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, 2006
                                               -----------------------

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:         Sun Life Financial Inc.
                 -------------------------------
   Address:      150 King street West
                 -------------------------------
                 Toronto, Ontario,
                 -------------------------------
                 Canada, M5H 1J9
                 -------------------------------

Form 13F File Number: 28-05799
                         ---------------------

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:    J.M.A. Anderson
         -------------------------------
Title:   Executive Vice-President and Chief Investment Officer
         -------------------------------
Phone:
         -------------------------------

Signature, Place, and Date of Signing:

                                      Toronto, Ontario   February 8, 2007
   -------------------------------    -----------------  ----------------
           [Signature]                  [City, State]        [Date]

Report Type (Check only one.):

/ / 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
    manager are reported in this report.)

/ / 13F NOTICE. (Check here if no holdings reported are in this report,
    and all holdings are reported by other reporting manager(s).)

/X/ 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

    Form 13F File Number        Name

    28-06597                    McLean Budden
       ---------------          ------------------------------------

    28-04968                    MFS
       ---------------          ------------------------------------
    [Repeat as necessary.]



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      2
                                        --------------------

Form 13F Information Table Entry Total: 229
                                        --------------------

Form 13F Information Table Value Total: US$1,783,991
                                        --------------------
                                            (thousands)

List of Other Included Managers:

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

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

    No.       Form 13F File Number         Name

    1         28-12046                     Sun Capital Advisers LLC.
    ------       -----------------         ---------------------------------

    2         28-12047                     Sun Life Assurance Company of Canada
    ------       -----------------         ---------------------------------

    [Repeat as necessary.]



                           FORM 13F INFORMATION TABLE




      COLUMN 1               COLUMN 2     COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7        COLUMN 8
------------------------- -------------- --------- --------- --------------------- ---------- -------- ------------------------
                                                     VALUE    SHRS OR    SH/  PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
   NAME OF ISSUER         TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT    PRN  CALL DISCRETION MANAGERS  SOLE    SHARED    NONE
------------------------- -------------- --------- --------- ---------- ----- ---- ---------- -------- ------ ---------- ------
                                                                                        
Abbott Laboratories             COM      002824100     3,891     79,862  SH          SHARED      1                79,862
Abbott Laboratories             COM      002824100     1,572     32,264  SH          SHARED      2                32,264
Alberto Culver Co               COM      013078100     1,637     76,473  SH          SHARED      1                76,473
Alberto Culver Co               COM      013078100       666     31,086  SH          SHARED      2                31,086
Alexandria Real Estate
  Equit                         COM      015271109     5,001     49,849  SH          SHARED      1                49,849
Alexandria Real Estate
  Equit                         COM      015271109       713      7,110  SH          SHARED      2                 7,110
Allstate Corp                   COM      020002101     4,244     65,172  SH          SHARED      1                65,172
Allstate Corp                   COM      020002101     1,727     26,519  SH          SHARED      2                26,519
Altria Group Inc                COM      02209S103     5,329     62,166  SH          SHARED      1                62,166
Altria Group Inc                COM      02209S103     2,174     25,354  SH          SHARED      2                25,354
American Express Co             COM      025816109     5,822     96,148  SH          SHARED      1                96,148
American Express Co             COM      025816109     2,401     39,652  SH          SHARED      2                39,652
Anheuser-Busch Co Inc           COM      035229103     4,189     85,197  SH          SHARED      1                85,197
Anheuser-Busch Co Inc           COM      035229103     1,708     34,744  SH          SHARED      2                34,744
Apple Computer Inc              COM      037833100     4,984     58,788  SH          SHARED      1                58,788
Apple Computer Inc              COM      037833100     2,034     23,997  SH          SHARED      2                23,997
Archstone-Smith Trust           COM      039583109     5,592     96,214  SH          SHARED      1                96,214
Archstone-Smith Trust           COM      039583109       808     13,900  SH          SHARED      2                13,900
AvalonBay Communities Inc       COM      053484101     4,053     31,248  SH          SHARED      1                31,248
AvalonBay Communities Inc       COM      053484101       583      4,496  SH          SHARED      2                 4,496
Bank of America Corp            COM      060505104     8,289    155,525  SH          SHARED      1               155,525
Bank of America Corp            COM      060505104     3,357     62,984  SH          SHARED      2                62,984
Baxter International Inc        COM      071813109     4,258     91,928  SH          SHARED      1                91,928
Baxter International Inc        COM      071813109     1,741     37,576  SH          SHARED      2                37,576
Biogen Idec Inc                 COM      09062X103     3,801     77,386  SH          SHARED      1                77,386
Biogen Idec Inc                 COM      09062X103     1,555     31,649  SH          SHARED      2                31,649
Boeing Company                  COM      097023105     4,343     48,911  SH          SHARED      1                48,911
Boeing Company                  COM      097023105     1,775     19,989  SH          SHARED      2                19,989
BRE Properties Inc             CL A      05564E106     5,464     84,120  SH          SHARED      1                84,120
BRE Properties Inc             CL A      05564E106       775     11,927  SH          SHARED      2                11,927
Capitalsource Inc               COM      14055X102     8,182    299,936  SH          SHARED      1               299,936
Capitalsource Inc               COM      14055X102     2,209     80,969  SH          SHARED      2                80,969
Chevron Corporation             COM      166764100     9,373    127,487  SH          SHARED      1               127,487
Chevron Corporation             COM      166764100     3,837     52,196  SH          SHARED      2                52,196
Ciena Corp                      COM      171779309     4,142    149,486  SH          SHARED      1               149,486
Ciena Corp                      COM      171779309     1,691     61,014  SH          SHARED      2                61,014
Cisco Systems Inc               COM      17275R102     5,629    206,179  SH          SHARED      1               206,179
Cisco Systems Inc               COM      17275R102     2,298     84,165  SH          SHARED      2                84,165
Citigroup Inc                   COM      172967101     9,180    164,966  SH          SHARED      1               164,966
Citigroup Inc                   COM      172967101     3,755     67,480  SH          SHARED      2                67,480
Coca-Cola Company               COM      191216100     3,761     78,022  SH          SHARED      1                78,022
Coca-Cola Company               COM      191216100     1,535     31,843  SH          SHARED      2                31,843
Comcast Corp                   CL A      20030N101     5,187    122,732  SH          SHARED      1               122,732
Comcast Corp                   CL A      20030N101     2,122     50,222  SH          SHARED      2                50,222
ConocoPhillips                  COM      20825C104     4,279     59,580  SH          SHARED      1                59,580





                                                                                        
ConocoPhillips                  COM      20825C104     1,752     24,392  SH          SHARED      2                24,392
Cosi Inc                        COM      22122P101     4,068    800,817  SH          SHARED      1               800,817
Cosi Inc                        COM      22122P101     1,660    326,845  SH          SHARED      2               326,845
CVS Corporation                 COM      126650100     4,000    129,674  SH          SHARED      1               129,674
CVS Corporation                 COM      126650100     1,633     52,924  SH          SHARED      2                52,924
Developers Diversified
  Realty                        COM      251591103     4,623     73,477  SH          SHARED      1                73,477
Developers Diversified
  Realty                        COM      251591103       659     10,477  SH          SHARED      2                10,477
Dominion Resources Inc          COM      25746U109     3,701     44,199  SH          SHARED      1                44,199
Dominion Resources Inc          COM      25746U109     1,509     18,025  SH          SHARED      2                18,025
Douglas Emmett Inc-w/i          COM      25960P109       942     35,533  SH          SHARED      1                35,533
Douglas Emmett Inc-w/i          COM      25960P109       134      5,064  SH          SHARED      2                 5,064
Duke Energy Corp                COM      26441C105     3,957    119,301  SH          SHARED      1               119,301
Duke Energy Corp                COM      26441C105     1,614     48,655  SH          SHARED      2                48,655
Dupont (EI) Nemours and
  Co                            COM      263534109     4,272     87,799  SH          SHARED      1                87,799
Dupont (EI) Nemours and
  Co                            COM      263534109     1,744     35,837  SH          SHARED      2                35,837
Dynegy Inc                     CL A      26816Q101        89     12,374  SH          SHARED      1                12,374
Eastgroup Properties            COM      277276101     4,075     76,524  SH          SHARED      1                76,524
Eastgroup Properties            COM      277276101       580     10,901  SH          SHARED      2                10,901
Eastman Kodak Co                COM      277461109     3,267    127,010  SH          SHARED      1               127,010
Eastman Kodak Co                COM      277461109     1,333     51,835  SH          SHARED      2                51,835
Eli Lilly & Co                  COM      532457108     3,455     66,376  SH          SHARED      1                66,376
Eli Lilly & Co                  COM      532457108     1,410     27,094  SH          SHARED      2                27,094
Emerson Electric Co             COM      291011104     3,676     83,528  SH          SHARED      1                83,528
Emerson Electric Co             COM      291011104     1,503     34,154  SH          SHARED      2                34,154
Equity Office Properties
  Trust                         COM      294741103     5,569    115,730  SH          SHARED      1               115,730
Equity Office Properties
  Trust                         COM      294741103       810     16,829  SH          SHARED      2                16,829
Equity Residential
  Properties                SH BEN INT   29476L107     3,700     73,089  SH          SHARED      1                73,089
Equity Residential
  Properties                SH BEN INT   29476L107       528     10,425  SH          SHARED      2                10,425
Exelon Corporation              COM      30161N101     3,741     60,566  SH          SHARED      1                60,566
Exelon Corporation              COM      30161N101     1,524     24,679  SH          SHARED      2                24,679
Exxon Mobil Corp                COM      30231G102    15,676    204,564  SH          SHARED      1               204,564
Exxon Mobil Corp                COM      30231G102     6,379     83,249  SH          SHARED      2                83,249
Federated Department
  Stores                        COM      31410H101     3,683     96,578  SH          SHARED      1                96,578
Federated Department
  Stores                        COM      31410H101     1,503     39,416  SH          SHARED      2                39,416
FHLMC                           COM      313400301     4,028     59,388  SH          SHARED      1                59,388
FHLMC                           COM      313400301     1,644     24,237  SH          SHARED      2                24,237
Finisar Corporation             COM      31787A101     3,071    953,863  SH          SHARED      1               953,863
Finisar Corporation             COM      31787A101     1,254    389,333  SH          SHARED      2               389,333
General Electric Company        COM      369604103    17,054    458,064  SH          SHARED      1               458,064
General Electric Company        COM      369604103     6,972    187,277  SH          SHARED      2               187,277
General Growth Properties       COM      370021107     4,057     77,775  SH          SHARED      1                77,775
General Growth Properties       COM      370021107       579     11,090  SH          SHARED      2                11,090
Goldman Sachs Group Inc         COM      38141G104     6,069     30,454  SH          SHARED      1                30,454
Goldman Sachs Group Inc         COM      38141G104     2,474     12,411  SH          SHARED      2                12,411
Google Inc-cl A                CL A      38259P508     4,089      8,887  SH          SHARED      1                 8,887
Google Inc-cl A                CL A      38259P508     1,669      3,627  SH          SHARED      2                 3,627
Health Care Properties          COM      421915109     2,832     77,099  SH          SHARED      1                77,099
Health Care Properties          COM      421915109       404     10,993  SH          SHARED      2                10,993
Hewlett Packard                 COM      428236103     5,615    136,360  SH          SHARED      1               136,360
Hewlett Packard                 COM      428236103     2,292     55,662  SH          SHARED      2                55,662
Highwoods Properties Inc        COM      431284108     5,008    123,343  SH          SHARED      1               123,343
Highwoods Properties Inc        COM      431284108       714     17,580  SH          SHARED      2                17,580





                                                                                        
Hilton Hotels Corp              COM      432848109     3,179     91,106  SH          SHARED      1                91,106
Hilton Hotels Corp              COM      432848109       455     13,051  SH          SHARED      2                13,051
Honeywell International
  Inc                           COM      438516106     3,777     83,629  SH          SHARED      1                83,629
Honeywell International
  Inc                           COM      438516106     1,544     34,188  SH          SHARED      2                34,188
Host Hotels and Resorts
  Inc                           COM      44107P104     4,000    163,039  SH          SHARED      1               163,039
Host Hotels and Resorts
  Inc                           COM      44107P104       567     23,100  SH          SHARED      2                23,100
IBM Corp                        COM      459200101     5,035     51,828  SH          SHARED      1                51,828
IBM Corp                        COM      459200101     2,055     21,156  SH          SHARED      2                21,156
Idearc Inc-w/i                  COM      451663108       479     16,720  SH          SHARED      1                16,720
Idearc Inc-w/i                  COM      451663108       196      6,830  SH          SHARED      2                 6,830
Innkeepers Usa Trust            COM      4576J0104     2,441    158,224  SH          SHARED      1               158,224
Innkeepers Usa Trust            COM      4576J0104       387     24,485  SH          SHARED      2                24,485
Intel Corp                      COM      458140100     3,832    189,411  SH          SHARED      1               189,411
Intel Corp                      COM      458140100     1,525     75,382  SH          SHARED      2                75,382
International Paper Co          COM      460146103     3,472    102,034  SH          SHARED      1               102,034
International Paper Co          COM      460146103     1,381     40,595  SH          SHARED      2                40,595
Ishares                   MSCI UTD KINGD 464286699     3,158    135,000  SH          SHARED      1               135,000
Ishares                     MSCI FRANCE  464286707     3,961    116,200  SH          SHARED      1               116,200
Ishares                     MSCI GERMAN  464286806       847     31,500  SH          SHARED      1                31,500
Ishares                     MSCI MEXICO  464286822     1,750     34,400  SH          SHARED      1                34,400
Ishares                     MSCI JAPAN   464286848     5,723    403,000  SH          SHARED      1               403,000
Ishares Tr                 MSCI EAFE IDX 464287465   210,114  2,869,623  SH          SHARED      1             2,869,623
ISTAR Financial Inc             COM      45031U101     4,742     99,167  SH          SHARED      1                99,167
ISTAR Financial Inc             COM      45031U101       714     15,233  SH          SHARED      2                15,233
Johnson & Johnson               COM      478160104     5,999     91,014  SH          SHARED      1                91,014
Johnson & Johnson               COM      478160104     2,387     36,223  SH          SHARED      2                36,223
JP Morgan Chase                 COM      46625H100     8,535    176,787  SH          SHARED      1               176,787
JP Morgan Chase                 COM      46625H100     3,456     71,242  SH          SHARED      2                71,242
Kimberly-Clark Corp             COM      494368103     4,115     60,642  SH          SHARED      1                60,642
Kimberly-Clark Corp             COM      494368103     1,723     25,912  SH          SHARED      2                25,912
Kimco Realty Corp               COM      49446R109     4,844    107,904  SH          SHARED      1               107,904
Kimco Realty Corp               COM      49446R109       726     15,867  SH          SHARED      2                15,867
Lexington Corporate Pptys
  Tr                            COM      529043101     4,982    222,220  SH          SHARED      1               222,220
Lexington Corporate Pptys
  Tr                            COM      529043101       710     31,664  SH          SHARED      2                31,664
Lowe's Companies                COM      548661107     3,399    109,331  SH          SHARED      1               109,331
Lowe's Companies                COM      548661107     1,353     43,508  SH          SHARED      2                43,508
Macerich Company                COM      554382101     5,924     68,583  SH          SHARED      1                68,583
Macerich Company                COM      554382101       879     10,892  SH          SHARED      2                10,892
Massey Energy Co                COM      576206106     7,807    336,515  SH          SHARED      1               336,515
Massey Energy Co                COM      576206106     3,107    133,935  SH          SHARED      2               133,935
Medical Properties Trust
  Inc                           COM      58463J304     5,971    390,536  SH          SHARED      1               390,536
Medical Properties Trust
  Inc                           COM      58463J304       895     56,762  SH          SHARED      2                56,762
Merck                           COM      589331107     4,405    101,139  SH          SHARED      1               101,139
Merck                           COM      589331107     1,753     40,255  SH          SHARED      2                40,255
Merge Technologies Inc          COM      589981109     3,865    590,145  SH          SHARED      1               590,145
Merge Technologies Inc          COM      589981109     1,583    235,902  SH          SHARED      2               235,902
Merrill Lynch & Co Inc          COM      590188108     5,288     56,843  SH          SHARED      1                56,843
Merrill Lynch & Co Inc          COM      590188108     2,113     28,296  SH          SHARED      2                28,296
MetLife Inc                     COM      59156R108     3,948     66,960  SH          SHARED      1                66,960
MetLife Inc                     COM      59156R108     1,624     27,218  SH          SHARED      2                27,218
Microsoft Corp                  COM      594918104     7,995    267,853  SH          SHARED      1               267,853
Microsoft Corp                  COM      594918104     3,222    107,282  SH          SHARED      2               107,282





                                                                                        
Mrv Communications Inc          COM      553477100     9,078  2,571,725  SH          SHARED      1             2,571,725
Mrv Communications Inc          COM      553477100     3,691  1,025,277  SH          SHARED      2             1,025,277
MRV Communications Inc          COM      553477100    14,898  4,256,503  SH          SHARED      1             4,256,503
Mueller Water Products
  Inc-b                         COM      624758207     2,073    139,493  SH          SHARED      1               139,493
Mueller Water Products
  Inc-b                         COM      624758207       931     82,577  SH          SHARED      2                82,577
Nasdaq 100                      COM      631100104    15,922    369,000  SH          SHARED      1               369,000
Nationwide Health Pptys
  Inc                           COM      638620104     2,782     92,519  SH          SHARED      1                92,519
Nationwide Health Pptys
  Inc                           COM      638620104       418     14,634  SH          SHARED      2                14,634
Nautilus Inc                    COM      63910B102     3,008    215,444  SH          SHARED      1               215,444
Nautilus Inc                    COM      63910B102     1,197     85,731  SH          SHARED      2                85,731
New York Community
  Bancorp                       COM      649445103     4,503    279,665  SH          SHARED      1               279,665
New York Community
  Bancorp                       COM      649445103       675     42,214  SH          SHARED      2                42,214
Newmont Mining Corp             COM      651639106     3,692     81,961  SH          SHARED      1                81,961
Newmont Mining Corp             COM      651639106     1,469     32,617  SH          SHARED      2                32,617
Omnicare Inc                    COM      681904108     3,756     97,325  SH          SHARED      1                97,325
Omnicare Inc                    COM      681904108     1,532     39,565  SH          SHARED      2                39,565
Oracle Corporation              COM      68389X105     4,855    283,560  SH          SHARED      1               283,560
Oracle Corporation              COM      68389X105     1,971    113,887  SH          SHARED      2               113,887
Penn Real Estate
  Investment Tr             SH BEN INT   709102107     3,411     86,715  SH          SHARED      1                86,715
Penn Real Estate
  Investment Tr             SH BEN INT   709102107       534     15,202  SH          SHARED      2                15,202
Pepsico Inc                     COM      713448108     3,756     60,054  SH          SHARED      1                60,054
Pepsico Inc                     COM      713448108     1,536     24,556  SH          SHARED      2                24,556
Prologis                    SH BEN INT   743410102     4,195     69,174  SH          SHARED      1                69,174
Prologis                    SH BEN INT   743410102       608     10,022  SH          SHARED      2                10,022
Prudential Financial Inc        COM      744320102     7,611     88,755  SH          SHARED      1                88,755
Prudential Financial Inc        COM      744320102     3,091     36,051  SH          SHARED      2                36,051
Public Storage Inc              COM      74460D109     3,968     40,714  SH          SHARED      1                40,714
Public Storage Inc              COM      74460D109       569      5,841  SH          SHARED      2                 5,841
Raytheon Co                     COM      755111507     4,256     80,666  SH          SHARED      1                80,666
Raytheon Co                     COM      755111507     1,730     32,795  SH          SHARED      2                32,795
Redback Networks Inc            COM      757209507     9,290    372,781  SH          SHARED      1               372,781
Redback Networks Inc            COM      757209507     3,792    152,165  SH          SHARED      2               152,165
Regency Centers Corp            COM      758849103     3,785     48,496  SH          SHARED      1                48,496
Regency Centers Corp            COM      758849103       548      7,026  SH          SHARED      2                 7,026
S&P 500 Index Fund              IDX      464287465    31,417    428,838  SH          SHARED      2               428,838
Sally Beauty Co Inc-w/i         COM      79546E104       600     76,473  SH          SHARED      1                76,473
Sally Beauty Co Inc-w/i         COM      79546E104       244     31,086  SH          SHARED      2                31,086
Schering-Plough Corp            COM      806605101     4,472    189,502  SH          SHARED      1               189,502
Schering-Plough Corp            COM      806605101     1,824     77,286  SH          SHARED      2                77,286
Simon Property Group
  Inc                           COM      828806109     6,624     65,492  SH          SHARED      1                65,492
Simon Property Group
  Inc                           COM      828806109       947      9,358  SH          SHARED      2                 9,358
SL Green Realty Corp            COM      78440X101     6,283     47,401  SH          SHARED      1                47,401
SL Green Realty Corp            COM      78440X101       901      6,797  SH          SHARED      2                 6,797
SPDR Trust                      COM      78462F103   703,555  4,967,909  SH          SHARED      1             4,967,909
Symantec Corp                   COM      871503108     4,692    225,475  SH          SHARED      1               225,475
Symantec Corp                   COM      871503108     1,919     92,193  SH          SHARED      2                92,193
Tenet Healthcare Corp           COM      88033G100     3,857    552,530  SH          SHARED      1               552,530
Tenet Healthcare Corp           COM      88033G100     1,574    225,536  SH          SHARED      2               225,536
Time Warner Inc                 COM      887317105     5,065    232,682  SH          SHARED      1               232,682
Time Warner Inc                 COM      887317105     2,076     95,351  SH          SHARED      2                95,351
Tyco International Ltd          COM      902124106     4,177    137,501  SH          SHARED      1               137,501
Tyco International Ltd          COM      902124106     1,707     56,197  SH          SHARED      2                56,197





                                                                                        
UAL Corp                        COM      902549807       542     12,327  SH          SHARED      1                12,327
United Parcel
  Service-cl B                 CL B      911312106     3,575     47,727  SH          SHARED      1                47,727
United Parcel
  Service-cl B                 CL B      911312106     1,461     19,504  SH          SHARED      2                19,504
United Technologies Corp        COM      913017109     3,820     61,194  SH          SHARED      1                61,194
United Technologies Corp        COM      913017109     1,561     25,008  SH          SHARED      2                25,008
UnumProvident Corp              COM      91529Y106    85,380  4,108,750  SH          SHARED      1             4,108,750
Ventas Inc                      COM      92276F100     6,515    154,155  SH          SHARED      1               154,155
Ventas Inc                      COM      92276F100       929     21,972  SH          SHARED      2                21,972
Verizon Communications
  Inc                           COM      92343V104    12,440    334,415  SH          SHARED      1               334,415
Verizon Communications
  Inc                           COM      92343V104     5,082    136,609  SH          SHARED      2               136,609
Viacom Inc-class B             CL B      92553P201     3,733     91,126  SH          SHARED      1                91,126
Viacom Inc-class B             CL B      92553P201     1,524     37,191  SH          SHARED      2                37,191
Vornado Realty Trust        SH BEN INT   929042109     4,761     39,238  SH          SHARED      1                39,238
Vornado Realty Trust        SH BEN INT   929042109       680      5,607  SH          SHARED      2                 5,607
Wachovia Corp                   COM      929903102     5,504     96,859  SH          SHARED      1                96,859
Wachovia Corp                   COM      929903102     2,262     39,816  SH          SHARED      2                39,816
Wal-Mart Stores Inc             COM      931142103     3,466     75,073  SH          SHARED      1                75,073
Wal-Mart Stores Inc             COM      931142103     1,414     30,621  SH          SHARED      2                30,621
Walt Disney Co                  COM      254687106     3,414     99,430  SH          SHARED      1                99,430
Walt Disney Co                  COM      254687106     1,422     41,406  SH          SHARED      2                41,406
Walter Industries Inc           COM      93317Q105     2,317     85,855  SH          SHARED      1                85,855
Walter Industries Inc           COM      93317Q105       946     35,040  SH          SHARED      2                35,040
Wellpoint Inc                   COM      94973V107     3,757     47,786  SH          SHARED      1                47,786
Wellpoint Inc                   COM      94973V107     1,534     19,505  SH          SHARED      2                19,505
Wells Fargo & Co                COM      949746101     7,913    222,784  SH          SHARED      1               222,784
Wells Fargo & Co                COM      949746101     3,216     90,542  SH          SHARED      2                90,542
Wyeth                           COM      983024100     3,942     77,547  SH          SHARED      1                77,547
Wyeth                           COM      983024100     1,609     31,654  SH          SHARED      2                31,654

                                                   1,783,991 41,735,283                                       41,735,283