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Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
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<SEC-DOCUMENT>0001427514-11-000002.txt : 20110211
<SEC-HEADER>0001427514-11-000002.hdr.sgml : 20110211
<ACCEPTANCE-DATETIME>20110211171313
ACCESSION NUMBER:		0001427514-11-000002
CONFORMED SUBMISSION TYPE:	13F-HR
PUBLIC DOCUMENT COUNT:		1
CONFORMED PERIOD OF REPORT:	20101231
FILED AS OF DATE:		20110211
DATE AS OF CHANGE:		20110211
EFFECTIVENESS DATE:		20110211

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			Dana Investment Advisors, Inc.
		CENTRAL INDEX KEY:			0001427514
		IRS NUMBER:				391512278
		STATE OF INCORPORATION:			WI
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		13F-HR
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-13023
		FILM NUMBER:		11600417

	BUSINESS ADDRESS:	
		STREET 1:		15800 W. BLUEMOUND ROAD
		STREET 2:		SUITE 250
		CITY:			BROOKFIELD
		STATE:			WI
		ZIP:			53005-6026
		BUSINESS PHONE:		262-782-3631

	MAIL ADDRESS:	
		STREET 1:		PO BOX 1067
		CITY:			BROOKFIELD
		STATE:			WI
		ZIP:			53008-1067
</SEC-HEADER>
<DOCUMENT>
<TYPE>13F-HR
<SEQUENCE>1
<FILENAME>report13f4q10.txt
<DESCRIPTION>QUARTER 4 FILING
<TEXT>
                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C.  20549

                                    Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2010

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

Institutional Investment Manager Filing this Report:

Name:    Dana Investment Advisors, Inc.
Address: 15800 W. Bluemound Road, Suite 250
         Brookfield, WI  53005-6026

13F File Number:  28-13023

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:      Michael Stewart
Title:     EVP / Chief Compliance Officer
Phone:     262-782-8658

Signature, Place, and Date of Signing:

      /s/ Michael Stewart     Brookfield, WI     February 11, 2011

Report Type (Check only one.):

[ X]         13F HOLDINGS REPORT.

[  ]         13F NOTICE.

[  ]         13F COMBINATION REPORT.

<PAGE>

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:         0

Form13F Information Table Entry Total:     298

Form13F Information Table Value Total:     $978,135 (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional managers with respect to which this report is filed, other
than the manager filing this report.

NONE

<PAGE>

<TABLE>                       <C>             <C>
                                                     FORM 13F INFORMATION TABLE
                                                             VALUE  SHARES/ SH/ PUT/ INVSTMT  OTHER            VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT PRN CALL DSCRETN MANAGERS         SOLE   SHARED     NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
sample 3M CO			COM		88579Y101     4502    51915 SH		SOLE		     51915	0	0
AFLAC INC			COM		001055102     5491    97315 SH		SOLE		     97315	0	0
AGL RES INC			COM		001204106     1018    28410 SH		SOLE		     28410	0	0
AES CORP			COM		00130H105      128    10530 SH		SOLE		     10530	0	0
AT&T INC			COM		00206R102    10584   360256 SH		SOLE		    360256	0	0
ABBOTT LABS			COM		002824100    14269   297826 SH		SOLE		    297826	0	0
ADOBE SYS INC			COM		00724F101      359    11665 SH		SOLE		     11665	0	0
ADVANCE AUTO PARTS INC		COM		00751Y106     2185    33029 SH		SOLE		     33029	0	0
AMERICAN ELEC PWR INC		COM		025537101     1408    39137 SH		SOLE		     39137	0	0
AMERICAN EXPRESS CO		COM		025816109     2375    55335 SH		SOLE		     55335	0	0
AMERISOURCEBERGEN CORP		COM		03073E105     6141   179970 SH		SOLE		    179970	0	0
AMERIPRISE FINL INC		COM		03076C106    19933   346363 SH		SOLE		    346363	0	0
AMTRUST FINANCIAL SERVICES I	COM		032359309      698    39873 SH		SOLE		     39873	0	0
ANALOG DEVICES INC		COM		032654105     5716   151728 SH		SOLE		    151728	0	0
ANNALY CAP MGMT INC		COM		035710409    12444   694434 SH		SOLE		    694434	0	0
APACHE CORP			COM		037411105    10706    89795 SH		SOLE		     89795	0	0
APPLE INC			COM		037833100    19115    59260 SH		SOLE		     59260	0	0
APPLIED MATLS INC		COM		038222105      142    10126 SH		SOLE		     10126	0	0
ARCH COAL INC			COM		039380100     3404    97099 SH		SOLE		     97099	0	0
ARCHER DANIELS MIDLAND CO	COM		039483102      603    20044 SH		SOLE		     20044	0	0
ASSURANT INC			COM		04621X108     5714   148333 SH		SOLE		    148333	0	0
ATLAS AIR WORLDWIDE HLDGS IN	COM NEW		049164205      237     4240 SH		SOLE		      4240	0	0
ATWOOD OCEANICS INC		COM		050095108      293     7841 SH		SOLE		      7841	0	0
AUTOLIV INC			COM		052800109    16384   207546 SH		SOLE		    207546	0	0
AUTOZONE INC			COM		053332102     3811    13980 SH		SOLE		     13980	0	0
AVISTA CORP			COM		05379B107      240    10658 SH		SOLE		     10658	0	0
AVIVA PLC			ADR		05382A104      904    72824 SH		SOLE		     72824	0	0
BCE INC				COM NEW		05534B760    10127   285577 SH		SOLE		    285577	0	0
BANK OF AMERICA CORPORATION	COM		060505104     1516   113630 SH		SOLE		    113630	0	0
BANK MONTREAL QUE		COM		063671101     9250   160668 SH		SOLE		    160668	0	0
BANK OF THE OZARKS INC		COM		063904106      285     6569 SH		SOLE		      6569	0	0
BERKSHIRE HATHAWAY INC DEL	CL A		084670108      218        2 SH		SOLE		         2	0	0
BEST BUY INC			COM		086516101      286     8347 SH		SOLE		      8347	0	0
BLACKROCK INC			COM		09247X101     2252    11814 SH		SOLE		     11814	0	0
BOSTON SCIENTIFIC CORP		COM		101137107      127    16775 SH		SOLE		     16775	0	0
BROOKFIELD ASSET MGMT INC	CL A LTD VT SH	112585104      282     8472 SH		SOLE		      8472	0	0
BUCKEYE TECHNOLOGIES INC	COM		118255108      299    14214 SH		SOLE		     14214	0	0
CF INDS HLDGS INC		COM		125269100      238     1761 SH		SOLE		      1761	0	0
CIGNA CORP			COM		125509109      205     5588 SH		SOLE		      5588	0	0
CABELAS INC			COM		126804301      327    15029 SH		SOLE		     15029	0	0
CANON INC			ADR		138006309     1405    27368 SH		SOLE		     27368	0	0
CANTEL MEDICAL CORP		COM		138098108      251    10710 SH		SOLE		     10710	0	0
CATALYST HEALTH SOLUTIONS IN	COM		14888B103      230     4941 SH		SOLE		      4941	0	0
CATERPILLAR INC DEL		COM		149123101     4412    47104 SH		SOLE		     47104	0	0
CEMEX SAB DE CV			SPON ADR NEW	151290889     1432   133748 SH		SOLE		    133748	0	0
CENTURYLINK INC			COM		156700106      298     6455 SH		SOLE		      6455	0	0
CEPHALON INC			COM		156708109     1525    24700 SH		SOLE		     24700	0	0
CHESAPEAKE ENERGY CORP		COM		165167107     1887    72838 SH		SOLE		     72838	0	0
CHEVRON CORP NEW		COM		166764100    16230   177858 SH		SOLE		    177858	0	0
CHUBB CORP			COM		171232101     3918    65689 SH		SOLE		     65689	0	0
CHURCH & DWIGHT INC		COM		171340102     2836    41089 SH		SOLE		     41089	0	0
CISCO SYS INC			COM		17275R102      212    10468 SH		SOLE		     10468	0	0
COACH INC			COM		189754104     3800    68703 SH		SOLE		     68703	0	0
COCA COLA CO			COM		191216100      894    13599 SH		SOLE		     13599	0	0
COGNIZANT TECHNOLOGY SOLUTIO	CL A		192446102      841    11481 SH		SOLE		     11481	0	0
COMCAST CORP NEW		CL A		20030N101    11215   510477 SH		SOLE		    510477	0	0
COMMUNITY BK SYS INC		COM		203607106      284    10242 SH		SOLE		     10242	0	0
COMMUNITY TR BANCORP INC	COM		204149108      252     8686 SH		SOLE		      8686	0	0
COMPANIA CERVECERIAS UNIDAS	SPONSORED ADR	204429104     1126    18652 SH		SOLE		     18652	0	0
COMPASS DIVERSIFIED HOLDINGS	SH BEN INT	20451Q104      264    14925 SH		SOLE		     14925	0	0
CONAGRA FOODS INC		COM		205887102      288    12743 SH		SOLE		     12743	0	0
CONOCOPHILLIPS			COM		20825C104    13694   201082 SH		SOLE		    201082	0	0
CONSOL ENERGY INC		COM		20854P109      248     5080 SH		SOLE		      5080	0	0
CORNING INC			COM		219350105     8960   463759 SH		SOLE		    463759	0	0
CRACKER BARREL OLD CTRY STOR	COM		22410J106      305     5563 SH		SOLE		      5563	0	0
CUMMINS INC			COM		231021106      959     8722 SH		SOLE		      8722	0	0
DTE ENERGY CO			COM		233331107     1415    31227 SH		SOLE		     31227	0	0
DSW INC				CL A		23334L102      289     7398 SH		SOLE		      7398	0	0
DANAHER CORP DEL		COM		235851102      413     8766 SH		SOLE		      8766	0	0
DAVITA INC			COM		23918K108     9234   132889 SH		SOLE		    132889	0	0
DEERE & CO			COM		244199105    11707   140965 SH		SOLE		    140965	0	0
DEL MONTE FOODS CO		COM		24522P103      219    11649 SH		SOLE		     11649	0	0
DELUXE CORP			COM		248019101     1559    67723 SH		SOLE		     67723	0	0
DEVON ENERGY CORP NEW		COM		25179M103     1822    23212 SH		SOLE		     23212	0	0
DIGITAL RLTY TR INC		COM		253868103     1246    24184 SH		SOLE		     24184	0	0
DISCOVER FINL SVCS		COM		254709108      209    11260 SH		SOLE		     11260	0	0
DOVER CORP			COM		260003108    16470   281772 SH		SOLE		    281772	0	0
DR PEPPER SNAPPLE GROUP INC	COM		26138E109     9918   282077 SH		SOLE		    282077	0	0
DU PONT E I DE NEMOURS & CO	COM		263534109     7397   148305 SH		SOLE		    148305	0	0
DRESS BARN INC			COM		261570105      247     9343 SH		SOLE		      9343	0	0
E M C CORP MASS			COM		268648102    17338   757117 SH		SOLE		    757117	0	0
EASTMAN CHEM CO			COM		277432100      276     3284 SH		SOLE		      3284	0	0
EATON CORP			COM		278058102      507     4995 SH		SOLE		      4995	0	0
ENDO PHARMACEUTICALS HLDGS I	COM		29264F205     2688    75279 SH		SOLE		     75279	0	0
ENERGIZER HLDGS INC		COM		29266R108      241     3306 SH		SOLE		      3306	0	0
ENERSYS				COM		29275Y102      284     8854 SH		SOLE		      8854	0	0
ENPRO INDS INC			COM		29355X107      282     6791 SH		SOLE		      6791	0	0
ENSIGN GROUP INC		COM		29358P101      277    11151 SH		SOLE		     11151	0	0
ENTERTAINMENT PPTYS TR		COM SH BEN INT	29380T105      243     5253 SH		SOLE		      5253	0	0
ENTROPIC COMMUNICATIONS INC	COM		29384R105      358    29621 SH		SOLE		     29621	0	0
ERESEARCHTECHNOLOGY INC		COM		29481V108      229    31126 SH		SOLE		     31126	0	0
EXELON CORP			COM		30161N101      227     5444 SH		SOLE		      5444	0	0
EXXON MOBIL CORP		COM		30231G102    13481   184371 SH		SOLE		    184371	0	0
F M C CORP			COM NEW		302491303     3675    46006 SH		SOLE		     46006	0	0
FIFTH THIRD BANCORP		COM		316773100     1764   120130 SH		SOLE		    120130	0	0
FINISAR CORP			COM NEW		31787A507      720    24235 SH		SOLE		     24235	0	0
FIRST FINL BANCORP OH		COM		320209109      248    13429 SH		SOLE		     13429	0	0
FIRST POTOMAC RLTY TR		COM		33610F109      239    14229 SH		SOLE		     14229	0	0
FLUOR CORP NEW			COM		343412102      640     9658 SH		SOLE		      9658	0	0
FORD MTR CO DEL			COM PAR $0.01	345370860      493    29353 SH		SOLE		     29353	0	0
FREEPORT-MCMORAN COPPER & GO	COM		35671D857    11061    92108 SH		SOLE		     92108	0	0
GENERAL DYNAMICS CORP		COM		369550108     9022   127148 SH		SOLE		    127148	0	0
GENERAL ELECTRIC CO		COM		369604103    11489   628165 SH		SOLE		    628165	0	0
GENERAL MLS INC			COM		370334104     6944   195118 SH		SOLE		    195118	0	0
GEORESOURCES INC		COM		372476101      334    15017 SH		SOLE		     15017	0	0
GILEAD SCIENCES INC		COM		375558103      205     5667 SH		SOLE		      5667	0	0
GOLDMAN SACHS GROUP INC		COM		38141G104    12533    74532 SH		SOLE		     74532	0	0
GOOGLE INC			CL A		38259P508     4617     7773 SH		SOLE		      7773	0	0
HALLIBURTON CO			COM		406216101     3659    89609 SH		SOLE		     89609	0	0
HANGER ORTHOPEDIC GROUP INC	COM NEW		41043F208      271    12808 SH		SOLE		     12808	0	0
HEALTH MGMT ASSOC INC NEW	CL A		421933102     1584   166034 SH		SOLE		    166034	0	0
HEINZ H J CO			COM		423074103     1467    29654 SH		SOLE		     29654	0	0
HELMERICH & PAYNE INC		COM		423452101     3171    65405 SH		SOLE		     65405	0	0
HERTZ GLOBAL HOLDINGS INC	COM		42805T105      149    10285 SH		SOLE		     10285	0	0
HESS CORP			COM		42809H107     1840    24036 SH		SOLE		     24036	0	0
HEWLETT PACKARD CO		COM		428236103    14043   333562 SH		SOLE		    333562	0	0
HORMEL FOODS CORP		COM		440452100     7165   139778 SH		SOLE		    139778	0	0
HOSPIRA INC			COM		441060100     4009    71987 SH		SOLE		     71987	0	0
HUMANA INC			COM		444859102     3014    55053 SH		SOLE		     55053	0	0
ITT CORP NEW			COM		450911102     1457    27958 SH		SOLE		     27958	0	0
IGATE CORP			COM		45169U105      343    17418 SH		SOLE		     17418	0	0
ILLINOIS TOOL WKS INC		COM		452308109      255     4776 SH		SOLE		      4776	0	0
IMPERIAL OIL LTD		COM NEW		453038408      291     7172 SH		SOLE		      7172	0	0
INSITUFORM TECHNOLOGIES INC	CL A		457667103      268    10099 SH		SOLE		     10099	0	0
INNOPHOS HOLDINGS INC		COM		45774N108      411    11393 SH		SOLE		     11393	0	0
INTEL CORP			COM		458140100      724    34450 SH		SOLE		     34450	0	0
INTERNATIONAL BUSINESS MACHS	COM		459200101    17937   122217 SH		SOLE		    122217	0	0
INTUIT				COM		461202103      578    11725 SH		SOLE		     11725	0	0
INVESCO MORTGAGE CAPITAL INC	COM		46131B100      272    12446 SH		SOLE		     12446	0	0
ISHARES INC			JAPAN SML CAP	464286582      219     4692 SH		SOLE		      4692	0	0
ISHARES INC			MSCI THAILAND	464286624      322     4982 SH		SOLE		      4982	0	0
ISHARES INC			MSCI UTD KINGD	464286699      230    13226 SH		SOLE		     13226	0	0
ISHARES INC			MSCI FRANCE	464286707      277    11340 SH		SOLE		     11340	0	0
ISHARES INC			MSCI TURKEY FD	464286715      325     4912 SH		SOLE		      4912	0	0
ISHARES INC			MSCI SWITZERLD	464286749      368    14692 SH		SOLE		     14692	0	0
ISHARES INC			MSCI S KOREA	464286772      422     6904 SH		SOLE		      6904	0	0
ISHARES INC			MSCI GERMAN	464286806      329    13735 SH		SOLE		     13735	0	0
ISHARES INC			MSCI MEX INVEST	464286822      288     4655 SH		SOLE		      4655	0	0
ISHARES INC			MSCI MALAYSIA	464286830      290    20143 SH		SOLE		     20143	0	0
ISHARES INC			MSCI HONG KONG	464286871      317    16761 SH		SOLE		     16761	0	0
ISHARES TR			S&P 500 INDEX	464287200      244     1930 SH		SOLE		      1930	0	0
ISHARES TR			MSCI EAFE IDX	464287465      475     8155 SH		SOLE		      8155	0	0
ISHARES TR			S&P MC 400 GRW	464287606     1923    19091 SH		SOLE		     19091	0	0
JPMORGAN CHASE & CO		COM		46625H100    13204   311274 SH		SOLE		    311274	0	0
JOHNSON & JOHNSON		COM		478160104    10426   168572 SH		SOLE		    168572	0	0
JOHNSON CTLS INC		COM		478366107     2706    70850 SH		SOLE		     70850	0	0
JOY GLOBAL INC			COM		481165108      202     2323 SH		SOLE		      2323	0	0
JUNIPER NETWORKS INC		COM		48203R104     3733   101108 SH		SOLE		    101108	0	0
KT CORP				SPONSORED ADR	48268K101     1324    63650 SH		SOLE		     63650	0	0
KIMBERLY CLARK CORP		COM		494368103     8582   136141 SH		SOLE		    136141	0	0
LSI CORPORATION			COM		502161102      127    21151 SH		SOLE		     21151	0	0
L-3 COMMUNICATIONS CORP		DEBT 3.000% 8/0	502413AW7       12    12000 SH		SOLE		     12000	0	0
LABORATORY CORP AMER HLDGS	COM NEW		50540R409      215     2443 SH		SOLE		      2443	0	0
LORILLARD INC			COM		544147101     8976   109378 SH		SOLE		    109378	0	0
LUBRIZOL CORP			COM		549271104    13271   124166 SH		SOLE		    124166	0	0
LUFKIN INDS INC			COM		549764108      315     5056 SH		SOLE		      5056	0	0
MWI VETERINARY SUPPLY INC	COM		55402X105      246     3893 SH		SOLE		      3893	0	0
MACYS INC			COM		55616P104    13166   520376 SH		SOLE		    520376	0	0
MAIDENFORM BRANDS INC		COM		560305104      244    10250 SH		SOLE		     10250	0	0
MARATHON OIL CORP		COM		565849106    10649   287564 SH		SOLE		    287564	0	0
MARKET VECTORS ETF TR		RUSSIA ETF	57060U506      336     8855 SH		SOLE		      8855	0	0
MARKET VECTORS ETF TR		BRAZL SMCP ETF	57060U613      217     3763 SH		SOLE		      3763	0	0
MARKET VECTORS ETF TR		INDONESIA ETF	57060U753      230     2637 SH		SOLE		      2637	0	0
MARKET VECTORS ETF TR		VIETNAM ETF	57060U761      252     9615 SH		SOLE		      9615	0	0
MATTEL INC			COM		577081102     1225    48159 SH		SOLE		     48159	0	0
MCDONALDS CORP			COM		580135101     3488    45438 SH		SOLE		     45438	0	0
MCKESSON CORP			COM		58155Q103    11371   161572 SH		SOLE		    161572	0	0
MEADOWBROOK INS GROUP INC	COM		58319P108      263    25659 SH		SOLE		     25659	0	0
MEDCO HEALTH SOLUTIONS INC	COM		58405U102     4242    69242 SH		SOLE		     69242	0	0
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309      215     8037 SH		SOLE		      8037	0	0
MERCK & CO INC NEW		COM		58933Y105     1515    42048 SH		SOLE		     42048	0	0
MEREDITH CORP			COM		589433101      496    14302 SH		SOLE		     14302	0	0
METLIFE INC			COM		59156R108     6816   153366 SH		SOLE		    153366	0	0
METROPCS COMMUNICATIONS INC	COM		591708102     1915   151620 SH		SOLE		    151620	0	0
MICROSOFT CORP			COM		594918104    14277   511544 SH		SOLE		    511544	0	0
MICROCHIP TECHNOLOGY INC	COM		595017104     4236   123814 SH		SOLE		    123814	0	0
MICRON TECHNOLOGY INC		COM		595112103       92    11460 SH		SOLE		     11460	0	0
MICROSEMI CORP			COM		595137100      224     9774 SH		SOLE		      9774	0	0
MOTOROLA INC			COM		620076109      135    14923 SH		SOLE		     14923	0	0
MYLAN INC			COM		628530107    13861   655981 SH		SOLE		    655981	0	0
NYSE EURONEXT			COM		629491101     1256    41891 SH		SOLE		     41891	0	0
NATIONAL OILWELL VARCO INC	COM		637071101     5077    75498 SH		SOLE		     75498	0	0
NETAPP INC			COM		64110D104      438     7965 SH		SOLE		      7965	0	0
NEW IRELAND FUND INC		COM		645673104       78    11334 SH		SOLE		     11334	0	0
NEWFIELD EXPL CO		COM		651290108     6931    96115 SH		SOLE		     96115	0	0
NEWMONT MINING CORP		COM		651639106     2267    36909 SH		SOLE		     36909	0	0
NEWPORT CORP			COM		651824104     1673    95972 SH		SOLE		     95972	0	0
NEXEN INC			COM		65334H102      260     9832 SH		SOLE		      9832	0	0
NEXTERA ENERGY INC		COM		65339F101      290     5580 SH		SOLE		      5580	0	0
NORDSTROM INC			COM		655664100     3216    75890 SH		SOLE		     75890	0	0
NORFOLK SOUTHERN CORP		COM		655844108     1355    21574 SH		SOLE		     21574	0	0
NORTHEAST UTILS			COM		664397106    12011   376768 SH		SOLE		    376768	0	0
NORTHROP GRUMMAN CORP		COM		666807102     7585   117093 SH		SOLE		    117093	0	0
NU SKIN ENTERPRISES INC		CL A		67018T105     4339   143400 SH		SOLE		    143400	0	0
OGE ENERGY CORP			COM		670837103     1035    22738 SH		SOLE		     22738	0	0
OSI SYSTEMS INC			COM		671044105      297     8168 SH		SOLE		      8168	0	0
OCCIDENTAL PETE CORP DEL	COM		674599105     2267    23112 SH		SOLE		     23112	0	0
OIL STS INTL INC		COM		678026105     1944    30327 SH		SOLE		     30327	0	0
OMEGA HEALTHCARE INVS INC	COM		681936100      240    10716 SH		SOLE		     10716	0	0
ONEOK INC NEW			COM		682680103     2400    43275 SH		SOLE		     43275	0	0
OPNET TECHNOLOGIES INC		COM		683757108      281    10497 SH		SOLE		     10497	0	0
ORACLE CORP			COM		68389X105    15446   493497 SH		SOLE		    493497	0	0
PNC FINL SVCS GROUP INC		COM		693475105    13731   226133 SH		SOLE		    226133	0	0
POSCO				SPONSORED ADR	693483109      924     8584 SH		SOLE		      8584	0	0
PARAMETRIC TECHNOLOGY CORP	COM NEW		699173209      786    34878 SH		SOLE		     34878	0	0
PARKER HANNIFIN CORP		COM		701094104     3745    43396 SH		SOLE		     43396	0	0
PEABODY ENERGY CORP		COM		704549104      232     3633 SH		SOLE		      3633	0	0
PEP BOYS MANNY MOE & JACK	COM		713278109      334    24850 SH		SOLE		     24850	0	0
PEPSICO INC			COM		713448108     2989    45753 SH		SOLE		     45753	0	0
PERRIGO CO			COM		714290103     3075    48562 SH		SOLE		     48562	0	0
PHILIP MORRIS INTL INC		COM		718172109     5384    91984 SH		SOLE		     91984	0	0
PLEXUS CORP			COM		729132100      252     8151 SH		SOLE		      8151	0	0
POLYONE CORP			COM		73179P106      248    19880 SH		SOLE		     19880	0	0
PORTLAND GEN ELEC CO		COM NEW		736508847      262    12057 SH		SOLE		     12057	0	0
POWER ONE INC NEW		COM		73930R102      332    32547 SH		SOLE		     32547	0	0
PRAXAIR INC			COM		74005P104      738     7732 SH		SOLE		      7732	0	0
PRECISION CASTPARTS CORP	COM		740189105     2990    21478 SH		SOLE		     21478	0	0
PRICELINE COM INC		COM NEW		741503403      467     1169 SH		SOLE		      1169	0	0
QUALCOMM INC			COM		747525103     3785    76484 SH		SOLE		     76484	0	0
QWEST COMMUNICATIONS INTL IN	COM		749121109      141    18532 SH		SOLE		     18532	0	0
REGIONS FINANCIAL CORP NEW	COM		7591EP100      104    14787 SH		SOLE		     14787	0	0
ROCK-TENN CO			CL A		772739207     1364    25277 SH		SOLE		     25277	0	0
ROGERS COMMUNICATIONS INC	CL B		775109200     1127    32553 SH		SOLE		     32553	0	0
ROSS STORES INC			COM		778296103    11598   183364 SH		SOLE		    183364	0	0
ROVI CORP			COM		779376102     4198    67696 SH		SOLE		     67696	0	0
ROWAN COS INC			COM		779382100     1294    37077 SH		SOLE		     37077	0	0
SPDR S&P MIDCAP 400 ETF TR	UTSER1 S&PDCRP	78467Y107      239     1450 SH		SOLE		      1450	0	0
ST JUDE MED INC			COM		790849103      778    18198 SH		SOLE		     18198	0	0
SANOFI AVENTIS			SPONSORED ADR	80105N105     1108    34364 SH		SOLE		     34364	0	0
SARA LEE CORP			COM		803111103      531    30343 SH		SOLE		     30343	0	0
SCHLUMBERGER LTD		COM		806857108      275     3295 SH		SOLE		      3295	0	0
SEMPRA ENERGY			COM		816851109      240     4573 SH		SOLE		      4573	0	0
SIRONA DENTAL SYSTEMS INC	COM		82966C103      445    10661 SH		SOLE		     10661	0	0
SKYWORKS SOLUTIONS INC		COM		83088M102     4439   155033 SH		SOLE		    155033	0	0
SMITH A O			COM		831865209     1366    35881 SH		SOLE		     35881	0	0
SMITH MICRO SOFTWARE INC	COM		832154108      283    17961 SH		SOLE		     17961	0	0
SMUCKER J M CO			COM NEW		832696405      375     5705 SH		SOLE		      5705	0	0
SOLUTIA INC			COM NEW		834376501      279    12081 SH		SOLE		     12081	0	0
SOUTHERN CO			COM		842587107      204     5325 SH		SOLE		      5325	0	0
SPECTRA ENERGY CORP		COM		847560109      247     9884 SH		SOLE		      9884	0	0
SPRINT NEXTEL CORP		COM SER 1	852061100       97    22947 SH		SOLE		     22947	0	0
STANCORP FINL GROUP INC		COM		852891100      383     8487 SH		SOLE		      8487	0	0
STARBUCKS CORP			COM		855244109      262     8160 SH		SOLE		      8160	0	0
STATE STR CORP			COM		857477103      333     7177 SH		SOLE		      7177	0	0
SYNNEX CORP			COM		87162W100      277     8867 SH		SOLE		      8867	0	0
SYSCO CORP			COM		871829107      255     8683 SH		SOLE		      8683	0	0
TECO ENERGY INC			COM		872375100     9396   527839 SH		SOLE		    527839	0	0
TJX COS INC NEW			COM		872540109     1502    33832 SH		SOLE		     33832	0	0
TARGET CORP			COM		87612E106     2268    37724 SH		SOLE		     37724	0	0
TENNECO INC			COM		880349105      369     8967 SH		SOLE		      8967	0	0
TERADATA CORP DEL		COM		88076W103     4125   100225 SH		SOLE		    100225	0	0
TEVA PHARMACEUTICAL INDS LTD	ADR		881624209      876    16807 SH		SOLE		     16807	0	0
TEXAS INSTRS INC		COM		882508104    12242   376664 SH		SOLE		    376664	0	0
THOMAS & BETTS CORP		COM		884315102      258     5339 SH		SOLE		      5339	0	0
3M CO				COM		88579Y101     1100    12752 SH		SOLE		     12752	0	0
TIMKEN CO			COM		887389104     5171   108336 SH		SOLE		    108336	0	0
TORONTO DOMINION BK ONT		COM NEW		891160509      713     9594 SH		SOLE		      9594	0	0
TOYOTA MOTOR CORP		SP ADR REP2COM	892331307     1124    14296 SH		SOLE		     14296	0	0
TRACTOR SUPPLY CO		COM		892356106     4398    90698 sH		SOLE		     90698	0	0
TRAVELERS COMPANIES INC		COM		89417E109      276     4947 SH		SOLE		      4947	0	0
TRIQUINT SEMICONDUCTOR INC	COM		89674K103      314    26854 SH		SOLE		     26854	0	0
TRIUMPH GROUP INC NEW		COM		896818101      271     3034 SH		SOLE		      3034	0	0
UNION PAC CORP			COM		907818108    16872   182085 SH		SOLE		    182085	0	0
UNITED TECHNOLOGIES CORP	COM		913017109     3722    47281 SH		SOLE		     47281	0	0
UNITED THERAPEUTICS CORP DEL	COM		91307C102      218     3445 SH		SOLE		      3445	0	0
UNITEDHEALTH GROUP INC		COM		91324P102    10195   282324 SH		SOLE		    282324	0	0
UNUM GROUP			COM		91529Y106    13204   545182 SH		SOLE		    545182	0	0
V F CORP			COM		918204108     1368    15874 SH		SOLE		     15874	0	0
VERIZON COMMUNICATIONS INC	COM		92343V104     2428    67861 SH		SOLE		     67861	0	0
VIACOM INC NEW			CL B		92553P201     5255   132673 SH		SOLE		    132673	0	0
VODAFONE GROUP PLC NEW		SPONS ADR NEW	92857W209     1340    50683 SH		SOLE		     50683	0	0
WD-40 CO			COM		929236107     1855    46049 SH		SOLE		     46049	0	0
WAL MART STORES INC		COM		931142103    13508   250478 SH		SOLE		    250478	0	0
WALGREEN CO			COM		931422109     4365   112035 SH		SOLE		    112035	0	0
WALTER INVT MGMT CORP		COM		93317W102      330    18383 SH		SOLE		     18383	0	0
WATERS CORP			COM		941848103      350     4500 SH		SOLE		      4500	0	0
WATSON PHARMACEUTICALS INC	COM		942683103     1664    32221 SH		SOLE		     32221	0	0
WATTS WATER TECHNOLOGIES INC	CL A		942749102      248     6773 SH		SOLE		      6773	0	0
WELLS FARGO & CO NEW		COM		949746101     3834   123716 SH		SOLE		    123716	0	0
WESTERN UN CO			COM		959802109      199    10726 SH		SOLE		     10726	0	0
WHIRLPOOL CORP			COM		963320106    15602   175640 SH		SOLE		    175640	0	0
WILLIAMS COS INC DEL		COM		969457100      257    10380 SH		SOLE		     10380	0	0
WORLD ACCEP CORP DEL		COM		981419104      299     5665 SH		SOLE		      5665	0	0
XILINX INC			COM		983919101     8066   278319 SH		SOLE		    278319	0	0
YUM BRANDS INC			COM		988498101      490     9988 SH		SOLE		      9988	0	0
AMDOCS LTD			ORD		G02602103      527    19170 SH		SOLE		     19170	0	0
ACCENTURE PLC IRELAND		SHS CLASS A	G1151C101     3920    80849 SH		SOLE		     80849	0	0
COOPER INDUSTRIES PLC		SHS		G24140108     2524    43300 SH		SOLE		     43300	0	0
GREENLIGHT CAPITAL RE LTD	CLASS A		G4095J109      201     7511 SH		SOLE		      7511	0	0
HERBALIFE LTD			COM USD SHS	G4412G101    13635   199429 SH		SOLE		    199429	0	0
INVESCO LTD			SHS		G491BT108      629    26159 SH		SOLE		     26159	0	0
MARVELL TECHNOLOGY GROUP LTD	ORD		G5876H105      188    10134 SH		SOLE		     10134	0	0
PARTNERRE LTD			COM		G6852T105      263     3278 SH		SOLE		      3278	0	0
SEADRILL LIMITED		SHS		G7945E105    12410   365865 SH		SOLE		    365865	0	0
TEXTAINER GROUP HOLDINGS LTD	SHS		G8766E109      695    24377 SH		SOLE		     24377	0	0
TYCO INTERNATIONAL LTD		SHS		H89128104     1774    42802 SH		SOLE		     42802	0	0
TYCO ELECTRONICS LTD SWITZER	SHS		H8912P106    14950   422303 SH		SOLE		    422303	0	0
AVAGO TECHNOLOGIES LTD		SHS		Y0486S104     1210    42596 SH		SOLE		     42596	0	0
FLEXTRONICS INTL LTD		ORD		Y2573F102      157    19974 SH		SOLE		     19974	0	0

</TABLE>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
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