE 11/23/09 58469030 MEDICIS PHARM-CL A 12.24
46431 11/27/09 423207 WILLIAMS CAPITAL GROUP 20,000.00 23.809 200.00 475,957.76 163,953.63

SALE 10/30/09 59491810 MICROSOFT CORP. 71.31
39954 11/04/09 423133 SOLEIL SECURITIES CORP. 100,000.00 27.745 3,000.00 2,771,388.69 2,040,346.36

SALE 11/03/09 59491810 MICROSOFT CORP. 70.82
39954 11/06/09 423142 BUCKINGHAM RESEARCH GROUP I 100,000.00 27.556 3,000.00 2,752,569.18 2,021,526.85

SALE 11/17/09 61166W10 MONSANTO CO. 39.81
39952 11/20/09 423184 CASTLE OAK SECURITIES 20,000.00 77.446 200.00 1,548,684.19 122,674.32

SALE 11/20/09 61945A10 MOSIAC CO 28.26
48351 11/25/09 423202 BLAYLOCK ROBERT VAN LLC 20,000.00 54.980 200.00 1,099,371.74 112,165.29

SALE 10/30/09 62886E10 NCR CORP 13.24
46578 11/04/09 423133 STIFEL NICOLAUS 50,000.00 10.296 2,000.00 512,776.76 -25,183.80

SALE 11/20/09 62937750 NRG ENERGY INC. 30.66
43551 11/25/09 423202 BMO CAPITAL MARKETS/EXECUTI 50,000.00 23.854 500.00 1,192,159.34 128,184.76

SALE 11/23/09 62937750 NRG ENERGY INC. 30.95
43551 11/27/09 423207 MERIDIAN EQUITY PARTNERS 50,000.00 24.081 500.00 1,203,509.05 139,534.46

SALE 10/29/09 62944T10 NVR INC 8.84
48032 11/03/09 423129 RAYMOND JAMES & ASSOCIATES, 500.00 687.40 20.00 343,671.16 23,726.78

SALE 10/30/09 62944T10 NVR INC 13.99
48032 11/04/09 423133 RAYMOND JAMES & ASSOCIATES, 800.00 680.25 32.00 544,161.21 32,250.20

SALE 11/04/09 62944T10 NVR INC 12.24
48032 11/09/09 423146 RAYMOND JAMES & ASSOCIATES, 700.00 680.00 28.00 475,959.76 28,037.63

SALE 11/12/09 62944T10 NVR INC 17.87
48032 11/17/09 423171 BMO CAPITAL MARKETS/EXECUTI 1,000.00 695.23 10.00 695,206.13 55,317.37

SALE 11/16/09 62944T10 NVR INC 3.95
48032 11/19/09 423180 BMO CAPITAL MARKETS/EXECUTI 223.00 688.00 2.23 153,417.82 10,722.63



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SALE 11/18/09 62944T10 NVR INC 3.13
48032 11/23/09 423190 BMO CAPITAL MARKETS/EXECUTI 177.00 688.00 1.77 121,771.10 8,510.79

SALE 11/12/09 63530910 NATIONAL CINEMEDIA INC. 9.81
41081 11/17/09 423171 MAGNA SECURITIES CORP 25,000.00 15.258 250.00 381,187.69 29,390.74

SALE 11/13/09 63530910 NATIONAL CINEMEDIA INC. 9.68
41081 11/18/09 423176 MAGNA SECURITIES CORP 25,000.00 15.065 250.00 376,372.82 24,575.87

SALE 10/28/09 65011110 NEW YORK TIMES 11.34
48780 11/02/09 423125 RAYMOND JAMES & ASSOCIATES, 50,000.00 8.821 2,000.00 439,028.66 22,489.38

SALE 10/29/09 65011110 NEW YORK TIMES 11.30
48780 11/03/09 423129 JP MORGAN 50,000.00 8.793 2,000.00 437,633.70 21,094.41

SALE 11/06/09 65011110 NEW YORK TIMES 10.50
48780 11/12/09 423155 BMO CAPITAL MARKETS/EXECUTI 50,000.00 8.167 500.00 407,829.50 -8,709.79

SALE 11/09/09 65011110 NEW YORK TIMES 10.79
48780 11/13/09 423159 BMO CAPITAL MARKETS/EXECUTI 50,000.00 8.391 500.00 419,054.21 2,514.92

SALE 11/10/09 65011110 NEW YORK TIMES 11.10
48780 11/16/09 423163 BMO CAPITAL MARKETS/EXECUTI 50,000.00 8.637 500.00 431,318.90 14,779.62

SALE 11/12/09 65011110 NEW YORK TIMES 11.65
48780 11/17/09 423171 GRISWOLD COMPANY 50,000.00 9.066 500.00 452,773.35 36,234.06

SALE 11/13/09 65011110 NEW YORK TIMES 11.60
48780 11/18/09 423176 BMO CAPITAL MARKETS/EXECUTI 50,000.00 9.023 500.00 450,648.40 34,109.12

SALE 11/18/09 65011110 NEW YORK TIMES 12.02
48780 11/23/09 423190 BLAYLOCK ROBERT VAN LLC 50,000.00 9.352 500.00 467,107.98 50,568.69

SALE 11/19/09 65011110 NEW YORK TIMES 11.45
48780 11/24/09 423196 MERIDIAN EQUITY PARTNERS 50,000.00 8.908 500.00 444,868.55 28,329.27

SALE 11/20/09 65011110 NEW YORK TIMES 11.02
48780 11/25/09 423202 PRINCETON SECURITIES GROUP 50,000.00 8.571 500.00 428,048.98 11,509.69



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SALE 11/23/09 65011110 NEW YORK TIMES 11.45
48780 11/27/09 423207 GRISWOLD COMPANY 50,000.00 8.908 500.00 444,873.55 28,334.27

SALE 11/04/09 65163910 NEWMONT MINING CORP. 36.88
42997 11/09/09 423146 CITIGROUP/CITIBANK DOMESTIC 30,000.00 47.830 1,200.00 1,433,660.12 247,716.89

SALE 11/10/09 65163910 NEWMONT MINING CORP. 25.91
42997 11/16/09 423163 BMO CAPITAL MARKETS/EXECUTI 20,000.00 50.392 200.00 1,007,612.09 216,983.27

SALE 11/18/09 65163910 NEWMONT MINING CORP. 27.42
42997 11/23/09 423190 WILLIAMS CAPITAL GROUP 20,000.00 53.330 200.00 1,066,362.58 275,733.76

SALE 10/28/09 65584410 NORFOLK SOUTHERN CORP 60.06
46257 11/02/09 423125 RAYMOND JAMES & ASSOCIATES, 50,000.00 46.734 2,000.00 2,334,639.94 529,674.94

SALE 11/04/09 65584410 NORFOLK SOUTHERN CORP 127.37
46257 11/09/09 423146 COWEN AND CO., LLC 100,000.00 49.559 4,000.00 4,951,742.63 1,341,812.63

SALE 10/30/09 66680710 NORTHROP GRUMMAN CORP. 25.78
40323 11/04/09 423133 SANFORD BERNSTEIN & CO. 20,000.00 50.148 800.00 1,002,140.22 -341,965.10

SALE 11/02/09 66680710 NORTHROP GRUMMAN CORP. 77.79
40323 11/05/09 423138 CITIGROUP/CITIBANK DOMESTIC 60,000.00 50.441 2,400.00 3,023,982.21 -1,008,333.76

SALE 11/03/09 66680710 NORTHROP GRUMMAN CORP. 38.55
40323 11/06/09 423142 COWEN AND CO., LLC 30,000.00 49.987 1,200.00 1,498,377.45 -517,780.53

SALE 11/05/09 67018T10 NU SKIN ENTERPRISES INC. 12.68
39958 11/10/09 423151 BMO CAPITAL MARKETS/EXECUTI 20,000.00 24.669 200.00 493,161.32 186,073.95

SALE 11/20/09 67018T10 NU SKIN ENTERPRISES INC. 13.37
39958 11/25/09 423202 MAGNA SECURITIES CORP 20,000.00 26.010 200.00 519,982.63 212,895.26

SALE 10/28/09 68389X10 ORACLE CORP 109.78
46205 11/02/09 423125 SOLEIL SECURITIES CORP. 200,000.00 21.357 6,000.00 4,265,230.22 366,127.10

SALE 11/23/09 68389X10 ORACLE CORP 58.19
46205 11/27/09 423207 INSTINET (PORTAL) 100,000.00 22.642 700.00 2,263,441.81 313,890.25



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SALE 11/02/09 69331C10 P G & E CORP 105.12
41416 11/05/09 423138 COWEN AND CO., LLC 100,000.00 40.900 4,000.00 4,085,854.88 197,583.77

SALE 11/17/09 70454910 PEABODY ENERGY CORP. 23.59
39898 11/20/09 423184 WILLIAMS CAPITAL GROUP 20,000.00 45.892 200.00 917,620.41 286,536.58

SALE 11/20/09 70454910 PEABODY ENERGY CORP. 114.68
39898 11/25/09 423202 BMO CAPITAL MARKETS/EXECUTI 100,000.00 44.621 1,000.00 4,460,945.32 1,305,526.17

SALE 11/20/09 70454910 PEABODY ENERGY CORP. 23.17
39898 11/25/09 423202 MAGNA SECURITIES CORP 20,000.00 45.076 200.00 901,286.83 270,203.00

SALE 11/20/09 70454910 PEABODY ENERGY CORP. 22.86
39898 11/25/09 423202 WILLIAMS CAPITAL GROUP 20,000.00 44.459 200.00 888,953.14 257,869.31

SALE 11/23/09 70454910 PEABODY ENERGY CORP. 35.78
39898 11/27/09 423207 BMO CAPITAL MARKETS/EXECUTI 30,000.00 46.396 300.00 1,391,547.22 444,921.48

SALE 11/24/09 70454910 PEABODY ENERGY CORP. 23.19
39898 11/30/09 423211 BLAYLOCK ROBERT VAN LLC 20,000.00 45.108 200.00 901,926.81 270,842.98

SALE 11/02/09 71817210 PHILIP MORRIS INTERNATIONAL 74.78
40653 11/05/09 423138 CITIGROUP/CITIBANK DOMESTIC 60,000.00 48.491 2,400.00 2,907,009.22 431,476.40

SALE 10/29/09 72925110 PLUM CREEK TIMBER CO INC 16.30
46289 11/03/09 423129 RAYMOND JAMES & ASSOCIATES, 20,000.00 31.707 800.00 633,313.70 -5,471.51

SALE 11/20/09 72925110 PLUM CREEK TIMBER CO INC 17.60
46289 11/25/09 423202 MAGNA SECURITIES CORP 20,000.00 34.228 200.00 684,332.40 45,547.19

SALE 10/29/09 74271810 PROCTER & GAMBLE CO. 152.73
39964 11/03/09 423129 CITIGROUP/CITIBANK DOMESTIC 100,000.00 59.425 4,000.00 5,938,387.27 3,516,988.54

SALE 10/29/09 74271810 PROCTER & GAMBLE CO. 152.48
39964 11/03/09 423129 SANFORD BERNSTEIN & CO. 100,000.00 59.328 4,000.00 5,928,607.52 3,507,208.79

SALE 11/20/09 74271810 PROCTER & GAMBLE CO. 31.70
39964 11/25/09 423202 ELECTRONIC BROKERAGE SYSTEM 20,000.00 61.678 100.00 1,233,436.30 749,156.55



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 10/28/09 75893210 REGIS CORP 8.27
47649 11/02/09 423125 RAYMOND JAMES & ASSOCIATES, 20,000.00 16.071 800.00 320,609.73 71,157.80

SALE 11/02/09 75893210 REGIS CORP 8.24
47649 11/05/09 423138 JP MORGAN 20,000.00 16.023 800.00 319,655.76 70,203.83

SALE 11/04/09 75893210 REGIS CORP 8.51
47649 11/09/09 423146 CITIGROUP/CITIBANK DOMESTIC 20,000.00 16.543 800.00 330,043.49 80,591.56

SALE 11/05/09 75893210 REGIS CORP 8.33
47649 11/10/09 423151 BMO CAPITAL MARKETS/EXECUTI 20,000.00 16.198 200.00 323,747.67 74,295.74

SALE 11/06/09 75893210 REGIS CORP 8.40
47649 11/12/09 423155 BMO CAPITAL MARKETS/EXECUTI 20,000.00 16.331 200.00 326,405.60 76,953.67

SALE 11/09/09 75893210 REGIS CORP 8.33
47649 11/13/09 423159 WILLIAMS CAPITAL GROUP 20,000.00 16.196 200.00 323,703.67 74,251.74

SALE 11/23/09 75893210 REGIS CORP 8.34
47649 11/27/09 423207 BLAYLOCK ROBERT VAN LLC 20,000.00 16.220 200.00 324,191.66 74,739.73

SALE 10/28/09 83269640 JM SMUCKER CO/THE 13.43
43667 11/02/09 423125 RAYMOND JAMES & ASSOCIATES, 10,000.00 52.253 400.00 522,115.57 104,610.05

SALE 10/29/09 83269640 JM SMUCKER CO/THE 13.45
43667 11/03/09 423129 RAYMOND JAMES & ASSOCIATES, 10,000.00 52.317 400.00 522,756.55 105,251.03

SALE 10/30/09 83269640 JM SMUCKER CO/THE 13.49
43667 11/04/09 423133 RAYMOND JAMES & ASSOCIATES, 10,000.00 52.482 400.00 524,403.51 106,897.99

SALE 11/02/09 83269640 JM SMUCKER CO/THE 13.53
43667 11/05/09 423138 JP MORGAN 10,000.00 52.616 400.00 525,745.47 108,239.95

SALE 11/04/09 83269640 JM SMUCKER CO/THE 26.89
43667 11/09/09 423146 CITIGROUP/CITIBANK DOMESTIC 20,000.00 52.299 800.00 1,045,143.11 210,132.07

SALE 11/05/09 83269640 JM SMUCKER CO/THE 13.44
43667 11/10/09 423151 BMO CAPITAL MARKETS/EXECUTI 10,000.00 52.275 100.00 522,634.56 105,129.04



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
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SALE 11/20/09 83269640 JM SMUCKER CO/THE 14.45
43667 11/25/09 423202 MAGNA SECURITIES CORP 10,000.00 56.224 100.00 562,126.55 144,621.03

SALE 11/20/09 83269640 JM SMUCKER CO/THE 14.43
43667 11/25/09 423202 WILLIAMS CAPITAL GROUP 10,000.00 56.139 100.00 561,279.57 143,774.05

SALE 11/23/09 83269640 JM SMUCKER CO/THE 14.95
43667 11/27/09 423207 BLAYLOCK ROBERT VAN LLC 10,000.00 58.149 100.00 581,372.05 163,866.53

SALE 11/23/09 83269640 JM SMUCKER CO/THE 29.96
43667 11/27/09 423207 BMO CAPITAL MARKETS/EXECUTI 20,000.00 58.284 200.00 1,165,450.04 330,439.00

SALE 11/05/09 86681020 SUN MICROSYSTEM 63.89
48956 11/10/09 423151 BUCKINGHAM RESEARCH GROUP I 300,000.00 8.287 9,000.00 2,476,916.11 -98,106.39

SALE 11/06/09 86681020 SUN MICROSYSTEM 41.84
48956 11/12/09 423155 LABRANCHE/0TC 200,000.00 8.140 2,000.00 1,625,878.16 -90,803.51

SALE 11/06/09 86681020 SUN MICROSYSTEM 20.99
48956 11/12/09 423155 MERRIMAN/OTC 100,000.00 8.165 1,000.00 815,439.01 -42,901.82

SALE 11/09/09 86681020 SUN MICROSYSTEM 63.34
48956 11/13/09 423159 MERRIMAN/OTC 300,000.00 8.215 3,000.00 2,461,496.66 -113,525.84

SALE 11/23/09 87150310 SYMANTEC CORP 46.33
48728 11/27/09 423207 INSTINET (PORTAL) 100,000.00 18.025 700.00 1,801,703.67 145,850.77

SALE 11/23/09 87157D10 SYNAPTICS INCORPORATED 13.46
40599 11/27/09 423207 INSTINET (PORTAL) 20,000.00 26.174 140.00 523,328.54 23,977.10

SALE 11/23/09 88731730 TIME WARNER INC 82.85
45488 11/27/09 423207 GRISWOLD COMPANY 100,000.00 32.235 1,000.00 3,222,427.15 115,822.96

SALE 11/24/09 88731730 TIME WARNER INC 40.47
45488 11/30/09 423211 BLAYLOCK ROBERT VAN LLC 50,000.00 31.490 500.00 1,573,939.53 20,637.43

SALE 11/24/09 88731730 TIME WARNER INC 122.08
45488 11/30/09 423211 ICAP CORPORATES LLC 150,000.00 31.668 1,500.00 4,748,592.92 88,686.63



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/02/09 88732J20 TIME WARNER CABLE INC 20.52
45483 11/05/09 423138 JP MORGAN 20,000.00 39.922 800.00 797,619.48 30,753.29

SALE 11/23/09 88732J20 TIME WARNER CABLE INC 22.29
45483 11/27/09 423207 WILLIAMS CAPITAL GROUP 20,000.00 43.362 200.00 867,017.71 100,151.52

SALE 10/30/09 88870610 TIVO INC. 14.16
39983 11/04/09 423133 BUCKINGHAM RESEARCH GROUP I 50,000.00 11.017 1,500.00 549,335.84 170,611.80

SALE 11/05/09 90297330 US BANCORP 60.12
46667 11/10/09 423151 GRISWOLD COMPANY 100,000.00 23.391 1,000.00 2,338,029.88 567,339.47

SALE 11/04/09 91324P10 UTD HEALTH GROUP 72.22
48814 11/09/09 423146 CITIGROUP/CITIBANK DOMESTIC 100,000.00 28.100 4,000.00 2,805,937.78 341,197.78

SALE 11/05/09 91324P10 UTD HEALTH GROUP 72.05
48814 11/10/09 423151 BUCKINGHAM RESEARCH GROUP I 100,000.00 28.035 4,000.00 2,799,377.95 334,637.95

SALE 11/05/09 91324P10 UTD HEALTH GROUP 71.89
48814 11/10/09 423151 PRINCETON SECURITIES GROUP 100,000.00 27.969 1,000.00 2,795,858.11 331,118.11

SALE 10/29/09 92343E10 VERISIGN INC 59.52
47836 11/03/09 423129 BUCKINGHAM RESEARCH GROUP I 100,000.00 23.157 3,000.00 2,312,610.48 306,376.03

SALE 11/23/09 92343E10 VERISIGN INC 56.59
47836 11/27/09 423207 ITG (CHANNEL) 100,000.00 22.017 1,000.00 2,200,653.41 194,418.96

SALE 11/20/09 96216610 WEYERHAEUSER CO 58.32
46168 11/25/09 423202 CASTLE OAK SECURITIES 60,000.00 37.821 600.00 2,268,571.68 317,911.85

SALE 11/23/09 96216610 WEYERHAEUSER CO 20.15
46168 11/27/09 423207 BMO CAPITAL MARKETS/EXECUTI 20,000.00 39.190 200.00 783,585.85 133,365.91

SALE 10/28/09 98074510 WOODWARD GOVERNOR CO. 12.41
41161 11/02/09 423125 SOLEIL SECURITIES CORP. 20,000.00 24.138 600.00 482,139.59 -121,759.01

SALE 10/28/09 98156Q10 WORLD WRESTLING ENTERTAINME 4.95
43281 11/02/09 423125 RBC CAPITAL (DOMESTIC) 14,000.00 13.755 560.00 192,007.85 2,408.65



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 10/29/09 98156Q10 WORLD WRESTLING ENTERTAINME 2.10
43281 11/03/09 423129 RBC CAPITAL (DOMESTIC) 6,000.00 13.562 240.00 81,128.70 -128.10

SALE 11/03/09 98156Q10 WORLD WRESTLING ENTERTAINME 6.86
43281 11/06/09 423142 COWEN AND CO., LLC 20,000.00 13.339 800.00 265,965.14 -4,890.86

SALE 11/06/09 98156Q10 WORLD WRESTLING ENTERTAINME 11.30
43281 11/12/09 423155 BMO CAPITAL MARKETS/EXECUTI 30,000.00 14.648 300.00 439,125.70 32,841.70

SALE 11/06/09 98156Q10 WORLD WRESTLING ENTERTAINME 7.45
43281 11/12/09 423155 MAGNA SECURITIES CORP 20,000.00 14.480 200.00 289,398.55 18,542.55

SALE 11/10/09 98156Q10 WORLD WRESTLING ENTERTAINME 11.90
43281 11/16/09 423163 BMO CAPITAL MARKETS/EXECUTI 30,000.00 15.427 300.00 462,483.10 56,199.10

SALE 11/12/09 98156Q10 WORLD WRESTLING ENTERTAINME 11.90
43281 11/17/09 423171 BMO CAPITAL MARKETS/EXECUTI 30,000.00 15.433 300.00 462,690.10 56,406.10

SALE 11/17/09 98156Q10 WORLD WRESTLING ENTERTAINME 12.30
43281 11/20/09 423184 MERIDIAN EQUITY PARTNERS 30,000.00 15.945 300.00 478,034.70 71,750.70

SALE 11/20/09 98156Q10 WORLD WRESTLING ENTERTAINME 16.47
43281 11/25/09 423202 CASTLE OAK SECURITIES 40,000.00 16.020 400.00 640,387.53 98,675.53

SALE 11/23/09 98156Q10 WORLD WRESTLING ENTERTAINME 8.19
43281 11/27/09 423207 WILLIAMS CAPITAL GROUP 20,000.00 15.922 200.00 318,229.81 47,373.81

SALE 11/24/09 98156Q10 WORLD WRESTLING ENTERTAINME 12.20
43281 11/30/09 423211 WILLIAMS CAPITAL GROUP 30,000.00 15.822 300.00 474,353.80 68,069.80

SALE 10/29/09 98433210 YAHOO! INC. 41.14
39997 11/03/09 423129 BUCKINGHAM RESEARCH GROUP I 100,000.00 16.005 3,000.00 1,597,458.86 89,647.83

SALE 11/20/09 98433210 YAHOO! INC. 80.26
39997 11/25/09 423202 MERRIMAN/OTC 200,000.00 15.614 2,000.00 3,120,739.74 105,117.69
-------------- ---------- -------------- --------------
SUBTOTAL STOCK SALES: 13,379,400.00 9,160.88 356,160,064.52 47,927,155.41
240,194.00
-------------- ---------- -------------- --------------
TOTAL FUND SALES: 13,379,400.00 9,160.88 356,160,064.52 47,927,155.41
240,194.00

END OF REPORT FOR: MULTI SECTOR COMMON A



S T A T E O F N E W J E R S E Y 5163
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

LOGAN CIRCLE (5163) PAGE: 116
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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF FIXED INCOME SECURITIES
-----------------------------------

PUR 11/10/09 080555AJ BELO CORP 8.0000 8.375
49694 11/16/09 288218 LOGAN CIRCLE 11/15/16 140,000.00 98.045 137,263.00

PUR 11/18/09 18538TAA CLEARWIRE COMM/FINANCE 12.0000 12.500
49801 11/24/09 288218 LOGAN CIRCLE 12/01/15 225,000.00 97.921 220,322.25

PUR 11/19/09 18538TAA CLEARWIRE COMM/FINANCE 12.0000 12.118
49801 11/24/09 288218 LOGAN CIRCLE 12/01/15 90,000.00 99.500 89,550.00

PUR 11/13/09 199300AA COLUMBUS INTL 11.5000 11.500
49772 11/20/09 288218 LOGAN CIRCLE 11/20/14 350,000.00 100.00 350,000.00

PUR 10/27/09 21079UAB CONTINENTAL AIRLINES INC 9.2500 9.260
49623 11/10/09 288218 LOGAN CIRCLE 5/10/17 280,000.00 100.00 280,000.00

PUR 11/03/09 221643AC COTT BEVERAGES INC 8.3750 8.625
49667 11/13/09 288218 LOGAN CIRCLE 11/15/17 150,000.00 98.575 147,862.50

PUR 11/03/09 221643AC COTT BEVERAGES INC 8.3750 8.594
49667 11/13/09 288218 LOGAN CIRCLE 11/15/17 150,000.00 98.750 148,125.00

PUR 11/13/09 319963AP FIRST DATA CORP 9.8750 11.927
43480 11/18/09 288218 LOGAN CIRCLE 9/24/15 10,000.00 91.500 9,150.00

PUR 10/29/09 36155WAE GCI INC 8.6250 8.750
49232 11/03/09 288218 LOGAN CIRCLE 11/15/19 355,000.00 99.170 352,053.50

PUR 11/06/09 370290AD GENERAL MARITIME CORP 12.0000 12.500
49647 11/12/09 288218 LOGAN CIRCLE 11/15/17 540,000.00 97.512 526,564.80

PUR 10/28/09 390064AL GREAT ATLANTIC PAC 11.3750 10.424
49197 11/02/09 288218 LOGAN CIRCLE 8/01/15 200,000.00 104.00 208,000.00

PUR 11/02/09 390064AL GREAT ATLANTIC PAC 11.3750 10.480
49197 11/05/09 288218 LOGAN CIRCLE 8/01/15 50,000.00 103.75 51,875.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/24/09 421924BF HEALTHSOUTH CORP 10.7500 8.904
49836 11/30/09 288218 LOGAN CIRCLE 6/15/16 175,000.00 109.00 190,750.00

PUR 11/03/09 422248AA HEALTH NET INC 6.3750 8.560
44821 11/06/09 288218 LOGAN CIRCLE 6/01/17 100,000.00 88.000 88,000.00

PUR 11/19/09 479269AE JOHNSONDIVERSEY HOLD INC 8.2500 8.374
49803 11/24/09 288218 LOGAN CIRCLE 11/15/19 265,000.00 99.170 262,800.50

PUR 10/28/09 485161AE KANSAS CITY SOUTHERN MEX 12.5000 9.872
47862 11/02/09 288218 LOGAN CIRCLE 4/01/16 100,000.00 112.25 112,250.00

PUR 11/05/09 552953AE M G M MIRAGE 8.3750 12.770
49621 11/10/09 288218 LOGAN CIRCLE 2/01/11 350,000.00 95.125 332,937.50

PUR 11/03/09 554273AC MACDERMID INC 9.5000 10.687
42091 11/06/09 288218 LOGAN CIRCLE 4/15/17 55,000.00 94.000 51,700.00

PUR 11/18/09 562567AF MANDALAY RESORT 9.3750 8.596
42092 11/23/09 288218 LOGAN CIRCLE 2/15/10 125,000.00 100.12 125,156.25

PUR 11/24/09 629360AB NPC INTL INC 9.5000 9.995
48129 11/30/09 288218 LOGAN CIRCLE 5/01/14 25,000.00 98.250 24,562.50

PUR 11/03/09 64110LAA NETFLIX INC 8.5000 8.499
49580 11/06/09 288218 LOGAN CIRCLE 11/15/17 140,000.00 100.00 140,000.00

PUR 10/30/09 65409QAJ NIELSEN FIN LLC 1.948
49236 11/04/09 288218 LOGAN CIRCLE 8/01/16 360,000.00 87.750 315,900.00

PUR 10/28/09 656533AB NORSKE SKOGIND 6.1250 15.941
42093 11/02/09 288218 LOGAN CIRCLE 10/15/15 125,000.00 63.125 78,906.25

PUR 11/16/09 68385BAA OPTI CANADA INC 9.0000 10.157
49773 11/20/09 288218 LOGAN CIRCLE 12/15/12 535,000.00 97.000 518,950.00

PUR 11/02/09 716495AB PETROHAWK ENERGY 9.1250 7.773
42317 11/05/09 288218 LOGAN CIRCLE 7/15/13 60,000.00 104.25 62,550.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

LOGAN CIRCLE (5163) -Cont. PAGE: 118
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/02/09 74837RAE QUICKSILVER RESOURCES IN 8.2500 8.638
49573 11/05/09 288218 LOGAN CIRCLE 8/01/15 360,000.00 98.250 353,700.00

PUR 10/29/09 761733AA REYNOLDS GROUP ESCROW 7.7500 7.997
49572 11/05/09 288218 LOGAN CIRCLE 10/15/16 350,000.00 98.695 345,432.50

PUR 11/18/09 86184BAA STONEMOR/CORNERSTN/OSIR 10.2500 10.750
49802 11/24/09 288218 LOGAN CIRCLE 12/01/17 135,000.00 97.352 131,425.20

PUR 11/18/09 87264MAE TRW AUTOMOTIVE INC 8.8750 9.000
49793 11/23/09 288218 LOGAN CIRCLE 12/01/17 225,000.00 99.292 223,407.00

PUR 11/02/09 882330AH TEXAS COMPETITIVE 11.2500 11.250
45627 11/02/09 288218 LOGAN CIRCLE 11/01/16 47.00 100.00 47.00

PUR 11/10/09 896818AC TRIUMPH GROUP 8.0000 8.250
49695 11/16/09 288218 LOGAN CIRCLE 11/15/17 90,000.00 98.558 88,702.20

PUR 11/05/09 89855VAB TUBE CITY IMS CORP 9.7500 11.563
49622 11/10/09 288218 LOGAN CIRCLE 2/01/15 65,000.00 93.000 60,450.00

PUR 11/17/09 90320RAA UPC GERMANY 8.1250 8.167
49774 11/20/09 288218 LOGAN CIRCLE 12/01/17 250,000.00 99.750 249,375.00

PUR 11/17/09 90320RAA UPC GERMANY 8.1250 8.500
49774 11/20/09 288218 LOGAN CIRCLE 12/01/17 250,000.00 97.844 244,610.00

PUR 10/27/09 913405AD UNIV CITY DEVEL 8.7500 8.999
49581 11/06/09 288218 LOGAN CIRCLE 11/15/15 185,000.00 98.856 182,883.60

PUR 10/27/09 913405AF UNIV CITY DEVEL 10.8750 11.125
49582 11/06/09 288218 LOGAN CIRCLE 11/15/16 95,000.00 98.796 93,856.20

PUR 11/04/09 92769VAB VIRGIN MEDIA FIANCE 8.3750 8.622
49604 11/09/09 288218 POST ADVISORY 10/15/19 200,000.00 98.364 196,728.00

PUR 11/04/09 97314XAE WIND ACQUISITION FIN 11.7500 9.293
49608 11/09/09 288218 LOGAN CIRCLE 7/15/17 550,000.00 113.25 622,875.00
-------------- ---------- -------------- --------------
SUBTOTAL FIXED PURCHASES: 7,710,047.00 7,618,720.75

-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 7,710,047.00 7,618,720.75



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

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SALES OF FIXED INCOME SECURITIES
--------------------------------

SALE 11/10/09 080555AJ BELO CORP 8.0000 8.375
49694 11/16/09 288218 LOGAN CIRCLE 11/15/16 140,000.00 100.37 140,525.00 3,262.00

SALE 11/19/09 09747FAA BOISE PAPER HOLDINGS LLC 9.0000 9.125
48993 11/23/09 288218 LOGAN CIRCLE 11/01/17 150,000.00 102.00 153,000.00 4,059.71

SALE 11/03/09 125896BC CMS ENERGY 8.7500 9.000
47327 11/06/09 288218 LOGAN CIRCLE 6/15/19 75,000.00 108.75 81,562.50 7,764.00

SALE 10/29/09 165167CD CHESAPEAKE ENERGY 9.5000 9.776
44800 11/03/09 288218 LOGAN CIRCLE 2/15/15 280,000.00 109.00 305,200.00 28,411.41

SALE 11/09/09 20605PAA CONCHO RESOURCES INC 8.6250 8.875
48534 11/13/09 288218 LOGAN CIRCLE 10/01/17 185,000.00 102.75 190,087.50 7,702.73

SALE 10/27/09 21079UAB CONTINENTAL AIRLINES INC 9.2500 9.260
49623 11/10/09 288218 LOGAN CIRCLE 5/10/17 280,000.00 100.62 281,750.00 1,750.00

SALE 11/12/09 221643AB COTT BEVERAGES USA INC 8.0000 8.373
48810 11/13/09 288218 LOGAN CIRCLE 12/15/11 250,000.00 100.50 251,250.00 3,032.63

SALE 10/30/09 24869QAB DENNYS HOLDINGS INCORPORATE 10.0000 11.133
42156 11/02/09 288218 LOGAN CIRCLE 10/01/12 50,000.00 101.87 50,937.50 2,324.65

SALE 10/29/09 35906AAA FRONTIER COMMUNICATIONS 8.2500 10.369
46088 11/03/09 288218 LOGAN CIRCLE 5/01/14 100,000.00 103.00 103,000.00 10,462.60

SALE 10/30/09 373298BE GEORGIA PACIFIC CORP 9.5000 8.724
42237 11/04/09 288218 LOGAN CIRCLE 12/01/11 210,000.00 108.12 227,062.50 14,054.99

SALE 11/13/09 404119AU HCA INC 9.1250 9.119
48232 11/18/09 288218 LOGAN CIRCLE 11/15/14 100,000.00 104.87 104,875.00 4,875.00

SALE 11/17/09 44980YAK IPCS INC 4.9256 6.517
42259 11/20/09 288218 LOGAN CIRCLE 5/01/13 390,000.00 88.250 344,175.00 3,444.10



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

LOGAN CIRCLE (5163) -Cont. PAGE: 120
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/17/09 45763UAC INMARSAT FINANCE 10.3750 9.402
46718 11/20/09 288218 LOGAN CIRCLE 11/15/12 700,000.00 103.65 725,550.00 8,194.59

SALE 11/19/09 479269AE JOHNSONDIVERSEY HOLD INC 8.2500 8.374
49803 11/24/09 288218 LOGAN CIRCLE 11/15/19 265,000.00 100.37 265,993.75 3,193.25

SALE 10/30/09 552953BM MGM MIRAGE INC 11.3750 11.994
48565 11/02/09 288218 LOGAN CIRCLE 3/01/18 250,000.00 88.000 220,000.00 -21,889.13

SALE 11/05/09 552953BM MGM MIRAGE INC 11.3750 11.994
48565 11/10/09 288218 LOGAN CIRCLE 3/01/18 200,000.00 88.750 177,500.00 -16,017.31

SALE 11/13/09 58446VAE MEDIACOM BROADBD LLC 8.5000 8.285
48732 11/18/09 288218 LOGAN CIRCLE 10/15/15 250,000.00 100.00 250,000.00 -2,441.16

SALE 11/24/09 58446VAE MEDIACOM BROADBD LLC 8.5000 8.285
48732 11/25/09 288218 LOGAN CIRCLE 10/15/15 75,000.00 100.00 75,000.00 -728.95

SALE 11/17/09 62941FAG NTL CABLE PLC 8.7500 9.239
46478 11/20/09 288218 LOGAN CIRCLE 4/15/14 750,000.00 103.65 777,375.00 40,514.60

SALE 11/03/09 64110LAA NETFLIX INC 8.5000 8.499
49580 11/06/09 288218 LOGAN CIRCLE 11/15/17 140,000.00 101.25 141,750.00 1,750.00

SALE 11/02/09 74837RAG QUICKSILVER RESOURCES 9.1250 9.500
48131 11/05/09 288218 LOGAN CIRCLE 8/15/19 345,000.00 101.50 350,175.00 13,388.09

SALE 11/24/09 767201AH RIO TINTO FIN USA LT 9.0000 9.375
46196 11/30/09 288218 LOGAN CIRCLE 5/01/19 360,000.00 126.70 456,148.80 104,526.97

SALE 11/09/09 85205TAA SPIRIT AEROSYSTEMS INC 7.5000 7.875
48724 11/13/09 288218 LOGAN CIRCLE 10/01/17 185,000.00 99.250 183,612.50 2,654.23

SALE 11/17/09 874227AA TALECRIS BIOTHER 7.7500 7.661
48944 11/20/09 288218 LOGAN CIRCLE 11/15/16 175,000.00 101.50 177,625.00 1,801.72

SALE 11/18/09 896818AC TRIUMPH GROUP 8.0000 8.250
49695 11/23/09 288218 LOGAN CIRCLE 11/15/17 90,000.00 100.25 90,225.00 1,523.23



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

LOGAN CIRCLE (5163) -Cont. PAGE: 121
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 10/28/09 913405AD UNIV CITY DEVEL 8.7500 8.999
49581 11/06/09 288218 LOGAN CIRCLE 11/15/15 185,000.00 98.250 181,762.50 -1,121.10

SALE 10/29/09 913405AF UNIV CITY DEVEL 10.8750 11.125
49582 11/06/09 288218 LOGAN CIRCLE 11/15/16 95,000.00 100.25 95,237.50 1,381.30

SALE 11/17/09 92769VAB VIRGIN MEDIA FIANCE 8.3750 8.622
49604 11/20/09 288218 LOGAN CIRCLE 10/15/19 200,000.00 100.25 200,500.00 3,772.85

SALE 10/29/09 939322AY WASHINGTON MUTUAL INC 7.2500 17.107
42184 11/03/09 288218 LOGAN CIRCLE 11/01/17 165,000.00 72.500 119,625.00 24,106.71
-------------- ---------- -------------- --------------
SUBTOTAL FIXED SALES: 6,640,000.00 6,721,505.05 255,753.71

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 6,640,000.00 6,721,505.05 255,753.71


END OF REPORT FOR: LOGAN CIRCLE



S T A T E O F N E W J E R S E Y 5164
D I V I S I O N O F I N V E S T M E N T

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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

POST ADVISORY (5164) PAGE: 122
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF FIXED INCOME SECURITIES
-----------------------------------

PUR 10/28/09 034918AF ANGIOTECH PHARMACEUTICAL 4.1106 8.981
49213 11/02/09 288219 POST ADVISORY 12/01/13 1,600,000.00 83.500 1,336,000.00

PUR 11/12/09 034918AF ANGIOTECH PHARMACEUTICAL 4.1106 9.199
49213 11/17/09 288219 POST ADVISORY 12/01/13 400,000.00 82.984 331,936.00

PUR 11/24/09 14055XAH CAPITAL SOURCE INC 12.7500 11.420
47867 11/30/09 288219 POST ADVISORY 7/15/14 325,000.00 104.64 340,096.25

PUR 11/24/09 204780AC COMPUCOM SYSTEMS 12.5000 12.119
46466 11/30/09 288219 POST ADVISORY 10/01/15 400,000.00 101.52 406,080.00

PUR 11/09/09 345397VL FORD MOTOR CRED L P 8.7000 8.505
49670 11/13/09 288219 POST ADVISORY 10/01/14 1,400,000.00 100.75 1,410,500.00

PUR 10/27/09 35638PAC FREEDOM GROUP INC 10.2500 8.833
49227 11/03/09 288219 POST ADVISORY 8/01/15 250,000.00 106.25 265,625.00

PUR 11/18/09 35638PAC FREEDOM GROUP INC 10.2500 8.905
49227 11/23/09 288319 POST ADVISORY 8/01/15 550,000.00 105.87 582,312.50

PUR 11/24/09 368682AH GENCORP INC 9.5000 9.978
49829 11/30/09 288219 POST ADVISORY 8/15/13 500,000.00 98.520 492,600.00

PUR 11/02/09 412690AA HARLAND CLARKE HLD 6.0000 10.448
46770 11/05/09 288219 POST ADVISORY 5/15/15 500,000.00 81.500 407,500.00

PUR 11/02/09 460690BF INTERPUBLIC GROUP COS 10.0000 8.641
49571 11/05/09 288219 POST ADVISORY 7/15/17 450,000.00 107.50 483,750.00

PUR 11/20/09 47926PAC JOHNSONDIVERSEY 10.5000 11.156
49805 11/24/09 288219 POST ADVISORY 5/15/20 975,000.00 96.000 936,000.00

PUR 11/17/09 51508LAJ LANDRYS REST 11.6250 12.000
49830 11/30/09 288219 POST ADVISORY 12/01/15 1,050,000.00 98.427 1,033,483.50



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

POST ADVISORY (5164) -Cont. PAGE: 123
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/24/09 56845TAG MARINER ENERGY INC 11.7500 9.508
47261 11/30/09 288219 POST ADVISORY 6/30/16 225,000.00 110.77 249,232.50

PUR 10/29/09 62704PAA MURRAY ENERGY 10.2500 10.362
49228 11/03/09 288219 POST ADVISORY 10/15/15 500,000.00 99.500 497,500.00

PUR 11/04/09 62704PAA MURRAY ENERGY 10.2500 10.419
49228 11/09/09 288219 POST ADVISORY 10/15/15 375,000.00 99.250 372,187.50

PUR 11/24/09 62704PAA MURRAY ENERGY 10.2500 10.472
49228 11/30/09 288219 POST ADVISORY 10/15/15 250,000.00 99.020 247,550.00

PUR 10/22/09 639365AC NAVIOS MARITIME HLDS/FIN 8.8750 9.125
49216 11/02/09 288219 POST ADVISORY 11/01/17 1,100,000.00 98.603 1,084,633.00

PUR 11/19/09 67000XAB NOVELIS INC 7.2500 9.665
49804 11/24/09 288219 POST ADVISORY 2/15/15 1,350,000.00 90.250 1,218,375.00

PUR 11/18/09 81760NAE SERVICEMASTER COMPANY 10.7500 10.385
48871 11/30/09 288219 POST ADVISORY 7/15/15 300,000.00 101.50 304,500.00

PUR 11/18/09 86184BAA STONEMOR/CORNERSTN/OSIR 10.2500 10.484
49811 11/25/09 288319 POST ADVISORY 12/01/17 425,000.00 98.750 419,687.50

PUR 11/18/09 86184BAA STONEMOR/CORNERSTN/OSIR 10.2500 10.750
49811 11/24/09 288219 POST ADVISORY 12/01/17 725,000.00 97.352 705,802.00

PUR 11/02/09 882330AH TEXAS COMPETITIVE 11.2500 11.250
46040 11/02/09 288219 POST ADVISORY 11/01/16 37.00 100.00 37.00

PUR 11/06/09 89421EAA TRAVELPORT LLC 4.9856 8.360
48950 11/12/09 288219 POST ADVISORY 9/01/14 450,000.00 86.750 390,375.00

PUR 11/20/09 89421EAC TRAVELPORT LLC 11.8750 11.702
49810 11/25/09 288219 POST ADVISORY 9/01/16 400,000.00 100.75 403,000.00

PUR 11/17/09 90320RAA UPC GERMANY 8.1250 8.500
49775 11/20/09 288219 POST ADVISORY 12/01/17 1,650,000.00 97.844 1,614,426.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

POST ADVISORY (5164) -Cont. PAGE: 124
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 11/10/09 911365AU UNITED RENTALS NORTH AM 9.2500 9.501
49710 11/17/09 288219 POST ADVISORY 12/15/19 1,750,000.00 98.382 1,721,685.00

PUR 10/29/09 918866AR VALASSIS COMMUNICATION 8.2500 9.461
48524 11/03/09 288219 POST ADVISORY 3/01/15 450,000.00 95.000 427,500.00

PUR 11/24/09 918866AR VALASSIS COMMUNICATION 8.2500 8.723
48524 11/30/09 288219 POST ADVISORY 3/01/15 250,000.00 98.020 245,050.00
-------------- ---------- -------------- --------------
SUBTOTAL FIXED PURCHASES: 18,600,037.00 17,927,423.75

-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 18,600,037.00 17,927,423.75

SALES OF FIXED INCOME SECURITIES
--------------------------------

SALE 11/24/09 022089AC ALTRA INDL MOTION IN 9.0000 12.502
46606 11/25/09 288219 POST ADVISORY 12/01/11 1,000,000.00 102.50 1,025,000.00 85,809.13

SALE 11/24/09 126304AU CSC HOLDINGS INC 8.5000 8.180
46612 11/30/09 288219 POST ADVISORY 6/15/15 1,500,000.00 105.25 1,578,750.00 57,794.32

SALE 11/17/09 15133VAG CENTENNIAL COMMUNICATIONS 10.0000 7.941
46242 11/20/09 288219 POST ADVISORY 1/01/13 1,270,000.00 105.59 1,340,993.00 294.30

SALE 11/17/09 151352AB CENTENNIAL COMMUNICATIONS 8.1250 7.599
47502 11/20/09 288219 POST ADVISORY 2/01/14 750,000.00 104.22 781,650.00 17,819.11

SALE 11/02/09 25459HAG DIRECTTV HOLDINGS 7.6250 7.752
43836 11/05/09 288219 POST ADVISORY 5/15/16 1,250,000.00 108.00 1,350,000.00 108,071.22

SALE 11/09/09 345397VE FORD MTR CR CO 9.7500 9.632
48012 11/13/09 288219 POST ADVISORY 9/15/10 1,475,000.00 102.90 1,517,775.00 41,773.36

SALE 10/29/09 382550AY GOODYEAR TIRE 6.3175 5.214
45963 11/03/09 288219 POST ADVISORY 12/01/09 1,500,000.00 100.00 1,500,000.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

POST ADVISORY (5164) -Cont. PAGE: 125
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


SALE 11/02/09 421915EH HCP INC 5.6500 13.198
45968 11/03/09 288219 POST ADVISORY 12/15/13 25,000.00 100.00 25,000.00 5,853.71

SALE 11/24/09 42330PAA HELIX ENERGY 9.5000 9.474
42136 11/30/09 288219 POST ADVISORY 1/15/16 400,000.00 101.25 405,000.00 4,607.24

SALE 11/17/09 45822EAH INTELSAT SUBSIDIARY HLDG 8.5000 12.742
47560 11/20/09 288219 POST ADVISORY 1/15/13 50,000.00 101.00 50,500.00 5,883.39

SALE 11/17/09 45822EAJ INTELSAT SUBSIDIARY HLDG 8.8750 9.187
47602 11/20/09 288219 POST ADVISORY 1/15/15 500,000.00 102.50 512,500.00 18,888.35

SALE 11/16/09 462846AB IRON MTN INC 7.7500 7.921
48044 11/19/09 288219 POST ADVISORY 1/15/15 800,000.00 100.87 807,000.00 12,813.75

SALE 11/17/09 471109AB JARDEN CORP 7.5000 9.357
45978 11/20/09 288219 POST ADVISORY 5/01/17 60,000.00 99.750 59,850.00 5,735.44

SALE 11/20/09 832248AS SMITHFIELD FOODS INC 10.0000 11.000
47629 11/25/09 288219 POST ADVISORY 7/15/14 725,000.00 104.75 759,437.50 60,439.75

SALE 11/24/09 868536AT SUPERVALU INC 8.0000 8.579
47769 11/30/09 288219 POST ADVISORY 5/01/16 1,500,000.00 101.87 1,528,125.00 70,520.87

SALE 11/24/09 902494AS TYSON FOODS INC 10.5000 8.990
48250 11/27/09 288219 POST ADVISORY 3/01/14 690,000.00 113.00 779,700.00 53,678.87

SALE 11/17/09 92658TAM VIDEOTRON LTEE 9.1250 8.378
46185 11/20/09 288219 POST ADVISORY 4/15/18 1,000,000.00 107.75 1,077,500.00 33,240.16
-------------- ---------- -------------- --------------
SUBTOTAL FIXED SALES: 14,495,000.00 15,098,780.50 583,222.97

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 14,495,000.00 15,098,780.50 583,222.97


END OF REPORT FOR: POST ADVISORY



S T A T E O F N E W J E R S E Y 5166
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

PIMCO (5166) PAGE: 126
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF FIXED INCOME SECURITIES
-----------------------------------

PUR 11/02/09 882330AH TEXAS COMPETITIVE 11.2500 11.250
45878 11/02/09 288220 PIMCO 11/01/16 5,347.00 100.00 5,347.00

PUR 11/24/09 909317BE UNITED AIRLINES INC 9.7500 9.476
49835 11/30/09 288220 PIMCO 1/15/17 5,000,000.00 101.37 5,068,750.00

PUR 11/19/09 97314XAA WIND ACQUISIT 10.7500 9.103
45889 11/24/09 288220 PIMCO 12/01/15 400,000.00 107.50 430,000.00
-------------- ---------- -------------- --------------
SUBTOTAL FIXED PURCHASES: 5,405,347.00 5,504,097.00

-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 5,405,347.00 5,504,097.00

SALES OF FIXED INCOME SECURITIES
--------------------------------

SALE 11/30/09 12502CAD CCH II LLC & 10.2500 12.107
45768 11/30/09 288320 PIMCO 9/15/10 90,000.00 114.27 102,847.04 14,106.68

SALE 11/19/09 421915EH HEALTH CARE PROP 5.6500 8.388
46767 11/24/09 288220 PIMCO 12/15/13 1,100,000.00 101.50 1,116,577.00 118,444.47

SALE 11/17/09 68383KAB OPTI CANADA INCORPORATED 8.2500 8.071
42109 11/20/09 288220 PIMCO 12/15/14 100,000.00 82.500 82,500.00 -18,222.71

SALE 11/17/09 68383KAB OPTI CANADA INCORPORATED 8.2500 8.071
42109 11/20/09 288220 PIMCO 12/15/14 100,000.00 82.250 82,250.00 -18,472.71

SALE 11/18/09 80007PAF SANDRIDGE ENERGY INC 8.6250 15.659
44473 11/23/09 288220 PIMCO 4/01/15 150,000.00 97.000 145,500.00 32,876.21

SALE 11/18/09 80007PAF SANDRIDGE ENERGY INC 8.6250 15.659
44473 11/23/09 288220 PIMCO 4/01/15 150,000.00 97.000 145,500.00 32,876.20
-------------- ---------- -------------- --------------
SUBTOTAL FIXED SALES: 1,690,000.00 1,675,174.04 161,608.14

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 1,690,000.00 1,675,174.04 161,608.14


END OF REPORT FOR: PIMCO



S T A T E O F N E W J E R S E Y 5167
D I V I S I O N O F I N V E S T M E N T

DETAIL REPORT OF SECURITIES TRANSACTIONS
DURING THE PERIOD 11/01/09 THROUGH 11/30/09

NOMURA (5167) PAGE: 127
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------

PURCHASE OF FIXED INCOME SECURITIES
-----------------------------------

PUR 11/23/09 007903AP ADVANCED MICRO DEVICES 8.1250 10.000
49831 11/30/09 288221 NOMURA 12/15/17 125,000.00 89.796 112,245.00

PUR 11/16/09 02208RAA ALTRA HOLDINGS INC 8.1250 8.375
49809 11/25/09 288221 NOMURA 12/01/16 125,000.00 98.691 123,363.75

PUR 11/23/09 03070QAK AMERISTAR CASINOS 9.2500 8.436
47066 11/27/09 288221 NOMURA 6/01/14 225,000.00 103.00 231,750.00

PUR 11/10/09 080555AJ BELO CORP 8.0000 8.375
49692 11/16/09 288221 NOMURA 11/15/16 200,000.00 98.045 196,090.00

PUR 11/18/09 18538TAA CLEARWIRE COMM/FINANCE 12.0000 12.500
49800 11/24/09 288221 NOMURA 12/01/15 875,000.00 97.921 856,808.75

PUR 11/20/09 18911MAA CLOUD PEAK ENERGY RES/FIN 8.2500 8.375
49807 11/25/09 288221 NOMURA 12/15/17 225,000.00 99.268 223,353.00

PUR 11/20/09 18911MAB CLOUD PEAK ENERGY RES/FIN 8.5000 8.625
49808 11/25/09 288221 NOMURA 12/15/19 225,000.00 99.160 223,110.00

PUR 11/13/09 23918KAH DAVITA INC 7.2500 7.304
47660 11/18/09 288221 NOMURA 3/15/15 125,000.00 99.750 124,687.50

PUR 11/04/09 25470XAB DISH DBC CORP 7.8750 7.580
49605 11/09/09 288221 NOMURA 9/01/19 325,000.00 102.00 331,500.00

PUR 11/04/09 29255WAH ENCORE ACQUISITION CO 7.2500 7.166
49609 11/09/09 288221 NOMURA 12/01/17 200,000.00 100.50 201,000.00

PUR 11/12/09 345397VC FORD MOTOR CREDIT 8.0000 8.092
49709 11/17/09 288221 NOMURA 12/15/16 100,000.00 99.500 99,500.00

PUR 11/12/09 345397VC FORD MOTOR CREDIT 8.0000 8.092
49709 11/17/09 288221 NOMURA 12/15/16 200,000.00 99.500 199,000.00



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DURING THE PERIOD 11/01/09 THROUGH 11/30/09

NOMURA (5167) -Cont. PAGE: 128
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TRXN/ TRADE/ CUSIP/ SECURITY DESCRIPTION/ RATE/ YIELD/ EXPENSE/
INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
------ -------- -------- --------------------------- -------- -------------- ------ ---------- -------------- --------------


PUR 10/27/09 35638PAC FREEDOM GROUP INC 10.2500 8.833
49229 11/03/09 288221 NOMURA 8/01/15 100,000.00 106.25 106,250.00

PUR 10/29/09 36155WAE GCI INC 8.6250 8.750
49230 11/03/09 288221 NOMURA 11/15/19 250,000.00 99.170 247,925.00

PUR 11/03/09 36186CAQ GMAC LLC 8.0000 9.594
45688 11/06/09 288221 NOMURA 11/01/31 275,000.00 85.500 235,125.00

PUR 11/03/09 36186CAQ GMAC LLC 8.0000 9.563
45688 11/06/09 288221 NOMURA 11/01/31 25,000.00 85.750 21,437.50

PUR 11/09/09 370290AD GENERAL MARITIME CORP 12.0000 11.658
49665 11/13/09 288221 NOMURA 11/15/17 200,000.00 101.75 203,500.00

PUR 10/28/09 37932JAB GLOBAL CROSSING 12.0000 10.371
48702 11/02/09 288221 NOMURA 9/15/15 125,000.00 107.00 133,750.00

PUR 11/04/09 37932JAB GLOBAL CROSSING 12.0000 10.478
48702 11/09/09 288221 NOMURA 9/15/15 225,000.00 106.50 239,625.00

PUR 11/05/09 404119AH HCA INC 6.7500 7.376
49624 11/10/09 288221 NOMURA 7/15/13 875,000.00 98.000 857,500.00

PUR 11/18/09 404119AH HCA INC 6.7500 7.543
49624 11/23/09 288221 NOMURA 7/15/13 125,000.00 97.500 121,875.00

PUR 11/24/09 404119AX HCA INC 9.2500 8.104
42006 11/30/09 288221 NOMURA 11/15/16 550,000.00 106.00 583,000.00

PUR 11/17/09 421924BF HEALTHSOUTH CORP 10.7500 8.860
49768 11/20/09 288221 NOMURA 6/15/16 150,000.00 109.25 163,875.00

PUR 11/02/09 45773BAC INNOPHOS INC 8.8750 8.289
42300 11/05/09 288221 NOMURA 8/15/14 50,000.00 102.25 51,125.00

PUR 11/17/09 51508LAJ LANDRYS RESTAURANT INC 11.6250 11.245
49834 11/30/09 288221 NOMURA 12/01/15 150,000.00 101.62 152,437.50



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INVNT# DELIVERY DOCUMENT BROKER/SERVICER OF RECORD MATURITY PAR-OR-SHARES PRICE COMMISSION COST/PROCEEDS GAIN-OR-LOSS
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PUR 11/17/09 51508LAJ LANDRYS RESTAURANT INC 11.6250 12.000
49834 11/30/09 288221 NOMURA 12/01/15 175,000.00 98.427 172,247.25

PUR 11/04/09 60467PAQ MIRANT AMERICAS GENR 8.5000 10.207
42350 11/09/09 288221 NOMURA 10/01/21 100,000.00 88.375 88,375.00

PUR 11/16/09 629855AH NALCO COMPANY 8.8750 7.982
42209 11/19/09 288221 NOMURA 11/15/13 400,000.00 103.00 412,000.00

PUR 11/05/09 629855AN NALCO CO 8.2500 7.350
49625 11/10/09 288221 NOMURA 5/15/17 675,000.00 105.12 709,593.75

PUR 11/02/09 63934EAM NAVISTAR INTL 8.2500 8.588
49019 11/05/09 288221 NOMURA 11/01/21 500,000.00 97.500 487,500.00

PUR 10/22/09 639365AC NAVIOS MARITIME 8.8750 9.125
49217 11/02/09 288221 NOMURA 11/01/17 375,000.00 98.603 369,761.25

PUR 10/22/09 639365AC NAVIOS MARITIME 8.8750 8.699
49217 11/02/09 288221 NOMURA 11/01/17 125,000.00 101.00 126,250.00

PUR 11/03/09 64110LAA NETFLIX INC 8.5000 8.499
49583 11/06/09 288221 NOMURA 11/15/17 125,000.00 100.00 125,000.00

PUR 11/23/09 67090FAC NUVEEN INVESTMENTS 10.5000 13.489
42211 11/27/09 288221 NOMURA 11/15/15 150,000.00 88.000 132,000.00

PUR 11/16/09 68385BAA OPTI CANADA INC 9.0000 10.157
49769 11/20/09 288221 NOMURA 12/15/12 125,000.00 97.000 121,250.00

PUR 11/02/09 69073TAL OWENS BROCKWAY GLASS 6.7500 6.808
49569 11/05/09 288221 NOMURA 12/01/14 225,000.00 99.750 224,437.50

PUR 11/18/09 704549AE PEABODY ENERGY CORP 7.3750 6.914
44546 11/23/09 288221 NOMURA 11/01/16 150,000.00 102.50 153,750.00

PUR 11/09/09 723787AJ PIONEER NATURAL RESOURCE 7.5000 7.621
49666 11/13/09 288221 NOMURA 1/15/20 275,000.00 99.142 272,640.50



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PUR 11/04/09 767754BT RITE AID CORP 9.5000 13.704
43874 11/09/09 288221 NOMURA 6/15/17 75,000.00 80.500 60,375.00

PUR 11/04/09 767754BT RITE AID CORP 9.5000 13.829
43874 11/09/09 288221 NOMURA 6/15/17 50,000.00 80.000 40,000.00

PUR 11/18/09 767754BT RITE AID CORP 9.5000 13.411
43874 11/23/09 288221 NOMURA 6/15/17 125,000.00 81.750 102,187.50

PUR 11/02/09 767754BV RITE AID CORP 10.3750 10.263
46663 11/05/09 288221 NOMURA 7/15/16 400,000.00 100.50 402,000.00

PUR 11/06/09 767754BY RITE AID CORP 10.7500 10.685
48995 11/12/09 288221 NOMURA 10/15/19 125,000.00 100.37 125,468.75

PUR 11/04/09 78401FAA SBA TELECOMMUNICATIONS 8.0000 7.378
47854 11/09/09 288221 NOMURA 8/15/16 500,000.00 103.25 516,250.00

PUR 10/29/09 80874YAH SCIENTIFIC GAMES 9.2500 9.011
49570 11/05/09 288221 NOMURA 6/15/19 125,000.00 101.50 126,875.00

PUR 11/05/09 817565BU SERVICE CORP INTL 8.0000 8.250
49626 11/10/09 288221 NOMURA 11/15/21 425,000.00 98.115 416,988.75

PUR 11/02/09 834376AK SOLUTIA INC 8.7500 8.082
48870 11/05/09 288221 NOMURA 11/01/17 175,000.00 103.87 181,781.25

PUR 10/28/09 858119AJ STEEL DYNAMIC 7.3750 7.187
45739 11/02/09 288221 NOMURA 11/01/12 175,000.00 100.50 175,875.00

PUR 10/29/09 858119AJ STEEL DYNAMIC 7.3750 7.186
45739 11/03/09 288221 NOMURA 11/01/12 100,000.00 100.50 100,500.00

PUR 11/02/09 88089PAG TERRA CAPITAL 7.7500 7.533
48996 11/05/09 288221 NOMURA 11/01/19 75,000.00 101.50 76,125.00

PUR 11/02/09 882330AH TEXAS COMPETITIVE 11.2500 11.250
47830 11/02/09 NOMURA 11/01/16 253.00 100.00 253.00



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PUR 11/10/09 89236MAA TOYS R US PROP 8.5000 8.587
49770 11/20/09 288221 NOMURA 12/01/17 75,000.00 99.500 74,625.00

PUR 11/10/09 89236MAA TOYS R US PROP 8.5000 8.750
49770 11/20/09 288221 NOMURA 12/01/17 375,000.00 98.573 369,648.75

PUR 11/10/09 89236MAA TOYS R US PROP 8.5000 8.543
49770 11/20/09 288221 NOMURA 12/01/17 325,000.00 99.750 324,187.50

PUR 11/10/09 89236MAA TOYS R US PROP 8.5000 8.565
49770 11/20/09 288221 NOMURA 12/01/17 150,000.00 99.625 149,437.50

PUR 11/10/09 89236MAA TOYS R US PROP 8.5000 8.543
49770 11/20/09 288221 NOMURA 12/01/17 125,000.00 99.750 124,687.50

PUR 11/10/09 896818AC TRIUMPH GROUP 8.0000 7.936
49693 11/16/09 288221 NOMURA 11/15/17 75,000.00 100.37 75,281.25

PUR 11/10/09 896818AC TRIUMPH GROUP 8.0000 7.914
49693 11/16/09 288221 NOMURA 11/15/17 50,000.00 100.50 50,250.00

PUR 10/27/09 913405AD UNIV CITY DEVEL 8.7500 8.999
49584 11/06/09 288221 NOMURA 11/15/15 525,000.00 98.856 518,994.00

PUR 10/27/09 913405AF UNIV CITY DEVEL 10.8750 10.566
49585 11/06/09 288221 NOMURA 11/15/16 75,000.00 101.50 76,125.00

PUR 10/27/09 913405AF UNIV CITY DEVEL 10.8750 11.125
49585 11/06/09 288221 NOMURA 11/15/16 275,000.00 98.796 271,689.00

PUR 11/04/09 92769VAB VIRGIN MEDIA FIN 8.3750 8.622
49607 11/09/09 288221 NOMURA 10/15/19 425,000.00 98.364 418,047.00

PUR 11/04/09 92769VAB VIRGIN MEDIA FIN 8.3750 8.449
49607 11/09/09 288221 NOMURA 10/15/19 100,000.00 99.500 99,500.00
-------------- ---------- -------------- --------------
SUBTOTAL FIXED PURCHASES: 14,375,253.00 14,311,790.00

-------------- ---------- -------------- --------------
TOTAL FUND PURCHASES: 14,375,253.00 14,311,790.00



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SALES OF FIXED INCOME SECURITIES
--------------------------------

SALE 11/19/09 02208RAA ALTRA HOLDINGS INC 8.1250 8.375
49809 11/25/09 288221 NOMURA 12/01/16 125,000.00 100.37 125,468.75 2,105.00

SALE 11/04/09 09689RAA BODY GAMING CORP 7.1250 14.394
44285 11/09/09 288221 NOMURA 2/01/16 125,000.00 84.000 105,000.00 16,602.59

SALE 11/03/09 125581FS CIT GROUP INC 12.0000 26.285
47069 11/06/09 288221 NOMURA 12/18/18 675,000.00 26.750 180,562.50 -165,756.52

SALE 10/29/09 126304AZ CSC HOLDINGS INC 8.6250 9.321
44759 11/03/09 288221 NOMURA 2/15/19 200,000.00 107.25 214,500.00 23,074.00

SALE 10/30/09 20162UAA COMMERCIAL BARGE 12.5000 13.500
47661 11/04/09 288221 NOMURA 7/15/17 225,000.00 104.37 234,843.75 20,523.28

SALE 11/05/09 22025YAK CORRECTIONS CORP 7.7500 8.250
47163 11/10/09 288221 NOMURA 6/01/17 175,000.00 102.37 179,156.25 9,016.64

SALE 11/06/09 226566AC CRICKET COMMUNICATIONS 9.3750 9.795
42277 11/12/09 288221 NOMURA 11/01/14 75,000.00 94.250 70,687.50 -3,091.72

SALE 11/06/09 226566AC CRICKET COMMUNICATIONS 9.3750 9.795
42277 11/12/09 288221 NOMURA 11/01/14 50,000.00 94.500 47,250.00 -1,936.15

SALE 11/06/09 226566AC CRICKET COMMUNICATIONS 9.3750 9.795
42277 11/12/09 288221 NOMURA 11/01/14 25,000.00 94.250 23,562.50 -1,030.57

SALE 11/06/09 226566AG CRICKET COMMUNICATIONS 10.0000 10.233
47636 11/12/09 288221 NOMURA 7/15/15 75,000.00 95.250 71,437.50 -2,803.58

SALE 11/06/09 226566AG CRICKET COMMUNICATIONS 10.0000 10.233
47636 11/12/09 288221 NOMURA 7/15/15 50,000.00 95.500 47,750.00 -1,744.06

SALE 11/06/09 226566AG CRICKET COMMUNICATIONS 10.0000 10.233
47636 11/12/09 288221 NOMURA 7/15/15 125,000.00 96.125 120,156.25 -3,578.89



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SALE 11/10/09 226566AJ CRICKET COMMUNICATIONS 7.7500 8.497
47448 11/16/09 288221 NOMURA 5/15/16 400,000.00 99.500 398,000.00 12,686.07

SALE 10/28/09 247361ZE DELTA AIR LINES 12.2500 13.669
48697 11/02/09 288221 NOMURA 3/15/15 150,000.00 94.500 141,750.00 -274.44

SALE 10/28/09 25470XAC DISH DBS CORP 7.8750 7.619
48765 11/02/09 288221 NOMURA 9/01/19 250,000.00 102.50 256,250.00 1,910.63

SALE 10/28/09 256669AG DOLLAR GENERAL 11.8750 12.581
48559 11/02/09 288221 NOMURA 7/15/17 50,000.00 112.00 56,000.00 7,730.51

SALE 11/13/09 28368EAD EL PASO ENERGY CORP 7.8000 10.033
46684 11/18/09 288221 NOMURA 8/01/31 325,000.00 93.500 303,875.00 42,637.13

SALE 11/02/09 31430QAZ FELCOR LODGING L P 10.0000 11.120
48748 11/05/09 288221 NOMURA 10/01/14 825,000.00 99.000 816,750.00 26,156.59

SALE 10/30/09 345397VC FORD MOTOR CREDIT CO 8.0000 12.804
46596 11/04/09 288221 NOMURA 12/15/16 2,200,000.00 96.000 2,112,000.00 396,533.47

SALE 10/30/09 345397VC FORD MOTOR CREDIT CO 8.0000 12.804
46596 11/04/09 288221 NOMURA 12/15/16 300,000.00 96.000 288,000.00 54,072.75

SALE 11/03/09 370425RZ GMAC INC 8.0000 13.392
44288 11/06/09 288221 NOMURA 11/01/31 25,000.00 85.750 21,437.50 5,921.50

SALE 11/10/09 404119AX HCA INC 9.2500 9.467
42006 11/16/09 288221 NOMURA 11/15/16 600,000.00 105.62 633,750.00 40,318.85

SALE 11/10/09 404119AX HCA INC 9.2500 9.467
42006 11/16/09 288221 NOMURA 11/15/16 200,000.00 105.62 211,250.00 13,439.62

SALE 11/03/09 404119BE HCA INC 8.5000 8.509
46260 11/06/09 288221 NOMURA 4/15/19 200,000.00 106.25 212,500.00 12,634.84

SALE 11/19/09 44980YAK IPCS INC 3.2950 5.819
45699 11/24/09 288221 NOMURA 5/01/13 120,000.00 88.500 106,200.00 -1,089.79



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SALE 11/18/09 492914AR KEY ENERGY SERVICES INC 8.3750 21.341
45254 11/23/09 288221 NOMURA 12/01/14 25,000.00 98.500 24,625.00 9,330.12

SALE 11/09/09 502413AL L-3 COMMUNICATIONS CORP 6.1250 7.035
42012 11/13/09 288221 NOMURA 7/15/13 250,000.00 101.25 253,125.00 10,407.46

SALE 11/02/09 552953AD M G M MIRAGE INC 8.5000 8.519
48551 11/05/09 288221 NOMURA 9/15/10 165,000.00 98.500 162,525.00 -2,420.94

SALE 11/02/09 552953AD M G M MIRAGE INC 8.5000 8.519
48551 11/05/09 288221 NOMURA 9/15/10 200,000.00 98.500 197,000.00 -2,934.47

SALE 11/02/09 552953AD M G M MIRAGE INC 8.5000 8.519
48551 11/05/09 288221 NOMURA 9/15/10 100,000.00 98.750 98,750.00 -1,217.23

SALE 11/05/09 552953AD M G M MIRAGE INC 8.5000 8.519
48551 11/10/09 288221 NOMURA 9/15/10 60,000.00 99.500 59,700.00 -279.86

SALE 11/05/09 552953AD M G M MIRAGE INC 8.5000 8.519
48551 11/10/09 288221 NOMURA 9/15/10 125,000.00 99.500 124,375.00 -583.05

SALE 10/28/09 62947QAF NXP BV/NXP FUNDING 7.8750 22.188
42325 11/02/09 288221 NOMURA 10/15/14 175,000.00 84.500 147,875.00 45,978.52

SALE 11/10/09 695459AB PAETEC HOLDING CORPORATION 9.5000 15.740
42212 11/16/09 288221 NOMURA 7/15/15 125,000.00 92.500 115,625.00 19,222.84

SALE 10/29/09 81180VAA SEAGATE TECH INT 10.0000 11.250
46454 11/03/09 288221 NOMURA 5/01/14 150,000.00 111.00 166,500.00 22,978.01

SALE 11/17/09 852060AT SPRINT CAPITAL CORP 8.7500 10.440
42215 11/20/09 288221 NOMURA 3/15/32 275,000.00 87.000 239,250.00 4,241.59

SALE 11/06/09 867363AL SUNGARD DATA SYS INC 10.2500 15.284
43025 11/12/09 288221 NOMURA 8/15/15 25,000.00 101.00 25,250.00 4,969.45

SALE 11/13/09 88033GBH TENET HEALTHCARE 8.8750 9.563
47331 11/18/09 288221 NOMURA 7/01/19 400,000.00 107.50 430,000.00 47,145.31



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SALE 11/16/09 882330AG TEXAN COMPETITIVE ELEC HLD 10.2500 15.879
44571 11/19/09 288221 NOMURA 11/01/15 200,000.00 74.375 148,750.00 -8,877.69

SALE 11/03/09 909214BM UNISYS CORP 12.7500 11.645
48057 11/06/09 288221 NOMURA 10/15/14 300,000.00 109.25 327,750.00 15,609.98

SALE 11/17/09 913405AC UNIVERSAL CITY DEV PARTNERS 11.7500 24.747
43688 11/17/09 288221 NOMURA 4/01/10 350,000.00 100.50 351,750.00 17,696.85

SALE 11/06/09 913406AC UNIVERSAL CITY FLORIDA 5.7775 48.332
48558 11/06/09 288321 NOMURA 5/01/10 80,000.00 100.20 80,160.00 14,587.27

SALE 11/05/09 913406AF UNIVERSAL CITY FL 8.3750 39.090
46688 11/06/09 288321 NOMURA 5/01/10 1,100,000.00 100.35 1,103,850.00 142,067.48

SALE 11/13/09 92769VAB VIRGIN MEDIA FIN 8.3750 8.589
49607 11/18/09 288221 NOMURA 10/15/19 525,000.00 99.875 524,343.75 6,796.97

SALE 10/30/09 97381WAC WINDSTREAM CORP 8.1250 8.319
44757 11/04/09 288221 NOMURA 8/01/13 1,000,000.00 104.00 1,040,000.00 46,343.32
-------------- ---------- -------------- --------------
SUBTOTAL FIXED SALES: 13,200,000.00 12,599,341.25 895,119.68

-------------- ---------- -------------- --------------
TOTAL FUND SALES: 13,200,000.00 12,599,341.25 895,119.68


END OF REPORT FOR: NOMURA