UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 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:         Verizon Investment Management Corp.
                 -----------------------------------
   Address:      695 Main Street, 6th Floor
                 -----------------------------------
                 Stamford, Connecticut  06901
                 -----------------------------------

Form 13F File Number: 28-04063
                         ---------------------

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:    David L. Beik
         -------------------------------
Title:   Chief Operating Officer
         -------------------------------
Phone:   203 965-3361
         -------------------------------

Signature, Place, and Date of Signing:

         /S/ David L. Beik            Stamford, Connecticut      8/8/2006
   -------------------------------    ---------------------   -------------
           [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:                   1
                                        --------------------

Form 13F Information Table Entry Total:          1,029
                                        --------------------

Form 13F Information Table Value Total:      6,549,912
                                        --------------------
                                            (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.

GOLDMAN SACHS      PRIME BROKERAGE

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



                       VERIZON INVESTMENT MANAGEMENT CORP.
                     FORM 13F - SOLE INSTR V. NONE AUTHORITY
                                  June 30, 2006



         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
ACE LTD                    ORD             G0070K103         1,007     19,900   X                                           19,900
COOPER INDS LTD            CL A            G24182100         4,367     47,000   X                                           47,000
INGERSOLL-RAND COMPANY
  LTD                      CL A            G4776G101         3,286     76,800   X                                           76,800
MARVELL TECHNOLOGY GROUP
  LTD                      ORD             G5876H105         2,403     54,200   X                                           54,200
NOBLE CORPORATION          SHS             G65422100         1,228     16,500   X                                           16,500
TRANSOCEAN INC             ORD             G90078109         2,562     31,900   X                                           31,900
WHITE MTNS INS GROUP LTD   COM             G9618E107           877      1,800   X                                            1,800
ALCON INC                  COM SHS         H01301102           729      7,400   X                                            7,400
KERZNER INTERNATIONAL LTD  SHS             P6065Y107         1,744     22,000   X                                           22,000
ROYAL CARIBBEAN CRUISES
  LTD                      COM             V7780T103         1,228     32,100   X                                           32,100
A D C TELECOMMUNICATIONS   COM NEW         000886309           492     29,161   X                                           29,161
AFLAC INC                  COM             001055102         9,556    206,166   X                                          206,166
AGCO CORP                  COM             001084102           378     14,344   X                                           14,344
AGL RES INC                COM             001204106           450     11,806   X                                           11,806
AES CORP                   COM             00130H105         5,151    279,193   X                                          279,193
AMB PROPERTY CORP          COM             00163T109           673     13,322   X                                           13,322
AMR CORP                   COM             001765106         1,260     49,553   X                                           49,553
AT&T INC                   COM             00206R102        44,942  1,611,419   X                                        1,611,419
AVX CORP NEW               COM             002444107           161     10,184   X                                           10,184
ABBOTT LABS                COM             002824100        40,544    929,706   X                                          929,706
ABERCROMBIE & FITCH CO     CL A            002896207         4,012     72,379   X                                           72,379
ACTIVISION INC NEW         COM NEW         004930202         2,500    219,723   X                                          219,723
ACXIOM CORP                COM             005125109           567     22,660   X                                           22,660
ADESA INC                  COM             00686U104           527     23,712   X                                           23,712
ADOBE SYS INC              COM             00724F101        14,799    487,442   X                                          487,442
ADVANCE AUTO PARTS INC     COM             00751Y106         3,718    128,651   X                                          128,651
ADVANCED MEDICAL OPTICS
  INC                      COM             00763M108           908     17,918   X                                           17,918
AEROPOSTALE                COM             007865108         1,031     35,700   X                                           35,700
ADVANCED MICRO DEVICES
  INC                      COM             007903107         3,418    139,971   X                                          139,971
AETNA INC NEW              COM             00817Y108        11,603    290,580   X                                          290,580
AFFILIATED COMPUTER
  SERVICES                 CL A            008190100         3,453     66,911   X                                           66,911
AFFILIATED MANAGERS GROUP  COM             008252108           710      8,170   X                                            8,170
AFFYMETRIX INC             COM             00826T108           878     34,300   X                                           34,300
AGERE SYS INC              COM             00845V308           650     44,210   X                                           44,210
AGILENT TECHNOLOGIES INC   COM             00846U101         3,554    112,597   X                                          112,597
AIR PRODS & CHEMS INC      COM             009158106         6,411    100,292   X                                          100,292
AIRGAS INC                 COM             009363102           640     17,194   X                                           17,194
AKAMAI TECHNOLOGIES INC    COM             00971T101         1,458     40,288   X                                           40,288
ALBEMARLE CORP             COM             012653101           285      5,957   X                                            5,957
ALBERTO CULVER CO          COM             013068101         1,853     38,025   X                                           38,025
ALCOA INC                  COM             013817101        11,275    348,434   X                                          348,434
ALEXANDER & BALDWIN INC    COM             014482103           297      6,708   X                                            6,708
ALLEGHANY CORP DEL         COM             017175100         3,174     11,486   X                                           11,486
ALLEGHENY ENERGY INC       COM             017361106         3,815    102,910   X                                          102,910
ALLEGHENY TECHNOLOGIES
  INC                      COM             01741R102         1,854     26,777   X                                           26,777
ALLERGAN INC               COM             018490102        11,028    102,816   X                                          102,816
ALLETE INC                 COM NEW         018522300         1,455     30,733   X                                           30,733
ALLIANCE DATA SYSTEMS
  CORP                     COM             018581108         2,035     34,598   X                                           34,598
ALLIANT ENERGY CORP        COM             018802108           942     27,473   X                                           27,473
ALLIANT TECHSYSTEMS INC    COM             018804104           687      8,998   X                                            8,998
ALLIED CAP CORP NEW        COM             01903Q108         1,924     66,890   X                                           66,890
ALLIED WASTE INDS INC      COM PAR$.01NEW  019589308           447     39,349   X                                           39,349
ALLSTATE CORP              COM             020002101        26,312    480,755   X                                          480,755
ALLTEL CORP                COM             020039103        15,078    236,223   X                                          236,223


                                        1




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
ALTERA CORP                COM             021441100         1,687     96,148   X                                           96,148
ALTRIA GROUP INC           COM             02209S103        87,024  1,185,135   X                                        1,185,135
AMAZON COM INC             COM             023135106         5,449    140,879   X                                          140,879
AMBAC FINL GROUP INC       COM             023139108         5,183     63,908   X                                           63,908
AMEREN CORP                COM             023608102         1,728     34,223   X                                           34,223
AMERICA MOVIL S A DE C V   SPON ADR L SHS  02364W105           622     18,700   X                                           18,700
AMERICAN CAPITAL
  STRATEGIES               COM             024937104         1,688     50,404   X                                           50,404
AMERICAN EAGLE
  OUTFITTERS NE            COM             02553E106         2,159     63,435   X                                           63,435
AMERICAN ELEC PWR INC      COM             025537101         4,617    134,791   X                                          134,791
AMERICAN EXPRESS CO        COM             025816109        33,572    630,819   X                                          630,819
AMERICAN FINL GROUP INC
  OHIO                     COM             025932104           370      8,620   X                                            8,620
AMERICAN INTL GROUP INC    COM             026874107        60,883  1,031,044   X                                        1,031,044
AMERICAN NATL INS CO       COM             028591105           278      2,144   X                                            2,144
AMERICAN PWR CONVERSION
  CORP                     COM             029066107         1,192     61,174   X                                           61,174
AMERICAN STD COS INC DEL   COM             029712106         5,270    121,788   X                                          121,788
AMERICAN TOWER CORP        CL A            029912201         7,954    255,594   X                                          255,594
AMERICREDIT CORP           COM             03060R101           647     23,176   X                                           23,176
AMERUS GROUP CO            COM             03072M108           343      5,861   X                                            5,861
AMERISOURCEBERGEN CORP     COM             03073E105         5,320    126,915   X                                          126,915
AMERIPRISE FINL INC        COM             03076C106         4,572    102,348   X                                          102,348
AMETEK INC NEW             COM             031100100         6,460    136,346   X                                          136,346
AMGEN INC                  COM             031162100        39,776    609,775   X                                          609,775
AMPHENOL CORP NEW          CL A            032095101         6,540    116,875   X                                          116,875
AMSOUTH BANCORPORATION     COM             032165102         1,389     52,513   X                                           52,513
AMYLIN PHARMACEUTICALS
  INC                      COM             032346108         1,379     27,929   X                                           27,929
ANADARKO PETE CORP         COM             032511107        10,418    218,461   X                                          218,461
ANALOG DEVICES INC         COM             032654105         5,648    175,737   X                                          175,737
ANDREW CORP                COM             034425108           251     28,382   X                                           28,382
ANHEUSER BUSCH COS INC     COM             035229103        12,789    280,531   X                                          280,531
ANNALY MTG MGMT INC        COM             035710409           316     24,642   X                                           24,642
ANNTAYLOR STORES CORP      COM             036115103         1,092     25,177   X                                           25,177
AON CORP                   COM             037389103         1,682     48,305   X                                           48,305
APACHE CORP                COM             037411105         4,528     66,347   X                                           66,347
APARTMENT INVT & MGMT CO   CL A            03748R101           640     14,721   X                                           14,721
APOLLO GROUP INC           CL A            037604105         5,028     97,312   X                                           97,312
APPLE COMPUTER INC         COM             037833100        26,060    455,038   X                                          455,038
APPLEBEES INTL INC         COM             037899101           336     17,500   X                                           17,500
APPLERA CORP               COM AP BIO GRP  038020103         1,438     44,442   X                                           44,442
APPLIED MATLS INC          COM             038222105        12,817    787,257   X                                          787,257
AQUA AMERICA INC           COM             03836W103         1,851     81,239   X                                           81,239
ARAMARK CORP               CL B            038521100         1,023     30,905   X                                           30,905
ARCH COAL INC              COM             039380100         1,585     37,414   X                                           37,414
ARCHER DANIELS MIDLAND CO  COM             039483102         8,667    209,948   X                                          209,948
ARCHSTONE SMITH TR         COM             039583109         6,165    121,190   X                                          121,190
ARMOR HOLDINGS INC         COM             042260109           249      4,536   X                                            4,536
ARROW ELECTRS INC          COM             042735100         1,050     32,596   X                                           32,596
ASHLAND INC NEW            COM             044209104           645      9,664   X                                            9,664
ASSOCIATED BANC CORP       COM             045487105           783     24,848   X                                           24,848
ASSURANT INC               COM             04621X108         5,949    122,907   X                                          122,907
ASTORIA FINL CORP          COM             046265104           664     21,803   X                                           21,803
ATMEL CORP                 COM             049513104           361     65,091   X                                           65,091
ATMOS ENERGY CORP          COM             049560105           343     12,294   X                                           12,294
AUTODESK INC               COM             052769106         6,338    183,935   X                                          183,935
AUTOLIV INC                COM             052800109         1,548     27,357   X                                           27,357


                                        2




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
AUTOMATIC DATA
  PROCESSING IN            COM             053015103        11,771    259,569   X                                          259,569
AUTONATION INC             COM             05329W102         1,428     66,610   X                                           66,610
AUTOZONE INC               COM             053332102         2,872     32,563   X                                           32,563
AVALONBAY CMNTYS INC       COM             053484101         2,716     24,555   X                                           24,555
AVAYA INC                  COM             053499109           920     80,578   X                                           80,578
AVERY DENNISON CORP        COM             053611109         1,462     25,185   X                                           25,185
AVID TECHNOLOGY INC        COM             05367P100           233      7,000   X                                            7,000
AVNET INC                  COM             053807103         1,185     59,213   X                                           59,213
AVON PRODS INC             COM             054303102         7,916    255,361   X                                          255,361
BB&T CORP                  COM             054937107         3,443     82,796   X                                           82,796
BJS WHOLESALE CLUB INC     COM             05548J106           764     26,955   X                                           26,955
BJ SVCS CO                 COM             055482103         3,500     93,933   X                                           93,933
BOK FINL CORP              COM NEW         05561Q201           229      4,608   X                                            4,608
BP PLC                     SPONSORED ADR   055622104         7,260    104,300   X                                          104,300
BRE PROPERTIES INC         CL A            05564E106           427      7,767   X                                            7,767
BMC SOFTWARE INC           COM             055921100         1,841     77,044   X                                           77,044
BAKER HUGHES INC           COM             057224107        12,681    154,931   X                                          154,931
BALL CORP                  COM             058498106         3,155     85,168   X                                           85,168
BANCORPSOUTH INC           COM             059692103           327     12,015   X                                           12,015
BANK OF AMERICA
  CORPORATION              COM             060505104       121,855  2,533,374   X                                        2,533,374
BANK HAWAII CORP           COM             062540109         2,927     59,013   X                                           59,013
BANK NEW YORK INC          COM             064057102         4,242    131,725   X                                          131,725
BARD C R INC               COM             067383109        11,995    163,738   X                                          163,738
BARNES & NOBLE INC         COM             067774109         2,178     59,680   X                                           59,680
BARR PHARMACEUTICALS INC   COM             068306109         1,578     33,080   X                                           33,080
BAUSCH & LOMB INC          COM             071707103         4,937    100,675   X                                          100,675
BAXTER INTL INC            COM             071813109         8,067    219,442   X                                          219,442
BEA SYS INC                COM             073325102         1,330    101,631   X                                          101,631
BEAR STEARNS COS INC       COM             073902108        24,960    178,181   X                                          178,181
BEAZER HOMES USA INC       COM             07556Q105           383      8,342   X                                            8,342
BECKMAN COULTER INC        COM             075811109         2,749     49,489   X                                           49,489
BECTON DICKINSON & CO      COM             075887109        15,633    255,735   X                                          255,735
BED BATH & BEYOND INC      COM             075896100         5,274    158,995   X                                          158,995
BELLSOUTH CORP             COM             079860102        29,155    805,391   X                                          805,391
BELO CORP                  COM SER A       080555105           488     31,300   X                                           31,300
BEMIS INC                  COM             081437105         1,371     44,790   X                                           44,790
BERKLEY W R CORP           COM             084423102         5,954    174,461   X                                          174,461
BERKSHIRE HATHAWAY INC
  DEL                      CL A            084670108         9,899        108   X                                              108
BEST BUY INC               COM             086516101        12,313    224,528   X                                          224,528
BIOMET INC                 COM             090613100         2,123     67,842   X                                           67,842
BIOGEN IDEC INC            COM             09062X103         3,277     70,744   X                                           70,744
BLACK & DECKER CORP        COM             091797100         9,286    109,944   X                                          109,944
BLACKROCK INC              CL A            09247X101         3,391     24,365   X                                           24,365
BLOCK H & R INC            COM             093671105         3,096    129,763   X                                          129,763
BOEING CO                  COM             097023105        37,737    460,709   X                                          460,709
BORG WARNER INC            COM             099724106         4,598     70,634   X                                           70,634
BOSTON PROPERTIES INC      COM             101121101         1,562     17,282   X                                           17,282
BOSTON SCIENTIFIC CORP     COM             101137107         8,084    480,021   X                                          480,021
BOYD GAMING CORP           COM             103304101           460     11,390   X                                           11,390
BRANDYWINE RLTY TR         SH BEN INT NEW  105368203           442     13,754   X                                           13,754
BRINKER INTL INC           COM             109641100           805     22,167   X                                           22,167
BRINKS CO                  COM             109696104           645     11,432   X                                           11,432
BRISTOL MYERS SQUIBB CO    COM             110122108        24,522    948,242   X                                          948,242
BROADCOM CORP              CL A            111320107         4,244    139,924   X                                          139,924


                                        3




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
BROWN & BROWN INC          COM             115236101         3,205    109,696   X                                          109,696
BROWN FORMAN CORP          CL B            115637209         7,015     98,185   X                                           98,185
BRUNSWICK CORP             COM             117043109           722     21,700   X                                           21,700
BURLINGTON NORTHN SANTA
  FE C                     COM             12189T104        20,108    253,731   X                                          253,731
CBL & ASSOC PPTYS INC      COM             124830100         2,913     74,818   X                                           74,818
CBS CORP NEW               CL B            124857202         6,326    233,860   X                                          233,860
CB RICHARD ELLIS GROUP
  INC                      CL A            12497T101         1,201     48,224   X                                           48,224
C D W CORP                 COM             12512N105           866     15,852   X                                           15,852
C H ROBINSON WORLDWIDE
  INC                      COM NEW         12541W209         6,810    127,764   X                                          127,764
CIGNA CORP                 COM             125509109        10,730    108,919   X                                          108,919
CIT GROUP INC              COM             125581108         8,025    153,474   X                                          153,474
CMS ENERGY CORP            COM             125896100           434     33,521   X                                           33,521
CNX GAS CORP               COM             12618H309           219      7,285   X                                            7,285
CSX CORP                   COM             126408103         5,731     81,367   X                                           81,367
CVS CORP                   COM             126650100        19,212    625,782   X                                          625,782
CA INC                     COM             12673P105         2,711    131,936   X                                          131,936
CABLEVISION SYS CORP       CL A NY CABLVS  12686C109         2,238    104,358   X                                          104,358
CABOT CORP                 COM             127055101           495     14,354   X                                           14,354
CABOT OIL & GAS CORP       COM             127097103           363      7,418   X                                            7,418
CADENCE DESIGN SYSTEM INC  COM             127387108         1,179     68,838   X                                           68,838
CAMDEN PPTY TR             SH BEN INT      133131102           649      8,828   X                                            8,828
CAMERON INTERNATIONAL
  CORP                     COM             13342B105         1,709     35,771   X                                           35,771
CAMPBELL SOUP CO           COM             134429109         4,798    129,280   X                                          129,280
CAPITAL ONE FINL CORP      COM             14040H105         9,918    116,068   X                                          116,068
CAPITALSOURCE INC          COM             14055X102           489     20,832   X                                           20,832
CARDINAL HEALTH INC        COM             14149Y108        12,649    196,630   X                                          196,630
CAREER EDUCATION CORP      COM             141665109           846     28,304   X                                           28,304
CAREMARK RX INC            COM             141705103         7,314    146,659   X                                          146,659
CARLISLE COS INC           COM             142339100           598      7,540   X                                            7,540
CARMAX INC                 COM             143130102           975     27,483   X                                           27,483
CARNIVAL CORP              PAIRED CTF      143658300         1,966     47,100   X                                           47,100
CARPENTER TECHNOLOGY CORP  COM             144285103           749      6,483   X                                            6,483
CARRAMERICA RLTY CORP      COM             144418100           398      8,943   X                                            8,943
CATERPILLAR INC DEL        COM             149123101        30,290    406,690   X                                          406,690
CBOT HLDGS INC             CL A            14984K106         1,650     13,799   X                                           13,799
CELANESE CORP DEL          COM SER A       150870103           326     15,967   X                                           15,967
CELGENE CORP               COM             151020104         6,670    140,628   X                                          140,628
CENDANT CORP               COM             151313103        11,202    687,644   X                                          687,644
CENTERPOINT ENERGY INC     COM             15189T107           805     64,381   X                                           64,381
CENTEX CORP                COM             152312104         3,522     70,019   X                                           70,019
CENTURYTEL INC             COM             156700106         2,054     55,300   X                                           55,300
CEPHALON INC               COM             156708109           953     15,863   X                                           15,863
CERIDIAN CORP NEW          COM             156779100           898     36,728   X                                           36,728
CERNER CORP                COM             156782104           623     16,793   X                                           16,793
CHARLES RIV LABS INTL INC  COM             159864107         4,721    128,290   X                                          128,290
CHECKFREE CORP NEW         COM             162813109         1,243     25,082   X                                           25,082
CHEESECAKE FACTORY INC     COM             163072101           556     20,644   X                                           20,644
CHEMTURA CORP              COM             163893100           340     36,444   X                                           36,444
CHENIERE ENERGY INC        COM NEW         16411R208           558     14,314   X                                           14,314
CHESAPEAKE ENERGY CORP     COM             165167107         1,710     56,525   X                                           56,525
CHEVRON CORP NEW           COM             166764100        63,386  1,021,360   X                                        1,021,360
CHICAGO MERCANTILE HLDGS
  INC                      CL A            167760107        16,672     33,944   X                                           33,944
CHICOS FAS INC             COM             168615102         2,889    107,070   X                                          107,070
CHOICE HOTELS INTL INC     COM             169905106           834     13,764   X                                           13,764


                                        4




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
CHOICEPOINT INC            COM             170388102           938     22,450   X                                           22,450
CHUBB CORP                 COM             171232101        15,845    317,531   X                                          317,531
CHURCH & DWIGHT INC        COM             171340102         4,807    131,988   X                                          131,988
CIENA CORP                 COM             171779101           497    103,336   X                                          103,336
CIMAREX ENERGY CO          COM             171798101           538     12,514   X                                           12,514
CINCINNATI FINL CORP       COM             172062101         1,544     32,834   X                                           32,834
CIRCUIT CITY STORE INC     COM             172737108         1,523     55,948   X                                           55,948
CISCO SYS INC              COM             17275R102        70,215  3,595,251   X                                        3,595,251
CINTAS CORP                COM             172908105         2,083     52,392   X                                           52,392
CITIGROUP INC              COM             172967101       131,720  2,729,950   X                                        2,729,950
CITIZENS COMMUNICATIONS
  CO                       COM             17453B101           833     63,849   X                                           63,849
CITRIX SYS INC             COM             177376100         2,063     51,451   X                                           51,451
CITY NATL CORP             COM             178566105           743     11,409   X                                           11,409
CLAIRES STORES INC         COM             179584107           705     27,634   X                                           27,634
CLARCOR INC                COM             179895107         1,311     44,000   X                                           44,000
CLEAR CHANNEL
  COMMUNICATIONS           COM             184502102         4,551    147,055   X                                          147,055
CLOROX CO DEL              COM             189054109         3,670     60,193   X                                           60,193
COACH INC                  COM             189754104        10,838    362,490   X                                          362,490
COCA COLA CO               COM             191216100        46,199  1,073,907   X                                        1,073,907
COCA COLA ENTERPRISES INC  COM             191219104         1,981     97,229   X                                           97,229
COGNIZANT TECHNOLOGY
  SOLUTIO                  CL A            192446102         8,662    128,568   X                                          128,568
COLDWATER CREEK INC        COM             193068103           418     15,618   X                                           15,618
COLGATE PALMOLIVE CO       COM             194162103         9,843    164,323   X                                          164,323
COLONIAL BANCGROUP INC     COM             195493309           601     23,422   X                                           23,422
COLONIAL PPTYS TR          COM SH BEN INT  195872106           341      6,911   X                                            6,911
COMCAST CORP NEW           CL A            20030N101        20,323    620,744   X                                          620,744
COMCAST CORP NEW           CL A SPL        20030N200         1,639     50,000   X                                           50,000
COMERICA INC               COM             200340107         5,383    103,548   X                                          103,548
COMMERCE BANCORP INC NJ    COM             200519106         3,226     90,446   X                                           90,446
COMMERCE BANCSHARES INC    COM             200525103           506     10,104   X                                           10,104
COMMERCIAL METALS CO       COM             201723103           467     18,182   X                                           18,182
COMMUNITY HEALTH SYS INC
  NEW                      COM             203668108         1,432     38,955   X                                           38,955
COMPASS BANCSHARES INC     COM             20449H109         1,087     19,554   X                                           19,554
COMPUTER SCIENCES CORP     COM             205363104         6,751    139,016   X                                          139,016
COMPUWARE CORP             COM             205638109           388     57,980   X                                           57,980
COMVERSE TECHNOLOGY INC    COM PAR $0.10   205862402         1,904     96,309   X                                           96,309
CONAGRA FOODS INC          COM             205887102         2,010     90,924   X                                           90,924
CON-WAY INC                COM             205944101           783     13,508   X                                           13,508
CONOCOPHILLIPS             COM             20825C104        80,711  1,231,661   X                                        1,231,661
CONSECO INC                COM NEW         208464883           529     22,906   X                                           22,906
CONSOL ENERGY INC          COM             20854P109         2,956     63,272   X                                           63,272
CONSOLIDATED EDISON INC    COM             209115104         3,212     72,274   X                                           72,274
CONSTELLATION BRANDS INC   CL A            21036P108         9,414    376,557   X                                          376,557
CONSTELLATION ENERGY
  GROUP I                  COM             210371100         6,307    115,690   X                                          115,690
CONTINENTAL AIRLS INC      CL B            210795308           683     22,908   X                                           22,908
CONVERGYS CORP             COM             212485106           430     22,066   X                                           22,066
COOPER COS INC             COM NEW         216648402           638     14,402   X                                           14,402
COPART INC                 COM             217204106           454     18,503   X                                           18,503
CORN PRODS INTL INC        COM             219023108         2,115     69,125   X                                           69,125
CORNING INC                COM             219350105        18,925    782,349   X                                          782,349
CORPORATE EXECUTIVE BRD
  CO                       COM             21988R102         2,379     23,740   X                                           23,740
CORRECTIONS CORP AMER NEW  COM NEW         22025Y407           475      8,971   X                                            8,971
COSTCO WHSL CORP NEW       COM             22160K105        14,293    250,187   X                                          250,187
COUNTRYWIDE FINANCIAL
  CORP                     COM             222372104        16,654    437,335   X                                          437,335


                                        5




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
COVANCE INC                COM             222816100         5,181     84,628   X                                           84,628
COVANTA HLDG CORP          COM             22282E102           526     29,818   X                                           29,818
COVENTRY HEALTH CARE INC   COM             222862104        11,663    212,279   X                                          212,279
CRANE CO                   COM             224399105           335      8,042   X                                            8,042
CREE INC                   COM             225447101           449     18,880   X                                           18,880
CROWN CASTLE INTL CORP     COM             228227104         4,103    118,785   X                                          118,785
CROWN HOLDINGS INC         COM             228368106           681     43,742   X                                           43,742
CULLEN FROST BANKERS INC   COM             229899109         1,250     21,812   X                                           21,812
CUMMINS INC                COM             231021106         6,012     49,174   X                                           49,174
CURTISS WRIGHT CORP        COM             231561101         1,544     50,000   X                                           50,000
CYPRESS SEMICONDUCTOR
  CORP                     COM             232806109           507     34,866   X                                           34,866
CYTEC INDS INC             COM             232820100           335      6,240   X                                            6,240
CYTYC CORP                 COM             232946103           758     29,874   X                                           29,874
DPL INC                    COM             233293109         2,562     95,615   X                                           95,615
DRS TECHNOLOGIES INC       COM             23330X100           357      7,333   X                                            7,333
D R HORTON INC             COM             23331A109         1,570     65,926   X                                           65,926
DST SYS INC DEL            COM             233326107         1,287     21,628   X                                           21,628
DTE ENERGY CO              COM             233331107         3,574     87,721   X                                           87,721
DADE BEHRING HLDGS INC     COM             23342J206         2,963     71,157   X                                           71,157
DANAHER CORP DEL           COM             235851102         9,105    141,558   X                                          141,558
DARDEN RESTAURANTS INC     COM             237194105         3,898     98,933   X                                           98,933
DAVITA INC                 COM             23918K108         4,978    100,171   X                                          100,171
DEAN FOODS CO NEW          COM             242370104         2,075     55,786   X                                           55,786
DEERE & CO                 COM             244199105         7,543     90,342   X                                           90,342
DEL MONTE FOODS CO         COM             24522P103           340     30,235   X                                           30,235
DELL INC                   COM             24702R101        45,693  1,868,078   X                                        1,868,078
DENBURY RES INC            COM NEW         247916208           984     31,066   X                                           31,066
DENTSPLY INTL INC NEW      COM             249030107         2,588     42,705   X                                           42,705
DEVELOPERS DIVERSIFIED
  RLTY                     COM             251591103         1,700     32,586   X                                           32,586
DEVON ENERGY CORP NEW      COM             25179M103        13,423    222,197   X                                          222,197
DIAMOND OFFSHORE
  DRILLING IN              COM             25271C102         6,201     73,879   X                                           73,879
DICKS SPORTING GOODS INC   COM             253393102           377      9,532   X                                            9,532
DIEBOLD INC                COM             253651103           655     16,122   X                                           16,122
DILLARDS INC               CL A            254067101           741     23,278   X                                           23,278
DIRECTV GROUP INC          COM             25459L106         3,725    225,764   X                                          225,764
DISCOVERY HOLDING CO       CL A COM        25468Y107         1,196     81,725   X                                           81,725
DISNEY WALT CO             COM DISNEY      254687106        42,282  1,409,394   X                                        1,409,394
DOLBY LABORATORIES INC     COM             25659T107           213      9,125   X                                            9,125
DOLLAR GEN CORP            COM             256669102         1,880    134,474   X                                          134,474
DOLLAR TREE STORES INC     COM             256747106           488     18,411   X                                           18,411
DOMINION RES INC VA NEW    COM             25746U109        12,088    161,624   X                                          161,624
DONALDSON INC              COM             257651109         3,125     92,254   X                                           92,254
DONNELLEY R R & SONS CO    COM             257867101         2,568     80,370   X                                           80,370
DOVER CORP                 COM             260003108         2,605     52,703   X                                           52,703
DOW CHEM CO                COM             260543103        14,005    358,817   X                                          358,817
DOW JONES & CO INC         COM             260561105           590     16,852   X                                           16,852
DREAMWORKS ANIMATION SKG
  INC                      CL A            26153C103           205      8,933   X                                            8,933
DU PONT E I DE NEMOURS &
  CO                       COM             263534109        15,898    382,159   X                                          382,159
DUKE ENERGY CORP NEW       COM             26441C105        18,385    625,976   X                                          625,976
DUKE REALTY CORP           COM NEW         264411505           718     20,433   X                                           20,433
DUN & BRADSTREET CORP
  DEL NE                   COM             26483E100         1,317     18,899   X                                           18,899
DYNEGY INC NEW             CL A            26816Q101           312     57,109   X                                           57,109
E M C CORP MASS            COM             268648102        10,199    929,703   X                                          929,703
ENSCO INTL INC             COM             26874Q100         1,881     40,864   X                                           40,864


                                        6




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
ENI S P A                  SPONSORED ADR   26874R108         3,819     65,000   X                                           65,000
EOG RES INC                COM             26875P101        13,385    193,033   X                                          193,033
E TRADE FINANCIAL CORP     COM             269246104         2,458    107,715   X                                          107,715
EAGLE MATERIALS INC        COM             26969P108           625     13,165   X                                           13,165
EAST WEST BANCORP INC      COM             27579R104           581     15,331   X                                           15,331
EASTMAN CHEM CO            COM             277432100         1,478     27,368   X                                           27,368
EASTMAN KODAK CO           COM             277461109         2,071     87,098   X                                           87,098
EATON CORP                 COM             278058102         5,184     68,750   X                                           68,750
EATON VANCE CORP           COM NON VTG     278265103           844     33,834   X                                           33,834
EBAY INC                   COM             278642103        21,864    746,479   X                                          746,479
ECHOSTAR COMMUNICATIONS
  NEW                      CL A            278762109         1,655     53,715   X                                           53,715
ECOLAB INC                 COM             278865100         5,436    133,960   X                                          133,960
EDISON INTL                COM             281020107         7,771    199,264   X                                          199,264
EDWARDS LIFESCIENCES CORP  COM             28176E108           699     15,383   X                                           15,383
EDWARDS AG INC             COM             281760108           641     11,595   X                                           11,595
EL PASO CORP               COM             28336L109         2,892    192,818   X                                          192,818
ELECTRONIC ARTS INC        COM             285512109         8,317    193,239   X                                          193,239
ELECTRONIC DATA SYS NEW    COM             285661104         5,681    236,125   X                                          236,125
EMBARQ CORP                COM             29078E105         2,393     58,380   X                                           58,380
EMDEON CORP                COM             290849108           889     71,613   X                                           71,613
EMERSON ELEC CO            COM             291011104        16,999    202,829   X                                          202,829
ENCANA CORP                COM             292505104         2,706     51,400   X                                           51,400
ENDO PHARMACEUTICALS
  HLDGS I                  COM             29264F205         1,144     34,698   X                                           34,698
ENERGEN CORP               COM             29265N108         1,576     41,032   X                                           41,032
ENERGY EAST CORP           COM             29266M109           714     29,855   X                                           29,855
ENERGIZER HLDGS INC        COM             29266R108         3,273     55,885   X                                           55,885
ENTERGY CORP NEW           COM             29364G103        12,824    181,257   X                                          181,257
EQUIFAX INC                COM             294429105         3,672    106,920   X                                          106,920
EQUITABLE RES INC          COM             294549100         2,281     68,093   X                                           68,093
EQUITY OFFICE PROPERTIES
  TRU                      COM             294741103         3,037     83,179   X                                           83,179
EQUITY RESIDENTIAL         SH BEN INT      29476L107         1,974     44,131   X                                           44,131
ERIE INDTY CO              CL A            29530P102           423      8,136   X                                            8,136
ESSEX PPTY TR INC          COM             297178105           513      4,598   X                                            4,598
EXELON CORP                COM             30161N101        20,282    356,892   X                                          356,892
EXPEDIA INC DEL            COM             30212P105           584     38,979   X                                           38,979
EXPEDITORS INTL WASH INC   COM             302130109         7,377    131,711   X                                          131,711
EXPRESS SCRIPTS INC        COM             302182100         3,338     46,534   X                                           46,534
EXXON MOBIL CORP           COM             30231G102       187,964  3,063,791   X                                        3,063,791
FMC TECHNOLOGIES INC       COM             30249U101         1,373     20,359   X                                           20,359
F M C CORP                 COM NEW         302491303           382      5,931   X                                            5,931
FPL GROUP INC              COM             302571104         7,917    191,324   X                                          191,324
FACTSET RESH SYS INC       COM             303075105         1,215     25,685   X                                           25,685
FAIR ISAAC CORP            COM             303250104         2,326     64,051   X                                           64,051
FAIRCHILD SEMICONDUCTOR
  INTL                     COM             303726103           459     25,264   X                                           25,264
FAMILY DLR STORES INC      COM             307000109           870     35,607   X                                           35,607
FASTENAL CO                COM             311900104         3,295     81,778   X                                           81,778
FEDERAL HOME LN MTG CORP   COM             313400301        21,310    373,796   X                                          373,796
FEDERAL NATL MTG ASSN      COM             313586109        14,847    308,666   X                                          308,666
FEDERAL REALTY INVT TR     SH BEN INT NEW  313747206         3,274     46,769   X                                           46,769
FEDERATED DEPT STORES
  INC DE                   COM             31410H101        14,168    387,096   X                                          387,096
FEDERATED INVS INC PA      CL B            314211103           773     24,524   X                                           24,524
FEDEX CORP                 COM             31428X106        18,701    160,030   X                                          160,030
F5 NETWORKS INC            COM             315616102           566     10,587   X                                           10,587
FIDELITY NATL
  INFORMATION SV           COM             31620M106           589     16,640   X                                           16,640


                                        7




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
FIDELITY NATL FINL INC     COM             316326107         1,361     34,942   X                                           34,942
FIFTH THIRD BANCORP        COM             316773100         2,744     74,266   X                                           74,266
FIRST AMERN CORP CALIF     COM             318522307         1,948     46,075   X                                           46,075
FIRST DATA CORP            COM             319963104        16,313    362,185   X                                          362,185
FIRST HORIZON NATL CORP    COM             320517105         1,551     38,582   X                                           38,582
FIRST MARBLEHEAD CORP      COM             320771108         2,214     38,879   X                                           38,879
FISERV INC                 COM             337738108         4,538    100,047   X                                          100,047
FIRSTENERGY CORP           COM             337932107         5,849    107,890   X                                          107,890
FISHER SCIENTIFIC INTL
  INC                      COM NEW         338032204         1,960     26,837   X                                           26,837
FLORIDA ROCK INDS INC      COM             341140101         2,401     48,332   X                                           48,332
FLUOR CORP NEW             COM             343412102         5,564     59,875   X                                           59,875
FLOWSERVE CORP             COM             34354P105           540      9,494   X                                            9,494
FOOT LOCKER INC            COM             344849104           687     28,071   X                                           28,071
FORD MTR CO DEL            COM PAR $0.01   345370860         4,503    649,845   X                                          649,845
FOREST CITY ENTERPRISES
  INC                      CL A            345550107           920     18,426   X                                           18,426
FOREST LABS INC            COM             345838106         4,243    109,665   X                                          109,665
FOREST OIL CORP            COM PAR $0.01   346091705           276      8,327   X                                            8,327
FORTUNE BRANDS INC         COM             349631101         7,708    108,542   X                                          108,542
FOUNDATION COAL HLDGS INC  COM             35039W100           558     11,894   X                                           11,894
FRANKLIN RES INC           COM             354613101         9,932    114,412   X                                          114,412
FREEPORT-MCMORAN COPPER
  & GO                     CL B            35671D857         3,201     57,777   X                                           57,777
FREESCALE SEMICONDUCTOR
  INC                      CL B            35687M206         5,592    190,205   X                                          190,205
FRONTIER OIL CORP          COM             35914P105           771     23,800   X                                           23,800
FULTON FINL CORP PA        COM             360271100           419     26,292   X                                           26,292
GATX CORP                  COM             361448103         1,343     31,604   X                                           31,604
GALLAGHER ARTHUR J & CO    COM             363576109           738     29,124   X                                           29,124
GAMESTOP CORP NEW          CL A            36467W109           719     17,112   X                                           17,112
GANNETT INC                COM             364730101         5,518     98,660   X                                           98,660
GAP INC DEL                COM             364760108         3,027    173,949   X                                          173,949
GARDNER DENVER INC         COM             365558105           526     13,665   X                                           13,665
GEN-PROBE INC NEW          COM             36866T103         1,181     21,879   X                                           21,879
GENENTECH INC              COM NEW         368710406        18,422    225,213   X                                          225,213
GENERAL DYNAMICS CORP      COM             369550108        12,918    197,344   X                                          197,344
GENERAL ELECTRIC CO        COM             369604103       182,975  5,551,422   X                                        5,551,422
GENERAL GROWTH PPTYS INC   COM             370021107         8,433    187,144   X                                          187,144
GENERAL MLS INC            COM             370334104         5,017     97,119   X                                           97,119
GENERAL MTRS CORP          COM             370442105         6,826    229,128   X                                          229,128
GENTEX CORP                COM             371901109           540     38,565   X                                           38,565
GENUINE PARTS CO           COM             372460105         5,168    124,043   X                                          124,043
GENWORTH FINL INC          COM CL A        37247D106         6,198    177,886   X                                          177,886
GENZYME CORP               COM             372917104         4,255     69,702   X                                           69,702
GETTY IMAGES INC           COM             374276103         3,744     58,953   X                                           58,953
GILEAD SCIENCES INC        COM             375558103        12,205    206,297   X                                          206,297
GLOBAL INDS LTD            COM             379336100           385     23,059   X                                           23,059
GLOBAL PMTS INC            COM             37940X102         5,525    113,808   X                                          113,808
GLOBAL SIGNAL INC          COM             37944Q103           206      4,454   X                                            4,454
GOLDEN WEST FINL CORP DEL  COM             381317106        12,604    169,870   X                                          169,870
GOLDMAN SACHS GROUP INC    COM             38141G104        41,411    275,286   X                                          275,286
GOODRICH CORP              COM             382388106         2,312     57,382   X                                           57,382
GOODYEAR TIRE & RUBR CO    COM             382550101           521     46,930   X                                           46,930
GOOGLE INC                 CL A            38259P508        45,222    107,843   X                                          107,843
GRACO INC                  COM             384109104         1,630     35,458   X                                           35,458
GRAINGER W W INC           COM             384802104         4,356     57,909   X                                           57,909
GRANT PRIDECO INC          COM             38821G101         4,567    102,065   X                                          102,065


                                        8




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
GREAT PLAINS ENERGY INC    COM             391164100           388     13,924   X                                           13,924
GREIF INC                  CL A            397624107           979     13,060   X                                           13,060
GTECH HLDGS CORP           COM             400518106         1,157     33,254   X                                           33,254
HCA INC                    COM             404119109         6,332    146,741   X                                          146,741
HCC INS HLDGS INC          COM             404132102         1,772     60,194   X                                           60,194
HNI CORP                   COM             404251100         3,226     71,128   X                                           71,128
HRPT PPTYS TR              COM SH BEN INT  40426W101           368     31,807   X                                           31,807
HALLIBURTON CO             COM             406216101        20,372    274,521   X                                          274,521
HANOVER INS GROUP INC      COM             410867105           460      9,696   X                                            9,696
HANSEN NAT CORP            COM             411310105           758      3,982   X                                            3,982
HARLEY DAVIDSON INC        COM             412822108        14,393    262,224   X                                          262,224
HARMAN INTL INDS INC       COM             413086109         3,617     42,374   X                                           42,374
HARRAHS ENTMT INC          COM             413619107         4,779     67,145   X                                           67,145
HARRIS CORP DEL            COM             413875105         4,944    119,114   X                                          119,114
HARSCO CORP                COM             415864107           878     11,261   X                                           11,261
HARTE-HANKS INC            COM             416196103         1,472     57,398   X                                           57,398
HARTFORD FINL SVCS GROUP
  INC                      COM             416515104        14,909    176,227   X                                          176,227
HASBRO INC                 COM             418056107           473     26,100   X                                           26,100
HAWAIIAN ELEC INDUSTRIES   COM             419870100           385     13,797   X                                           13,797
HEALTH CARE PPTY INVS INC  COM             421915109           554     20,716   X                                           20,716
HEALTH MGMT ASSOC INC NEW  CL A            421933102         1,220     61,914   X                                           61,914
HEALTH CARE REIT INC       COM             42217K106           329      9,407   X                                            9,407
HEALTH NET INC             COM             42222G108         1,316     29,132   X                                           29,132
HEARST-ARGYLE TELEVISION
  INC                      COM             422317107           342     15,519   X                                           15,519
HEINZ H J CO               COM             423074103         3,466     84,083   X                                           84,083
HELIX ENERGY SOLUTIONS
  GRP I                    COM             42330P107           826     20,464   X                                           20,464
HELMERICH & PAYNE INC      COM             423452101           869     14,420   X                                           14,420
HENRY JACK & ASSOC INC     COM             426281101           910     46,300   X                                           46,300
HERSHEY CO                 COM             427866108         3,280     59,559   X                                           59,559
HESS CORP                  COM             42809H107         5,440    102,930   X                                          102,930
HEWLETT PACKARD CO         COM             428236103        55,519  1,752,486   X                                        1,752,486
HILLENBRAND INDS INC       COM             431573104           588     12,130   X                                           12,130
HILTON HOTELS CORP         COM             432848109         3,616    127,879   X                                          127,879
HOLLY CORP                 COM PAR $0.01   435758305           604     12,526   X                                           12,526
HOME DEPOT INC             COM             437076102        50,910  1,422,470   X                                        1,422,470
HONEYWELL INTL INC         COM             438516106        15,068    373,887   X                                          373,887
HORMEL FOODS CORP          COM             440452100           415     11,171   X                                           11,171
HOSPITALITY PPTYS TR       COM SH BEN INT  44106M102         1,002     22,813   X                                           22,813
HOSPIRA INC                COM             441060100         3,395     79,065   X                                           79,065
HOST HOTELS & RESORTS INC  COM             44107P104         3,351    153,240   X                                          153,240
HUBBELL INC                CL B            443510201         1,761     36,961   X                                           36,961
HUDSON CITY BANCORP        COM             443683107         3,167    237,569   X                                          237,569
HUMANA INC                 COM             444859102         4,618     85,993   X                                           85,993
HUNT J B TRANS SVCS INC    COM             445658107           872     34,993   X                                           34,993
HUNTINGTON BANCSHARES INC  COM             446150104           877     37,195   X                                           37,195
HUNTSMAN CORP              COM             447011107           357     20,632   X                                           20,632
IAC INTERACTIVECORP        COM NEW         44919P300           999     37,722   X                                           37,722
IMS HEALTH INC             COM             449934108         1,274     47,439   X                                           47,439
ISTAR FINL INC             COM             45031U101           648     17,170   X                                           17,170
ITT EDUCATIONAL SERVICES
  INC                      COM             45068B109           751     11,412   X                                           11,412
ITT INDS INC IND           COM             450911102        12,494    252,403   X                                          252,403
IDEX CORP                  COM             45167R104         1,884     39,921   X                                           39,921
IDEXX LABS INC             COM             45168D104           619      8,238   X                                            8,238
ILLINOIS TOOL WKS INC      COM             452308109        13,625    286,840   X                                          286,840


                                        9




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
IMCLONE SYS INC            COM             45245W109           704     18,214   X                                           18,214
IMPERIAL TOBACCO GROUP
  PLC                      SPONSORED ADR   453142101         1,043     16,900   X                                           16,900
INDYMAC BANCORP INC        COM             456607100           526     11,477   X                                           11,477
INFOSYS TECHNOLOGIES LTD   SPONSORED ADR   456788108           756      9,900   X                                            9,900
INGRAM MICRO INC           CL A            457153104           385     21,221   X                                           21,221
INTEGRATED DEVICE
  TECHNOLOGY               COM             458118106           567     40,003   X                                           40,003
INTEL CORP                 COM             458140100        72,980  3,841,070   X                                        3,841,070
INTERCONTINENTALEXCHANGE
  INC                      COM             45865V100           309      5,333   X                                            5,333
INTERNATIONAL BANCSHARES
  COR                      COM             459044103           224      8,143   X                                            8,143
INTERNATIONAL BUSINESS
  MACHS                    COM             459200101        61,586    801,690   X                                          801,690
INTERNATIONAL

  FLAVORS&FRAGRA           COM             459506101           734     20,823   X                                           20,823
INTERNATIONAL GAME
  TECHNOLOG                COM             459902102         3,632     95,742   X                                           95,742
INTL PAPER CO              COM             460146103         6,340    196,286   X                                          196,286
INTERNATIONAL RECTIFIER
  CORP                     COM             460254105         2,480     63,461   X                                           63,461
INTERNATIONAL SPEEDWAY
  CORP                     CL A            460335201         2,293     49,442   X                                           49,442
INTERSIL CORP              CL A            46069S109           656     28,205   X                                           28,205
INTERPUBLIC GROUP COS INC  COM             460690100           954    114,292   X                                          114,292
INTUITIVE SURGICAL INC     COM NEW         46120E602         1,098      9,552   X                                            9,552
INTUIT                     COM             461202103         2,938     48,537   X                                           48,537
INVESTMENT TECHNOLOGY
  GRP NE                   COM             46145F105           577     11,349   X                                           11,349
INVITROGEN CORP            COM             46185R100         2,033     30,773   X                                           30,773
INVESTORS FINL SERVICES
  CORP                     COM             461915100           771     17,170   X                                           17,170
IRON MTN INC               COM             462846106         1,221     32,671   X                                           32,671
ISHARES TR                 RUSSELL1000VAL  464287598           457      6,250   X                                            6,250
ISHARES TR                 RUSSELL1000GRW  464287614           294      5,820   X                                            5,820
JDS UNIPHASE CORP          COM             46612J101         1,100    434,983   X                                          434,983
JLG INDS INC               COM             466210101           624     27,739   X                                           27,739
JP MORGAN CHASE & CO       COM             46625H100        50,833  1,210,320   X                                        1,210,320
JABIL CIRCUIT INC          COM             466313103         2,975    116,210   X                                          116,210
JACOBS ENGR GROUP INC DEL  COM             469814107         1,766     22,175   X                                           22,175
JANUS CAP GROUP INC        COM             47102X105           782     43,716   X                                           43,716
JARDEN CORP                COM             471109108           303      9,944   X                                            9,944
JEFFERIES GROUP INC NEW    COM             472319102           532     17,956   X                                           17,956
JOHNSON & JOHNSON          COM             478160104       124,704  2,081,181   X                                        2,081,181
JOHNSON CTLS INC           COM             478366107        12,324    149,886   X                                          149,886
JONES APPAREL GROUP INC    COM             480074103         2,320     72,981   X                                           72,981
JONES LANG LASALLE INC     COM             48020Q107           818      9,340   X                                            9,340
JOY GLOBAL INC             COM             481165108         1,683     32,301   X                                           32,301
JUNIPER NETWORKS INC       COM             48203R104         3,258    203,750   X                                          203,750
KLA-TENCOR CORP            COM             482480100         1,968     47,345   X                                           47,345
KANSAS CITY SOUTHERN       COM NEW         485170302           399     14,400   X                                           14,400
KB HOME                    COM             48666K109         2,743     59,831   X                                           59,831
KELLOGG CO                 COM             487836108         5,208    107,540   X                                          107,540
KENNAMETAL INC             COM             489170100           373      5,995   X                                            5,995
KERR MCGEE CORP            COM             492386107         4,798     69,190   X                                           69,190
KEYCORP NEW                COM             493267108         5,649    158,323   X                                          158,323
KEYSPAN CORP               COM             49337W100         1,071     26,512   X                                           26,512
KILROY RLTY CORP           COM             49427F108           605      8,370   X                                            8,370
KIMBERLY CLARK CORP        COM             494368103        15,573    252,402   X                                          252,402
KIMCO REALTY CORP          COM             49446R109         7,505    205,676   X                                          205,676
KINDER MORGAN INC KANS     COM             49455P101         6,953     69,608   X                                           69,608
KINETIC CONCEPTS INC       COM NEW         49460W208         1,733     39,242   X                                           39,242
KING PHARMACEUTICALS INC   COM             495582108           624     36,697   X                                           36,697
KIRBY CORP                 COM             497266106           545     13,787   X                                           13,787


                                       10




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
KOHLS CORP                 COM             500255104         5,332     90,186   X                                           90,186
KRAFT FOODS INC            CL A            50075N104           988     31,960   X                                           31,960
KROGER CO                  COM             501044101         5,049    230,984   X                                          230,984
LSI LOGIC CORP             COM             502161102           819     91,502   X                                           91,502
L-3 COMMUNICATIONS HLDGS
  INC                      COM             502424104         2,217     29,402   X                                           29,402
LABORATORY CORP AMER
  HLDGS                    COM NEW         50540R409         2,026     32,563   X                                           32,563
LAIDLAW INTL INC           COM             50730R102           373     14,814   X                                           14,814
LAM RESEARCH CORP          COM             512807108         4,353     93,179   X                                           93,179
LAMAR ADVERTISING CO       CL A            512815101         1,163     21,595   X                                           21,595
LANDSTAR SYS INC           COM             515098101           728     15,408   X                                           15,408
LAS VEGAS SANDS CORP       COM             517834107         2,820     36,221   X                                           36,221
LAUDER ESTEE COS INC       CL A            518439104         2,374     61,390   X                                           61,390
LAUREATE EDUCATION INC     COM             518613104           454     10,639   X                                           10,639
LEAP WIRELESS INTL INC     COM NEW         521863308           404      8,510   X                                            8,510
LEAR CORP                  COM             521865105           464     20,900   X                                           20,900
LEE ENTERPRISES INC        COM             523768109           964     35,766   X                                           35,766
LEGGETT & PLATT INC        COM             524660107           964     38,597   X                                           38,597
LEGG MASON INC             COM             524901105         8,352     83,919   X                                           83,919
LEHMAN BROS HLDGS INC      COM             524908100        26,975    414,048   X                                          414,048
LENNAR CORP                CL A            526057104         1,210     27,266   X                                           27,266
LENNOX INTL INC            COM             526107107           242      9,144   X                                            9,144
LEUCADIA NATL CORP         COM             527288104         1,498     51,336   X                                           51,336
LEVEL 3 COMMUNICATIONS
  INC                      COM             52729N100         1,165    262,384   X                                          262,384
LEXMARK INTL NEW           CL A            529771107         3,706     66,382   X                                           66,382
LIBERTY GLOBAL INC         COM SER A       530555101         3,685    171,376   X                                          171,376
LIBERTY GLOBAL INC         COM SER C       530555309         1,276     62,047   X                                           62,047
LIBERTY MEDIA HLDG CORP    INT COM SER A   53071M104         4,193    242,944   X                                          242,944
LIBERTY MEDIA HLDG CORP    CAP COM SER A   53071M302         3,078     36,748   X                                           36,748
LIBERTY PPTY TR            SH BEN INT      531172104           598     13,527   X                                           13,527
LIFEPOINT HOSPITALS INC    COM             53219L109           434     13,522   X                                           13,522
LILLY ELI & CO             COM             532457108        27,828    503,487   X                                          503,487
LIMITED BRANDS INC         COM             532716107         4,061    158,693   X                                          158,693
LINCARE HLDGS INC          COM             532791100         6,413    169,474   X                                          169,474
LINCOLN ELEC HLDGS INC     COM             533900106           694     11,080   X                                           11,080
LINCOLN NATL CORP IND      COM             534187109         3,324     58,891   X                                           58,891
LINEAR TECHNOLOGY CORP     COM             535678106         7,049    210,491   X                                          210,491
LIZ CLAIBORNE INC          COM             539320101         1,729     46,660   X                                           46,660
LOCKHEED MARTIN CORP       COM             539830109         8,379    116,801   X                                          116,801
LOEWS CORP                 COM             540424108        11,930    336,537   X                                          336,537
LOEWS CORP                 CAROLNA GP STK  540424207           726     14,131   X                                           14,131
LOUISIANA PAC CORP         COM             546347105           552     25,187   X                                           25,187
LOWES COS INC              COM             548661107        24,721    407,470   X                                          407,470
LUBRIZOL CORP              COM             549271104         1,018     25,538   X                                           25,538
LUCENT TECHNOLOGIES INC    COM             549463107         4,116  1,700,934   X                                        1,700,934
LYONDELL CHEMICAL CO       COM             552078107         1,672     73,800   X                                           73,800
M & T BK CORP              COM             55261F104         5,769     48,920   X                                           48,920
MBIA INC                   COM             55262C100         3,853     65,815   X                                           65,815
M D C HLDGS INC            COM             552676108         1,168     22,483   X                                           22,483
MDU RES GROUP INC          COM             552690109         1,885     51,499   X                                           51,499
MEMC ELECTR MATLS INC      COM             552715104         1,358     36,216   X                                           36,216
MGIC INVT CORP WIS         COM             552848103         1,467     22,575   X                                           22,575
MGM MIRAGE                 COM             552953101         1,907     46,746   X                                           46,746
MSC INDL DIRECT INC        CL A            553530106           578     12,156   X                                           12,156
MACERICH CO                COM             554382101         1,315     18,734   X                                           18,734


                                       11




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
MACK CALI RLTY CORP        COM             554489104           433      9,434   X                                            9,434
MANITOWOC INC              COM             563571108           712     15,989   X                                           15,989
MANOR CARE INC NEW         COM             564055101           969     20,648   X                                           20,648
MANPOWER INC               COM             56418H100         1,777     27,513   X                                           27,513
MANULIFE FINL CORP         COM             56501R106         1,644     51,748   X                                           51,748
MARATHON OIL CORP          COM             565849106        19,610    235,414   X                                          235,414
MARKEL CORP                COM             570535104           575      1,657   X                                            1,657
MARSH & MCLENNAN COS INC   COM             571748102         2,512     93,403   X                                           93,403
MARSHALL & ILSLEY CORP     COM             571834100         3,931     85,941   X                                           85,941
MARRIOTT INTL INC NEW      CL A            571903202         7,956    208,709   X                                          208,709
MARTIN MARIETTA MATLS INC  COM             573284106         1,087     11,925   X                                           11,925
MASCO CORP                 COM             574599106         5,339    180,120   X                                          180,120
MASSEY ENERGY CORP         COM             576206106           771     21,430   X                                           21,430
MASTERCARD INC             COM             57636Q104           770     16,050   X                                           16,050
MATTEL INC                 COM             577081102         1,034     62,617   X                                           62,617
MAXIM INTEGRATED PRODS
  INC                      COM             57772K101         4,374    136,213   X                                          136,213
MCAFEE INC                 COM             579064106         1,917     78,993   X                                           78,993
MCCLATCHY CO               CL A            579489105           881     21,954   X                                           21,954
MCCORMICK & CO INC         COM NON VTG     579780206         1,259     37,516   X                                           37,516
MCDONALDS CORP             COM             580135101        25,077    746,336   X                                          746,336
MCGRAW HILL COS INC        COM             580645109         9,004    179,256   X                                          179,256
MCKESSON CORP              COM             58155Q103         4,579     96,857   X                                           96,857
MEADWESTVACO CORP          COM             583334107         2,416     86,520   X                                           86,520
MEDCO HEALTH SOLUTIONS
  INC                      COM             58405U102        12,892    225,070   X                                          225,070
MEDIA GEN INC              CL A            584404107         1,914     45,700   X                                           45,700
MEDIMMUNE INC              COM             584699102         1,806     66,652   X                                           66,652
MEDTRONIC INC              COM             585055106        22,778    485,465   X                                          485,465
MELLON FINL CORP           COM             58551A108         3,590    104,273   X                                          104,273
MERCANTILE BANKSHARES
  CORP                     COM             587405101           666     18,681   X                                           18,681
MERCK & CO INC             COM             589331107        45,755  1,255,981   X                                        1,255,981
MERCURY GENL CORP NEW      COM             589400100           226      4,017   X                                            4,017
MEREDITH CORP              COM             589433101           416      8,407   X                                            8,407
MERRILL LYNCH & CO INC     COM             590188108        26,758    384,676   X                                          384,676
METLIFE INC                COM             59156R108        13,136    256,519   X                                          256,519
METTLER TOLEDO
  INTERNATIONAL            COM             592688105           645     10,653   X                                           10,653
MICHAELS STORES INC        COM             594087108         2,626     63,680   X                                           63,680
MICROSOFT CORP             COM             594918104       129,027  5,537,649   X                                        5,537,649
MICROCHIP TECHNOLOGY INC   COM             595017104         1,878     55,973   X                                           55,973
MICRON TECHNOLOGY INC      COM             595112103         2,198    145,980   X                                          145,980
MILLENNIUM

  PHARMACEUTICALS I        COM             599902103           661     66,326   X                                           66,326
MILLIPORE CORP             COM             601073109           887     14,079   X                                           14,079
MILLS CORP                 COM             601148109           690     25,800   X                                           25,800
MIRANT CORP NEW            COM             60467R100         1,217     45,398   X                                           45,398
MOHAWK INDS INC            COM             608190104         2,477     35,208   X                                           35,208
MOLEX INC                  COM             608554101         1,205     35,895   X                                           35,895
MOLSON COORS BREWING CO    CL B            60871R209           828     12,191   X                                           12,191
MONEYGRAM INTL INC         COM             60935Y109           751     22,122   X                                           22,122
MONSANTO CO NEW            COM             61166W101        19,272    228,909   X                                          228,909
MONSTER WORLDWIDE INC      COM             611742107         1,396     32,714   X                                           32,714
MOODYS CORP                COM             615369105         9,038    165,959   X                                          165,959
MORGAN STANLEY             COM NEW         617446448        27,375    433,084   X                                          433,084
MOSAIC CO                  COM             61945A107           311     19,888   X                                           19,888
MOTOROLA INC               COM             620076109        29,676  1,472,771   X                                        1,472,771
MURPHY OIL CORP            COM             626717102         6,455    115,559   X                                          115,559


                                       12




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                          
MYLAN LABS INC             COM             628530107         2,088    104,380   X                                          104,380
NCR CORP NEW               COM             62886E108         4,495    122,675   X                                          122,675
NII HLDGS INC              CL B NEW        62913F201         7,297    129,429   X                                          129,429
NRG ENERGY INC             COM NEW         629377508         1,216     25,238   X                                           25,238
NTL INC DEL                COM             62941W101         2,290     91,956   X                                           91,956
NVR INC                    COM             62944T105           593      1,208   X                                            1,208
NYSE GROUP INC             COM             62949W103         2,210     32,272   X                                           32,272
NALCO HOLDING COMPANY      COM             62985Q101           489     27,716   X                                           27,716
NASDAQ STOCK MARKET INC    COM             631103108           739     24,708   X                                           24,708
NATIONAL CITY CORP         COM             635405103        10,119    279,619   X                                          279,619
NATIONAL FUEL GAS CO N J   COM             636180101           448     12,740   X                                           12,740
NATIONAL INSTRS CORP       COM             636518102           402     14,671   X                                           14,671
NATIONAL OILWELL VARCO
  INC                      COM             637071101         4,957     78,282   X                                           78,282
NATIONAL SEMICONDUCTOR
  CORP                     COM             637640103         3,113    130,522   X                                          130,522
NATIONWIDE FINL SVCS INC   CL A            638612101           546     12,394   X                                           12,394
NAVTEQ CORP                COM             63936L100         1,085     24,282   X                                           24,282
NETWORK APPLIANCE INC      COM             64120L104         8,031    227,509   X                                          227,509
NEUSTAR INC                CL A            64126X201           550     16,305   X                                           16,305
NEW CENTURY FINANCIAL
  CORP M                   COM             6435EV108           327      7,153   X                                            7,153
NEW PLAN EXCEL RLTY TR
  INC                      COM             648053106           391     15,842   X                                           15,842
NEW YORK CMNTY BANCORP
  INC                      COM             649445103           745     45,133   X                                           45,133
NEW YORK TIMES CO          CL A            650111107           504     20,520   X                                           20,520
NEWELL RUBBERMAID INC      COM             651229106         1,594     61,724   X                                           61,724
NEWFIELD EXPL CO           COM             651290108           953     19,475   X                                           19,475
NEWMONT MINING CORP        COM             651639106        10,993    207,691   X                                          207,691
NEWS CORP                  CL A            65248E104        12,189    635,520   X                                          635,520
NICOR INC                  COM             654086107           452     10,900   X                                           10,900
NIKE INC                   CL B            654106103        14,722    181,747   X                                          181,747
NISOURCE INC               COM             65473P105           930     42,580   X                                           42,580
NOKIA CORP                 SPONSORED ADR   654902204         1,011     49,900   X                                           49,900
NOBLE ENERGY INC           COM             655044105         1,256     26,798   X                                           26,798
NORDSTROM INC              COM             655664100         4,248    116,375   X                                          116,375
NORFOLK SOUTHERN CORP      COM             655844108         9,514    178,772   X                                          178,772
NORTEL NETWORKS CORP NEW   COM             656568102         1,148    512,300   X                                          512,300
NORTH FORK
  BANCORPORATION NY        COM             659424105         2,528     83,799   X                                           83,799
NORTHEAST UTILS            COM             664397106           482     23,296   X                                           23,296
NORTHERN TR CORP           COM             665859104         3,097     56,006   X                                           56,006
NORTHROP GRUMMAN CORP      COM             666807102        14,372    224,359   X                                          224,359
NOVELL INC                 COM             670006105           341     51,471   X                                           51,471
NOVELLUS SYS INC           COM             670008101           613     24,819   X                                           24,819
NSTAR                      COM             67019E107         1,649     57,660   X                                           57,660
NUCOR CORP                 COM             670346105         8,942    164,829   X                                          164,829
NVIDIA CORP                COM             67066G104         2,152    101,067   X                                          101,067
NUTRI SYS INC NEW          COM             67069D108           521      8,386   X                                            8,386
OGE ENERGY CORP            COM             670837103           712     20,324   X                                           20,324
NUVEEN INVTS INC           CL A            67090F106           889     20,642   X                                           20,642
OSI RESTAURANT PARTNERS
  INC                      COM             67104A101           560     16,191   X                                           16,191
OCCIDENTAL PETE CORP DEL   COM             674599105        40,214    392,138   X                                          392,138
OCEANEERING INTL INC       COM             675232102           643     14,034   X                                           14,034
OFFICEMAX INC DEL          COM             67622P101           602     14,775   X                                           14,775
OFFICE DEPOT INC           COM             676220106         4,191    110,290   X                                          110,290
OLD REP INTL CORP          COM             680223104         1,092     51,100   X                                           51,100
OMNICARE INC               COM             681904108         2,072     43,693   X                                           43,693
OMNICOM GROUP INC          COM             681919106         9,265    103,994   X                                          103,994


                                       13




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
ONEOK INC NEW              COM             682680103         2,087     61,298   X                                           61,298
ORACLE CORP                COM             68389X105        34,097  2,353,130   X                                        2,353,130
O REILLY AUTOMOTIVE INC    COM             686091109         2,618     83,946   X                                           83,946
OSHKOSH TRUCK CORP         COM             688239201         3,013     63,414   X                                           63,414
OVERSEAS SHIPHOLDING
  GROUP I                  COM             690368105         2,314     39,120   X                                           39,120
OWENS ILL INC              COM NEW         690768403           671     40,018   X                                           40,018
PDL BIOPHARMA INC          COM             69329Y104           550     29,889   X                                           29,889
PG&E CORP                  COM             69331C108         7,561    192,490   X                                          192,490
PMC-SIERRA INC             COM             69344F106           513     54,614   X                                           54,614
PMI GROUP INC              COM             69344M101         1,255     28,142   X                                           28,142
PNC FINL SVCS GROUP INC    COM             693475105         4,535     64,623   X                                           64,623
PPG INDS INC               COM             693506107         4,187     63,443   X                                           63,443
PPL CORP                   COM             69351T106         7,525    232,969   X                                          232,969
PACCAR INC                 COM             693718108         6,379     77,429   X                                           77,429
PACKAGING CORP AMER        COM             695156109           467     21,223   X                                           21,223
PACTIV CORP                COM             695257105         1,138     45,980   X                                           45,980
PALL CORP                  COM             696429307         2,396     85,580   X                                           85,580
PAN PACIFIC RETAIL PPTYS
  INC                      COM             69806L104           493      7,102   X                                            7,102
PANAMSAT HLDG CORP         COM             69831Y105           259     10,381   X                                           10,381
PANERA BREAD CO            CL A            69840W108           527      7,836   X                                            7,836
PARKER HANNIFIN CORP       COM             701094104         2,148     27,681   X                                           27,681
PATTERSON COMPANIES INC    COM             703395103         1,576     45,129   X                                           45,129
PATTERSON UTI ENERGY INC   COM             703481101         1,687     59,590   X                                           59,590
PAYCHEX INC                COM             704326107         5,688    145,914   X                                          145,914
PEABODY ENERGY CORP        COM             704549104         7,059    126,620   X                                          126,620
PEDIATRIX MED GROUP        COM             705324101           574     12,667   X                                           12,667
PENN NATL GAMING INC       COM             707569109           732     18,883   X                                           18,883
PENNEY J C INC             COM             708160106         9,138    135,352   X                                          135,352
PENTAIR INC                COM             709631105         2,023     59,177   X                                           59,177
PEOPLES BK BRIDGEPORT
  CONN                     COM             710198102         1,135     34,545   X                                           34,545
PEPCO HOLDINGS INC         COM             713291102           680     28,842   X                                           28,842
PEPSI BOTTLING GROUP INC   COM             713409100         2,390     74,348   X                                           74,348
PEPSIAMERICAS INC          COM             71343P200         2,800    126,655   X                                          126,655
PEPSICO INC                COM             713448108        53,536    891,675   X                                          891,675
PERKINELMER INC            COM             714046109         1,396     66,771   X                                           66,771
PETSMART INC               COM             716768106           936     36,575   X                                           36,575
PFIZER INC                 COM             717081103        91,042  3,879,099   X                                        3,879,099
PHARMACEUTICAL PROD DEV
  INC                      COM             717124101         2,495     71,041   X                                           71,041
PHELPS DODGE CORP          COM             717265102         6,286     76,504   X                                           76,504
PHILADELPHIA CONS HLDG
  CORP                     COM             717528103           405     13,339   X                                           13,339
PILGRIMS PRIDE CORP        COM             721467108         1,850     71,700   X                                           71,700
PINNACLE WEST CAP CORP     COM             723484101         3,380     84,693   X                                           84,693
PIONEER NAT RES CO         COM             723787107           907     19,538   X                                           19,538
PITNEY BOWES INC           COM             724479100         3,743     90,628   X                                           90,628
PLAINS EXPL& PRODTN CO     COM             726505100           833     20,541   X                                           20,541
PLANTRONICS INC NEW        COM             727493108           431     19,400   X                                           19,400
PLUM CREEK TIMBER CO INC   COM             729251108           992     27,936   X                                           27,936
POGO PRODUCING CO          COM             730448107           437      9,469   X                                            9,469
POLO RALPH LAUREN CORP     CL A            731572103         2,254     41,054   X                                           41,054
POOL CORPORATION           COM             73278L105           603     13,821   X                                           13,821
POPULAR INC                COM             733174106         1,370     71,337   X                                           71,337
PRAXAIR INC                COM             74005P104         8,803    163,015   X                                          163,015
PRECISION CASTPARTS CORP   COM             740189105        14,540    243,308   X                                          243,308
PRICE T ROWE GROUP INC     COM             74144T108         3,786    100,138   X                                          100,138


                                       14




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
PRIDE INTL INC DEL         COM             74153Q102         1,215     38,918   X                                           38,918
PRINCIPAL FINANCIAL
  GROUP IN                 COM             74251V102         6,860    123,270   X                                          123,270
PROCTER & GAMBLE CO        COM             742718109        97,167  1,747,612   X                                        1,747,612
PROGRESS ENERGY INC        COM             743263105         1,708     39,840   X                                           39,840
PROGRESSIVE CORP OHIO      COM             743315103         6,547    254,650   X                                          254,650
PROLOGIS                   SH BEN INT      743410102         1,930     37,031   X                                           37,031
PROTECTIVE LIFE CORP       COM             743674103         1,376     29,506   X                                           29,506
PRUDENTIAL FINL INC        COM             744320102        19,297    248,350   X                                          248,350
PUBLIC SVC ENTERPRISE
  GROUP                    COM             744573106         5,431     82,136   X                                           82,136
PUBLIC STORAGE INC         COM             74460D109         3,568     47,008   X                                           47,008
PUGET ENERGY INC NEW       COM             745310102           377     17,548   X                                           17,548
PULTE HOMES INC            COM             745867101         3,801    132,029   X                                          132,029
QLOGIC CORP                COM             747277101         1,267     73,476   X                                           73,476
QUALCOMM INC               COM             747525103        47,366  1,182,081   X                                        1,182,081
QUANTA SVCS INC            COM             74762E102           380     21,943   X                                           21,943
QUEST DIAGNOSTICS INC      COM             74834L100         7,019    117,147   X                                          117,147
QUESTAR CORP               COM             748356102         8,223    102,167   X                                          102,167
QUICKSILVER RESOURCES INC  COM             74837R104           600     16,296   X                                           16,296
QWEST COMMUNICATIONS
  INTL IN                  COM             749121109         3,992    493,491   X                                          493,491
R H DONNELLEY CORP         COM NEW         74955W307           418      7,723   X                                            7,723
RPM INTL INC               COM             749685103           589     32,749   X                                           32,749
RADIAN GROUP INC           COM             750236101         6,102     98,772   X                                           98,772
RADIOSHACK CORP            COM             750438103           481     34,356   X                                           34,356
RAMBUS INC DEL             COM             750917106           501     21,981   X                                           21,981
RANGE RES CORP             COM             75281A109           978     35,966   X                                           35,966
RAYMOND JAMES FINANCIAL
  INC                      COM             754730109           415     13,702   X                                           13,702
RAYONIER INC               COM             754907103         1,228     32,386   X                                           32,386
RAYTHEON CO                COM NEW         755111507         6,245    140,108   X                                          140,108
RECKSON ASSOCS RLTY CORP   COM             75621K106           522     12,611   X                                           12,611
RED HAT INC                COM             756577102         1,198     51,180   X                                           51,180
REGAL ENTMT GROUP          CL A            758766109           335     16,466   X                                           16,466
REGENCY CTRS CORP          COM             758849103           645     10,377   X                                           10,377
REGIONS FINANCIAL CORP
  NEW                      COM             7591EP100         5,043    152,261   X                                          152,261
REINSURANCE GROUP AMER
  INC                      COM             759351109           231      4,697   X                                            4,697
RELIANCE STEEL &
  ALUMINUM CO              COM             759509102           413      4,983   X                                            4,983
RELIANT ENERGY INC         COM             75952B105           692     57,725   X                                           57,725
REPUBLIC SVCS INC          COM             760759100         2,739     67,897   X                                           67,897
RESMED INC                 COM             761152107           922     19,631   X                                           19,631
RESPIRONICS INC            COM             761230101         1,748     51,075   X                                           51,075
REYNOLDS & REYNOLDS CO     CL A            761695105         1,683     54,876   X                                           54,876
REYNOLDS AMERICAN INC      COM             761713106         4,788     41,523   X                                           41,523
RITE AID CORP              COM             767754104           340     80,108   X                                           80,108
ROBERT HALF INTL INC       COM             770323103         1,785     42,496   X                                           42,496
ROCKWELL AUTOMATION INC    COM             773903109         6,096     84,661   X                                           84,661
ROCKWELL COLLINS INC       COM             774341101         6,332    113,333   X                                          113,333
ROHM & HAAS CO             COM             775371107         2,411     48,099   X                                           48,099
ROPER INDS INC NEW         COM             776696106         3,303     70,663   X                                           70,663
ROSS STORES INC            COM             778296103         1,051     37,482   X                                           37,482
ROWAN COS INC              COM             779382100         1,030     28,938   X                                           28,938
RYDER SYS INC              COM             783549108           540      9,245   X                                            9,245
RYLAND GROUP INC           COM             783764103         1,181     27,111   X                                           27,111
SBA COMMUNICATIONS CORP    COM             78388J106           704     26,914   X                                           26,914
SEI INVESTMENTS CO         COM             784117103         2,058     42,108   X                                           42,108
SL GREEN RLTY CORP         COM             78440X101         1,234     11,276   X                                           11,276


                                       15




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                          
SLM CORP                   COM             78442P106        11,654    220,219   X                                          220,219
SPX CORP                   COM             784635104         1,223     21,866   X                                           21,866
SABRE HLDGS CORP           CL A            785905100           795     36,136   X                                           36,136
SAFECO CORP                COM             786429100         1,019     18,075   X                                           18,075
SAFEWAY INC                COM NEW         786514208         3,558    136,848   X                                          136,848
ST JOE CO                  COM             790148100         2,190     47,049   X                                           47,049
ST JUDE MED INC            COM             790849103         9,469    292,065   X                                          292,065
ST MARY LD & EXPL CO       COM             792228108           601     14,925   X                                           14,925
ST PAUL TRAVELERS INC      COM             792860108         6,407    143,714   X                                          143,714
SAKS INC                   COM             79377W108           333     20,601   X                                           20,601
SALESFORCE COM INC         COM             79466L302           587     22,025   X                                           22,025
SANDISK CORP               COM             80004C101         5,558    109,023   X                                          109,023
SANMINA SCI CORP           COM             800907107           741    161,036   X                                          161,036
SAP AKTIENGESELLSCHAFT     SPONSORED ADR   803054204         1,024     19,500   X                                           19,500
SARA LEE CORP              COM             803111103         4,768    297,647   X                                          297,647
SCANA CORP NEW             COM             80589M102         2,650     68,694   X                                           68,694
SCHEIN HENRY INC           COM             806407102         1,802     38,558   X                                           38,558
SCHERING PLOUGH CORP       COM             806605101        13,885    729,654   X                                          729,654
SCHLUMBERGER LTD           COM             806857108           326      5,000   X                                            5,000
SCHWAB CHARLES CORP NEW    COM             808513105         6,157    385,280   X                                          385,280
SCIENTIFIC GAMES CORP      CL A            80874P109           615     17,269   X                                           17,269
SCOTTISH PWR PLC           SP ADR FNL NEW  81013T804           784     18,174   X                                           18,174
SCOTTS MIRACLE GRO CO      CL A            810186106           463     10,942   X                                           10,942
SCRIPPS E W CO OHIO        CL A            811054204         4,643    107,616   X                                          107,616
SEACOR HOLDINGS INC        COM             811904101           281      3,425   X                                            3,425
SEALED AIR CORP NEW        COM             81211K100           934     17,932   X                                           17,932
SEARS HLDGS CORP           COM             812350106         7,457     48,014   X                                           48,014
SEMPRA ENERGY              COM             816851109         5,427    119,320   X                                          119,320
SEPRACOR INC               COM             817315104         2,351     41,141   X                                           41,141
SERVICE CORP INTL          COM             817565104           586     71,975   X                                           71,975
SERVICEMASTER CO           COM             81760N109           554     53,619   X                                           53,619
SHAW GROUP INC             COM             820280105           339     12,178   X                                           12,178
SHERWIN WILLIAMS CO        COM             824348106         9,266    195,159   X                                          195,159
SHURGARD STORAGE CTRS INC  COM             82567D104           771     12,331   X                                           12,331
SIERRA HEALTH SVCS INC     COM             826322109         1,756     39,007   X                                           39,007
SIERRA PAC RES NEW         COM             826428104           427     30,479   X                                           30,479
SIGMA ALDRICH CORP         COM             826552101         2,979     41,006   X                                           41,006
SILICON LABORATORIES INC   COM             826919102           460     13,079   X                                           13,079
SIMON PPTY GROUP INC NEW   COM             828806109         9,765    117,731   X                                          117,731
SIMON PPTY GROUP INC NEW   PFD CONV I 6%   828806802           201      2,940   X                                            2,940
SIRIUS SATELLITE RADIO
  INC                      COM             82966U103         2,190    461,004   X                                          461,004
SKY FINL GROUP INC         COM             83080P103           360     15,257   X                                           15,257
SMITH INTL INC             COM             832110100         3,880     87,258   X                                           87,258
SMITHFIELD FOODS INC       COM             832248108         1,046     36,272   X                                           36,272
SMUCKER J M CO             COM NEW         832696405           414      9,253   X                                            9,253
SMURFIT-STONE CONTAINER
  CORP                     COM             832727101           423     38,629   X                                           38,629
SNAP ON INC                COM             833034101           388      9,598   X                                            9,598
SOLECTRON CORP             COM             834182107           614    179,527   X                                          179,527
SONOCO PRODS CO            COM             835495102           475     15,011   X                                           15,011
SOUTH FINL GROUP INC       COM             837841105           300     11,361   X                                           11,361
SOUTHERN CO                COM             842587107         7,415    231,345   X                                          231,345
SOUTHERN UN CO NEW         COM             844030106           409     15,102   X                                           15,102
SOUTHWEST AIRLS CO         COM             844741108         2,823    172,458   X                                          172,458
SOUTHWESTERN ENERGY CO     COM             845467109         1,360     43,634   X                                           43,634


                                       16




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
SOVEREIGN BANCORP INC      COM             845905108           957     47,099   X                                           47,099
SPRINT NEXTEL CORP         COM FON         852061100        24,628  1,232,002   X                                        1,232,002
STANCORP FINL GROUP INC    COM             852891100         1,164     22,868   X                                           22,868
STANDARD PAC CORP NEW      COM             85375C101           330     12,830   X                                           12,830
STANLEY WKS                COM             854616109         3,878     82,121   X                                           82,121
STAPLES INC                COM             855030102         6,529    268,145   X                                          268,145
STARBUCKS CORP             COM             855244109        18,415    487,698   X                                          487,698
STARWOOD HOTELS&RESORTS
  WRLD                     COM             85590A401        10,572    175,201   X                                          175,201
STATE STR CORP             COM             857477103         4,911     84,535   X                                           84,535
STATION CASINOS INC        COM             857689103         2,090     30,706   X                                           30,706
STEEL DYNAMICS INC         COM             858119100           485      7,383   X                                            7,383
STEELCASE INC              CL A            858155203           301     18,306   X                                           18,306
STERICYCLE INC             COM             858912108           869     13,354   X                                           13,354
STRYKER CORP               COM             863667101         5,316    126,232   X                                          126,232
STUDENT LN CORP            COM             863902102         3,314     16,405   X                                           16,405
SUN MICROSYSTEMS INC       COM             866810104         2,908    700,763   X                                          700,763
SUNOCO INC                 COM             86764P109        14,481    208,990   X                                          208,990
SUNTRUST BKS INC           COM             867914103        21,723    284,853   X                                          284,853
SUPERIOR ENERGY SVCS INC   COM             868157108           706     20,822   X                                           20,822
SUPERVALU INC              COM             868536103         1,559     50,778   X                                           50,778
SWIFT TRANSN CO            COM             870756103           342     10,782   X                                           10,782
SYMANTEC CORP              COM             871503108         6,947    447,071   X                                          447,071
SYMBOL TECHNOLOGIES INC    COM             871508107           667     61,813   X                                           61,813
SYNOPSYS INC               COM             871607107         1,061     56,551   X                                           56,551
SYNOVUS FINL CORP          COM             87161C105         1,452     54,231   X                                           54,231
SYSCO CORP                 COM             871829107        12,336    403,681   X                                          403,681
TCF FINL CORP              COM             872275102           989     37,382   X                                           37,382
TD BANKNORTH INC           COM             87235A101           606     20,592   X                                           20,592
TD AMERITRADE HLDG CORP    COM             87236Y108         1,204     81,298   X                                           81,298
TECO ENERGY INC            COM             872375100         1,133     75,840   X                                           75,840
TJX COS INC NEW            COM             872540109         4,588    200,687   X                                          200,687
TXU CORP                   COM             873168108        17,596    294,301   X                                          294,301
TARGET CORP                COM             87612E106        30,881    631,901   X                                          631,901
TAUBMAN CTRS INC           COM             876664103           454     11,089   X                                           11,089
TECH DATA CORP             COM             878237106           322      8,418   X                                            8,418
TECHNE CORP                COM             878377100           524     10,285   X                                           10,285
TEKTRONIX INC              COM             879131100           565     19,195   X                                           19,195
TELEFLEX INC               COM             879369106           330      6,102   X                                            6,102
TELEPHONE & DATA SYS INC   COM             879433100         2,038     49,223   X                                           49,223
TELEPHONE & DATA SYS INC   SPL COM         879433860         1,023     26,300   X                                           26,300
TELLABS INC                COM             879664100           902     67,799   X                                           67,799
TEMPLE INLAND INC          COM             879868107         1,578     36,816   X                                           36,816
TENET HEALTHCARE CORP      COM             88033G100           744    106,571   X                                          106,571
TERADYNE INC               COM             880770102           652     46,784   X                                           46,784
TEREX CORP NEW             COM             880779103         1,006     10,191   X                                           10,191
TESORO CORP                COM             881609101           771     10,371   X                                           10,371
TETRA TECHNOLOGIES INC
  DEL                      COM             88162F105           566     18,670   X                                           18,670
TEXAS INSTRS INC           COM             882508104        26,528    875,799   X                                          875,799
TEXTRON INC                COM             883203101         9,081     98,512   X                                           98,512
THERMO ELECTRON CORP       COM             883556102         1,205     33,243   X                                           33,243
THOMAS & BETTS CORP        COM             884315102         2,066     40,272   X                                           40,272
THOR INDS INC              COM             885160101           450      9,292   X                                            9,292
THORNBURG MTG INC          COM             885218107           472     16,940   X                                           16,940
3M CO                      COM             88579Y101        38,130    472,077   X                                          472,077


                                       17




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
TIDEWATER INC              COM             886423102           636     12,934   X                                           12,934
TIFFANY & CO NEW           COM             886547108         1,027     31,113   X                                           31,113
TIM HORTONS INC            COM             88706M103           225      8,727   X                                            8,727
TIMBERLAND CO              CL A            887100105           726     27,800   X                                           27,800
TIME WARNER INC            COM             887317105        40,374  2,333,748   X                                        2,333,748
TIMKEN CO                  COM             887389104           450     13,439   X                                           13,439
TITANIUM METALS CORP       COM NEW         888339207           667     19,411   X                                           19,411
TODCO                      CL A            88889T107           660     16,161   X                                           16,161
TOLL BROTHERS INC          COM             889478103           571     22,333   X                                           22,333
TORCHMARK CORP             COM             891027104         9,417    155,091   X                                          155,091
TORO CO                    COM             891092108         2,723     58,309   X                                           58,309
TOTAL S A                  SPONSORED ADR   89151E109           812     12,400   X                                           12,400
TRACTOR SUPPLY CO          COM             892356106           520      9,403   X                                            9,403
TRANSATLANTIC HLDGS INC    COM             893521104           286      5,123   X                                            5,123
TRIAD HOSPITALS INC        COM             89579K109         3,676     92,872   X                                           92,872
TRIBUNE CO NEW             COM             896047107         1,799     55,472   X                                           55,472
TRIMBLE NAVIGATION LTD     COM             896239100           637     14,259   X                                           14,259
TRINITY INDS INC           COM             896522109           813     20,132   X                                           20,132
TRIZEC PROPERTIES INC      COM             89687P107           426     14,883   X                                           14,883
TYCO INTL LTD NEW          COM             902124106        14,006    509,300   X                                          509,300
TYSON FOODS INC            CL A            902494103         1,976    132,957   X                                          132,957
UAL CORP                   COM NEW         902549807           464     14,958   X                                           14,958
UGI CORP NEW               COM             902681105         2,853    115,882   X                                          115,882
UST INC                    COM             902911106         6,104    135,075   X                                          135,075
US BANCORP DEL             COM NEW         902973304        19,111    618,884   X                                          618,884
URS CORP NEW               COM             903236107           339      8,082   X                                            8,082
U S G CORP                 COM NEW         903293405           563      7,721   X                                            7,721
U S AIRWAYS GROUP INC      COM             90341W108           802     15,865   X                                           15,865
ULTRA PETROLEUM CORP       COM             903914109           735     12,400   X                                           12,400
UNION PAC CORP             COM             907818108        11,110    119,517   X                                          119,517
UNIONBANCAL CORP           COM             908906100         6,667    103,215   X                                          103,215
UNISYS CORP                COM             909214108           332     52,841   X                                           52,841
UNIT CORP                  COM             909218109           687     12,077   X                                           12,077
UNITED DOMINION REALTY
  TR IN                    COM             910197102           981     35,007   X                                           35,007
UNITED PARCEL SERVICE INC  CL B            911312106        29,407    357,184   X                                          357,184
UNITED RENTALS INC         COM             911363109           313      9,781   X                                            9,781
UNITED STATES CELLULAR
  CORP                     COM             911684108         1,035     17,087   X                                           17,087
UNITED STATES STL CORP
  NEW                      COM             912909108         3,358     47,884   X                                           47,884
UNITED TECHNOLOGIES CORP   COM             913017109        44,658    704,167   X                                          704,167
UNITEDHEALTH GROUP INC     COM             91324P102        38,314    855,612   X                                          855,612
UNITRIN INC                COM             913275103           313      7,172   X                                            7,172
UNIVERSAL HLTH SVCS INC    CL B            913903100         1,220     24,279   X                                           24,279
UNIVISION COMMUNICATIONS
  INC                      CL A            914906102         1,633     48,756   X                                           48,756
UNUMPROVIDENT CORP         COM             91529Y106         1,143     63,053   X                                           63,053
URBAN OUTFITTERS INC       COM             917047102         4,628    264,613   X                                          264,613
VCA ANTECH INC             COM             918194101           808     25,311   X                                           25,311
V F CORP                   COM             918204108         4,354     64,105   X                                           64,105
VALERO ENERGY CORP NEW     COM             91913Y100        32,407    487,180   X                                          487,180
VALLEY NATL BANCORP        COM             919794107           433     16,861   X                                           16,861
VALSPAR CORP               COM             920355104           966     36,571   X                                           36,571
VARIAN MED SYS INC         COM             92220P105         1,625     34,320   X                                           34,320
VECTREN CORP               COM             92240G101           314     11,524   X                                           11,524
VENTAS INC                 COM             92276F100           764     22,540   X                                           22,540
VERIFONE HLDGS INC         COM             92342Y109           309     10,139   X                                           10,139


                                       18




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                        
VERISIGN INC               COM             92343E102         2,462    106,265   X                                          106,265
VERIZON COMMUNICATIONS     COM             92343V104        46,273  1,381,701   X                                        1,381,701
VERTEX PHARMACEUTICALS
  INC                      COM             92532F100         1,059     28,848   X                                           28,848
VIACOM INC NEW             CL B            92553P201        10,668    297,665   X                                          297,665
VISHAY INTERTECHNOLOGY
  INC                      COM             928298108           462     29,377   X                                           29,377
VORNADO RLTY TR            SH BEN INT      929042109         1,805     18,500   X                                           18,500
VULCAN MATLS CO            COM             929160109         3,545     45,451   X                                           45,451
WPS RESOURCES CORP         COM             92931B106           561     11,307   X                                           11,307
WACHOVIA CORP 2ND NEW      COM             929903102        53,498    989,231   X                                          989,231
WAL MART STORES INC        COM             931142103        79,428  1,648,906   X                                        1,648,906
WALGREEN CO                COM             931422109        19,212    428,466   X                                          428,466
WALTER INDS INC            COM             93317Q105           653     11,335   X                                           11,335
WARNER MUSIC GROUP CORP    COM             934550104           572     19,409   X                                           19,409
WASHINGTON FED INC         COM             938824109           307     13,224   X                                           13,224
WASHINGTON GROUP INTL INC  COM NEW         938862208           214      4,010   X                                            4,010
WASHINGTON MUT INC         COM             939322103        24,603    539,772   X                                          539,772
WASHINGTON POST CO         CL B            939640108         3,406      4,367   X                                            4,367
WASTE MGMT INC DEL         COM             94106L109         8,386    233,738   X                                          233,738
WATERS CORP                COM             941848103         2,717     61,192   X                                           61,192
WATSON PHARMACEUTICALS
  INC                      COM             942683103           904     38,850   X                                           38,850
WATTS WATER TECHNOLOGIES
  INC                      CL A            942749102         1,005     29,950   X                                           29,950
WEBSTER FINL CORP CONN     COM             947890109           379      7,992   X                                            7,992
WEIGHT WATCHERS INTL INC
  NEW                      COM             948626106         3,262     79,783   X                                           79,783
WEINGARTEN RLTY INVS       SH BEN INT      948741103           578     15,092   X                                           15,092
WELLCARE HEALTH PLANS INC  COM             94946T106           418      8,529   X                                            8,529
WELLPOINT INC              COM             94973V107        18,078    248,431   X                                          248,431
WELLS FARGO & CO NEW       COM             949746101        50,174    747,975   X                                          747,975
WENDYS INTL INC            COM             950590109         3,352     57,501   X                                           57,501
WESCO INTL INC             COM             95082P105           870     12,612   X                                           12,612


                                       19




         ITEM 1:               ITEM 2:      ITEM 3:      ITEM 4:     ITEM 5:         ITEM 6:         ITEM 7:        ITEM 8:
                                                                                                                VOTING AUTHORITY
                                                                                  INV. DISCRETION                   SHARES
                                                                                (A)   (B)     (C)             (A)  (B)      (C)
                                                      PENSION FAIR  SHARES OR        SHARED         MANAGERS
                                             CUSIP    MARKET VALUE  PRINCIPAL        AS DEF. SHARED   SEE
NAME OF ISSUER             TITLE OF CLASS   NUMBER       ($000)       AMOUNT   SOLE INSTR. V OTHER  INSTR.V  SOLE SHARED    NONE
                                                                                          
WEST CORP                  COM             952355105         3,537     73,816   X                                           73,816
WESTAR ENERGY INC          COM             95709T100           225     10,700   X                                           10,700
WESTERN DIGITAL CORP       COM             958102105         1,140     57,544   X                                           57,544
WESTERN GAS RES INC        COM             958259103         1,761     29,427   X                                           29,427
WEYERHAEUSER CO            COM             962166104         4,332     69,596   X                                           69,596
WHIRLPOOL CORP             COM             963320106         1,733     20,972   X                                           20,972
WHITNEY HLDG CORP          COM             966612103           869     24,560   X                                           24,560
WHOLE FOODS MKT INC        COM             966837106         5,925     91,659   X                                           91,659
WILEY JOHN & SONS INC      CL A            968223206           961     28,941   X                                           28,941
WILLIAMS COS INC DEL       COM             969457100         4,516    193,331   X                                          193,331
WILLIAMS SONOMA INC        COM             969904101           855     25,108   X                                           25,108
WILMINGTON TRUST CORP      COM             971807102           651     15,424   X                                           15,424
WISCONSIN ENERGY CORP      COM             976657106           714     17,706   X                                           17,706
WOLVERINE WORLD WIDE INC   COM             978097103           856     36,700   X                                           36,700
WRIGLEY WM JR CO           COM             982526105         5,068    111,729   X                                          111,729
WYETH                      COM             983024100        25,189    567,188   X                                          567,188
WYNN RESORTS LTD           COM             983134107         1,321     18,019   X                                           18,019
XM SATELLITE RADIO HLDGS
  INC                      CL A            983759101         2,308    157,548   X                                          157,548
XTO ENERGY INC             COM             98385X106         7,517    169,803   X                                          169,803
XCEL ENERGY INC            COM             98389B100         1,199     62,530   X                                           62,530
XILINX INC                 COM             983919101         2,081     91,889   X                                           91,889
XEROX CORP                 COM             984121103         4,400    316,316   X                                          316,316
YRC WORLDWIDE INC          COM             984249102           543     12,906   X                                           12,906
YAHOO INC                  COM             984332106        27,264    826,194   X                                          826,194
YUM BRANDS INC             COM             988498101         8,856    176,164   X                                          176,164
ZEBRA TECHNOLOGIES CORP    CL A            989207105           713     20,873   X                                           20,873
ZIMMER HLDGS INC           COM             98956P102         7,490    132,046   X                                          132,046
ZIONS BANCORPORATION       COM             989701107         5,385     69,092   X                                           69,092

GRAND TOTAL                                              6,549,912


                                       20