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, 2010
                                               -----------------------

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

Institutional Investment Manager Filing this Report:

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

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

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

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Pawan Khemraj
         -------------------------------
Title:   Director, Investment Analytics and Reporting
         -------------------------------
Phone:   416-979-6192
         -------------------------------

Signature, Place, and Date of Signing:

   /s/ Pawan Khemraj                  Toronto, Ontario    August 6, 2010
   -------------------------------    -----------------   --------------
           [Signature]                  [City, State]        [Date]

Report Type (Check only one.):

/ / 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
    manager are reported in this report.)

/ / 13F NOTICE. (Check here if no holdings reported are in this report,
    and all holdings are reported by other reporting manager(s).)

/X/ 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

    Form 13F File Number        Name

    28-06597                    McLean Budden
       ---------------          ------------------------------------
    28-04968                    MFS
       ---------------          ------------------------------------



                             FORM 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                    2
                                        --------------------

Form 13F Information Table Entry Total:             283
                                        --------------------

Form 13F Information Table Value Total:    US$1,908,575
                                        --------------------
                                            (thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

    No.       Form 13F File Number     Name

      1       28-12046                 Sun Capital Advisers LLC
    ------       -----------------     ------------------------------------
      2       28-12047                 Sun Life Assurance Company of Canada
    ------       -----------------     ------------------------------------



                      FORM 13F INFORMATION TABLE



        COLUMN 1          COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5       COLUMN 6   COLUMN 7              COLUMN 8
------------------------ ---------- ------------ --------- -------------------- ---------- ---------- -----------------------------
                          TITLE OF                 VALUE    SHRS OR    SH/ PUT/ INVESTMENT   OTHER           VOTING AUTHORITY
     NAME OF ISSUER         CLASS       CUSIP     (x$1000)  PRN AMT    PRN CALL DISCRETION  MANAGERS    SOLE     SHARED      NONE
------------------------ ---------- ------------ --------- ----------- --- ---- ---------- ---------- -------- ------------ -------
                                                                                           
3M Corporation             COM         88579Y101     3,499      44,293  SH       SHARED       1                          44,293
3M Corporation             COM         88579Y101     1,340      16,958  SH       SHARED       2                          16,958
Acme Packet Inc            COM         004764106     3,064     113,987  SH       SHARED       1                         113,987
Acme Packet Inc            COM         004764106     1,237      46,017  SH       SHARED       2                          46,017
AERCAP HOLDINGS NV         COM           B1HHKD3     1,745     168,096  SH       SHARED       1                         168,096
AERCAP HOLDINGS NV         COM           B1HHKD3       692      66,676  SH       SHARED       2                          66,676
AES Corporation            COM         00130H105     1,039     112,402  SH       SHARED       2                         112,402
Alcatel Sa-sponsored Adr   COM         013904305     6,152   2,421,973  SH       SHARED       1                       2,421,973
Alcatel Sa-sponsored Adr   COM         013904305     2,467     971,278  SH       SHARED       2                         971,278
Alexandria Real Estate
 Equit                     COM         015271109     5,495      86,709  SH       SHARED       1                          86,709
Alexandria Real Estate
 Equit                     COM         015271109       364       5,741  SH       SHARED       2                           5,741
Altria Group Inc           COM         02209S103     1,246      62,166  SH       SHARED       1                          62,166
Altria Group Inc           COM         02209S103       476      23,742  SH       SHARED       2                          23,742
Amgen Inc                  COM         031162100     3,635      69,102  SH       SHARED       1                          69,102
Amgen Inc                  COM         031162100     1,389      26,401  SH       SHARED       2                          26,401
Archer Daniels Midland
 Co                        COM         039483102     3,289     127,380  SH       SHARED       1                         127,380
Archer Daniels Midland
 Co                        COM         039483102     2,351      91,058  SH       SHARED       2                          91,058
Arlington Street CDO Ltd   COM         041764200         -   3,650,000  SH       SHARED       1                       3,650,000
AT&T Inc                   COM         00206R102     1,644      67,974  SH       SHARED       2                          67,974
Atrium European Real
 Estate                    COM           B3DCF75     9,130   2,100,361  SH       SHARED       1                       2,100,361
AvalonBay Communities
 Inc                       COM         053484101     1,666      17,843  SH       SHARED       1                          17,843
AvalonBay Communities
 Inc                       COM         053484101       237       2,541  SH       SHARED       2                           2,541
Bank of America Corp       COM         060505104     1,639     114,063  SH       SHARED       2                         114,063
BANK OF NEW YORK MELLON
 CORP                      COM         064058100     4,158     168,418  SH       SHARED       1                         168,418
Baxter International Inc   COM         071813109     3,052      75,094  SH       SHARED       1                          75,094
Baxter International Inc   COM         071813109     1,214      29,876  SH       SHARED       2                          29,876
Beni Stabili Spa           COM           5808135     1,301   1,702,107  SH       SHARED       1                       1,702,107
Berkeley Street CDO Ltd    COM         084373208         -   1,650,000  SH       SHARED       1                       1,650,000
Best Buy Company Inc       COM         086516101     3,294      97,277  SH       SHARED       1                          97,277
Best Buy Company Inc       COM         086516101     1,151      33,991  SH       SHARED       2                          33,991
Big Yellow Group Plc       COM           0286941     2,232     504,521  SH       SHARED       1                         504,521
BIOMED REALTY TRUST INC    COM         09063H107    12,139     754,437  SH       SHARED       1                         754,437
BIOMED REALTY TRUST INC    COM         09063H107       352      21,868  SH       SHARED       2                          21,868
Boeing Company             COM         097023105     3,069      48,911  SH       SHARED       1                          48,911
Boeing Company             COM         097023105     1,174      18,717  SH       SHARED       2                          18,717
Boston Properties Inc      COM         101121101     6,860      96,155  SH       SHARED       1                          96,155
Boston Properties Inc      COM         101121101       393       5,506  SH       SHARED       2                           5,506
Boston Scientific          COM         101137107     5,510     950,000  SH       SHARED       1                         950,000
Boston Scientific Corp     COM         101137107     2,926     504,555  SH       SHARED       2                         504,555
BR Malls Participacoes
 SA                        COM           B1RYG58     8,106     622,127  SH       SHARED       1                         622,127
Bristol-Myers Squibb       COM         110122108     3,455     138,544  SH       SHARED       1                         138,544
Bristol-Myers Squibb       COM         110122108     1,323      53,038  SH       SHARED       2                          53,038
British Land Co Plc        COM           0136701     4,913     754,574  SH       SHARED       1                         754,574
CAPITALAND LTD             COM           6309303     6,186   2,404,034  SH       SHARED       1                       2,404,034
CapLease Inc               COM         140288101     5,441   1,180,343  SH       SHARED       1                       1,180,343
CapLease Inc               COM         140288101       174      37,698  SH       SHARED       2                          37,698
CCG Commercial Pool II
 Inc                       COM         12501RAF6     2,084       1,000  SH       SHARED       1                           1,000
Centro Properties Group    COM      AU000000CNP0       266   2,035,175  SH       SHARED       1                       2,035,175
CFS RETAIL PROPERTY
 TRUST                     COM           6361370     6,931   4,366,522  SH       SHARED       1                       4,366,522
Charles Schwab Corp./The   COM         808513105     2,581     182,036  SH       SHARED       1                         182,036
Charles Schwab Corp./The   COM         808513105     1,031      72,719  SH       SHARED       2                          72,719
Chevron Corporation        COM         166764100    11,340     167,102  SH       SHARED       1                         167,102
Chevron Corporation        COM         166764100     2,931      43,192  SH       SHARED       2                          43,192
Citigroup Inc              COM         172967101     3,391     901,810  SH       SHARED       1                         901,810
Citigroup Inc              COM         172967101     1,373     365,249  SH       SHARED       2                         365,249
Coca-Cola Company          COM         191216100     3,145      62,752  SH       SHARED       1                          62,752
Coca-Cola Company          COM         191216100     1,189      23,733  SH       SHARED       2                          23,733
Comcast Corp               COM         20030N101     3,461     199,260  SH       SHARED       1                         199,260
Comcast Corp               COM         20030N101     1,395      80,302  SH       SHARED       2                          80,302
ConocoPhillips             COM         20825C104     5,982     121,854  SH       SHARED       1                         121,854
ConocoPhillips             COM         20825C104     1,121      22,841  SH       SHARED       2                          22,841
CORIO NV                   COM           4929286     6,249     127,880  SH       SHARED       1                         127,880
Cosi Inc                   COM         22122P101       723     996,776  SH       SHARED       1                         996,776
Cosi Inc                   COM         22122P101       280     385,742  SH       SHARED       2                         385,742
Cousins Properties Inc.    COM         222795106     4,551     675,182  SH       SHARED       1                         675,182
Cousins Properties Inc.    COM         222795106       165      24,422  SH       SHARED       2                          24,422
CREST Dartmouth Street
 2003-1                    COM         226065209        52   2,580,000  SH       SHARED       1                       2,580,000
CREST Exeter St Solar
 2004-1                    COM         22606R201     1,983   4,000,000  SH       SHARED       1                       4,000,000
CVS Caremark Corporation   COM         126650100     2,625      89,534  SH       SHARED       1                          89,534
CVS Caremark Corporation   COM         126650100     1,172      39,986  SH       SHARED       2                          39,986
Delta Air Lines Inc        COM         247361702     1,787     152,095  SH       SHARED       1                         152,095
DIGITAL REALTY TRUST INC   COM         253868103    11,777     204,181  SH       SHARED       1                         204,181
DIGITAL REALTY TRUST INC   COM         253868103       455       7,888  SH       SHARED       2                           7,888
Douglas Emmett Inc-w/i     COM         25960P109     3,395     238,734  SH       SHARED       1                         238,734
Douglas Emmett Inc-w/i     COM         25960P109       135       9,481  SH       SHARED       2                           9,481
Dow Chemical Company       COM         260543103     2,517     106,094  SH       SHARED       1                         106,094
Dow Chemical Company       COM         260543103     1,017      42,892  SH       SHARED       2                          42,892
DPL Inc                    COM         233293109     2,843     118,951  SH       SHARED       1                         118,951
Duke Energy Corp           COM         26441C105     2,392     149,523  SH       SHARED       1                         149,523
Duke Realty Corp           COM         264411505     4,266     375,852  SH       SHARED       1                         375,852
Duke Realty Corp           COM         264411505       220      19,342  SH       SHARED       2                          19,342
Dupont (EI) Nemours and
 Co                        COM         263534109     3,037      87,799  SH       SHARED       1                          87,799
Dupont (EI) Nemours and
 Co                        COM         263534109     1,161      33,554  SH       SHARED       2                          33,554
DuPont Fabros Technology
 Inc                       COM         26613Q106     8,256     336,156  SH       SHARED       1                         336,156
DuPont Fabros Technology
 Inc                       COM         26613Q106       256      10,443  SH       SHARED       2                          10,443
Electronic Arts Inc        COM         285512109     2,511     174,386  SH       SHARED       1                         174,386
Electronic Arts Inc        COM         285512109       999      69,404  SH       SHARED       2                          69,404
EMC Corp                   COM         268648102     3,428     187,318  SH       SHARED       1                         187,318
EMC Corp                   COM         268648102     1,386      75,736  SH       SHARED       2                          75,736
EMULEX CORP                COM         292475209     2,718     296,132  SH       SHARED       1                         296,132
EMULEX CORP                COM         292475209     1,054     114,867  SH       SHARED       2                         114,867
Entertainment Properties
 Trust                     COM         29380T105     7,244     190,272  SH       SHARED       1                         190,272
Entertainment Properties
 Trust                     COM         29380T105       173       4,547  SH       SHARED       2                           4,547
EQT Inc                    COM         26884L109     4,721     130,624  SH       SHARED       1                         130,624
EQT Inc                    COM         26884L109     1,832      50,681  SH       SHARED       2                          50,681
Equity Lifestyle
 Properties                COM         29472R108     7,604     157,651  SH       SHARED       1                         157,651
Equity Lifestyle
 Properties                COM         29472R108       252       5,216  SH       SHARED       2                           5,216
Equity Residential
 Properties                COM         29476L107     5,160     123,928  SH       SHARED       1                         123,928
Equity Residential
 Properties                COM         29476L107       431      10,342  SH       SHARED       2                          10,342
Exelon Corporation         COM         30161N101       877      23,110  SH       SHARED       2                          23,110
Exxon Mobil Corp           COM         30231G102     3,784      66,308  SH       SHARED       2                          66,308
Fairfield St Solar 04-1
 Ltd                       COM         304726201     2,365   6,500,000  SH       SHARED       1                       6,500,000
Federal Realty
 Investment Tr             COM         313747206     4,463      63,506  SH       SHARED       1                          63,506
Federal Realty
 Investment Tr             COM         313747206       315       4,489  SH       SHARED       2                           4,489
Fedex Corp                 COM         31428X106     2,176      31,037  SH       SHARED       1                          31,037
Fedex Corp                 COM         31428X106       832      11,861  SH       SHARED       2                          11,861
Frontier Communications
 Corp                      COM         35906A108     3,998     562,300  SH       SHARED       1                         562,300
General Electric Company   COM         369604103     4,759     330,032  SH       SHARED       1                         330,032
General Electric Company   COM         369604103     2,049     142,103  SH       SHARED       2                         142,103
Genworth Financial Inc.    COM         37247D106    14,197   1,086,200  SH       SHARED       1                       1,086,200
Genzyme Corp               COM         372917104     6,899     135,881  SH       SHARED       1                         135,881
Genzyme Corp               COM         372917104     2,765      54,469  SH       SHARED       2                          54,469
Goldman Sachs Group Inc    COM         38141G104     3,998      30,454  SH       SHARED       1                          30,454
Goldman Sachs Group Inc    COM         38141G104     1,526      11,624  SH       SHARED       2                          11,624
Goodman Group              COM           B03FYZ4     7,716   4,468,094  SH       SHARED       1                      14,468,094
HALOZYME THERAPEUTICS
 INC                       COM         40637H109     3,540     502,900  SH       SHARED       1                         502,900
HALOZYME THERAPEUTICS
 INC                       COM         40637H109     1,361     193,335  SH       SHARED       2                         193,335
Hammerson Plc              COM           0406501     7,325   1,425,758  SH       SHARED       1                       1,425,758
Hang Lung Properties       COM           6030506     6,241   1,612,063  SH       SHARED       1                       1,612,063
HCP Inc                    COM         40414L109     1,305      40,470  SH       SHARED       1                          40,470
HCP Inc                    COM         40414L109       182       5,655  SH       SHARED       2                           5,655
Hess Corp                  COM         42809H107     6,344     126,028  SH       SHARED       1                         126,028
Hess Corp                  COM         42809H107     1,123      22,311  SH       SHARED       2                          22,311
Hewlett Packard            COM         428236103     2,896      66,918  SH       SHARED       1                          66,918
Hewlett Packard            COM         428236103     1,152      26,608  SH       SHARED       2                          26,608
Home Properties Inc.       COM         437306103     8,126     180,302  SH       SHARED       1                         180,302
Home Properties Inc.       COM         437306103       312       6,929  SH       SHARED       2                           6,929
Honeywell International
 Inc                       COM         438516106     3,264      83,629  SH       SHARED       1                          83,629
Honeywell International
 Inc                       COM         438516106     1,249      32,012  SH       SHARED       2                          32,012
IBM Corp                   COM         459200101     3,490      28,261  SH       SHARED       1                          28,261
IBM Corp                   COM         459200101     1,388      11,237  SH       SHARED       2                          11,237
Intel Corp                 COM         458140100     3,388     174,212  SH       SHARED       1                         174,212
Intel Corp                 COM         458140100     1,209      62,148  SH       SHARED       2                          62,148
Intermec Inc               COM         458786100     3,315     323,387  SH       SHARED       1                         323,387
Intermec Inc               COM         458786100     1,318     128,579  SH       SHARED       2                         128,579
Intermec Inc               COM         458786100     3,331     325,000  SH       SHARED       1                         325,000
Intl Rectifier Corp.       COM         460254105     2,882     154,850  SH       SHARED       1                         154,850
Intl Rectifier Corp.       COM         460254105     1,153      61,981  SH       SHARED       2                          61,981
Ishares                    COM         464286699     2,193     170,000  SH       SHARED       1                         170,000
Ishares                    COM         464286707     2,654     141,100  SH       SHARED       1                         141,100
Ishares                    COM         464286806       570      30,700  SH       SHARED       1                          30,700
Ishares                    COM         464286822     1,284      26,950  SH       SHARED       1                          26,950
Ishares                    COM         464286848     8,354     909,006  SH       SHARED       1                         909,006
IShares MSCI EAFE          COM         464287465    19,945     428,838  SH       SHARED       2                         428,838
IShares MSCI UK Index
 fund                      COM         464286699     7,955     591,884  SH       SHARED       1                         591,884
Ishares Tr                 COM         464287465   194,593   4,183,890  SH       SHARED       1                       4,183,890
Japan Retail Fund
 Investment                COM           6513342     8,032       6,549  SH       SHARED       1                           6,549
JP Morgan Chase            COM         46625H100     6,472     176,787  SH       SHARED       1                         176,787
JP Morgan Chase            COM         46625H100     2,472      67,521  SH       SHARED       2                          67,521
Kayne Anderson ETR Fund,
 Inc.                      COM         48660P2#0    15,150     600,000  SH       SHARED       1                         600,000
Kayne Anderson MLP
 Investment                COM         4866062#2    15,150     600,000  SH       SHARED       1                         600,000
Kimberly-Clark Corp        COM         494368103     2,907      47,946  SH       SHARED       1                          47,946
Kimberly-Clark Corp        COM         494368103     1,097      18,098  SH       SHARED       2                          18,098
Kimco Realty Corp          COM         49446R109     6,078     452,233  SH       SHARED       1                         452,233
Kimco Realty Corp          COM         49446R109       426      31,697  SH       SHARED       2                          31,697
Klepierre                  COM           7582556     4,741     170,246  SH       SHARED       1                         170,246
Kraft Foods Inc            COM         50075N104     3,385     120,883  SH       SHARED       1                         120,883
Kraft Foods Inc            COM         50075N104     1,343      47,947  SH       SHARED       2                          47,947
Kroger Co                  COM         501044101     2,652     134,691  SH       SHARED       1                         134,691
Kroger Co                  COM         501044101     1,045      53,056  SH       SHARED       2                          53,056
Land Securities Group
 plc                       COM           3180943     6,039     723,385  SH       SHARED       1                         723,385
Lexington Realty Trust     COM         529043101     5,293     880,689  SH       SHARED       1                         880,689
Lexington Realty Trust     COM         529043101       229      38,162  SH       SHARED       2                          38,162
Link Reit                  COM           B0PB4M7    16,127   6,473,775  SH       SHARED       1                       6,473,775
Lockheed Martin Corp       COM         539830109     2,935      39,401  SH       SHARED       1                          39,401
Lockheed Martin Corp       COM         539830109     1,172      15,738  SH       SHARED       2                          15,738
Lowes Companies Inc        COM         548661107     2,633     128,963  SH       SHARED       1                         128,963
Lowes Companies Inc        COM         548661107     1,006      49,272  SH       SHARED       2                          49,272
Mack-Cali Realty Corp      COM         554489104     7,341     246,915  SH       SHARED       1                         246,915
Mack-Cali Realty Corp      COM         554489104       262       8,799  SH       SHARED       2                           8,799
Macy's Inc                 COM         55616P104     4,174     233,170  SH       SHARED       1                         233,170
Macy's Inc                 COM         55616P104     1,502      83,886  SH       SHARED       2                          83,886
Medical Properties Trust
 Inc                       COM         58463J304    10,499   1,112,141  SH       SHARED       1                       1,112,141
Medical Properties Trust
 Inc                       COM         58463J304       531      56,211  SH       SHARED       2                          56,211
Medtronic Inc              COM         585055106     6,602     182,020  SH       SHARED       1                         182,020
MERCIALYS                  COM           B0LMF87     6,486     227,550  SH       SHARED       1                         227,550
Merck & Co. Inc.           COM         58933Y105     7,149     204,433  SH       SHARED       1                         204,433
Merck & Co. Inc.           COM         58933Y105     2,492      71,259  SH       SHARED       2                          71,259
Merge Healthcare Inc       COM         589499102     1,994     680,426  SH       SHARED       2                         680,426
Microsoft Corp             COM         594918104     5,917     257,157  SH       SHARED       1                         257,157
Microsoft Corp             COM         594918104     2,396     104,140  SH       SHARED       2                         104,140
Mid-America Apartment
 Comm                      COM         59522J103     8,792     170,825  SH       SHARED       1                         170,825
Mid-America Apartment
 Comm                      COM         59522J103       336       6,531  SH       SHARED       2                           6,531
Mitsubishi Estate Co Ltd   COM           6596729     9,027     639,855  SH       SHARED       1                         639,855
Mitsui Fudosan Co Ltd      COM           6597603     8,648     610,995  SH       SHARED       1                         610,995
Morgan Stanley             COM         617446448     3,383     145,739  SH       SHARED       1                         145,739
Morgan Stanley             COM         617446448     1,268      54,651  SH       SHARED       2                          54,651
Motorola Inc               COM         620076109     4,532     695,150  SH       SHARED       1                         695,150
Motorola Inc               COM         620076109     1,995     305,995  SH       SHARED       2                         305,995
Mrv Communications Inc     COM         553477100     3,766   2,896,634  SH       SHARED       1                       2,896,634
Mrv Communications Inc     COM         553477100     1,532   1,178,210  SH       SHARED       2                       1,178,210
MRV Communications Inc     COM         553477100     7,043   5,417,703  SH       SHARED       1                       5,417,703
Nationwide Health Pptys
 Inc                       COM         638620104     4,926     137,701  SH       SHARED       1                         137,701
Nationwide Health Pptys
 Inc                       COM         638620104       471      13,164  SH       SHARED       2                          13,164
NCR Corp                   COM         62886E108     4,655     384,063  SH       SHARED       1                         384,063
NCR Corp                   COM         62886E108     1,859     153,375  SH       SHARED       2                         153,375
Nippon Building Fund
 Inc.                      COM           6396800     9,709       1,219  SH       SHARED       1                           1,219
NTT Urban Development
 Corp.                     COM           B031SG1     2,855       3,549  SH       SHARED       1                           3,549
Omnicare Inc               COM         681904108     1,914      80,759  SH       SHARED       1                          80,759
Omnicare Inc               COM         681904108     1,974      83,299  SH       SHARED       2                          83,299
Parkway Properties Inc     COM         70159Q104     7,800     535,357  SH       SHARED       1                         535,357
Parkway Properties Inc     COM         70159Q104       211      14,485  SH       SHARED       2                          14,485
Pepsico Inc                COM         713448108     3,660      60,054  SH       SHARED       1                          60,054
Pepsico Inc                COM         713448108     1,401      22,994  SH       SHARED       2                          22,994
Pfizer Inc                 COM         717081103     4,094     287,079  SH       SHARED       1                         287,079
Pfizer Inc                 COM         717081103     1,452     101,848  SH       SHARED       2                         101,848
Philip Morris
 International             COM         718172109     2,850      62,166  SH       SHARED       1                          62,166
Philip Morris
 International             COM         718172109     1,088      23,742  SH       SHARED       2                          23,742
Plum Creek Timber Co
 Common                    COM         729251108     7,480     216,633  SH       SHARED       1                         216,633
Plum Creek Timber Co
 Common                    COM         729251108       300       8,677  SH       SHARED       2                           8,677
Powershares QQQ Nasdaq
 100                       COM         73935A104    19,215     450,000  SH       SHARED       1                         450,000
Procter & Gamble Co        COM         742718109     5,444      90,770  SH       SHARED       1                          90,770
Procter & Gamble Co        COM         742718109     2,081      34,687  SH       SHARED       2                          34,687
PSP Swiss Property
 AG-REG                    COM           B012877     5,947      99,075  SH       SHARED       1                          99,075
Public Storage             COM         74460D109    12,448     141,602  SH       SHARED       1                         141,602
Public Storage             COM         74460D109       622       7,072  SH       SHARED       2                           7,072
Raytheon Co                COM         755111507     3,179      65,705  SH       SHARED       1                          65,705
Raytheon Co                COM         755111507     1,270      26,246  SH       SHARED       2                          26,246
Sears Holding Corp         COM         812350106     2,336      36,136  SH       SHARED       1                          36,136
Sears Holding Corp         COM         812350106       937      14,493  SH       SHARED       2                          14,493
Segro PLC                  COM           B5ZN1N8    10,985   2,895,666  SH       SHARED       1                       2,895,666
Silicon Graphics Int
 Corp                      COM         82706L108     6,367     940,500  SH       SHARED       1                         940,500
Silicone Graphics          COM         82706L108     6,168     871,123  SH       SHARED       1                         871,123
Silicone Graphics          COM         82706L108     2,393     337,932  SH       SHARED       2                         337,932
Simon Property Group Inc   COM         828806109    24,072     298,109  SH       SHARED       1                         298,109
Simon Property Group Inc   COM         828806109     1,138      14,088  SH       SHARED       2                          14,088
SL Green Realty Corp       COM         78440X101     3,777      68,619  SH       SHARED       1                          68,619
SL Green Realty Corp       COM         78440X101       248       4,511  SH       SHARED       2                           4,511
Solar Invest Grade CBO
 Ltd II                    COM         83415J301         -       9,250  SH       SHARED       1                           9,250
SPDR S&P 500 ETF Trust     COM         78462F103     3,467      33,589  SH       SHARED       1                          33,589
SPDR S&P 500 ETF Trust     COM         78462F103     2,120      20,540  SH       SHARED       2                          20,540
SPDR S&P 500 ETF Trust     COM         78462F103   655,338   6,348,948  SH       SHARED       1                       6,348,948
Starwood Property Trust
 Inc                       COM         85571B105     7,115     419,785  SH       SHARED       1                         419,785
Starwood Property Trust
 Inc                       COM         85571B105       332      19,602  SH       SHARED       2                          19,602
State Street Bank &
 Trust Co                  COM         857477103     2,608      77,116  SH       SHARED       1                          77,116
State Street Bank &
 Trust Co                  COM         857477103     1,034      30,577  SH       SHARED       2                          30,577
Stockland                  COM           6850856     9,954   3,185,848  SH       SHARED       1                       3,185,848
Sun Hung Kai Properties    COM           6859927    17,966   1,302,727  SH       SHARED       1                       1,302,727
Talisman Energy Inc        COM         87425E103     2,907     191,507  SH       SHARED       1                         191,507
Talisman Energy Inc        COM         87425E103     1,086      71,536  SH       SHARED       2                          71,536
Target Corp                COM         87612E106     2,988      60,771  SH       SHARED       1                          60,771
Target Corp                COM         87612E106     1,122      22,817  SH       SHARED       2                          22,817
Technicolor SA             COM      FR0000184533       799   1,417,170  SH       SHARED       1                       1,417,170
Technicolor SA             COM      FR0010891077     1,342   2,034,084  SH       SHARED       1                       2,034,084
Technicolor SA             COM      FR0010891101       423     650,910  SH       SHARED       1                         650,910
Technicolor SA             COM      FR0010891135       885   1,383,180  SH       SHARED       1                       1,383,180
Telabs Inc                 COM         879664100     6,502   1,017,484  SH       SHARED       1                       1,017,484
Telabs Inc                 COM         879664100     2,309     361,299  SH       SHARED       2                         361,299
Tokyo Tatemono Co. LTD     COM           6895426     2,242     715,497  SH       SHARED       1                         715,497
Travelers Cos Inc          COM         89417E109     4,475      90,856  SH       SHARED       1                          90,856
Travelers Cos Inc          COM         89417E109     1,655      33,606  SH       SHARED       2                          33,606
Unibail Rodamco SE         COM           7076242    14,471      87,783  SH       SHARED       1                          87,783
United Technologies Corp   COM         913017109     3,972      61,194  SH       SHARED       1                          61,194
United Technologies Corp   COM         913017109     1,520      23,417  SH       SHARED       2                          23,417
Unitedhealth Group Inc     COM         91324P102     2,305      81,167  SH       SHARED       1                          81,167
Unitedhealth Group Inc     COM         91324P102       882      31,073  SH       SHARED       2                          31,073
UnumProvident Corp         COM         91529Y106     5,598     257,957  SH       SHARED       1                         257,957
UnumProvident Corp         COM         91529Y106     2,250     103,703  SH       SHARED       2                         103,703
US Bancorp                 COM         902973304     3,068     137,274  SH       SHARED       1                         137,274
US Bancorp                 COM         902973304     1,242      55,572  SH       SHARED       2                          55,572
Ventas Inc                 COM         92276F100    10,151     216,213  SH       SHARED       1                         216,213
Ventas Inc                 COM         92276F100       565      12,041  SH       SHARED       2                          12,041
Verizon Communications
 Inc                       COM         92343V104     6,812     243,124  SH       SHARED       1                         243,124
Verizon Communications
 Inc                       COM         92343V104     2,189      78,138  SH       SHARED       2                          78,138
Viacom Inc-class B         COM         92553P201     3,109      99,121  SH       SHARED       1                          99,121
Viacom Inc-class B         COM         92553P201     1,188      37,878  SH       SHARED       2                          37,878
Vicor Corp                 COM         925815102     4,477     358,453  SH       SHARED       1                         358,453
Vicor Corp                 COM         925815102     1,750     140,145  SH       SHARED       2                         140,145
Vicor Corp                 COM         925815102     7,230     579,783  SH       SHARED       1                         579,783
Vornado Realty Trust       COM         929042109    13,388     183,522  SH       SHARED       1                         183,522
Vornado Realty Trust       COM         929042109       687       9,420  SH       SHARED       2                           9,420
Wal-Mart Stores Inc        COM         931142103     3,609      75,073  SH       SHARED       1                          75,073
Wal-Mart Stores Inc        COM         931142103     1,378      28,672  SH       SHARED       2                          28,672
Walt Disney Co             COM         254687106     4,057     128,792  SH       SHARED       1                         128,792
Walt Disney Co             COM         254687106     1,637      51,975  SH       SHARED       2                          51,975
Wells Fargo & Co           COM         949746101     5,703     222,784  SH       SHARED       1                         222,784
Wells Fargo & Co           COM         949746101     2,170      84,772  SH       SHARED       2                          84,772
Westfield Group            COM           B01BTX7    21,236   2,075,874  SH       SHARED       1                       2,075,874
Weyerhaeuser Co            COM         962166104    13,107     372,366  SH       SHARED       1                         372,366
Weyerhaeuser Co            COM         962166104     1,589      45,145  SH       SHARED       2                          45,145
WHARF HOLDINGS LTD         COM           6435576     5,688   1,161,080  SH       SHARED       1                       1,161,080
Williams Companies Inc     COM         969457100     2,898     158,508  SH       SHARED       1                         158,508
Williams Companies Inc     COM         969457100     1,171      64,033  SH       SHARED       2                          64,033
                                                 1,908,575 140,724,802