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, 2003
                                               -----------------

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 Assurance Company of Canada
                 ------------------------------------
   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:    Candice Shaw
         --------------------------------------------
Title:   Vice-President, Investments
         --------------------------------------------
Phone:   416-979-6187
         --------------------------------------------

Signature, Place, and Date of Signing:

/s/ Candice Shaw                   Ontario, Canada       8-15-2002
-------------------------------    ------------------   --------------
[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:
   [If there are no entries in this list, omit this section.]


                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                                  0
                                                           --------------------

Form 13F Information Table Entry Total:                           423
                                                           --------------------

Form 13F Information Table Value Total:                   $ 1,537,262
                                                           --------------------
                                                                    (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.]

   None



FORM 13F INFORMATION TABLE - JUNE 30, 2004



COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
U.S. OPERATIONS - AMOUNTS SHOWN
  ARE IN U.S. DOLLARS

AGCO CORP                       COM            001084102      8,881    436,003  SH       SOLE                  436,003
AMR CORP                        COM            001765106        399     32,953  SH       SOLE                   32,953
AGERE SYS INC                   CL B           00845V209      9,268  4,310,737  SH       SOLE                4,310,737
ALEXANDRIA REAL ESTATE EQ IN    COM            015271109      8,438    148,603  SH       SOLE                  148,603
ALLMERICA FINL CORP             COM            019754100      8,368    247,575  SH       SOLE                  247,575
ALPHARMA INC                    CL A           020813101      9,111    444,871  SH       SOLE                  444,871
AMERICAN FINL RLTY TR           COM            02607P305      8,066    564,465  SH       SOLE                  564,465
ANNALY MTG MGMT INC             COM            035710409     20,312  1,197,652  SH       SOLE                1,197,652
AON CORP                        COM            037389103      8,159    286,585  SH       SOLE                  286,585
ARCHER DANIELS MIDLAND CO       COM            039483102      8,338    496,874  SH       SOLE                  496,874
ARCHSTONE SMITH TR              COM            039583109      9,311    317,457  SH       SOLE                  317,457
ARRIS GROUP INC                 COM            04269Q100      5,280    888,885  SH       SOLE                  888,885
ASCENTIAL SOFTWARE CORP         COM NEW        04362P207      4,537    283,730  SH       SOLE                  283,730
AVALONBAY CMNTYS INC            COM            053484101     11,060    195,681  SH       SOLE                  195,681
BRE PROPERTIES INC              CL A           05564E106      8,655    249,078  SH       SOLE                  249,078
BAXTER INTL INC                 COM            071813109     12,449    360,746  SH       SOLE                  360,746
BRISTOL MYERS SQUIBB CO         COM            110122108      8,471    345,763  SH       SOLE                  345,763
BROCADE COMMUNICATIONS SYS I    COM            111621108      9,135  1,527,578  SH       SOLE                1,527,578
CBL & ASSOC PPTYS INC           COM            124830100      3,649     66,351  SH       SOLE                   66,351
C COR NET CORP                  COM            125010108      4,703    457,000  SH       SOLE                  457,000
CABLEVISION SYS CORP            CL A NY CABLVS 12686C109      8,650    440,227  SH       SOLE                  440,227
CADENCE DESIGN SYSTEM INC       COM            127387108      8,189    559,749  SH       SOLE                  559,749
CALPINE CORP                    COM            131347106     11,169  2,585,368  SH       SOLE                2,585,368
CARRAMERICA RLTY CORP           COM            144418100      6,605    218,479  SH       SOLE                  218,479
CENTERPOINT PPTYS TR            COM            151895109      3,972    103,500  SH       SOLE                  103,500
CLEAN HARBORS INC               COM            184496107      6,243    658,517  SH       SOLE                  658,517
COMCAST CORP NEW                CL A           20030N101     13,037    463,951  SH       SOLE                  463,951
CONCORD COMMUNICATIONS INC      COM            206186108      4,430    388,280  SH       SOLE                  388,280
CONSOL ENERGY INC               COM            20854P109      6,665    185,138  SH       SOLE                  185,138
CRESCENT REAL ESTATE EQUITIE    COM            225756105      5,257    326,106  SH       SOLE                  326,106
DELTA & PINE LD CO              COM            247357106      4,348    198,100  SH       SOLE                  198,100
DEVELOPERS DIVERSIFIED RLTY     COM            251591103      9,727    275,008  SH       SOLE                  275,008
DUKE REALTY CORP                COM NEW        264411505      5,007    157,402  SH       SOLE                  157,402






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
EASTMAN KODAK CO                COM            277461109      8,342    309,205  SH       SOLE                  309,205
ECHOSTAR COMMUNICATIONS NEW     CL A           278762109     12,461    405,247  SH       SOLE                  405,247
ECLIPSYS CORP                   COM            278856109      4,849    317,772  SH       SOLE                  317,772
EQUITY OFFICE PROPERTIES TRU    COM            294741103      3,764    138,394  SH       SOLE                  138,394
EQUITY RESIDENTIAL              SH BEN INT     29476L107     10,427    350,714  SH       SOLE                  350,714
EXIDE TECHNOLOGIES              COM NEW        302051206      4,560    222,967  SH       SOLE                  222,967
FEDERAL REALTY INVT TR          SH BEN INT NEW 313747206        168      4,043  SH       SOLE                    4,043
FELCOR LODGING TR INC           COM            31430F101      5,065    418,615  SH       SOLE                  418,615
GATX CORP                       COM            361448103     12,154    446,843  SH       SOLE                  446,843
GENERAL GROWTH PPTYS INC        COM            370021107      7,015    237,247  SH       SOLE                  237,247
GRANT PRIDECO INC               COM            38821G101      8,593    465,479  SH       SOLE                  465,479
HOST MARRIOTT CORP NEW          COM            44107P104      4,598    372,038  SH       SOLE                  372,038
INTERACTIVECORP                 COM            45840Q101      8,409    279,009  SH       SOLE                  279,009
INTL PAPER CO                   COM            460146103      9,137    204,413  SH       SOLE                  204,413
ISHARES INC                     MSCI AUSTRALIA 464286103        986     73,498  SH       SOLE                   73,498
ISHARES INC                     MSCI BELGIUM   464286301        187     12,969  SH       SOLE                   12,969
ISHARES INC                     MSCI SINGAPORE 464286673        211     33,739  SH       SOLE                   33,739
ISHARES INC                     MSCI UTD KINGD 464286699      5,483    339,492  SH       SOLE                  339,492
ISHARES INC                     MSCI FRANCE    464286707      1,815     85,725  SH       SOLE                   85,725
ISHARES INC                     MSCI SWITZERLD 464286749      1,390     91,331  SH       SOLE                   91,331
ISHARES INC                     MSCI SWEDEN    464286756        884     50,258  SH       SOLE                   50,258
ISHARES INC                     MSCI SPAIN     464286764        893     31,549  SH       SOLE                   31,549
ISHARES INC                     MSCI GERMAN    464286806      1,323     81,933  SH       SOLE                   81,933
ISHARES INC                     MSCI NETHERLND 464286814        994     59,958  SH       SOLE                   59,958
ISHARES INC                     MSCI JAPAN     464286848      4,966    467,581  SH       SOLE                  467,581
ISHARES INC                     MSCI ITALY     464286855        781     37,121  SH       SOLE                   37,121
ISHARES INC                     MSCI HONG KONG 464286871        682     67,290  SH       SOLE                   67,290
KIMCO REALTY CORP               COM            49446R109      7,625    167,584  SH       SOLE                  167,584
MACERICH CO                     COM            554382101      9,544    199,369  SH       SOLE                  199,369
MACK CALI RLTY CORP             COM            554489104      7,186    173,660  SH       SOLE                  173,660
MARSH & MCLENNAN COS INC        COM            571748102      8,475    186,750  SH       SOLE                  186,750
MEDIMMUNE INC                   COM            584699102      3,915    167,400  SH       SOLE                  167,400
MERCK & CO INC                  COM            589331107      8,168    171,949  SH       SOLE                  171,949
MERISTAR HOSPITALITY CORP       COM            58984Y103      4,672    683,016  SH       SOLE                  683,016
MICRON TECHNOLOGY INC           COM            595112103      8,931    583,324  SH       SOLE                  583,324
MONSANTO CO NEW                 COM            61166W101      8,981    233,278  SH       SOLE                  233,278
NRG ENERGY INC                  COM NEW        629377508     15,128    609,989  SH       SOLE                  609,989
OSHKOSH B GOSH INC              CL A           688222207      4,968    198,964  SH       SOLE                  198,964
PARAMETRIC TECHNOLOGY CORP      COM            699173100      4,597    919,400  SH       SOLE                  919,400
PERFORMANCE FOOD GROUP CO       COM            713755106      4,386    165,255  SH       SOLE                  165,255
PFIZER INC                      COM            717081103      7,831    228,435  SH       SOLE                  228,435
PHELPS DODGE CORP               COM            717265102      8,878    114,539  SH       SOLE                  114,539






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
PROLOGIS                        SH BEN INT     743410102      8,121    246,697  SH       SOLE                  246,697
PRUDENTIAL FINL INC             COM            744320102      8,569    184,401  SH       SOLE                  184,401
PUBLIC STORAGE INC              COM            74460D109      3,646     79,252  SH       SOLE                   79,252
RECKSON ASSOCS RLTY CORP        COM            75621K106      7,018    255,581  SH       SOLE                  255,581
REGENCY CTRS CORP               COM            758849103      4,740    110,483  SH       SOLE                  110,483
REVLON INC                      CL A           761525500      8,573  2,906,000  SH       SOLE                2,906,000
ROCKWELL AUTOMATION INC         COM            773903109     10,585    282,199  SH       SOLE                  282,199
SL GREEN RLTY CORP              COM            78440X101     10,398    222,172  SH       SOLE                  222,172
SCHERING PLOUGH CORP            COM            806605101      8,834    478,026  SH       SOLE                  478,026
SHURGARD STORAGE CTRS INC       COM            82567D104      7,909    211,469  SH       SOLE                  211,469
SIMON PPTY GROUP INC NEW        COM            828806109      6,272    121,972  SH       SOLE                  121,972
SMITHFIELD FOODS INC            COM            832248108      4,265    145,056  SH       SOLE                  145,056
TIMKEN CO                       COM            887389104      9,958    375,900  SH       SOLE                  375,900
TRINITY INDS INC                COM            896522109      9,075    285,468  SH       SOLE                  285,468
UNION PAC CORP                  COM            907818108      8,318    139,919  SH       SOLE                  139,919
UNITED DOMINION REALTY TR IN    COM            910197102      5,142    259,978  SH       SOLE                  259,978
UNOVA INC                       COM            91529B106      5,529    273,050  SH       SOLE                  273,050
UNUMPROVIDENT CORP              COM            91529Y106     10,231    643,464  SH       SOLE                  643,464
VICOR CORP                      COM            925815102      8,532    466,994  SH       SOLE                  466,994
VORNADO RLTY TR                 SH BEN INT     929042109      9,662    169,185  SH       SOLE                  169,185
WARNACO GROUP INC               COM NEW        934390402      4,840    227,562  SH       SOLE                  227,562
WILLIAMS COS INC DEL            COM            969457100      8,670    728,545  SH       SOLE                  728,545
BUNGE LIMITED                   COM            G16962105      9,894    254,076  SH       SOLE                  254,076
NABORS INDUSTRIES LTD           SHS            G6359F103      6,764    149,573  SH       SOLE                  149,573
ORIENT-EXPRESS HOTELS LTD       CL A           G67743107      6,141    362,528  SH       SOLE                  362,528
TRANSOCEAN INC                  ORD            G90078109      7,076    244,519  SH       SOLE                  244,519


CANADIAN OPERATIONS - AMOUNTS
  SHOWN ARE IN U.S. DOLLARS

ABB Ltd                         COM            000375204        884    215,000  SH       SOLE                  215,000
Aflac Inc                       COM            001055102        109      3,600  SH       SOLE                    3,600
Agco Corp                       COM            001084102        493     32,700  SH       SOLE                   32,700
ATI Technologies Inc            COM            001941103        352     18,900  SH       SOLE                   18,900
Abbot Laboratories              COM            002824100      1,114     36,900  SH       SOLE                   36,900
Aber Diamond Corporation        COM            002893105        429     14,600  SH       SOLE                   14,600
Abitibi-Consolidated Inc        COM            003924107        583     86,000  SH       SOLE                   86,000
Adtran Inc                      COM            00738A106        294     11,900  SH       SOLE                   11,900
Agrium Inc                      COM            008916108        237     16,400  SH       SOLE                   16,400
Air Products & Chemical Inc     COM            009158106        378      9,720  SH       SOLE                    9,720
Ajinomoto                       COM            009707100        837      9,500  SH       SOLE                    9,500
Akamai Technologies             COM            00971T101        265     19,900  SH       SOLE                   19,900






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Electrolux AB                   COM            010198208        806     28,300  SH       SOLE                   28,300
Alcan Inc                       COM            013716105     16,635    406,825  SH       SOLE                  406,825
Alcoa Inc                       COM            013817101        658     26,900  SH       SOLE                   26,900
Alliance Atlantis Comm Inc      COM            01853E204        510     27,600  SH       SOLE                   27,600
Allstate Corp                   COM            020002101      1,755     50,910  SH       SOLE                   50,910
Altria Group                    COM            02209S103      1,603     43,231  SH       SOLE                   43,231
American Express Co             COM            025816109        850     22,330  SH       SOLE                   22,330
American International Group    COM            026874107        625     11,840  SH       SOLE                   11,840
AmerisourceBergen Corporation   COM            03073E105        195      4,400  SH       SOLE                    4,400
Amgen Inc                       COM            031162100        508     12,560  SH       SOLE                   12,560
Amvescap PLC                    COM            03235E100         93      9,000  SH       SOLE                    9,000
Analog Devices                  COM            032654105        499     14,300  SH       SOLE                   14,300
Andrew Corp                     COM            034425108        723     48,800  SH       SOLE                   48,800
Angiotech Pharmaceuticals Inc   COM            034918102        458     22,700  SH       SOLE                   22,700
Apache Corporation              COM            037411105        573     17,760  SH       SOLE                   17,760
Apollo Group Inc                COM            037604105        170      2,600  SH       SOLE                    2,600
Archer-Daniel Midland           COM            039483102        474     38,140  SH       SOLE                   38,140
Astrazeneca PLC                 COM            046353108         74      2,200  SH       SOLE                    2,200
Atlas Energy Ltd                COM            049300106         39     17,200  SH       SOLE                   17,200
Avery Dennison Corp             COM            053611109        844     17,800  SH       SOLE                   17,800
Avon Products                   COM            054303102        212      6,200  SH       SOLE                    6,200
BCE Inc                         COM            05534B109     27,647  1,397,892  SH       SOLE                1,397,892
BG Group                        COM            055434203         47      2,000  SH       SOLE                    2,000
BP PLC                          COM            055622104      1,762     44,400  SH       SOLE                   44,400
Bank of America Corp            COM            060505104      3,524     56,216  SH       SOLE                   56,216
Bank of Montreal                COM            063671101     13,809    349,300  SH       SOLE                  349,300
Bank of Nova Scotia             COM            064149107     26,635  1,003,820  SH       SOLE                1,003,820
Bank One Corp                   COM            06423A103        440     11,650  SH       SOLE                   11,650
Bard C.R                        COM            067383109        306      7,300  SH       SOLE                    7,300
Barclays PLC                    COM            06738E204        899     34,800  SH       SOLE                   34,800
Barrick Gold Corp               COM            067901108         20  1,033,200  SH       SOLE                1,033,200
Baxter Intl Inc                 COM            071813109        107      4,200  SH       SOLE                    4,200
Beckman Coulter Inc             COM            075811109        465     10,300  SH       SOLE                   10,300
Bema Gold Corp                  COM            08135F107        144     53,300  SH       SOLE                   53,300
Best Buy Co                     COM            086516101        752     20,000  SH       SOLE                   20,000
Bowater Inc                     COM            102183100        119      3,860  SH       SOLE                    3,860
Brascan Corporation             COM            10549P606        245      8,850  SH       SOLE                    8,850
Brasil Telecom Part SA          COM            105530109        234     10,300  SH       SOLE                   10,300
Bristol-Myers Squibb Co         COM            110122108        760     41,877  SH       SOLE                   41,877
Burlington North Santa Fe       COM            12189T104        260     10,000  SH       SOLE                   10,000
CAE Inc                         COM            124765108        343     76,800  SH       SOLE                   76,800
CHC Helicopter Corp             COM            12541C203         90      3,100  SH       SOLE                    3,100






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
CVS Corp                        COM            126650100        428     13,750  SH       SOLE                   13,750
Cameco Corp                     COM            13321L108        486      8,400  SH       SOLE                    8,400
Cdn Imp Bank of Commerce        COM            136069101     13,252    274,390  SH       SOLE                  274,390
Cdn National Railways           COM            136375102        310      9,600  SH       SOLE                    9,600
Cdn National Railways           COM            136375102     21,367    499,410  SH       SOLE                  499,410
Canadian Nat Resources Ltd      COM            136385101      1,454     49,000  SH       SOLE                   49,000
Canadian Nat Resources Ltd      COM            136385101      1,454     49,000  SH       SOLE                   49,000
Canadian Pacific Railway Co     COM            13645T100      6,538    269,520  SH       SOLE                  269,520
Canfor Corporation              COM            137902102        333     29,600  SH       SOLE                   29,600
Canon Inc                       COM            138006309      1,768     44,700  SH       SOLE                   44,700
Cardinal Health Inc             COM            14149Y108        892     17,200  SH       SOLE                   17,200
Career Education Corp           COM            141665109        166      4,920  SH       SOLE                    4,920
Carnival Corp                   COM            143658300        937     26,900  SH       SOLE                   26,900
Caterpillar Inc                 COM            149123101        253      4,300  SH       SOLE                    4,300
Cedera Software Corp            COM            150644102         79     10,400  SH       SOLE                   10,400
Celestica Inc                   COM            15101Q108        548     27,700  SH       SOLE                   27,700
Celgene Corp                    COM            151020104        144      3,400  SH       SOLE                    3,400
ChevronTexaco Corp              COM            166764100        244      3,500  SH       SOLE                    3,500
Chubb Corporation               COM            171232101        140      2,770  SH       SOLE                    2,770
Cinergy Corp                    COM            172474108        169      6,000  SH       SOLE                    6,000
Cisco Systems                   COM            17275R102      1,073     61,110  SH       SOLE                   61,110
Citigroup Inc                   COM            172967101      2,883     83,700  SH       SOLE                   83,700
Clear Channel Comm              COM            184502102        448     16,350  SH       SOLE                   16,350
Coach Inc                       COM            189754104        110      3,300  SH       SOLE                    3,300
Cognos Inc                      COM            19244C109        500     14,000  SH       SOLE                   14,000
Colgate Palmolive               COM            194162103      1,238     28,600  SH       SOLE                   28,600
Comcast Corporation             COM            20030N101        397     19,100  SH       SOLE                   19,100
Comcast Corporation             COM            20030N200        429     21,000  SH       SOLE                   21,000
Cia De Minas Buenaventur        COM            204448104         56      3,400  SH       SOLE                    3,400
ConocoPhillips Inc              COM            20825C104        739     13,080  SH       SOLE                   13,080
Corning Inc                     COM            219350105        213     22,000  SH       SOLE                   22,000
Corus Entertainment             COM            220874101        208     10,800  SH       SOLE                   10,800
Cott Corp                       COM            22163N106        385     12,000  SH       SOLE                   12,000
Cox Communications Inc          COM            224044107        385     18,680  SH       SOLE                   18,680
CP Ships Ltd                    COM            22409V102     12,538    715,700  SH       SOLE                  715,700
Creo                            COM            225606102         96     11,100  SH       SOLE                   11,100
Crystallex                      COM            22942F101         80     31,200  SH       SOLE                   31,200
John Deere & Co.                COM            244199105        331      6,370  SH       SOLE                    6,370
Dell Inc                        COM            24702R101        612     23,060  SH       SOLE                   23,060
Descartes Systems Group Inc.    COM            249906108         29     26,700  SH       SOLE                   26,700
Deutsche Telecom                COM            251566105        453     34,500  SH       SOLE                   34,500
Devon Energy Corp               COM            25179M103        131      2,680  SH       SOLE                    2,680






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Diageo PLC                      COM            25243Q205      1,744     43,000  SH       SOLE                   43,000
Disney Walt Co                  COM            254687106         81      4,300  SH       SOLE                    4,300
Dominion Resources Inc          COM            25746U109        276      5,900  SH       SOLE                    5,900
Domtar Inc.                     COM            257561100     11,714    918,900  SH       SOLE                  918,900
Dorel Industries Inc            COM            25822C205        100      3,100  SH       SOLE                    3,100
Dover Corporation               COM            260003108        465     14,900  SH       SOLE                   14,900
Dow Chemical Company            COM            260543103        329     10,920  SH       SOLE                   10,920
Draxis Health Inc               COM            26150J101        126     27,600  SH       SOLE                   27,600
DuPont  (E.I.) De Nemours       COM            263534109        457     13,900  SH       SOLE                   13,900
Duke Energy Corporation         COM            264399106        275     18,300  SH       SOLE                   18,300
EOG Resources                   COM            26875P101        137      3,100  SH       SOLE                    3,100
E ON AG                         COM            268780103      1,729     32,200  SH       SOLE                   32,200
Ebay                            COM            278642103        456      6,700  SH       SOLE                    6,700
Echostar Communications         COM            278762109        182      8,000  SH       SOLE                    8,000
Eldorado Gold Corp              COM            284902103        126     49,100  SH       SOLE                   49,100
Emerson Electric Co             COM            291011104        683     14,500  SH       SOLE                   14,500
EnCana Corporation              COM            292505104     24,091    564,440  SH       SOLE                  564,440
Enbridge Inc                    COM            29250N105      6,386    177,000  SH       SOLE                  177,000
Energy East Corporation         COM            29266M109        176      9,800  SH       SOLE                    9,800
Entergy Corp                    COM            29364G103        183      4,400  SH       SOLE                    4,400
Entrust Inc                     COM            293848107         58     17,500  SH       SOLE                   17,500
Exelon Corp                     COM            30161N101         74      3,000  SH       SOLE                    3,000
Extendicare Inc                 COM            30224T871        228     20,500  SH       SOLE                   20,500
Exxon Mobil Corp                COM            30231G102        814     24,750  SH       SOLE                   24,750
Fairfax Financial               COM            303901102         84        500  SH       SOLE                      500
Fairmont Hotels                 COM            305204109        289     10,825  SH       SOLE                   10,825
Federal National Mtge Assoc     COM            313586109      1,089     20,600  SH       SOLE                   20,600
Federated Dep Stores            COM            31410H101        720     19,800  SH       SOLE                   19,800
Fedex Corporation               COM            31428X106        309      5,100  SH       SOLE                    5,100
First Data Corp                 COM            319963104      1,447     43,874  SH       SOLE                   43,874
Firstservice Corporation        COM            33761N109        121      4,900  SH       SOLE                    4,900
Fiserv Inc                      COM            337738108        248      8,600  SH       SOLE                    8,600
First Energy Corp               COM            337932107         80      2,880  SH       SOLE                    2,880
Fluor Corporation               COM            343412102      1,610     45,600  SH       SOLE                   45,600
Fox Entertainment               COM            35138T107         36      1,800  SH       SOLE                    1,800
Franklin Resources Inc          COM            354613101        108      2,900  SH       SOLE                    2,900
Freeport McMoran Copper         COM            35671D857        555     22,600  SH       SOLE                   22,600
GSI Lumonics Inc                COM            36229U102        401     23,900  SH       SOLE                   23,900
Gannett Co                      COM            364730101        918     14,600  SH       SOLE                   14,600
Genentech Inc                   COM            368710406         97      2,340  SH       SOLE                    2,340
General Dynamic Sys             COM            369550108        949     12,900  SH       SOLE                   12,900
General Elec Co                 COM            369604103      1,521     63,371  SH       SOLE                   63,371






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Genzyme Corp                    COM            372917104        519     14,800  SH       SOLE                   14,800
Getty Images Inc                COM            374276103        182      4,100  SH       SOLE                    4,100
Gilead Sciences                 COM            375558103        531     10,700  SH       SOLE                   10,700
Gildan Activewear Inc           COM            375916103        623     22,000  SH       SOLE                   22,000
Glamis Gold                     COM            376775102        497     28,600  SH       SOLE                   28,600
Glaxosmithkline Plc             COM            37733W105      2,509     81,700  SH       SOLE                   81,700
Gold Fields Ltd                 COM            38059T106      1,536    197,300  SH       SOLE                  197,300
Goldcorp Inc                    COM            380956409        149     12,900  SH       SOLE                   12,900
Goldman Sachs Group             COM            38141G104      1,377     19,740  SH       SOLE                   19,740
Group CGI                       COM            39945C109     13,562  2,023,000  SH       SOLE                2,023,000
Grupo Televisa SA               COM            40049J206        255      7,600  SH       SOLE                    7,600
Guidant Corp                    COM            401698105        270      6,530  SH       SOLE                    6,530
HCA Inc                         COM            404119109        145      4,700  SH       SOLE                    4,700
HSBC Holdings Plc               COM            404280406      1,243     22,400  SH       SOLE                   22,400
Harley Davidson Inc             COM            412822108        156      3,400  SH       SOLE                    3,400
Hartford Financial Services     COM            416515104        534     10,480  SH       SOLE                   10,480
Hasbro Inc                      COM            418056107        533     37,900  SH       SOLE                   37,900
HBOS PLC                        COM            42205M106      1,474     52,700  SH       SOLE                   52,700
Heinz H J Co                    COM            423074103        316     10,870  SH       SOLE                   10,870
Hewlett Packard Co              COM            428236103        580     37,100  SH       SOLE                   37,100
Honeywell International Inc     COM            438516106      1,338     49,300  SH       SOLE                   49,300
Hummingbird LTD                 COM            44544R101        211      9,400  SH       SOLE                    9,400
Hydrogenics Corporation         COM            448882100        162     33,900  SH       SOLE                   33,900
Illinois Tool Works Inc         COM            452308109        263      3,700  SH       SOLE                    3,700
Imperial Oil Ltd                COM            453038408     11,870    256,800  SH       SOLE                  256,800
Inco Ltd                        COM            453258402      1,506     44,200  SH       SOLE                   44,200
ING Groep NV                    COM            456837103        983     56,000  SH       SOLE                   56,000
Intel Corp                      COM            458140100        611     29,909  SH       SOLE                   29,909
InterActive Corp                COM            45840Q101        205      9,200  SH       SOLE                    9,200
I B M Corp                      COM            459200101        866     13,270  SH       SOLE                   13,270
Intl Paper Co                   COM            460146103        439     13,260  SH       SOLE                   13,260
Amvescap PLC                    COM            461276891        238     85,500  SH       SOLE                   85,500
IPSCO Inc                       COM            462622101        372     16,700  SH       SOLE                   16,700
Ishares Tr                      COM            464287465    120,569  1,138,241  SH       SOLE                1,138,241
Johnson & Johnson               COM            478160104      2,838     68,794  SH       SOLE                   68,794
Johnson Matthey PLC             COM            479142309      1,212     48,000  SH       SOLE                   48,000
Kao Corp                        COM            485537302        972      5,400  SH       SOLE                    5,400
Kellogg Co                      COM            487836108        503     16,230  SH       SOLE                   16,230
Keyspan Corp                    COM            49337W100        103      3,800  SH       SOLE                    3,800
Kimberly Clark                  COM            494368103        601     12,310  SH       SOLE                   12,310
Kingsway Financial Service Inc  COM            496904103        202     17,200  SH       SOLE                   17,200
Kohls Corporation               COM            500255104        441     14,070  SH       SOLE                   14,070






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Kyocera Corporation             COM            501556203        159      2,500  SH       SOLE                    2,500
Lamar Advertising Company       COM            512815101         91      2,830  SH       SOLE                    2,830
Estee Lauder                    COM            518439104         76      2,100  SH       SOLE                    2,100
LEXMARK INTERNATIONAL INC       COM            529771107        236      3,300  SH       SOLE                    3,300
Lilly (Eli) and Co              COM            532457108        647     12,500  SH       SOLE                   12,500
Linear Technology               COM            535678106        156      5,320  SH       SOLE                    5,320
Lockheed Martin Inc.            COM            539830109      1,724     44,700  SH       SOLE                   44,700
Lowe's Cos Inc                  COM            548661107        257      6,600  SH       SOLE                    6,600
Luxottica Group SPA             COM            55068R202         50      4,000  SH       SOLE                    4,000
Mbna corp                       COM            55262L100        283     14,800  SH       SOLE                   14,800
MDS Inc                         COM            55269P302     19,839  1,300,100  SH       SOLE                1,300,100
Magna International Inc         COM            559222401     13,913    165,300  SH       SOLE                  165,300
Manpower Inc                    COM            56418H100         34        900  SH       SOLE                      900
Manulife Financial Corp         COM            56501R106        334     11,142  SH       SOLE                   11,142
Manulife Financial Corp         COM            56501R106     26,404    659,500  SH       SOLE                  659,500
Marsh & Mclennan                COM            571748102         71      2,100  SH       SOLE                    2,100
Masco Corp                      COM            574599106        171      7,400  SH       SOLE                    7,400
Masonite International Corp     COM            575384102        230      9,000  SH       SOLE                    9,000
Matsushita  Electric Ind. Co    COM            576879209        787     74,000  SH       SOLE                   74,000
Maxim Integrated Products       COM            57772K101        165      4,240  SH       SOLE                    4,240
McDonalds Corporation           COM            580135101        173      9,000  SH       SOLE                    9,000
McKesson Corp                   COM            58155Q103        292     11,500  SH       SOLE                   11,500
MeadWestvaco                    COM            583334107        762     35,000  SH       SOLE                   35,000
Medtronic Inc                   COM            585055106        549     15,200  SH       SOLE                   15,200
Mellon Financial                COM            58551A108        509     23,424  SH       SOLE                   23,424
Merck & Co Inc                  COM            589331107        229      6,500  SH       SOLE                    6,500
Meridian Gold Inc               COM            589975101        346     27,100  SH       SOLE                   27,100
Merrill Lynch & Co Inc          COM            590188108        641     16,040  SH       SOLE                   16,040
Metlife Inc                     COM            59156R108        544     20,490  SH       SOLE                   20,490
Microsoft Corp                  COM            594918104      3,124    147,652  SH       SOLE                  147,652
Monsanto Co                     COM            61166W101        645     22,600  SH       SOLE                   22,600
Morgan Stanley Co               COM            617446448      1,356     34,700  SH       SOLE                   34,700
Motorola Inc                    COM            620076109         77      5,700  SH       SOLE                    5,700
NCR Corporation                 COM            62886E108        555     15,100  SH       SOLE                   15,100
National Fuel Gas Company       COM            636180101         87      4,700  SH       SOLE                    4,700
National Grid Transco PLC       COM            636274102        862     29,700  SH       SOLE                   29,700
Network Appliance Inc           COM            64120L104         59      3,700  SH       SOLE                    3,700
Neurochem Inc                   COM            64125K101        164      7,900  SH       SOLE                    7,900
New York Times Co               COM            650111107        858     25,900  SH       SOLE                   25,900
Nexen Inc                       COM            65334H102     12,002    311,600  SH       SOLE                  311,600
Nike Inc                        COM            654106103        253      4,500  SH       SOLE                    4,500
Nippon Tel & Tel Co             COM            654624105      1,193     60,000  SH       SOLE                   60,000






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Nomura Holdings Inc             COM            65535H208      1,417    128,000  SH       SOLE                  128,000
Noranda Inc                     COM            655422103        906     53,300  SH       SOLE                   53,300
Nortel Networks Corp            COM            656568102      9,185  1,853,500  SH       SOLE                1,853,500
Northrop Grumman Corp           COM            666807102        422     10,600  SH       SOLE                   10,600
Nova Chemicals Corp             COM            66977W109     12,933    452,800  SH       SOLE                  452,800
Novartis AG                     COM            66987V109      2,156     65,400  SH       SOLE                   65,400
Novellus Systems Inc            COM            670008101        320     13,740  SH       SOLE                   13,740
NSTAR                           COM            67019E107         74      2,100  SH       SOLE                    2,100
Occidental Petroleum            COM            674599105        214      5,970  SH       SOLE                    5,970
Oracle Systems Corp             COM            68389X105        214     24,186  SH       SOLE                   24,186
Outback Steakhouse              COM            689899102        162      5,300  SH       SOLE                    5,300
PNC Financial Services Group    COM            693475105        377      9,600  SH       SOLE                    9,600
PPG Industries                  COM            693506107        515     11,120  SH       SOLE                   11,120
PPL Corporation                 COM            69351T106        141      4,160  SH       SOLE                    4,160
Pacific Sunwear of Calif        COM            694873100        168     11,600  SH       SOLE                   11,600
Pearson Plc                     COM            705015105         65      7,000  SH       SOLE                    7,000
Pepsico Inc                     COM            713448108        666     16,690  SH       SOLE                   16,690
Petro Canada Limited            COM            71644E102      1,644     38,500  SH       SOLE                   38,500
Petsmart Inc                    COM            716768106        226      9,400  SH       SOLE                    9,400
Pfizer Inc                      COM            717081103      3,810    150,052  SH       SOLE                  150,052
Phelps Dodge Corp               COM            717265102        580     10,100  SH       SOLE                   10,100
Placer Dome Inc                 COM            725906101     25,133  1,514,700  SH       SOLE                1,514,700
Potash Corp of Sask Inc         COM            73755L107        162      1,700  SH       SOLE                    1,700
Praxair Inc                     COM            74005P104         99      3,340  SH       SOLE                    3,340
Precision Drilling Corp         COM            74022D100        571     12,100  SH       SOLE                   12,100
Progress Energy Ltd             COM            742981103        189     17,200  SH       SOLE                   17,200
Prudential Financial Inc        COM            744320102      1,817     52,800  SH       SOLE                   52,800
QLT Inc                         COM            746927102        146      7,400  SH       SOLE                    7,400
Quebecor World Inc              COM            748203106      6,130    281,500  SH       SOLE                  281,500
Red Hat Inc                     COM            756577102        216     12,700  SH       SOLE                   12,700
Reebok International Ltd        COM            758110100        197      7,400  SH       SOLE                    7,400
Reed Elsevier NV                COM            758204101        935     44,400  SH       SOLE                   44,400
Research In Motion              COM            760975102        309      6,100  SH       SOLE                    6,100
Rexam plc                       COM            761655406        838     27,300  SH       SOLE                   27,300
Rogers Communication Class B    COM            775109200      1,324     74,000  SH       SOLE                   74,000
Rogers Wireless Communications  COM            775315104        550     20,300  SH       SOLE                   20,300
Royal Bank of Canada            COM            780087102     30,192    689,306  SH       SOLE                  689,306
Royal Dutch Petroleum Co        COM            780257804      1,286     33,600  SH       SOLE                   33,600
SBC Communications              COM            78387G103      2,843    158,250  SH       SOLE                  158,250
SPDR Trust                      COM            78462F103    147,217  1,735,443  SH       SOLE                1,735,443
SAFECO Corporation              COM            786429100        756     23,200  SH       SOLE                   23,200
St Paul Companies               COM            792860108        409     13,608  SH       SOLE                   13,608






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Samsung SDI Co                  COM            796054203        263     13,600  SH       SOLE                   13,600
Sara Lee Corp                   COM            803111103        198     11,600  SH       SOLE                   11,600
Schlumberger Ltd                COM            806857108        332      7,060  SH       SOLE                    7,060
Energy Select Sector SPDR       COM            81369Y506      2,180     93,500  SH       SOLE                   93,500
Siemens AG                      COM            826197501      1,708     31,800  SH       SOLE                   31,800
Smurfit Stone Container         COM            832727101        202     13,700  SH       SOLE                   13,700
Southtrust Corp                 COM            844730101        139      4,850  SH       SOLE                    4,850
Southwest Airlines              COM            844741108        262     21,100  SH       SOLE                   21,100
Sprint Corp PCS Group           COM            852061100        650     49,845  SH       SOLE                   49,845
Sun Life Financial Inc          COM            866796105        373     13,100  SH       SOLE                   13,100
Suncor Energy Inc               COM            867229106      1,139     45,200  SH       SOLE                   45,200
Suntrust Banks Inc              COM            867914103        670     13,910  SH       SOLE                   13,910
Superior Industries Int'l       COM            868168105        855     34,500  SH       SOLE                   34,500
Symantec Corp                   COM            871503108        321      9,900  SH       SOLE                    9,900
TJX Companies Inc               COM            872540109        150      8,400  SH       SOLE                    8,400
TLC Vision Corp                 COM            872549100        117     10,200  SH       SOLE                   10,200
TXU Corp                        COM            873168108        288      9,600  SH       SOLE                    9,600
Talisman Energy Inc             COM            87425E103        895     41,500  SH       SOLE                   41,500
Target Corp                     COM            87612E106        536     17,030  SH       SOLE                   17,030
Telefonos de Mexico S A de C V  COM            879403780        468     19,000  SH       SOLE                   19,000
Telus Corp                      COM            87971M202        347     23,272  SH       SOLE                   23,272
Texas Instruments Inc           COM            882508104        337     18,830  SH       SOLE                   18,830
Thomson Corp                    COM            884903105        699     21,200  SH       SOLE                   21,200
3M Company                      COM            88579Y101        540      8,100  SH       SOLE                    8,100
Timberland Company              COM            887100105        560     11,700  SH       SOLE                   11,700
Time Warner Inc                 COM            887317105        983     75,460  SH       SOLE                   75,460
Tomkins PLC                     COM            890030208      1,384     93,400  SH       SOLE                   93,400
Toronto Dominion Bank           COM            891160509     12,785    402,500  SH       SOLE                  402,500
Toyota Motor Corporation        COM            892331307      1,149     19,000  SH       SOLE                   19,000
TransCanada Corp                COM            89353D107     24,138  1,234,321  SH       SOLE                1,234,321
Tribune Co                      COM            896047107        408     12,100  SH       SOLE                   12,100
Tyco Intl Ltd                   COM            902124106      1,804     73,500  SH       SOLE                   73,500
UST Inc                         COM            902911106      1,184     44,400  SH       SOLE                   44,400
Union Pacific Corp.             COM            907818108        233      5,300  SH       SOLE                    5,300
United Technologies Corp        COM            913017109      1,769     26,100  SH       SOLE                   26,100
Unocal Corp                     COM            915289102        473     16,800  SH       SOLE                   16,800
UPM Kymmene Corporation         COM            915436109        750     53,000  SH       SOLE                   53,000
Vasogen Inc                     COM            92232F103         73     14,700  SH       SOLE                   14,700
Veritas Software Corp           COM            923436109        372     18,060  SH       SOLE                   18,060
Verizon Comm                    COM            92343V104      2,461     91,800  SH       SOLE                   91,800
Viacom Inc                      COM            925524308      1,827     69,050  SH       SOLE                   69,050
Vodafone Group Plc              COM            92857W100        164     10,000  SH       SOLE                   10,000






COLUMN 1                           COLUMN 2     COLUMN 3   COLUMN 4         COLUMN 5      COLUMN 6  COLUMN 7        COLUMN 8
------------------------------- -------------- ---------   --------    ----------------- ---------- --------   --------------------
                                                            VALUE      SHRS OR  SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                  TITLE OF CLASS   CUSIP     (x$1000)    PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
------------------------------- -------------- ---------   --------   --------- --- ---- ---------- --------   ----    ------  ----
                                                                                              
Volvo AB                        COM            928856400        933     36,000  SH       SOLE                   36,000
WPP Group PLC                   COM            929309300         76      2,000  SH       SOLE                    2,000
Wachovia Corp                   COM            929903102        709     21,500  SH       SOLE                   21,500
Waters Corp                     COM            941848103        322      9,100  SH       SOLE                    9,100
Wendys International Inc        COM            950590109      1,076     41,700  SH       SOLE                   41,700
Wyeth                           COM            983024100      2,348     87,660  SH       SOLE                   87,660
Xilinx                          COM            983919101        237      9,590  SH       SOLE                    9,590
Yahoo Inc                       COM            984332106        356     13,200  SH       SOLE                   13,200
Zarlink Semiconductor           COM            989139100        199     45,900  SH       SOLE                   45,900
Deutsche Bank AG                COM            D18190898        176      3,000  SH       SOLE                    3,000
Cooper Industries LTD           COM            G24182100        110      2,500  SH       SOLE                    2,500
Globalsantafe Corp              COM            G3930E101         65      3,300  SH       SOLE                    3,300
Noble Corp                      COM            G65422100        298     10,600  SH       SOLE                   10,600
Transocean Inc                  COM            G90078109        954     44,500  SH       SOLE                   44,500
Check Point Software Tech Ltd   COM            M22465104        488     24,400  SH       SOLE                   24,400
ASML Holding NV                 COM            N07059111         89      7,000  SH       SOLE                    7,000

                                                          1,537,262