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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 March 31, 2007

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  May 14, 2007
                                      ------------------------------------------
                                              (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:  642

Form 13F Information Table Value Total: $11,593,118
                                         (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
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
                                                                                            

0ACE LTD                                   G0070K103      9,881 000000173179 SH       DEFINED 01         SOLE
 COOPER INDS LTD                           G24182100      4,351 000000096729 SH       DEFINED 01         SOLE
 HERBALIFE LTD                             G4412G101      1,763 000000045000 SH       DEFINED 01         SOLE
 INGERSOLL-RAND COMPANY LTD                G4776G101      7,075 000000163150 SH       DEFINED 01         SOLE
 NABORS INDUSTRIES LTD                     G6359F103      4,486 000000151208 SH       DEFINED 01         SOLE
 NOBLE CORPORATION                         G65422100      5,611 000000071319 SH       DEFINED 01         SOLE
 PXRE GROUP LTD                            G73018106      1,259 000000262320 SH       DEFINED 01         SOLE
 SINA CORP                                 G81477104        563 000000016773 SH       DEFINED 02         SOLE
 TRANSOCEAN INC                            G90078109     12,686 000000155286 SH       DEFINED 01         SOLE
 WEATHERFORD INTERNATIONAL LT              G95089101      8,083 000000179241 SH       DEFINED 01         SOLE
 XL CAP LTD                                G98255105      6,713 000000095967 SH       DEFINED 01         SOLE
 A D C TELECOMMUNICATIONS                  000886309      1,040 000000062157 SH       DEFINED 01         SOLE
 AFLAC INC                                 001055102     13,246 000000281482 SH       DEFINED 01         SOLE
 AES CORP                                  00130H105      7,576 000000352058 SH       DEFINED 01         SOLE
 AT&T INC                                  00206R102    130,503 000003309751 SH       DEFINED 01         SOLE
 ABBOTT LABS                               002824100     45,846 000000821623 SH       DEFINED 01         SOLE
 ABERCROMBIE & FITCH CO                    002896207        549 000000007263 SH       DEFINED 01         SOLE
 ACCURIDE CORP                             004398103        375 000000025700 SH       DEFINED 01         SOLE
 ADOBE SYS INC                             00724F101     13,006 000000311915 SH       DEFINED 01         SOLE
 AEROFLEX INC                              007768104      2,831 000000215307 SH       DEFINED 01         SOLE
 ADVANCED MICRO DEVICES INC                007903107      3,841 000000294147 SH       DEFINED 01         SOLE
 AETNA INC NEW                             00817Y108     11,985 000000273715 SH       DEFINED 01         SOLE
 AFFILIATED COMPUTER SERVICES              008190100      3,140 000000053338 SH       DEFINED 01         SOLE
 AGILENT TECHNOLOGIES INC                  00846U101      7,208 000000213954 SH       DEFINED 01         SOLE
 AIR PRODS & CHEMS INC                     009158106      8,485 000000114729 SH       DEFINED 01         SOLE
 ALCOA INC                                 013817101     15,624 000000460910 SH       DEFINED 01         SOLE
 ALLEGHENY ENERGY INC                      017361106      4,283 000000087171 SH       DEFINED 01         SOLE
 ALLEGHENY TECHNOLOGIES INC                01741R102      5,766 000000054048 SH       DEFINED 01         SOLE
 ALLERGAN INC                              018490102      9,026 000000081455 SH       DEFINED 01         SOLE
 ALLIED WASTE INDS INC                     019589308      1,701 000000135159 SH       DEFINED 01         SOLE
 ALLSTATE CORP                             020002101     20,045 000000333765 SH       DEFINED 01         SOLE
 ALLTEL CORP                               020039103     11,838 000000190942 SH       DEFINED 01         SOLE
 ALTERA CORP                               021441100      3,777 000000188982 SH       DEFINED 01         SOLE
 ALTIRIS INC                               02148M100     12,508 000000380096 SH       DEFINED 01         SOLE
 ALTRIA GROUP INC                          02209S103     97,677 000001112371 SH       DEFINED 01         SOLE
 ALTUS PHARMACEUTICALS INC                 02216N105     13,272 000000866624 SH       DEFINED 02         SOLE
 AMAZON COM INC                            023135106      6,559 000000164852 SH       DEFINED 01         SOLE
 AMBAC FINL GROUP INC                      023139108      4,686 000000054243 SH       DEFINED 01         SOLE
 AMEREN CORP                               023608102      5,508 000000109511 SH       DEFINED 01         SOLE
 AMERICAN ELEC PWR INC                     025537101     10,250 000000210259 SH       DEFINED 01         SOLE
 AMERICAN EXPRESS CO                       025816109     36,333 000000644212 SH       DEFINED 01         SOLE
 AMERICAN INTL GROUP INC                   026874107     92,695 000001378988 SH       DEFINED 01         SOLE
 AMERICAN STD COS INC DEL                  029712106      4,910 000000092617 SH       DEFINED 01         SOLE
 AMERISOURCEBERGEN CORP                    03073E105      5,297 000000100424 SH       DEFINED 01         SOLE
 AMERIPRISE FINL INC                       03076C106      7,244 000000126788 SH       DEFINED 01         SOLE
 AMGEN INC                                 031162100     34,725 000000621423 SH       DEFINED 01         SOLE
1Page      2                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0AMGEN INC                                 031162100        304 000000005453 SH       DEFINED 02         SOLE
 ANADARKO PETE CORP                        032511107     10,550 000000245464 SH       DEFINED 01         SOLE
 ANALOG DEVICES INC                        032654105      6,100 000000176885 SH       DEFINED 01         SOLE
 ANHEUSER BUSCH COS INC                    035229103     20,404 000000404379 SH       DEFINED 01         SOLE
 ANNTAYLOR STORES CORP                     036115103        211 000000005462 SH       DEFINED 01         SOLE
 AON CORP                                  037389103      6,060 000000159650 SH       DEFINED 01         SOLE
 APACHE CORP                               037411105     12,649 000000178923 SH       DEFINED 01         SOLE
 APARTMENT INVT & MGMT CO                  03748R101      2,984 000000051727 SH       DEFINED 01         SOLE
 APOLLO GROUP INC                          037604105      3,256 000000074178 SH       DEFINED 01         SOLE
 APPLE INC                                 037833100     42,445 000000456840 SH       DEFINED 01         SOLE
 APPLE INC                                 037833100      1,919 000000020665 SH       DEFINED 02         SOLE
 APPLERA CORP                              038020103      2,876 000000097292 SH       DEFINED 01         SOLE
 APPLIED MATLS INC                         038222105     13,716 000000748730 SH       DEFINED 01         SOLE
 ARCHER DANIELS MIDLAND CO                 039483102     12,697 000000345981 SH       DEFINED 01         SOLE
 ARCHSTONE SMITH TR                        039583109      6,340 000000116813 SH       DEFINED 01         SOLE
 ARMSTRONG WORLD INDS INC                  04247X102      2,722 000000053548 SH       DEFINED 01         SOLE
 ASHLAND INC NEW                           044209104      1,939 000000029569 SH       DEFINED 01         SOLE
 ASSOCIATED BANC CORP                      045487105        556 000000016566 SH       DEFINED 01         SOLE
 ATLAS AIR WORLDWIDE HLDGS                 049164205      4,369 000000081642 SH       DEFINED 01         SOLE
 AUTODESK INC                              052769106      4,617 000000122808 SH       DEFINED 01         SOLE
 AUTOMATIC DATA PROCESSING IN              053015103     15,050 000000310957 SH       DEFINED 01         SOLE
 AUTONATION INC                            05329W102      1,899 000000089411 SH       DEFINED 01         SOLE
 AUTOZONE INC                              053332102      3,380 000000026380 SH       DEFINED 01         SOLE
 AVALONBAY CMNTYS INC                      053484101      5,467 000000042058 SH       DEFINED 01         SOLE
 AVAYA INC                                 053499109      2,837 000000240291 SH       DEFINED 01         SOLE
 AVERY DENNISON CORP                       053611109      3,123 000000048611 SH       DEFINED 01         SOLE
 AVON PRODS INC                            054303102      8,711 000000233793 SH       DEFINED 01         SOLE
 BB&T CORP                                 054937107     11,784 000000287277 SH       DEFINED 01         SOLE
 BJ SVCS CO                                055482103      4,336 000000155428 SH       DEFINED 01         SOLE
 BMC SOFTWARE INC                          055921100      3,328 000000108112 SH       DEFINED 01         SOLE
 BAIDU COM INC                             056752108        294 000000003048 SH       DEFINED 02         SOLE
 BAKER HUGHES INC                          057224107     11,225 000000169743 SH       DEFINED 01         SOLE
 BALL CORP                                 058498106      2,504 000000054624 SH       DEFINED 01         SOLE
 BANK OF AMERICA CORPORATION               060505104    120,946 000002370580 SH       DEFINED 01         SOLE
 BANK OF AMERICA CORPORATION               060505104      1,298 000000025451 SH       DEFINED 02         SOLE
 BANK NEW YORK INC                         064057102     35,351 000000871805 SH       DEFINED 01         SOLE
 BARD C R INC                              067383109      4,351 000000054723 SH       DEFINED 01         SOLE
 BARR PHARMACEUTICALS INC                  068306109      2,618 000000056490 SH       DEFINED 01         SOLE
 BAUSCH & LOMB INC                         071707103      1,474 000000028827 SH       DEFINED 01         SOLE
 BAXTER INTL INC                           071813109     18,141 000000344439 SH       DEFINED 01         SOLE
 BEAR STEARNS COS INC                      073902108      9,545 000000063486 SH       DEFINED 01         SOLE
 BECTON DICKINSON & CO                     075887109      9,968 000000129646 SH       DEFINED 01         SOLE
 BED BATH & BEYOND INC                     075896100      6,033 000000150204 SH       DEFINED 01         SOLE
 BEMIS INC                                 081437105      1,850 000000055415 SH       DEFINED 01         SOLE
 BEST BUY INC                              086516101     10,454 000000214574 SH       DEFINED 01         SOLE
 BIG LOTS INC                              089302103      1,828 000000058455 SH       DEFINED 01         SOLE
1Page      3                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0BIOMET INC                                090613100      5,940 000000139817 SH       DEFINED 01         SOLE
 BIOGEN IDEC INC                           09062X103      8,055 000000181514 SH       DEFINED 01         SOLE
 BIOSITE INC                               090945106      4,078 000000048566 SH       DEFINED 01         SOLE
 BLACK & DECKER CORP                       091797100      2,835 000000034740 SH       DEFINED 01         SOLE
 BLOCK H & R INC                           093671105      3,594 000000170836 SH       DEFINED 01         SOLE
 BOEING CO                                 097023105     37,356 000000420161 SH       DEFINED 01         SOLE
 BOSTON PROPERTIES INC                     101121101      7,402 000000063050 SH       DEFINED 01         SOLE
 BOSTON SCIENTIFIC CORP                    101137107      9,127 000000627738 SH       DEFINED 01         SOLE
 BRINKS CO                                 109696104      3,172 000000050000 SH       DEFINED 02         SOLE
 BRISTOL MYERS SQUIBB CO                   110122108     29,715 000001070437 SH       DEFINED 01         SOLE
 BRISTOL WEST HLDG S INC                   11037M105      4,657 000000210062 SH       DEFINED 01         SOLE
 BROADCOM CORP                             111320107      8,015 000000249934 SH       DEFINED 01         SOLE
 BROWN & BROWN INC                         115236101        319 000000011796 SH       DEFINED 01         SOLE
 BROWN FORMAN CORP                         115637209      2,738 000000041774 SH       DEFINED 01         SOLE
 BRUNSWICK CORP                            117043109      1,533 000000048134 SH       DEFINED 01         SOLE
 BURLINGTON NORTHN SANTA FE C              12189T104     15,303 000000190267 SH       DEFINED 01         SOLE
 CB RICHARD ELLIS GROUP INC                12497T101      3,384 000000099009 SH       DEFINED 01         SOLE
 C H ROBINSON WORLDWIDE INC                12541W209      4,408 000000091748 SH       DEFINED 01         SOLE
 CIGNA CORP                                125509109      7,372 000000051678 SH       DEFINED 01         SOLE
 CIT GROUP INC                             125581108      5,427 000000102564 SH       DEFINED 01         SOLE
 CMS ENERGY CORP                           125896100      2,106 000000118336 SH       DEFINED 01         SOLE
 CSX CORP                                  126408103      9,272 000000231527 SH       DEFINED 01         SOLE
 CVS CORP                                  126650100     33,724 000000987826 SH       DEFINED 01         SOLE
 CA INC                                    12673P105      5,649 000000218034 SH       DEFINED 01         SOLE
 CABLEVISION SYS CORP                      12686C109      1,189 000000039100 SH       DEFINED 01         SOLE
 CAMPBELL SOUP CO                          134429109      5,172 000000132804 SH       DEFINED 01         SOLE
 CAPITAL ONE FINL CORP                     14040H105     17,394 000000230514 SH       DEFINED 01         SOLE
 CARDINAL HEALTH INC                       14149Y108     16,099 000000220692 SH       DEFINED 01         SOLE
 CARNIVAL CORP                             143658300     10,988 000000234496 SH       DEFINED 01         SOLE
 CATERPILLAR INC DEL                       149123101     22,945 000000342314 SH       DEFINED 01         SOLE
 CBOT HLDGS INC                            14984K106      1,653 000000009112 SH       DEFINED 01         SOLE
 CELGENE CORP                              151020104     10,498 000000200125 SH       DEFINED 01         SOLE
 CENTERPOINT ENERGY INC                    15189T107      3,043 000000169655 SH       DEFINED 01         SOLE
 CENTEX CORP                               152312104      2,645 000000063310 SH       DEFINED 01         SOLE
 CENTURYTEL INC                            156700106      2,665 000000058986 SH       DEFINED 01         SOLE
 CHESAPEAKE ENERGY CORP                    165167107      6,702 000000217034 SH       DEFINED 01         SOLE
 CHEVRON CORP NEW                          166764100     84,842 000001147146 SH       DEFINED 01         SOLE
 CHICAGO MERCANTILE HLDGS INC              167760107      9,849 000000018499 SH       DEFINED 01         SOLE
 CHUBB CORP                                171232101     11,190 000000216578 SH       DEFINED 01         SOLE
 CIENA CORP                                171779309      1,260 000000045113 SH       DEFINED 01         SOLE
 CINCINNATI FINL CORP                      172062101      3,884 000000091611 SH       DEFINED 01         SOLE
 CIRCUIT CITY STORE INC                    172737108      1,398 000000075466 SH       DEFINED 01         SOLE
 CISCO SYS INC                             17275R102     81,955 000003210162 SH       DEFINED 01         SOLE
 CINTAS CORP                               172908105      2,597 000000071948 SH       DEFINED 01         SOLE
 CITIGROUP INC                             172967101    133,412 000002598606 SH       DEFINED 01         SOLE
 CITIGROUP INC                             172967101      1,269 000000024719 SH       DEFINED 02         SOLE
1Page      4                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0CITIZENS COMMUNICATIONS CO                17453B101      2,684 000000179550 SH       DEFINED 01         SOLE
 CITRIX SYS INC                            177376100      3,065 000000095717 SH       DEFINED 01         SOLE
 CLAIRES STORES INC                        179584107      6,102 000000190000 SH       DEFINED 01         SOLE
 CLEAR CHANNEL COMMUNICATIONS              184502102     15,070 000000430106 SH       DEFINED 01         SOLE
 CLOROX CO DEL                             189054109      5,103 000000080134 SH       DEFINED 01         SOLE
 COACH INC                                 189754104      9,820 000000196210 SH       DEFINED 01         SOLE
 COASTAL FINL CORP  DEL                    19046E105      3,155 000000201909 SH       DEFINED 01         SOLE
 COCA COLA CO                              191216100     51,945 000001082192 SH       DEFINED 01         SOLE
 COCA COLA CO                              191216100        609 000000012688 SH       DEFINED 02         SOLE
 COCA COLA ENTERPRISES INC                 191219104      2,987 000000147520 SH       DEFINED 01         SOLE
 COGNIZANT TECHNOLOGY SOLUTIO              192446102      6,675 000000075626 SH       DEFINED 01         SOLE
 COLGATE PALMOLIVE CO                      194162103     18,175 000000272133 SH       DEFINED 01         SOLE
 COLGATE PALMOLIVE CO                      194162103        602 000000009020 SH       DEFINED 02         SOLE
 COMCAST CORP NEW                          20030N101     42,779 000001648518 SH       DEFINED 01         SOLE
 COMCAST CORP NEW                          20030N200        984 000000038650 SH       DEFINED 01         SOLE
 COMERICA INC                              200340107      4,942 000000083602 SH       DEFINED 01         SOLE
 COMMERCE BANCORP INC NJ                   200519106      3,318 000000099404 SH       DEFINED 01         SOLE
 COMPASS BANCSHARES INC                    20449H109      5,440 000000079083 SH       DEFINED 01         SOLE
 COMPUTER SCIENCES CORP                    205363104      4,787 000000091840 SH       DEFINED 01         SOLE
 COMPUWARE CORP                            205638109      1,630 000000171864 SH       DEFINED 01         SOLE
 CONAGRA FOODS INC                         205887102      6,848 000000274944 SH       DEFINED 01         SOLE
 CONOCOPHILLIPS                            20825C104     59,858 000000875764 SH       DEFINED 01         SOLE
 CONSECO INC                               208464883      1,156 000000066822 SH       DEFINED 01         SOLE
 CONSOL ENERGY INC                         20854P109      3,785 000000096746 SH       DEFINED 01         SOLE
 CONSOLIDATED EDISON INC                   209115104      6,973 000000136567 SH       DEFINED 01         SOLE
 CONSTELLATION BRANDS INC                  21036P108      2,368 000000111809 SH       DEFINED 01         SOLE
 CONSTELLATION ENERGY GROUP I              210371100      8,327 000000095769 SH       DEFINED 01         SOLE
 CONVERGYS CORP                            212485106      1,841 000000072460 SH       DEFINED 01         SOLE
 CORNING INC                               219350105     18,920 000000832034 SH       DEFINED 01         SOLE
 COSTCO WHSL CORP NEW                      22160K105     12,907 000000239747 SH       DEFINED 01         SOLE
 COUNTRYWIDE FINANCIAL CORP                222372104     10,516 000000312631 SH       DEFINED 01         SOLE
 COVAD COMMUNICATIONS GROUP                222814204         80 000000063499 SH       DEFINED 01         SOLE
 COVENTRY HEALTH CARE INC                  222862104      4,739 000000084563 SH       DEFINED 01         SOLE
 CTRIP COM INTL LTD                        22943F100        380 000000005686 SH       DEFINED 02         SOLE
 CUMMINS INC                               231021106      4,002 000000027655 SH       DEFINED 01         SOLE
 D R HORTON INC                            23331A109      3,183 000000144716 SH       DEFINED 01         SOLE
 DTE ENERGY CO                             233331107      4,497 000000093896 SH       DEFINED 01         SOLE
 DANAHER CORP DEL                          235851102      9,013 000000126154 SH       DEFINED 01         SOLE
 DARDEN RESTAURANTS INC                    237194105      3,170 000000076977 SH       DEFINED 01         SOLE
 DEAN FOODS CO NEW                         242370104      3,194 000000068351 SH       DEFINED 01         SOLE
 DEERE & CO                                244199105     13,117 000000120739 SH       DEFINED 01         SOLE
 DELL INC                                  24702R101     28,083 000001209981 SH       DEFINED 01         SOLE
 DELL INC                                  24702R101        728 000000031370 SH       DEFINED 02         SOLE
 DELTA & PINE LD CO                        247357106        417 000000010145 SH       DEFINED 01         SOLE
 DENDRITE INTL INC                         248239105      4,529 000000289225 SH       DEFINED 01         SOLE
 DEVELOPERS DIVERSIFIED RLTY               251591103      4,226 000000067200 SH       DEFINED 01         SOLE
1Page      5                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0DEVON ENERGY CORP NEW                     25179M103     16,307 000000235592 SH       DEFINED 01         SOLE
 DIAMONDS TR                               252787106    319,360 000002584029 SH       DEFINED 01         SOLE
 DILLARDS INC                              254067101      1,055 000000032262 SH       DEFINED 01         SOLE
 DIRECTV GROUP INC                         25459L106      9,472 000000410610 SH       DEFINED 01         SOLE
 DISNEY WALT CO                            254687106     37,899 000001100781 SH       DEFINED 01         SOLE
 DOLLAR GEN CORP                           256669102      8,785 000000415393 SH       DEFINED 01         SOLE
 DOMINION RES INC VA NEW                   25746U109     16,419 000000184970 SH       DEFINED 01         SOLE
 DONNELLEY R R & SONS CO                   257867101      4,235 000000115762 SH       DEFINED 01         SOLE
 DOVER CORP                                260003108      5,296 000000108504 SH       DEFINED 01         SOLE
 DOW CHEM CO                               260543103     23,316 000000508420 SH       DEFINED 01         SOLE
 DOW JONES & CO INC                        260561105      1,192 000000034600 SH       DEFINED 01         SOLE
 DU PONT E I DE NEMOURS & CO               263534109     24,212 000000489841 SH       DEFINED 01         SOLE
 DUKE ENERGY CORP NEW                      26441C105     13,520 000000666350 SH       DEFINED 01         SOLE
 DUQUESNE LT HLDGS INC                     266233105      1,689 000000085362 SH       DEFINED 01         SOLE
 DYAX CORP                                 26746E103        201 000000048900 SH       DEFINED 01         SOLE
 DYNEGY INC NEW                            26816Q101      1,858 000000200652 SH       DEFINED 01         SOLE
 E M C CORP MASS                           268648102     15,843 000001143924 SH       DEFINED 01         SOLE
 ENSCO INTL INC                            26874Q100      4,348 000000079942 SH       DEFINED 01         SOLE
 EOG RES INC                               26875P101      9,226 000000129335 SH       DEFINED 01         SOLE
 E TRADE FINANCIAL CORP                    269246104      4,804 000000226415 SH       DEFINED 01         SOLE
 EASTMAN CHEM CO                           277432100      2,806 000000044310 SH       DEFINED 01         SOLE
 EASTMAN KODAK CO                          277461109      3,438 000000152395 SH       DEFINED 01         SOLE
 EATON CORP                                278058102      6,476 000000077510 SH       DEFINED 01         SOLE
 EBAY INC                                  278642103     20,383 000000614883 SH       DEFINED 01         SOLE
 ECOLAB INC                                278865100      4,056 000000094331 SH       DEFINED 01         SOLE
 EDISON INTL                               281020107      8,484 000000172695 SH       DEFINED 01         SOLE
 EL PASO CORP                              28336L109      5,356 000000370157 SH       DEFINED 01         SOLE
 ELECTRONIC ARTS INC                       285512109      8,276 000000164339 SH       DEFINED 01         SOLE
 ELECTRONIC DATA SYS NEW                   285661104      7,547 000000272677 SH       DEFINED 01         SOLE
 EMBARQ CORP                               29078E105      4,494 000000079756 SH       DEFINED 01         SOLE
 EMERSON ELEC CO                           291011104     18,224 000000422933 SH       DEFINED 01         SOLE
 ENTERGY CORP NEW                          29364G103     11,144 000000106215 SH       DEFINED 01         SOLE
 EQUIFAX INC                               294429105      2,412 000000066181 SH       DEFINED 01         SOLE
 EQUITY RESIDENTIAL                        29476L107      7,516 000000155843 SH       DEFINED 01         SOLE
 EXELON CORP                               30161N101     24,489 000000356419 SH       DEFINED 01         SOLE
 EXPRESS SCRIPTS INC                       302182100      5,802 000000071889 SH       DEFINED 01         SOLE
 EXXON MOBIL CORP                          30231G102    227,694 000003017822 SH       DEFINED 01         SOLE
 F M C CORP                                302491303        271 000000003594 SH       DEFINED 01         SOLE
 FPL GROUP INC                             302571104     13,150 000000214985 SH       DEFINED 01         SOLE
 FTI CONSULTING INC                        302941109        797 000000023750 SH       DEFINED 01         SOLE
 FAMILY DLR STORES INC                     307000109      2,379 000000080333 SH       DEFINED 01         SOLE
 FEDERAL HOME LN MTG CORP                  313400301     21,852 000000367331 SH       DEFINED 01         SOLE
 FEDERAL NATL MTG ASSN                     313586109     28,073 000000514349 SH       DEFINED 01         SOLE
 FEDERATED DEPT STORES INC DE              31410H101     12,540 000000278362 SH       DEFINED 01         SOLE
 FEDERATED INVS INC PA                     314211103      1,731 000000047159 SH       DEFINED 01         SOLE
 FEDEX CORP                                31428X106     17,692 000000164686 SH       DEFINED 01         SOLE
1Page      6                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0FIDELITY NATL INFORMATION SV              31620M106      3,923 000000086301 SH       DEFINED 01         SOLE
 FIFTH THIRD BANCORP                       316773100     11,407 000000294845 SH       DEFINED 01         SOLE
 FIRST AMERN CORP CALIF                    318522307        448 000000008835 SH       DEFINED 01         SOLE
 FIRST DATA CORP                           319963104     11,062 000000411228 SH       DEFINED 01         SOLE
 FIRST HORIZON NATL CORP                   320517105      2,758 000000066433 SH       DEFINED 01         SOLE
 FIRST REP BK SAN  FRANCISCO               336158100     13,564 000000252604 SH       DEFINED 01         SOLE
 FISERV INC                                337738108      4,797 000000090421 SH       DEFINED 01         SOLE
 FIRSTENERGY CORP                          337932107     11,207 000000169194 SH       DEFINED 01         SOLE
 FLORIDA ROCK INDS INC                     341140101      4,710 000000070000 SH       DEFINED 01         SOLE
 FLUOR CORP NEW                            343412102      4,177 000000046564 SH       DEFINED 01         SOLE
 FORD MTR CO DEL                           345370860      7,915 000001003250 SH       DEFINED 01         SOLE
 FOREST LABS INC                           345838106      8,666 000000168479 SH       DEFINED 01         SOLE
 FORTUNE BRANDS INC                        349631101      6,366 000000080771 SH       DEFINED 01         SOLE
 FOUR SEASONS HOTEL INC                    35100E104     12,558 000000156400 SH       DEFINED 01         SOLE
 FRANKLIN RES INC                          354613101     10,721 000000088735 SH       DEFINED 01         SOLE
 FREEPORT-MCMORAN COPPER & GO              35671D857     13,150 000000198678 SH       DEFINED 01         SOLE
 GANNETT INC                               364730101      7,006 000000124469 SH       DEFINED 01         SOLE
 GAP INC DEL                               364760108      4,806 000000279284 SH       DEFINED 01         SOLE
 GENERAL DYNAMICS CORP                     369550108     16,430 000000215054 SH       DEFINED 01         SOLE
 GENERAL ELECTRIC CO                       369604103    192,734 000005450633 SH       DEFINED 01         SOLE
 GENERAL ELECTRIC CO                       369604103        546 000000015464 SH       DEFINED 02         SOLE
 GENERAL MLS INC                           370334104     10,651 000000182951 SH       DEFINED 01         SOLE
 GENERAL MTRS CORP                         370442105      9,186 000000299807 SH       DEFINED 01         SOLE
 GENESIS HEALTHCARE CORP                   37184D101      4,107 000000065080 SH       DEFINED 01         SOLE
 GENUINE PARTS CO                          372460105      4,430 000000090412 SH       DEFINED 01         SOLE
 GENWORTH FINL INC                         37247D106      8,163 000000233645 SH       DEFINED 01         SOLE
 GENZYME CORP                              372917104      8,381 000000139642 SH       DEFINED 01         SOLE
 GERDAU S A                                373737105        432 000000023880 SH       DEFINED 02         SOLE
 GILEAD SCIENCES INC                       375558103     18,878 000000246297 SH       DEFINED 01         SOLE
 GOL LINHAS AEREAS INTLG S A               38045R107      1,735 000000057022 SH       DEFINED 02         SOLE
 GOLDMAN SACHS GROUP INC                   38141G104     45,054 000000218042 SH       DEFINED 01         SOLE
 GOODRICH CORP                             382388106      3,421 000000066456 SH       DEFINED 01         SOLE
 GOODYEAR TIRE & RUBR CO                   382550101      5,200 000000166742 SH       DEFINED 01         SOLE
 GOODYEAR TIRE & RUBR CO                   382550101      2,331 000000074750 SH       DEFINED 01         SOLE
 GOOGLE INC                                38259P508     52,860 000000115375 SH       DEFINED 01         SOLE
 GOVERNMENT PPTYS TR INC                   38374W107      2,611 000000244100 SH       DEFINED 01         SOLE
 GRACE W R & CO DEL NEW                    38388F108      2,606 000000098650 SH       DEFINED 01         SOLE
 GRAINGER W W INC                          384802104      2,934 000000037996 SH       DEFINED 01         SOLE
 HALLIBURTON CO                            406216101     19,984 000000629621 SH       DEFINED 01         SOLE
 HARLEY DAVIDSON INC                       412822108      8,020 000000136515 SH       DEFINED 01         SOLE
 HARMAN INTL INDS INC                      413086109      3,332 000000034689 SH       DEFINED 01         SOLE
 HARRAHS ENTMT INC                         413619107     15,099 000000178802 SH       DEFINED 01         SOLE
 HARTFORD FINL SVCS GROUP INC              416515104     16,471 000000172331 SH       DEFINED 01         SOLE
 HASBRO INC                                418056107      2,440 000000085283 SH       DEFINED 01         SOLE
 HEINZ H J CO                              423074103      8,113 000000172184 SH       DEFINED 01         SOLE
 HERCULES INC                              427056106      1,215 000000062186 SH       DEFINED 01         SOLE
1Page      7                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0HERSHEY CO                                427866108      5,015 000000091763 SH       DEFINED 01         SOLE
 HESS CORP                                 42809H107      7,943 000000143204 SH       DEFINED 01         SOLE
 HEWLETT PACKARD CO                        428236103     56,945 000001418669 SH       DEFINED 01         SOLE
 HILTON HOTELS CORP                        432848109      7,413 000000206166 SH       DEFINED 01         SOLE
 HOME DEPOT INC                            437076102     39,744 000001081775 SH       DEFINED 01         SOLE
 HOME DEPOT INC                            437076102        403 000000010985 SH       DEFINED 02         SOLE
 HONEYWELL INTL INC                        438516106     19,677 000000427213 SH       DEFINED 01         SOLE
 HORNBECK OFFSHORE SVCS INC N              440543106      1,515 000000052900 SH       DEFINED 01         SOLE
 HOSPIRA INC                               441060100      3,378 000000082616 SH       DEFINED 01         SOLE
 HOST HOTELS & RESORTS INC                 44107P104      7,262 000000276052 SH       DEFINED 01         SOLE
 HOUSTON EXPL CO                           442120101      4,052 000000075119 SH       DEFINED 01         SOLE
 HUDSON CITY BANCORP                       443683107      3,588 000000262325 SH       DEFINED 01         SOLE
 HUMANA INC                                444859102      5,127 000000088373 SH       DEFINED 01         SOLE
 HUNTINGTON BANCSHARES INC                 446150104      2,727 000000124828 SH       DEFINED 01         SOLE
 HUNTSMAN CORP                             447011107        887 000000046479 SH       DEFINED 01         SOLE
 HYDRIL                                    448774109     13,759 000000142968 SH       DEFINED 01         SOLE
 HYPERION SOLUTIONS CORP                   44914M104     16,079 000000310242 SH       DEFINED 01         SOLE
 IAC INTERACTIVECORP                       44919P300      4,340 000000115103 SH       DEFINED 01         SOLE
 ICO GLOBAL COMM HLDGS LTD                 44930K108        992 000000254429 SH       DEFINED 01         SOLE
 IMS HEALTH INC                            449934108      3,067 000000103437 SH       DEFINED 01         SOLE
 ITT CORP NEW                              450911102      5,812 000000096358 SH       DEFINED 01         SOLE
 IDENIX PHARMACEUTICALS INC                45166R204      2,226 000000301476 SH       DEFINED 02         SOLE
 ILLINOIS TOOL WKS INC                     452308109     11,506 000000222991 SH       DEFINED 01         SOLE
 INFRASOURCE SVCS  INC                     45684P102      3,306 000000108309 SH       DEFINED 01         SOLE
 INTEL CORP                                458140100     58,477 000003056836 SH       DEFINED 01         SOLE
 INTEGRYS ENERGY GROUP INC                 45822P105      2,212 000000039860 SH       DEFINED 01         SOLE
 INTERNATIONAL BUSINESS MACHS              459200101     75,221 000000798022 SH       DEFINED 01         SOLE
 INTERNATIONAL BUSINESS MACHS              459200101        668 000000007090 SH       DEFINED 02         SOLE
 INTERNATIONAL FLAVORS&FRAGRA              459506101      1,955 000000041404 SH       DEFINED 01         SOLE
 INTERNATIONAL GAME TECHNOLOG              459902102      7,240 000000179306 SH       DEFINED 01         SOLE
 INTL PAPER CO                             460146103      8,732 000000239893 SH       DEFINED 01         SOLE
 INTERPUBLIC GROUP COS INC                 460690100      3,058 000000248439 SH       DEFINED 01         SOLE
 INTRALASE CORP                            461169104      8,063 000000322801 SH       DEFINED 01         SOLE
 INTUIT                                    461202103      4,968 000000181582 SH       DEFINED 01         SOLE
 INVESTORS FINL SERVICES CORP              461915100     11,630 000000200000 SH       DEFINED 01         SOLE
 ISHARES COMEX GOL D TR                    464285105      3,813 000000057930 SH       DEFINED 02         SOLE
 ISHARES INC                               464286608      2,382 000000021999 SH       DEFINED 02         SOLE
 ISHARES INC                               464286699      1,883 000000078253 SH       DEFINED 02         SOLE
 ISHARES INC                               464286822      2,337 000000043000 SH       DEFINED 02         SOLE
 ISHARES TR                                464287234      7,371 000000063275 SH       DEFINED 02         SOLE
 ISHARES TR                                464287390      2,414 000000013539 SH       DEFINED 02         SOLE
 JDS UNIPHASE CORP                         46612J507      1,704 000000111940 SH       DEFINED 01         SOLE
 JP MORGAN CHASE & CO                      46625H100     89,070 000001841070 SH       DEFINED 01         SOLE
 JABIL CIRCUIT INC                         466313103      2,095 000000097896 SH       DEFINED 01         SOLE
 JANUS CAP GROUP INC                       47102X105      2,102 000000100568 SH       DEFINED 01         SOLE
 JOHNSON & JOHNSON                         478160104     92,440 000001534027 SH       DEFINED 01         SOLE
1Page      8                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0JOHNSON & JOHNSON                         478160104        546 000000009074 SH       DEFINED 02         SOLE
 JOHNSON CTLS INC                          478366107      9,854 000000104153 SH       DEFINED 01         SOLE
 JONES APPAREL GROUP INC                   480074103      1,765 000000057462 SH       DEFINED 01         SOLE
 JUNIPER NETWORKS INC                      48203R104      5,937 000000301722 SH       DEFINED 01         SOLE
 KLA-TENCOR CORP                           482480100      5,644 000000105863 SH       DEFINED 01         SOLE
 KB HOME                                   48666K109      1,738 000000040753 SH       DEFINED 01         SOLE
 KELLOGG CO                                487836108      6,834 000000132892 SH       DEFINED 01         SOLE
 KEYCORP NEW                               493267108      7,862 000000209845 SH       DEFINED 01         SOLE
 KEYSPAN CORP                              49337W100     10,105 000000245588 SH       DEFINED 01         SOLE
 KIMBERLY CLARK CORP                       494368103     16,769 000000244845 SH       DEFINED 01         SOLE
 KIMCO REALTY CORP                         49446R109      5,839 000000119816 SH       DEFINED 01         SOLE
 KINDER MORGAN INC KANS                    49455P101     16,740 000000157261 SH       DEFINED 01         SOLE
 KING PHARMACEUTICALS INC                  495582108      2,535 000000128910 SH       DEFINED 01         SOLE
 KOHLS CORP                                500255104     13,279 000000173336 SH       DEFINED 01         SOLE
 KROGER CO                                 501044101     17,663 000000625260 SH       DEFINED 01         SOLE
 KRONOS INC                                501052104      2,682 000000050131 SH       DEFINED 01         SOLE
 LSI LOGIC CORP                            502161102      2,237 000000214359 SH       DEFINED 01         SOLE
 L-3 COMMUNICATIONS HLDGS INC              502424104      5,772 000000065998 SH       DEFINED 01         SOLE
 LABORATORY CORP AMER HLDGS                50540R409      5,577 000000076791 SH       DEFINED 01         SOLE
 LAUDER ESTEE COS INC                      518439104      3,011 000000061648 SH       DEFINED 01         SOLE
 LEGGETT & PLATT INC                       524660107      2,131 000000094032 SH       DEFINED 01         SOLE
 LEGG MASON INC                            524901105      6,566 000000069705 SH       DEFINED 01         SOLE
 LEHMAN BROS HLDGS INC                     524908100     19,539 000000278857 SH       DEFINED 01         SOLE
 LENNAR CORP                               526057104      3,086 000000073133 SH       DEFINED 01         SOLE
 LEXMARK INTL NEW                          529771107      2,975 000000050905 SH       DEFINED 01         SOLE
 LILLY ELI & CO                            532457108     28,340 000000527662 SH       DEFINED 01         SOLE
 LIMITED BRANDS INC                        532716107      4,724 000000181292 SH       DEFINED 01         SOLE
 LINCOLN NATL CORP IND                     534187109      9,946 000000146721 SH       DEFINED 01         SOLE
 LINEAR TECHNOLOGY CORP                    535678106      5,011 000000158643 SH       DEFINED 01         SOLE
 LIZ CLAIBORNE INC                         539320101      2,348 000000054818 SH       DEFINED 01         SOLE
 LOCKHEED MARTIN CORP                      539830109     18,249 000000188105 SH       DEFINED 01         SOLE
 LOEWS CORP                                540424108     11,084 000000243995 SH       DEFINED 01         SOLE
 LOWES COS INC                             548661107     25,417 000000807173 SH       DEFINED 01         SOLE
 M & T BK CORP                             55261F104      4,718 000000040733 SH       DEFINED 01         SOLE
 MBIA INC                                  55262C100      4,679 000000071447 SH       DEFINED 01         SOLE
 MGIC INVT CORP WIS                        552848103      2,786 000000047299 SH       DEFINED 01         SOLE
 MACDERMID INC                             554273102        446 000000012813 SH       DEFINED 01         SOLE
 MAGELLAN HEALTH SVCS INC                  559079207      4,208 000000100202 SH       DEFINED 01         SOLE
 MANOR CARE INC NEW                        564055101      2,101 000000038660 SH       DEFINED 01         SOLE
 MAPINFO CORP                              565105103      2,099 000000104317 SH       DEFINED 01         SOLE
 MARATHON OIL CORP                         565849106     18,177 000000183924 SH       DEFINED 01         SOLE
 MARSH & MCLENNAN COS INC                  571748102      8,581 000000293001 SH       DEFINED 01         SOLE
 MARSHALL & ILSLEY CORP                    571834100      6,277 000000135544 SH       DEFINED 01         SOLE
 MARRIOTT INTL INC NEW                     571903202      8,557 000000174789 SH       DEFINED 01         SOLE
 MASCO CORP                                574599106      5,687 000000207571 SH       DEFINED 01         SOLE
 MATTEL INC                                577081102      5,745 000000208399 SH       DEFINED 01         SOLE
1Page      9                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0MAXIM INTEGRATED PRODS INC                57772K101      4,997 000000169980 SH       DEFINED 01         SOLE
 MCDONALDS CORP                            580135101     28,823 000000639819 SH       DEFINED 01         SOLE
 MCGRAW HILL COS INC                       580645109     11,829 000000188133 SH       DEFINED 01         SOLE
 MCKESSON CORP                             58155Q103      9,165 000000156572 SH       DEFINED 01         SOLE
 MEADWESTVACO CORP                         583334107      2,982 000000096715 SH       DEFINED 01         SOLE
 MEDCO HEALTH SOLUTIONS INC                58405U102     11,132 000000153486 SH       DEFINED 01         SOLE
 MEDIMMUNE INC                             584699102      4,585 000000126018 SH       DEFINED 01         SOLE
 MEDTRONIC INC                             585055106     29,946 000000610399 SH       DEFINED 01         SOLE
 MELLON FINL CORP                          58551A108      9,511 000000220483 SH       DEFINED 01         SOLE
 MERCK & CO INC                            589331107     50,996 000001154557 SH       DEFINED 01         SOLE
 MEREDITH CORP                             589433101      1,184 000000020635 SH       DEFINED 01         SOLE
 MERRILL LYNCH & CO INC                    590188108     38,283 000000468755 SH       DEFINED 01         SOLE
 METLIFE INC                               59156R108     25,731 000000407461 SH       DEFINED 01         SOLE
 MICROSOFT CORP                            594918104    127,475 000004573916 SH       DEFINED 01         SOLE
 MICROSOFT CORP                            594918104        651 000000023392 SH       DEFINED 02         SOLE
 MICRON TECHNOLOGY INC                     595112103      4,833 000000400088 SH       DEFINED 01         SOLE
 MID-STATE BANCSHA RES                     595440108     10,093 000000275091 SH       DEFINED 01         SOLE
 MIDCAP SPDR TR                            595635103     10,913 000000070606 SH       DEFINED 01         SOLE
 MILLIPORE CORP                            601073109      2,073 000000028615 SH       DEFINED 01         SOLE
 MILLS CORP                                601148109      5,053 000000200231 SH       DEFINED 01         SOLE
 MIRANT CORP NEW                           60467R100      1,881 000000046514 SH       DEFINED 01         SOLE
 MOLEX INC                                 608554101      2,119 000000075150 SH       DEFINED 01         SOLE
 MOLSON COORS BREWING CO                   60871R209      2,350 000000024845 SH       DEFINED 01         SOLE
 MONSANTO CO NEW                           61166W101     15,833 000000288086 SH       DEFINED 01         SOLE
 MONSTER WORLDWIDE INC                     611742107      3,226 000000068103 SH       DEFINED 01         SOLE
 MOODYS CORP                               615369105      7,695 000000123998 SH       DEFINED 01         SOLE
 MORGAN STANLEY                            617446448     44,443 000000564288 SH       DEFINED 01         SOLE
 MUELLER WTR PRODS INC                     624758207        706 000000052792 SH       DEFINED 01         SOLE
 MURPHY OIL CORP                           626717102      5,311 000000099457 SH       DEFINED 01         SOLE
 MYLAN LABS INC                            628530107      2,742 000000129732 SH       DEFINED 01         SOLE
 NCR CORP NEW                              62886E108      4,532 000000094881 SH       DEFINED 01         SOLE
 NPS PHARMACEUTICALS INC                   62936P103        520 000000153573 SH       DEFINED 01         SOLE
 NRG ENERGY INC                            629377508      1,685 000000023400 SH       DEFINED 01         SOLE
 NASDAQ 100 TR                             631100104  1,055,521 000024248128 SH       DEFINED 01         SOLE
 NATIONAL CITY CORP                        635405103     11,698 000000314054 SH       DEFINED 01         SOLE
 NATIONAL OILWELL VARCO INC                637071101      7,249 000000093199 SH       DEFINED 01         SOLE
 NATIONAL SEMICONDUCTOR CORP               637640103      3,628 000000150331 SH       DEFINED 01         SOLE
 NETRATINGS INC                            64116M108      4,666 000000224335 SH       DEFINED 01         SOLE
 NETWORK APPLIANCE INC                     64120L104      7,182 000000196681 SH       DEFINED 01         SOLE
 NEW PLAN EXCEL RLTY TR INC                648053106     13,542 000000410000 SH       DEFINED 01         SOLE
 NEW RIV PHARMACEUTICALS INC               648468205     12,730 000000200065 SH       DEFINED 01         SOLE
 NEW YORK TIMES CO                         650111107      1,794 000000076310 SH       DEFINED 01         SOLE
 NEWELL RUBBERMAID INC                     651229106      4,574 000000147143 SH       DEFINED 01         SOLE
 NEWMONT MINING CORP                       651639106     10,036 000000239027 SH       DEFINED 01         SOLE
 NEWS CORP                                 65248E104     28,752 000001243629 SH       DEFINED 01         SOLE
 NEXEN INC                                 65334H102      1,839 000000030000 SH       DEFINED 02         SOLE
1Page     10                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0NICOR INC                                 654086107      1,160 000000023961 SH       DEFINED 01         SOLE
 NIKE INC                                  654106103     10,735 000000101034 SH       DEFINED 01         SOLE
 NIKE INC                                  654106103        352 000000006644 SH       DEFINED 02         SOLE
 NISOURCE INC                              65473P105      3,547 000000145155 SH       DEFINED 01         SOLE
 NORDSTROM INC                             655664100      6,419 000000121256 SH       DEFINED 01         SOLE
 NORFOLK SOUTHERN CORP                     655844108     10,647 000000210423 SH       DEFINED 01         SOLE
 NORTHERN TR CORP                          665859104      6,011 000000099958 SH       DEFINED 01         SOLE
 NORTHROP GRUMMAN CORP                     666807102     14,593 000000196631 SH       DEFINED 01         SOLE
 NORTHWESTERN CORP                         668074305      2,130 000000060145 SH       DEFINED 01         SOLE
 NOVELIS INC                               67000X106      3,087 000000070000 SH       DEFINED 01         SOLE
 NOVELL INC                                670006105      1,297 000000179689 SH       DEFINED 01         SOLE
 NOVELLUS SYS INC                          670008101      2,134 000000066655 SH       DEFINED 01         SOLE
 NUCOR CORP                                670346105     10,395 000000159614 SH       DEFINED 01         SOLE
 NVIDIA CORP                               67066G104      5,423 000000188454 SH       DEFINED 01         SOLE
 OCCIDENTAL PETE CORP DEL                  674599105     22,709 000000460548 SH       DEFINED 01         SOLE
 OFFICEMAX INC DEL                         67622P101      2,097 000000039765 SH       DEFINED 01         SOLE
 OFFICE DEPOT INC                          676220106      5,812 000000165410 SH       DEFINED 01         SOLE
 OMNICOM GROUP INC                         681919106      9,068 000000088574 SH       DEFINED 01         SOLE
 ORACLE CORP                               68389X105     38,346 000002115075 SH       DEFINED 01         SOLE
 OWENS CORNING NEW                         690742101      5,726 000000179737 SH       DEFINED 01         SOLE
 PG&E CORP                                 69331C108      8,975 000000185950 SH       DEFINED 01         SOLE
 PHH CORP                                  693320202      1,565 000000051218 SH       DEFINED 01         SOLE
 PMC-SIERRA INC                            69344F106        789 000000112577 SH       DEFINED 01         SOLE
 PNC FINL SVCS GROUP INC                   693475105     13,205 000000183480 SH       DEFINED 01         SOLE
 PPG INDS INC                              693506107      6,111 000000086926 SH       DEFINED 01         SOLE
 PPL CORP                                  69351T106      8,348 000000204118 SH       DEFINED 01         SOLE
 PACCAR INC                                693718108      9,658 000000131588 SH       DEFINED 01         SOLE
 PACTIV CORP                               695257105      2,376 000000070436 SH       DEFINED 01         SOLE
 PALL CORP                                 696429307      2,477 000000065197 SH       DEFINED 01         SOLE
 PARKER HANNIFIN CORP                      701094104      5,297 000000061380 SH       DEFINED 01         SOLE
 PATHMARK STORES INC NEW                   70322A101      1,538 000000120213 SH       DEFINED 01         SOLE
 PATTERSON COMPANIES INC                   703395103      2,617 000000073748 SH       DEFINED 01         SOLE
 PAYCHEX INC                               704326107      6,808 000000179782 SH       DEFINED 01         SOLE
 PEABODY ENERGY CORP                       704549104      5,645 000000140295 SH       DEFINED 01         SOLE
 PENNEY J C INC                            708160106      9,797 000000119251 SH       DEFINED 01         SOLE
 PENNFED FINL SVCS  INC                    708167101      6,501 000000300039 SH       DEFINED 01         SOLE
 PEPSI BOTTLING GROUP INC                  713409100      2,222 000000069686 SH       DEFINED 01         SOLE
 PEPSICO INC                               713448108     55,590 000000874609 SH       DEFINED 01         SOLE
 PEPSICO INC                               713448108        577 000000009087 SH       DEFINED 02         SOLE
 PERKINELMER INC                           714046109      1,564 000000064577 SH       DEFINED 01         SOLE
 PETROLEUM GEO SVCS ASA NEW                716599105        775 000000029800 SH       DEFINED 01         SOLE
 PFIZER INC                                717081103     95,850 000003794558 SH       DEFINED 01         SOLE
 PINNACLE WEST CAP CORP                    723484101      2,557 000000053010 SH       DEFINED 01         SOLE
 PITNEY BOWES INC                          724479100      5,300 000000116768 SH       DEFINED 01         SOLE
 PLACER SIERRA BAN CSHARES                 726079106      4,736 000000175048 SH       DEFINED 01         SOLE
 PLUM CREEK TIMBER CO INC                  729251108      3,705 000000093988 SH       DEFINED 01         SOLE
1Page     11                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0POLO RALPH LAUREN CORP                    731572103      2,862 000000032474 SH       DEFINED 01         SOLE
 PRAXAIR INC                               74005P104     10,691 000000169811 SH       DEFINED 01         SOLE
 PRICE T ROWE GROUP INC                    74144T108      6,636 000000140625 SH       DEFINED 01         SOLE
 PRINCIPAL FINANCIAL GROUP IN              74251V102      8,500 000000141989 SH       DEFINED 01         SOLE
 PROCTER & GAMBLE CO                       742718109    106,340 000001683661 SH       DEFINED 01         SOLE
 PROCTER & GAMBLE CO                       742718109        799 000000012658 SH       DEFINED 02         SOLE
 PROGRESS ENERGY INC                       743263105      6,873 000000136280 SH       DEFINED 01         SOLE
 PROGRESSIVE CORP OHIO                     743315103      8,610 000000394616 SH       DEFINED 01         SOLE
 PROLOGIS                                  743410102      8,818 000000135819 SH       DEFINED 01         SOLE
 PRUDENTIAL FINL INC                       744320102     23,133 000000256299 SH       DEFINED 01         SOLE
 PUBLIC SVC ENTERPRISE GROUP               744573106     11,125 000000133983 SH       DEFINED 01         SOLE
 PUBLIC STORAGE INC                        74460D109      6,155 000000065023 SH       DEFINED 01         SOLE
 PULTE HOMES INC                           745867101      2,980 000000112630 SH       DEFINED 01         SOLE
 QLOGIC CORP                               747277101      1,433 000000084309 SH       DEFINED 01         SOLE
 QUALCOMM INC                              747525103     37,713 000000884052 SH       DEFINED 01         SOLE
 QUEST DIAGNOSTICS INC                     74834L100      4,322 000000086670 SH       DEFINED 01         SOLE
 QUESTAR CORP                              748356102      4,060 000000045520 SH       DEFINED 01         SOLE
 QWEST COMMUNICATIONS INTL IN              749121109      7,474 000000831420 SH       DEFINED 01         SOLE
 RCN CORP                                  749361200      1,691 000000066190 SH       DEFINED 01         SOLE
 R H DONNELLEY CORP                        74955W307      1,162 000000016400 SH       DEFINED 01         SOLE
 RADIOSHACK CORP                           750438103      1,952 000000072218 SH       DEFINED 01         SOLE
 RAYTHEON CO                               755111507     12,407 000000236511 SH       DEFINED 01         SOLE
 REALOGY CORP                              75605E100      7,856 000000265349 SH       DEFINED 01         SOLE
 REGIONAL BK HOLDRS TR                     75902E100    107,599 000000682000 SH       DEFINED 01         SOLE
 REGIONS FINANCIAL CORP NEW                7591EP100     13,718 000000387869 SH       DEFINED 01         SOLE
 RES-CARE INC                              760943100        553 000000031633 SH       DEFINED 01         SOLE
 RETAIL HOLDRS TR                          76127U101    259,708 000002570100 SH       DEFINED 01         SOLE
 REYNOLDS AMERICAN INC                     761713106      5,674 000000090922 SH       DEFINED 01         SOLE
 ROBERT HALF INTL INC                      770323103      3,293 000000088989 SH       DEFINED 01         SOLE
 ROCKWELL AUTOMATION INC                   773903109      5,257 000000087817 SH       DEFINED 01         SOLE
 ROCKWELL COLLINS INC                      774341101      5,965 000000089125 SH       DEFINED 01         SOLE
 ROHM & HAAS CO                            775371107      3,902 000000075464 SH       DEFINED 01         SOLE
 ROWAN COS INC                             779382100      1,900 000000058524 SH       DEFINED 01         SOLE
 RYDER SYS INC                             783549108      1,587 000000032179 SH       DEFINED 01         SOLE
 SLM CORP                                  78442P106      8,898 000000217577 SH       DEFINED 01         SOLE
 SPDR TR                                   78462F103  2,383,301 000016783813 SH       DEFINED 01         SOLE
 SABRE HLDGS CORP                          785905100     10,999 000000335870 SH       DEFINED 01         SOLE
 SAFECO CORP                               786429100      4,546 000000068437 SH       DEFINED 01         SOLE
 SAFEWAY INC                               786514208      8,554 000000233487 SH       DEFINED 01         SOLE
 ST JUDE MED INC                           790849103      6,862 000000182464 SH       DEFINED 01         SOLE
 SANDISK CORP                              80004C101      5,278 000000120514 SH       DEFINED 01         SOLE
 SANMINA SCI CORP                          800907107      1,017 000000281057 SH       DEFINED 01         SOLE
 SARA LEE CORP                             803111103      6,578 000000388782 SH       DEFINED 01         SOLE
 SCHERING PLOUGH CORP                      806605101     20,117 000000788595 SH       DEFINED 01         SOLE
 SCHLUMBERGER LTD                          806857108     43,166 000000624700 SH       DEFINED 01         SOLE
 SCHWAB CHARLES CORP NEW                   808513105     10,131 000000553913 SH       DEFINED 01         SOLE
1Page     12                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0SCOTTS MIRACLE GRO CO                     810186106        265 000000006040 SH       DEFINED 01         SOLE
 SCRIPPS E W CO OHIO                       811054204      1,975 000000044222 SH       DEFINED 01         SOLE
 SEACOR HOLDINGS INC                       811904101      1,201 000000012210 SH       DEFINED 01         SOLE
 SEALED AIR CORP NEW                       81211K100      2,703 000000085541 SH       DEFINED 01         SOLE
 SEARS HLDGS CORP                          812350106      7,936 000000044051 SH       DEFINED 01         SOLE
 SELECT SECTOR SPDR TR                     81369Y100    247,940 000006516178 SH       DEFINED 01         SOLE
 SEMPRA ENERGY                             816851109      8,502 000000139358 SH       DEFINED 01         SOLE
 SERVICEMASTER CO                          81760N109      1,626 000000105700 SH       DEFINED 01         SOLE
 SHERWIN WILLIAMS CO                       824348106      3,909 000000059192 SH       DEFINED 01         SOLE
 SIERRA HEALTH SVCS INC                    826322109      2,552 000000062000 SH       DEFINED 01         SOLE
 SIGMA ALDRICH CORP                        826552101      2,906 000000070001 SH       DEFINED 01         SOLE
 SIMON PPTY GROUP INC NEW                  828806109     13,066 000000117449 SH       DEFINED 01         SOLE
 SKY FINL GROUP INC                        83080P103        534 000000019900 SH       DEFINED 01         SOLE
 SMART & FINAL INC                         831683107        780 000000035857 SH       DEFINED 01         SOLE
 SMITH INTL INC                            832110100      5,078 000000105687 SH       DEFINED 01         SOLE
 SNAP ON INC                               833034101      1,501 000000031224 SH       DEFINED 01         SOLE
 SOHU COM INC                              83408W103        318 000000014873 SH       DEFINED 02         SOLE
 SOLECTRON CORP                            834182107      1,509 000000479200 SH       DEFINED 01         SOLE
 SOTHEBYS                                  835898107      5,113 000000114965 SH       DEFINED 02         SOLE
 SOUTHERN CO                               842587107     14,542 000000396800 SH       DEFINED 01         SOLE
 SOUTHWEST AIRLS CO                        844741108      6,143 000000417913 SH       DEFINED 01         SOLE
 SOVEREIGN BANCORP INC                     845905108      4,869 000000191407 SH       DEFINED 01         SOLE
 SPECTRA ENERGY CORP                       847560109      8,742 000000332804 SH       DEFINED 01         SOLE
 SPIRIT FIN CORP                           848568309      3,829 000000257039 SH       DEFINED 01         SOLE
 SPRINT NEXTEL CORP                        852061100     29,169 000001538501 SH       DEFINED 01         SOLE
 SPRINT NEXTEL CORP                        852061100        824 000000043462 SH       DEFINED 01         SOLE
 STANLEY WKS                               854616109      2,429 000000043881 SH       DEFINED 01         SOLE
 STAPLES INC                               855030102      9,820 000000380048 SH       DEFINED 01         SOLE
 STARBUCKS CORP                            855244109     12,482 000000398052 SH       DEFINED 01         SOLE
 STARWOOD HOTELS&RESORTS WRLD              85590A401      7,385 000000113885 SH       DEFINED 01         SOLE
 STATE STR CORP                            857477103     11,457 000000176951 SH       DEFINED 01         SOLE
 STATION CASINOS INC                       857689103      5,410 000000062500 SH       DEFINED 01         SOLE
 STEEL TECHNOLOGIES INC                    858147101      2,737 000000092547 SH       DEFINED 01         SOLE
 STRYKER CORP                              863667101     10,481 000000158042 SH       DEFINED 01         SOLE
 SUN MICROSYSTEMS INC                      866810104     11,471 000001908702 SH       DEFINED 01         SOLE
 SUNOCO INC                                86764P109      4,530 000000064314 SH       DEFINED 01         SOLE
 SUNPOWER CORP                             867652109        661 000000014542 SH       DEFINED 01         SOLE
 SUNTRUST BKS INC                          867914103     15,636 000000188304 SH       DEFINED 01         SOLE
 SUPERVALU INC                             868536103      4,303 000000110148 SH       DEFINED 01         SOLE
 SWIFT TRANSN CO                           870756103      1,589 000000051000 SH       DEFINED 01         SOLE
 SYMANTEC CORP                             871503108      8,478 000000490082 SH       DEFINED 01         SOLE
 SYNAGRO TECHNOLOGIES INC                  871562203      2,681 000000470521 SH       DEFINED 01         SOLE
 SYNOVUS FINL CORP                         87161C105      5,598 000000173117 SH       DEFINED 01         SOLE
 SYSCO CORP                                871829107     11,063 000000327034 SH       DEFINED 01         SOLE
 TD BANKNORTH INC                          87235A101      9,213 000000286500 SH       DEFINED 01         SOLE
 TECO ENERGY INC                           872375100      1,911 000000111092 SH       DEFINED 01         SOLE
1Page     13                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0TJX COS INC NEW                           872540109      6,503 000000241231 SH       DEFINED 01         SOLE
 TXU CORP                                  873168108     18,680 000000291422 SH       DEFINED 01         SOLE
 TARGACEPT INC                             87611R306      9,672 000001190476 SH       DEFINED 02         SOLE
 TARGET CORP                               87612E106     27,287 000000460465 SH       DEFINED 01         SOLE
 TEKTRONIX INC                             879131100      1,219 000000043301 SH       DEFINED 01         SOLE
 TELLABS INC                               879664100      2,294 000000231804 SH       DEFINED 01         SOLE
 TEMPLE INLAND INC                         879868107      3,327 000000055705 SH       DEFINED 01         SOLE
 TENET HEALTHCARE CORP                     88033G100      1,607 000000249971 SH       DEFINED 01         SOLE
 TERADYNE INC                              880770102      1,663 000000100582 SH       DEFINED 01         SOLE
 TEREX CORP NEW                            880779103      3,901 000000054370 SH       DEFINED 01         SOLE
 TEXAS INSTRS INC                          882508104     23,225 000000771605 SH       DEFINED 01         SOLE
 TEXTRON INC                               883203101      5,963 000000066407 SH       DEFINED 01         SOLE
 THERMO FISHER SCIENTIFIC INC              883556102     10,408 000000222638 SH       DEFINED 01         SOLE
 3M CO                                     88579Y101     29,731 000000389007 SH       DEFINED 01         SOLE
 3M CO                                     88579Y101      1,541 000000020167 SH       DEFINED 02         SOLE
 TIFFANY & CO NEW                          886547108      3,263 000000071765 SH       DEFINED 01         SOLE
 TIME WARNER INC                           887317105     39,883 000002022469 SH       DEFINED 01         SOLE
 TIME WARNER INC                           887317105        812 000000041200 SH       DEFINED 01         SOLE
 TIME WARNER CABLE INC                     88732J108      5,678 000000151536 SH       DEFINED 01         SOLE
 TORCHMARK CORP                            891027104      3,406 000000051943 SH       DEFINED 01         SOLE
 TOWN SPORTS INTL HLDGS INC                89214A102      1,018 000000046708 SH       DEFINED 01         SOLE
 TRAVELERS COMPANIES INC                   89417E109     18,735 000000361904 SH       DEFINED 01         SOLE
 TRIAD HOSPITALS INC                       89579K109      8,882 000000170000 SH       DEFINED 01         SOLE
 TRIBUNE CO NEW                            896047107      3,025 000000094218 SH       DEFINED 01         SOLE
 TRUMP ENTMT RESORTS INC                   89816T103        468 000000025906 SH       DEFINED 01         SOLE
 21ST CENTY INS GR OUP                     90130N103      1,951 000000092033 SH       DEFINED 01         SOLE
 TYCO INTL LTD NEW                         902124106     33,150 000001050742 SH       DEFINED 01         SOLE
 TYSON FOODS INC                           902494103      2,595 000000133713 SH       DEFINED 01         SOLE
 UAL CORP                                  902549807        476 000000012480 SH       DEFINED 01         SOLE
 UST INC                                   902911106      4,938 000000085169 SH       DEFINED 01         SOLE
 US BANCORP DEL                            902973304     32,831 000000938842 SH       DEFINED 01         SOLE
 US BANCORP DEL                            902973304      1,312 000000037535 SH       DEFINED 02         SOLE
 U S G CORP                                903293405      1,591 000000034100 SH       DEFINED 01         SOLE
 USI HLDGS CORP                            90333H101      6,743 000000400189 SH       DEFINED 01         SOLE
 U S AIRWAYS GROUP INC                     90341W108      1,000 000000022000 SH       DEFINED 01         SOLE
 UNION PAC CORP                            907818108     14,573 000000143513 SH       DEFINED 01         SOLE
 UNISYS CORP                               909214108      1,542 000000183000 SH       DEFINED 01         SOLE
 UNITED PARCEL SERVICE INC                 911312106     39,626 000000565289 SH       DEFINED 01         SOLE
 UNITED RENTALS INC                        911363109        756 000000027500 SH       DEFINED 01         SOLE
 UNITED STATES STL CORP NEW                912909108      6,228 000000062806 SH       DEFINED 01         SOLE
 UNITED TECHNOLOGIES CORP                  913017109     34,971 000000538027 SH       DEFINED 01         SOLE
 UNITEDHEALTH GROUP INC                    91324P102     38,025 000000717875 SH       DEFINED 01         SOLE
 UNIVERSAL COMPRESSION PARTNER             913430104        562 000000018200 SH       DEFINED 01         SOLE
 UNIVISION COMMUNICATIONS INC              914906102      5,852 000000161533 SH       DEFINED 01         SOLE
 UNUM GROUP                                91529Y106      4,854 000000210797 SH       DEFINED 01         SOLE
 V F CORP                                  918204108      3,947 000000047777 SH       DEFINED 01         SOLE
1Page     14                                                                                                      07-05-14  11:57:30
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         03/30/2007
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0VALERO ENERGY CORP NEW                    91913Y100     20,650 000000320208 SH       DEFINED 01         SOLE
 VARIAN MED SYS INC                        92220P105      3,246 000000068083 SH       DEFINED 01         SOLE
 VERISIGN INC                              92343E102      3,807 000000151564 SH       DEFINED 01         SOLE
 VERIZON COMMUNICATIONS                    92343V104     58,757 000001549507 SH       DEFINED 01         SOLE
 VIACELL INC                               92554J105      9,298 000001692184 SH       DEFINED 02         SOLE
 VIRGIN MEDIA INC                          92769L101        623 000000024695 SH       DEFINED 01         SOLE
 VORNADO RLTY TR                           929042109      8,247 000000069106 SH       DEFINED 01         SOLE
 VULCAN MATLS CO                           929160109      5,868 000000050384 SH       DEFINED 01         SOLE
 WACHOVIA CORP 2ND NEW                     929903102     55,608 000001010151 SH       DEFINED 01         SOLE
 WAL MART STORES INC                       931142103     61,198 000001303479 SH       DEFINED 01         SOLE
 WAL MART STORES INC                       931142103        543 000000011571 SH       DEFINED 02         SOLE
 WALGREEN CO                               931422109     24,689 000000538004 SH       DEFINED 01         SOLE
 WALTER INDS INC                           93317Q105        957 000000038700 SH       DEFINED 01         SOLE
 WASHINGTON MUT INC                        939322103     19,028 000000471243 SH       DEFINED 01         SOLE
 WASTE MGMT INC DEL                        94106L109      9,722 000000282554 SH       DEFINED 01         SOLE
 WATERS CORP                               941848103      3,120 000000053806 SH       DEFINED 01         SOLE
 WATSON PHARMACEUTICALS INC                942683103      1,435 000000054321 SH       DEFINED 01         SOLE
 WEBEX COMMUNICATIONS INC                  94767L109      4,245 000000074671 SH       DEFINED 01         SOLE
 WELLPOINT INC                             94973V107     26,529 000000327127 SH       DEFINED 01         SOLE
 WELLS FARGO & CO NEW                      949746101     61,659 000001790858 SH       DEFINED 01         SOLE
 WELLS FARGO & CO NEW                      949746101        542 000000015748 SH       DEFINED 02         SOLE
 WENDYS INTL INC                           950590109      1,588 000000050754 SH       DEFINED 01         SOLE
 WESTERN UN CO                             959802109      8,981 000000409182 SH       DEFINED 01         SOLE
 WEYERHAEUSER CO                           962166104      8,367 000000111954 SH       DEFINED 01         SOLE
 WHIRLPOOL CORP                            963320106      3,542 000000041718 SH       DEFINED 01         SOLE
 WHITTIER ENERGY CORP                     966785305      1,105 00000010 0500 SH       DEFINED 01         SOLE
 WHOLE FOODS MKT INC                       966837106      3,341 000000074512 SH       DEFINED 01         SOLE
 WILD OATS MARKETS INC                     96808B107        519 000000028558 SH       DEFINED 01         SOLE
 WILLIAMS COS INC DEL                      969457100      9,019 000000316902 SH       DEFINED 01         SOLE
 WINDSTREAM CORP                           97381W104      3,712 000000252697 SH       DEFINED 01         SOLE
 WINN DIXIE STORES INC                     974280307      1,019 000000057777 SH       DEFINED 01         SOLE
 WRIGLEY WM JR CO                          982526105      5,888 000000115627 SH       DEFINED 01         SOLE
 WYETH                                     983024100     35,698 000000713551 SH       DEFINED 01         SOLE
 WYNDHAM WORLDWIDE CORP                    98310W108      3,480 000000101922 SH       DEFINED 01         SOLE
 XTO ENERGY INC                            98385X106     10,689 000000195032 SH       DEFINED 01         SOLE
 XCEL ENERGY INC                           98389B100      5,336 000000216130 SH       DEFINED 01         SOLE
 XILINX INC                                983919101      4,525 000000175902 SH       DEFINED 01         SOLE
 XEROX CORP                                984121103      8,495 000000503017 SH       DEFINED 01         SOLE
 YAHOO INC                                 984332106     20,249 000000647148 SH       DEFINED 01         SOLE
 YAHOO INC                                 984332106      1,497 000000047850 SH       DEFINED 02         SOLE
 YUM BRANDS INC                            988498101      8,071 000000139735 SH       DEFINED 01         SOLE
 ZIMMER HLDGS INC                          98956P102     11,332 000000132685 SH       DEFINED 01         SOLE
 ZIONS BANCORPORATION                      989701107      4,928 000000058309 SH       DEFINED 01         SOLE
 ZOLL MED CORP                             989922109          2 000000000078 SH       DEFINED 01         SOLE