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

Report for the Calendar Year or Quarter Ended: DECEMBER 31, 2009
                                               ------------------

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:         Pawan Khemraj
     --------------------------------------------
Title:        Director, Investment Analysis
       ------------------------------------------
Phone:        416-979-6192
       ------------------------------------------

Signature, Place, and Date of Signing:

/s/ Pawan Khemraj                 Toronto, Ontario,           February 10, 2010
-------------------------------   ------------------------    -----------------
[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:             224
                                        ---------------------
Form 13F Information Table Value Total:    US$1,717,168
                                        ---------------------
                                             (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 - DECEMBER 31, 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      3,662     44,293 SH       SHARED        1                44,293
3M Corporation                 COM      88579Y101      1,402     16,958 SH       SHARED        2                16,958
Acme Packet Inc                COM      004764106     20,754  1,886,715 SH       SHARED        1             1,886,715
Acme Packet Inc                COM      004764106      3,501    318,256 SH       SHARED        2               318,256
Alexandria Real Estate Equit   COM      015271109      4,337     67,455 SH       SHARED        1                67,455
Alexandria Real Estate Equit   COM      015271109      2,673     41,575 SH       SHARED        2                41,575
Altria Group Inc               COM      02209S103      1,220     62,166 SH       SHARED        1                62,166
Altria Group Inc               COM      02209S103        466     23,742 SH       SHARED        2                23,742
Amgen Inc                      COM      031162100      3,909     69,102 SH       SHARED        1                69,102
Amgen Inc                      COM      031162100      1,494     26,401 SH       SHARED        2                26,401
Anadarko Petroleum Corp        COM      032511107      1,398     22,397 SH       SHARED        2                22,397
AOL Inc.                       COM      00184X105        164      7,050 SH       SHARED        1                 7,050
AOL Inc.                       COM      00184X105         63      2,704 SH       SHARED        2                 2,704
AT&T Inc                       COM      00206R102      2,978    106,242 SH       SHARED        1               106,242
AT&T Inc                       COM      00206R102      1,163     41,505 SH       SHARED        2                41,505
AvalonBay Communities Inc      COM      053484101      4,896     59,623 SH       SHARED        1                59,623
AvalonBay Communities Inc      COM      053484101      2,790     33,979 SH       SHARED        2                33,979
Bank of America Corp           COM      060505104      4,521    300,194 SH       SHARED        1               300,194
Bank of America Corp           COM      060505104      1,718    114,063 SH       SHARED        2               114,063
Best Buy Company Inc           COM      086516101      3,839     97,277 SH       SHARED        1                97,277
Best Buy Company Inc           COM      086516101      1,341     33,991 SH       SHARED        2                33,991
Biogen Idec Inc                COM      09062X103      4,375     81,784 SH       SHARED        1                81,784
Biogen Idec Inc                COM      09062X103      1,630     30,472 SH       SHARED        2                30,472
BIOMED REALTY TRUST INC        COM      09063H107      6,202    393,021 SH       SHARED        1               393,021
BIOMED REALTY TRUST INC        COM      09063H107      5,532    350,589 SH       SHARED        2               350,589
Boeing Company                 COM      097023105      2,648     48,911 SH       SHARED        1                48,911
Boeing Company                 COM      097023105      1,013     18,717 SH       SHARED        2                18,717
Boston Properties Inc          COM      101121101      6,071     90,522 SH       SHARED        1                90,522
Boston Properties Inc          COM      101121101      4,146     61,823 SH       SHARED        2                61,823
Boston Scientific Corp         COM      101137107     18,469  2,054,172 SH       SHARED        1             2,054,172
Boston Scientific Corp         COM      101137107      3,976    441,778 SH       SHARED        2               441,778
BP Amoco Plc                   COM      055622104      6,568    113,297 SH       SHARED        1               113,297
BP Amoco Plc                   COM      055622104      1,886     32,537 SH       SHARED        2                32,537
Bristol-Myers Squibb           COM      110122108      3,498    138,544 SH       SHARED        1               138,544
Bristol-Myers Squibb           COM      110122108      1,339     53,038 SH       SHARED        2                53,038
Charles Schwab Corp./The       COM      808513105      3,426    182,036 SH       SHARED        1               182,036
Charles Schwab Corp./The       COM      808513105      1,369     72,719 SH       SHARED        2                72,719
Chesapeake Energy Corp         COM      165167107      1,297     50,100 SH       SHARED        2                50,100
Chevron Corporation            COM      166764100     12,865    167,102 SH       SHARED        1               167,102
Chevron Corporation            COM      166764100      1,885     24,480 SH       SHARED        2                24,480
Citigroup Inc                  COM      172967101      1,597    482,334 SH       SHARED        1               482,334
Citigroup Inc                  COM      172967101        592    179,001 SH       SHARED        2               179,001
Clayton Williams Energy Inc    COM      969490101      3,800    108,482 SH       SHARED        1               108,482
Clayton Williams Energy Inc    COM      969490101      1,513     43,188 SH       SHARED        2                43,188
Coca-Cola Company              COM      191216100      3,577     62,752 SH       SHARED        1                62,752
Coca-Cola Company              COM      191216100      1,353     23,733 SH       SHARED        2                23,733
ConocoPhillips                 COM      20825C104      3,043     59,580 SH       SHARED        1                59,580
ConocoPhillips                 COM      20825C104      1,166     22,841 SH       SHARED        2                22,841
Cosi Inc                       COM      22122P101        513    800,817 SH       SHARED        1               800,817
Cosi Inc                       COM      22122P101        198    309,909 SH       SHARED        2               309,909
CVS Caremark Corporation       COM      126650100      2,884     89,534 SH       SHARED        1                89,534
CVS Caremark Corporation       COM      126650100      2,055     63,786 SH       SHARED        2                63,786
Delta Air Lines Inc            COM      247361702      1,731    152,095 SH       SHARED        1               152,095
DIGITAL REALTY TRUST INC       COM      253868103      8,071    160,519 SH       SHARED        1               160,519
DIGITAL REALTY TRUST INC       COM      253868103      6,146    122,243 SH       SHARED        2               122,243
Dominion Resources Inc         COM      25746U109      3,440     88,398 SH       SHARED        1                88,398
Dominion Resources Inc         COM      25746U109      1,314     33,756 SH       SHARED        2                33,756
Douglas Emmett Inc-w/i         COM      25960P109      2,447    171,701 SH       SHARED        1               171,701
Douglas Emmett Inc-w/i         COM      25960P109      1,576    110,616 SH       SHARED        2               110,616
Dupont (EI) Nemours and Co     COM      263534109      2,956     87,799 SH       SHARED        1                87,799
Dupont (EI) Nemours and Co     COM      263534109      1,130     33,554 SH       SHARED        2                33,554
Electronic Arts Inc            COM      285512109      3,095    174,386 SH       SHARED        1               174,386
Electronic Arts Inc            COM      285512109      1,232     69,404 SH       SHARED        2                69,404
EMC Corp                       COM      268648102      6,103    349,331 SH       SHARED        1               349,331
EMC Corp                       COM      268648102      2,330    133,382 SH       SHARED        2               133,382
EMULEX CORP                    COM      292475209      3,228    296,132 SH       SHARED        1               296,132
EMULEX CORP                    COM      292475209      1,252    114,867 SH       SHARED        2               114,867
EQT Inc                        COM      26884L109      5,737    130,624 SH       SHARED        1               130,624
EQT Inc                        COM      26884L109      2,226     50,681 SH       SHARED        2                50,681
Equity Lifestyle Properties    COM      29472R108      1,350     26,754 SH       SHARED        1                26,754
Equity Lifestyle Properties    COM      29472R108      1,182     23,414 SH       SHARED        2                23,414
Equity Residential Properties  COM      29476L107      5,698    168,670 SH       SHARED        1               168,670
Equity Residential Properties  COM      29476L107      3,513    103,991 SH       SHARED        2               103,991
Exelon Corporation             COM      30161N101      2,960     60,566 SH       SHARED        1                60,566
Exelon Corporation             COM      30161N101      1,129     23,110 SH       SHARED        2                23,110
Exxon Mobil Corp               COM      30231G102     11,633    170,600 SH       SHARED        1               170,600
Exxon Mobil Corp               COM      30231G102      4,522     66,308 SH       SHARED        2                66,308
Federal Realty Investment Tr   COM      313747206      2,849     42,068 SH       SHARED        1                42,068
Federal Realty Investment Tr   COM      313747206      1,929     28,484 SH       SHARED        2                28,484
Fedex Corp                     COM      31428X106      2,590     31,037 SH       SHARED        1                31,037
Fedex Corp                     COM      31428X106        990     11,861 SH       SHARED        2                11,861
FINISAR Corporation            COM      31787A507      1,444    162,435 SH       SHARED        1               162,435
Frontier Communications Corp   COM      35906A108      6,600    845,091 SH       SHARED        1               845,091
Frontier Communications Corp   COM      35906A108      2,593    332,009 SH       SHARED        2               332,009
GAMESTOP CORP-CLASS A          COM      36467W109      3,922    178,747 SH       SHARED        1               178,747
GAMESTOP CORP-CLASS A          COM      36467W109      1,472     67,081 SH       SHARED        2                67,081
General Electric Company       COM      369604103      4,993    330,032 SH       SHARED        1               330,032
General Electric Company       COM      369604103      2,150    142,103 SH       SHARED        2               142,103
Genworth Financial Inc.        COM      37247D106     25,948  2,286,200 SH       SHARED        1             2,286,200
Goldman Sachs Group Inc        COM      38141G104      5,142     30,454 SH       SHARED        1                30,454
Goldman Sachs Group Inc        COM      38141G104      1,963     11,624 SH       SHARED        2                11,624
HALOZYME THERAPEUTICS INC      COM      40637H109      2,952    502,900 SH       SHARED        1               502,900
HALOZYME THERAPEUTICS INC      COM      40637H109      1,135    193,335 SH       SHARED        2               193,335
HCP Inc                        COM      40414L109      6,134    200,849 SH       SHARED        1               200,849
HCP Inc                        COM      40414L109      3,351    109,723 SH       SHARED        2               109,723
Home Properties Inc.           COM      437306103      1,417     29,695 SH       SHARED        1                29,695
Home Properties Inc.           COM      437306103      1,240     25,988 SH       SHARED        2                25,988
Honeywell International Inc    COM      438516106      3,278     83,629 SH       SHARED        1                83,629
Honeywell International Inc    COM      438516106      1,255     32,012 SH       SHARED        2                32,012
IKanos Communications Inc.     COM      45173E105        141     75,441 SH       SHARED        1                75,441
IKanos Communications Inc.     COM      45173E105         55     29,309 SH       SHARED        2                29,309
Intel Corp                     COM      458140100      3,554    174,212 SH       SHARED        1               174,212
Intel Corp                     COM      458140100      1,268     62,148 SH       SHARED        2                62,148
Intermec Inc                   COM      458786100      2,759    214,580 SH       SHARED        1               214,580
Intermec Inc                   COM      458786100      1,105     85,959 SH       SHARED        2                85,959
Intl Rectifier Corp.           COM      460254105      3,425    154,850 SH       SHARED        1               154,850
Intl Rectifier Corp.           COM      460254105      1,371     61,981 SH       SHARED        2                61,981
Ishares                        COM      464286699      2,998    189,600 SH       SHARED        1               189,600
Ishares                        COM      464286707      3,729    148,200 SH       SHARED        1               148,200
Ishares                        COM      464286806        698     31,300 SH       SHARED        1                31,300
Ishares                        COM      464286822      1,834     37,550 SH       SHARED        1                37,550
Ishares                        COM      464286848      8,219    843,806 SH       SHARED        1               843,806
IShares MSCI EAFE              COM      464287465     23,706    428,838 SH       SHARED        2               428,838
Ishares Tr                     COM      464287465    200,298  3,623,340 SH       SHARED        1             3,623,340
Johnson & Johnson              COM      478160104      2,340     36,327 SH       SHARED        1                36,327
Johnson & Johnson              COM      478160104        901     13,987 SH       SHARED        2                13,987
JP Morgan Chase                COM      46625H100      7,367    176,787 SH       SHARED        1               176,787
JP Morgan Chase                COM      46625H100      2,814     67,521 SH       SHARED        2                67,521
Kimberly-Clark Corp            COM      494368103      3,055     47,946 SH       SHARED        1                47,946
Kimberly-Clark Corp            COM      494368103      1,153     18,098 SH       SHARED        2                18,098
Kimco Realty Corp              COM      49446R109      4,649    343,639 SH       SHARED        1               343,639
Kimco Realty Corp              COM      49446R109      2,885    213,251 SH       SHARED        2               213,251
Kroger Co                      COM      501044101      2,765    134,691 SH       SHARED        1               134,691
Kroger Co                      COM      501044101      1,089     53,056 SH       SHARED        2                53,056
Lear Corporation               COM      521865204     17,758    262,536 SH       SHARED        1               262,536
Lexington Realty Trust         COM      529043101      4,121    677,714 SH       SHARED        1               677,714
Lexington Realty Trust         COM      529043101      3,338    548,962 SH       SHARED        2               548,962
Lockheed Martin Corp           COM      539830109      2,969     39,401 SH       SHARED        1                39,401
Lockheed Martin Corp           COM      539830109      1,186     15,738 SH       SHARED        2                15,738
Lowe's Companies               COM      548661107      3,016    128,963 SH       SHARED        1               128,963
Lowe's Companies               COM      548661107      1,152     49,272 SH       SHARED        2                49,272
Macy's Inc                     COM      55616P104      3,908    233,170 SH       SHARED        1               233,170
Macy's Inc                     COM      55616P104      1,406     83,886 SH       SHARED        2                83,886
Mattel Inc                     COM      577081102      3,910    195,682 SH       SHARED        1               195,682
Mattel Inc                     COM      577081102      1,499     75,014 SH       SHARED        2                75,014
Medical Properties Trust Inc   COM      58463J304      5,593    559,293 SH       SHARED        1               559,293
Medical Properties Trust Inc   COM      58463J304      4,151    415,136 SH       SHARED        2               415,136
Merck & Co. Inc.               COM      58933Y105      7,470    204,433 SH       SHARED        1               204,433
Merck & Co. Inc.               COM      58933Y105      2,604     71,259 SH       SHARED        2                71,259
Microsoft Corp                 COM      594918104      4,053    132,977 SH       SHARED        1               132,977
Microsoft Corp                 COM      594918104      1,424     46,713 SH       SHARED        2                46,713
Mid-America Apartment Comm     COM      59522J103      1,400     28,993 SH       SHARED        1                28,993
Mid-America Apartment Comm     COM      59522J103      1,225     25,373 SH       SHARED        2                25,373
Monsanto Company               COM      61166W101      4,337     53,050 SH       SHARED        1                53,050
Monsanto Company               COM      61166W101      1,684     20,596 SH       SHARED        2                20,596
Morgan Stanley                 COM      617446448      4,314    145,739 SH       SHARED        1               145,739
Morgan Stanley                 COM      617446448      1,618     54,651 SH       SHARED        2                54,651
Motorola Inc                   COM      620076109      5,394    695,150 SH       SHARED        1               695,150
Motorola Inc                   COM      620076109      1,605    206,789 SH       SHARED        2               206,789
Mrv Communications Inc         COM      553477100      5,795  8,314,337 SH       SHARED        1             8,314,337
Mrv Communications Inc         COM      553477100        837  1,178,210 SH       SHARED        2             1,178,210
Nationwide Health Pptys Inc    COM      638620104      2,217     63,020 SH       SHARED        1                63,020
Nationwide Health Pptys Inc    COM      638620104        446     12,668 SH       SHARED        2                12,668
NCR Corp                       COM      62886E108      4,275    384,063 SH       SHARED        1               384,063
NCR Corp                       COM      62886E108      1,707    153,375 SH       SHARED        2               153,375
New York Community Bancorp     COM      649445103      9,983    688,022 SH       SHARED        1               688,022
New York Community Bancorp     COM      649445103      6,066    418,040 SH       SHARED        2               418,040
OCLARO INC                     COM      67555N107      8,523  6,007,740 SH       SHARED        1             6,007,740
OCLARO INC                     COM      67555N107      3,641  2,476,696 SH       SHARED        2             2,476,696
Omnicare Inc                   COM      681904108      1,953     80,759 SH       SHARED        1                80,759
Omnicare Inc                   COM      681904108      2,639    109,159 SH       SHARED        2               109,159
OPNEXT INC                     COM      68375V105      5,726  3,013,643 SH       SHARED        1             3,013,643
OPNEXT INC                     COM      68375V105        634    333,751 SH       SHARED        2               333,751
OVERSTOCK.COM INC              COM      690370101      2,913    214,838 SH       SHARED        1               214,838
OVERSTOCK.COM INC              COM      690370101      1,095     80,760 SH       SHARED        2                80,760
Pepsico Inc                    COM      713448108      3,651     60,054 SH       SHARED        1                60,054
Pepsico Inc                    COM      713448108      1,398     22,994 SH       SHARED        2                22,994
Pfizer Inc                     COM      717081103      5,222    287,079 SH       SHARED        1               287,079
Pfizer Inc                     COM      717081103      1,853    101,848 SH       SHARED        2               101,848
Philip Morris International    COM      718172109      2,996     62,166 SH       SHARED        1                62,166
Philip Morris International    COM      718172109      1,144     23,742 SH       SHARED        2                23,742
Plum Creek Timber Co Common    COM      729251108      4,542    120,295 SH       SHARED        1               120,295
Plum Creek Timber Co Common    COM      729251108      3,550     94,021 SH       SHARED        2                94,021
Powershares QQQ Nasdaq 100     COM      73935A104     20,430    445,000 SH       SHARED        1               445,000
Procter & Gamble Co            COM      742718109      5,503     90,770 SH       SHARED        1                90,770
Procter & Gamble Co            COM      742718109      2,103     34,687 SH       SHARED        2                34,687
Public Storage                 COM      74460D109      8,604    105,633 SH       SHARED        1               105,633
Public Storage                 COM      74460D109      5,990     73,536 SH       SHARED        2                73,536
Raytheon Co                    COM      755111507      3,385     65,705 SH       SHARED        1                65,705
Raytheon Co                    COM      755111507      1,352     26,246 SH       SHARED        2                26,246
Sears Holding Corp             COM      812350106      3,860     46,261 SH       SHARED        1                46,261
Sears Holding Corp             COM      812350106      1,539     18,442 SH       SHARED        2                18,442
Silicone Graphics Int Corp     COM      82706L108     12,624  1,811,623 SH       SHARED        1             1,811,623
Silicone Graphics Int Corp     COM      82706L108      2,369    337,932 SH       SHARED        2               337,932
Simon Property Group Inc       COM      828806109     16,293    204,171 SH       SHARED        1               204,171
Simon Property Group Inc       COM      828806109     12,600    157,897 SH       SHARED        2               157,897
SL Green Realty Corp           COM      78440X101      2,492     49,592 SH       SHARED        1                49,592
SL Green Realty Corp           COM      78440X101        471      9,377 SH       SHARED        2                 9,377
SPDR Trust                     COM      78462F103    684,343  6,140,910 SH       SHARED        1             6,140,910
SPDR Trust                     COM      78462F103      2,641     23,701 SH       SHARED        2                23,701
Starwood Property Trust Inc    COM      85571B105      3,792    200,758 SH       SHARED        1               200,758
Starwood Property Trust Inc    COM      85571B105      3,314    175,463 SH       SHARED        2               175,463
Talisman Energy Inc            COM      87425E103      1,333     71,536 SH       SHARED        2                71,536
Telabs Inc                     COM      879664100      5,779  1,017,484 SH       SHARED        1             1,017,484
Telabs Inc                     COM      879664100      2,052    361,299 SH       SHARED        2               361,299
Time Warner Cable Inc          COM      88732J207        806     19,468 SH       SHARED        1                19,468
Time Warner Cable Inc          COM      88732J207        309      7,467 SH       SHARED        2                 7,467
Time Warner Inc                COM      887317303      2,260     77,560 SH       SHARED        1                77,560
Time Warner Inc                COM      887317303        867     29,756 SH       SHARED        2                29,756
Travelers Cos Inc              COM      89417E109      4,530     90,856 SH       SHARED        1                90,856
Travelers Cos Inc              COM      89417E109      1,676     33,606 SH       SHARED        2                33,606
United Technologies Corp       COM      913017109      4,247     61,194 SH       SHARED        1                61,194
United Technologies Corp       COM      913017109      1,625     23,417 SH       SHARED        2                23,417
Unitedhealth Group Inc         COM      91324P102      2,474     81,167 SH       SHARED        1                81,167
Unitedhealth Group Inc         COM      91324P102        947     31,073 SH       SHARED        2                31,073
UnumProvident Corp             COM      91529Y106      2,934    150,305 SH       SHARED        1               150,305
UnumProvident Corp             COM      91529Y106      1,164     59,641 SH       SHARED        2                59,641
Ventas Inc                     COM      92276F100      7,727    176,647 SH       SHARED        1               176,647
Ventas Inc                     COM      92276F100      5,323    121,699 SH       SHARED        2               121,699
Verizon Communications Inc     COM      92343V104      5,218    157,495 SH       SHARED        1               157,495
Verizon Communications Inc     COM      92343V104      1,456     43,948 SH       SHARED        2                43,948
Viacom Inc-class B             COM      92553P201      2,947     99,121 SH       SHARED        1                99,121
Viacom Inc-class B             COM      92553P201      1,126     37,878 SH       SHARED        2                37,878
Vicor Corp                     COM      925815102      8,306    918,039 SH       SHARED        1               918,039
Vicor Corp                     COM      925815102      1,225    131,731 SH       SHARED        2               131,731
Vornado Realty Trust           COM      929042109      9,157    130,924 SH       SHARED        1               130,924
Vornado Realty Trust           COM      929042109      7,287    104,186 SH       SHARED        2               104,186
Wal-Mart Stores Inc            COM      931142103      4,013     75,073 SH       SHARED        1                75,073
Wal-Mart Stores Inc            COM      931142103      1,533     28,672 SH       SHARED        2                28,672
Wells Fargo & Co               COM      949746101      6,013    222,784 SH       SHARED        1               222,784
Wells Fargo & Co               COM      949746101      2,288     84,772 SH       SHARED        2                84,772
Weyerhaeuser Co                COM      962166104      6,391    148,153 SH       SHARED        1               148,153
Weyerhaeuser Co                COM      962166104      4,334    100,471 SH       SHARED        2               100,471
Williams Cos Inc               COM      969457100      7,876    374,000 SH       SHARED        1               374,000


                                                   1,717,168 70,254,858