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

                                   FORM 13F

                              FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: December 31, 2010
                                               -----------------------

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

Institutional Investment Manager Filing this Report:

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

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

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Pawan Khemraj
         --------------------------------------------
Title:   Director, Investment Analytics and Reporting
         --------------------------------------------
Phone:   416-979-6192
         --------------------------------------------

Signature, Place, and Date of Signing:

   /s/ Pawan Khemraj                  Toronto, Ontario,   February 11, 2011
   -------------------------------    -----------------   -----------------
           [Signature]                  [City, State]        [Date]

Report Type (Check only one.):

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

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

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

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

    Form 13F File Number        Name

    28-06597                    McLean Budden
       ---------------          ------------------------------------
    28-04968                    MFS
       ---------------          ------------------------------------




                             FORM 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                       2
                                        --------------------

Form 13F Information Table Entry Total:                311
                                        --------------------

Form 13F Information Table Value Total:       US$2,686,010
                                        --------------------
                                            (thousands)


List of Other Included Managers:

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

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

    No.       Form 13F File Number      Name

    1        028-12046                  Sun Life Advisers LLC.
    ------       -----------------      ---------------------------------------
    2        028-12047                  Sun Capital Assurance Company of Canada
    ------       -----------------      ---------------------------------------



Form 13F INFORMATION TABLE - December 31, 2010




        COLUMN 1             COLUMN 2     COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
------------------------- -------------- --------- --------- -------------------- ---------- ---------- --------------------------
                                                     VALUE     SHRS OR   SH/ PUT/ INVESTMENT   OTHER        VOTING AUTHORITY
     NAME OF ISSUER       TITLE OF CLASS   CUSIP   (x$1000)    PRN AMT   PRN CALL DISCRETION  MANAGERS    SOLE    SHARED    NONE
------------------------- -------------- --------- --------- ----------- --- ---- ---------- ---------- -------- --------- -------
                                                                                          
3M Corporation            COM            88579Y101     3,822      44,293 SH       SHARED     1                      44,293
3M Corporation            COM            88579Y101     1,461      16,928 SH       SHARED     2                      16,928
Abbott Laboratories       COM            002824100     3,464      72,312 SH       SHARED     1                      72,312
AERCAP HOLDINGS NV        COM              B1HHKD3     2,374     168,096 SH       SHARED     1                     168,096
AERCAP HOLDINGS NV        COM              B1HHKD3       941      66,610 SH       SHARED     2                      66,610
AES Corporation           COM            00130H105     3,626     297,733 SH       SHARED     1                     297,733
AES Corporation           COM            00130H105     1,368     112,340 SH       SHARED     2                     112,340
Alcatel Sa-sponsored Adr  COM            013904305     7,169   2,421,973 SH       SHARED     1                   2,421,973
Alcatel Sa-sponsored Adr  COM            013904305     2,875     971,185 SH       SHARED     2                     971,185
Alexandria Real Estate
 Equit                    COM            015271109     7,076      96,594 SH       SHARED     1                      96,594
Alexandria Real Estate
 Equit                    COM            015271109       312       4,258 SH       SHARED     2                       4,258
Altria Group Inc          COM            02209S103     1,531      62,166 SH       SHARED     1                      62,166
Altria Group Inc          COM            02209S103       583      23,696 SH       SHARED     2                      23,696
American Express Co       COM            025816109     3,442      80,187 SH       SHARED     1                      80,187
Amgen Inc                 COM            031162100     1,447      26,352 SH       SHARED     2                      26,352
Associated Estates
 Realty CP                COM            045604105     2,006     131,198 SH       SHARED     1                     131,198
Associated Estates
 Realty CP                COM            045604105        74       4,840 SH       SHARED     2                       4,840
AT&T Inc                  COM            00206R102     5,397     183,703 SH       SHARED     1                     183,703
AT&T Inc                  COM            00206R102     2,159      73,493 SH       SHARED     2                      73,493
Atrium European Real
 Estate                   COM              B3DCF75    12,790   2,187,996 SH       SHARED     1                   2,187,996
AvalonBay Communities
 Inc                      COM            053484101     2,952      26,225 SH       SHARED     1                      26,225
AvalonBay Communities
 Inc                      COM            053484101       237       2,103 SH       SHARED     2                       2,103
Bank of America Corp      COM            060505104     2,728     204,471 SH       SHARED     2                     204,471
Barclays Bank Plc         COM            06738C828    64,770  76,200,000 SH       SHARED     1                   6,200,000
Baxter International Inc  COM            071813109     1,512      29,869 SH       SHARED     2                      29,869
Beni Stabili Spa          COM              5808135     3,775   4,458,118 SH       SHARED     1                   4,458,118
Berkshire Hathaway
 Inc-CL B                 COM            084670702     3,362      41,972 SH       SHARED     1                      41,972
Best Buy Company Inc      COM            086516101     4,255     124,076 SH       SHARED     1                     124,076
Best Buy Company Inc      COM            086516101     1,690      49,285 SH       SHARED     2                      49,285
Big Yellow Group Plc      COM              0286941     3,456     632,327 SH       SHARED     1                     632,327
BIOMED REALTY TRUST INC   COM            09063H107    12,779     685,184 SH       SHARED     1                     685,184
BIOMED REALTY TRUST INC   COM            09063H107       302      16,217 SH       SHARED     2                      16,217
Boeing Company            COM            097023105     3,192      48,911 SH       SHARED     1                      48,911
Boeing Company            COM            097023105     1,219      18,683 SH       SHARED     2                      18,683
BOI Capital Funding No 2
 LP                       COM            055967AA1       600   2,000,000 SH       SHARED     1                   2,000,000
Boston Properties Inc     COM            101121101     9,144     106,204 SH       SHARED     1                     106,204
Boston Properties Inc     COM            101121101       352       4,083 SH       SHARED     2                       4,083
Boston Scientific         COM            101137107     7,191     950,000 SH       SHARED     1                     950,000
Boston Scientific Corp    COM            101137107     9,624   1,271,282 SH       SHARED     1                   1,271,282
Boston Scientific Corp    COM            101137107     3,820     504,580 SH       SHARED     2                     504,580
BR Malls Participacoes
 SA                       COM              B1RYG58    13,219   1,282,719 SH       SHARED     1                   1,282,719
Brinker International
 Inc                      COM            109641100     3,969     190,106 SH       SHARED     1                     190,106
Brinker International
 Inc                      COM            109641100       807      38,632 SH       SHARED     2                      38,632
Bristol-Myers Squibb      COM            110122108     3,669     138,544 SH       SHARED     1                     138,544
Bristol-Myers Squibb      COM            110122108     1,402      52,943 SH       SHARED     2                      52,943
British Land Co Plc       COM              0136701     4,531     553,762 SH       SHARED     1                     553,762
Brocade Communications
 Sys                      COM            111621306     3,415     645,626 SH       SHARED     1                     645,626
Brocade Communications
 Sys                      COM            111621306     1,368     258,547 SH       SHARED     2                     258,547
Capital & Counties
 Properties               COM              B62G9D3     3,706   1,576,320 SH       SHARED     1                   1,576,320
CAPITALAND LTD            COM              6309303    11,550   3,992,580 SH       SHARED     1                   3,992,580
CapLease Inc              COM            140288101     1,366     234,659 SH       SHARED     1                     234,659
CapLease Inc              COM            140288101        23       3,932 SH       SHARED     2                       3,932
CCG Commercial Pool II
 Inc                      COM            12501RAF6     1,107       1,000 SH       SHARED     1                       1,000
Centro Properties Group   COM         AU000000CNP0       332   2,035,175 SH       SHARED     1                   2,035,175
CFS RETAIL PROPERTY
 TRUST                    COM              6361370     8,355   4,652,838 SH       SHARED     1                   4,652,838
Charles Schwab Corp./The  COM            808513105     4,386     256,345 SH       SHARED     1                     256,345
Charles Schwab Corp./The  COM            808513105     1,244      72,711 SH       SHARED     2                      72,711
Chevron Corporation       COM            166764100     7,662      83,972 SH       SHARED     1                      83,972
Chevron Corporation       COM            166764100     3,151      34,535 SH       SHARED     2                      34,535
Cisco Systems Inc         COM            17275R102     4,294     212,259 SH       SHARED     1                     212,259
Cisco Systems Inc         COM            17275R102     1,679      82,990 SH       SHARED     2                      82,990
Citigroup Inc             COM            172967101     1,728     365,289 SH       SHARED     2                     365,289
Coca-Cola Company         COM            191216100     4,127      62,752 SH       SHARED     1                      62,752
Coca-Cola Company         COM            191216100     1,557      23,677 SH       SHARED     2                      23,677
ConocoPhillips            COM            20825C104     3,927      57,672 SH       SHARED     1                      57,672
ConocoPhillips            COM            20825C104     1,553      22,799 SH       SHARED     2                      22,799
CORIO NV                  COM              4929286     8,468     131,834 SH       SHARED     1                     131,834
Cosi Inc                  COM            22122P101     1,186     996,776 SH       SHARED     1                     996,776
Cosi Inc                  COM            22122P101       458     385,106 SH       SHARED     2                     385,106
Cousins Properties Inc.   COM            222795106     6,483     777,341 SH       SHARED     1                     777,341
Cousins Properties Inc.   COM            222795106       156      18,713 SH       SHARED     2                      18,713
CVS Caremark Corporation  COM            126650100     3,113      89,534 SH       SHARED     1                      89,534
CVS Caremark Corporation  COM            126650100     1,393      40,060 SH       SHARED     2                      40,060
Delta Air Lines Inc       COM            247361702     1,916     152,095 SH       SHARED     1                     152,095
DIGITAL REALTY TRUST INC  COM            253868103    11,386     220,919 SH       SHARED     1                     220,919
DIGITAL REALTY TRUST INC  COM            253868103       302       5,850 SH       SHARED     2                       5,850
Douglas Emmett Inc-w/i    COM            25960P109     4,682     282,019 SH       SHARED     1                     282,019
Douglas Emmett Inc-w/i    COM            25960P109       141       8,472 SH       SHARED     2                       8,472
Dow Chemical Company      COM            260543103     3,622     106,094 SH       SHARED     1                     106,094
Dow Chemical Company      COM            260543103     1,465      42,898 SH       SHARED     2                      42,898
DR Horton Inc             COM            23331A109     3,856     323,196 SH       SHARED     1                     323,196
DR Horton Inc             COM            23331A109     1,560     130,736 SH       SHARED     2                     130,736
Duke Realty Corp          COM            264411505     5,121     411,030 SH       SHARED     1                     411,030
Duke Realty Corp          COM            264411505       179      14,344 SH       SHARED     2                      14,344
Dupont (EI) Nemours and
 Co                       COM            263534109     4,379      87,799 SH       SHARED     1                      87,799
Dupont (EI) Nemours and
 Co                       COM            263534109     1,671      33,491 SH       SHARED     2                      33,491
DuPont Fabros Technology
 Inc                      COM            26613Q106     7,591     356,891 SH       SHARED     1                     356,891
DuPont Fabros Technology
 Inc                      COM            26613Q106       165       7,745 SH       SHARED     2                       7,745
EMULEX CORP               COM            292475209     3,453     296,132 SH       SHARED     1                     296,132
EMULEX CORP               COM            292475209     1,339     114,814 SH       SHARED     2                     114,814
Entertainment Properties
 Trust                    COM            29380T105     9,428     203,849 SH       SHARED     1                     203,849
Entertainment Properties
 Trust                    COM            29380T105       150       3,246 SH       SHARED     2                       3,246
EOG Resources             COM            26875P101     3,430      37,526 SH       SHARED     1                      37,526
EOG Resources             COM            26875P101     1,364      14,927 SH       SHARED     2                      14,927
EQT Inc                   COM            26884L109     4,065      90,657 SH       SHARED     1                      90,657
EQT Inc                   COM            26884L109     1,649      36,778 SH       SHARED     2                      36,778
Equity Lifestyle
 Properties               COM            29472R108     9,390     167,896 SH       SHARED     1                     167,896
Equity Lifestyle
 Properties               COM            29472R108       216       3,868 SH       SHARED     2                       3,868
Equity Residential
 Properties               COM            29476L107     7,760     149,381 SH       SHARED     1                     149,381
Equity Residential
 Properties               COM            29476L107       424       8,161 SH       SHARED     2                       8,161
Exelon Corporation        COM            30161N101     3,711      89,123 SH       SHARED     1                      89,123
Exelon Corporation        COM            30161N101     1,484      35,645 SH       SHARED     2                      35,645
Exxon Mobil Corp          COM            30231G102    14,086     192,642 SH       SHARED     1                     192,642
Exxon Mobil Corp          COM            30231G102     4,847      66,282 SH       SHARED     2                      66,282
Federal Realty
 Investment Tr            COM            313747206     4,558      58,493 SH       SHARED     1                      58,493
Federal Realty
 Investment Tr            COM            313747206       178       2,285 SH       SHARED     2                       2,285
Fedex Corp                COM            31428X106     2,887      31,037 SH       SHARED     1                      31,037
Fedex Corp                COM            31428X106     1,101      11,837 SH       SHARED     2                      11,837
Ford Motor Company        COM            345370860     4,404     262,294 SH       SHARED     1                     262,294
Ford Motor Company        COM            345370860     1,764     105,062 SH       SHARED     2                     105,062
Gap Inc                   COM            364760108     4,311     194,711 SH       SHARED     1                     194,711
Gap Inc                   COM            364760108     1,726      77,938 SH       SHARED     2                      77,938
General Electric Company  COM            369604103     6,036     330,032 SH       SHARED     1                     330,032
General Electric Company  COM            369604103     2,594     141,842 SH       SHARED     2                     141,842
Genworth Financial Inc.   COM            37247D106     7,136     543,100 SH       SHARED     1                     543,100
Global Logistic
 Properties Ltd           COM              B4KJWS6     5,549   3,294,911 SH       SHARED     1                   3,294,911
Goldman Sachs Group Inc   COM            38141G104     5,121      30,454 SH       SHARED     1                      30,454
Goldman Sachs Group Inc   COM            38141G104     1,951      11,600 SH       SHARED     2                      11,600
Goodman Group             COM              B03FYZ4     5,097   7,684,941 SH       SHARED     1                   7,684,941
HALOZYME THERAPEUTICS
 INC                      COM            40637H109     3,983     502,900 SH       SHARED     1                     502,900
HALOZYME THERAPEUTICS
 INC                      COM            40637H109     1,529     193,016 SH       SHARED     2                     193,016
Hammerson Plc             COM              0406501     2,131     327,521 SH       SHARED     1                     327,521
Hang Lung Properties      COM              6030506     7,768   1,660,957 SH       SHARED     1                   1,660,957
HCP Inc                   COM            40414L109     5,928     161,121 SH       SHARED     1                     161,121
HCP Inc                   COM            40414L109       263       7,145 SH       SHARED     2                       7,145
Henderson Land
 Development              COM              6420538     6,362     933,020 SH       SHARED     1                     933,020
Hess Corp                 COM            42809H107     4,736      61,876 SH       SHARED     1                      61,876
Hess Corp                 COM            42809H107     1,708      22,313 SH       SHARED     2                      22,313
Home Properties Inc.      COM            437306103    10,739     193,536 SH       SHARED     1                     193,536
Home Properties Inc.      COM            437306103       285       5,139 SH       SHARED     2                       5,139
Honeywell International
 Inc                      COM            438516106     4,446      83,629 SH       SHARED     1                      83,629
Honeywell International
 Inc                      COM            438516106     1,516      28,527 SH       SHARED     2                      28,527
IBM Corp                  COM            459200101     4,148      28,261 SH       SHARED     1                      28,261
IBM Corp                  COM            459200101     1,649      11,234 SH       SHARED     2                      11,234
Intel Corp                COM            458140100     6,261     297,707 SH       SHARED     1                     297,707
Intel Corp                COM            458140100     2,355     111,978 SH       SHARED     2                     111,978
Intermec Inc              COM            458786100     4,094     323,387 SH       SHARED     1                     323,387
Intermec Inc              COM            458786100     1,628     128,559 SH       SHARED     2                     128,559
Intermec Inc              COM            458786100     4,115     325,000 SH       SHARED     1                     325,000
International Paper Co    COM            460146103     3,392     124,517 SH       SHARED     1                     124,517
International Paper Co    COM            460146103     1,617      59,343 SH       SHARED     2                      59,343
IShares                   COM            464286699    10,888     626,820 SH       SHARED     1                     626,820
IShares                   COM            464287200    49,608     392,931 SH       SHARED     1                     392,931
IShares                   COM            464287465    15,426     264,957 SH       SHARED     1                     264,957
IShares                   COM            464287481    53,127     938,480 SH       SHARED     1                     938,480
IShares                   COM            464287598    29,765     458,835 SH       SHARED     1                     458,835
IShares                   COM            464287648     2,174      24,867 SH       SHARED     1                      24,867
IShares                   COM            464287655    53,781     687,391 SH       SHARED     1                     687,391
IShares                   COM            464287465    24,967     428,838 SH       SHARED     2                     428,838
Ishares                   COM            464286699     2,849     167,500 SH       SHARED     1                     167,500
Ishares                   COM            464286707     3,295     135,600 SH       SHARED     1                     135,600
Ishares                   COM            464286806       733      30,700 SH       SHARED     1                      30,700
Ishares                   COM            464286822     1,570      25,500 SH       SHARED     1                      25,500
Ishares                   COM            464286848     9,439     866,006 SH       SHARED     1                     866,006
Ishares Tr                COM            464287465   243,144   4,176,290 SH       SHARED     1                   4,176,290
Japan Retail Fund
 Investment               COM              6513342     3,126       1,629 SH       SHARED     1                       1,629
JP Morgan Chase & Co      COM            46625H100     2,859      67,397 SH       SHARED     2                      67,397
Kayne Anderson ETR Fund,
 Inc.                     COM            48660P2#0    15,900     600,000 SH       SHARED     1                     600,000
Kayne Anderson MLP
 Investment               COM            4866062#2    15,960     600,000 SH       SHARED     1                     600,000
Kayne Anderson MLP
 Investment               COM            4866064#0    10,877     440,000 SH       SHARED     1                     440,000
Kimberly-Clark Corp       COM            494368103     3,023      47,946 SH       SHARED     1                      47,946
Kimberly-Clark Corp       COM            494368103     1,138      18,055 SH       SHARED     2                      18,055
Kimco Realty Corp         COM            49446R109     9,228     511,531 SH       SHARED     1                     511,531
Kimco Realty Corp         COM            49446R109       424      23,506 SH       SHARED     2                      23,506
Klepierre                 COM              7582556     6,338     175,509 SH       SHARED     1                     175,509
Kraft Foods Inc           COM            50075N104     3,809     120,883 SH       SHARED     1                     120,883
Kraft Foods Inc           COM            50075N104     1,510      47,934 SH       SHARED     2                      47,934
Kroger Co                 COM            501044101        39       1,732 SH       SHARED     2                       1,732
Land Securities Group
 plc                      COM              3180943     4,907     466,722 SH       SHARED     1                     466,722
Lexington Realty Trust    COM            529043101       557      70,115 SH       SHARED     1                      70,115
Lexington Realty Trust    COM            529043101        38       4,722 SH       SHARED     2                       4,722
Link Reit                 COM              B0PB4M7    11,302   3,637,387 SH       SHARED     1                   3,637,387
Lloyds Banking Group PLC  COM            539439AC3    23,908  34,400,000 SH       SHARED     1                   4,400,000
Lloyds Banking Group PLC  COM            539439AD1    19,669  28,300,000 SH       SHARED     1                   8,300,000
Lloyds Banking Group PLC  COM            539439AD1       417     600,000 SH       SHARED     2                     600,000
Lockheed Martin Corp      COM            539830109     2,755      39,401 SH       SHARED     1                      39,401
Lockheed Martin Corp      COM            539830109     1,100      15,737 SH       SHARED     2                      15,737
Lowes Companies Inc       COM            548661107     3,234     128,963 SH       SHARED     1                     128,963
Lowes Companies Inc       COM            548661107     1,233      49,182 SH       SHARED     2                      49,182
Mack-Cali Realty Corp     COM            554489104     5,549     167,849 SH       SHARED     1                     167,849
Mack-Cali Realty Corp     COM            554489104       131       3,971 SH       SHARED     2                       3,971
Macy's Inc                COM            55616P104     3,844     151,940 SH       SHARED     1                     151,940
Macy's Inc                COM            55616P104     1,529      60,444 SH       SHARED     2                      60,444
Marathon Oil Corp         COM            565849106     3,720     100,462 SH       SHARED     1                     100,462
Marathon Oil Corp         COM            565849106     1,480      39,962 SH       SHARED     2                      39,962
Medical Properties Trust
 Inc                      COM            58463J304    15,293   1,412,078 SH       SHARED     1                   1,412,078
Medical Properties Trust
 Inc                      COM            58463J304       427      39,431 SH       SHARED     2                      39,431
MERCIALYS                 COM              B0LMF87     3,965     105,471 SH       SHARED     1                     105,471
Merck & Co. Inc.          COM            58933Y105     7,368     204,433 SH       SHARED     1                     204,433
Merck & Co. Inc.          COM            58933Y105     2,564      71,133 SH       SHARED     2                      71,133
Merge Healthcare Inc      COM            589499102     2,476     663,801 SH       SHARED     2                     663,801
MetLife Inc               COM            59156R108     3,975      89,451 SH       SHARED     1                      89,451
Microsoft Corp            COM            594918104    11,195     401,098 SH       SHARED     1                     401,098
Microsoft Corp            COM            594918104     4,510     161,583 SH       SHARED     2                     161,583
Mid-America Apartment
 Comm                     COM            59522J103    11,638     183,309 SH       SHARED     1                     183,309
Mid-America Apartment
 Comm                     COM            59522J103       308       4,844 SH       SHARED     2                       4,844
Mitsubishi Estate Co Ltd  COM              6596729    12,241     659,619 SH       SHARED     1                     659,619
Mitsui Fudosan Co Ltd     COM              6597603    12,565     629,825 SH       SHARED     1                     629,825
Morgan Stanley            COM            617446448     3,966     145,739 SH       SHARED     1                     145,739
Morgan Stanley            COM            617446448     1,485      54,560 SH       SHARED     2                      54,560
Motorola Inc              COM            620076109     6,305     695,150 SH       SHARED     1                     695,150
Motorola Inc              COM            620076109     2,795     308,213 SH       SHARED     2                     308,213
Mrv Communications Inc    COM            553477100     5,185   2,896,634 SH       SHARED     1                   2,896,634
Mrv Communications Inc    COM            553477100     2,057   1,149,196 SH       SHARED     2                   1,149,196
MRV Communications Inc    COM            553477100     9,698   5,417,703 SH       SHARED     1                   5,417,703
National Semiconductor
 Corp                     COM            637640103     4,379     318,224 SH       SHARED     1                     318,224
National Semiconductor
 Corp                     COM            637640103     1,757     127,672 SH       SHARED     2                     127,672
Nationwide Health Pptys
 Inc                      COM            638620104     5,836     160,430 SH       SHARED     1                     160,430
Nationwide Health Pptys
 Inc                      COM            638620104       336       9,235 SH       SHARED     2                       9,235
NCR Corp                  COM            62886E108     5,903     384,063 SH       SHARED     1                     384,063
NCR Corp                  COM            62886E108     2,357     153,376 SH       SHARED     2                     153,376
New World Development     COM              6633767     4,142   2,204,968 SH       SHARED     1                   2,204,968
New York Times
 Company-Class A          COM            650111107     3,934     401,415 SH       SHARED     1                     401,415
New York Times
 Company-Class A          COM            650111107     1,526     155,762 SH       SHARED     2                     155,762
Nippon Building Fund
 Inc.                     COM              6396800     4,907         478 SH       SHARED     1                         478
NTT Urban Development
 Corp.                    COM              B031SG1     6,033       6,120 SH       SHARED     1                       6,120
Occidental Petroleum
 Corp                     COM            674599105     4,402      44,872 SH       SHARED     1                      44,872
Occidental Petroleum
 Corp                     COM            674599105     1,751      17,849 SH       SHARED     2                      17,849
Parkway Properties Inc    COM            70159Q104    10,704     610,946 SH       SHARED     1                     610,946
Parkway Properties Inc    COM            70159Q104       191      10,882 SH       SHARED     2                      10,882
Pepsico Inc               COM            713448108     3,923      60,054 SH       SHARED     1                      60,054
Pepsico Inc               COM            713448108     1,499      22,951 SH       SHARED     2                      22,951
Pfizer Inc                COM            717081103     8,513     486,156 SH       SHARED     1                     486,156
Pfizer Inc                COM            717081103     1,781     101,711 SH       SHARED     2                     101,711
Philip Morris
 International            COM            718172109     3,639      62,166 SH       SHARED     1                      62,166
Philip Morris
 International            COM            718172109     1,387      23,696 SH       SHARED     2                      23,696
Plum Creek Timber Co
 Common                   COM            729251108     7,412     197,923 SH       SHARED     1                     197,923
Plum Creek Timber Co
 Common                   COM            729251108       241       6,435 SH       SHARED     2                       6,435
PNC Financial Services
 Group                    COM            693475105     6,281     103,446 SH       SHARED     1                     103,446
Powershares QQQ Nasdaq
 100                      COM            73935A104    23,939     439,000 SH       SHARED     1                     439,000
Procter & Gamble Co       COM            742718109     5,839      90,770 SH       SHARED     1                      90,770
Procter & Gamble Co       COM            742718109     2,227      34,622 SH       SHARED     2                      34,622
Prologis                  COM            743410102     2,864     198,346 SH       SHARED     1                     198,346
Prologis                  COM            743410102        84       5,798 SH       SHARED     2                       5,798
PSP Swiss Property
 AG-REG                   COM              B012877     3,170      39,455 SH       SHARED     1                      39,455
Public Storage            COM            74460D109    15,791     155,701 SH       SHARED     1                     155,701
Public Storage            COM            74460D109       532       5,244 SH       SHARED     2                       5,244
Ramco-Gershenson
 Properties               COM            751452202     3,907     313,795 SH       SHARED     1                     313,795
Ramco-Gershenson
 Properties               COM            751452202       130      10,413 SH       SHARED     2                      10,413
Raytheon Company          COM            755111507     3,045      65,705 SH       SHARED     1                      65,705
Raytheon Company          COM            755111507     1,216      26,244 SH       SHARED     2                      26,244
SAIC Inc                  COM            78390X101     3,896     245,649 SH       SHARED     1                     245,649
SAIC Inc                  COM            78390X101     1,563      98,539 SH       SHARED     2                      98,539
Segro PLC                 COM              B5ZN1N8    13,407   3,000,912 SH       SHARED     1                   3,000,912
Silicon Graphics          COM            82706L108     7,866     871,123 SH       SHARED     1                     871,123
Silicon Graphics          COM            82706L108     2,973     329,198 SH       SHARED     2                     329,198
Silicon Graphics Int
 Corp                     COM            82706L108     8,192     940,500 SH       SHARED     1                     940,500
Simon Property Group Inc  COM            828806109    30,332     304,873 SH       SHARED     1                     304,873
Simon Property Group Inc  COM            828806109       983       9,883 SH       SHARED     2                       9,883
SL Green Realty Corp      COM            78440X101     4,527      67,053 SH       SHARED     1                      67,053
SL Green Realty Corp      COM            78440X101       166       2,463 SH       SHARED     2                       2,463
Smfg Preferred Capital 2  COM              B2RF6S1    10,218   9,675,000 SH       SHARED     1                   9,675,000
SPDR S&P 500 ETF Trust    COM            78462F103    45,081     358,500 SH       SHARED     1                     358,500
SPDR S&P 500 ETF Trust    COM            78462F103         7          55 SH       SHARED     2                          55
SPDR S&P 500 ETF Trust    COM            78462F103   785,295   6,244,888 SH       SHARED     1                   6,244,888
SPDR S&P MIDCAP 400 ETF
 TRUS                     COM            78467Y107    11,643      70,698 SH       SHARED     1                      70,698
Starwood Property Trust
 Inc                      COM            85571B105    10,245     476,962 SH       SHARED     1                     476,962
Starwood Property Trust
 Inc                      COM            85571B105       312      14,537 SH       SHARED     2                      14,537
State Street Bank &
 Trust Co                 COM            857477103     4,147      89,490 SH       SHARED     1                      89,490
State Street Bank &
 Trust Co                 COM            857477103     1,417      30,569 SH       SHARED     2                      30,569
Stockland                 COM              6850856    12,064   3,284,514 SH       SHARED     1                   3,284,514
Sun Hung Kai Properties   COM              6859927    22,294   1,342,205 SH       SHARED     1                   1,342,205
Supervalu Inc             COM            868536103     8,007     831,506 SH       SHARED     1                     831,506
Supervalu Inc             COM            868536103     3,148     326,921 SH       SHARED     2                     326,921
Tanger Factory Outlet
 Center                   COM            875465106     4,950      96,693 SH       SHARED     1                      96,693
Tanger Factory Outlet
 Center                   COM            875465106       127       2,488 SH       SHARED     2                       2,488
Target Corp               COM            87612E106     3,654      60,771 SH       SHARED     1                      60,771
Target Corp               COM            87612E106     1,370      22,780 SH       SHARED     2                      22,780
Taubman Centers Inc       COM            876664103     6,610     130,935 SH       SHARED     1                     130,935
Taubman Centers Inc       COM            876664103       177       3,502 SH       SHARED     2                       3,502
Technicolor SA            COM         FR0010891101       365     650,910 SH       SHARED     1                     650,910
Technicolor SA            COM         FR0010891135       775   1,383,180 SH       SHARED     1                   1,383,180
Technicolor SA            COM         FR0010918292     3,541     744,567 SH       SHARED     1                     744,567
Tellabs Inc               COM            879664100     1,002     147,854 SH       SHARED     1                     147,854
Tellabs Inc               COM            879664100        82      12,055 SH       SHARED     2                      12,055
Texas Instruments Inc     COM            882508104     3,244      99,821 SH       SHARED     1                      99,821
Texas Instruments Inc     COM            882508104     1,331      40,954 SH       SHARED     2                      40,954
Tokyo Tatemono Co. LTD    COM              6895426     5,992   1,293,263 SH       SHARED     1                   1,293,263
Travelers Cos Inc         COM            89417E109     5,062      90,856 SH       SHARED     1                      90,856
Travelers Cos Inc         COM            89417E109     1,869      33,550 SH       SHARED     2                      33,550
Unibail Rodamco SE        COM              7076242    10,965      55,385 SH       SHARED     1                      55,385
United Technologies Corp  COM            913017109     4,817      61,194 SH       SHARED     1                      61,194
United Technologies Corp  COM            913017109     1,523      19,341 SH       SHARED     2                      19,341
Unitedhealth Group Inc    COM            91324P102     2,931      81,167 SH       SHARED     1                      81,167
Unitedhealth Group Inc    COM            91324P102     1,120      31,017 SH       SHARED     2                      31,017
Unum Group                COM            91529Y106     6,248     257,957 SH       SHARED     1                     257,957
Unum Group                COM            91529Y106     2,512     103,710 SH       SHARED     2                     103,710
US Bancorp                COM            902973304     4,196     155,587 SH       SHARED     1                     155,587
US Bancorp                COM            902973304     1,499      55,577 SH       SHARED     2                      55,577
Ventas Inc                COM            92276F100     7,894     150,415 SH       SHARED     1                     150,415
Ventas Inc                COM            92276F100       254       4,841 SH       SHARED     2                       4,841
Verizon Communications
 Inc                      COM            92343V104     8,699     243,124 SH       SHARED     1                     243,124
Verizon Communications
 Inc                      COM            92343V104     2,794      78,102 SH       SHARED     2                      78,102
Viacom Inc-class B        COM            92553P201     3,926      99,121 SH       SHARED     1                      99,121
Viacom Inc-class B        COM            92553P201     1,498      37,809 SH       SHARED     2                      37,809
Vicor Corp                COM            925815102     4,323     263,604 SH       SHARED     1                     263,604
Vicor Corp                COM            925815102     2,239     136,550 SH       SHARED     2                     136,550
Vicor Corp                COM            925815102     8,787     547,164 SH       SHARED     1                     547,164
Vornado Realty Trust      COM            929042109    14,995     179,947 SH       SHARED     1                     179,947
Vornado Realty Trust      COM            929042109       432       5,181 SH       SHARED     2                       5,181
Wal-Mart Stores Inc       COM            931142103     4,049      75,073 SH       SHARED     1                      75,073
Wal-Mart Stores Inc       COM            931142103     1,543      28,618 SH       SHARED     2                      28,618
Walt Disney Co            COM            254687106     4,831     128,792 SH       SHARED     1                     128,792
Walt Disney Co            COM            254687106     1,950      51,979 SH       SHARED     2                      51,979
Wells Fargo & Co          COM            949746101     2,622      84,618 SH       SHARED     2                      84,618
Westfield Group           COM              B54C620    13,422   1,373,201 SH       SHARED     1                   1,373,201
Westfield Retail Trust    COM              B624885     3,572   1,362,045 SH       SHARED     1                   1,362,045
Weyerhaeuser Co           COM            962166104    20,642   1,090,432 SH       SHARED     1                   1,090,432
Weyerhaeuser Co           COM            962166104     2,139     112,978 SH       SHARED     2                     112,978
WHARF HOLDINGS LTD        COM              6435576     9,201   1,195,837 SH       SHARED     1                   1,195,837
XL Capital Ltd            COM            98372PAJ7       339     394,000 SH       SHARED     1                     394,000

Totals                                             2,686,010 280,218,491