| 
                 1. 
                 | 
              
                 Names
                  of Reporting Persons. 
                IRS
                  Identification No. of Above Person 
               | 
              
                 JMP
                  Asset Management LLC 
                94-3342119 
               | 
            ||||
| 
                 2. 
                 | 
              
                 Check
                  the Appropriate Box if a Member of a Group (See
                  Instructions) 
               | 
              
                 (a)         £ 
                (b)         £ 
               | 
            ||||
| 
                 3. 
                 | 
              
                 SEC
                  Use Only 
               | 
            |||||
| 
                 4. 
                 | 
              
                 Citizenship
                  or Place of Organization 
               | 
              
                 Delaware 
               | 
            ||||
| 
                 NUMBER
                  OF 
                SHARES 
                BENEFICIALLY 
                OWNED
                  BY EACH 
                REPORTING 
                PERSON
                  WITH 
               | 
              
                 5. 
                 | 
              
                 Sole
                  Voting Power 
               | 
              
                 1,701,017 
               | 
            |||
| 
                 6. 
                 | 
              
                 Shared
                  Voting Power 
               | 
              
                 0 
               | 
            ||||
| 
                 7. 
                 | 
              
                 Sole
                  Dispositive Power 
               | 
              
                 1,701,017 
               | 
            ||||
| 
                 8. 
                 | 
              
                 Shared
                  Dispositive Power 
               | 
              
                 0 
               | 
            ||||
| 
                 9. 
                 | 
              
                 Aggregate
                  Amount Beneficially Owned by Each Reporting Person 
               | 
              
                 1,701,017 
               | 
            ||||
| 
                 10. 
                 | 
              
                 Check
                  if the Aggregate Amount in Row (9) Excludes Certain Shares (See
                  Instructions) 
               | 
              
                 £ 
               | 
            ||||
| 
                 11. 
                 | 
              
                 Percent
                  of Class Represented by Amount in Row (9) 
               | 
              
                 5.2% 
               | 
            ||||
| 
                 12. 
                 | 
              
                 Type
                  of Reporting Person (See Instructions) 
               | 
              
                 IA 
               | 
            ||||
| 
               Item
                1(a). 
             | 
            
               Name
                of Issuer: 
             | 
          
| 
               Item
                1(b). 
             | 
            
               Address
                of Issuer’s Principal Executive
                Office: 
             | 
          
| 
               Item
                2(a). 
             | 
            
               Name
                of Person Filing: 
             | 
          
| 
               Item
                2(b). 
             | 
            
               Address
                of Principal Business Office or, if none,
                Residence: 
             | 
          
| 
               Item
                2(c). 
             | 
            
               Citizenship: 
             | 
          
| 
               Item
                2(d). 
             | 
            
               Title
                of Class of Securities: 
             | 
          
| 
               Item
                2(e). 
             | 
            
               CUSIP
                Number: 
             | 
          
| 
               Item
                3. 
             | 
            
               If
                this statement is filed pursuant to §§240.13d-1(b) or 240.13d-2(b) or (c),
                check whether the person filing is
                a: 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (a) 
             | 
            
               Broker
                or dealer registered under section 15 of the Act (15 U.S.C.
                78o). 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (b) 
             | 
            
               Bank
                as defined in section 3(a)(6) of the Act (15 U.S.C.
                78c). 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (c) 
             | 
            
               Insurance
                company as defined in section 3(a)(19) of the Act (15 U.S.C.
                78c). 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (d) 
             | 
            
               Investment
                company registered under section 8 of the Investment Company Act
                of 1940
                (15 U.S.C 80a-8). 
             | 
          
| 
               | 
            
               T 
             | 
            
               (e) 
             | 
            
               An
                investment adviser in accordance with
                §240.13d-1(b)(1)(ii)(E); 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (f) 
             | 
            
               An
                employee benefit plan or endowment fund in accordance with
                §240.13d-1(b)(1)(ii)(F); 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (g) 
             | 
            
               A
                parent holding company or control person in accordance with §
                240.13d-1(b)(1)(ii)(G); 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (h) 
             | 
            
               A
                savings associations as defined in Section 3(b) of the Federal Deposit
                Insurance Act (12 U.S.C. 1813); 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (i) 
             | 
            
               A
                church plan that is excluded from the definition of an investment
                company
                under section 3(c)(14) of the Investment Company Act of 1940 (15
                U.S.C.
                80a-3); 
             | 
          
| 
               | 
            
               £ 
             | 
            
               (j) 
             | 
            
               Group,
                in accordance with
§240.13d-1(b)(1)(ii)(J). 
             | 
          
| 
               Item
                4. 
             | 
            
               Ownership: 
             | 
          
| 
               Item
                5. 
             | 
            
               Ownership
                of Five Percent or Less of a
                Class: 
             | 
          
| 
               Item
                6. 
             | 
            
               Ownership
                of More than Five Percent on Behalf of Another
                Person: 
             | 
          
| 
               Item
                7. 
             | 
            
               Identification
                and Classification of the Subsidiary Which Acquired the Security
                Being
                Reported on By the Parent Holding
                Company: 
             | 
          
| 
               Item
                8. 
             | 
            
               Identification
                and Classification of Members of the
                Group: 
             | 
          
| 
               Item
                9. 
             | 
            
               Notice
                of Dissolution of Group: 
             | 
          
| 
               Item
                10. 
             | 
            
               Certification: 
             | 
          
| 
               Dated:  February
                8, 2008 
             | 
            
               JMP
                ASSET MANAGEMENT LLC 
              By:      /s/
                Joseph A. Jolson 
              Joseph
                A. Jolson 
              Its: Chief
                Executive Officer 
               |