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

                                  Form 13F

                             Form 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2006
                                               ------------------

Check Here if Amendment / /; Amendment Number:
                                               ---------
This Amendment (Check only one.):    / / is a restatement.
                                     / / adds new holdings entries.

Institutional Investment Manager Filing this Report:

   Name:         Sun Life Financial Inc.
                 ------------------------------------
   Address:      150 King Street West
                 ------------------------------------
                 Toronto, Ontario, Canada, M5H 1J9
                 ------------------------------------

                 ------------------------------------

Form 13F File Number: 28-05799
                      -------------------------------

    The institutional investment manager filing this report and the person by
whom it is signed hereby represent that the person signing the report is
authorized to submit it, that all information contained herein is true,
correct and complete, and that it is understood that all required items,
statements, schedules, lists, and tables, are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:    James M. A. Anderson
         -----------------------------------------------------
Title:   Executive Vice-President and Chief Investment Officer
         -----------------------------------------------------
Phone:
         -----------------------------------------------------

Signature, Place, and Date of Signing:

/s/ James M. A. Anderson           Ontario, Canada      8-14-2006
-------------------------------    ------------------   --------------
[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:                           299
                                                           --------------------

Form 13F Information Table Value Total:                   $ 2,120,177
                                                           --------------------
                                                                (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, 2006




      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
ABBOTT LABS               COM              002824100   4,832    110,802 SH           SOLE                                   110,802
ALBERTO CULVER CO         COM              013068101   5,179    106,302 SH           SOLE                                   106,302
ALEXANDRIA REAL ESTATE
 EQ IN                    COM              015271109  16,862    190,144 SH           SOLE                                   190,144
ALLSTATE CORP             COM              020002101   4,960     90,618 SH           SOLE                                    90,618
ALTRIA GROUP INC          COM              02209S103   6,352     86,501 SH           SOLE                                    86,501
AMERICAN EXPRESS CO       COM              025816109   7,145    134,245 SH           SOLE                                   134,245
ANHEUSER BUSCH COS INC    COM              035229103   5,404    118,544 SH           SOLE                                   118,544
APPLE COMPUTER INC        COM              037833100   4,693     81,952 SH           SOLE                                    81,952
APPLIED MATLS INC         COM              038222105   4,780    293,584 SH           SOLE                                   293,584
ARCHSTONE SMITH TR        COM              039583109  15,187    298,548 SH           SOLE                                   298,548
AVALONBAY CMNTYS INC      COM              053484101  10,738     97,068 SH           SOLE                                    97,068
BANK OF AMERICA
 CORPORATION              COM              060505104  10,386    215,933 SH           SOLE                                   215,933
BAXTER INTL INC           COM              071813109   4,705    128,000 SH           SOLE                                   128,000
BIOGEN IDEC INC           COM              09062X103   4,992    107,772 SH           SOLE                                   107,772
BOEING CO                 COM              097023105   5,578     68,100 SH           SOLE                                    68,100
BOOKHAM INC               COM              09856E105   3,202    953,080 SH           SOLE                                   953,080
BP PLC                    SPONSORED ADR    055622104  10,337    148,500 SH           SOLE                                   148,500
BRE PROPERTIES INC        CL A             05564E106  17,524    318,618 SH           SOLE                                   318,618
BRISTOL MYERS SQUIBB CO   COM              110122108   4,931    190,690 SH           SOLE                                   190,690
CAPITALSOURCE INC         COM              14055X102  16,739    713,498 SH           SOLE                                   713,498
CHEVRON CORP NEW          COM              166764100  11,022    177,603 SH           SOLE                                   177,603
CISCO SYS INC             COM              17275R102   5,613    287,426 SH           SOLE                                   287,426
CITIGROUP INC             COM              172967101  11,090    229,850 SH           SOLE                                   229,850
COCA COLA CO              COM              191216100   4,685    108,900 SH           SOLE                                   108,900
COMCAST CORP NEW          CL A             20030N101   5,597    170,950 SH           SOLE                                   170,950
CONOCOPHILLIPS            COM              20825C104   5,439     83,000 SH           SOLE                                    83,000
DEVELOPERS DIVERSIFIED
 RLTY                     COM              251591103  15,805    302,896 SH           SOLE                                   302,896
DISNEY WALT CO            COM DISNEY       254687106   4,178    139,250 SH           SOLE                                   139,250
DOMINION RES INC VA NEW   COM              25746U109   4,600     61,500 SH           SOLE                                    61,500
DOW CHEM CO               COM              260543103   4,342    111,250 SH           SOLE                                   111,250
DU PONT E I DE
 NEMOURS & CO             COM              263534109   5,084    122,200 SH           SOLE                                   122,200
DUKE ENERGY CORP          COM              26441C105   4,801    163,476 SH           SOLE                                   163,476
E M C CORP MASS           COM              268648102     114     10,407 SH           SOLE                                    10,407





                                                                                         
EASTGROUP PPTY INC        COM              277276101  10,944    234,444 SH           SOLE                                   234,444
EASTMAN KODAK CO          COM              277461109   4,208    176,954 SH           SOLE                                   176,954
EBAY INC                  COM              278642103   4,445    151,742 SH           SOLE                                   151,742
EMERSON ELEC CO           COM              291011104   4,874     58,159 SH           SOLE                                    58,159
EQUITY OFFICE PROPERTIES
 TRU                      COM              294741103  14,579    399,314 SH           SOLE                                   399,314
EQUITY RESIDENTIAL        SH BEN INT       29476L107  10,214    228,348 SH           SOLE                                   228,348
EXELON CORP               COM              30161N101   4,788     84,250 SH           SOLE                                    84,250
EXXON MOBIL CORP          COM              30231G102  17,451    284,453 SH           SOLE                                   284,453
FEDERAL HOME LN MTG CORP  COM              313400301   4,726     82,890 SH           SOLE                                    82,890
FEDERAL REALTY INVT TR    SH BEN INT NEW   313747206     436      6,230 SH           SOLE                                     6,230
FEDERATED DEPT STORES
 INC DE                   COM              31410H101   4,934    134,800 SH           SOLE                                   134,800
FINISAR                   COM              31787A101   4,453  1,361,840 SH           SOLE                                 1,361,840
GENENTECH INC             COM NEW          368710406   4,915     60,080 SH           SOLE                                    60,080
GENERAL ELECTRIC CO       COM              369604103  21,076    639,454 SH           SOLE                                   639,454
GOLDMAN SACHS GROUP INC   COM              38141G104   6,373     42,366 SH           SOLE                                    42,366
GOOGLE INC                CL A             38259P508   5,195     12,388 SH           SOLE                                    12,388
HCA INC                   COM              404119109   4,703    109,000 SH           SOLE                                   109,000
HEWLETT PACKARD CO        COM              428236103   6,022    190,090 SH           SOLE                                   190,090
HIGHWOODS PPTYS INC       COM              431284108   8,724    241,128 SH           SOLE                                   241,128
HILTON HOTELS CORP        COM              432848109   7,216    255,166 SH           SOLE                                   255,166
HONEYWELL INTL INC        COM              438516106   4,693    116,450 SH           SOLE                                   116,450
HOST MARRIOTT CORP NEW    COM              44107P104  11,097    507,422 SH           SOLE                                   507,422
INTERNATIONAL BUSINESS
 MACHS                    COM              459200101   5,550     72,250 SH           SOLE                                    72,250
INTL PAPER CO             COM              460146103   4,587    142,000 SH           SOLE                                   142,000
ISHARES INC               MSCI BELGIUM     464286301     279     12,969 SH           SOLE                                    12,969
ISHARES INC               MSCI SINGAPORE   464286673     297     33,739 SH           SOLE                                    33,739
ISHARES INC               MSCI HONG KONG   464286871     910     67,290 SH           SOLE                                    67,290
ISHARES INC               MSCI ITALY       464286855   1,086     37,121 SH           SOLE                                    37,121
ISHARES INC               MSCI SWEDEN      464286756   1,272     50,258 SH           SOLE                                    50,258
ISHARES INC               MSCI SPAIN       464286764   1,335     31,549 SH           SOLE                                    31,549
ISHARES INC               MSCI NETHERLND   464286814   1,352     59,958 SH           SOLE                                    59,958
ISHARES INC               MSCI AUSTRALIA   464286103   1,525     73,498 SH           SOLE                                    73,498
ISHARES INC               MSCI GERMAN      464286806   1,880     81,933 SH           SOLE                                    81,933
ISHARES INC               MSCI SWITZERLD   464286749   1,943     91,331 SH           SOLE                                    91,331
ISHARES INC               MSCI FRANCE      464286707   2,567     85,725 SH           SOLE                                    85,725
ISHARES INC               MSCI JAPAN       464286848   6,378    467,581 SH           SOLE                                   467,581
ISHARES INC               MSCI UTD KINGD   464286699   7,146    339,492 SH           SOLE                                   339,492
ISTAR FINL INC            COM              45031U101  11,116    294,451 SH           SOLE                                   294,451
JDS UNIPHASE CORP         COM              46612J101   3,154  1,246,527 SH           SOLE                                 1,246,527
JOHNSON & JOHNSON         COM              478160104   7,590    126,675 SH           SOLE                                   126,675
JP MORGAN CHASE & CO      COM              46625H100  10,332    246,000 SH           SOLE                                   246,000
JUNIPER NETWORKS INC      COM              48203R104     158      9,900 SH           SOLE                                     9,900





                                                                                         
KIMBERLY CLARK CORP       COM              494368103   5,206     84,376 SH           SOLE                                    84,376
KIMCO REALTY CORP         COM              49446R109  14,101    386,424 SH           SOLE                                   386,424
LEAPFROG ENTERPRISES INC  CL A             52186N106   4,763    471,600 SH           SOLE                                   471,600
LILLY ELI & CO            COM              532457108   5,120     92,635 SH           SOLE                                    92,635
LOWES COS INC             COM              548661107   4,629     76,300 SH           SOLE                                    76,300
MACERICH CO               COM              554382101  17,674    251,766 SH           SOLE                                   251,766
MEDICAL PPTYS TRUST INC   COM              58463J304  13,001  1,177,628 SH           SOLE                                 1,177,628
MERCK & CO INC            COM              589331107   5,142    141,150 SH           SOLE                                   141,150
MERRILL LYNCH & CO INC    COM              590188108   5,478     78,757 SH           SOLE                                    78,757
METLIFE INC               COM              59156R108   4,786     93,460 SH           SOLE                                    93,460
MOTOROLA INC              COM              620076109   4,633    229,932 SH           SOLE                                   229,932
MRV COMMUNICATIONS INC    COM              553477100   9,294  2,988,402 SH           SOLE                                 2,988,402
NAUTILUS INC              COM              63910B102   4,715    300,150 SH           SOLE                                   300,150
NEW YORK CMNTY
 BANCORP INC              COM              649445103  18,409  1,115,047 SH           SOLE                                 1,115,047
ORACLE CORP               COM              68389X105   5,719    394,700 SH           SOLE                                   394,700
PENNSYLVANIA RL
 ESTATE INVT              SH BEN INT       709102107  10,587    262,241 SH           SOLE                                   262,241
PEPSICO INC               COM              713448108   5,021     83,629 SH           SOLE                                    83,629
PROLOGIS                  SH BEN INT       743410102  13,256    254,332 SH           SOLE                                   254,332
PRUDENTIAL FINL INC       COM              744320102   9,584    123,343 SH           SOLE                                   123,343
PUBLIC STORAGE INC        COM              74460D109     977     12,878 SH           SOLE                                    12,878
QUALCOMM INC              COM              747525103   4,083    101,900 SH           SOLE                                   101,900
RAYTHEON CO               COM NEW          755111507   4,998    112,133 SH           SOLE                                   112,133
RECKSON ASSOCS RLTY CORP  COM              75621K106  13,428    324,510 SH           SOLE                                   324,510
REGENCY CTRS CORP         COM              758849103  11,027    177,424 SH           SOLE                                   177,424
SCHERING PLOUGH CORP      COM              806605101   5,018    263,680 SH           SOLE                                   263,680
SHURGARD STORAGE CTRS INC COM              82567D104   9,003    144,048 SH           SOLE                                   144,048
SIMON PPTY GROUP INC NEW  COM              828806109  16,911    203,891 SH           SOLE                                   203,891
SL GREEN RLTY CORP        COM              78440X101  15,772    144,077 SH           SOLE                                   144,077
SPDR TR                   UNIT SER 1       78462F103     509      4,000 SH           SOLE                                     4,000
SYMANTEC CORP             COM              871503108   4,879    313,983 SH           SOLE                                   313,983
TEXAS INSTRS INC          COM              882508104   4,753    156,900 SH           SOLE                                   156,900
TIME WARNER INC           COM              887317105   5,610    324,250 SH           SOLE                                   324,250
TYCO INTL LTD NEW         COM              902124106   5,265    191,450 SH           SOLE                                   191,450
UNITED PARCEL SERVICE INC CL B             911312106   5,471     66,450 SH           SOLE                                    66,450
UNITED TECHNOLOGIES CORP  COM              913017109   5,403     85,200 SH           SOLE                                    85,200
VERIZON COMMUNICATIONS    COM              92343V104  15,649    467,275 SH           SOLE                                   467,275
VIACOM INC NEW            CL B             92553P201   4,558    127,190 SH           SOLE                                   127,190
VORNADO RLTY TR           SH BEN INT       929042109  16,834    172,572 SH           SOLE                                   172,572
WACHOVIA CORP 2ND NEW     COM              929903102   7,306    135,101 SH           SOLE                                   135,101
WAL MART STORES INC       COM              931142103   5,032    104,464 SH           SOLE                                   104,464
WALGREEN CO               COM              931422109   4,996    111,410 SH           SOLE                                   111,410
WELLPOINT INC             COM              94973V107   4,853     66,690 SH           SOLE                                    66,690





                                                                                           
WELLS FARGO & CO NEW      COM              949746101  10,386  154,826   SH           SOLE                                   154,826
WYETH                     COM              983024100   4,806  108,225   SH           SOLE                                   108,225

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

Agco Corp                 COM              001084102   2,453   93,200   SH           SOLE                                    93,200
ATI Technologies Inc      COM              001941103     617   42,500   SH           SOLE                                    42,500
AT&T Inc                  COM              00206R102   5,578  200,000   SH           SOLE                                   200,000
Abbot Laboratories        COM              002824100      48    1,100   SH           SOLE                                     1,100
Aber Diamond Corporation  COM              002893105     481   15,701   SH           SOLE                                    15,701
Abitibi-Consolidated Inc  COM              003924107     366  135,700   SH           SOLE                                   135,700
Agnico-Eagle Mines Ltd    COM              008474108     477   14,400   SH           SOLE                                    14,400
Agrium Inc                COM              008916108     464   20,000   SH           SOLE                                    20,000
Alcan Inc                 COM              013716105  11,455  244,675   SH           SOLE                                   244,675
Alcoa Inc                 COM              013817101   2,854   88,200   SH           SOLE                                    88,200
Alliance Atlantis
 Comm Inc                 COM              01853E204     223    7,600   SH           SOLE                                     7,600
Allied Irish Banks plc    COM              019228402   4,449   92,000   SH           SOLE                                    92,000
Altria Group              COM              02209S103   3,642   49,600   SH           SOLE                                    49,600
American Express Co       COM              025816109     213    4,000   SH           SOLE                                     4,000
American International
 Group                    COM              026874107   4,376   74,100   SH           SOLE                                    74,100
American Standard
 Companies                COM              029712106      37      850   SH           SOLE                                       850
Angiotech
 Pharmaceuticals Inc      COM              034918102     340   29,200   SH           SOLE                                    29,200
Apache Corporation        COM              037411105     990   14,500   SH           SOLE                                    14,500
Asahi Glass Co Ltd        COM              043393206   1,858   14,600   SH           SOLE                                    14,600
Aspreva Pharmaceuticals   COM              04538T109     251    9,256   SH           SOLE                                     9,256
Avery Dennison Corp       COM              053611109   1,753   30,200   SH           SOLE                                    30,200
BCE Inc                   COM              05534B109  15,572  659,302   SH           SOLE                                   659,302
BP PLC                    COM              055622104   3,515   50,500   SH           SOLE                                    50,500
Bank of America Corp      COM              060505104     135    2,800   SH           SOLE                                     2,800
Bank of Montreal          COM              063671101   7,061  131,307   SH           SOLE                                   131,307
Bank of Nova Scotia       COM              064149107  13,730  346,786   SH           SOLE                                   346,786
Barclays PLC              COM              06738E204   2,696   58,900   SH           SOLE                                    58,900
Barrick Gold Corp         COM              067901108  12,928  437,937   SH           SOLE                                   437,937
Biovail Corp              COM              09067J109     201    8,600   SH           SOLE                                     8,600
Boston Scientific         COM              101137107   7,391  438,900   SH           SOLE                                   438,900
Brookfield Asset Mgmt     COM              112585104     374    9,300   SH           SOLE                                     9,300
Brookfield Properties     COM              112900105     292    9,220   SH           SOLE                                     9,220
Burlington North Santa Fe COM              12189T104   1,791   22,600   SH           SOLE                                    22,600
CAE Inc                   COM              124765108     126   16,500   SH           SOLE                                    16,500
CHC Helicopter Corp       COM              12541C203     246   10,280   SH           SOLE                                    10,280
CIT Group Inc             COM              125581108      94    1,800   SH           SOLE                                     1,800





                                                                                           
CVS Corp                  COM              126650100     101    3,300   SH           SOLE                                     3,300
Cameco Corp               COM              13321L108     541   13,600   SH           SOLE                                    13,600
Cdn Imp Bank of Commerce  COM              136069101  12,590  188,224   SH           SOLE                                   188,224
Cdn National Railways     COM              136375102  11,829  270,953   SH           SOLE                                   270,953
Canadian Nat Resources
 Ltd                      COM              136385101   1,766   31,960   SH           SOLE                                    31,960
Canadian Pacific Railway  COM              13645T100   6,557  128,688   SH           SOLE                                   128,688
Canon Inc                 COM              138006309   3,165   43,200   SH           SOLE                                    43,200
Capital One Fin Corp      COM              14040H105      34      400   SH           SOLE                                       400
Cardiome Phara
 Corporation              COM              14159U202     493   55,700   SH           SOLE                                    55,700
Caterpillar Inc           COM              149123101     186    2,500   SH           SOLE                                     2,500
Cendant Corp              COM              151313103      49    3,000   SH           SOLE                                     3,000
Charles River Labs Int    COM              159864107     228    6,200   SH           SOLE                                     6,200
Chevron Corp              COM              166764100      62    1,000   SH           SOLE                                     1,000
Cisco Systems             COM              17275R102      74    3,800   SH           SOLE                                     3,800
Citigroup Inc             COM              172967101   4,419   91,600   SH           SOLE                                    91,600
Clear Channel Comm        COM              184502102     885   28,600   SH           SOLE                                    28,600
Colgate Palmolive         COM              194162103   2,755   46,000   SH           SOLE                                    46,000
Corus Entertainment       COM              220874101     195    6,000   SH           SOLE                                     6,000
Curtiss-Wright Corp       COM              231561101     216    7,000   SH           SOLE                                     7,000
Datamirror Corporation    COM              237926100     108   11,250   SH           SOLE                                    11,250
John Deere & Co.          COM              244199105     167    2,000   SH           SOLE                                     2,000
Diageo PLC                COM              25243Q205   5,586   82,700   SH           SOLE                                    82,700
Domtar Inc.               COM              257561100   2,429  393,690   SH           SOLE                                   393,690
Draxis Health Inc         COM              26150J101     104   23,400   SH           SOLE                                    23,400
Duke Energy Corporation   COM              26441C105   5,504  187,400   SH           SOLE                                   187,400
Eldorado Gold Corp        COM              284902103     460   94,800   SH           SOLE                                    94,800
EnCana Corporation        COM              292505104  22,500  427,522   SH           SOLE                                   427,522
Enbridge Inc              COM              29250N105   4,194  137,900   SH           SOLE                                   137,900
Exelon Corp               COM              30161N101   3,529   62,100   SH           SOLE                                    62,100
Extendicare Inc           COM              30224T871     126    5,600   SH           SOLE                                     5,600
Exxon Mobil Corp          COM              30231G102     184    3,000   SH           SOLE                                     3,000
Fairfax Financial         COM              303901102     249    2,623   SH           SOLE                                     2,623
Falconbridge Ltd          COM              306104100   2,097   39,830   SH           SOLE                                    39,830
Federal National Mtge
 Assoc                    COM              313586109     770   16,000   SH           SOLE                                    16,000
First Data Corp           COM              319963104      54    1,200   SH           SOLE                                     1,200
Fiserv Inc                COM              337738108      61    1,350   SH           SOLE                                     1,350
France Telecom
 SA-Spons ADR             COM              35177Q105   3,412  156,100   SH           SOLE                                   156,100
General Elec Co           COM              369604103  17,459  529,700   SH           SOLE                                   529,700
Gildan Activewear Inc     COM              375916103     510   10,800   SH           SOLE                                    10,800
Glamis Gold               COM              376775102     589   15,532   SH           SOLE                                    15,532
Glaxosmithkline Plc       COM              37733W105   2,706   48,500   SH           SOLE                                    48,500
Gold Fields Ltd           COM              38059T106   1,976   86,300   SH           SOLE                                    86,300





                                                                                         
Goldcorp Inc              COM              380956409   1,254     41,610 SH           SOLE                                    41,610
Group CGI                 COM              39945C109   4,984    799,800 SH           SOLE                                   799,800
HSBC Holdings Plc         COM              404280406   3,543     40,100 SH           SOLE                                    40,100
Halliburton Co            COM              406216101     275      3,700 SH           SOLE                                     3,700
Hewlett Packard Co        COM              428236103   1,837     58,000 SH           SOLE                                    58,000
Home Depot Inc            COM              437076102     179      5,000 SH           SOLE                                     5,000
Honeywell International
 Inc                      COM              438516106   2,797     69,400 SH           SOLE                                    69,400
Hydrogenics Corporation   COM              448882100      58     23,700 SH           SOLE                                    23,700
Imperial Oil Ltd          COM              453038408   4,305    117,900 SH           SOLE                                   117,900
Inco Ltd                  COM              453258402     513      7,800 SH           SOLE                                     7,800
Intel Corp                COM              458140100     190     10,000 SH           SOLE                                    10,000
I B M Corp                COM              459200101      73        950 SH           SOLE                                       950
IPSCO Inc                 COM              462622101     139      1,450 SH           SOLE                                     1,450
Ishares                   COM              464286608     838      9,500 SH           SOLE                                     9,500
Ishares                   COM              464286665   1,234     11,500 SH           SOLE                                    11,500
Ishares                   COM              464286699   2,758    131,000 SH           SOLE                                   131,000
Ishares                   COM              464286707   3,309    110,200 SH           SOLE                                   110,200
Ishares                   COM              464286806     722     31,500 SH           SOLE                                    31,500
Ishares                   COM              464286822   1,346     36,400 SH           SOLE                                    36,400
Ishares                   COM              464286848  11,117    815,000 SH           SOLE                                   815,000
Ishares Tr                COM              464287465 189,672  2,900,623 SH           SOLE                                 2,900,623
Johnson & Johnson         COM              478160104   2,852     47,600 SH           SOLE                                    47,600
Johnson Matthey PLC       COM              479142309   2,800     56,000 SH           SOLE                                    56,000
Kellogg Co                COM              487836108      77      1,600 SH           SOLE                                     1,600
Kimberly Clark            COM              494368103      35        575 SH           SOLE                                       575
Kohls Corporation         COM              500255104      41        700 SH           SOLE                                       700
Lilly (Eli) and Co        COM              532457108   2,769     50,100 SH           SOLE                                    50,100
Lincoln National Corp     COM              534187109      49        870 SH           SOLE                                       870
Lowe's Cos Inc            COM              548661107      42        700 SH           SOLE                                       700
MDS Inc                   COM              55269P302   4,992    274,000 SH           SOLE                                   274,000
MRV Communications Inc    COM              553477100  10,087  3,243,307 SH           SOLE                                 3,243,307
Magna International Inc   COM              559222401   7,332    102,830 SH           SOLE                                   102,830
Manulife Financial Corp   COM              56501R106  14,840    468,620 SH           SOLE                                   468,620
Masco Corp                COM              574599106      33      1,100 SH           SOLE                                     1,100
Methanex Corp             COM              59151K108     240     11,400 SH           SOLE                                    11,400
Microsoft Corp            COM              594918104   3,775    162,000 SH           SOLE                                   162,000
Mitsubishi UFJ Fin Group  COM              606822104   1,883    135,000 SH           SOLE                                   135,000
Monro Muffler Brake Inc   COM              610236101     195      6,000 SH           SOLE                                     6,000
Monsanto Co               COM              61166W101     505      6,000 SH           SOLE                                     6,000
Morgan Stanley Co         COM              617446448   1,757     27,800 SH           SOLE                                    27,800
Nasdaq 100                COM              631100104  13,823    357,000 SH           SOLE                                   357,000
Neurochem Inc             COM              64125K101     176     16,700 SH           SOLE                                    16,700





                                                                                         
New Gold Inc              COM              644535106      44      5,000 SH           SOLE                                     5,000
Nexen Inc                 COM              65334H102     872     15,490 SH           SOLE                                    15,490
Nippon Tel & Tel Co       COM              654624105   3,460    141,400 SH           SOLE                                   141,400
Nokia Corp                COM              654902204     162      8,000 SH           SOLE                                     8,000
Nomura Holdings Inc       COM              65535H208   4,542    241,600 SH           SOLE                                   241,600
Nortel Networks Corp      COM              656568102   3,002  1,352,190 SH           SOLE                                 1,352,190
North Am Palladium        COM              656912102     153     17,800 SH           SOLE                                    17,800
North Fork Bancorporation COM              659424105      63      2,100 SH           SOLE                                     2,100
Northgate Minerals Corp   COM              666416102     161     44,100 SH           SOLE                                    44,100
Nova Chemicals Corp       COM              66977W109   6,697    233,300 SH           SOLE                                   233,300
Novartis AG               COM              66987V109   3,095     57,400 SH           SOLE                                    57,400
Novelis Inc               COM              67000X106   4,348    203,515 SH           SOLE                                   203,515
PDL BioPharma Ic          COM              69329Y104     278     15,100 SH           SOLE                                    15,100
Pentair Inc               COM              709631105      51      1,500 SH           SOLE                                     1,500
Petro Canada Limited      COM              71644E102   2,615     55,140 SH           SOLE                                    55,140
Pfizer Inc                COM              717081103   5,886    250,800 SH           SOLE                                   250,800
Potash Corp of Sask Inc   COM              73755L107     368      4,300 SH           SOLE                                     4,300
Precision Drilling Trust  COM              740215108     306      9,200 SH           SOLE                                     9,200
Procter & Gamble Co       COM              742718109     222      4,000 SH           SOLE                                     4,000
Prudential Financial Inc  COM              744320102      70        900 SH           SOLE                                       900
Quebecor World Inc        COM              748203106   2,105    189,600 SH           SOLE                                   189,600
Reed Elsevier NV          COM              758204101   1,860     62,000 SH           SOLE                                    62,000
Research In Motion        COM              760975102   1,191     17,100 SH           SOLE                                    17,100
Rexam plc                 COM              761655406   2,793     57,000 SH           SOLE                                    57,000
Rogers Communication
 Class B                  COM              775109200     539     13,400 SH           SOLE                                    13,400
Royal Bank of Canada      COM              780087102  18,267    450,190 SH           SOLE                                   450,190
SPDR Trust                COM              78462F103 607,131  4,771,919 SH           SOLE                                 4,771,919
Siemens AG                COM              826197501   4,549     52,400 SH           SOLE                                    52,400
Sierra Wireless Inc       COM              826516106     200     11,153 SH           SOLE                                    11,153
Statoil ASA               COM              85771P102   1,027     36,000 SH           SOLE                                    36,000
Sun Life Financial Inc    COM              866796105   1,171     29,500 SH           SOLE                                    29,500
Suncor Energy Inc         COM              867229106   3,147     38,911 SH           SOLE                                    38,911
TLC Vision Corp           COM              872549100      58     12,800 SH           SOLE                                    12,800
Talisman Energy Inc       COM              87425E103   2,213    126,860 SH           SOLE                                   126,860
Telus Corp                COM              87971M202     676     16,766 SH           SOLE                                    16,766
Tesco Corp                COM              88157K101     189      9,200 SH           SOLE                                     9,200
Thomson Corp              COM              884903105   4,090    106,200 SH           SOLE                                   106,200
3M Company                COM              88579Y101   4,515     55,900 SH           SOLE                                    55,900
Time Warner Inc           COM              887317105   1,730    100,000 SH           SOLE                                   100,000
Tomkins PLC               COM              890030208   3,793    176,000 SH           SOLE                                   176,000
Toronto Dominion Bank     COM              891160509   9,645    190,063 SH           SOLE                                   190,063
Toyota Motor Corporation  COM              892331307   2,688     25,700 SH           SOLE                                    25,700





                                                                                           
TransAlta Corp            COM              89346D107   3,904    189,100 SH           SOLE                                   189,100
TransCanada Corp          COM              89353D107  11,573    405,826 SH           SOLE                                   405,826
TransGlobe Energy
 Corporation              COM              893662106      83     17,163 SH           SOLE                                    17,163
Tyco Intl Ltd             COM              902124106   3,935    143,100 SH           SOLE                                   143,100
United Technologies Corp  COM              913017109   2,067     32,600 SH           SOLE                                    32,600
UPM Kymmene Corporation   COM              915436109   2,617    121,800 SH           SOLE                                   121,800
Valero Energy Corp        COM              91913Y100     439      6,600 SH           SOLE                                     6,600
Verizon Comm              COM              92343V104   3,717    111,000 SH           SOLE                                   111,000
Viacom Inc                COM              92553P201   2,616     73,000 SH           SOLE                                    73,000
Vodafone Group Plc        COM              92857W100   1,661     78,000 SH           SOLE                                    78,000
Volvo AB                  COM              928856400   2,926     59,700 SH           SOLE                                    59,700
Wal Mart Stores Inc       COM              931142103   3,767     78,200 SH           SOLE                                    78,200
Wellpoint Inc             COM              94973V107      55        750 SH           SOLE                                       750
Wyeth                     COM              983024100   2,443     55,000 SH           SOLE                                    55,000
Zimmer Holdings Inc       COM              98956P102      57      1,000 SH           SOLE                                     1,000
Deutsche Bank AG          COM              D18190898   3,791     33,700 SH           SOLE                                    33,700
UBS AG                    COM              H8920M855   1,788     16,300 SH           SOLE                                    16,300
Check Point Software
 Tech Ltd                 COM              M22465104   1,253     71,200 SH           SOLE                                    71,200

                                                   2,120,177