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, 2004
                                               -----------------

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:    Candace Shaw
         --------------------------------------------
Title:   Vice-President, Investments
         --------------------------------------------
Phone:   416-979-6188
         --------------------------------------------

Signature, Place, and Date of Signing:

/s/ Candace Shaw                   Ontario, Canada       11-12-2004
-------------------------------    ------------------   --------------
[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:                           307
                                                           --------------------

Form 13F Information Table Value Total:                   $ 1,607,012
                                                           --------------------
                                                                    (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
                               SEPTEMBER 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     9,036   399,479 SH           SOLE                     399,479
AMR CORP                  COM              001765106       242    32,953 SH           SOLE                      32,953
ADVANCED FIBRE
  COMMUNICATION           COM              00754A105     7,819   491,738 SH           SOLE                     491,738
AGERE SYS INC             CL B             00845V209     8,888 8,713,785 SH           SOLE                   8,713,785
ALEXANDRIA REAL ESTATE
  EQ IN                   COM              015271109    10,954   166,682 SH           SOLE                     166,682
ALLMERICA FINL CORP       COM              019754100     8,514   316,733 SH           SOLE                     316,733
AMERICAN FINL RLTY TR     COM              02607P305     7,712   546,580 SH           SOLE                     546,580
AMGEN INC                 COM              031162100     8,333   146,679 SH           SOLE                     146,679
ANNALY MTG MGMT INC       COM              035710409     3,823   223,182 SH           SOLE                     223,182
AON CORP                  COM              037389103     9,218   320,728 SH           SOLE                     320,728
ARCHER DANIELS MIDLAND CO COM              039483102     8,447   497,462 SH           SOLE                     497,462
ARCHSTONE SMITH TR        COM              039583109    11,229   354,898 SH           SOLE                     354,898
ARRIS GROUP INC           COM              04269Q100     5,252 1,006,087 SH           SOLE                   1,006,087
ASCENTIAL SOFTWARE CORP   COM NEW          04362P207     4,754   352,954 SH           SOLE                     352,954
AVALONBAY CMNTYS INC      COM              053484101    10,248   170,174 SH           SOLE                     170,174
BRE PROPERTIES INC        CL A             05564E106    10,702   279,058 SH           SOLE                     279,058
BAXTER INTL INC           COM              071813109     8,060   250,623 SH           SOLE                     250,623
BEST BUY INC              COM              086516101     8,337   153,699 SH           SOLE                     153,699
BOSTON SCIENTIFIC CORP    COM              101137107    10,467   263,455 SH           SOLE                     263,455
BROCADE COMMUNICATIONS
  SYS I                   COM              111621108     9,448 1,672,218 SH           SOLE                   1,672,218
C COR INC                 COM              125010108     4,652   550,482 SH           SOLE                     550,482
CABLEVISION SYS CORP      CL A NY CABLVS   12686C109     8,939   440,757 SH           SOLE                     440,757
CALPINE CORP              COM              131347106     8,152 2,811,131 SH           SOLE                   2,811,131
CARRAMERICA RLTY CORP     COM              144418100     8,028   245,495 SH           SOLE                     245,495
CENTERPOINT PPTYS TR      COM              151895109    10,100   231,764 SH           SOLE                     231,764
CLEAN HARBORS INC         COM              184496107     7,678   658,517 SH           SOLE                     658,517
CLEAR CHANNEL
  COMMUNICATIONS          COM              184502102     8,392   269,236 SH           SOLE                     269,236
COMCAST CORP NEW          CL A             20030N101     8,164   289,094 SH           SOLE                     289,094
CONCORD COMMUNICATIONS
  INC                     COM              206186108     4,310   482,881 SH           SOLE                     482,881
DELTA & PINE LD CO        COM              247357106     5,306   198,337 SH           SOLE                     198,337
DEVELOPERS DIVERSIFIED
  RLTY                    COM              251591103    12,013   306,847 SH           SOLE                     306,847
DOW CHEM CO               COM              260543103     8,497   188,060 SH           SOLE                     188,060
DUKE REALTY CORP          COM NEW          264411505     5,922   178,374 SH           SOLE                     178,374
EASTMAN KODAK CO          COM              277461109     9,254   287,200 SH           SOLE                     287,200





                                                                                             
ECHOSTAR COMMUNICATIONS
  NEW                     CL A             278762109     9,841   316,227 SH           SOLE                     316,227
ECLIPSYS CORP             COM              278856109     4,963   318,147 SH           SOLE                     318,147
EQUITY RESIDENTIAL        SH BEN INT       29476L107    12,172   392,643 SH           SOLE                     392,643
EXIDE TECHNOLOGIES        COM NEW          302051206     4,012   253,129 SH           SOLE                     253,129
FEDERAL REALTY INVT TR    SH BEN INT NEW   313747206       286     6,508 SH           SOLE                       6,508
GATX CORP                 COM              361448103    10,172   381,531 SH           SOLE                     381,531
GRAFTECH INTL LTD         COM              384313102     6,006   430,511 SH           SOLE                     430,511
GRAMERCY CAP CORP         COM              384871109     3,404   218,200 SH           SOLE                     218,200
GUIDANT CORP              COM              401698105    10,401   157,492 SH           SOLE                     157,492
HOST MARRIOTT CORP NEW    COM              44107P104     5,732   408,579 SH           SOLE                     408,579
IAC INTERACTIVECORP       COM              44919P102     7,704   349,871 SH           SOLE                     349,871
IMCLONE SYS INC           COM              45245W109     8,371   158,397 SH           SOLE                     158,397
INTL PAPER CO             COM              460146103     6,187   153,112 SH           SOLE                     153,112
ISHARES INC               MSCI AUSTRALIA   464286103     1,067    73,498 SH           SOLE                      73,498
ISHARES INC               MSCI BELGIUM     464286301       208    12,969 SH           SOLE                      12,969
ISHARES INC               MSCI SINGAPORE   464286673       229    33,739 SH           SOLE                      33,739
ISHARES INC               MSCI UTD KINGD   464286699     5,544   339,492 SH           SOLE                     339,492
ISHARES INC               MSCI FRANCE      464286707     1,812    85,725 SH           SOLE                      85,725
ISHARES INC               MSCI SWITZERLD   464286749     1,360    91,331 SH           SOLE                      91,331
ISHARES INC               MSCI SWEDEN      464286756       925    50,258 SH           SOLE                      50,258
ISHARES INC               MSCI SPAIN       464286764       905    31,549 SH           SOLE                      31,549
ISHARES INC               MSCI GERMAN      464286806     1,292    81,933 SH           SOLE                      81,933
ISHARES INC               MSCI NETHERLND   464286814       959    59,958 SH           SOLE                      59,958
ISHARES INC               MSCI JAPAN       464286848     4,536   467,581 SH           SOLE                     467,581
ISHARES INC               MSCI ITALY       464286855       795    37,121 SH           SOLE                      37,121
ISHARES INC               MSCI HONG KONG   464286871       748    67,290 SH           SOLE                      67,290
KIMCO REALTY CORP         COM              49446R109     9,693   188,944 SH           SOLE                     188,944
LUCENT TECHNOLOGIES INC   COM              549463107    12,530 3,952,700 SH           SOLE                   3,952,700
MACERICH CO               COM              554382101    16,543   310,430 SH           SOLE                     310,430
MARSH & MCLENNAN COS INC  COM              571748102     8,556   186,973 SH           SOLE                     186,973
MEDIMMUNE INC             COM              584699102     8,680   366,233 SH           SOLE                     366,233
MERISTAR HOSPITALITY CORP COM              58984Y103     5,900 1,082,607 SH           SOLE                   1,082,607
MONSANTO CO NEW           COM              61166W101     8,018   220,143 SH           SOLE                     220,143
NRG ENERGY INC            COM NEW          629377508    16,433   609,989 SH           SOLE                     609,989
NAVISTAR INTL CORP NEW    COM              63934E108     8,256   222,000 SH           SOLE                     222,000
NEW YORK CMNTY BANCORP
  INC                     COM              649445103     8,804   428,649 SH           SOLE                     428,649
PARAMETRIC TECHNOLOGY
  CORP                    COM              699173100    10,252 1,941,691 SH           SOLE                   1,941,691
PERFORMANCE FOOD GROUP CO COM              713755106     4,329   182,666 SH           SOLE                     182,666
PHELPS DODGE CORP         COM              717265102     4,944    53,726 SH           SOLE                      53,726
PRINCIPAL FINANCIAL GROUP
  IN                      COM              74251V102     8,678   241,247 SH           SOLE                     241,247
PROLOGIS                  SH BEN INT       743410102     9,767   277,148 SH           SOLE                     277,148
PRUDENTIAL FINL INC       COM              744320102     8,684   184,610 SH           SOLE                     184,610
PUBLIC STORAGE INC        COM              74460D109     7,941   160,268 SH           SOLE                     160,268





                                                                                             
RECKSON ASSOCS RLTY CORP  COM              75621K106     8,223   286,003 SH           SOLE                     286,003
REGENCY CTRS CORP         COM              758849103     8,303   178,607 SH           SOLE                     178,607
REVLON INC                CL A             761525500     9,598 3,808,571 SH           SOLE                   3,808,571
ROCKWELL AUTOMATION INC   COM              773903109     7,153   184,831 SH           SOLE                     184,831
SL GREEN RLTY CORP        COM              78440X101     9,223   178,022 SH           SOLE                     178,022
SHURGARD STORAGE CTRS INC COM              82567D104     9,222   237,670 SH           SOLE                     237,670
SIMON PPTY GROUP INC NEW  COM              828806109    15,399   287,131 SH           SOLE                     287,131
TIMKEN CO                 COM              887389104     8,214   333,641 SH           SOLE                     333,641
TRINITY INDS INC          COM              896522109     8,405   269,641 SH           SOLE                     269,641
UNION PAC CORP            COM              907818108     8,209   140,086 SH           SOLE                     140,086
UNITED DOMINION REALTY TR
  IN                      COM              910197102     8,812   444,364 SH           SOLE                     444,364
UNOVA INC                 COM              91529B106     8,218   584,932 SH           SOLE                     584,932
UNUMPROVIDENT CORP        COM              91529Y106     9,553   608,851 SH           SOLE                     608,851
VICOR CORP                COM              925815102     3,884   384,178 SH           SOLE                     384,178
VORNADO RLTY TR           SH BEN INT       929042109    11,844   188,954 SH           SOLE                     188,954
WILLIAMS COS INC DEL      COM              969457100    10,287   850,186 SH           SOLE                     850,186
BUNGE LIMITED             COM              G16962105     7,848   196,288 SH           SOLE                     196,288
ORIENT-EXPRESS HOTELS LTD CL A             G67743107     3,144   192,390 SH           SOLE                     192,390
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

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

ABB Ltd                   COM              000375204     1,028    215000 SH           SOLE                     215,000
Agco Corp                 COM              001084102     1,039     58800 SH           SOLE                      58,800
ATI Technologies Inc      COM              001941103       359     23700 SH           SOLE                      23,700
Abbot Laboratories        COM              002824100       205      6200 SH           SOLE                       6,200
Aber Diamond Corporation  COM              002893105       497     14600 SH           SOLE                      14,600
Abitibi-Consolidated Inc  COM              003924107       471     75900 SH           SOLE                      75,900
Agrium Inc                COM              008916108       368     21000 SH           SOLE                      21,000
Ajinomoto                 COM              009707100       836      9500 SH           SOLE                       9,500
Electrolux AB             COM              010198208     1,817     63300 SH           SOLE                      63,300
Alcan Inc                 COM              013716105    25,515    539825 SH           SOLE                     539,825
Alcoa Inc                 COM              013817101       706     26900 SH           SOLE                      26,900
Alliance Atlantis Comm
  Inc                     COM              01853E204       442     20300 SH           SOLE                      20,300
Allstate Corp             COM              020002101     1,421     37900 SH           SOLE                      37,900
Alltel Corp               COM              020039103       798     18600 SH           SOLE                      18,600
Altria Group              COM              02209S103       919     25000 SH           SOLE                      25,000
Ameritrade Holding Corp   COM              03074K100        36      3800 SH           SOLE                       3,800





                                                                                             
Amvescap PLC              COM              03235E100        94     11000 SH           SOLE                      11,000
Anglo American PLC        COM              03485P102        72      3800 SH           SOLE                       3,800
Angiotech Pharmaceuticals
  Inc                     COM              034918102       555     27800 SH           SOLE                      27,800
Apache Corporation        COM              037411105     1,326     33860 SH           SOLE                      33,860
Astrazeneca PLC           COM              046353108        71      2200 SH           SOLE                       2,200
Avery Dennison Corp       COM              053611109       915     17800 SH           SOLE                      17,800
BCE Inc                   COM              05534B109    32,148   1510092 SH           SOLE                   1,510,092
BG Group                  COM              055434203        53      2000 SH           SOLE                       2,000
BP PLC                    COM              055622104     2,023     45000 SH           SOLE                      45,000
Bank of America Corp      COM              060505104     1,037     30620 SH           SOLE                      30,620
Bank of Montreal          COM              063671101    17,601    407400 SH           SOLE                     407,400
Bank of Nova Scotia       COM              064149107    29,327   1015920 SH           SOLE                   1,015,920
Barclays PLC              COM              06738E204     1,143     37800 SH           SOLE                      37,800
Barrick Gold Corp         COM              067901108    21,569   1037900 SH           SOLE                   1,037,900
Beckman Coulter Inc       COM              075811109       495     11300 SH           SOLE                      11,300
Bellsouth Corp            COM              079860102       388     18300 SH           SOLE                      18,300
Bema Gold Corp            COM              08135F107       167     53300 SH           SOLE                      53,300
Boston Scientific         COM              101137107       127      4100 SH           SOLE                       4,100
Brascan Corporation       COM              10549P606       225      7550 SH           SOLE                       7,550
Brasil Telecom Part SA    COM              105530109        35      1400 SH           SOLE                       1,400
CAE Inc                   COM              124765108       272     63200 SH           SOLE                      63,200
CHC Helicopter Corp       COM              12541C203       119      3100 SH           SOLE                       3,100
Cameco Corp               COM              13321L108       447      5700 SH           SOLE                       5,700
Cdn Imp Bank of Commerce  COM              136069101    14,157    267790 SH           SOLE                     267,790
Cdn National Railways     COM              136375102    20,097    416110 SH           SOLE                     416,110
Canadian Nat Resources
  Ltd                     COM              136385101       947     24000 SH           SOLE                      24,000
Canadian Pacific Railway
  Co                      COM              13645T100    10,042    393220 SH           SOLE                     393,220
Canfor Corporation        COM              137902102       184     14800 SH           SOLE                      14,800
Canon Inc                 COM              138006309     1,850     50200 SH           SOLE                      50,200
Caremark Rx Inc           COM              141705103       125      5000 SH           SOLE                       5,000
Carnival Corp             COM              143658300       521     14100 SH           SOLE                      14,100
Cedera Software Corp      COM              150644102        59      7500 SH           SOLE                       7,500
Celestica Inc             COM              15101Q108       155     12400 SH           SOLE                      12,400
Citigroup Inc             COM              172967101     2,802     81300 SH           SOLE                      81,300
Clear Channel Comm        COM              184502102       131      5400 SH           SOLE                       5,400
Coca Cola Co              COM              191216100       707     22600 SH           SOLE                      22,600
Cognos Inc                COM              19244C109       349      9900 SH           SOLE                       9,900
Colgate Palmolive         COM              194162103     1,034     29300 SH           SOLE                      29,300
Cia De Minas Buenaventur  COM              204448104       143      7700 SH           SOLE                       7,700
ConocoPhillips Inc        COM              20825C104        26       400 SH           SOLE                         400
Corus Entertainment       COM              220874101       198     10800 SH           SOLE                      10,800
Cott Corp                 COM              22163N106       479     16600 SH           SOLE                      16,600
CP Ships Ltd              COM              22409V102    11,021    919000 SH           SOLE                     919,000





                                                                                             
Creo                      COM              225606102       103     12700 SH           SOLE                      12,700
Deutsche Telecom          COM              251566105       503     34500 SH           SOLE                      34,500
Diageo PLC                COM              25243Q205     1,911     48500 SH           SOLE                      48,500
Domtar Inc.               COM              257561100    11,005    926700 SH           SOLE                     926,700
Dorel Industries Inc      COM              25822C205        86      3100 SH           SOLE                       3,100
Dow Jones & Co            COM              260561105       384     12100 SH           SOLE                      12,100
Draxis Health Inc         COM              26150J101       158     33500 SH           SOLE                      33,500
Duke Energy Corporation   COM              264399106     2,495    139500 SH           SOLE                     139,500
E ON AG                   COM              268780103     1,854     32200 SH           SOLE                      32,200
E*Trade Financial Corp    COM              269246104        32      3600 SH           SOLE                       3,600
Eldorado Gold Corp        COM              284902103       157     49100 SH           SOLE                      49,100
EnCana Corporation        COM              292505104    25,790    565740 SH           SOLE                     565,740
Enbridge Inc              COM              29250N105     6,169    149700 SH           SOLE                     149,700
Entrust Inc               COM              293848107        18      9300 SH           SOLE                       9,300
Extendicare Inc           COM              30224T871        98      7700 SH           SOLE                       7,700
Fairmont Hotels           COM              305204109       282     10425 SH           SOLE                      10,425
Federal National Mtge
  Assoc                   COM              313586109       495     10000 SH           SOLE                      10,000
First Data Corp           COM              319963104     1,066     31374 SH           SOLE                      31,374
Firstservice Corporation  COM              33761N109       115      4900 SH           SOLE                       4,900
Fluor Corporation         COM              343412102     1,450     41700 SH           SOLE                      41,700
Franklin Resources Inc    COM              354613101        78      1800 SH           SOLE                       1,800
Freeport McMoran Copper   COM              35671D857       715     22600 SH           SOLE                      22,600
GSI Lumonics Inc          COM              36229U102       224     21700 SH           SOLE                      21,700
Gap Inc                   COM              364760108       802     54900 SH           SOLE                      54,900
General Elec Co           COM              369604103       559     21300 SH           SOLE                      21,300
General Mills Inc         COM              370334104       768     21900 SH           SOLE                      21,900
Gildan Activewear Inc     COM              375916103       526     18900 SH           SOLE                      18,900
Glamis Gold               COM              376775102       399     21800 SH           SOLE                      21,800
Glaxosmithkline Plc       COM              37733W105     2,791     81700 SH           SOLE                      81,700
Gold Fields Ltd           COM              38059T106     2,531    237300 SH           SOLE                     237,300
Goldcorp Inc              COM              380956409       176     12900 SH           SOLE                      12,900
Group CGI                 COM              39945C109    12,836   1933000 SH           SOLE                   1,933,000
HCA Inc                   COM              404119109       140      4700 SH           SOLE                       4,700
HSBC Holdings Plc         COM              404280406     1,534     24600 SH           SOLE                      24,600
Halliburton Co            COM              406216101        76      2900 SH           SOLE                       2,900
Harrah's Entertainment
  Inc                     COM              413619107       840     20300 SH           SOLE                      20,300
Hartford Financial
  Services                COM              416515104       813     16800 SH           SOLE                      16,800
HBOS PLC                  COM              42205M106     1,884     59700 SH           SOLE                      59,700
Hewlett Packard Co        COM              428236103       580     39600 SH           SOLE                      39,600
Honeywell International
  Inc                     COM              438516106     1,488     53100 SH           SOLE                      53,100
Hydrogenics Corporation   COM              448882100        77     17100 SH           SOLE                      17,100
Imperial Oil Ltd          COM              453038408    13,137    256800 SH           SOLE                     256,800
Inco Ltd                  COM              453258402     1,482     38400 SH           SOLE                      38,400





                                                                                             
ING Groep NV              COM              456837103     1,106     56000 SH           SOLE                      56,000
Intel Corp                COM              458140100       102      6500 SH           SOLE                       6,500
I B M Corp                COM              459200101       114      1700 SH           SOLE                       1,700
IPSCO Inc                 COM              462622101       102      3700 SH           SOLE                       3,700
Ishares Tr                COM              464287465   128,137   1159941 SH           SOLE                   1,159,941
Johnson & Johnson         COM              478160104       941     21374 SH           SOLE                      21,374
Johnson Matthey PLC       COM              479142309     1,412     52000 SH           SOLE                      52,000
Kingsway Financial
  Service Inc             COM              496904103       223     17200 SH           SOLE                      17,200
Kohls Corporation         COM              500255104        79      2100 SH           SOLE                       2,100
Kyocera Corporation       COM              501556203       138      2500 SH           SOLE                       2,500
Estee Lauder              COM              518439104        69      2100 SH           SOLE                       2,100
Leitch Technology Corp    COM              52543H107        72      9700 SH           SOLE                       9,700
Luxottica Group SPA       COM              55068R202        56      4000 SH           SOLE                       4,000
Mbna corp                 COM              55262L100       597     30300 SH           SOLE                      30,300
MDS Inc                   COM              55269P302    19,760   1305100 SH           SOLE                   1,305,100
Magna International Inc   COM              559222401    12,215    166900 SH           SOLE                     166,900
Manulife Financial Corp   COM              56501R106       381     11142 SH           SOLE                      11,142
Manulife Financial Corp   COM              56501R106    27,310    631000 SH           SOLE                     631,000
Masonite International
  Corp                    COM              575384102       224      9000 SH           SOLE                       9,000
Matsushita  Electric Ind.
  Co                      COM              576879209       902     86000 SH           SOLE                      86,000
McDonalds Corporation     COM              580135101       793     36200 SH           SOLE                      36,200
Meridian Gold Inc         COM              589975101       445     27100 SH           SOLE                      27,100
Merrill Lynch & Co Inc    COM              590188108       746     19200 SH           SOLE                      19,200
Microsoft Corp            COM              594918104     1,674     77482 SH           SOLE                      77,482
Morgan Stanley Co         COM              617446448     1,494     38800 SH           SOLE                      38,800
Motorola Inc              COM              620076109       162     11500 SH           SOLE                      11,500
NCR Corporation           COM              62886E108       585     15100 SH           SOLE                      15,100
National Grid Transco PLC COM              636274102     1,951     58300 SH           SOLE                      58,300
Neurochem Inc             COM              64125K101       282     16700 SH           SOLE                      16,700
New York Times Co         COM              650111107        92      3000 SH           SOLE                       3,000
Nexen Inc                 COM              65334H102    13,488    327300 SH           SOLE                     327,300
Nippon Tel & Tel Co       COM              654624105     1,397     89500 SH           SOLE                      89,500
Nomura Holdings Inc       COM              65535H208     1,725    171000 SH           SOLE                     171,000
Noranda Inc               COM              655422103       916     53300 SH           SOLE                      53,300
Nortel Networks Corp      COM              656568102     9,303   2782100 SH           SOLE                   2,782,100
North Am Palladium        COM              656912102       124     15100 SH           SOLE                      15,100
Northrop Grumman Corp     COM              666807102       817     19600 SH           SOLE                      19,600
Nova Chemicals Corp       COM              66977W109     7,284    191200 SH           SOLE                     191,200
Novartis AG               COM              66987V109     1,911     52400 SH           SOLE                      52,400
Oracle Systems Corp       COM              68389X105        81      9156 SH           SOLE                       9,156
Pearson Plc               COM              705015105        59      7000 SH           SOLE                       7,000
Pepsico Inc               COM              713448108       137      3600 SH           SOLE                       3,600
Petro Canada Limited      COM              71644E102     2,337     45500 SH           SOLE                      45,500





                                                                                             
Pfizer Inc                COM              717081103     2,931    122612 SH           SOLE                     122,612
Phelps Dodge Corp         COM              717265102       726     10100 SH           SOLE                      10,100
Placer Dome Inc           COM              725906101    32,732   1662600 SH           SOLE                   1,662,600
Potash Corp of Sask Inc   COM              73755L107       215      3400 SH           SOLE                       3,400
Precision Drilling Corp   COM              74022D100       687     12100 SH           SOLE                      12,100
Prudential Financial Inc  COM              744320102     1,940     52800 SH           SOLE                      52,800
QLT Inc                   COM              746927102       524     32100 SH           SOLE                      32,100
Quebecor World Inc        COM              748203106     6,202    281500 SH           SOLE                     281,500
Reed Elsevier NV          COM              758204101       919     45400 SH           SOLE                      45,400
Research In Motion        COM              760975102       364      6100 SH           SOLE                       6,100
Research In Motion        COM              760975102       459      6100 SH           SOLE                       6,100
Rexam plc                 COM              761655406       963     31200 SH           SOLE                      31,200
Rogers Communication
  Class B                 COM              775109200       424     21200 SH           SOLE                      21,200
Rogers Wireless
  Communications          COM              775315104       612     19800 SH           SOLE                      19,800
Royal Bank of Canada      COM              780087102    36,514    779606 SH           SOLE                     779,606
Royal Dutch Petroleum Co  COM              780257804     1,355     33600 SH           SOLE                      33,600
SBC Communications        COM              78387G103     3,404    167900 SH           SOLE                     167,900
SPDR Trust                COM              78462F103   154,468   1769143 SH           SOLE                   1,769,143
Schlumberger Ltd          COM              806857108       179      3400 SH           SOLE                       3,400
Select Sector SPDR        COM              81369Y209     1,559     69300 SH           SOLE                      69,300
Select Sector SPDR        COM              81369Y506     2,557     93500 SH           SOLE                      93,500
Siemens AG                COM              826197501     1,831     31800 SH           SOLE                      31,800
Sigma-Aldrich Corp        COM              826552101       807     17800 SH           SOLE                      17,800
Smurfit Stone Container   COM              832727101        61      4000 SH           SOLE                       4,000
Sprint Corp               COM              852061100       832     52900 SH           SOLE                      52,900
Statoil ASA               COM              85771P102        78      6900 SH           SOLE                       6,900
Sun Life Financial Inc    COM              866796105       391     13100 SH           SOLE                      13,100
Suncor Energy Inc         COM              867229106     1,294     41000 SH           SOLE                      41,000
Superior Industries Int'l COM              868168105       807     34500 SH           SOLE                      34,500
TLC Vision Corp           COM              872549100        88     10200 SH           SOLE                      10,200
Talisman Energy Inc       COM              87425E103     1,276     49800 SH           SOLE                      49,800
Telefonos de Mexico S A
  de C V                  COM              879403780       529     21000 SH           SOLE                      21,000
Telus Corp                COM              87971M202       559     29226 SH           SOLE                      29,226
Thomson Corp              COM              884903105       672     19600 SH           SOLE                      19,600
3M Company                COM              88579Y101        75      1200 SH           SOLE                       1,200
Timberland Company        COM              887100105       533     12000 SH           SOLE                      12,000
Time Warner Inc           COM              887317105       546     43300 SH           SOLE                      43,300
Tomkins PLC               COM              890030208     1,413     93400 SH           SOLE                      93,400
Toronto Dominion Bank     COM              891160509    15,253    423600 SH           SOLE                     423,600
Total SA                  COM              89151E109        72       900 SH           SOLE                         900
Toyota Motor Corporation  COM              892331307     1,134     19000 SH           SOLE                      19,000
TransAlta Corp            COM              89346D107     1,062     82400 SH           SOLE                      82,400
TransCanada Corp          COM              89353D107    26,663   1234321 SH           SOLE                   1,234,321





                                                                                             
Tyco Intl Ltd             COM              902124106     2,014     84100 SH           SOLE                      84,100
United Technologies Corp  COM              913017109     1,941     26600 SH           SOLE                      26,600
UPM Kymmene Corporation   COM              915436109     1,394     93000 SH           SOLE                      93,000
Vasogen Inc               COM              92232F103       258     58100 SH           SOLE                      58,100
Verizon Comm              COM              92343V104     1,477     48000 SH           SOLE                      48,000
Viacom Inc                COM              925524308     2,226     84900 SH           SOLE                      84,900
Vodafone Group Plc        COM              92857W100       226     12000 SH           SOLE                      12,000
Volvo AB                  COM              928856400       991     36000 SH           SOLE                      36,000
WPP Group PLC             COM              929309300       109      3000 SH           SOLE                       3,000
Wachovia Corp             COM              929903102       789     21500 SH           SOLE                      21,500
Waters Corp               COM              941848103       803     23300 SH           SOLE                      23,300
Wendys International Inc  COM              950590109     2,229     84900 SH           SOLE                      84,900
Weyerheuser Co            COM              962166104       805     15500 SH           SOLE                      15,500
Wyeth                     COM              983024100     2,001     68500 SH           SOLE                      68,500
Zarlink Semiconductor     COM              989139100       137     45900 SH           SOLE                      45,900
Deutsche Bank AG          COM              D18190898       281      5000 SH           SOLE                       5,000
Transocean Inc            COM              G90078109       210      7500 SH           SOLE                       7,500
Check Point Software Tech
  Ltd                     COM              M22465104       894     67400 SH           SOLE                      67,400
ASML Holding NV           COM              N07059111        90      9000 SH           SOLE                       9,000

                                                     1,607,012