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

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:  J.M.A. Anderson
Title: Executive Vice-President and Chief Investment Officer
Phone: 416-979-6217

Signature, Place, and Date of Signing:


/s/ J.M.A. Anderson                  Toronto, Ontario,   May 11, 2007
----------------------------------   -----------------   ------------
[Signature]                             [City, State]       [Date]



Report Type (Check only one.):

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

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

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

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

Form 13F File Number   Name
28-06597               McLean Budden
28-04968               MFS

Report Summary:

Number of Other Included Managers:                   2
Form 13F Information Table Entry Total:            225
Form 13F Information Table Value Total:   US$1,692,257
                                           (Thousands)

List of Other Included Managers:

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

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

No.   Form 13F File Number   Name
1     028-12046              Sun Capital Advisers LLC.
2     028-12047              Sun Life Assurance Company of Canada

[Repeat as necessary.]



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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
Abbott Laboratories                  COM       002824100      1,800    32,264   SH          SHARED       2              32,264
Abbott Laboratories                  COM       002824100      4,456    79,862   SH          SHARED       1              79,862
Alexandria Real Estate Equit         COM       015271109        619     6,165   SH          SHARED       2               6,165
Alexandria Real Estate Equit         COM       015271109      4,014    39,991   SH          SHARED       1              39,991
Allstate Corp                        COM       020002101      1,593    24,985   SH          SHARED       2              24,985
Allstate Corp                        COM       020002101      3,914    65,172   SH          SHARED       1              65,172
Altria Group Inc                     COM       02209S103      1,671    23,885   SH          SHARED       2              23,885
Altria Group Inc                     COM       02209S103      4,097    62,166   SH          SHARED       1              62,166
American Express Co                  COM       025816109      2,236    37,357   SH          SHARED       2              37,357
American Express Co                  COM       025816109      5,423    96,148   SH          SHARED       1              96,148
Amgen Inc                            COM       031162100      1,576    26,565   SH          SHARED       2              26,565
Amgen Inc                            COM       031162100      3,861    69,102   SH          SHARED       1              69,102
Anheuser-Busch Co Inc                COM       035229103      1,753    32,734   SH          SHARED       2              32,734
Anheuser-Busch Co Inc                COM       035229103      4,299    85,197   SH          SHARED       1              85,197
Apple Inc                            COM       037833100        769     7,802   SH          SHARED       2               7,802
Apple Inc                            COM       037833100      1,885    20,290   SH          SHARED       1              20,290
Archstone-Smith Trust                COM       039583109        654    12,051   SH          SHARED       2              12,051
Archstone-Smith Trust                COM       039583109      4,197    77,324   SH          SHARED       1              77,324
AvalonBay Communities Inc            COM       053484101        507     3,898   SH          SHARED       2               3,898
AvalonBay Communities Inc            COM       053484101      3,260    25,078   SH          SHARED       1              25,078
Bank of America Corp                 COM       060505104      3,213    59,338   SH          SHARED       2              59,338
Bank of America Corp                 COM       060505104      7,935   155,525   SH          SHARED       1             155,525
Baxter International Inc             COM       071813109      1,979    35,401   SH          SHARED       2              35,401
Baxter International Inc             COM       071813109      4,842    91,928   SH          SHARED       1              91,928
Biogen Idec Inc                      COM       09062X103      1,405    29,816   SH          SHARED       2              29,816
Biogen Idec Inc                      COM       09062X103      3,434    77,386   SH          SHARED       1              77,386
Boeing Company                       COM       097023105      1,777    18,833   SH          SHARED       2              18,833
Boeing Company                       COM       097023105      4,349    48,911   SH          SHARED       1              48,911
BRE Properties Inc                  CL A       05564E106        653    10,341   SH          SHARED       2              10,341
BRE Properties Inc                  CL A       05564E106      4,275    67,704   SH          SHARED       1              67,704
Capitalsource Inc                    COM       14055X102      1,960    74,593   SH          SHARED       2              74,593
Capitalsource Inc                    COM       14055X102      6,752   268,686   SH          SHARED       1             268,686
Chevron Corporation                  COM       166764100      3,860    49,175   SH          SHARED       2              49,175
Chevron Corporation                  COM       166764100      9,429   127,487   SH          SHARED       1             127,487
Ciena Corp                           COM       171779309      2,960    99,792   SH          SHARED       2              99,792
Ciena Corp                           COM       171779309      7,255   259,579   SH          SHARED       1             259,579
Cisco Systems Inc                    COM       17275R102      1,948    71,870   SH          SHARED       2              71,870





                                                                                               
Cisco Systems Inc                    COM       17275R102      4,772   186,906   SH          SHARED       1             186,906
Citigroup Inc                        COM       172967101      3,464    63,577   SH          SHARED       2              63,577
Citigroup Inc                        COM       172967101      8,469   164,966   SH          SHARED       1             164,966
Coca-Cola Company                    COM       191216100      1,528    30,001   SH          SHARED       2              30,001
Coca-Cola Company                    COM       191216100      3,745    78,022   SH          SHARED       1              78,022
Comcast Corp                        CL A       20030N101      1,955    70,971   SH          SHARED       2              70,971
Comcast Corp                        CL A       20030N101      4,777   184,098   SH          SHARED       1             184,098
Concurrent Computer Corp             COM       206710204      1,568   940,793   SH          SHARED       2             940,793
Concurrent Computer Corp             COM       206710204      3,842 2,447,158   SH          SHARED       1           2,447,158
ConocoPhillips                       COM       20825C104      1,667    22,981   SH          SHARED       2              22,981
ConocoPhillips                       COM       20825C104      4,072    59,580   SH          SHARED       1              59,580
Corning Inc                          COM       219350105      1,921    79,584   SH          SHARED       2              79,584
Corning Inc                          COM       219350105      4,707   207,011   SH          SHARED       1             207,011
Cosi Inc                             COM       22122P101      1,824   307,932   SH          SHARED       2             307,932
Cosi Inc                             COM       22122P101      4,469   800,817   SH          SHARED       1             800,817
CVS Caremark Corporation             COM       126650100      1,807    49,862   SH          SHARED       2              49,862
CVS Caremark Corporation             COM       126650100      4,427   129,674   SH          SHARED       1             129,674
Developers Diversified Realty        COM       251591103        571     9,084   SH          SHARED       2               9,084
Developers Diversified Realty        COM       251591103      3,709    58,971   SH          SHARED       1              58,971
Dominion Resources Inc               COM       25746U109      1,600    16,983   SH          SHARED       2              16,983
Dominion Resources Inc               COM       25746U109      3,924    44,199   SH          SHARED       1              44,199
Douglas Emmett Inc-w/i               COM       25960P109        112     4,391   SH          SHARED       2               4,391
Douglas Emmett Inc-w/i               COM       25960P109        727    28,496   SH          SHARED       1              28,496
Duke Energy Corp                     COM       26441C105      1,735    80,556   SH          SHARED       2              80,556
Duke Energy Corp                     COM       26441C105      4,251   209,497   SH          SHARED       1             209,497
Dupont (EI) Nemours and Co           COM       263534109      1,771    33,763   SH          SHARED       2              33,763
Dupont (EI) Nemours and Co           COM       263534109      4,340    87,799   SH          SHARED       1              87,799
Eastgroup Properties                 COM       277276101        482     9,451   SH          SHARED       2               9,451
Eastgroup Properties                 COM       277276101      3,140    61,544   SH          SHARED       1              61,544
Eastman Kodak Co                     COM       277461109      1,169    48,833   SH          SHARED       2              48,833
Eastman Kodak Co                     COM       277461109      2,865   127,010   SH          SHARED       1             127,010
Eli Lilly & Co                       COM       532457108      1,455    25,527   SH          SHARED       2              25,527
Eli Lilly & Co                       COM       532457108      3,565    66,376   SH          SHARED       1              66,376
Emerson Electric Co                  COM       291011104      1,472    32,176   SH          SHARED       2              32,176
Emerson Electric Co                  COM       291011104      3,599    83,528   SH          SHARED       1              83,528
Equity Residential Properties    SH BEN INT    29476L107        436     9,039   SH          SHARED       2               9,039
Equity Residential Properties    SH BEN INT    29476L107      2,829    58,644   SH          SHARED       1              58,644
Exelon Corporation                   COM       30161N101      1,696    23,251   SH          SHARED       2              23,251
Exelon Corporation                   COM       30161N101      4,161    60,566   SH          SHARED       1              60,566
Exxon Mobil Corp                     COM       30231G102      6,281    78,430   SH          SHARED       2              78,430
Exxon Mobil Corp                     COM       30231G102     15,434   204,564   SH          SHARED       1             204,564





                                                                                               
Federated Department Stores          COM       31410H101      1,776    37,136   SH          SHARED       2              37,136
Federated Department Stores          COM       31410H101      4,351    96,578   SH          SHARED       1              96,578
Fedex Corp                           COM       31428X106      1,360    11,932   SH          SHARED       2              11,932
Fedex Corp                           COM       31428X106      3,334    31,037   SH          SHARED       1              31,037
FHLMC                                COM       313400301      1,442    22,835   SH          SHARED       2              22,835
FHLMC                                COM       313400301      3,533    59,388   SH          SHARED       1              59,388
Finisar Corporation                  COM       31787A101      1,715   461,531   SH          SHARED       2             461,531
Finisar Corporation                  COM       31787A101      4,202 1,200,518   SH          SHARED       1           1,200,518
General Electric Company             COM       369604103      6,622   176,438   SH          SHARED       2             176,438
General Electric Company             COM       369604103     16,197   458,064   SH          SHARED       1             458,064
General Growth Properties            COM       370021107        621     9,615   SH          SHARED       2               9,615
General Growth Properties            COM       370021107      4,028    62,383   SH          SHARED       1              62,383
Gmh Communities Trust                COM       36188G102        406    40,645   SH          SHARED       2              40,645
Gmh Communities Trust                COM       36188G102      2,626   262,919   SH          SHARED       1             262,919
Goldman Sachs Group Inc              COM       38141G104      2,564    11,692   SH          SHARED       2              11,692
Goldman Sachs Group Inc              COM       38141G104      6,293    30,454   SH          SHARED       1              30,454
Google Inc-cl A                     CL A       38259P508      1,465     3,012   SH          SHARED       2               3,012
Google Inc-cl A                     CL A       38259P508      3,588     7,831   SH          SHARED       1               7,831
Health Care Properties               COM       421915109        468    12,983   SH          SHARED       2              12,983
Health Care Properties               COM       421915109      3,034    84,193   SH          SHARED       1              84,193
Hewlett Packard                      COM       428236103      1,520    35,683   SH          SHARED       2              35,683
Hewlett Packard                      COM       428236103      3,725    92,796   SH          SHARED       1              92,796
Highwoods Properties Inc             COM       431284108        602    15,242   SH          SHARED       2              15,242
Highwoods Properties Inc             COM       431284108      3,909    98,981   SH          SHARED       1              98,981
Hilton Hotels Corp                   COM       432848109        407    11,315   SH          SHARED       2              11,315
Hilton Hotels Corp                   COM       432848109      2,631    73,156   SH          SHARED       1              73,156
Home Depot Inc                       COM       437076102        260     6,675   SH          SHARED       2               6,675
Home Depot Inc                       COM       437076102        638    17,361   SH          SHARED       1              17,361
Honeywell International Inc          COM       438516106      1,575    32,210   SH          SHARED       2              32,210
Honeywell International Inc          COM       438516106      3,852    83,629   SH          SHARED       1              83,629
Host Hotels and Resorts Inc          COM       44107P104        527    20,027   SH          SHARED       2              20,027
Host Hotels and Resorts Inc          COM       44107P104      3,444   130,881   SH          SHARED       1             130,881
IBM Corp                             COM       459200101      1,826    18,252   SH          SHARED       2              18,252
IBM Corp                             COM       459200101      4,474    47,465   SH          SHARED       1              47,465
Innkeepers Usa Trust                 COM       4576J0104        318    19,557   SH          SHARED       2              19,557
Innkeepers Usa Trust                 COM       4576J0104      2,066   126,897   SH          SHARED       1             126,897
Intel Corp                           COM       458140100      1,479    72,836   SH          SHARED       2              72,836
Intel Corp                           COM       458140100      3,623   189,411   SH          SHARED       1             189,411
International Paper Co               COM       460146103      1,515    39,224   SH          SHARED       2              39,224
International Paper Co               COM       460146103      3,714   102,034   SH          SHARED       1             102,034
Ishares                        MSCI UTD KINGD  464286699      3,296   137,000   SH          SHARED       1             137,000





                                                                                              
Ishares                          MSCI FRANCE   464286707      4,226   120,200   SH          SHARED       1             120,200
Ishares                          MSCI GERMAN   464286806        908    31,500   SH          SHARED       1              31,500
Ishares                          MSCI MEXICO   464286822      1,913    35,400   SH          SHARED       1              35,400
Ishares                          MSCI JAPAN    464286848      6,664   458,000   SH          SHARED       1             458,000
Ishares Tr                      MSCI EAFE IDX  464287465     32,703   428,838   SH          SHARED       2             428,838
Ishares Tr                      MSCI EAFE IDX  464287465    225,519 2,957,233   SH          SHARED       1           2,957,233
ISTAR Financial Inc                  COM       45031U101        576    12,307   SH          SHARED       2              12,307
ISTAR Financial Inc                  COM       45031U101      3,729    79,625   SH          SHARED       1              79,625
Johnson & Johnson                    COM       478160104      2,239    35,000   SH          SHARED       2              35,000
Johnson & Johnson                    COM       478160104      5,485    91,014   SH          SHARED       1              91,014
JP Morgan Chase                      COM       46625H100      3,489    67,940   SH          SHARED       2              67,940
JP Morgan Chase                      COM       46625H100      8,553   176,787   SH          SHARED       1             176,787
Kimberly-Clark Corp                  COM       494368103      1,694    23,299   SH          SHARED       2              23,299
Kimberly-Clark Corp                  COM       494368103      4,153    60,642   SH          SHARED       1              60,642
Kimco Realty Corp                    COM       49446R109        644    13,223   SH          SHARED       2              13,223
Kimco Realty Corp                    COM       49446R109      4,228    86,736   SH          SHARED       1              86,736
Lexington Realty Trust               COM       529043101        580    27,452   SH          SHARED       2              27,452
Lexington Realty Trust               COM       529043101      3,767   178,273   SH          SHARED       1             178,273
Lowe's Companies                     COM       548661107      1,405    42,040   SH          SHARED       2              42,040
Lowe's Companies                     COM       548661107      3,443   109,331   SH          SHARED       1             109,331
Macerich Company                     COM       554382101        783     8,479   SH          SHARED       2               8,479
Macerich Company                     COM       554382101      5,083    55,031   SH          SHARED       1              55,031
Massey Energy Co                     COM       576206106      3,295   129,409   SH          SHARED       2             129,409
Massey Energy Co                     COM       576206106      8,073   336,515   SH          SHARED       1             336,515
Medical Properties Trust Inc         COM       58463J304        500    34,056   SH          SHARED       2              34,056
Medical Properties Trust Inc         COM       58463J304      3,239   220,481   SH          SHARED       1             220,481
Merck                                COM       589331107      1,824    38,896   SH          SHARED       2              38,896
Merck                                COM       589331107      4,467   101,139   SH          SHARED       1             101,139
Merge Technologies Inc               COM       589981109      2,044   395,339   SH          SHARED       2             395,339
Merge Technologies Inc               COM       589981109      5,007 1,028,171   SH          SHARED       1           1,028,171
Merrill Lynch & Co Inc               COM       590188108      1,867    21,537   SH          SHARED       2              21,537
Merrill Lynch & Co Inc               COM       590188108      4,642    56,843   SH          SHARED       1              56,843
MetLife Inc                          COM       59156R108      1,726    25,747   SH          SHARED       2              25,747
MetLife Inc                          COM       59156R108      4,229    66,960   SH          SHARED       1              66,960
Microsoft Corp                       COM       594918104      3,047   103,001   SH          SHARED       2             103,001
Microsoft Corp                       COM       594918104      7,465   267,853   SH          SHARED       1             267,853
Mrv Communications Inc               COM       553477100      3,723   988,011   SH          SHARED       2             988,011
Mrv Communications Inc               COM       553477100      9,130 2,571,725   SH          SHARED       1           2,571,725
MRV Communications Inc               COM      553,477,100    15,068 4,256,503   SH          SHARED       1           4,256,503
Nationwide Health Pptys Inc          COM       638620104        358    11,437   SH          SHARED       2              11,437
Nationwide Health Pptys Inc          COM       638620104      2,320    74,198   SH          SHARED       1              74,198





                                                                                              
Nautilus Inc                         COM       63910B102      1,357    82,835   SH          SHARED       2              82,835
Nautilus Inc                         COM       63910B102      3,324   215,444   SH          SHARED       1             215,444
New York Community Bancorp           COM       649445103        710    40,340   SH          SHARED       2              40,340
New York Community Bancorp           COM       649445103      4,532   257,657   SH          SHARED       1             257,657
Omnicare Inc                         COM       681904108      1,580    37,424   SH          SHARED       2              37,424
Omnicare Inc                         COM       681904108      3,871    97,325   SH          SHARED       1              97,325
Oracle Corporation                   COM       68389X105      1,672    86,873   SH          SHARED       2              86,873
Oracle Corporation                   COM       68389X105      4,096   225,924   SH          SHARED       1             225,924
Penn Real Estate Investment Tr   SH BEN INT    709102107        837    18,877   SH          SHARED       2              18,877
Penn Real Estate Investment Tr   SH BEN INT    709102107      5,472   123,433   SH          SHARED       1             123,433
Pepsico Inc                          COM       713448108      1,561    23,135   SH          SHARED       2              23,135
Pepsico Inc                          COM       713448108      3,817    60,054   SH          SHARED       1              60,054
Powershares QQQ Nasdaq 100           COM      631,100,104    16,502   379,000   SH          SHARED       1             379,000
Procter & Gamble Co                  COM       742718109      2,340    34,903   SH          SHARED       2              34,903
Procter & Gamble Co                  COM       742718109      5,733    90,770   SH          SHARED       1              90,770
Prologis                         SH BEN INT    743410102        564     8,689   SH          SHARED       2               8,689
Prologis                         SH BEN INT    743410102      3,611    55,612   SH          SHARED       1              55,612
Prudential Financial Inc             COM       744320102      3,254    33,965   SH          SHARED       2              33,965
Prudential Financial Inc             COM       744320102      8,011    88,755   SH          SHARED       1              88,755
Public Storage Inc                   COM       74460D109        479     5,064   SH          SHARED       2               5,064
Public Storage Inc                   COM       74460D109      3,091    32,659   SH          SHARED       1              32,659
Qualcom Inc                          COM       747525103      1,754    38,728   SH          SHARED       2              38,728
Qualcom Inc                          COM       747525103      4,297   100,717   SH          SHARED       1             100,717
Rackable Systems Inc                 COM      750,077,109    10,863   640,500   SH          SHARED       1             640,500
Raytheon Co                          COM       755111507      1,720    30,895   SH          SHARED       2              30,895
Raytheon Co                          COM       755111507      4,232    80,666   SH          SHARED       1              80,666
Regency Centers Corp                 COM       758849103        509     6,092   SH          SHARED       2               6,092
Regency Centers Corp                 COM       758849103      3,255    38,957   SH          SHARED       1              38,957
Schering-Plough Corp                 COM       806605101      1,972    72,813   SH          SHARED       2              72,813
Schering-Plough Corp                 COM       806605101      4,834   189,502   SH          SHARED       1             189,502
Simon Property Group Inc             COM       828806109        903     8,114   SH          SHARED       2               8,114
Simon Property Group Inc             COM       828806109      5,845    52,544   SH          SHARED       1              52,544
SL Green Realty Corp                 COM       78440X101        808     5,893   SH          SHARED       2               5,893
SL Green Realty Corp                 COM       78440X101      5,221    38,062   SH          SHARED       1              38,062
SPDR Trust                           COM       78462F103    697,059 4,908,865   SH          SHARED       1           4,908,865
Tenet Healthcare Corp                COM       88033G100      1,450   212,483   SH          SHARED       2             212,483
Tenet Healthcare Corp                COM       88033G100      3,553   552,530   SH          SHARED       1             552,530
Time Warner Inc                      COM       887317105      1,880    89,831   SH          SHARED       2              89,831
Time Warner Inc                      COM       887317105      4,588   232,682   SH          SHARED       1             232,682
Tyco International Ltd               COM       902124106      1,773    52,945   SH          SHARED       2              52,945
Tyco International Ltd               COM       902124106      4,338   137,501   SH          SHARED       1             137,501





                                                                                              
United Technologies Corp             COM       913017109      1,626    23,560   SH          SHARED       2              23,560
United Technologies Corp             COM       913017109      3,978    61,194   SH          SHARED       1              61,194
Ventas Inc                           COM       92276F100        873    20,717   SH          SHARED       2              20,717
Ventas Inc                           COM       92276F100      5,650   134,110   SH          SHARED       1             134,110
Verizon Communications Inc           COM       92343V104      5,180   128,702   SH          SHARED       2             128,702
Verizon Communications Inc           COM       92343V104     12,681   334,415   SH          SHARED       1             334,415
Viacom Inc-class B                  CL B       92553P201      1,663    38,113   SH          SHARED       2              38,113
Viacom Inc-class B                  CL B       92553P201      4,075    99,121   SH          SHARED       1              99,121
Vornado Realty Trust             SH BEN INT    929042109        580     4,862   SH          SHARED       2               4,862
Vornado Realty Trust             SH BEN INT    929042109      3,758    31,495   SH          SHARED       1              31,495
Wachovia Corp                        COM       929903102      2,192    37,512   SH          SHARED       2              37,512
Wachovia Corp                        COM       929903102      5,332    96,859   SH          SHARED       1              96,859
Wal-Mart Stores Inc                  COM       931142103      1,438    28,848   SH          SHARED       2              28,848
Wal-Mart Stores Inc                  COM       931142103      3,525    75,073   SH          SHARED       1              75,073
Walt Disney Co                       COM       254687106      1,652    45,192   SH          SHARED       2              45,192
Walt Disney Co                       COM       254687106      4,046   117,528   SH          SHARED       1             117,528
Walter Industries Inc                COM       93317Q105      1,521    57,896   SH          SHARED       2              57,896
Walter Industries Inc                COM       93317Q105      3,727   150,598   SH          SHARED       1             150,598
Wellpoint Inc                        COM       94973V107      1,582    18,377   SH          SHARED       2              18,377
Wellpoint Inc                        COM       94973V107      3,875    47,786   SH          SHARED       1              47,786
Wells Fargo & Co                     COM       949746101      3,117    85,302   SH          SHARED       2              85,302
Wells Fargo & Co                     COM       949746101      7,670   222,784   SH          SHARED       1             222,784
Wyeth                                COM       983024100      1,584    29,823   SH          SHARED       2              29,823
Wyeth                                COM       983024100      3,880    77,547   SH          SHARED       1              77,547

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