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, 2013

Check here if Amendment [_]; Amendment Number: ___________

 This Amendment (Check only one.):  [_] is a restatement.
                                    [_] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    The Chubb Corporation

Address: 15 Mountain View Road
         P. O. Box 1615
         Warren, NJ 07059

Form 13F File Number: 28-327

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

Person Signing this Report on Behalf of Reporting Manager:

Name:  John J. Kennedy

Title: Senior Vice President and Chief Accounting Officer

Phone: 908-903-2000

Signature, Place, and Date of Signing:

/s/ John J. Kennedy            Warren, New Jersey           May 13, 2013
__________________________ __________________________ ________________________
[Signature]                      [City, State]                 [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager: None



                             FORM 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                  3
                                         ____________

Form 13F Information Table Entry Total:           249
                                         ____________

Form 13F Information Table Value Total:  $  1,824,811
                                         ____________
                                          (thousands)

List of Other Included Managers:

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

    No.       Form 13F File Number         Name

    01        28 - 2490                    Federal Insurance Company

    02        28 - 2804                    Pacific Indemnity Company

    03        28 - 15161                   Executive Risk Indemnity Inc.



NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  March 31, 2013

PAGE 1  FORM 13F  FILE NUMBER: 28 - 327



                                                                                                      VOTING AUTHORITY
                                                                              INVESTMENT DISCRETION       (SHARES)
                                                                              --------------------- ---------------------
                                                 FAIR MARKET
                                                    VALUE                            SHARED
NAME OF ISSUER                 CLASS    CUSIP       (000)       SHARES   SOLE SHARED OTHERS MANAGER   SOLE    SHARED NONE
--------------                 ----- ----------- -----------   --------- ---- ------ ------ ------- --------- ------ ----
                                                                                    

ALTERRA CAPITAL HOLDINGS LTD   COM   G0229R-10-8     237,869   7,553,800        X                   7,553,800
AMDOCS LTD                     COM   G02602-10-3      10,244     282,600        X              1      282,600
AMDOCS LTD                     COM   G02602-10-3       5,170     142,620        X              2      142,620
COVIDIEN PLC                   COM   G2554F-11-3       1,904      28,069        X                      28,069
COVIDIEN PLC                   COM   G2554F-11-3      18,840     277,712        X              1      277,712
COVIDIEN PLC                   COM   G2554F-11-3       2,374      35,000        X              2       35,000
COVIDIEN PLC                   COM   G2554F-11-3       3,678      54,219        X              3       54,219
ROWAN COMPANIES INC            COM   G7665A-10-1       8,840     250,000        X              1      250,000
WARNER CHILCOTT PLC            COM   G94368-10-0       2,081     153,599        X              1      153,599
WARNER CHILCOTT PLC            COM   G94368-10-0         520      38,400        X              2       38,400
XL GROUP PUBLIC LIMITED COMP   COM   G98290-10-2       3,938     129,967        X              1      129,967
XL GROUP PUBLIC LIMITED COMP   COM   G98290-10-2       1,515      50,000        X              2       50,000
WEATHERFORD INTL LTD           COM   H27013-10-3       7,284     600,000        X              1      600,000
WEATHERFORD INTL LTD           COM   H27013-10-3       6,070     500,000        X              2      500,000
WEATHERFORD INTL LTD           COM   H27013-10-3       1,214     100,000        X              3      100,000
FLEXTRONICS INTL LTD           COM   Y2573F-10-2       5,622     831,724        X              1      831,724
FLEXTRONICS INTL LTD           COM   Y2573F-10-2       5,701     843,276        X              2      843,276
FLEXTRONICS INTL LTD           COM   Y2573F-10-2       2,028     300,000        X              3      300,000
AT&T INC                       COM   00206R-10-2       2,201      60,000        X              1       60,000
AT&T INC                       COM   00206R-10-2       2,935      80,000        X              2       80,000
ALCOA INC                      COM   013817-10-1       2,982     350,000        X              1      350,000
ALCOA INC                      COM   013817-10-1       3,834     450,000        X              2      450,000
ALCOA INC                      COM   013817-10-1       4,260     500,000        X              3      500,000
ALPHATEC HOLDINGS              COM   02081G-10-2       4,857   2,302,070        X              1    2,302,070
AMEREN CORPORATION             COM   023608-10-2       6,535     186,600        X              1      186,600
AMEREN CORPORATION             COM   023608-10-2       3,271      93,400        X              2       93,400
ANADARKO PETROLEUM CORP        COM   032511-10-7      21,863     250,000        X              1      250,000
APPLE COMPUTER INC.            COM   037833-10-0      13,280      30,000        X              1       30,000
ARCHER DANIELS                 COM   039483-10-2       5,060     150,007        X              1      150,007
ARCHER DANIELS                 COM   039483-10-2       4,216     124,993        X              2      124,993
ARCHER DANIELS                 COM   039483-10-2       5,903     175,000        X              3      175,000
ATMOS ENERGY CORP              COM   049560-10-5       2,988      70,000        X              1       70,000
ATMOS ENERGY CORP              COM   049560-10-5      23,480     550,000        X              2      550,000
AVERY DENNISON CORP            COM   053611-10-9       5,567     129,256        X                     129,256
AVERY DENNISON CORP            COM   053611-10-9       7,951     184,600        X              1      184,600
AVERY DENNISON CORP            COM   053611-10-9       3,396      78,853        X              2       78,853
AVERY DENNISON CORP            COM   053611-10-9       4,621     107,291        X              3      107,291
AVON PRODUCTS                  COM   054303-10-2       3,110     150,000        X                     150,000
AVON PRODUCTS                  COM   054303-10-2      13,474     650,000        X              2      650,000
BP PLC-SPONS ADR               COM   055622-10-4       4,658     110,000        X              1      110,000
BP PLC-SPONS ADR               COM   055622-10-4      12,282     290,000        X              2      290,000
BANK OF AMERICA                COM   060505-10-4       4,962     407,356        X              1      407,356
BANK OF AMERICA                COM   060505-10-4       6,974     572,645        X              2      572,645
BANK OF AMERICA                COM   060505-10-4         244      20,000        X              3       20,000
BANK OF AMERICA CORP           PFD   060505-68-2       2,444       2,000        X              1        2,000




NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  March 31, 2013

PAGE 2  FORM 13F  FILE NUMBER: 28 - 327



                                                                                                      VOTING AUTHORITY
                                                                              INVESTMENT DISCRETION       (SHARES)
                                                                              --------------------- ---------------------
                                                 FAIR MARKET
                                                    VALUE                            SHARED
NAME OF ISSUER                 CLASS    CUSIP       (000)       SHARES   SOLE SHARED OTHERS MANAGER   SOLE    SHARED NONE
--------------                 ----- ----------- -----------   --------- ---- ------ ------ ------- --------- ------ ----
                                                                                    

BANK OF NEW YORK MELLON CORP   COM   064058-10-0       5,598     200,000        X              1      200,000
BANK OF NEW YORK MELLON CORP   COM   064058-10-0       5,598     200,000        X              2      200,000
BANK OF NEW YORK MELLON CORP   COM   064058-10-0       2,799     100,000        X              3      100,000
BAXTER INTERNATIONAL INC       COM   071813-10-9      15,981     220,000        X              1      220,000
BAXTER INTERNATIONAL INC       COM   071813-10-9       3,632      50,000        X              2       50,000
BOSTON SCIENTIFIC CORP         COM   101137-10-7       3,124     400,000        X                     400,000
BOSTON SCIENTIFIC CORP         COM   101137-10-7       6,717     860,000        X              1      860,000
BOSTON SCIENTIFIC CORP         COM   101137-10-7       4,998     640,000        X              2      640,000
BRISTOL MYERS SQUIBB           COM   110122-10-8      12,357     300,000        X              2      300,000
BROADRIDGE FINANCIAL SOLUTIO   COM   11133T-10-3       9,936     400,000        X              1      400,000
BROADRIDGE FINANCIAL SOLUTIO   COM   11133T-10-3       3,726     150,000        X              2      150,000
CBS CORP-CL B                  COM   124857-20-2      14,843     317,900        X              1      317,900
CBS CORP-CL B                  COM   124857-20-2       2,899      62,100        X              2       62,100
CELESTICA INC                  COM   15101Q-10-8       8,090   1,000,000        X              1    1,000,000
CELESTICA INC                  COM   15101Q-10-8       3,235     399,900        X              2      399,900
CELESTICA INC                  COM   15101Q-10-8       2,428     300,100        X              3      300,100
CISCO SYSTEMS INC              COM   17275R-10-2       2,090     100,000        X                     100,000
CISCO SYSTEMS INC              COM   17275R-10-2       6,812     326,000        X              1      326,000
CISCO SYSTEMS INC              COM   17275R-10-2       5,725     274,000        X              2      274,000
CITIGROUP INC                  COM   172967-42-4          27         600        X                         600
CITIGROUP INC                  COM   172967-42-4       7,980     180,400        X              1      180,400
CITIGROUP INC                  COM   172967-42-4       5,265     119,000        X              2      119,000
COCA COLA ENTERPRISES INC      COM   19122T-10-9      14,541     393,847        X              1      393,847
COCA COLA ENTERPRISES INC      COM   19122T-10-9      11,303     306,153        X              2      306,153
COMCAST CORP-CL A              COM   20030N-10-1      10,495     250,000        X              1      250,000
COMCAST CORP-CL A              COM   20030N-10-1       8,396     200,000        X              2      200,000
COMMUNITY HEALTH SYSTEMS INC   COM   203668-10-8      18,956     400,000        X              1      400,000
COMMUNITY HEALTH SYSTEMS INC   COM   203668-10-8       9,478     200,000        X              2      200,000
CONOCOPHILLIPS                 COM   20825C-10-4      11,419     190,000        X              1      190,000
CONSOLIDATED EDISON INC        COM   209115-10-4       3,052      50,000        X                      50,000
CONSOLIDATED EDISON INC        COM   209115-10-4       9,978     163,500        X              1      163,500
CONSOLIDATED EDISON INC        COM   209115-10-4       6,103     100,000        X              2      100,000
DTE ENERGY COMPANY             COM   233331-10-7      10,251     150,000        X                     150,000
DTE ENERGY COMPANY             COM   233331-10-7       6,834     100,000        X              1      100,000
DTE ENERGY COMPANY             COM   233331-10-7       6,813      99,700        X              2       99,700
DEAN FOODS CO                  COM   242370-10-4         924      50,956        X              1       50,956
DEAN FOODS CO                  COM   242370-10-4       5,570     307,212        X              2      307,212
DEAN FOODS CO                  COM   242370-10-4       6,197     341,832        X              3      341,832
DELTA AIRLINES INC DEL         COM   247361-70-2       8,824     534,470        X              1      534,470
DELTA AIRLINES INC DEL         COM   247361-70-2       6,087     368,700        X              2      368,700
DELTA AIRLINES INC DEL         COM   247361-70-2       4,901     296,830        X              3      296,830
DOW CHEMICAL CO                COM   260543-10-3      11,462     360,000        X              1      360,000
DUKE ENERGY CORP               COM   26441C-20-4       1,264      17,416        X                      17,416
DUKE ENERGY CORP               COM   26441C-20-4      10,253     141,248        X              1      141,248
DUKE ENERGY CORP               COM   26441C-20-4       8,243     113,556        X              2      113,556




NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  March 31, 2013

PAGE 3  FORM 13F  FILE NUMBER: 28 - 327



                                                                                                     VOTING AUTHORITY
                                                                              INVESTMENT DISCRETION      (SHARES)
                                                                              --------------------- -------------------
                                                 FAIR MARKET
                                                    VALUE                            SHARED
NAME OF ISSUER                 CLASS    CUSIP       (000)        SHARES  SOLE SHARED OTHERS MANAGER  SOLE   SHARED NONE
--------------                 ----- ----------- ----------- -   ------- ---- ------ ------ ------- ------- ------ ----
                                                                               

ERICSSON (LM) TEL-SP ADR       COM   294821-60-8       6,754     536,000        X              1    536,000
ERICSSON (LM) TEL-SP ADR       COM   294821-60-8       7,106     564,000        X              2    564,000
ERICSSON (LM) TEL-SP ADR       COM   294821-60-8       5,040     400,000        X              3    400,000
EXCELON CORP NPV               COM   30161N-10-1       9,620     279,000        X              1    279,000
EXCELON CORP NPV               COM   30161N-10-1       3,938     114,204        X              2    114,204
FOREST LABORATORIES INC        COM   345838-10-6       3,804     100,000        X              1    100,000
FOREST LABORATORIES INC        COM   345838-10-6       7,608     200,000        X              2    200,000
FOREST LABORATORIES INC        COM   345838-10-6       3,804     100,000        X              3    100,000
FRONTIER COMMUNICATIONS CORP   COM   35906A-10-8          24       6,000        X                     6,000
FRONTIER COMMUNICATIONS CORP   COM   35906A-10-8         179      44,896        X              1     44,896
FRONTIER COMMUNICATIONS CORP   COM   35906A-10-8         244      61,210        X              2     61,210
GENERAL ELECTRIC               COM   369604-10-3       5,549     240,000        X              1    240,000
GENERAL ELECTRIC               COM   369604-10-3       4,393     190,000        X              2    190,000
GENERAL MILLS INC              COM   370334-10-4       4,931     100,000        X              1    100,000
GENERAL MILLS INC              COM   370334-10-4      11,834     240,000        X              2    240,000
GENWORTH FINANCIAL INC-CL A    COM   37247D-10-6       2,000     200,000        X              1    200,000
GENWORTH FINANCIAL INC-CL A    COM   37247D-10-6         800      80,000        X              2     80,000
GLAXOSMITHKLINE PLC-ADR        COM   37733W-10-5       8,491     181,000        X              1    181,000
GOOGLE INC-CL A                COM   38259P-50-8      23,826      30,000        X              1     30,000
GREAT PLAINS ENERGY INC        COM   391164-10-0       5,464     235,600        X              1    235,600
GREAT PLAINS ENERGY INC        COM   391164-10-0       3,977     171,500        X              2    171,500
HARTFORD FINANCIAL SERVICES    COM   416515-10-4       1,032      40,000        X                    40,000
HARTFORD FINANCIAL SERVICES    COM   416515-10-4       1,548      60,000        X              1     60,000
HEALTH MGMT ASSOC              COM   421933-10-2       1,287     100,000        X                   100,000
HEALTH MGMT ASSOC              COM   421933-10-2       7,722     600,000        X              1    600,000
HEALTH MGMT ASSOC              COM   421933-10-2       9,009     700,000        X              2    700,000
HEALTH MGMT ASSOC              COM   421933-10-2       7,722     600,000        X              3    600,000
HESS CORP                      COM   42809H-10-7      14,322     200,000        X              1    200,000
HUNTINGTON INGALLS INDUSTRIE   COM   446413-10-6       1,333      25,000        X              1     25,000
INTEL CORP                     COM   458140-10-0       5,459     250,000        X                   250,000
INTEL CORP                     COM   458140-10-0       7,642     350,000        X              1    350,000
INTEL CORP                     COM   458140-10-0       2,184     100,000        X              2    100,000
INTERNATIONAL PAPER CO         COM   460146-10-3       7,919     170,000        X              1    170,000
INTERNATIONAL PAPER CO         COM   460146-10-3       8,384     180,000        X              2    180,000
JP MORGAN CHASE & CO           COM   46625H-10-0      12,985     273,600        X              1    273,600
JP MORGAN CHASE & CO           COM   46625H-10-0       1,898      40,000        X              2     40,000
JP MORGAN CHASE & CO           COM   46625H-10-0       2,202      46,400        X              3     46,400
JABIL CIRCUIT INC              COM   466313-10-3       3,960     214,286        X                   214,286
JABIL CIRCUIT INC              COM   466313-10-3      13,243     716,600        X              1    716,600
JABIL CIRCUIT INC              COM   466313-10-3       4,973     269,114        X              2    269,114
KRAFT FOODS GROUP INC          COM   50076Q-10-6       6,319     122,632        X              1    122,632
KRAFT FOODS GROUP INC          COM   50076Q-10-6       2,370      45,987        X              2     45,987
KROGER CO.                     COM   501044-10-1       6,628     200,000        X              1    200,000
KROGER CO.                     COM   501044-10-1      13,256     400,000        X              3    400,000
LIFE POINT HOSPITALS           COM   53219L-10-9      12,231     252,400        X              1    252,400




NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  March 31, 2013

PAGE 4  FORM 13F  FILE NUMBER: 28 - 327



                                                                                                      VOTING AUTHORITY
                                                                              INVESTMENT DISCRETION       (SHARES)
                                                                              --------------------- ---------------------
                                                 FAIR MARKET
                                                    VALUE                            SHARED
NAME OF ISSUER                 CLASS    CUSIP       (000)       SHARES   SOLE SHARED OTHERS MANAGER   SOLE    SHARED NONE
--------------                 ----- ----------- -----------   --------- ---- ------ ------ ------- --------- ------ ----
                                                                                    

LIFE POINT HOSPITALS           COM   53219L-10-9       7,153     147,600        X              2      147,600
MANULIFE FINANCIAL SERVICE     COM   56501R-10-6       1,689     114,734        X                     114,734
MARATHON OIL CORP              COM   565849-10-6      15,174     450,000        X              2      450,000
MARATHON PETROLEUM CORP        COM   56585A-10-2      13,440     150,000        X              2      150,000
MEDTRONIC INC                  COM   585055-10-6       8,218     175,000        X              2      175,000
MEDTRONIC INC                  COM   585055-10-6       8,218     175,000        X              3      175,000
MICROSOFT CORP                 COM   594918-10-4       9,726     340,000        X              1      340,000
MICROSOFT CORP                 COM   594918-10-4       6,293     220,000        X              2      220,000
MICROSOFT CORP                 COM   594918-10-4       1,144      40,000        X              3       40,000
MONDELEZ INTERNATIONAL INC-A   COM   609207-10-5      11,263     367,898        X              1      367,898
MONDELEZ INTERNATIONAL INC-A   COM   609207-10-5       4,224     137,962        X              2      137,962
MORGAN STANLEY DEAN WITTER     COM   617446-44-8       4,616     210,000        X              1      210,000
MORGAN STANLEY DEAN WITTER     COM   617446-44-8       4,176     190,000        X              2      190,000
MORGAN STANLEY DEAN WITTER     COM   617446-44-8       1,989      90,472        X              3       90,472
NEWELL RUBBERMAID INC          COM   651229-10-6      11,755     450,400        X              1      450,400
NEWELL RUBBERMAID INC          COM   651229-10-6      11,735     449,600        X              2      449,600
NEWTEK BUSINESS SERVICES INC   COM   652526-10-4           3       1,500        X                       1,500
NEWTEK BUSINESS SERVICES INC   COM   652526-10-4         129      64,500        X              1       64,500
NEWTEK BUSINESS SERVICES INC   COM   652526-10-4           1         500        X              3          500
NISOURCE INC                   COM   65473P-10-5       9,832     335,100        X              1      335,100
NISOURCE INC                   COM   65473P-10-5       6,305     214,900        X              2      214,900
NORTHROP GRUMMAN CORP          COM   666807-10-2      10,523     150,000        X              1      150,000
NVIDIA CORP                    COM   67066G-10-4       6,415     500,000        X              1      500,000
NVIDIA CORP                    COM   67066G-10-4       5,132     400,000        X              2      400,000
OFFICE DEPOT INC               COM   676220-10-6         590     150,000        X                     150,000
OFFICE DEPOT INC               COM   676220-10-6       3,538     900,224        X              1      900,224
OFFICE DEPOT INC               COM   676220-10-6       4,125   1,049,776        X              2    1,049,776
OFFICE DEPOT INC               COM   676220-10-6       1,572     400,000        X              3      400,000
OMNICARE INC                   COM   681904-10-8      10,587     260,000        X              1      260,000
OMNICARE INC                   COM   681904-10-8       1,629      40,000        X              2       40,000
ORACLE CORP                    COM   68389X-10-5       1,617      50,000        X                      50,000
ORACLE CORP                    COM   68389X-10-5       5,173     160,000        X              1      160,000
ORACLE CORP                    COM   68389X-10-5       2,586      80,000        X              2       80,000
OWENS ILLINOIS                 COM   690768-40-3       3,998     150,000        X                     150,000
OWENS ILLINOIS                 COM   690768-40-3       2,713     101,800        X              1      101,800
OWENS ILLINOIS                 COM   690768-40-3      10,146     380,733        X              2      380,733
OWENS ILLINOIS                 COM   690768-40-3       2,596      97,400        X              3       97,400
PEPCO HOLDINGS INC             COM   713291-10-2       2,140     100,000        X                     100,000
PEPCO HOLDINGS INC             COM   713291-10-2       7,011     327,600        X              1      327,600
PEPCO HOLDINGS INC             COM   713291-10-2       6,218     290,600        X              2      290,600
PFIZER INC                     COM   717081-10-3         569      19,700        X                      19,700
PFIZER INC                     COM   717081-10-3      16,644     576,725        X              1      576,725
PFIZER INC                     COM   717081-10-3       9,265     321,025        X              2      321,025
PINNACLE WEST CAPITAL          COM   723484-10-1       2,895      50,000        X                      50,000
PINNACLE WEST CAPITAL          COM   723484-10-1      15,051     260,000        X              1      260,000




NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  March 31, 2013

PAGE 5  FORM 13F  FILE NUMBER: 28 - 327



                                                                                                   VOTING AUTHORITY
                                                                            INVESTMENT DISCRETION      (SHARES)
                                                                            --------------------- -------------------
                                                 FAIR MARKET
                                                    VALUE                          SHARED
NAME OF ISSUER                 CLASS    CUSIP       (000)      SHARES  SOLE SHARED OTHERS MANAGER  SOLE   SHARED NONE
--------------                 ----- ----------- -----------   ------- ---- ------ ------ ------- ------- ------ ----
                                                                                

PINNACLE WEST CAPITAL          COM   723484-10-1       4,052    70,000        X              2     70,000
QUEST DIAGNOSTICS INC          COM   74834L-10-0      20,891   370,000        X              1    370,000
RADIOSHACK CORP                COM   750438-10-3         457   136,000        X              1    136,000
RADIOSHACK CORP                COM   750438-10-3       1,223   364,000        X              2    364,000
ROCKWOOD HOLDINGS              COM   774415-10-3       4,402    67,261        X              1     67,261
ROCKWOOD HOLDINGS              COM   774415-10-3       1,100    16,816        X              2     16,816
ROYAL DUTCH SHELL PLC          COM   780259-20-6       6,516   100,000        X              1    100,000
ROYAL DUTCH SHELL PLC          COM   780259-20-6       6,516   100,000        X              3    100,000
SAFEWAY INC                    COM   786514-20-8       9,750   370,000        X              1    370,000
SAFEWAY INC                    COM   786514-20-8       8,695   330,000        X              2    330,000
SAFEWAY INC                    COM   786514-20-8       5,270   200,000        X              3    200,000
ST JUDE MEDICAL                COM   790849-10-3      14,154   350,000        X              1    350,000
ST JUDE MEDICAL                COM   790849-10-3       2,022    50,000        X              3     50,000
SANOFI-AVENTIS-ADR             COM   80105N-10-5      15,324   300,000        X              1    300,000
SANMINA CORP                   COM   801056-10-2       5,317   467,666        X              1    467,666
SANMINA CORP                   COM   801056-10-2       3,820   335,954        X              2    335,954
SANMINA CORP                   COM   801056-10-2       2,945   258,985        X              3    258,985
SMITHFIELD FOODS INC           COM   832248-10-8       9,596   362,400        X              1    362,400
SMITHFIELD FOODS INC           COM   832248-10-8       8,940   337,600        X              2    337,600
SPECTRA ENERGY CORP            COM   847560-10-9       3,118   101,400        X                   101,400
SPECTRA ENERGY CORP            COM   847560-10-9       3,001    97,578        X              1     97,578
SPECTRA ENERGY CORP            COM   847560-10-9       3,715   120,822        X              2    120,822
SPRINT NEXTEL CORP             COM   852061-10-0         745   120,000        X                   120,000
SPRINT NEXTEL CORP             COM   852061-10-0       2,794   450,000        X              1    450,000
SPRINT NEXTEL CORP             COM   852061-10-0         373    60,000        X              2     60,000
STAGE STORES                   COM   85254C-30-5                     2        X                         2
STAGE STORES                   COM   85254C-30-5         427    16,489        X              3     16,489
STAPLES INC                    COM   855030-10-2       9,394   700,000        X              1    700,000
STAPLES INC                    COM   855030-10-2       6,710   500,000        X              2    500,000
STATE STREET CORP              COM   857477-10-3       4,432    75,000        X                    75,000
STATE STREET CORP              COM   857477-10-3      14,772   250,000        X              1    250,000
SYMANTEC CORP                  COM   871503-10-8      11,106   450,000        X              1    450,000
SYMANTEC CORP                  COM   871503-10-8       7,404   300,000        X              2    300,000
SYMANTEC CORP                  COM   871503-10-8       7,404   300,000        X              3    300,000
SYMETRA FINANCIAL CORP         COM   87151Q-10-6       1,333    99,428        X              1     99,428
SYMETRA FINANCIAL CORP         COM   87151Q-10-6         333    24,857        X              2     24,857
TIME WARNER                    COM   887317-30-3       5,762   100,000        X              1    100,000
TIME WARNER                    COM   887317-30-3      10,564   183,333        X              2    183,333
TIME WARNER                    COM   887317-30-3         960    16,666        X              3     16,666
TIME WARNER CABLE              COM   88732J-20-7       2,411    25,100        X              1     25,100
TIME WARNER CABLE              COM   88732J-20-7       4,420    46,019        X              2     46,019
TIME WARNER CABLE              COM   88732J-20-7         402     4,183        X              3      4,183
TOTAL SA-SPON ADR              COM   89151E-10-9       9,596   200,000        X              1    200,000
TOTAL SA-SPON ADR              COM   89151E-10-9       4,798   100,000        X              2    100,000
TRAVELERS COS INC              COM   89417E-10-9       1,488    17,678        X                    17,678




NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  March 31, 2013

PAGE 6  FORM 13F  FILE NUMBER: 28 - 327



                                                                                                     VOTING AUTHORITY
                                                                              INVESTMENT DISCRETION      (SHARES)
                                                                              --------------------- -------------------
                                                 FAIR MARKET
                                                    VALUE                            SHARED
NAME OF ISSUER                 CLASS    CUSIP       (000)        SHARES  SOLE SHARED OTHERS MANAGER  SOLE   SHARED NONE
--------------                 ----- ----------- ----------- -   ------- ---- ------ ------ ------- ------- ------ ----
                                                                               

TRAVELERS COS INC              COM   89417E-10-9       9,301     110,481        X              1    110,481
TRAVELERS COS INC              COM   89417E-10-9       9,416     111,841        X              2    111,841
TYSON FOODS INC-CL A           COM   902494-10-3      14,584     587,600        X              1    587,600
TYSON FOODS INC-CL A           COM   902494-10-3       7,395     297,950        X              2    297,950
TYSON FOODS INC-CL A           COM   902494-10-3       2,841     114,450        X              3    114,450
UNITEDHEALTH GROUP             COM   91324P-10-2      20,024     350,000        X              1    350,000
VERIZON COMMUNICATIONS         COM   92343V-10-4       1,229      25,000        X                    25,000
VERIZON COMMUNICATIONS         COM   92343V-10-4       9,193     187,043        X              1    187,043
VERIZON COMMUNICATIONS         COM   92343V-10-4      12,533     255,000        X              2    255,000
VIACOM INC CL B                COM   92553P-20-1       6,148     100,000        X                   100,000
VIACOM INC CL B                COM   92553P-20-1      12,296     200,000        X              1    200,000
WAL-MART                       COM   931142-10-3      14,966     200,000        X              1    200,000
WALGREEN COMPANY               COM   931422-10-9       5,789     121,418        X              1    121,418
WALGREEN COMPANY               COM   931422-10-9      14,314     300,200        X              2    300,200
WALGREEN COMPANY               COM   931422-10-9       8,505     178,382        X              3    178,382
WELLS FARGO & COMPANY          COM   949746-10-1         957      25,884        X              1     25,884
WELLS FARGO & COMPANY          COM   949746-10-1         516      13,937        X              2     13,937
WESTERN UNION CO               COM   959802-10-9       7,520     500,000        X              1    500,000
WESTERN UNION CO               COM   959802-10-9       7,520     500,000        X              2    500,000
WILLIAMS COMPANIES             COM   969457-10-0      13,111     350,000        X              1    350,000
WILLIAMS COMPANIES             COM   969457-10-0      13,111     350,000        X              2    350,000
WPX ENERGY INC                 COM   98212B-10-3       4,723     294,834        X              1    294,834
WPX ENERGY INC                 COM   98212B-10-3       3,471     216,666        X              2    216,666
WPX ENERGY INC                 COM   98212B-10-3       4,622     288,500        X              3    288,500
                                                   ---------
                                                   1,824,811
                                                   =========