SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549
                                    Form 13F
                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2009

Check here if Amendment [X ]; Amendment Number: 1

This Amendment (Check only one.): [X ] 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: Pawan Khemraj
Title: Director, Investment Analysis
Phone: 416-979-6192
Signature, Place, and Date of Signing:

/s/ Pawan Khemraj       Toronto, Ontario, November 13, 2009
----------------        -----------------------------------
[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

Report Summary:
Number of Other Included Managers: 2
Form 13F Information Table Entry Total: 229
Form 13F Information Table Value Total: US$1,615,331
                                         (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
028-12046          1 Sun Capital Advisers LLC.
028-12047          2 Sun Life Assurance Company of Canada
[Repeat as necessary.]




FORM 13F INFORMATION TABLE - SEPTEMBER 30, 2009
COLUMN 1                       COLUMN 2 COLUMN 3   COLUMN 4       COLUMN 5       COLUMN 6   COLUMN 7         COLUMN 8
                               TITLE               VALUE    SHRS OR     SH/ PUT/ INVESTMENT OTHER       VOTING AUTHORITY
NAME OF ISSUER                 OF CLASS CUSIP      (x$1000) PRN AMT     PRN CALL DISCRETION MANAGERS SOLE    SHARED    NONE
                                                                                      
 3M Corporation                COM      88579Y101     3,269      44,293 SH       SHARED            1           44,293
 3M Corporation                COM      88579Y101     1,223      16,577 SH       SHARED            2           16,577
 Acme Packet Inc               COM      004764106     8,086     807,815 SH       SHARED            1          807,815
 Acme Packet Inc               COM      004764106     3,114     311,097 SH       SHARED            2          311,097
 Acme Packet Inc               COM      004764106    10,271   1,078,900 SH       SHARED            1        1,078,900
 Alexandria Real Estate Equit  COM      015271109     5,177      95,254 SH       SHARED            1           95,254
 Alexandria Real Estate Equit  COM      015271109       315       5,799 SH       SHARED            2            5,799
 Altria Group Inc              COM      02209S103     1,107      62,166 SH       SHARED            1           62,166
 Altria Group Inc              COM      02209S103       413      23,209 SH       SHARED            2           23,209
 Amgen Inc                     COM      031162100     4,162      69,102 SH       SHARED            1           69,102
 Amgen Inc                     COM      031162100     1,554      25,808 SH       SHARED            2           25,808
 Anadarko Petroleum Corp       COM      032511107     1,373      21,892 SH       SHARED            2           21,892
 AT&T Inc                      COM      00206R102     2,870     106,242 SH       SHARED            1          106,242
 AT&T Inc                      COM      00206R102     1,096      40,570 SH       SHARED            2           40,570
 AvalonBay Communities Inc     COM      053484101     6,766      93,028 SH       SHARED            1           93,028
 AvalonBay Communities Inc     COM      053484101       408       5,609 SH       SHARED            2            5,609
 Bank of America Corp          COM      060505104     5,079     300,194 SH       SHARED            1          300,194
 Bank of America Corp          COM      060505104     1,887     111,501 SH       SHARED            2          111,501
 Bank of Nova Scotia           COM      064149107    31,346     695,626 SH       SHARED            1          695,626
 Best Buy Company Inc          COM      086516101     3,650      97,277 SH       SHARED            1           97,277
 Best Buy Company Inc          COM      086516101     1,247      33,228 SH       SHARED            2           33,228
 Biogen Idec Inc               COM      09062X103     4,132      81,784 SH       SHARED            1           81,784
 Biogen Idec Inc               COM      09062X103     1,503      29,757 SH       SHARED            2           29,757
 BIOMED REALTY TRUST INC       COM      09063H107     9,627     697,595 SH       SHARED            1          697,595
 BIOMED REALTY TRUST INC       COM      09063H107       245      17,723 SH       SHARED            2           17,723
 Boeing Company                COM      097023105     2,649      48,911 SH       SHARED            1           48,911
 Boeing Company                COM      097023105       991      18,297 SH       SHARED            2           18,297
 Boston Properties Inc         COM      101121101     7,951     121,296 SH       SHARED            1          121,296
 Boston Properties Inc         COM      101121101       372       5,681 SH       SHARED            2            5,681
 Boston Scientific             COM      101137107    10,051     950,000 SH       SHARED            1          950,000
 Boston Scientific Corp        COM      101137107     7,970     752,598 SH       SHARED            1          752,598
 Boston Scientific Corp        COM      101137107     2,988     282,150 SH       SHARED            2          282,150
 BP Amoco Plc                  COM      055622104     6,031     113,297 SH       SHARED            1          113,297
 BP Amoco Plc                  COM      055622104     1,693      31,807 SH       SHARED            2           31,807
 Bristol-Myers Squibb          COM      110122108     3,120     138,544 SH       SHARED            1          138,544
 Bristol-Myers Squibb          COM      110122108     1,168      51,847 SH       SHARED            2           51,847
 BROADCOM CORP-CL A            COM      111320107     2,952      96,182 SH       SHARED            1           96,182
 BROADCOM CORP-CL A            COM      111320107     1,127      36,714 SH       SHARED            2           36,714
 Chesapeake Energy Corp        COM      165167107     1,391      48,970 SH       SHARED            2           48,970
 Chevron Corporation           COM      166764100    11,769     167,102 SH       SHARED            1          167,102
 Chevron Corporation           COM      166764100     1,685      23,928 SH       SHARED            2           23,928
 Citigroup Inc                 COM      172967101     2,334     482,334 SH       SHARED            1          482,334
 Citigroup Inc                 COM      172967101       847     174,978 SH       SHARED            2          174,978
 Clayton Williams Energy Inc   COM      969490101     3,267     108,482 SH       SHARED            1          108,482
 Clayton Williams Energy Inc   COM      969490101     1,271      42,214 SH       SHARED            2           42,214
 Coca-Cola Company             COM      191216100     3,370      62,752 SH       SHARED            1           62,752
 Coca-Cola Company             COM      191216100     1,246      23,201 SH       SHARED            2           23,201
 Concurrent Computer Corp      COM      206710402         0           1 SH       SHARED            1                1
 Concurrent Computer Corp      COM      206710402         0           2 SH       SHARED            2                2
 ConocoPhillips                COM      20825C104     2,691      59,580 SH       SHARED            1           59,580
 ConocoPhillips                COM      20825C104     1,008      22,328 SH       SHARED            2           22,328
 Cosi Inc                      COM      22122P101       505     800,817 SH       SHARED            1          800,817
 Cosi Inc                      COM      22122P101       195     309,909 SH       SHARED            2          309,909
 CVS Caremark Corporation      COM      126650100     3,200      89,534 SH       SHARED            1           89,534
 CVS Caremark Corporation      COM      126650100     1,173      32,811 SH       SHARED            2           32,811
 Delta Air Lines Inc           COM      247361702     1,363     152,095 SH       SHARED            1          152,095
 DICK'S SPORTING GOODS INC     COM      253393102     1,768      78,928 SH       SHARED            2           78,928
 DIGITAL REALTY TRUST INC      COM      253868103    11,825     258,702 SH       SHARED            1          258,702
 DIGITAL REALTY TRUST INC      COM      253868103       428       9,359 SH       SHARED            2            9,359
 Dominion Resources Inc        COM      25746U109     3,050      88,398 SH       SHARED            1           88,398
 Dominion Resources Inc        COM      25746U109     1,138      32,998 SH       SHARED            2           32,998
 Douglas Emmett Inc-w/i        COM      25960P109     8,167     665,043 SH       SHARED            1          665,043
 Douglas Emmett Inc-w/i        COM      25960P109       399      32,513 SH       SHARED            2           32,513
 Dupont (EI) Nemours and Co    COM      263534109     2,822      87,799 SH       SHARED            1           87,799
 Dupont (EI) Nemours and Co    COM      263534109     1,054      32,801 SH       SHARED            2           32,801
 Electronic Arts Inc           COM      285512109     3,322     174,386 SH       SHARED            1          174,386
 Electronic Arts Inc           COM      285512109     1,292      67,839 SH       SHARED            2           67,839
 EMC Corp                      COM      268648102     5,953     349,331 SH       SHARED            1          349,331
 EMC Corp                      COM      268648102     2,222     130,385 SH       SHARED            2          130,385
 EMULEX CORP                   COM      292475209     3,047     296,132 SH       SHARED            1          296,132
 EMULEX CORP                   COM      292475209     1,155     112,279 SH       SHARED            2          112,279
 EQT Inc                       COM      26884L109     5,565     130,624 SH       SHARED            1          130,624
 EQT Inc                       COM      26884L109     2,110      49,542 SH       SHARED            2           49,542
 Equity Residential Properties COM      29476L107     8,172     266,178 SH       SHARED            1          266,178
 Equity Residential Properties COM      29476L107       390      12,697 SH       SHARED            2           12,697
 Exelon Corporation            COM      30161N101     3,005      60,566 SH       SHARED            1           60,566
 Exelon Corporation            COM      30161N101     1,121      22,591 SH       SHARED            2           22,591
 Exxon Mobil Corp              COM      30231G102    11,705     170,600 SH       SHARED            1          170,600
 Exxon Mobil Corp              COM      30231G102     4,447      64,814 SH       SHARED            2           64,814
 Federal Realty Investment Tr  COM      313747206     4,065      66,232 SH       SHARED            1           66,232
 Federal Realty Investment Tr  COM      313747206       265       4,320 SH       SHARED            2            4,320
 Fedex Corp                    COM      31428X106     2,335      31,037 SH       SHARED            1           31,037
 Fedex Corp                    COM      31428X106       872      11,595 SH       SHARED            2           11,595
 FINISAR Corporation           COM      31787A507     1,572     162,436 SH       SHARED            1          162,436
 Frontier Communications Corp  COM      35906A108     6,372     845,091 SH       SHARED            1          845,091
 Frontier Communications Corp  COM      35906A108     2,447     324,523 SH       SHARED            2          324,523
 GAMESTOP CORP-CLASS A         COM      36467W109     4,731     178,747 SH       SHARED            1          178,747
 GAMESTOP CORP-CLASS A         COM      36467W109     1,736      65,574 SH       SHARED            2           65,574
 General Electric Company      COM      369604103     5,419     330,032 SH       SHARED            1          330,032
 General Electric Company      COM      369604103     2,281     138,911 SH       SHARED            2          138,911
 Genworth Financial Inc.       COM      37247D106    27,343   2,286,200 SH       SHARED            1        2,286,200
 Goldman Sachs Group Inc       COM      38141G104     5,614      30,454 SH       SHARED            1           30,454
 Goldman Sachs Group Inc       COM      38141G104     2,095      11,363 SH       SHARED            2           11,363
 HALOZYME THERAPEUTICS INC     COM      40637H109     3,576     502,900 SH       SHARED            1          502,900
 HALOZYME THERAPEUTICS INC     COM      40637H109     1,344     188,990 SH       SHARED            2          188,990
 HCP Inc                       COM      40414L109     7,719     268,565 SH       SHARED            1          268,565
 HCP Inc                       COM      40414L109       475      16,533 SH       SHARED            2           16,533
 Honeywell International Inc   COM      438516106     3,107      83,629 SH       SHARED            1           83,629
 Honeywell International Inc   COM      438516106     1,163      31,293 SH       SHARED            2           31,293
 IKanos Communications Inc.    COM      45173E105       176      75,441 SH       SHARED            1           75,441
 IKanos Communications Inc.    COM      45173E105        68      29,309 SH       SHARED            2           29,309
 Intel Corp                    COM      458140100     3,409     174,212 SH       SHARED            1          174,212
 Intel Corp                    COM      458140100     1,189      60,752 SH       SHARED            2           60,752
 Intermec Inc                  COM      458786100     3,026     214,580 SH       SHARED            1          214,580
 Intermec Inc                  COM      458786100     1,185      84,019 SH       SHARED            2           84,019
 Ishares                       COM      464286699     2,992     196,600 SH       SHARED            1          196,600
 Ishares                       COM      464286707     3,816     151,200 SH       SHARED            1          151,200
 Ishares                       COM      464286806       693      31,300 SH       SHARED            1           31,300
 Ishares                       COM      464286822     1,637      37,550 SH       SHARED            1           37,550
 Ishares                       COM      464286848     7,841     792,806 SH       SHARED            1          792,806
 IShares MSCI EAFE             COM      464287465    23,449     428,838 SH       SHARED            2          428,838
 Ishares Tr                    COM      464287465   195,806   3,580,940 SH       SHARED            1        3,580,940
 Johnson & Johnson             COM      478160104     2,212      36,327 SH       SHARED            1           36,327
 Johnson & Johnson             COM      478160104       833      13,673 SH       SHARED            2           13,673
 JP Morgan Chase               COM      46625H100     7,747     176,787 SH       SHARED            1          176,787
 JP Morgan Chase               COM      46625H100     2,892      66,004 SH       SHARED            2           66,004
 Kimberly-Clark Corp           COM      494368103     2,828      47,946 SH       SHARED            1           47,946
 Kimberly-Clark Corp           COM      494368103     1,043      17,692 SH       SHARED            2           17,692
 Kimco Realty Corp             COM      49446R109     6,409     491,503 SH       SHARED            1          491,503
 Kimco Realty Corp             COM      49446R109       335      25,688 SH       SHARED            2           25,688
 Kroger Co                     COM      501044101     2,780     134,691 SH       SHARED            1          134,691
 Kroger Co                     COM      501044101     1,070      51,860 SH       SHARED            2           51,860
 Lexington Realty Trust        COM      529043101     5,589   1,095,867 SH       SHARED            1        1,095,867
 Lexington Realty Trust        COM      529043101       208      40,873 SH       SHARED            2           40,873
 Lockheed Martin Corp          COM      539830109     3,076      39,401 SH       SHARED            1           39,401
 Lockheed Martin Corp          COM      539830109     1,201      15,383 SH       SHARED            2           15,383
 Lowe's Companies              COM      548661107     2,700     128,963 SH       SHARED            1          128,963
 Lowe's Companies              COM      548661107     1,009      48,165 SH       SHARED            2           48,165
 Macerich Company              COM      554382101       203       6,700 SH       SHARED            1            6,700
 Macerich Company              COM      554382101         3         104 SH       SHARED            2              104
 Macy's Inc                    COM      55616P104     4,265     233,170 SH       SHARED            1          233,170
 Macy's Inc                    COM      55616P104     1,500      82,002 SH       SHARED            2           82,002
 Mattel Inc                    COM      577081102     3,612     195,682 SH       SHARED            1          195,682
 Mattel Inc                    COM      577081102     1,354      73,329 SH       SHARED            2           73,329
 Medical Properties Trust Inc  COM      58463J304     8,816   1,128,854 SH       SHARED            1        1,128,854
 Medical Properties Trust Inc  COM      58463J304       328      41,944 SH       SHARED            2           41,944
 Merck & Co Inc                COM      589331107     3,199     101,139 SH       SHARED            1          101,139
 Merck & Co Inc                COM      589331107     1,195      37,788 SH       SHARED            2           37,788
 Microsoft Corp                COM      594918104     3,420     132,977 SH       SHARED            1          132,977
 Microsoft Corp                COM      594918104     1,174      45,664 SH       SHARED            2           45,664
 Microsoft Corp                COM      61166W101     4,106      53,050 SH       SHARED            1           53,050
 Microsoft Corp                COM      61166W101     1,558      20,132 SH       SHARED            2           20,132
 Morgan Stanley                COM      617446448     4,500     145,739 SH       SHARED            1          145,739
 Morgan Stanley                COM      617446448     1,650      53,423 SH       SHARED            2           53,423
 Motorola Inc                  COM      620076109     5,971     695,150 SH       SHARED            1          695,150
 Motorola Inc                  COM      620076109     1,736     202,142 SH       SHARED            2          202,142
 MRV Communications Inc        COM      553477100     7,649   8,314,337 SH       SHARED            1        8,314,337
 MRV Communications Inc        COM      553477100     1,084   1,178,210 SH       SHARED            2        1,178,210
 Nationwide Health Pptys Inc   COM      638620104     1,339      43,206 SH       SHARED            1           43,206
 Nationwide Health Pptys Inc   COM      638620104       331      10,669 SH       SHARED            2           10,669
 New York Community Bancorp    COM      649445103    12,371   1,083,279 SH       SHARED            1        1,083,279
 New York Community Bancorp    COM      649445103     1,524     133,443 SH       SHARED            2          133,443
 OCLARO INC                    COM      67555N107     1,769   1,607,740 SH       SHARED            1        1,607,740
 OCLARO INC                    COM      67555N107     2,724   2,476,696 SH       SHARED            2        2,476,696
 Oclaro Inc                    COM      67555N107     4,664   4,400,000 SH       SHARED            1        4,400,000
 OPNEXT                        COM      68375V105     5,347   1,850,000 SH       SHARED            1        1,850,000
 OPNEXT INC                    COM      68375V105     3,409   1,163,643 SH       SHARED            1        1,163,643
 OPNEXT INC                    COM      68375V105     2,322     792,465 SH       SHARED            2          792,465
 OVERSTOCK.COM INC             COM      690370101     3,152     214,838 SH       SHARED            1          214,838
 OVERSTOCK.COM INC             COM      690370101     1,158      78,945 SH       SHARED            2           78,945
 Pepsico Inc                   COM      713448108     3,523      60,054 SH       SHARED            1           60,054
 Pepsico Inc                   COM      713448108     1,319      22,478 SH       SHARED            2           22,478
 Pfizer Inc                    COM      717081103     3,414     206,277 SH       SHARED            1          206,277
 Pfizer Inc                    COM      717081103     1,274      76,955 SH       SHARED            2           76,955
 Philip Morris International   COM      718172109     3,030      62,166 SH       SHARED            1           62,166
 Philip Morris International   COM      718172109     1,131      23,209 SH       SHARED            2           23,209
 Plum Creek Timber Co Common   COM      729251108     6,854     223,699 SH       SHARED            1          223,699
 Plum Creek Timber Co Common   COM      729251108       350      11,428 SH       SHARED            2           11,428
 Powershares QQQ Nasdaq 100    COM      73935A104    19,236     455,500 SH       SHARED            1          455,500
 Procter & Gamble Co           COM      742718109     5,257      90,770 SH       SHARED            1           90,770
 Procter & Gamble Co           COM      742718109     1,964      33,908 SH       SHARED            2           33,908
 Public Storage                COM      74460D109    12,110     160,947 SH       SHARED            1          160,947
 Public Storage                COM      74460D109       535       7,112 SH       SHARED            2            7,112
 Raytheon Co                   COM      755111507       507      10,574 SH       SHARED            1           10,574
 Raytheon Co                   COM      755111507       198       4,129 SH       SHARED            2            4,129
 Schering-Plough Corp          COM      806605101     5,060     179,113 SH       SHARED            1          179,113
 Schering-Plough Corp          COM      806605101     1,561      55,266 SH       SHARED            2           55,266
 Schwaab Charles Corp          COM      808513105     3,486     182,036 SH       SHARED            1          182,036
 Schwaab Charles Corp          COM      808513105     1,361      71,079 SH       SHARED            2           71,079
 Sears Holding Corp            COM      812350106     3,021      46,261 SH       SHARED            1           46,261
 Sears Holding Corp            COM      812350106     1,177      18,026 SH       SHARED            2           18,026
 Silicon Graphics Int Corp     COM      82706L108     6,113     940,500 SH       SHARED            1          940,500
 Silicone Graphics             COM      82706L108     5,845     871,123 SH       SHARED            1          871,123
 Silicone Graphics             COM      82706L108     2,268     337,932 SH       SHARED            2          337,932
 Simon Property Group Inc      COM      828806109    25,092     361,394 SH       SHARED            1          361,394
 Simon Property Group Inc      COM      828806109       857      12,350 SH       SHARED            2           12,350
 SL Green Realty Corp          COM      78440X101     1,815      41,388 SH       SHARED            1           41,388
 SL Green Realty Corp          COM      78440X101       346       7,898 SH       SHARED            2            7,898
 SPDR Trust                    COM      78462F103     1,043       9,876 SH       SHARED            2            9,876
 SPDR Trust                    COM      78462F103   620,171   5,873,383 SH       SHARED            1        5,873,383
 Starwood Property Trust Inc   COM      85571B105     7,070     349,123 SH       SHARED            1          349,123
 Starwood Property Trust Inc   COM      85571B105       239      11,805 SH       SHARED            2           11,805
 Talisman Energy Inc           COM      87425E103     1,212      69,923 SH       SHARED            2           69,923
 Telabs Inc                    COM      879664100     5,506     795,627 SH       SHARED            1          795,627
 Telabs Inc                    COM      879664100     1,330     192,221 SH       SHARED            2          192,221
 Time Warner Cable Inc         COM      88732J207       839      19,468 SH       SHARED            1           19,468
 Time Warner Cable Inc         COM      88732J207       315       7,300 SH       SHARED            2            7,300
 Time Warner Inc               COM      887317303     2,232      77,560 SH       SHARED            1           77,560
 Time Warner Inc               COM      887317303       837      29,088 SH       SHARED            2           29,088
 Travelers Cos Inc             COM      89417E109     4,473      90,856 SH       SHARED            1           90,856
 Travelers Cos Inc             COM      89417E109     1,617      32,851 SH       SHARED            2           32,851
 United Technologies Corp      COM      913017109     3,729      61,194 SH       SHARED            1           61,194
 United Technologies Corp      COM      913017109     1,395      22,891 SH       SHARED            2           22,891
 Unitedhealth Group Inc        COM      91324P102     2,032      81,167 SH       SHARED            1           81,167
 Unitedhealth Group Inc        COM      91324P102       761      30,375 SH       SHARED            2           30,375
 UnumProvident Corp            COM      91529Y106     3,223     150,305 SH       SHARED            1          150,305
 UnumProvident Corp            COM      91529Y106     1,250      58,301 SH       SHARED            2           58,301
 Ventas Inc                    COM      92276F100    11,962     310,705 SH       SHARED            1          310,705
 Ventas Inc                    COM      92276F100       539      14,001 SH       SHARED            2           14,001
 Verizon Communications Inc    COM      92343V104     4,767     157,495 SH       SHARED            1          157,495
 Verizon Communications Inc    COM      92343V104     1,300      42,959 SH       SHARED            2           42,959
 Viacom Inc-class B            COM      92553P201     2,779      99,121 SH       SHARED            1           99,121
 Viacom Inc-class B            COM      92553P201     1,038      37,027 SH       SHARED            2           37,027
 Vicor Corp                    COM      925815102     2,611     338,256 SH       SHARED            1          338,256
 Vicor Corp                    COM      925815102     1,017     131,731 SH       SHARED            2          131,731
 Vicor Corp                    COM      925815102     4,273     579,783 SH       SHARED            1          579,783
 VMWARE INC-CLASS A            COM      928563402     3,870      96,351 SH       SHARED            1           96,351
 VMWARE INC-CLASS A            COM      928563402     1,423      35,429 SH       SHARED            2           35,429
 Vornado Realty Trust          COM      929042109    16,488     255,989 SH       SHARED            1          255,989
 Vornado Realty Trust          COM      929042109       530       8,224 SH       SHARED            2            8,224
 Wal-Mart Stores Inc           COM      931142103     3,685      75,073 SH       SHARED            1           75,073
 Wal-Mart Stores Inc           COM      931142103     1,376      28,028 SH       SHARED            2           28,028
 Wells Fargo & Co              COM      949746101     6,278     222,784 SH       SHARED            1          222,784
 Wells Fargo & Co              COM      949746101     2,335      82,868 SH       SHARED            2           82,868
 Weyerhaeuser Co               COM      962166104     9,189     250,713 SH       SHARED            1          250,713
 Weyerhaeuser Co               COM      962166104       469      12,809 SH       SHARED            2           12,809
 Williams Cos Inc              COM      969457100     6,683     374,000 SH       SHARED            1          374,000
 Wyeth                         COM      983024100     3,985      82,033 SH       SHARED            1           82,033
 Wyeth                         COM      983024100     1,115      22,949 SH       SHARED            2           22,949

                                                  1,615,331  69,573,381