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                                  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, 2006

If amended report check here:      |_|                    Amendment Number: ____

This Amendment (Check only one):   |_| is a restatement
                                   |_| adds new holding
                                       entries.

PRIOR FILINGS FOR THE NOMURA GROUP WERE REPORTED UNDER THE NAME NOMURA
SECURITIES COMPANY, WITH CIK NUMBER 0000110097.  SUBSEQUENT FILINGS WILL
BE MADE UNDER THE NAME NOMURA HOLDINGS, INC., CIK NUMBER 0001163653.
NOMURA HOLDINGS, INC. (NHI) IS THE PARENT HOLDING COMPANY OF A NUMBER
OF OPERATING SUBSIDIARIES, SOME OF WHICH ARE OR MAY BE INSTITUTIONAL
INVESTMENT MANAGERS FOR THE PURPOSES OF THE REPORTING REQUIREMENTS UNDER
SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 (THE ACT) AND THE RULES
PROMULGATED THEREUNDER.  NHI ITSELF DOES NOT DIRECTLY EXERCISE INVESTMENT
DISCRETION WITH RESPECT TO ANY SECTION 13(F) SECURITIES POSITIONS.  IN
THAT NHI'S OWNERSHIP INTEREST IN SUCH OPERATING SUBSIDIARIES IS DEEMED THE
EXERCISE OF INVESTMENT DISCRETION REGARDING CERTAIN OF SUCH SUBSIDIARIES'
MANAGED ACCOUNTS, THE INFORMATION REQUIRED BY FORM 13F IS REPORTED BY NHI
ON BEHALF OF CERTAIN OF NHI'S OPERATING SUBSIDIARIES WHICH ARE INSTITUTIONAL
INVESTMENT MANAGERS SUBJECT TO SECTION 13(F)OF THE ACT.

Nomura Holdings Inc.
--------------------------------------------------------------------------------
Name of Institutional Investment Manager

1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan
--------------------------------------------------------------------------------
Business Address         (Street)       (City)            (State)          (Zip)


13F File Number: 001-15270

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, and tables, are considered integral parts of this form.


Person Signing this Report on Behalf of Reporting Manager:

David A. Leibowitz             Head of Compliance and Surveillance 212-667-9387
--------------------------------------------------------------------------------
Name                               (Title)                            (Phone)


                                        /s/ David A.Leibowitz
                                      ------------------------------------------
                                           (Manual Signature of Person Duly
                                           Authorized to Submit This Report)

                                        New York, NY  November 15, 2006
                                      ------------------------------------------
                                              (Place and Date of Signing)


Report Type:

[ ]      13F HOLDINGS REPORT.

[ ]      13F NOTICE.

[X]      13F COMBINATION REPORT.





                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:       4

Form 13F Information Table Entry Total:  528

Form 13F Information Table Value Total: $10,206,352
                                         (thousands)



List of Other Included Managers:

Name and 13F file numbers of ALL Institutional  Investment Managers with respect
to which this schedule is filed (other than the one filing this  report):  (List
in alphabetical order).




   13F File No.: Name:
   ------------- ---------------------
6.  28-05739      Global Funds Management, S.A.
   ------------- ---------------------
2.  28-04985      Nomura International plc
   ------------- ---------------------
4.  28-04993      Nomura Securities (Bermuda)
   ------------- ---------------------
1.  28-04983      Nomura Securities International, Inc.
   ------------- ---------------------







1Page      1                                                                                                      06-01-31  16:19:43
                                     FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
                                                                                            
0        ACE LTD                           G0070K103     14,789 000000270235 SH       DEFINED 01         SOLE
         COOPER INDS LTD                   G24182100      6,482 000000076065 SH       DEFINED 01         SOLE
         INGERSOLL-RAND COMPANY  LTD       G4776G101     10,257 000000270070 SH       DEFINED 01         SOLE
         NABORS INDUSTRIES LTD             G6359F103      7,813 000000262641 SH       DEFINED 01         SOLE
         NOBLE CORPORATION                 G65422100      7,313 000000113960 SH       DEFINED 01         SOLE
         PXRE GROUP LTD                    G73018106        618 000000150100 SH       DEFINED 01         SOLE
         SINA CORP                         G81477104      1,072 000000042632 SH       DEFINED 02         SOLE
         TRANSOCEAN INC                    G90078109     19,469 000000265869 SH       DEFINED 01         SOLE
         WEATHERFORD INTERNATIO NAL LT     G95089101     11,995 000000287520 SH       DEFINED 01         SOLE
         XL CAP LTD                        G98255105     10,292 000000149814 SH       DEFINED 01         SOLE
         LIPMAN ELECTRONIC EN GINEERIN     M6772H101      3,151 000000111668 SH       DEFINED 01         SOLE
         A D C TELECOMMUNICATIO NS         000886309      1,462 000000097411 SH       DEFINED 01         SOLE
         ADE CORP MASS                     00089C107      4,703 000000146900 SH       DEFINED 01         SOLE
         AFLAC INC                         001055102     18,945 000000414026 SH       DEFINED 01         SOLE
         AES CORP                          00130H105     11,362 000000557260 SH       DEFINED 01         SOLE
         ATI TECHNOLOGIES INC              001941103      4,292 000000200000 SH       DEFINED 01         SOLE
         AT&T INC                          00206R102    105,529 000003241079 SH       DEFINED 01         SOLE
         ABBOTT LABS                       002824100     61,758 000001271790 SH       DEFINED 01         SOLE
         ADOBE SYS INC                     00724F101     18,325 000000489199 SH       DEFINED 01         SOLE
         ADVANCED MICRO DEVICES  INC       007903107     10,440 000000420168 SH       DEFINED 01         SOLE
         AETNA INC NEW                     00817Y108     17,999 000000455112 SH       DEFINED 01         SOLE
         AFFILIATED COMPUTER SE RVICES     008190100      5,108 000000098512 SH       DEFINED 01         SOLE
         AGILENT TECHNOLOGIES I NC         00846U101     11,323 000000346400 SH       DEFINED 01         SOLE
         AIR PRODS & CHEMS INC             009158106     12,204 000000183880 SH       DEFINED 01         SOLE
         ALCOA INC                         013817101     20,269 000000722890 SH       DEFINED 01         SOLE
         ALDERWOODS GROUP INC              014383103        991 000000050000 SH       DEFINED 01         SOLE
         ALERIS INTL INC                   014477103        884 000000017500 SH       DEFINED 01         SOLE
         ALLEGHENY ENERGY INC              017361106      5,493 000000136762 SH       DEFINED 01         SOLE
         ALLEGHENY TECHNOLOGIES  INC       01741R102      5,195 000000083550 SH       DEFINED 01         SOLE
         ALLERGAN INC                      018490102     14,218 000000126265 SH       DEFINED 01         SOLE
         ALLIED WASTE INDS INC             019589308      2,378 000000211084 SH       DEFINED 01         SOLE
         ALLSTATE CORP                     020002101     32,983 000000525802 SH       DEFINED 01         SOLE
         ALLTEL CORP                       020039103     18,007 000000324454 SH       DEFINED 01         SOLE
         ALTERA CORP                       021441100      5,488 000000298589 SH       DEFINED 01         SOLE
         ALTRIA GROUP INC                  02209S103    133,727 000001746926 SH       DEFINED 01         SOLE
         ALTUS PHARMACEUTICAL S INC        02216N105     19,358 000001194236 SH       DEFINED 02         SOLE
         AMAZON COM INC                    023135106      8,387 000000261123 SH       DEFINED 01         SOLE
         AMBAC FINL GROUP INC              023139108      7,285 000000088048 SH       DEFINED 01         SOLE
         AMEREN CORP                       023608102      9,029 000000171055 SH       DEFINED 01         SOLE
         AMERUS GROUP CO                   03072M108      3,400 000000050000 SH       DEFINED 01         SOLE
         AMERISOURCEBERGEN CORP            03073E105      7,720 000000170800 SH       DEFINED 01         SOLE
         AMERIPRISE FINL INC               03076C106      9,499 000000202538 SH       DEFINED 01         SOLE
         AMGEN INC                         031162100     70,075 000000979665 SH       DEFINED 01         SOLE
         ANALOG DEVICES INC                032654105      8,720 000000296708 SH       DEFINED 01         SOLE
1Page      2                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        ANDREW CORP                       034425108      1,227 000000132685 SH       DEFINED 01         SOLE
         ANDRX CORP DEL                    034553107        793 000000032500 SH       DEFINED 01         SOLE
         ANHEUSER BUSCH COS INC            035229103     30,477 000000641489 SH       DEFINED 01         SOLE
         APPLE COMPUTER INC                037833100     54,569 000000708883 SH       DEFINED 01         SOLE
         APPLERA CORP                      038020103      5,013 000000151431 SH       DEFINED 01         SOLE
         APPLIED MATLS INC                 038222105     20,594 000001161580 SH       DEFINED 01         SOLE
         ARAMARK CORP                      038521100      2,957 000000090000 SH       DEFINED 01         SOLE
         ARCHER DANIELS MIDLAND  CO        039483102     20,726 000000547175 SH       DEFINED 01         SOLE
         ARCHSTONE SMITH TR                039583109      9,692 000000178032 SH       DEFINED 01         SOLE
         ASHLAND INC NEW                   044209104      3,539 000000055497 SH       DEFINED 01         SOLE
         AUTODESK INC                      052769106      6,696 000000192550 SH       DEFINED 01         SOLE
         AUTOMATIC DATA PROCESS ING IN     053015103     21,993 000000464583 SH       DEFINED 01         SOLE
         AUTONATION INC                    05329W102      2,669 000000127704 SH       DEFINED 01         SOLE
         AUTOZONE INC                      053332102      4,585 000000044390 SH       DEFINED 01         SOLE
         AVAYA INC                         053499109      4,344 000000379742 SH       DEFINED 01         SOLE
         AVERY DENNISON CORP               053611109      4,970 000000082611 SH       DEFINED 01         SOLE
         AVON PRODS INC                    054303102     11,455 000000373625 SH       DEFINED 01         SOLE
         AZTAR CORP                        054802103      9,541 000000180000 SH       DEFINED 01         SOLE
         BB&T CORP                         054937107     19,637 000000448556 SH       DEFINED 01         SOLE
         BMC SOFTWARE INC                  055921100      4,720 000000173432 SH       DEFINED 01         SOLE
         BAIDU COM INC                     056752108      1,395 000000015940 SH       DEFINED 02         SOLE
         BAKER HUGHES INC                  057224107     20,682 000000303261 SH       DEFINED 01         SOLE
         BALL CORP                         058498106      3,549 000000087740 SH       DEFINED 01         SOLE
         BANK OF AMERICA CORPORATION       060505104    204,377 000003815146 SH       DEFINED 01         SOLE
         BANK NEW YORK INC                 064057102     22,511 000000638450 SH       DEFINED 01         SOLE
         BARD C R INC                      067383109      6,456 000000086082 SH       DEFINED 01         SOLE
         BARR PHARMACEUTICALS I NC         068306109      4,589 000000088354 SH       DEFINED 01         SOLE
         BAUSCH & LOMB INC                 071707103      2,238 000000044648 SH       DEFINED 01         SOLE
         BAXTER INTL INC                   071813109     24,644 000000542104 SH       DEFINED 01         SOLE
         BEA SYS INC                       073325102        175 000000011300 SH       DEFINED 06         SOLE
         BEAR STEARNS COS INC              073902108     15,934 000000113741 SH       DEFINED 01         SOLE
         BECTON DICKINSON & CO             075887109     14,440 000000204340 SH       DEFINED 01         SOLE
         BED BATH & BEYOND INC             075896100      8,973 000000234531 SH       DEFINED 01         SOLE
         BELLSOUTH CORP                    079860102    140,942 000003296901 SH       DEFINED 01         SOLE
         BEMIS INC                         081437105      2,863 000000087140 SH       DEFINED 01         SOLE
         BEST BUY INC                      086516101     18,095 000000337861 SH       DEFINED 01         SOLE
         BIG LOTS INC                      089302103      1,792 000000090467 SH       DEFINED 01         SOLE
         BIOMET INC                        090613100      6,600 000000205049 SH       DEFINED 01         SOLE
         BIOGEN IDEC INC                   09062X103     13,029 000000291627 SH       DEFINED 01         SOLE
         BIOTECH HOLDRS TR                 09067D201     27,062 000000146400 SH       DEFINED 01         SOLE
         BLACK & DECKER CORP               091797100      4,943 000000062295 SH       DEFINED 01         SOLE
         BLOCK H & R INC                   093671105      5,874 000000270223 SH       DEFINED 01         SOLE
         BOSTON PROPERTIES INC             101121101      9,817 000000094998 SH       DEFINED 01         SOLE
         BOSTON SCIENTIFIC CORP            101137107     14,553 000000983985 SH       DEFINED 01         SOLE
1Page      3                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        BRISTOL MYERS SQUIBB C O          110122108     40,808 000001637577 SH       DEFINED 01         SOLE
         BROADBAND HOLDRS TR               11130P104      5,357 000000309700 SH       DEFINED 01         SOLE
         BROADCOM CORP                     111320107     11,823 000000389714 SH       DEFINED 01         SOLE
         BRUNSWICK CORP                    117043109      2,447 000000078464 SH       DEFINED 01         SOLE
         BURLINGTON NORTHN SANT A FE C     12189T104     22,089 000000300777 SH       DEFINED 01         SOLE
         CMS ENERGY CORP                   125896100      2,658 000000184126 SH       DEFINED 01         SOLE
         CSX CORP                          126408103     12,114 000000369010 SH       DEFINED 01         SOLE
         CVS CORP                          126650100     21,924 000000682575 SH       DEFINED 01         SOLE
         CA INC                            12673P105      8,083 000000341241 SH       DEFINED 01         SOLE
         CAMPBELL SOUP CO                  134429109      6,994 000000191630 SH       DEFINED 01         SOLE
         CAPITAL ONE FINL CORP             14040H105     20,009 000000254383 SH       DEFINED 01         SOLE
         CARNIVAL CORP                     143658300     17,536 000000372869 SH       DEFINED 01         SOLE
         CATERPILLAR INC DEL               149123101     36,078 000000548301 SH       DEFINED 01         SOLE
         CENTEX CORP                       152312104      5,181 000000098467 SH       DEFINED 01         SOLE
         CENTRACORE PROPERTIE S TR         15235H107      3,333 000000105000 SH       DEFINED 01         SOLE
         CENTURYTEL INC                    156700106      3,837 000000096728 SH       DEFINED 01         SOLE
         CHESAPEAKE ENERGY CORP            165167107      9,778 000000337423 SH       DEFINED 01         SOLE
         CHEVRON CORP NEW                  166764100    120,418 000001856589 SH       DEFINED 01         SOLE
         CHICAGO MERCANTILE HLD GS INC     167760107     14,160 000000029609 SH       DEFINED 01         SOLE
         CHIPOTLE MEXICAN GRILL  INC       169656105      1,048 000000021100 SH       DEFINED 01         SOLE
         CHUBB CORP                        171232101     17,830 000000343163 SH       DEFINED 01         SOLE
         CINCINNATI FINL CORP              172062101      6,933 000000144079 SH       DEFINED 01         SOLE
         CINTAS CORP                       172908105      4,686 000000114783 SH       DEFINED 01         SOLE
         CITIGROUP INC                     172967101    206,737 000004162232 SH       DEFINED 01         SOLE
         CITIZENS COMMUNICATION S CO       17453B101      3,742 000000266594 SH       DEFINED 01         SOLE
         CITRIX SYS INC                    177376100      5,642 000000155831 SH       DEFINED 01         SOLE
         CLEAR CHANNEL COMMUNIC ATIONS     184502102     11,993 000000415725 SH       DEFINED 01         SOLE
         CLICK COMMERCE INC                18681D208      2,812 000000124400 SH       DEFINED 01         SOLE
         CLOROX CO DEL                     189054109      8,065 000000128016 SH       DEFINED 01         SOLE
         COACH INC                         189754104     10,712 000000311414 SH       DEFINED 01         SOLE
         COCA COLA CO                      191216100     76,333 000001708454 SH       DEFINED 01         SOLE
         COCA COLA ENTERPRISES  INC        191219104      4,989 000000239518 SH       DEFINED 01         SOLE
         COLGATE PALMOLIVE CO              194162103     26,848 000000432343 SH       DEFINED 01         SOLE
         COLGATE PALMOLIVE CO              194162103        478 000000007700 SH       DEFINED 02         SOLE
         COMCAST CORP NEW                  20030N101     64,438 000001746293 SH       DEFINED 01         SOLE
         COMMERCIAL CAP BANCORP  INC       20162L105     11,715 000000735000 SH       DEFINED 01         SOLE
         COMMONWEALTH TEL ENTER PRISES     203349105      5,153 000000125000 SH       DEFINED 01         SOLE
         COMMUNITY BANCORP IN C FALLBR     20342P109      2,452 000000060000 SH       DEFINED 01         SOLE
         COMPASS BANCSHARES INC            20449H109      6,126 000000107524 SH       DEFINED 01         SOLE
         COMPUTER SCIENCES CORP            205363104      7,196 000000146517 SH       DEFINED 01         SOLE
         COMPUWARE CORP                    205638109      2,411 000000309564 SH       DEFINED 01         SOLE
         COMVERSE TECHNOLOGY IN C          205862402      3,598 000000167852 SH       DEFINED 01         SOLE
         CONAGRA FOODS INC                 205887102     10,467 000000427607 SH       DEFINED 01         SOLE
         CONOCOPHILLIPS                    20825C104     84,634 000001421720 SH       DEFINED 01         SOLE
1Page      4                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        CONSECO INC                       208464883      1,402 000000066822 SH       DEFINED 01         SOLE
         CONSOL ENERGY INC                 20854P109      4,834 000000152369 SH       DEFINED 01         SOLE
         CONSOLIDATED EDISON IN C          209115104      9,462 000000204820 SH       DEFINED 01         SOLE
         CONSTELLATION BRANDS I NC         21036P108      5,043 000000175236 SH       DEFINED 01         SOLE
         CONVERGYS CORP                    212485106      2,382 000000115370 SH       DEFINED 01         SOLE
         CORE MARK HOLDING CO  INC         218681104      2,309 000000073699 SH       DEFINED 01         SOLE
         COSTCO WHSL CORP NEW              22160K105     19,413 000000390779 SH       DEFINED 01         SOLE
         COUNTRYWIDE FINANCIAL  CORP       222372104     18,062 000000515474 SH       DEFINED 01         SOLE
         COVAD COMMUNICATIONS  GROUP       222814204         94 000000063499 SH       DEFINED 01         SOLE
         COVENTRY HEALTH CARE I NC         222862104      6,803 000000132054 SH       DEFINED 01         SOLE
         CTRIP COM INTL LTD                22943F100        323 000000007208 SH       DEFINED 02         SOLE
         CUMMINS INC                       231021106      5,202 000000043631 SH       DEFINED 01         SOLE
         D R HORTON INC                    23331A109      5,421 000000226353 SH       DEFINED 01         SOLE
         DTE ENERGY CO                     233331107      6,132 000000147737 SH       DEFINED 01         SOLE
         DANAHER CORP DEL                  235851102     13,549 000000197307 SH       DEFINED 01         SOLE
         DARDEN RESTAURANTS INC            237194105      5,155 000000121397 SH       DEFINED 01         SOLE
         DEERE & CO                        244199105     16,295 000000194205 SH       DEFINED 01         SOLE
         DELL INC                          24702R101     43,886 000001921482 SH       DEFINED 01         SOLE
         DEVON ENERGY CORP NEW             25179M103     24,426 000000386801 SH       DEFINED 01         SOLE
         DOBSON COMMUNICATIONS  CORP       256069105      1,095 000000156000 SH       DEFINED 01         SOLE
         DOLLAR GEN CORP                   256669102      3,533 000000259220 SH       DEFINED 01         SOLE
         DOMINION RES INC VA NE W          25746U109     22,549 000000294808 SH       DEFINED 01         SOLE
         DONNELLEY R R & SONS C O          257867101      5,923 000000179731 SH       DEFINED 01         SOLE
         DOVER CORP                        260003108      8,023 000000169120 SH       DEFINED 01         SOLE
         DOW CHEM CO                       260543103     31,207 000000800595 SH       DEFINED 01         SOLE
         DOW JONES & CO INC                260561105      1,811 000000054011 SH       DEFINED 01         SOLE
         DYNEGY INC NEW                    26816Q101      1,741 000000314301 SH       DEFINED 01         SOLE
         E M C CORP MASS                   268648102     23,208 000001937302 SH       DEFINED 01         SOLE
         EOG RES INC                       26875P101     13,114 000000201613 SH       DEFINED 01         SOLE
         E TRADE FINANCIAL CORP            269246104      8,491 000000354977 SH       DEFINED 01         SOLE
         EASTMAN CHEM CO                   277432100      3,695 000000068404 SH       DEFINED 01         SOLE
         EASTMAN KODAK CO                  277461109      5,347 000000238721 SH       DEFINED 01         SOLE
         EATON CORP                        278058102      8,584 000000124685 SH       DEFINED 01         SOLE
         EBAY INC                          278642103     27,685 000000976234 SH       DEFINED 01         SOLE
         ECOLAB INC                        278865100      6,408 000000149658 SH       DEFINED 01         SOLE
         EDISON INTL                       281020107     11,283 000000270966 SH       DEFINED 01         SOLE
         EL PASO CORP                      28336L109      8,857 000000649342 SH       DEFINED 01         SOLE
         ELECTRONIC ARTS INC               285512109     14,228 000000254817 SH       DEFINED 01         SOLE
         ELECTRONIC DATA SYS NE W          285661104     10,547 000000430147 SH       DEFINED 01         SOLE
         EMBARQ CORP                       29078E105      5,994 000000123920 SH       DEFINED 01         SOLE
         EMERSON ELEC CO                   291011104     28,487 000000339709 SH       DEFINED 01         SOLE
         ENTERGY CORP NEW                  29364G103     13,545 000000173150 SH       DEFINED 01         SOLE
         EQUIFAX INC                       294429105      3,860 000000105168 SH       DEFINED 01         SOLE
         EQUITY OFFICE PROPERTI ES TRU     294741103     12,145 000000305473 SH       DEFINED 01         SOLE
         EQUITY RESIDENTIAL                29476L107     12,230 000000241797 SH       DEFINED 01         SOLE
1Page      5                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        EXCEL TECHNOLOGY INC              30067T103      1,775 000000060000 SH       DEFINED 01         SOLE
         EXELON CORP                       30161N101     33,850 000000559141 SH       DEFINED 01         SOLE
         EXPRESS SCRIPTS INC               302182100      8,637 000000114483 SH       DEFINED 01         SOLE
         EXXON MOBIL CORP                  30231G102    336,054 000005008260 SH       DEFINED 01         SOLE
         FPL GROUP INC                     302571104     15,123 000000336081 SH       DEFINED 01         SOLE
         FEDERAL HOME LN MTG CO RP         313400301     38,087 000000574218 SH       DEFINED 01         SOLE
         FEDERAL NATL MTG ASSN             313586109     44,969 000000804322 SH       DEFINED 01         SOLE
         FEDERATED DEPT STORES  INC DE     31410H101     19,676 000000455372 SH       DEFINED 01         SOLE
         FEDERATED INVS INC PA             314211103      2,544 000000075265 SH       DEFINED 01         SOLE
         FEDEX CORP                        31428X106     27,671 000000254611 SH       DEFINED 01         SOLE
         FIDELITY BANKSHARES  INC NEW      31604Q107      4,006 000000102700 SH       DEFINED 01         SOLE
         FIFTH THIRD BANCORP               316773100     17,654 000000463608 SH       DEFINED 01         SOLE
         FILENET CORP                      316869106      8,018 000000230212 SH       DEFINED 01         SOLE
         FIRST DATA CORP                   319963104     26,705 000000635837 SH       DEFINED 01         SOLE
         FIRSTBANK NW CORP                 33762X106      2,784 000000100000 SH       DEFINED 01         SOLE
         FISERV INC                        337738108      6,879 000000146096 SH       DEFINED 01         SOLE
         FIRSTENERGY CORP                  337932107     15,404 000000275776 SH       DEFINED 01         SOLE
         FISHER SCIENTIFIC INTL  INC       338032204      9,650 000000123350 SH       DEFINED 01         SOLE
         FLAG FINL CORP                    33832H107      6,886 000000275000 SH       DEFINED 01         SOLE
         FLUOR CORP NEW                    343412102      5,598 000000072807 SH       DEFINED 01         SOLE
         FOCUS MEDIA HLDG LTD              34415V109        690 000000011929 SH       DEFINED 02         SOLE
         FORD MTR CO DEL                   345370860     12,726 000001573083 SH       DEFINED 01         SOLE
         FOREST LABS INC                   345838106     13,525 000000267241 SH       DEFINED 01         SOLE
         FORTUNE BRANDS INC                349631101      9,418 000000125393 SH       DEFINED 01         SOLE
         FRANKLIN RES INC                  354613101     14,650 000000138543 SH       DEFINED 01         SOLE
         FREEPORT-MCMORAN COPPE R & GO     35671D857      8,907 000000167247 SH       DEFINED 01         SOLE
         FREESCALE SEMICONDUCTO R INC      35687M107      1,141 000000030000 SH       DEFINED 01         SOLE
         GANNETT INC                       364730101     11,213 000000197309 SH       DEFINED 01         SOLE
         GAP INC DEL                       364760108      8,561 000000451799 SH       DEFINED 01         SOLE
         GENERAL DYNAMICS CORP             369550108     24,025 000000335217 SH       DEFINED 01         SOLE
         GENERAL ELECTRIC CO               369604103    304,083 000008614262 SH       DEFINED 01         SOLE
         GENERAL MLS INC                   370334104     16,690 000000294879 SH       DEFINED 01         SOLE
         GENERAL MTRS CORP                 370442105     15,702 000000472104 SH       DEFINED 01         SOLE
         GENUINE PARTS CO                  372460105      6,140 000000142382 SH       DEFINED 01         SOLE
         GENWORTH FINL INC                 37247D106     13,237 000000378108 SH       DEFINED 01         SOLE
         GENZYME CORP                      372917104     14,653 000000217187 SH       DEFINED 01         SOLE
         GIANT INDS INC                    374508109      8,120 000000100000 SH       DEFINED 01         SOLE
         GILEAD SCIENCES INC               375558103     26,107 000000379639 SH       DEFINED 01         SOLE
         GLENBOROUGH RLTY TR  INC          37803P105      6,548 000000254500 SH       DEFINED 01         SOLE
         GOLDEN WEST FINL CORP  DEL        381317106     72,297 000000935894 SH       DEFINED 01         SOLE
         GOLDMAN SACHS GROUP IN C          38141G104     61,929 000000366082 SH       DEFINED 01         SOLE
         GOODRICH CORP                     382388106      4,197 000000103586 SH       DEFINED 01         SOLE
         GOODYEAR TIRE & RUBR C O          382550101      3,161 000000218076 SH       DEFINED 01         SOLE
         GOOGLE INC                        38259P508     71,427 000000177725 SH       DEFINED 01         SOLE
1Page      6                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        GRAINGER W W INC                  384802104      4,251 000000063433 SH       DEFINED 01         SOLE
         HCA INC                           404119109     27,054 000000542284 SH       DEFINED 01         SOLE
         HALLIBURTON CO                    406216101     24,799 000000871679 SH       DEFINED 01         SOLE
         HARBOR FLA BANCSHARES  INC        411901101      1,550 000000035000 SH       DEFINED 01         SOLE
         HARLEY DAVIDSON INC               412822108     13,736 000000218914 SH       DEFINED 01         SOLE
         HARMAN INTL INDS INC              413086109      4,602 000000055162 SH       DEFINED 01         SOLE
         HARTFORD FINL SVCS GRO UP INC     416515104     21,932 000000252823 SH       DEFINED 01         SOLE
         HASBRO INC                        418056107      3,195 000000140446 SH       DEFINED 01         SOLE
         HEINZ H J CO                      423074103     11,624 000000277245 SH       DEFINED 01         SOLE
         HERCULES INC                      427056106      1,485 000000094185 SH       DEFINED 01         SOLE
         HERITAGE PPTY INVT T R INC        42725M107      2,187 000000060000 SH       DEFINED 01         SOLE
         HERSHEY CO                        427866108      7,860 000000147056 SH       DEFINED 01         SOLE
         HESS CORP                         42809H107      8,303 000000200475 SH       DEFINED 01         SOLE
         HEWLETT PACKARD CO                428236103     83,887 000002286387 SH       DEFINED 01         SOLE
         HILTON HOTELS CORP                432848109      8,927 000000320570 SH       DEFINED 01         SOLE
         HOME DEPOT INC                    437076102     62,467 000001722302 SH       DEFINED 01         SOLE
         HUMANA INC                        444859102      9,065 000000137176 SH       DEFINED 01         SOLE
         HUMAN GENOME SCIENCES  INC        444903108        213 000000018525 SH       DEFINED 04         SOLE
         HUNTINGTON BANCSHARES  INC        446150104      4,831 000000201887 SH       DEFINED 01         SOLE
         HUNTSMAN CORP                     447011107      1,068 000000058710 SH       DEFINED 01         SOLE
         ICO GLOBAL COMM HLDG S LTD DE     44930K108      1,488 000000254429 SH       DEFINED 01         SOLE
         ITT CORP NEW                      450911102      7,868 000000153479 SH       DEFINED 01         SOLE
         ICICI BK LTD                      45104G104        846 000000027550 SH       DEFINED 01         SOLE
         IDENIX PHARMACEUTICALS  INC       45166R204      2,946 000000301476 SH       DEFINED 02         SOLE
         INTEGRATED ELECTRICA L SVC        45811E301      1,178 000000074524 SH       DEFINED 01         SOLE
         INTEL CORP                        458140100     99,006 000004813127 SH       DEFINED 01         SOLE
         INTERCHANGE FINL SVC S S B N      458447109      4,071 000000180000 SH       DEFINED 01         SOLE
         INTERMAGNETICS GEN COR P          458771102      5,410 000000200000 SH       DEFINED 01         SOLE
         INTERNATIONAL BUSINESS  MACHS     459200101    104,778 000001301871 SH       DEFINED 01         SOLE
         INTERNATIONAL FLAVORS& FRAGRA     459506101      2,594 000000065609 SH       DEFINED 01         SOLE
         INTERNATIONAL GAME TEC HNOLOG     459902102     11,705 000000282064 SH       DEFINED 01         SOLE
         INTL PAPER CO                     460146103     13,134 000000379292 SH       DEFINED 01         SOLE
         INTERNET SEC SYS INC              46060X107     11,104 000000400000 SH       DEFINED 01         SOLE
         INTERPUBLIC GROUP COS  INC        460690100      3,684 000000372200 SH       DEFINED 01         SOLE
         INTRAWEST CORPORATION             460915200      6,908 000000200000 SH       DEFINED 01         SOLE
         INTUIT                            461202103      9,112 000000283952 SH       DEFINED 01         SOLE
         ISHARES INC                       464286400     16,149 000000435732 SH       DEFINED 02         SOLE
         ISHARES TR                        464287234      3,328 000000029000 SH       DEFINED 02         SOLE
         JDS UNIPHASE CORP                 46612J101      3,066 000001400092 SH       DEFINED 01         SOLE
         JP MORGAN CHASE & CO              46625H100    136,029 000002896710 SH       DEFINED 01         SOLE
         JABIL CIRCUIT INC                 466313103      4,385 000000153490 SH       DEFINED 01         SOLE
1Page      7                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        JANUS CAP GROUP INC               47102X105      3,386 000000171751 SH       DEFINED 01         SOLE
         JOHNSON & JOHNSON                 478160104    159,013 000002448637 SH       DEFINED 01         SOLE
         JOHNSON CTLS INC                  478366107     11,659 000000162526 SH       DEFINED 01         SOLE
         JONES APPAREL GROUP IN C          480074103      3,046 000000093915 SH       DEFINED 01         SOLE
         JUNIPER NETWORKS INC              48203R104      8,123 000000470114 SH       DEFINED 01         SOLE
         KLA-TENCOR CORP                   482480100      7,357 000000165452 SH       DEFINED 01         SOLE
         KB HOME                           48666K109      2,856 000000065225 SH       DEFINED 01         SOLE
         KELLOGG CO                        487836108     10,284 000000207686 SH       DEFINED 01         SOLE
         KEYSPAN CORP                      49337W100     15,240 000000370452 SH       DEFINED 01         SOLE
         KIMBERLY CLARK CORP               494368103     24,966 000000381978 SH       DEFINED 01         SOLE
         KIMCO REALTY CORP                 49446R109      7,714 000000179960 SH       DEFINED 01         SOLE
         KINDER MORGAN INC KANS            49455P101     13,795 000000131574 SH       DEFINED 01         SOLE
         KING PHARMACEUTICALS I NC         495582108      3,440 000000202005 SH       DEFINED 01         SOLE
         KOHLS CORP                        500255104     17,779 000000273864 SH       DEFINED 01         SOLE
         KROGER CO                         501044101     13,950 000000602883 SH       DEFINED 01         SOLE
         LSI LOGIC CORP                    502161102      2,729 000000332045 SH       DEFINED 01         SOLE
         L-3 COMMUNICATIONS HLD GS INC     502424104      8,004 000000102184 SH       DEFINED 01         SOLE
         LABORATORY CORP AMER H LDGS       50540R409      6,820 000000104017 SH       DEFINED 01         SOLE
         LEGGETT & PLATT INC               524660107      3,757 000000150107 SH       DEFINED 01         SOLE
         LEGG MASON INC                    524901105     10,987 000000108940 SH       DEFINED 01         SOLE
         LENNAR CORP                       526057104      5,254 000000116116 SH       DEFINED 01         SOLE
         LINCOLN NATL CORP IND             534187109     14,817 000000238684 SH       DEFINED 01         SOLE
         LIZ CLAIBORNE INC                 539320101      3,439 000000087066 SH       DEFINED 01         SOLE
         LOCKHEED MARTIN CORP              539830109     25,592 000000297376 SH       DEFINED 01         SOLE
         LOEWS CORP                        540424108     14,396 000000379846 SH       DEFINED 01         SOLE
         LOUISIANA PAC CORP                546347105      1,641 000000087443 SH       DEFINED 01         SOLE
         LOWES COS INC                     548661107     35,776 000001274993 SH       DEFINED 01         SOLE
         LUCENT TECHNOLOGIES IN C          549463107      9,058 000003871275 SH       DEFINED 01         SOLE
         MGIC INVT CORP WIS                552848103      4,210 000000070213 SH       DEFINED 01         SOLE
         MRO SOFTWARE INC                  55347W105     12,835 000000500000 SH       DEFINED 01         SOLE
         MTR GAMING GROUP INC              553769100        211 000000022500 SH       DEFINED 01         SOLE
         MAGELLAN HEALTH SVCS I NC         559079207      4,268 000000100202 SH       DEFINED 01         SOLE
         MANOR CARE INC NEW                564055101      3,198 000000061188 SH       DEFINED 01         SOLE
         MARATHON OIL CORP                 565849106     23,956 000000311531 SH       DEFINED 01         SOLE
         MARITRANS INC                     570363101      3,111 000000085000 SH       DEFINED 01         SOLE
         MARSH & MCLENNAN COS I NC         571748102     12,875 000000457379 SH       DEFINED 01         SOLE
         MARSHALL & ILSLEY CORP            571834100     10,180 000000211305 SH       DEFINED 01         SOLE
         MARRIOTT INTL INC NEW             571903202     11,032 000000285528 SH       DEFINED 01         SOLE
         MASCO CORP                        574599106      9,070 000000330806 SH       DEFINED 01         SOLE
         MAVERICK TUBE CORP                577914104     19,449 000000300000 SH       DEFINED 01         SOLE
         MCDONALDS CORP                    580135101     40,913 000001045850 SH       DEFINED 01         SOLE
         MCGRAW HILL COS INC               580645109     17,057 000000293942 SH       DEFINED 01         SOLE
         MCKESSON CORP                     58155Q103     13,165 000000249728 SH       DEFINED 01         SOLE
1Page      8                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        MEADWESTVACO CORP                 583334107      4,001 000000150931 SH       DEFINED 01         SOLE
         MEDCO HEALTH SOLUTIONS  INC       58405U102     14,741 000000245243 SH       DEFINED 01         SOLE
         MEDIMMUNE INC                     584699102      5,949 000000203255 SH       DEFINED 01         SOLE
         MEDTRONIC INC                     585055106     44,582 000000960004 SH       DEFINED 01         SOLE
         MELLON FINL CORP                  58551A108     13,423 000000343319 SH       DEFINED 01         SOLE
         MERCK & CO INC                    589331107     76,146 000001817334 SH       DEFINED 01         SOLE
         MEREDITH CORP                     589433101      1,598 000000032400 SH       DEFINED 01         SOLE
         MERRILL LYNCH & CO INC            590188108     60,709 000000776140 SH       DEFINED 01         SOLE
         METLIFE INC                       59156R108     36,421 000000642586 SH       DEFINED 01         SOLE
         MICHAELS STORES INC               594087108      2,068 000000047500 SH       DEFINED 01         SOLE
         MICROSOFT CORP                    594918104    197,684 000007228003 SH       DEFINED 01         SOLE
         MICRON TECHNOLOGY INC             595112103     10,553 000000606542 SH       DEFINED 01         SOLE
         MIDCAP SPDR TR                    595635103      8,134 000000059076 SH       DEFINED 01         SOLE
         MILLIPORE CORP                    601073109      2,712 000000044250 SH       DEFINED 01         SOLE
         MIRANT CORP NEW                   60467R100      4,847 000000177514 SH       DEFINED 01         SOLE
         MOLEX INC                         608554101      4,580 000000117537 SH       DEFINED 01         SOLE
         MOLSON COORS BREWING C O          60871R209      2,853 000000041417 SH       DEFINED 01         SOLE
         MONSANTO CO NEW                   61166W101     21,205 000000451077 SH       DEFINED 01         SOLE
         MONSTER WORLDWIDE INC             611742107      3,859 000000106658 SH       DEFINED 01         SOLE
         MOODYS CORP                       615369105     13,003 000000198890 SH       DEFINED 01         SOLE
         MURPHY OIL CORP                   626717102      7,383 000000155273 SH       DEFINED 01         SOLE
         MYLAN LABS INC                    628530107      3,526 000000175169 SH       DEFINED 01         SOLE
         NS GROUP INC                      628916108      3,227 000000050000 SH       DEFINED 01         SOLE
         NRG ENERGY INC                    629377508      1,744 000000038500 SH       DEFINED 01         SOLE
         NTL INC DEL                       62941W101      1,548 000000060895 SH       DEFINED 01         SOLE
         NASDAQ 100 TR                     631100104    418,488 000010294918 SH       DEFINED 01         SOLE
         NATIONAL CITY CORP                635405103     18,692 000000510730 SH       DEFINED 01         SOLE
         NATIONAL OILWELL VARCO  INC       637071101      8,532 000000145736 SH       DEFINED 01         SOLE
         NATIONAL SEMICONDUCTOR  CORP      637640103      6,024 000000256045 SH       DEFINED 01         SOLE
         NAVISTAR INTL CORP NEW            63934E108      1,323 000000051276 SH       DEFINED 01         SOLE
         NEW YORK TIMES CO                 650111107      2,758 000000120051 SH       DEFINED 01         SOLE
         NEWELL RUBBERMAID INC             651229106      6,516 000000230109 SH       DEFINED 01         SOLE
         NEWMONT MINING CORP               651639106     16,214 000000379279 SH       DEFINED 01         SOLE
         NEWS CORP                         65248E104     38,377 000001953043 SH       DEFINED 01         SOLE
         NICOR INC                         654086107      1,583 000000037027 SH       DEFINED 01         SOLE
         NIKE INC                          654106103     14,440 000000164816 SH       DEFINED 01         SOLE
         NISOURCE INC                      65473P105      4,928 000000226713 SH       DEFINED 01         SOLE
         NORDSTROM INC                     655664100      8,028 000000189795 SH       DEFINED 01         SOLE
         NORFOLK SOUTHERN CORP             655844108     15,148 000000343882 SH       DEFINED 01         SOLE
         NORTH FORK BANCORPORAT ION NY     659424105     13,234 000000462112 SH       DEFINED 01         SOLE
         NORTHERN EMPIRE BANC SHARES       665112108      3,362 000000120000 SH       DEFINED 01         SOLE
         NORTHERN TR CORP                  665859104      9,105 000000155834 SH       DEFINED 01         SOLE
         NORTHROP GRUMMAN CORP             666807102     19,486 000000286265 SH       DEFINED 01         SOLE
1Page      9                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        NORTHWESTERN CORP                 668074305      1,454 000000041579 SH       DEFINED 01         SOLE
         NOVAGOLD RES INC                  66987E206        784 000000050000 SH       DEFINED 01         SOLE
         NOVELL INC                        670006105      1,718 000000281696 SH       DEFINED 01         SOLE
         NOVELLUS SYS INC                  670008101      2,909 000000105191 SH       DEFINED 01         SOLE
         NUCOR CORP                        670346105     12,678 000000256192 SH       DEFINED 01         SOLE
         NVIDIA CORP                       67066G104      8,668 000000292948 SH       DEFINED 01         SOLE
         OCCIDENTAL PETE CORP D EL         674599105     36,204 000000752537 SH       DEFINED 01         SOLE
         OFFICEMAX INC DEL                 67622P101      2,510 000000061617 SH       DEFINED 01         SOLE
         OFFICE DEPOT INC                  676220106      9,447 000000237981 SH       DEFINED 01         SOLE
         OIL SVC HOLDRS TR                 678002106    370,942 000002856700 SH       DEFINED 01         SOLE
         OMNICOM GROUP INC                 681919106     13,364 000000142782 SH       DEFINED 01         SOLE
         ORACLE CORP                       68389X105     59,691 000003364785 SH       DEFINED 01         SOLE
         PG&E CORP                         69331C108     12,058 000000289526 SH       DEFINED 01         SOLE
         PPG INDS INC                      693506107      9,207 000000137265 SH       DEFINED 01         SOLE
         PPL CORP                          69351T106     10,416 000000316607 SH       DEFINED 01         SOLE
         PACCAR INC                        693718108     11,888 000000208489 SH       DEFINED 01         SOLE
         PACTIV CORP                       695257105      3,259 000000114674 SH       DEFINED 01         SOLE
         PALL CORP                         696429307      3,194 000000103680 SH       DEFINED 01         SOLE
         PAN PACIFIC RETAIL P PTYS INC     69806L104     12,148 000000175000 SH       DEFINED 01         SOLE
         PARKER HANNIFIN CORP              701094104      7,762 000000099869 SH       DEFINED 01         SOLE
         PENNEY J C INC                    708160106     12,825 000000187535 SH       DEFINED 01         SOLE
         PEOPLES ENERGY CORP               711030106      2,113 000000051983 SH       DEFINED 01         SOLE
         PEPSI BOTTLING GROUP I NC         713409100      4,006 000000112853 SH       DEFINED 01         SOLE
         PEPSICO INC                       713448108     90,290 000001383553 SH       DEFINED 01         SOLE
         PERKINELMER INC                   714046109      1,975 000000104343 SH       DEFINED 01         SOLE
         PETCO ANIMAL SUPPLIES             716016209      1,717 000000060000 SH       DEFINED 01         SOLE
         PETROLEUM GEO SVCS A SA NEW       716599105      1,704 000000034850 SH       DEFINED 01         SOLE
         PFIZER INC                        717081103    172,579 000006085329 SH       DEFINED 01         SOLE
         PHARMACEUTICAL HLDRS T R          71712A206      4,461 000000057200 SH       DEFINED 01         SOLE
         PHELPS DODGE CORP                 717265102     14,355 000000169490 SH       DEFINED 01         SOLE
         PINNACLE WEST CAP CORP            723484101      3,721 000000082610 SH       DEFINED 01         SOLE
         PITNEY BOWES INC                  724479100      8,168 000000184091 SH       DEFINED 01         SOLE
         PLUM CREEK TIMBER CO I NC         729251108      5,070 000000148945 SH       DEFINED 01         SOLE
         PRAXAIR INC                       74005P104     15,894 000000268668 SH       DEFINED 01         SOLE
         PREMIUM STD FARMS IN C            74060C105        762 000000040000 SH       DEFINED 01         SOLE
         PRUDENTIAL FINL INC               744320102     30,919 000000405508 SH       DEFINED 01         SOLE
         PUBLIC SVC ENTERPRISE  GROUP      744573106     13,197 000000215681 SH       DEFINED 01         SOLE
         PUBLIC STORAGE INC                74460D109      8,660 000000100710 SH       DEFINED 01         SOLE
         PULTE HOMES INC                   745867101      5,604 000000175917 SH       DEFINED 01         SOLE
         QLOGIC CORP                       747277101      2,502 000000132419 SH       DEFINED 01         SOLE
         QUALCOMM INC                      747525103     50,156 000001379810 SH       DEFINED 01         SOLE
         QUEST DIAGNOSTICS INC             74834L100      8,272 000000135253 SH       DEFINED 01         SOLE
         RCN CORP                          749361200      1,840 000000065035 SH       DEFINED 01         SOLE
         R H DONNELLEY CORP                74955W307        529 000000010000 SH       DEFINED 01         SOLE
         RADIOSHACK CORP                   750438103      2,176 000000112753 SH       DEFINED 01         SOLE
1Page     10                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        RAYTHEON CO                       755111507     17,901 000000372867 SH       DEFINED 01         SOLE
         REALOGY CORP                      75605E100      4,719 000000208112 SH       DEFINED 01         SOLE
         RECKSON ASSOCS RLTY CO RP         75621K106     11,342 000000265000 SH       DEFINED 01         SOLE
         REPUBLIC BANCORP INC              760282103        761 000000057100 SH       DEFINED 01         SOLE
         RETAIL HOLDRS TR                  76127U101    377,922 000003892100 SH       DEFINED 01         SOLE
         REYNOLDS & REYNOLDS CO            761695105      1,580 000000040000 SH       DEFINED 01         SOLE
         REYNOLDS AMERICAN INC             761713106      8,897 000000143572 SH       DEFINED 01         SOLE
         ROHM & HAAS CO                    775371107      5,710 000000120597 SH       DEFINED 01         SOLE
         ROWAN COS INC                     779382100      2,901 000000091741 SH       DEFINED 01         SOLE
         ST JUDE MED INC                   790849103     10,465 000000296552 SH       DEFINED 01         SOLE
         ST PAUL TRAVELERS INC             792860108     27,138 000000578760 SH       DEFINED 01         SOLE
         SALESFORCE COM INC                79466L302        265 000000007400 SH       DEFINED 04         SOLE
         SANMINA SCI CORP                  800907107      1,701 000000455477 SH       DEFINED 01         SOLE
         SARA LEE CORP                     803111103     10,150 000000631651 SH       DEFINED 01         SOLE
         SAXON CAP INC NEW                 80556T106      4,563 000000325000 SH       DEFINED 01         SOLE
         SCHERING PLOUGH CORP              806605101     27,191 000001230956 SH       DEFINED 01         SOLE
         SCHWAB CHARLES CORP NE W          808513105     15,391 000000859364 SH       DEFINED 01         SOLE
         SCRIPPS E W CO OHIO               811054204      3,382 000000070563 SH       DEFINED 01         SOLE
         SELECT SECTOR SPDR TR             81369Y100     86,512 000002734262 SH       DEFINED 01         SOLE
         SIMON PPTY GROUP INC N EW         828806109     16,655 000000183797 SH       DEFINED 01         SOLE
         SIZELER PPTY INVS IN C            830137105        713 000000047500 SH       DEFINED 01         SOLE
         SNAP ON INC                       833034101      2,150 000000048265 SH       DEFINED 01         SOLE
         SOHU COM INC                      83408W103        830 000000037735 SH       DEFINED 02         SOLE
         SOLECTRON CORP                    834182107      2,477 000000759985 SH       DEFINED 01         SOLE
         STANLEY WKS                       854616109      3,353 000000067280 SH       DEFINED 01         SOLE
         STAPLES INC                       855030102     15,014 000000617125 SH       DEFINED 01         SOLE
         STARBUCKS CORP                    855244109     21,583 000000633880 SH       DEFINED 01         SOLE
         STARWOOD HOTELS&RESORT S WRLD     85590A401     10,350 000000180988 SH       DEFINED 01         SOLE
         STATE NATIONAL BANCS HARES IN     857124101      3,799 000000100000 SH       DEFINED 01         SOLE
         STATE STR CORP                    857477103     17,227 000000276081 SH       DEFINED 01         SOLE
         STRYKER CORP                      863667101     12,230 000000246633 SH       DEFINED 01         SOLE
         SUMMIT BANCSHARES IN C TEX        866011109      1,982 000000070500 SH       DEFINED 01         SOLE
         SUN MICROSYSTEMS INC              866810104     14,434 000002916147 SH       DEFINED 01         SOLE
         SUNOCO INC                        86764P109      6,785 000000109103 SH       DEFINED 01         SOLE
         SUNPOWER CORP                     867652109        518 000000018700 SH       DEFINED 04         SOLE
         SYMANTEC CORP                     871503108     17,567 000000825517 SH       DEFINED 01         SOLE
         SYMBOL TECHNOLOGIES IN C          871508107      7,511 000000505510 SH       DEFINED 01         SOLE
         SYNOVUS FINL CORP                 87161C105      7,908 000000269256 SH       DEFINED 01         SOLE
         SYSCO CORP                        871829107     17,283 000000516703 SH       DEFINED 01         SOLE
         TECO ENERGY INC                   872375100      2,716 000000173585 SH       DEFINED 01         SOLE
         TJX COS INC NEW                   872540109     10,565 000000376937 SH       DEFINED 01         SOLE
         TXU CORP                          873168108     24,143 000000386179 SH       DEFINED 01         SOLE
         TARGACEPT INC                     87611R306      6,874 000001190476 SH       DEFINED 02         SOLE
         TARGET CORP                       87612E106     39,534 000000715561 SH       DEFINED 01         SOLE
         TEKTRONIX INC                     879131100      2,013 000000069614 SH       DEFINED 01         SOLE
1Page     11                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        TEMPLE INLAND INC                 879868107      3,623 000000090363 SH       DEFINED 01         SOLE
         TENET HEALTHCARE CORP             88033G100      3,188 000000391660 SH       DEFINED 01         SOLE
         TERADYNE INC                      880770102      2,154 000000163692 SH       DEFINED 01         SOLE
         TEXAS INSTRS INC                  882508104     42,615 000001281673 SH       DEFINED 01         SOLE
         TEXAS REGL BANCSHARE S INC        882673106      8,074 000000210000 SH       DEFINED 01         SOLE
         TEXTRON INC                       883203101      9,228 000000105473 SH       DEFINED 01         SOLE
         THERMO ELECTRON CORP              883556102      5,238 000000133200 SH       DEFINED 01         SOLE
         3M CO                             88579Y101     47,637 000000640117 SH       DEFINED 01         SOLE
         TIFFANY & CO NEW                  886547108      3,861 000000116310 SH       DEFINED 01         SOLE
         TIME WARNER INC                   887317105     63,277 000003471101 SH       DEFINED 01         SOLE
         TRIAD HOSPITALS INC               89579K109        880 000000020000 SH       DEFINED 01         SOLE
         TRIBUNE CO NEW                    896047107      5,183 000000158424 SH       DEFINED 01         SOLE
         TRIZEC PROPERTIES INC             89687P107     22,561 000000780400 SH       DEFINED 01         SOLE
         TRUMP ENTMT RESORTS IN C          89816T103        439 000000025906 SH       DEFINED 01         SOLE
         TYSON FOODS INC                   902494103      3,324 000000209378 SH       DEFINED 01         SOLE
         UAL CORP                          902549807      1,174 000000044197 SH       DEFINED 01         SOLE
         UST INC                           902911106      7,327 000000133647 SH       DEFINED 01         SOLE
         US BANCORP DEL                    902973304     49,892 000001501890 SH       DEFINED 01         SOLE
         U S G CORP                        903293405      1,448 000000030800 SH       DEFINED 01         SOLE
         UNION PAC CORP                    907818108     19,698 000000223844 SH       DEFINED 01         SOLE
         UNISYS CORP                       909214108      1,616 000000285669 SH       DEFINED 01         SOLE
         UNITED PARCEL SERVICE  INC        911312106     64,891 000000902025 SH       DEFINED 01         SOLE
         UNITED RENTALS INC                911363109      1,534 000000066000 SH       DEFINED 01         SOLE
         UNITED STATES STL CORP  NEW       912909108      5,896 000000102223 SH       DEFINED 01         SOLE
         UNITED TECHNOLOGIES CO RP         913017109     53,466 000000843992 SH       DEFINED 01         SOLE
         UNITEDHEALTH GROUP INC            91324P102     55,301 000001124016 SH       DEFINED 01         SOLE
         V F CORP                          918204108      5,379 000000073736 SH       DEFINED 01         SOLE
         VERISIGN INC                      92343E102      4,231 000000209497 SH       DEFINED 01         SOLE
         VERIZON COMMUNICATIONS            92343V104     89,676 000002415209 SH       DEFINED 01         SOLE
         VIACELL INC                       92554J105    142,397 000001692184 SH       DEFINED 02         SOLE
         VORNADO RLTY TR                   929042109     11,036 000000101256 SH       DEFINED 01         SOLE
         VULCAN MATLS CO                   929160109      6,391 000000081678 SH       DEFINED 01         SOLE
         WACHOVIA CORP 2ND NEW             929903102     74,009 000001326337 SH       DEFINED 01         SOLE
         WAL MART STORES INC               931142103    101,716 000002062404 SH       DEFINED 01         SOLE
         WALGREEN CO                       931422109     37,235 000000838835 SH       DEFINED 01         SOLE
         WALTER INDS INC                   93317Q105      1,621 000000038000 SH       DEFINED 01         SOLE
         WARRIOR ENERGY SVC CORP           936258102      1,802 000000070000 SH       DEFINED 01         SOLE
         WASHINGTON MUT INC                939322103     34,981 000000804734 SH       DEFINED 01         SOLE
         WASTE MGMT INC DEL                94106L109     16,562 000000451530 SH       DEFINED 01         SOLE
         WATCHGUARD TECHNOLOGIE S INC      941105108         85 000000020000 SH       DEFINED 01         SOLE
         WATERS CORP                       941848103      3,856 000000085179 SH       DEFINED 01         SOLE
1Page     12                                                                                                      06-11-13  08:38:08
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2006
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0        WATSON PHARMACEUTICALS  INC       942683103      2,224 000000084996 SH       DEFINED 01         SOLE
         WELLPOINT INC                     94973V107     39,882 000000517622 SH       DEFINED 01         SOLE
         WELLS FARGO & CO NEW              949746101    101,951 000002817923 SH       DEFINED 01         SOLE
         WENDYS INTL INC                   950590109      6,548 000000097743 SH       DEFINED 01         SOLE
         WEST CORP                         952355105      7,969 000000165000 SH       DEFINED 01         SOLE
         WHIRLPOOL CORP                    963320106      5,461 000000064933 SH       DEFINED 01         SOLE
         WHOLE FOODS MKT INC               966837106      7,042 000000118498 SH       DEFINED 01         SOLE
         WILLIAMS COS INC DEL              969457100     11,818 000000495100 SH       DEFINED 01         SOLE
         WINDROSE MED PPTYS T R            973491103      2,828 000000160000 SH       DEFINED 01         SOLE
         WINDSTREAM CORP                   97381W104      5,196 000000393949 SH       DEFINED 01         SOLE
         WRIGLEY WM JR CO                  982526105      8,451 000000183495 SH       DEFINED 01         SOLE
         WYETH                             983024100     56,973 000001120637 SH       DEFINED 01         SOLE
         WYNDHAM WORLDWIDE CORP            98310W108      4,656 000000166488 SH       DEFINED 01         SOLE
         XTO ENERGY INC                    98385X106     12,803 000000303904 SH       DEFINED 01         SOLE
         XCEL ENERGY INC                   98389B100      6,966 000000337371 SH       DEFINED 01         SOLE
         XILINX INC                        983919101      6,199 000000282436 SH       DEFINED 01         SOLE
         YAHOO INC                         984332106     26,591 000001051919 SH       DEFINED 01         SOLE
         YUM BRANDS INC                    988498101     11,708 000000224948 SH       DEFINED 01         SOLE
         ZIMMER HLDGS INC                  98956P102     13,684 000000202729 SH       DEFINED 01         SOLE
         ZIONS BANCORPORATION              989701107      7,074 000000088639 SH       DEFINED 01         SOLE