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, 2006
                                               ------------------

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

Institutional Investment Manager Filing this Report:

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

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

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

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

Person Signing this Report on Behalf of Reporting Manager:

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

Signature, Place, and Date of Signing:

/s/ James M. A. Anderson           Ontario, Canada      5-11-2006
-------------------------------    ------------------   --------------
[Signature]                        [City, State]        [Date]

Report Type (Check only one.):

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

    / / 13F NOTICE. (Check here if no holdings reported are in this report,



        and all holdings are reported by other reporting manager(s).)

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

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


                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                                  0
                                                           --------------------

Form 13F Information Table Entry Total:                           309
                                                           --------------------

Form 13F Information Table Value Total:                   $ 2,165,703
                                                           --------------------
                                                                    (thousands)


List of Other Included Managers:

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

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

   None


                           FORM 13F INFORMATION TABLE



      COLUMN 1               COLUMN 2       COLUMN 3 COLUMN 4         COLUMN 5         COLUMN 6    COLUMN 7          COLUMN 8
------------------------- ---------------- --------- -------- ---------------------- ------------ ---------- ----------------------
                                                      VALUE      SHRS OR   SH/   PUT/   INVESTMENT    OTHER       VOTING AUTHORITY
   NAME OF ISSUER          TITLE OF CLASS    CUSIP   (x$1000)    PRN AMT   PRN   CALL   DISCRETION   MANAGERS     SOLE   SHARED NONE
------------------------- ---------------- --------- ---------  --------- ----- ------ ------------ ----------   ------  ------ ----
                                                                                               
U.S. OPERATIONS - AMOUNTS SHOWN ARE IN U.S. DOLLARS

ABBOTT LABS               COM              002824100     4,706    110,802 SH           SOLE                      110,802
ALBERTO CULVER CO         COM              013068101     4,702    106,302 SH           SOLE                      106,302
ALEXANDRIA REAL ESTATE EQ
  IN                      COM              015271109    17,756    186,255 SH           SOLE                      186,255
ALLSTATE CORP             COM              020002101     4,722     90,618 SH           SOLE                       90,618
ALTRIA GROUP INC          COM              02209S103     6,129     86,501 SH           SOLE                       86,501
AMERICAN EXPRESS CO       COM              025816109     7,055    134,245 SH           SOLE                      134,245
AMERICAN INTL GROUP INC   COM              026874107     7,022    106,248 SH           SOLE                      106,248
AMGEN INC                 COM              031162100     5,671     77,950 SH           SOLE                       77,950
ANHEUSER BUSCH COS INC    COM              035229103     5,070    118,544 SH           SOLE                      118,544
ARCHSTONE SMITH TR        COM              039583109    14,263    292,455 SH           SOLE                      292,455
AVALONBAY CMNTYS INC      COM              053484101    10,375     95,093 SH           SOLE                       95,093
BANK OF AMERICA
  CORPORATION             COM              060505104     9,834    215,933 SH           SOLE                      215,933
BAXTER INTL INC           COM              071813109     4,968    128,000 SH           SOLE                      128,000
BIOGEN IDEC INC           COM              09062X103     5,076    107,772 SH           SOLE                      107,772
BOEING CO                 COM              097023105     5,307     68,100 SH           SOLE                       68,100
BOSTON SCIENTIFIC CORP    COM              101137107    10,027    435,000 SH           SOLE                      435,000
BP PLC                    SPONSORED ADR    055622104    10,238    148,500 SH           SOLE                      148,500
BRE PROPERTIES INC        CL A             05564E106    17,479    312,131 SH           SOLE                      312,131
CAPITALSOURCE INC         COM              14055X102    17,486    702,828 SH           SOLE                      702,828
CHEVRON CORP NEW          COM              166764100    10,296    177,603 SH           SOLE                      177,603
CISCO SYS INC             COM              17275R102     5,206    240,250 SH           SOLE                      240,250
CITIGROUP INC             COM              172967101     9,210    195,000 SH           SOLE                      195,000
COMCAST CORP NEW          CL A             20030N101     4,472    170,950 SH           SOLE                      170,950
CONOCOPHILLIPS            COM              20825C104     5,241     83,000 SH           SOLE                       83,000
DELL INC                  COM              24702R101     5,035    169,200 SH           SOLE                      169,200
DEVELOPERS DIVERSIFIED
  RLTY                    COM              251591103    16,244    296,702 SH           SOLE                      296,702
DISNEY WALT CO            COM DISNEY       254687106     3,884    139,250 SH           SOLE                      139,250
DOMINION RES INC VA NEW   COM              25746U109     4,245     61,500 SH           SOLE                       61,500
DOW CHEM CO               COM              260543103     4,517    111,250 SH           SOLE                      111,250
DU PONT E I DE NEMOURS
  & CO                    COM              263534109     5,158    122,200 SH           SOLE                      122,200
DUKE ENERGY CORP          COM              264399106     4,839    166,000 SH           SOLE                      166,000
E M C CORP MASS           COM              268648102     9,949    729,900 SH           SOLE                      729,900
EASTGROUP PPTY INC        COM              277276101    13,835    291,637 SH           SOLE                      291,637





                                                                                               
EASTMAN KODAK CO          COM              277461109     7,686    270,254 SH           SOLE                      270,254
ELECTRONIC ARTS INC       COM              285512109     5,207     95,150 SH           SOLE                       95,150
EMERSON ELEC CO           COM              291011104     4,864     58,159 SH           SOLE                       58,159
EQUITY OFFICE PROPERTIES
 TRU                      COM              294741103     8,064    240,132 SH           SOLE                      240,132
EQUITY RESIDENTIAL        SH BEN INT       29476L107     1,110     23,715 SH           SOLE                       23,715
EXELON CORP               COM              30161N101     4,457     84,250 SH           SOLE                       84,250
EXXON MOBIL CORP          COM              30231G102    17,312    284,453 SH           SOLE                      284,453
FEDERAL NATL MTG ASSN     COM              313586109     4,419     85,978 SH           SOLE                       85,978
FEDERAL REALTY INVT TR    SH BEN INT NEW   313747206       461      6,128 SH           SOLE                        6,128
GENERAL ELECTRIC CO       COM              369604103    22,240    639,454 SH           SOLE                      639,454
GOLDMAN SACHS GROUP INC   COM              38141G104     6,650     42,366 SH           SOLE                       42,366
GREENFIELD ONLINE INC     COM              395150105     1,084    181,015 SH           SOLE                      181,015
HCA INC                   COM              404119109     4,991    109,000 SH           SOLE                      109,000
HIGHWOODS PPTYS INC       COM              431284108     7,967    236,186 SH           SOLE                      236,186
HILTON HOTELS CORP        COM              432848109     6,362    249,869 SH           SOLE                      249,869
HOME DEPOT INC            COM              437076102     6,248    147,700 SH           SOLE                      147,700
HONEYWELL INTL INC        COM              438516106     4,981    116,450 SH           SOLE                      116,450
HOST MARRIOTT CORP NEW    COM              44107P104    10,638    497,113 SH           SOLE                      497,113
INTEL CORP                COM              458140100     4,497    231,100 SH           SOLE                      231,100
INTERNATIONAL BUSINESS
  MACHS                   COM              459200101     4,845     58,750 SH           SOLE                       58,750
INTL PAPER CO             COM              460146103     4,909    142,000 SH           SOLE                      142,000
ISHARES INC               MSCI AUSTRALIA   464286103     1,471     73,498 SH           SOLE                       73,498
ISHARES INC               MSCI BELGIUM     464286301       275     12,969 SH           SOLE                       12,969
ISHARES INC               MSCI SINGAPORE   464286673       296     33,739 SH           SOLE                       33,739
ISHARES INC               MSCI UTD KINGD   464286699     6,844    339,492 SH           SOLE                      339,492
ISHARES INC               MSCI FRANCE      464286707     2,504     85,725 SH           SOLE                       85,725
ISHARES INC               MSCI SWITZERLD   464286749     1,912     91,331 SH           SOLE                       91,331
ISHARES INC               MSCI SWEDEN      464286756     1,295     50,258 SH           SOLE                       50,258
ISHARES INC               MSCI SPAIN       464286764     1,287     31,549 SH           SOLE                       31,549
ISHARES INC               MSCI GERMAN      464286806     1,889     81,933 SH           SOLE                       81,933
ISHARES INC               MSCI NETHERLND   464286814     1,357     59,958 SH           SOLE                       59,958
ISHARES INC               MSCI JAPAN       464286848     6,733    467,581 SH           SOLE                      467,581
ISHARES INC               MSCI ITALY       464286855     1,036     37,121 SH           SOLE                       37,121
ISHARES INC               MSCI HONG KONG   464286871       908     67,290 SH           SOLE                       67,290
ISTAR FINL INC            COM              45031U101    11,040    288,412 SH           SOLE                      288,412
JDS UNIPHASE CORP         COM              46612J101     5,198  1,246,527 SH           SOLE                    1,246,527
JOHNSON & JOHNSON         COM              478160104     7,502    126,675 SH           SOLE                      126,675
JP MORGAN CHASE & CO      COM              46625H100    10,243    246,000 SH           SOLE                      246,000
KIMBERLY CLARK CORP       COM              494368103     4,877     84,376 SH           SOLE                       84,376
KIMCO REALTY CORP         COM              49446R109    17,024    418,901 SH           SOLE                      418,901
MACERICH CO               COM              554382101    18,239    246,643 SH           SOLE                      246,643
MCDONALDS CORP            COM              580135101     4,910    142,900 SH           SOLE                      142,900





                                                                                               
MEDICAL PPTYS TRUST INC   COM              58463J304    12,460  1,153,676 SH           SOLE                    1,153,676
MEDTRONIC INC             COM              585055106     4,682     92,250 SH           SOLE                       92,250
MERRILL LYNCH & CO INC    COM              590188108     6,203     78,757 SH           SOLE                       78,757
MICROSOFT CORP            COM              594918104    12,633    464,265 SH           SOLE                      464,265
MRV COMMUNICATIONS INC    COM              553477100    12,121  2,956,429 SH           SOLE                    2,956,429
NEW YORK CMNTY BANCORP
  INC                     COM              649445103    19,235  1,097,887 SH           SOLE                    1,097,887
ORACLE CORP               COM              68389X105     5,403    394,700 SH           SOLE                      394,700
PENNSYLVANIA RL ESTATE
  INVT                    SH BEN INT       709102107    11,304    256,906 SH           SOLE                      256,906
PEPSICO INC               COM              713448108     4,833     83,629 SH           SOLE                       83,629
PFIZER INC                COM              717081103     8,131    326,300 SH           SOLE                      326,300
PROCTER & GAMBLE CO       COM              742718109     9,256    160,618 SH           SOLE                      160,618
PROLOGIS                  SH BEN INT       743410102    16,535    309,061 SH           SOLE                      309,061
PRUDENTIAL FINL INC       COM              744320102     9,351    123,343 SH           SOLE                      123,343
PUBLIC STORAGE INC        COM              74460D109     1,029     12,664 SH           SOLE                       12,664
QUALCOMM INC              COM              747525103     5,157    101,900 SH           SOLE                      101,900
RAYTHEON CO               COM NEW          755111507     5,140    112,133 SH           SOLE                      112,133
RECKSON ASSOCS RLTY CORP  COM              75621K106    14,565    317,864 SH           SOLE                      317,864
REGENCY CTRS CORP         COM              758849103    13,244    197,106 SH           SOLE                      197,106
REVLON INC                CL A             761525500     4,445  1,406,783 SH           SOLE                    1,406,783
SCHERING PLOUGH CORP      COM              806605101     5,007    263,680 SH           SOLE                      263,680
SHURGARD STORAGE CTRS INC COM              82567D104     9,401    141,089 SH           SOLE                      141,089
SIMON PPTY GROUP INC NEW  COM              828806109    16,807    199,754 SH           SOLE                      199,754
SL GREEN RLTY CORP        COM              78440X101    19,400    191,129 SH           SOLE                      191,129
SYMANTEC CORP             COM              871503108     5,284    313,983 SH           SOLE                      313,983
TARGET CORP               COM              87612E106     4,533     87,150 SH           SOLE                       87,150
TEKELEC                   COM              879101103     5,334    385,650 SH           SOLE                      385,650
TEXAS INSTRS INC          COM              882508104     5,095    156,900 SH           SOLE                      156,900
TIME WARNER INC           COM              887317105     5,444    324,250 SH           SOLE                      324,250
TYCO INTL LTD NEW         COM              902124106     5,146    191,450 SH           SOLE                      191,450
UNITED PARCEL SERVICE INC CL B             911312106     5,275     66,450 SH           SOLE                       66,450
UNITED TECHNOLOGIES CORP  COM              913017109     4,939     85,200 SH           SOLE                       85,200
UNITEDHEALTH GROUP INC    COM              91324P102     4,407     78,892 SH           SOLE                       78,892
VERIZON COMMUNICATIONS    COM              92343V104    15,915    467,275 SH           SOLE                      467,275
VORNADO RLTY TR           SH BEN INT       929042109    16,229    169,057 SH           SOLE                      169,057
WACHOVIA CORP 2ND NEW     COM              929903102     7,572    135,101 SH           SOLE                      135,101
WAL MART STORES INC       COM              931142103     4,935    104,464 SH           SOLE                      104,464
WELLS FARGO & CO NEW      COM              949746101     9,889    154,826 SH           SOLE                      154,826
YAHOO INC                 COM              984332106     4,783    148,250 SH           SOLE                      148,250

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





                                                                                               
Agco Corp                 COM              001084102     1,933     93,200 SH           SOLE                       93,200
ATI Technologies Inc      COM              001941103       415     24,200 SH           SOLE                       24,200
AT&T Inc                  COM              00206R102     5,219    193,000 SH           SOLE                      193,000
Abbot Laboratories        COM              002824100        38        900 SH           SOLE                          900
Aber Diamond Corporation  COM              002893105       789     19,600 SH           SOLE                       19,600
Abitibi-Consolidated Inc  COM              003924107       561    135,700 SH           SOLE                      135,700
Ace Cash Express Inc      COM              004403101       112      4,500 SH           SOLE                        4,500
Agrium Inc                COM              008916108       505     20,000 SH           SOLE                       20,000
Alcan Inc                 COM              013716105    11,180    244,275 SH           SOLE                      244,275
Alcoa Inc                 COM              013817101     3,472    113,600 SH           SOLE                      113,600
Alliance Atlantis Comm
  Inc                     COM              01853E204       359     11,900 SH           SOLE                       11,900
Allied Irish Banks plc    COM              019228402     4,368     92,000 SH           SOLE                       92,000
Altria Group              COM              02209S103     3,231     45,600 SH           SOLE                       45,600
American Express Co       COM              025816109       263      5,000 SH           SOLE                        5,000
American International
  Group                   COM              026874107     3,979     60,200 SH           SOLE                       60,200
American Standard
  Companies               COM              029712106        36        850 SH           SOLE                          850
Ameriprise Financial Inc  COM              03076C106        45      1,000 SH           SOLE                        1,000
Amvescap PLC              COM              03235E100       837     44,400 SH           SOLE                       44,400
Anglo American PLC        COM              03485P102       149      7,600 SH           SOLE                        7,600
Angiotech Pharmaceuticals
  Inc                     COM              034918102       430     29,200 SH           SOLE                       29,200
Apache Corporation        COM              037411105       773     11,800 SH           SOLE                       11,800
Asahi Glass Co Ltd        COM              043393206     2,190     14,600 SH           SOLE                       14,600
Astrazeneca PLC           COM              046353108       111      2,200 SH           SOLE                        2,200
Avery Dennison Corp       COM              053611109     1,766     30,200 SH           SOLE                       30,200
BCE Inc                   COM              05534B109    14,579    605,042 SH           SOLE                      605,042
BP PLC                    COM              055622104     3,247     47,100 SH           SOLE                       47,100
Bank of America Corp      COM              060505104       114      2,500 SH           SOLE                        2,500
Bank of Montreal          COM              063671101     7,774    136,784 SH           SOLE                      136,784
Bank of Nova Scotia       COM              064149107    13,648    340,306 SH           SOLE                      340,306
Barclays PLC              COM              06738E204     1,774     37,900 SH           SOLE                       37,900
Barrick Gold Corp         COM              067901108    12,153    446,561 SH           SOLE                      446,561
Beckman Coulter Inc       COM              075811109       819     15,000 SH           SOLE                       15,000
Boston Scientific         COM              101137107    10,117    438,900 SH           SOLE                      438,900
Bowater Inc               COM              102183100       145      4,900 SH           SOLE                        4,900
Brookfield Asset Mgmt     COM              112585104       341      6,200 SH           SOLE                        6,200
Burlington North Santa Fe COM              12189T104     1,883     22,600 SH           SOLE                       22,600
CAE Inc                   COM              124765108       554     70,500 SH           SOLE                       70,500
CBS Corporation           COM              124857202       556     23,200 SH           SOLE                       23,200
CHC Helicopter Corp       COM              12541C203       157      6,200 SH           SOLE                        6,200
CIT Group Inc             COM              125581108        86      1,600 SH           SOLE                        1,600
CVS Corp                  COM              126650100        72      2,400 SH           SOLE                        2,400
Cameco Corp               COM              13321L108       489     13,600 SH           SOLE                       13,600





                                                                                               
Cdn Imp Bank of Commerce  COM              136069101    12,736    172,890 SH           SOLE                      172,890
Cdn National Railways     COM              136375102    10,976    242,120 SH           SOLE                      242,120
Canadian Nat Resources
  Ltd                     COM              136385101     1,123     20,200 SH           SOLE                       20,200
Canadian Pacific Railway  COM              13645T100     6,422    128,688 SH           SOLE                      128,688
Canon Inc                 COM              138006309     2,853     43,200 SH           SOLE                       43,200
Capital One Fin Corp      COM              14040H105        32        400 SH           SOLE                          400
Caterpillar Inc           COM              149123101       180      2,500 SH           SOLE                        2,500
Cendant Corp              COM              151313103        52      3,000 SH           SOLE                        3,000
Chevron Corp              COM              166764100        58      1,000 SH           SOLE                        1,000
Cisco Systems             COM              17275R102        65      3,000 SH           SOLE                        3,000
Citigroup Inc             COM              172967101     5,923    125,400 SH           SOLE                      125,400
Colgate Palmolive         COM              194162103     2,627     46,000 SH           SOLE                       46,000
CIA Vale Do Rio Doce      COM              204412209       403      8,300 SH           SOLE                        8,300
Cia De Minas Buenaventur  COM              204448104       190      7,700 SH           SOLE                        7,700
ConocoPhillips Inc        COM              20825C104       152      2,400 SH           SOLE                        2,400
Corus Entertainment       COM              220874101       245      8,000 SH           SOLE                        8,000
Curtiss-Wright Corp       COM              231561101       232      3,500 SH           SOLE                        3,500
Datamirror Corporation    COM              237926100        92     11,250 SH           SOLE                       11,250
John Deere & Co.          COM              244199105       198      2,500 SH           SOLE                        2,500
Dell Inc                  COM              24702R101       179      6,000 SH           SOLE                        6,000
Diageo PLC                COM              25243Q205     5,246     82,700 SH           SOLE                       82,700
Dollar General Corp       COM              256669102        32      1,800 SH           SOLE                        1,800
Domtar Inc.               COM              257561100     3,709    521,700 SH           SOLE                      521,700
Draxis Health Inc         COM              26150J101       105     23,400 SH           SOLE                       23,400
Duke Energy Corporation   COM              264399106     5,317    182,400 SH           SOLE                      182,400
Electronic Arts Inc       COM              285512109        60      1,100 SH           SOLE                        1,100
EnCana Corporation        COM              292505104    20,127    431,122 SH           SOLE                      431,122
Enbridge Inc              COM              29250N105     2,479     86,131 SH           SOLE                       86,131
Exelon Corp               COM              30161N101     3,206     60,600 SH           SOLE                       60,600
Extendicare Inc           COM              30224T871       233     11,000 SH           SOLE                       11,000
Exxon Mobil Corp          COM              30231G102       243      4,000 SH           SOLE                        4,000
Fairmont Hotels           COM              305204109       285      6,400 SH           SOLE                        6,400
Falconbridge Ltd          COM              306104100       742     21,200 SH           SOLE                       21,200
Federal National Mtge
  Assoc                   COM              313586109       617     12,000 SH           SOLE                       12,000
First Data Corp           COM              319963104        56      1,200 SH           SOLE                        1,200
Fiserv Inc                COM              337738108        34        800 SH           SOLE                          800
France Telecom SA-Spons
  ADR                     COM              35177Q105     3,307    147,100 SH           SOLE                      147,100
Franklin Resources Inc    COM              354613101       170      1,800 SH           SOLE                        1,800
General Elec Co           COM              369604103    17,077    491,000 SH           SOLE                      491,000
Gildan Activewear Inc     COM              375916103       393      8,300 SH           SOLE                        8,300
Glamis Gold               COM              376775102       336     10,300 SH           SOLE                       10,300
Glaxosmithkline Plc       COM              37733W105     3,505     67,000 SH           SOLE                       67,000





                                                                                              
Gold Fields Ltd           COM              38059T106     1,897     86,300 SH           SOLE                       86,300
Goldcorp Inc              COM              380956409     1,338     45,700 SH           SOLE                       45,700
Group CGI                 COM              39945C109     4,473    673,800 SH           SOLE                      673,800
HSBC Holdings Plc         COM              404280406     2,639     31,500 SH           SOLE                       31,500
Halliburton Co            COM              406216101       482      6,600 SH           SOLE                        6,600
Hewlett Packard Co        COM              428236103     1,908     58,000 SH           SOLE                       58,000
Home Depot Inc            COM              437076102       254      6,000 SH           SOLE                        6,000
Honeywell International
  Inc                     COM              438516106     2,968     69,400 SH           SOLE                       69,400
Hydrogenics Corporation   COM              448882100        83     23,700 SH           SOLE                       23,700
Imperial Oil Ltd          COM              453038408     4,233     39,300 SH           SOLE                       39,300
Inco Ltd                  COM              453258402       484      9,700 SH           SOLE                        9,700
Intel Corp                COM              458140100       195     10,000 SH           SOLE                       10,000
I B M Corp                COM              459200101        62        750 SH           SOLE                          750
Ishares                   COM              464286608       828      9,500 SH           SOLE                        9,500
Ishares                   COM              464286665     1,207     11,500 SH           SOLE                       11,500
Ishares                   COM              464286699     2,419    120,000 SH           SOLE                      120,000
Ishares                   COM              464286707     3,219    110,200 SH           SOLE                      110,200
Ishares                   COM              464286806       726     31,500 SH           SOLE                       31,500
Ishares                   COM              464286822     1,626     42,400 SH           SOLE                       42,400
Ishares                   COM              464286848    10,973    762,000 SH           SOLE                      762,000
Ishares Tr                COM              464287465   204,214  3,145,623 SH           SOLE                    3,145,623
JSC MMC Norilsk Nickel    COM              46626D108       157      1,600 SH           SOLE                        1,600
Johnson & Johnson         COM              478160104     2,511     42,400 SH           SOLE                       42,400
Johnson Matthey PLC       COM              479142309     2,500     50,600 SH           SOLE                       50,600
Kimberly Clark            COM              494368103        33        575 SH           SOLE                          575
Kinder Morgan Inc         COM              49455P101       791      8,600 SH           SOLE                        8,600
Kohls Corporation         COM              500255104        37        700 SH           SOLE                          700
Lilly (Eli) and Co        COM              532457108     1,770     32,000 SH           SOLE                       32,000
Lincoln National Corp     COM              534187109        47        870 SH           SOLE                          870
Lowe's Cos Inc            COM              548661107        45        700 SH           SOLE                          700
MDS Inc                   COM              55269P302     7,269    403,700 SH           SOLE                      403,700
MRV Communications Inc    COM              553477100     6,305  1,537,907 SH           SOLE                    1,537,907
Magna International Inc   COM              559222401     7,394     98,030 SH           SOLE                       98,030
Manulife Financial Corp   COM              56501R$AA       266      4,242 SH           SOLE                        4,242
Manulife Financial Corp   COM              56501R106    14,277    227,500 SH           SOLE                      227,500
Masco Corp                COM              574599106        36      1,100 SH           SOLE                        1,100
Medco Health Solutions    COM              58405U102       349      6,100 SH           SOLE                        6,100
Methanex Corp             COM              59151K108       369     18,000 SH           SOLE                       18,000
Microsoft Corp            COM              594918104     3,682    135,300 SH           SOLE                      135,300
Monro Muffler Brake Inc   COM              610236101       223      6,000 SH           SOLE                        6,000
Monsanto Co               COM              61166W101       509      6,000 SH           SOLE                        6,000
Morgan Stanley Co         COM              617446448     2,764     44,000 SH           SOLE                       44,000





                                                                                              
Motorola Inc              COM              620076109     1,077     47,000 SH           SOLE                       47,000
Nasdaq 100                COM              631100104    14,035    334,000 SH           SOLE                      334,000
National Oilwell Varco    COM              637071101        64      1,000 SH           SOLE                        1,000
Neurochem Inc             COM              64125K101       233     16,700 SH           SOLE                       16,700
New Gold Inc              COM              644535106        33      3,500 SH           SOLE                        3,500
Nippon Tel & Tel Co       COM              654624105     3,556    165,000 SH           SOLE                      165,000
Nokia Corp                COM              654902204       207     10,000 SH           SOLE                       10,000
Nomura Holdings Inc       COM              65535H208     4,101    185,000 SH           SOLE                      185,000
Nortel Networks Corp      COM              656568102     3,231  1,056,700 SH           SOLE                    1,056,700
North Am Palladium        COM              656912102       165     14,100 SH           SOLE                       14,100
North Fork Bancorporation COM              659424105        61      2,100 SH           SOLE                        2,100
Northgate Minerals Corp   COM              666416102       125     51,900 SH           SOLE                       51,900
Nova Chemicals Corp       COM              66977W109     6,288    220,500 SH           SOLE                      220,500
Novartis AG               COM              66987V109     2,107     38,000 SH           SOLE                       38,000
Novelis Inc               COM              67000X106     4,159    202,615 SH           SOLE                      202,615
Onyx Pharmaceuticals Inc  COM              683399109       205      7,800 SH           SOLE                        7,800
PDL BioPharma Ic          COM              69329Y104       449     13,700 SH           SOLE                       13,700
PPG Industries            COM              693506107       190      3,000 SH           SOLE                        3,000
Petro Canada Limited      COM              71644E102     2,116     44,600 SH           SOLE                       44,600
Pfizer Inc                COM              717081103     5,682    228,000 SH           SOLE                      228,000
Potash Corp of Sask Inc   COM              73755L107       431      4,900 SH           SOLE                        4,900
Precision Drilling Trust  COM              740215108       574     17,800 SH           SOLE                       17,800
Procter & Gamble Co       COM              742718109       230      4,000 SH           SOLE                        4,000
Prudential Financial Inc  COM              744320102        53        700 SH           SOLE                          700
Quebecor World Inc        COM              748203106     1,861    189,600 SH           SOLE                      189,600
Reed Elsevier NV          COM              758204101     1,778     62,000 SH           SOLE                       62,000
Research In Motion        COM              760975102     1,703     20,100 SH           SOLE                       20,100
Rexam plc                 COM              761655406     2,763     57,000 SH           SOLE                       57,000
Rogers Communication
  Class B                 COM              775109200       427     11,200 SH           SOLE                       11,200
Royal Bank of Canada      COM              780087102    18,622    441,581 SH           SOLE                      441,581
SPDR Trust                COM              78462F103   633,264  4,877,643 SH           SOLE                    4,877,643
St. Jude Medical Inc.     COM              790849103       398      9,700 SH           SOLE                        9,700
Siemens AG                COM              826197501     4,416     47,400 SH           SOLE                       47,400
Sierra Wireless Inc       COM              826516106       145     12,453 SH           SOLE                       12,453
Smurfit Stone Container   COM              832727101        54      4,000 SH           SOLE                        4,000
Statoil ASA               COM              85771P102     1,222     42,900 SH           SOLE                       42,900
Sun Life Financial Inc    COM              866796105     1,335     31,400 SH           SOLE                       31,400
Suncor Energy Inc         COM              867229106     3,240     42,200 SH           SOLE                       42,200
TLC Vision Corp           COM              872549100        58      8,900 SH           SOLE                        8,900
Talisman Energy Inc       COM              87425E103     2,922     55,000 SH           SOLE                       55,000
Telus Corp                COM              87971M202       943     24,370 SH           SOLE                       24,370
Tesco Corp                COM              88157K101       173      9,200 SH           SOLE                        9,200





                                                                                               
Thomson Corp              COM              884903105     1,684     45,135 SH           SOLE                       45,135
3M Company                COM              88579Y101     4,224     55,800 SH           SOLE                       55,800
Tomkins PLC               COM              890030208     3,677    156,000 SH           SOLE                      156,000
Toronto Dominion Bank     COM              891160509    10,096    181,133 SH           SOLE                      181,133
Total SA                  COM              89151E109       237      1,800 SH           SOLE                        1,800
Toyota Motor Corporation  COM              892331307     3,703     34,000 SH           SOLE                       34,000
TransAlta Corp            COM              89346D107     3,529    185,100 SH           SOLE                      185,100
TransCanada Corp          COM              89353D107    11,179    387,579 SH           SOLE                      387,579
TransGlobe Energy
  Corporation             COM              893662106        71     13,363 SH           SOLE                       13,363
Tyco Intl Ltd             COM              902124106     3,847    143,100 SH           SOLE                      143,100
United Technologies Corp  COM              913017109     1,878     32,400 SH           SOLE                       32,400
UPM Kymmene Corporation   COM              915436109     4,097    173,600 SH           SOLE                      173,600
Vasogen Inc               COM              92232F103        50     23,800 SH           SOLE                       23,800
Verizon Comm              COM              92343V104     3,644    107,000 SH           SOLE                      107,000
Viacom Inc                COM              92553P201     2,328     60,000 SH           SOLE                       60,000
Vodafone Group Plc        COM              92857W100        34      1,650 SH           SOLE                        1,650
Volvo AB                  COM              928856400     2,783     59,700 SH           SOLE                       59,700
WPP Group PLC             COM              929309409     1,920     32,000 SH           SOLE                       32,000
Wal Mart Stores Inc       COM              931142103     3,741     79,200 SH           SOLE                       79,200
Wellpoint Inc             COM              94973V107        50        650 SH           SOLE                          650
Wyeth                     COM              983024100     2,775     57,200 SH           SOLE                       57,200
Yamana Gold Inc           COM              98462Y100        63      6,800 SH           SOLE                        6,800
Deutsche Bank AG          COM              D18190898     3,850     33,700 SH           SOLE                       33,700
Nabors Industries Ltd     COM              G6359F103       394      5,500 SH           SOLE                        5,500
Noble Corp                COM              G65422100        81      1,000 SH           SOLE                        1,000
Weatherford Intl Ltd      COM              G95089101        46      1,002 SH           SOLE                        1,002
UBS AG                    COM              H8920M855     1,793     16,300 SH           SOLE                       16,300
Check Point Software Tech
  Ltd                     COM              M22465104     1,425     71,200 SH           SOLE                       71,200

                                                     2,165,703