UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2005

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:    The Chubb Corporation
Address: 15 Mountain View Road
         P. O. Box 1615
         Warren, NJ 07061-1615

Form 13F File Number: 28-327

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:  Henry B. Schram
Title: Senior Vice President and Chief Accounting Officer
Phone: 908-903-2301

Signature, Place, and Date of Signing:


/s/ Henry B. Schram                     Warren, New Jersey   November 10, 2005
-------------------------------------   ------------------   -----------------
[Signature]                                [City, State]           [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager: None

                              FORM 13F SUMMARY PAGE


                                       
Report Summary:
Number of Other Included Managers:                 2
Form 13F Information Table Entry Total:          232
Form 13F Information Table Value Total:   $1,004,338
                                          (thousands)


List of Other Included Managers:

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



No.   Form 13F File Number   Name
---   --------------------   ----
                       
01    28 - 2490              Federal Insurance Company

02    28 - 2804              Pacific Indemnity Company


NAME OF REPORTING MANAGER THE CHUBB CORPORATION
PERIOD ENDING SEPTEMBER 30, 2005

PAGE 1                              FORM 13F                FILE NUMBER 28 - 327




                                                                        INVESTEMENT DISCRETION            VOTING AUTHORITY
                                                  FAIR MARKET  --------------------------------------         (SHARES)
                                                     VALUE                            SHARED           ---------------------
NAME OF ISSUER                CLASS     CUSIP        (000)      SHARES  SOLE  SHARED  OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----  -----------  -----------  -------  ----  ------  ------  -------  -------  ------  ----
                                                                                       
SEAGATE TECHNOLOGY             COM   G7945J-10-4      2,695    170,000           X               1     170,000
SEAGATE TECHNOLOGY             COM   G7945J-10-4      4,755    300,000           X               2     300,000
XL CAPITAL LTD CLASS A         COM   G98255-10-5          2         33           X                          33
XL CAPITAL LTD CLASS A         COM   G98255-10-5      7,483    110,000           X               1     110,000
AGCO CORP                      COM   001084-10-2      4,004    220,000           X               1     220,000
AGCO CORP                      COM   001084-10-2      1,820    100,000           X               2     100,000
ATI TECHNOLOGIES INC           COM   001941-10-3      6,273    450,000           X               1     450,000
ATI TECHNOLOGIES INC           COM   001941-10-3      2,091    150,000           X               2     150,000
ALCOA INC                      COM   013817-10-1      7,326    300,000           X               1     300,000
AMEREN CORPORATION             COM   023608-10-2      9,981    186,600           X               1     186,600
AMEREN CORPORATION             COM   023608-10-2      4,996     93,400           X               2      93,400
AMGEN INC                      COM   031162-10-0      7,967    100,000           X               2     100,000
APPLIED MATERIALS              COM   038222-10-5      3,402    200,600           X               1     200,600
ATMOS ENERGY CORP              COM   049560-10-5      1,978     70,000           X               1      70,000
ATMOS ENERGY CORP              COM   049560-10-5     15,538    550,000           X               2     550,000
AVERY DENNISON CORP            COM   053611-10-9      7,334    140,000           X               1     140,000
BJ'S WHOLESALE CLUB INC        COM   05548J-10-6      2,950    106,100           X               1     106,100
BJ'S WHOLESALE CLUB INC        COM   05548J-10-6      2,057     74,000           X               2      74,000
BP PLC-SPONS ADR               COM   055622-10-4      7,793    110,000           X               1     110,000
BANK OF AMERICA                COM   060505-10-4        842     20,000           X                      20,000
BANK OF AMERICA                COM   060505-10-4      6,315    150,000           X               1     150,000
BAXTER INTERNATIONAL INC       COM   071813-10-9      7,575    190,000           X               1     190,000
BIOMET INC                     COM   090613-10-0      7,553    217,600           X               1     217,600
BIOGEN IDEC INC                COM   09062X-10-3      8,295    210,100           X               1     210,100
BOWATER INC                    COM   102183-10-0      4,947    175,000           X               1     175,000
BOWATER INC                    COM   102183-10-0        707     25,000           X               2      25,000
BRINKER INTL                   COM   109641-10-0      6,009    160,000           X               1     160,000
BRISTOL MYERS SQUIBB           COM   110122-10-8      4,571    190,000           X               1     190,000
BRISTOL MYERS SQUIBB           COM   110122-10-8      7,218    300,000           X               2     300,000
CSX CORP                       COM   126408-10-3      5,113    110,000           X               1     110,000
CSX CORP                       COM   126408-10-3      1,859     40,000           X               2      40,000
CVS CORP                       COM   126650-10-0      3,568    123,000           X               1     123,000
CVS CORP                       COM   126650-10-0      3,974    137,000           X               2     137,000
CATERPILLAR INC -UK            COM   149123-10-1        839      8,800           X               1       8,800
CELESTICA INC                  COM   15101Q-10-8      4,185    370,000           X               1     370,000
CELESTICA INC                  COM   15101Q-10-8      1,131    100,000           X               2     100,000
CINERGY CORP                   COM   172474-10-8      5,773    130,000           X                     130,000
CINERGY CORP                   COM   172474-10-8      5,556    125,100           X               1     125,100
CINERGY CORP                   COM   172474-10-8      6,879    154,900           X               2     154,900
CISCO SYSTEMS INC              COM   17275R-10-2      2,258    126,000           X               1     126,000
CISCO SYSTEMS INC              COM   17275R-10-2        430     24,000           X               2      24,000
CITIGROUP INC                  COM   172967-10-1        273      6,000           X                       6,000
CITIGROUP INC                  COM   172967-10-1      7,010    154,000           X               1     154,000
CITIGROUP INC                  COM   172967-10-1      1,821     40,000           X               2      40,000
COCA COLA ENTERPRISES          COM   191219-10-4      5,655    290,000           X               1     290,000


NAME OF REPORTING MANAGER THE CHUBB CORPORATION
PERIOD ENDING SEPTEMBER 30, 2005

PAGE 2                              FORM 13F                FILE NUMBER 28 - 327




                                                                        INVESTEMENT DISCRETION            VOTING AUTHORITY
                                                  FAIR MARKET  --------------------------------------         (SHARES)
                                                     VALUE                            SHARED           ---------------------
NAME OF ISSUER                CLASS     CUSIP        (000)      SHARES  SOLE  SHARED  OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----  -----------  -----------  -------  ----  ------  ------  -------  -------  ------  ----
                                                                                       
COCA COLA ENTERPRISES          COM   191219-10-4       585      30,000           X               2      30,000
COLGATE PALMOLIVE              COM   194162-10-3     6,335     120,000           X               1     120,000
COMCAST CORP NEW CL A SPL      COM   20030N-20-0     1,727      60,000           X               1      60,000
COMCAST CORP NEW CL A SPL      COM   20030N-20-0       863      30,000           X               2      30,000
COMERICA INC                   COM   200340-10-7     4,712      80,000           X               1      80,000
COMERICA INC                   COM   200340-10-7     1,178      20,000           X               2      20,000
COMMUNITY HEALTH SYSTEMS INC   COM   203668-10-8     9,702     250,000           X               1     250,000
CONSOL ENERGY INC              COM   20854P-10-9     6,864      90,000           X               1      90,000
CONSOLIDATED EDISON INC        COM   209115-10-4     2,428      50,000           X                      50,000
CONSOLIDATED EDISON INC        COM   209115-10-4     7,938     163,500           X               1     163,500
CONSOLIDATED EDISON INC        COM   209115-10-4     4,855     100,000           X               2     100,000
CONSTELLATION BRANDS INC-A     COM   21036P-10-8     6,760     260,000           X               1     260,000
COOPER TIRE                    COM   216831-10-7       382      25,000           X               1      25,000
COOPER TIRE                    COM   216831-10-7     2,825     185,000           X               2     185,000
CONSECO INC                    PREF  208464-86-7       532      19,900           X               1      19,900
COTT CORPORATION               COM   22163N-10-6     2,726      30,000           X               1      30,000
CONVENTRY HEALTH CARE INC      COM   222862-10-4       462       5,373           X                       5,373
CONVENTRY HEALTH CARE INC      COM   222862-10-4     3,593      41,773           X               1      41,773
CONVENTRY HEALTH CARE INC      COM   222862-10-4       770       8,955           X               2       8,955
DTE ENERGY COMPANY             COM   233331-10-7     6,879     150,000           X                     150,000
DTE ENERGY COMPANY             COM   233331-10-7     4,586     100,000           X               1     100,000
DTE ENERGY COMPANY             COM   233331-10-7     4,572      99,700           X               2      99,700
DEAN FOODS CO                  COM   242370-10-4     6,218     160,000           X               1     160,000
DEAN FOODS CO                  COM   242370-10-4     1,166      30,000           X               2      30,000
DEVON ENERGY CORPORATION       COM   25179M-10-3     6,864     100,000           X                     100,000
DEVON ENERGY CORPORATION       COM   25179M-10-3     1,373      20,000           X               1      20,000
DIRECTV GROUP INC/THE          COM   25459L-10-6     3,296     220,000           X               1     220,000
DIRECTV GROUP INC/THE          COM   25459L-10-6     3,745     250,000           X                     250,000
DOLLAR TREE STORES INC         COM   256747-10-6     5,196     240,000           X               1     240,000
EL PASO CORP                   COM   28336L-10-9     6,950     500,000           X               1     500,000
ENERGY EAST CORPORATION        COM   29266M-10-9     2,433      96,600           X                      96,600
ENERGY EAST CORPORATION        COM   29266M-10-9     8,169     324,300           X               1     324,300
ENERGY EAST CORPORATION        COM   29266M-10-9     4,169     165,500           X               2     165,500
FAMILY DOLLAR STORES           COM   307000-10-9     5,961     300,000           X               1     300,000
FAMILY DOLLAR STORES           COM   307000-10-9     1,590      80,000           X               2      80,000
FISERVE INC                    COM   337738-10-8     4,587     100,000           X               1     100,000
FISERVE INC                    COM   337738-10-8     2,523      55,000           X               2      55,000
GENERAL ELECTRIC               COM   369604-10-3     6,397     190,000           X               1     190,000
GENERAL ELECTRIC               COM   369604-10-3     2,357      70,000           X               2      70,000
GENERAL MILLS INC              COM   370334-10-4     2,410      50,000           X               1      50,000
GENERAL MILLS INC              COM   370334-10-4     5,784     120,000           X               2     120,000
GENWORTH FINANCIAL INC-CL A    COM   37247D-10-6     6,448     200,000           X               1     200,000
GENWORTH FINANCIAL INC-CL A    COM   37247D-10-6     2,579      80,000           X               2      80,000
GLAXOSMITHKLINE PLC-ADR        COM   37733W-10-5     7,179     140,000           X               1     140,000
GLOBIX CORP                    COM   37957F-20-0       264     134,290           X               1     134,290


NAME OF REPORTING MANAGER THE CHUBB CORPORATION
PERIOD ENDING SEPTEMBER 30, 2005

PAGE 3                              FORM 13F               FILE NUMBER: 28 - 327




                                                                        INVESTMENT DISCRETION             VOTING AUTHORITY
                                                  FAIR MARKET  --------------------------------------         (SHARES)
                                                     VALUE                            SHARED           ----------------------
NAME OF ISSUER                CLASS      CUSIP       (000)      SHARES  SOLE  SHARED  OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----  -----------  -----------  -------  ----  ------  ------  -------  -------  ------  -----
                                                                                       
GREAT PLAINS ENERGY INC        COM   391164-10-0     7,047     235,600           X               1     235,600
GREAT PLAINS ENERGY INC        COM   391164-10-0     5,130     171,500           X               2     171,500
HCA INC                        COM   404119-10-9     7,428     155,000           X               1     155,000
HARTFORD FINANCIAL SERVICES    COM   416515-10-4     3,087      40,000           X                      40,000
HARTFORD FINANCIAL SERVICES    COM   416515-10-4     4,630      60,000           X               1      60,000
HJ HEINZ CO                    COM   423074-10-3     7,308     200,000           X               1     200,000
HEWLETT PACKARD                COM   428236-10-3     4,526     155,000           X               1     155,000
HEWLETT PACKARD                COM   428236-10-3     4,234     145,000           X               2     145,000
HONEYWELL INTERNATIONAL INC    COM   438516-10-6     3,108      82,878           X               1      82,878
HONEYWELL INTERNATIONAL INC    COM   438516-10-6     1,875      50,000           X               2      50,000
INCO LTD                       COM   453258-40-2     2,368      50,000           X               1      50,000
INCO LTD                       COM   453258-40-2     6,629     140,000           X               2     140,000
INTEL CORP                     COM   458140-10-0     1,479      60,000           X               1      60,000
INTEL CORP                     COM   458140-10-0     2,465     100,000           X               2     100,000
INTERNATIONAL BUSINESS MACHI   COM   459200-10-1     8,022     100,000           X               1     100,000
INTERNATIONAL PAPER CO         COM   460146-10-3     6,854     230,000           X               1     230,000
INTERPUBLIC GROUP OF COS INC   COM   460690-10-0     6,600     567,000           X               1     567,000
INTERPUBLIC GROUP OF COS INC   COM   460690-10-0       966      83,000           X               2      83,000
IVAX CORP                      COM   465823-10-2     2,379      90,250           X                      90,250
IVAX CORP                      COM   465823-10-2     7,039     267,050           X               1     267,050
JP MORGAN CHASE & CO           COM   46625H-10-0     1,574      46,400           X                      46,400
JP MORGAN CHASE & CO           COM   46625H-10-0     4,723     139,200           X               1     139,200
JP MORGAN CHASE & CO           COM   46625H-10-0     1,357      40,000           X               2      40,000
JONES APPAREL GROUP INC        COM   480074-10-3     5,136     180,200           X               1     180,200
KEYSPAN CORP                   COM   49337W-10-0     2,163      58,800           X                      58,800
KEYSPAN CORP                   COM   49337W-10-0     6,547     178,000           X               1     178,000
KEYSPAN CORP                   COM   49337W-10-0     5,149     140,000           X               2     140,000
LABORATORY CRP OF AMER HLDG    COM   50540R-40-9     5,456     112,000           X               1     112,000
LABORATORY CRP OF AMER HLDG    COM   50540R-40-9     1,364      28,000           X               2      28,000
LEXMARK INTL GROUP INC         COM   529771-10-7     7,937     130,000           X               1     130,000
LIBERTY GLOBAL INC             COM   530555-10-1       321      11,861           X               1      11,861
LIBERTY GLOBAL INC SERIES C    COM   530555-30-9       305      11,861           X               1      11,861
LIFE POINT HOSPITALS           COM   53219L-10-9     6,997     160,000           X               1     160,000
LIFE POINT HOSPITALS           COM   53219L-10-9       875      20,000           X               2      20,000
LIZ CLAIBORNE INC              COM   539320-10-1     3,932     100,000           X               1     100,000
LIZ CLAIBORNE INC              COM   539320-10-1     2,359      60,000           X               2      60,000
LUBRIZOL CORP                  COM   549271-10-4     7,366     170,000           X               1     170,000
MANOR CARE INC                 COM   564055-10-1     4,609     120,000           X               1     120,000
MANOR CARE INC                 COM   564055-10-1     2,305      60,000           X               2      60,000
MANULIFE FINANCIAL SERVICE     COM   56501R-10-6     3,059      57,367           X                      57,367
MARATHON OIL CORP              COM   565849-10-6    10,684     155,000           X               1     155,000
MCDONALDS CORP                 COM   580135-10-1     2,575      76,900           X               1      76,900
MCDONALDS CORP                 COM   580135-10-1     4,123     123,100           X               2     123,100
MEDCO HEALTH SOLUTIONS INC     COM   58405U-10-2     4,386      80,000           X               1      80,000
MEDCO HEALTH SOLUTIONS INC     COM   58405U-10-2     2,193      40,000           X               2      40,000


NAME OF REPORTING MANAGER THE CHUBB CORPORATION
PERIOD ENDING SEPTEMBER 30, 2005

PAGE 4                              FORM 13F               FILE NUMBER: 28 - 327




                                                                        INVESTMENT DISCRETION             VOTING AUTHORITY
                                                  FAIR MARKET  --------------------------------------         (SHARES)
                                                     VALUE                            SHARED           ----------------------
NAME OF ISSUER                CLASS      CUSIP       (000)      SHARES  SOLE  SHARED  OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----  -----------  -----------  -------  ----  ------  ------  -------  -------  ------  -----
                                                                                       
MERRILL LYNCH & CO             COM   590188-10-8     5,522      90,000           X               1      90,000
MERRILL LYNCH & CO             COM   590188-10-8       614      10,000           X               2      10,000
MICROSOFT CORP                 COM   594918-10-4     1,029      40,000           X                      40,000
MICROSOFT CORP                 COM   594918-10-4     3,602     140,000           X               1     140,000
MICROSOFT CORP                 COM   594918-10-4     3,088     120,000           X               2     120,000
MORGAN STANLEY DEAN WITTER     COM   617446-44-8     5,933     110,000           X               1     110,000
MOTOROLA INC                   COM   620076-10-9     7,270     330,000           X               1     330,000
NBTY INC                       COM   628782-10-4     7,050     300,000           X               1     300,000
NATIONAL CITY CORP             COM   635405-10-3     3,969     118,700           X               1     118,700
NATIONAL CITY CORP             COM   635405-10-3     2,842      85,000           X               2      85,000
NEWELL RUBBERMAID INC          COM   651229-10-6     5,898     260,400           X               1     260,400
NEWELL RUBBERMAID INC          COM   651229-10-6     2,709     119,600           X               2     119,600
NEWTEK BUSINESS SERVICES INC   COM   652526-10-4         4       2,000           X                       2,000
NEWTEK BUSINESS SERVICES INC   COM   652526-10-4       137      64,500           X               1      64,500
NISOURCE INC                   COM   65473P-10-5     8,126     335,100           X               1     335,100
NISOURCE INC                   COM   65473P-10-5     5,211     214,900           X               2     214,900
NORFOLK SOUTHERN CORPORATION   COM   655844-10-8     5,273     130,000           X               1     130,000
NORFOLK SOUTHERN CORPORATION   COM   655844-10-8     3,650      90,000           X               2      90,000
NORTHROP GRUMMAN CORP          COM   666807-10-2     7,066     130,000           X               1     130,000
NSTAR                          COM   67019E-10-7       885      30,600           X                      30,600
NSTAR                          COM   67019E-10-7     5,767     199,400           X               1     199,400
NSTAR                          COM   67019E-10-7     4,916     170,000           X               2     170,000
OGE ENERGY CORP                COM   670837-10-3       984      35,000           X                      35,000
OGE ENERGY CORP                COM   670837-10-3     5,499     195,700           X               1     195,700
OGE ENERGY CORP                COM   670837-10-3     6,859     244,100           X               2     244,100
OFFICE DEPOT INC               COM   676220-10-6     5,539     186,500           X               1     186,500
OFFICE DEPOT INC               COM   676220-10-6     3,026     101,900           X               2     101,900
OMNICARE INC                   COM   681904-10-8     7,591     135,000           X               1     135,000
OMNICARE INC                   COM   681904-10-8     3,655      65,000           X               2      65,000
ORACLE CORP                    COM   68389X-10-5       620      50,000           X                      50,000
ORACLE CORP                    COM   68389X-10-5     1,984     160,000           X               1     160,000
ORACLE CORP                    COM   68389X-10-5       992      80,000           X               2      80,000
PACTIV CORPORATION             COM   695257-10-5     5,782     330,000           X               1     330,000
PEPCO HOLDINGS INC             COM   713291-10-2     2,327     100,000           X                     100,000
PEPCO HOLDINGS INC             COM   713291-10-2     7,623     327,600           X               1     327,600
PEPCO HOLDINGS INC             COM   713291-10-2     6,762     290,600           X               2     290,600
PFIZER INC                     COM   717081-10-3     5,618     225,000           X               1     225,000
PFIZER INC                     COM   717081-10-3     1,998      80,000           X               2      80,000
PINNACLE WEST CAPITAL          COM   723484-10-1     2,204      50,000           X                      50,000
PINNACLE WEST CAPITAL          COM   723484-10-1    11,461     260,000           X               1     260,000
PINNACLE WEST CAPITAL          COM   723484-10-1     3,086      70,000           X               2      70,000
PRIDE INTERNATIONAL INC        COM   74153Q-10-2     5,417     190,000           X               1     190,000
PRIDE INTERNATIONAL INC        COM   74153Q-10-2     3,421     120,000           X               2     120,000
PROGRESS ENERGY INC            COM   743263-10-5       895      20,000           X                      20,000
PROGRESS ENERGY INC            COM   743263-10-5     7,258     162,200           X               1     162,200


NAME OF REPORTING MANAGER THE CHUBB CORPORATION
PERIOD ENDING SEPTEMBER 30, 2005

PAGE 5                              FORM 13F               FILE NUMBER: 28 - 327




                                                                         INVESTMENT DISCRETION               VOTING AUTHORITY
                                                  FAIR MARKET  ----------------------------------------          (SHARES)
                                                     VALUE                              SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES   SOLE  SHARED  OTHERS  MANAGER     SOLE    SHARED  NONE
--------------                -----  -----------  -----------  ---------  ----  ------  ------  -------  ---------  ------  ----
                                                                                           
PROGRESS ENERGY INC            COM   743263-10-5     5,835       130,400           X               2       130,400
PUGET ENERGY INC               COM   745310-10-2     6,210       264,500           X               1       264,500
PUGET ENERGY INC               COM   745310-10-2     4,529       192,900           X               2       192,900
ROWAN COMPANIES INC            COM   779382-10-0     8,873       250,000           X               1       250,000
ROYAL DUTCH SHELL PLC          COM   780259-20-6     6,564       100,000           X               1       100,000
SBC COMMUNICATIONS INC         COM   78387G-10-3     2,397       100,000           X                       100,000
SBC COMMUNICATIONS INC         COM   78387G-10-3     5,034       210,000           X               1       210,000
SBC COMMUNICATIONS INC         COM   78387G-10-3     9,109       380,000           X               2       380,000
ST PAUL TRAVELERS COMPANIES    COM   792860-10-8       793        17,678           X                        17,678
ST PAUL TRAVELERS COMPANIES    COM   792860-10-8     4,957       110,481           X               1       110,481
ST PAUL TRAVELERS COMPANIES    COM   792860-10-8     2,326        51,841           X               2        51,841
SANMINA CORP                   COM   800907-10-7     5,577     1,300,000           X               1     1,300,000
SANMINA CORP                   COM   800907-10-7       858       200,000           X               2       200,000
SCANA CORP                     COM   80589M-10-2       406         9,600           X                         9,600
SCANA CORP                     COM   80589M-10-2     4,917       116,400           X               1       116,400
SCANA CORP                     COM   80589M-10-2     2,023        47,900           X               2        47,900
SOUTHERN CO                    COM   842587-10-7     2,467        69,000           X                        69,000
SOUTHERN CO                    COM   842587-10-7     7,831       219,000           X               1       219,000
SOUTHERN CO                    COM   842587-10-7     4,005       112,000           X               2       112,000
STAGE STORES                   COM   85254C-30-5       316        11,762           X                        11,762
STANLEY WORKS/THE              COM   854616-10-9     4,668       100,000           X               1       100,000
TEVA PHARMACEUTICAL-SP ADR     COM   881624-20-9     6,016       180,000           X               1       180,000
TEVA PHARMACEUTICAL-SP ADR     COM   881624-20-9     1,337        40,000           X               2        40,000
THERMO ELECTRON CORP           COM   883556-10-2     8,241       266,700           X               1       266,700
TIME WARNER INC                COM   887317-10-5       906        50,000           X                        50,000
TIME WARNER INC                COM   887317-10-5     5,433       300,000           X               1       300,000
TRIAD HOSPITALS INC            COM   89579K-10-9     8,601       190,000           X               1       190,000
TYCO INTERNATIONAL             COM   902124-10-6     6,962       250,000           X               1       250,000
TYSON FOODS INC-CL A           COM   902494-10-3     6,094       337,600           X               1       337,600
TYSON FOODS INC-CL A           COM   902494-10-3     1,668        92,400           X               2        92,400
US BANCORP                     COM   902973-30-4     1,685        60,000           X               1        60,000
US BANCORP                     COM   902973-30-4     2,246        80,000           X               2        80,000
UNION PACIFIC CORP             COM   907818-10-8     8,604       120,000           X               1       120,000
UNUMPROVIDENT CORP             COM   91529Y-10-6     8,200       400,000           X               1       400,000
VERIZON COMMUNICATIONS         COM   92343V-10-4       817        25,000           X                        25,000
VERIZON COMMUNICATIONS         COM   92343V-10-4     6,015       184,000           X               1       184,000
VERIZON COMMUNICATIONS         COM   92343V-10-4     8,336       255,000           X               2       255,000
VIACOM INC-CL B                COM   925524-30-8     6,272       190,000           X               1       190,000
WACHOVIA CORP                  COM   929903-10-2     6,187       130,000           X               1       130,000
WASHINGTON MUTUAL INC          COM   939322-10-3     6,667       170,000           X               1       170,000
WASTE MANAGEMENT INC           COM   94106L-10-9     4,292       150,000           X               1       150,000
WASTE MANAGEMENT INC           COM   94106L-10-9     2,003        70,000           X               2        70,000
WATSON PHARMACEUTICALS         COM   942683-10-3     5,492       150,000           X               1       150,000
WATSON PHARMACEUTICALS         COM   942683-10-3     1,831        50,000           X               2        50,000
WESTERN DIGITAL CORP           COM   958102-10-5     5,129       396,700           X               1       396,700


NAME OF REPORTING MANAGER THE CHUBB CORPORATION
PERIOD ENDING SEPTEMBER 30, 2005

PAGE 6                              FORM 13F               FILE NUMBER: 28 - 327





                                                                         INVESTMENT DISCRETION               VOTING AUTHORITY
                                                  FAIR MARKET  ----------------------------------------          (SHARES)
                                                     VALUE                              SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES   SOLE  SHARED  OTHERS  MANAGER     SOLE    SHARED  NONE
--------------                -----  -----------  -----------  ---------  ----  ------  ------  -------  ---------  ------  ----
                                                                                           
WESTERN DIGITAL CORP           COM   958102-10-5     1,336       103,300           X               2      103,300
WYETH US                       COM   983024-10-0       925        20,000           X                       20,000
WYETH US                       COM   983024-10-0     3,933        85,000           X               1       85,000
WYETH US                       COM   983024-10-0     3,008        65,000           X               2       65,000
XCEL ENERGY INC                COM   98389B-10-0     8,334       425,000           X                      425,000
XCEL ENERGY INC                COM   98389B-10-0     6,230       317,700           X               1      317,700
ZIMMER HOLDINGS INC            COM   98956P-10-2       279         4,050           X               1        4,050
                                                 ---------
                                                 1,004,338
                                                 =========