UNITED STATES
             SECURITIES AND EXCHANGE COMMISSION
                   Washington, D.C. 20549
                          Form 13F
                    FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2011


Check here if Amendment [X]; Amendment Number:  1
                                               ---
This Amendment (Check only one.): [X] 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:   Victoria Kwan
Title:  Director, Compliance
Phone:  416-979-6192

Signature, Place, and Date of Signing:

Victoria Kwan    Toronto, Ontario, May 24, 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

Report Summary:
Number of Other Included Managers:          2
                                            -------------
Form 13F Information Table Entry Total:     602
                                            -------------
Form 13F Information Table Value Total:     US$2,356,500
                                            -------------
                                            (Thousands)
List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is
filed, other than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]
No.    Form 13F File Number       Name
1      028-12046                  Sun Capital Advisers LLC.
2      028-12047                  Sun Life Assurance Company of Canada
[Repeat as necessary.]


FORM 13F INFORMATION TABLE - March 31, 2011



        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        4,141      44,293  SH          SHARED      1                44,293
3M Corporation            COM           88579Y101        1,583      16,928  SH          SHARED      2                16,928
Aercap Holdings NV        COM             B1HHKD3           28       2,259  SH          SHARED      2                 2,259
AES Corporation           COM           00130H105        3,871     297,733  SH          SHARED      1               297,733
AES Corporation           COM           00130H105        1,460     112,340  SH          SHARED      2               112,340
Akamai Technologies Inc   COM           00971T101        3,213      84,563  SH          SHARED      1                84,563
Akamai Technologies Inc   COM           00971T101        1,249      32,856  SH          SHARED      2                32,856
Alcatel Sa-sponsored Adr  COM           013904305       14,072   2,421,973  SH          SHARED      1             2,421,973
Alcatel Sa-sponsored Adr  COM           013904305        5,643     971,185  SH          SHARED      2               971,185
Alexandria Real Estate
 Equit                    COM           015271109          341       4,376  SH          SHARED      2                 4,376
Alexandria Real Estate
 Equit                    COM           015271109        8,298     106,427  SH          SHARED      1               106,427
Altria Group Inc          COM           02209S103        1,618      62,166  SH          SHARED      1                62,166
Altria Group Inc          COM           02209S103           21         820  SH          SHARED      2                   820
Altria Group Inc          COM           02209S103          595      22,876  SH          SHARED      2                22,876
American Express Co       COM           025816109        3,624      80,187  SH          SHARED      1                80,187
Amgen Inc                 COM           031162100        3,466      64,851  SH          SHARED      1                64,851
Amgen Inc                 COM           031162100           49         910  SH          SHARED      2                   910
Amgen Inc                 COM           031162100        1,360      25,442  SH          SHARED      2                25,442
Associated Estates
 Realty CP                COM           045604105           79       4,975  SH          SHARED      2                 4,975
Associated Estates
 Realty CP                COM           045604105        2,277     143,405  SH          SHARED      1               143,405
AT&T Inc                  COM           00206R102        5,623     183,703  SH          SHARED      1               183,703
AT&T Inc                  COM           00206R102        2,250      73,493  SH          SHARED      2                73,493
Atrium European Real
 Estate                   COM             B3DCF75        7,354   1,174,524  SH          SHARED      1             1,174,524
Atrium European Real
 Estate                   COM             B3DCF75          494      78,930  SH          SHARED      1                78,930
Atrium European Real
 Estate                   COM             B3DCF75        5,971     953,740  SH          SHARED      1               953,740
AvalonBay Communities
 Inc                      COM           053484101        1,452      12,092  SH          SHARED      1                12,092
AvalonBay Communities
 Inc                      COM           053484101          259       2,161  SH          SHARED      2                 2,161
AvalonBay Communities
 Inc                      COM           053484101        2,348      19,553  SH          SHARED      1                19,553
Bank of America Corp      COM           060505104           52       3,928  SH          SHARED      2                 3,928
Bank of America Corp      COM           060505104        2,673     200,543  SH          SHARED      2               200,543
Barclays Bank Plc         COM           06738C828        2,793   3,210,000  SH          SHARED      1             3,210,000
Barclays Bank Plc         COM           06738C828        4,167   4,790,000  SH          SHARED      1             4,790,000
Barclays Bank Plc         COM           06738C828        1,564   1,605,000  SH          SHARED      1             1,605,000
Barclays Bank Plc         COM           06738C828        2,258   2,595,000  SH          SHARED      1             2,595,000
Barclays Bank Plc         COM           06738C828       11,745  13,500,000  SH          SHARED      1            13,500,000
Barclays Bank Plc         COM           06738C828       17,400  20,000,000  SH          SHARED      1            20,000,000
Barclays Bank Plc         COM           06738C828        5,220   6,000,000  SH          SHARED      1             6,000,000
Barclays Bank Plc         COM           06738C828        2,610   3,000,000  SH          SHARED      1             3,000,000
Barclays Bank Plc         COM           06738C828        3,445   3,960,000  SH          SHARED      1             3,960,000
Barclays Bank Plc         COM           06738C828          822     945,000  SH          SHARED      1               945,000
Barclays Bank Plc         COM           06738C828        1,305   1,500,000  SH          SHARED      1             1,500,000
Barclays Bank Plc         COM           06738C828        5,220   6,000,000  SH          SHARED      1             6,000,000
Barclays Bank Plc         COM           06738C828        2,610   3,000,000  SH          SHARED      1             3,000,000
Barclays Bank Plc         COM           06738C828        1,531   1,760,000  SH          SHARED      1             1,760,000
Barclays Bank Plc         COM           06738C828          483     555,000  SH          SHARED      1               555,000
Barclays Bank Plc         COM           06738C828        1,601   1,840,000  SH          SHARED      1             1,840,000
Barclays Bank Plc         COM           06738C828        1,688   1,940,000  SH          SHARED      1             1,940,000
Baxter International Inc  COM           071813109           52         975  SH          SHARED      2                   975
Baxter International Inc  COM           071813109        1,554      28,894  SH          SHARED      2                28,894
Beni Stabili Spa          COM             5808135        2,525   2,430,205  SH          SHARED      1             2,430,205
Beni Stabili Spa          COM             5808135        2,346   2,258,413  SH          SHARED      1             2,258,413
Berkshire Hathaway
 Inc-CL B                 CL B          084670702        3,510      41,972  SH          SHARED      1                41,972
Best Buy Company Inc      COM           086516101        3,563     124,076  SH          SHARED      1               124,076
Best Buy Company Inc      COM           086516101           46       1,617  SH          SHARED      2                 1,617
Best Buy Company Inc      COM           086516101        1,369      47,668  SH          SHARED      2                47,668
Big Yellow Group Plc      COM             0286941        2,472     466,238  SH          SHARED      1               466,238
Big Yellow Group Plc      COM             0286941        2,226     419,960  SH          SHARED      1               419,960
BIOMED REALTY TRUST INC   COM           09063H107        1,858      97,699  SH          SHARED      1                97,699
BIOMED REALTY TRUST INC   COM           09063H107          317      16,669  SH          SHARED      2                16,669
BIOMED REALTY TRUST INC   COM           09063H107        6,451     339,144  SH          SHARED      1               339,144
BIOMED REALTY TRUST INC   COM           09063H107        2,900     152,482  SH          SHARED      1               152,482
BIOMED REALTY TRUST INC   COM           09063H107        5,325     279,983  SH          SHARED      1               279,983
Boardwalk Real Estate
 Invest                   COM           096631106          109       2,155  SH          SHARED      1                 2,155
Boardwalk Real Estate
 Invest                   COM           096631106           89       1,745  SH          SHARED      1                 1,745
Boeing Company            COM           097023105        3,616      48,911  SH          SHARED      1                48,911
Boeing Company            COM           097023105           48         645  SH          SHARED      2                   645
Boeing Company            COM           097023105        1,334      18,038  SH          SHARED      2                18,038
BOI Capital Funding No 2
 LP                       COM           055967AA1          583   1,944,290  SH          SHARED      1             1,944,290
Boston Properties Inc     COM           101121101        2,401      25,313  SH          SHARED      1                25,313
Boston Properties Inc     COM           101121101          398       4,196  SH          SHARED      2                 4,196
Boston Properties Inc     COM           101121101        4,288      45,211  SH          SHARED      1                45,211
Boston Properties Inc     COM           101121101        3,183      33,561  SH          SHARED      1                33,561
Boston Properties Inc     COM           101121101        3,544      37,363  SH          SHARED      1                37,363
Boston Scientific Corp    COM           101137107        9,141   1,271,282  SH          SHARED      1             1,271,282
Boston Scientific Corp    COM           101137107          117      16,272  SH          SHARED      2                16,272
Boston Scientific Corp    COM           101137107        3,511     488,308  SH          SHARED      2               488,308
Boston Scientific         COM           101137107        6,812     950,000  SH          SHARED      1               950,000
BR Malls Participacoes
 SA                       COM             B1RYG58        7,393     709,523  SH          SHARED      1               709,523
BR Malls Participacoes
 SA                       COM             B1RYG58        6,095     584,971  SH          SHARED      1               584,971
Brinker International
 Inc                      COM           109641100           62       2,456  SH          SHARED      2                 2,456
Bristol-Myers Squibb      COM           110122108        3,662     138,544  SH          SHARED      1               138,544
Bristol-Myers Squibb      COM           110122108           48       1,825  SH          SHARED      2                 1,825
Bristol-Myers Squibb      COM           110122108        1,351      51,118  SH          SHARED      2                51,118
British Land Co Plc       COM             0136701        2,783     314,200  SH          SHARED      1               314,200
British Land Co Plc       COM             0136701        2,193     247,610  SH          SHARED      1               247,610
Brocade Communications
 Sys                      COM           111621306           52       8,436  SH          SHARED      2                 8,436
Capital & Counties
 Properties               COM             B62G9D3        2,369     876,868  SH          SHARED      1               876,868
Capital & Counties
 Properties               COM             B62G9D3        2,104     778,953  SH          SHARED      1               778,953
CAPITALAND LTD            COM             6309303        5,761   2,200,367  SH          SHARED      1             2,200,367
CAPITALAND LTD            COM             6309303        4,789   1,829,030  SH          SHARED      1             1,829,030
CCG Commercial Pool II
 Inc                      COM           12501RAF6          948       1,000  SH          SHARED      1                 1,000
Centro Properties Group   COM        AU000000CNP0           20     325,628  SH          SHARED      1               325,628
Centro Properties Group   COM        AU000000CNP0           20     325,628  SH          SHARED      1               325,628
Centro Properties Group   COM        AU000000CNP0            7     122,111  SH          SHARED      1               122,111
Centro Properties Group   COM        AU000000CNP0           17     284,925  SH          SHARED      1               284,925
Centro Properties Group   COM        AU000000CNP0           10     162,814  SH          SHARED      1               162,814
Centro Properties Group   COM        AU000000CNP0            2      40,704  SH          SHARED      1                40,704
Centro Properties Group   COM        AU000000CNP0            1      20,352  SH          SHARED      1                20,352
Centro Properties Group   COM        AU000000CNP0            1      20,352  SH          SHARED      1                20,352
Centro Properties Group   COM        AU000000CNP0           20     325,628  SH          SHARED      1               325,628
Centro Properties Group   COM        AU000000CNP0           20     325,628  SH          SHARED      1               325,628
Centro Properties Group   COM        AU000000CNP0            2      40,704  SH          SHARED      1                40,704
Centro Properties Group   COM        AU000000CNP0            2      40,704  SH          SHARED      1                40,704
CFS RETAIL PROPERTY
 TRUST                    COM             6361370        4,894   2,575,803  SH          SHARED      1             2,575,803
CFS RETAIL PROPERTY
 TRUST                    COM             6361370        4,028   2,119,703  SH          SHARED      1             2,119,703
Charles Schwab Corp./The  COM           808513105        4,622     256,345  SH          SHARED      1               256,345
Charles Schwab Corp./The  COM           808513105           42       2,353  SH          SHARED      2                 2,353
Charles Schwab Corp./The  COM           808513105        1,269      70,358  SH          SHARED      2                70,358
Chevron Corporation       COM           166764100        9,026      83,972  SH          SHARED      1                83,972
Chevron Corporation       COM           166764100          120       1,116  SH          SHARED      2                 1,116
Chevron Corporation       COM           166764100        3,592      33,419  SH          SHARED      2                33,419
Cisco Systems Inc         COM           17275R102           35       2,015  SH          SHARED      2                 2,015
Citigroup Inc             COM           172967101           52      11,725  SH          SHARED      2                11,725
Citigroup Inc             COM           172967101        1,563     353,564  SH          SHARED      2               353,564
Coca-Cola Company         COM           191216100        4,163      62,752  SH          SHARED      1                62,752
Coca-Cola Company         COM           191216100           55         832  SH          SHARED      2                   832
Coca-Cola Company         COM           191216100        1,516      22,845  SH          SHARED      2                22,845
ConocoPhillips            COM           20825C104        4,606      57,672  SH          SHARED      1                57,672
ConocoPhillips            COM           20825C104           63         787  SH          SHARED      2                   787
ConocoPhillips            COM           20825C104        1,758      22,012  SH          SHARED      2                22,012
CORIO NV                  COM             4929286        5,099      72,930  SH          SHARED      1                72,930
CORIO NV                  COM             4929286        4,203      60,114  SH          SHARED      1                60,114
Cosi Inc                  COM           22122P101        1,226     996,776  SH          SHARED      1               996,776
Cosi Inc                  COM           22122P101           16      13,397  SH          SHARED      2                13,397
Cosi Inc                  COM           22122P101          457     371,709  SH          SHARED      2               371,709
Cousins Properties Inc.   COM           222795106          919     110,117  SH          SHARED      1               110,117
Cousins Properties Inc.   COM           222795106          161      19,235  SH          SHARED      2                19,235
Cousins Properties Inc.   COM           222795106        2,384     285,459  SH          SHARED      1               285,459
Cousins Properties Inc.   COM           222795106        1,724     206,495  SH          SHARED      1               206,495
Cousins Properties Inc.   COM           222795106        1,976     236,617  SH          SHARED      1               236,617
CVS Caremark Corporation  COM           126650100        3,905     113,788  SH          SHARED      1               113,788
CVS Caremark Corporation  COM           126650100           41       1,193  SH          SHARED      2                 1,193
CVS Caremark Corporation  COM           126650100        1,334      38,867  SH          SHARED      2                38,867
Delta Air Lines Inc       COM           247361702        1,017     103,811  SH          SHARED      1               103,811
Delta Air Lines Inc       COM           247361702          473      48,284  SH          SHARED      1                48,284
Delta Air Lines Inc       COM           247361702          769      78,515  SH          SHARED      2                78,515
DIGITAL REALTY TRUST INC  COM           253868103        1,966      33,812  SH          SHARED      1                33,812
DIGITAL REALTY TRUST INC  COM           253868103          350       6,013  SH          SHARED      2                 6,013
DIGITAL REALTY TRUST INC  COM           253868103        4,755      81,784  SH          SHARED      1                81,784
DIGITAL REALTY TRUST INC  COM           253868103        3,148      54,143  SH          SHARED      1                54,143
DIGITAL REALTY TRUST INC  COM           253868103        3,928      67,561  SH          SHARED      1                67,561
Douglas Emmett Inc-w/i    COM           25960P109          899      47,928  SH          SHARED      1                47,928
Douglas Emmett Inc-w/i    COM           25960P109          159       8,472  SH          SHARED      2                 8,472
Douglas Emmett Inc-w/i    COM           25960P109        1,789      95,430  SH          SHARED      1                95,430
Douglas Emmett Inc-w/i    COM           25960P109        1,371      73,128  SH          SHARED      1                73,128
Douglas Emmett Inc-w/i    COM           25960P109        1,564      83,396  SH          SHARED      1                83,396
Dow Chemical Company      COM           260543103        4,005     106,094  SH          SHARED      1               106,094
Dow Chemical Company      COM           260543103           52       1,379  SH          SHARED      2                 1,379
Dow Chemical Company      COM           260543103        1,567      41,519  SH          SHARED      2                41,519
DR Horton Inc             COM           23331A109        3,765     323,196  SH          SHARED      1               323,196
DR Horton Inc             COM           23331A109           49       4,223  SH          SHARED      2                 4,223
DR Horton Inc             COM           23331A109        1,474     126,513  SH          SHARED      2               126,513
Duke Realty Corp          COM           264411505        1,197      85,439  SH          SHARED      1                85,439
Duke Realty Corp          COM           264411505          207      14,744  SH          SHARED      2                14,744
Duke Realty Corp          COM           264411505        1,879     134,146  SH          SHARED      1               134,146
Duke Realty Corp          COM           264411505        1,620     115,658  SH          SHARED      1               115,658
Duke Realty Corp          COM           264411505        1,548     110,499  SH          SHARED      1               110,499
DuPont Fabros Technology
 Inc                      COM           26613Q106        1,116      46,039  SH          SHARED      1                46,039
DuPont Fabros Technology
 Inc                      COM           26613Q106          193       7,961  SH          SHARED      2                 7,961
DuPont Fabros Technology
 Inc                      COM           26613Q106        3,562     146,906  SH          SHARED      1               146,906
DuPont Fabros Technology
 Inc                      COM           26613Q106        1,516      62,500  SH          SHARED      1                62,500
DuPont Fabros Technology
 Inc                      COM           26613Q106        2,945     121,441  SH          SHARED      1               121,441
EI Dupont de Nemour and
 Co                       COM           263534109        4,826      87,799  SH          SHARED      1                87,799
EI Dupont de Nemour and
 Co                       COM           263534109           64       1,156  SH          SHARED      2                 1,156
EI Dupont de Nemour and
 Co                       COM           263534109        1,777      32,335  SH          SHARED      2                32,335
EMULEX CORP               COM           292475209        3,160     296,132  SH          SHARED      1               296,132
EMULEX CORP               COM           292475209           40       3,768  SH          SHARED      2                 3,768
EMULEX CORP               COM           292475209        1,185     111,046  SH          SHARED      2               111,046
Entertainment Properties
 Trust                    COM           29380T105          925      19,755  SH          SHARED      1                19,755
Entertainment Properties
 Trust                    COM           29380T105          156       3,336  SH          SHARED      2                 3,336
Entertainment Properties
 Trust                    COM           29380T105        4,218      90,098  SH          SHARED      1                90,098
Entertainment Properties
 Trust                    COM           29380T105        1,364      29,141  SH          SHARED      1                29,141
Entertainment Properties
 Trust                    COM           29380T105        3,487      74,485  SH          SHARED      1                74,485
EOG Resources             COM           26875P101        4,447      37,526  SH          SHARED      1                37,526
EOG Resources             COM           26875P101           58         489  SH          SHARED      2                   489
EOG Resources             COM           26875P101        1,711      14,438  SH          SHARED      2                14,438
EQT Inc                   COM           26884L109        4,524      90,657  SH          SHARED      1                90,657
EQT Inc                   COM           26884L109           60       1,206  SH          SHARED      2                 1,206
EQT Inc                   COM           26884L109        1,775      35,572  SH          SHARED      2                35,572
Equity Lifestyle
 Properties               COM           29472R108        1,349      23,401  SH          SHARED      1                23,401
Equity Lifestyle
 Properties               COM           29472R108          229       3,975  SH          SHARED      2                 3,975
Equity Lifestyle
 Properties               COM           29472R108        3,886      67,413  SH          SHARED      1                67,413
Equity Lifestyle
 Properties               COM           29472R108        1,803      31,282  SH          SHARED      1                31,282
Equity Lifestyle
 Properties               COM           29472R108        3,212      55,716  SH          SHARED      1                55,716
Equity Residential
 Properties               COM           29476L107        2,728      48,367  SH          SHARED      1                48,367
Equity Residential
 Properties               COM           29476L107          473       8,388  SH          SHARED      2                 8,388
Equity Residential
 Properties               COM           29476L107        1,696      30,059  SH          SHARED      1                30,059
Equity Residential
 Properties               COM           29476L107        3,657      64,834  SH          SHARED      1                64,834
Equity Residential
 Properties               COM           29476L107        1,402      24,845  SH          SHARED      1                24,845
Exelon Corporation        COM           30161N101        3,675      89,123  SH          SHARED      1                89,123
Exelon Corporation        COM           30161N101           48       1,167  SH          SHARED      2                 1,167
Exelon Corporation        COM           30161N101        1,422      34,478  SH          SHARED      2                34,478
Exxon Mobil Corp          COM           30231G102       16,207     192,642  SH          SHARED      1               192,642
Exxon Mobil Corp          COM           30231G102          182       2,169  SH          SHARED      2                 2,169
Exxon Mobil Corp          COM           30231G102        5,394      64,113  SH          SHARED      2                64,113
Federal Realty
 Investment Tr            COM           313747206        1,130      13,849  SH          SHARED      1                13,849
Federal Realty
 Investment Tr            COM           313747206          192       2,348  SH          SHARED      2                 2,348
Federal Realty
 Investment Tr            COM           313747206        1,389      17,027  SH          SHARED      1                17,027
Federal Realty
 Investment Tr            COM           313747206        1,551      19,011  SH          SHARED      1                19,011
Federal Realty
 Investment Tr            COM           313747206        1,160      14,225  SH          SHARED      1                14,225
Fedex Corp                COM           31428X106        2,171      23,202  SH          SHARED      1                23,202
Fedex Corp                COM           31428X106           38         409  SH          SHARED      2                   409
Ford Motor Company        COM           345370860        3,911     262,294  SH          SHARED      1               262,294
Ford Motor Company        COM           345370860           51       3,428  SH          SHARED      2                 3,428
Ford Motor Company        COM           345370860        1,515     101,634  SH          SHARED      2               101,634
Forest Laboratories Inc   COM           345838106       12,228     378,578  SH          SHARED      1               378,578
Forest Laboratories Inc   COM           345838106        3,438     106,441  SH          SHARED      2               106,441
Gap Inc                   COM           364760108        4,412     194,711  SH          SHARED      1               194,711
Gap Inc                   COM           364760108           58       2,543  SH          SHARED      2                 2,543
Gap Inc                   COM           364760108        1,708      75,395  SH          SHARED      2                75,395
General Electric Company  COM           369604103        6,617     330,032  SH          SHARED      1               330,032
General Electric Company  COM           369604103           98       4,900  SH          SHARED      2                 4,900
General Electric Company  COM           369604103        2,746     136,942  SH          SHARED      2               136,942
Global Logistic
 Properties Ltd           COM             B4KJWS6        2,701   1,820,586  SH          SHARED      1             1,820,586
Global Logistic
 Properties Ltd           COM             B4KJWS6        2,436   1,641,901  SH          SHARED      1             1,641,901
Goldman Sachs Group Inc   COM           38141G104        4,830      30,454  SH          SHARED      1                30,454
Goldman Sachs Group Inc   COM           38141G104           64         402  SH          SHARED      2                   402
Goldman Sachs Group Inc   COM           38141G104        1,776      11,198  SH          SHARED      2                11,198
Goodman Group             COM             B03FYZ4        2,983   4,216,915  SH          SHARED      1             4,216,915
Goodman Group             COM             B03FYZ4        2,504   3,539,269  SH          SHARED      1             3,539,269
Google Inc-cl A           COM           38259P508        3,995       6,809  SH          SHARED      1                 6,809
Google Inc-cl A           COM           38259P508        1,549       2,640  SH          SHARED      2                 2,640
HALOZYME THERAPEUTICS
 INC                      COM           40637H109        3,372     502,900  SH          SHARED      1               502,900
HALOZYME THERAPEUTICS
 INC                      COM           40637H109           44       6,634  SH          SHARED      2                 6,634
HALOZYME THERAPEUTICS
 INC                      COM           40637H109        1,250     186,382  SH          SHARED      2               186,382
Hammerson Plc             COM             0406501            0           0  SH          SHARED      1                     0
Hammerson Plc             COM             0406501            0           0  SH          SHARED      1                     0
Hang Lung Properties      COM             6030506        4,023     918,944  SH          SHARED      1               918,944
Hang Lung Properties      COM             6030506        3,315     757,256  SH          SHARED      1               757,256
HCP Inc                   COM           40414L109        1,541      40,617  SH          SHARED      1                40,617
HCP Inc                   COM           40414L109          279       7,344  SH          SHARED      2                 7,344
HCP Inc                   COM           40414L109        1,368      36,061  SH          SHARED      1                36,061
HCP Inc                   COM           40414L109        2,889      76,152  SH          SHARED      1                76,152
HCP Inc                   COM           40414L109        1,131      29,812  SH          SHARED      1                29,812
Henderson Land
 Development              COM             6420538        3,576     516,067  SH          SHARED      1               516,067
Henderson Land
 Development              COM             6420538        2,949     425,518  SH          SHARED      1               425,518
Hess Corp                 COM           42809H107        5,272      61,876  SH          SHARED      1                61,876
Hess Corp                 COM           42809H107           61         716  SH          SHARED      2                   716
Hess Corp                 COM           42809H107        1,840      21,597  SH          SHARED      2                21,597
Home Properties Inc.      COM           437306103        1,827      30,985  SH          SHARED      1                30,985
Home Properties Inc.      COM           437306103          311       5,282  SH          SHARED      2                 5,282
Home Properties Inc.      COM           437306103        4,321      73,303  SH          SHARED      1                73,303
Home Properties Inc.      COM           437306103        2,450      41,566  SH          SHARED      1                41,566
Home Properties Inc.      COM           437306103        3,571      60,583  SH          SHARED      1                60,583
Honeywell International
 Inc                      COM           438516106        4,993      83,629  SH          SHARED      1                83,629
Honeywell International
 Inc                      COM           438516106           66       1,104  SH          SHARED      2                 1,104
Honeywell International
 Inc                      COM           438516106        1,637      27,423  SH          SHARED      2                27,423
Host Hotels and Resorts
 Inc                      COM           44107P104        1,740      98,829  SH          SHARED      1                98,829
Host Hotels and Resorts
 Inc                      COM           44107P104          298      16,917  SH          SHARED      2                16,917
Host Hotels and Resorts
 Inc                      COM           44107P104        3,745     212,641  SH          SHARED      1               212,641
Host Hotels and Resorts
 Inc                      COM           44107P104        2,478     140,729  SH          SHARED      1               140,729
Host Hotels and Resorts
 Inc                      COM           44107P104        3,095     175,766  SH          SHARED      1               175,766
IBM Corp                  COM           459200101        4,609      28,261  SH          SHARED      1                28,261
IBM Corp                  COM           459200101           60         366  SH          SHARED      2                   366
IBM Corp                  COM           459200101        1,772      10,868  SH          SHARED      2                10,868
Intel Corp                COM           458140100        6,008     297,707  SH          SHARED      1               297,707
Intel Corp                COM           458140100           76       3,747  SH          SHARED      2                 3,747
Intel Corp                COM           458140100        2,184     108,231  SH          SHARED      2               108,231
Intermec Inc              COM           458786100        3,489     323,387  SH          SHARED      1               323,387
Intermec Inc              COM           458786100           45       4,176  SH          SHARED      2                 4,176
Intermec Inc              COM           458786100        1,342     124,383  SH          SHARED      2               124,383
Intermec Inc              COM           458786100        3,507     325,000  SH          SHARED      1               325,000
International Paper Co    COM           460146103        3,758     124,517  SH          SHARED      1               124,517
International Paper Co    COM           460146103        1,791      59,343  SH          SHARED      2                59,343
IShares                   COM           464287465       25,765     428,838  SH          SHARED      2               428,838
IShares                   COM           464287200       76,282     573,509  SH          SHARED      1               573,509
IShares                   COM           464287465       30,551     508,502  SH          SHARED      1               508,502
IShares                   COM           464287481       81,105   1,331,562  SH          SHARED      1             1,331,562
IShares                   COM           464287507        8,514      86,253  SH          SHARED      1                86,253
IShares                   COM           464287606        9,118      82,625  SH          SHARED      1                82,625
IShares                   COM           464287614       12,751     210,873  SH          SHARED      1               210,873
IShares                   COM           464287648       19,189     201,265  SH          SHARED      1               201,265
IShares                   COM           464287655       27,149     322,552  SH          SHARED      1               322,552
IShares                   COM           464286699       11,226     626,820  SH          SHARED      1               626,820
IShares                   COM           464286699        2,950     165,000  SH          SHARED      1               165,000
IShares                   COM           464286707        3,572     135,600  SH          SHARED      1               135,600
IShares                   COM           464286806          788      30,700  SH          SHARED      1                30,700
IShares                   COM           464286822        1,559      24,800  SH          SHARED      1                24,800
IShares                   COM           464286848        9,803     949,006  SH          SHARED      1               949,006
IShares                   COM           464287465        8,934     148,700  SH          SHARED      1               148,700
Japan Retail Fund
 Investment               COM             6513342        1,416         904  SH          SHARED      1                   904
Japan Retail Fund
 Investment               COM             6513342        1,262         806  SH          SHARED      1                   806
JP Morgan Chase & Co      COM           46625H100          107       2,328  SH          SHARED      2                 2,328
JP Morgan Chase & Co      COM           46625H100        3,000      65,069  SH          SHARED      2                65,069
Kayne Anderson ETR Fund,
 Inc.                     COM           48660P2#0        5,250     200,000  SH          SHARED      1               200,000
Kayne Anderson ETR Fund,
 Inc.                     COM           48660P2#0       10,500     400,000  SH          SHARED      1               400,000
Kayne Anderson Midstream
 Enrgy                    COM           48661E2*8        4,000     160,000  SH          SHARED      1               160,000
Kayne Anderson Midstream
 Enrgy                    COM           48661E2*8        4,000     160,000  SH          SHARED      1               160,000
Kayne Anderson Midstream
 Enrgy                    COM           48661E2*8        1,000      40,000  SH          SHARED      1                40,000
Kayne Anderson Midstream
 Enrgy                    COM           48661E2*8        5,000     200,000  SH          SHARED      1               200,000
Kayne Anderson Midstream
 Enrgy                    COM           48661E2*8        1,000      40,000  SH          SHARED      1                40,000
Kayne Anderson MLP
 Investment               COM           4866062#2        6,300     240,000  SH          SHARED      1               240,000
Kayne Anderson MLP
 Investment               COM           4866064#0        3,030     120,000  SH          SHARED      1               120,000
Kayne Anderson MLP
 Investment               COM           4866062#2        5,250     200,000  SH          SHARED      1               200,000
Kayne Anderson MLP
 Investment               COM           4866064#0        4,040     160,000  SH          SHARED      1               160,000
Kayne Anderson MLP
 Investment               COM           4866062#2        4,200     160,000  SH          SHARED      1               160,000
Kayne Anderson MLP
 Investment               COM           4866064#0        4,040     160,000  SH          SHARED      1               160,000
Kimberly-Clark Corp       COM           494368103        3,129      47,946  SH          SHARED      1                47,946
Kimberly-Clark Corp       COM           494368103           42         636  SH          SHARED      2                   636
Kimberly-Clark Corp       COM           494368103        1,137      17,419  SH          SHARED      2                17,419
Kimco Realty Corp         COM           49446R109        1,330      72,524  SH          SHARED      1                72,524
Kimco Realty Corp         COM           49446R109          228      12,456  SH          SHARED      2                12,456
Kimco Realty Corp         COM           49446R109        2,263     123,370  SH          SHARED      1               123,370
Kimco Realty Corp         COM           49446R109        1,966     107,194  SH          SHARED      1               107,194
Kimco Realty Corp         COM           49446R109        1,866     101,755  SH          SHARED      1               101,755
Klepierre                 COM             7582556        3,938      97,077  SH          SHARED      1                97,077
Klepierre                 COM             7582556        3,247      80,043  SH          SHARED      1                80,043
Kraft Foods Inc           COM           50075N104        3,791     120,883  SH          SHARED      1               120,883
Kraft Foods Inc           COM           50075N104           49       1,565  SH          SHARED      2                 1,565
Kraft Foods Inc           COM           50075N104        1,454      46,369  SH          SHARED      2                46,369
Kroger Co                 COM           501044101           42       1,732  SH          SHARED      2                 1,732
Land Securities Group
 plc                      COM             3180943        3,752     319,092  SH          SHARED      1               319,092
Land Securities Group
 plc                      COM             3180943        3,015     256,365  SH          SHARED      1               256,365
Link Reit                 COM             B0PB4M7        6,313   2,016,601  SH          SHARED      1             2,016,601
Link Reit                 COM             B0PB4M7        5,431   1,735,026  SH          SHARED      1             1,735,026
Lloyds Banking Group PLC  COM           539439AC3        4,720   5,900,000  SH          SHARED      1             5,900,000
Lloyds Banking Group PLC  COM           539439AD1        5,172   6,425,000  SH          SHARED      1             6,425,000
Lloyds Banking Group PLC  COM           539439AD1          765     950,000  SH          SHARED      1               950,000
Lloyds Banking Group PLC  COM           539439AD1          403     500,000  SH          SHARED      1               500,000
Lloyds Banking Group PLC  COM           539439AD1          403     500,000  SH          SHARED      1               500,000
Lloyds Banking Group PLC  COM           539439AD1          463     575,000  SH          SHARED      1               575,000
Lloyds Banking Group PLC  COM           539439AD1          926   1,150,000  SH          SHARED      1             1,150,000
Lloyds Banking Group PLC  COM           539439AD1        2,013   2,500,000  SH          SHARED      1             2,500,000
Lloyds Banking Group PLC  COM           539439AC3        1,840   2,300,000  SH          SHARED      1             2,300,000
Lloyds Banking Group PLC  COM           539439AD1          403     500,000  SH          SHARED      1               500,000
Lloyds Banking Group PLC  COM           539439AC3        5,280   6,600,000  SH          SHARED      1             6,600,000
Lloyds Banking Group PLC  COM           539439AD1          966   1,200,000  SH          SHARED      1             1,200,000
Lloyds Banking Group PLC  COM           539439AD1        6,440   8,000,000  SH          SHARED      1             8,000,000
Lloyds Banking Group PLC  COM           539439AD1          805   1,000,000  SH          SHARED      1             1,000,000
Lloyds Banking Group PLC  COM           539439AD1        1,208   1,500,000  SH          SHARED      1             1,500,000
Lloyds Banking Group PLC  COM           539439AC3          800   1,000,000  SH          SHARED      1             1,000,000
Lloyds Banking Group PLC  COM           539439AD1        2,415   3,000,000  SH          SHARED      1             3,000,000
Lloyds Banking Group PLC  COM           539439AD1           81     100,000  SH          SHARED      2               100,000
Lloyds Banking Group PLC  COM           539439AD1          322     400,000  SH          SHARED      2               400,000
Lloyds Banking Group PLC  COM           539439AD1          403     500,000  SH          SHARED      1               500,000
Lloyds Banking Group PLC  COM           539439AC3        2,112   2,640,000  SH          SHARED      1             2,640,000
Lloyds Banking Group PLC  COM           539439AC3          756     945,000  SH          SHARED      1               945,000
Lloyds Banking Group PLC  COM           539439AC3          800   1,000,000  SH          SHARED      1             1,000,000
Lloyds Banking Group PLC  COM           539439AC3        4,800   6,000,000  SH          SHARED      1             6,000,000
Lloyds Banking Group PLC  COM           539439AC3        2,400   3,000,000  SH          SHARED      1             3,000,000
Lloyds Banking Group PLC  COM           539439AC3        1,152   1,440,000  SH          SHARED      1             1,440,000
Lloyds Banking Group PLC  COM           539439AC3          444     555,000  SH          SHARED      1               555,000
Lloyds Banking Group PLC  COM           539439AC3        1,248   1,560,000  SH          SHARED      1             1,560,000
Lloyds Banking Group PLC  COM           539439AC3        1,168   1,460,000  SH          SHARED      1             1,460,000
Lockheed Martin Corp      COM           539830109        3,168      39,401  SH          SHARED      1                39,401
Lockheed Martin Corp      COM           539830109           41         509  SH          SHARED      2                   509
Lockheed Martin Corp      COM           539830109        1,224      15,228  SH          SHARED      2                15,228
Lowes Companies Inc       COM           548661107        3,408     128,963  SH          SHARED      1               128,963
Lowes Companies Inc       COM           548661107           45       1,698  SH          SHARED      2                 1,698
Lowes Companies Inc       COM           548661107        1,255      47,484  SH          SHARED      2                47,484
Mack-Cali Realty Corp     COM           554489104          821      24,217  SH          SHARED      1                24,217
Mack-Cali Realty Corp     COM           554489104          138       4,081  SH          SHARED      2                 4,081
Mack-Cali Realty Corp     COM           554489104        2,205      65,050  SH          SHARED      1                65,050
Mack-Cali Realty Corp     COM           554489104        1,224      36,117  SH          SHARED      1                36,117
Mack-Cali Realty Corp     COM           554489104        1,818      53,615  SH          SHARED      1                53,615
Macy's Inc                COM           55616P104        3,686     151,940  SH          SHARED      1               151,940
Macy's Inc                COM           55616P104           48       1,982  SH          SHARED      2                 1,982
Macy's Inc                COM           55616P104        1,418      58,462  SH          SHARED      2                58,462
Marathon Oil Corp         COM           565849106        5,356     100,462  SH          SHARED      1               100,462
Marathon Oil Corp         COM           565849106           70       1,310  SH          SHARED      2                 1,310
Marathon Oil Corp         COM           565849106        2,061      38,652  SH          SHARED      2                38,652
Medical Properties Trust
 Inc                      COM           58463J304        2,814     243,255  SH          SHARED      1               243,255
Medical Properties Trust
 Inc                      COM           58463J304          469      40,531  SH          SHARED      2                40,531
Medical Properties Trust
 Inc                      COM           58463J304        6,025     520,779  SH          SHARED      1               520,779
Medical Properties Trust
 Inc                      COM           58463J304        3,464     299,411  SH          SHARED      1               299,411
Medical Properties Trust
 Inc                      COM           58463J304        4,983     430,653  SH          SHARED      1               430,653
MERCIALYS                 COM             B0LMF87        2,327      58,411  SH          SHARED      1                58,411
MERCIALYS                 COM             B0LMF87        1,913      48,026  SH          SHARED      1                48,026
Merck & Co. Inc.          COM           58933Y105            0           0  SH          SHARED      1                     0
Merck & Co. Inc.          COM           58933Y105           81       2,451  SH          SHARED      2                 2,451
Merck & Co. Inc.          COM           58933Y105        2,267      68,682  SH          SHARED      2                68,682
Merge Healthcare Inc      COM           589499102          107      22,062  SH          SHARED      2                22,062
Merge Healthcare Inc      COM           589499102        3,125     641,739  SH          SHARED      2               641,739
MetLife Inc               COM           59156R108        4,001      89,451  SH          SHARED      1                89,451
Microsoft Corp            COM           594918104       10,184     401,098  SH          SHARED      1               401,098
Microsoft Corp            COM           594918104          133       5,229  SH          SHARED      2                 5,229
Microsoft Corp            COM           594918104        3,970     156,354  SH          SHARED      2               156,354
Mid-America Apartment
 Comm                     COM           59522J103        1,875      29,205  SH          SHARED      1                29,205
Mid-America Apartment
 Comm                     COM           59522J103          320       4,979  SH          SHARED      2                 4,979
Mid-America Apartment
 Comm                     COM           59522J103        4,467      69,586  SH          SHARED      1                69,586
Mid-America Apartment
 Comm                     COM           59522J103        2,515      39,174  SH          SHARED      1                39,174
Mid-America Apartment
 Comm                     COM           59522J103        3,692      57,511  SH          SHARED      1                57,511
Mitsubishi Estate Co Ltd  COM             6596729        6,634     392,069  SH          SHARED      1               392,069
Mitsubishi Estate Co Ltd  COM             6596729        6,026     356,135  SH          SHARED      1               356,135
Mitsui Fudosan Co Ltd     COM             6597603        6,243     378,075  SH          SHARED      1               378,075
Mitsui Fudosan Co Ltd     COM             6597603        5,602     339,274  SH          SHARED      1               339,274
Morgan Stanley            COM           617446448        3,982     145,739  SH          SHARED      1               145,739
Morgan Stanley            COM           617446448           51       1,876  SH          SHARED      2                 1,876
Morgan Stanley            COM           617446448        1,439      52,684  SH          SHARED      2                52,684
Motorola Mobility
 Holdings                 COM           620097105        7,243     296,841  SH          SHARED      1               296,841
Motorola Mobility
 Holdings                 COM           620097105           22         887  SH          SHARED      2                   887
Motorola Mobility
 Holdings                 COM           620097105        2,906     119,100  SH          SHARED      2               119,100
Mrv Communications Inc    COM           553477100        4,432   2,896,634  SH          SHARED      1             2,896,634
Mrv Communications Inc    COM           553477100           60      38,909  SH          SHARED      2                38,909
Mrv Communications Inc    COM           553477100        1,699   1,110,287  SH          SHARED      2             1,110,287
Mrv Communications Inc    COM           553477100        8,289   5,417,703  SH          SHARED      1             5,417,703
National Semiconductor
 Corp                     COM           637640103           60       4,184  SH          SHARED      2                 4,184
Nationwide Health Pptys
 Inc                      COM           638620104        2,412      56,720  SH          SHARED      1                56,720
Nationwide Health Pptys
 Inc                      COM           638620104          404       9,492  SH          SHARED      2                 9,492
Nationwide Health Pptys
 Inc                      COM           638620104        1,383      32,515  SH          SHARED      1                32,515
Nationwide Health Pptys
 Inc                      COM           638620104        2,533      59,547  SH          SHARED      1                59,547
Nationwide Health Pptys
 Inc                      COM           638620104        1,143      26,876  SH          SHARED      1                26,876
NCR Corp                  COM           62886E108        4,430     235,126  SH          SHARED      1               235,126
NCR Corp                  COM           62886E108           93       4,943  SH          SHARED      2                 4,943
NCR Corp                  COM           62886E108        1,715      91,026  SH          SHARED      2                91,026
New World Development     COM             6633767        2,154   1,219,602  SH          SHARED      1             1,219,602
New World Development     COM             6633767        1,776   1,005,608  SH          SHARED      1             1,005,608
New York Times
 Company-Class A          COM           650111107        3,801     401,415  SH          SHARED      1               401,415
New York Times
 Company-Class A          COM           650111107        1,475     155,762  SH          SHARED      2               155,762
Nippon Building Fund
 Inc.                     COM             6396800        2,591         266  SH          SHARED      1                   266
Nippon Building Fund
 Inc.                     COM             6396800        2,289         235  SH          SHARED      1                   235
NTT Urban Development
 Corp.                    COM             B031SG1        2,835       3,382  SH          SHARED      1                 3,382
NTT Urban Development
 Corp.                    COM             B031SG1        2,555       3,048  SH          SHARED      1                 3,048
Occidental Petroleum
 Corp                     COM           674599105        4,689      44,872  SH          SHARED      1                44,872
Occidental Petroleum
 Corp                     COM           674599105           61         585  SH          SHARED      2                   585
Occidental Petroleum
 Corp                     COM           674599105        1,804      17,264  SH          SHARED      2                17,264
Oracle Corporation        COM           68389X105        4,306     128,810  SH          SHARED      1               128,810
Oracle Corporation        COM           68389X105        1,671      49,975  SH          SHARED      2                49,975
Parkway Properties Inc    COM           70159Q104        1,067      62,771  SH          SHARED      1                62,771
Parkway Properties Inc    COM           70159Q104          185      10,882  SH          SHARED      2                10,882
Parkway Properties Inc    COM           70159Q104        4,182     246,025  SH          SHARED      1               246,025
Parkway Properties Inc    COM           70159Q104        2,254     132,579  SH          SHARED      1               132,579
Parkway Properties Inc    COM           70159Q104        3,451     203,001  SH          SHARED      1               203,001
Pepsico Inc               COM           713448108        3,868      60,054  SH          SHARED      1                60,054
Pepsico Inc               COM           713448108           51         793  SH          SHARED      2                   793
Pepsico Inc               COM           713448108        1,427      22,158  SH          SHARED      2                22,158
Pfizer Inc                COM           717081103        6,845     337,033  SH          SHARED      1               337,033
Philip Morris
 International            COM           718172109        4,080      62,166  SH          SHARED      1                62,166
Philip Morris
 International            COM           718172109           54         820  SH          SHARED      2                   820
Philip Morris
 International            COM           718172109        1,501      22,876  SH          SHARED      2                22,876
Plum Creek Timber Co
 Common                   COM           729251108        1,618      37,104  SH          SHARED      1                37,104
Plum Creek Timber Co
 Common                   COM           729251108          288       6,614  SH          SHARED      2                 6,614
Plum Creek Timber Co
 Common                   COM           729251108        2,846      65,252  SH          SHARED      1                65,252
Plum Creek Timber Co
 Common                   COM           729251108        2,582      59,209  SH          SHARED      1                59,209
Plum Creek Timber Co
 Common                   COM           729251108        2,349      53,874  SH          SHARED      1                53,874
PNC Financial Services
 Group                    COM           693475105        6,516     103,446  SH          SHARED      1               103,446
Powershares QQQ Nasdaq
 100                      COM           73935A104       25,523     444,500  SH          SHARED      1               444,500
Procter & Gamble Co       COM           742718109        5,591      90,770  SH          SHARED      1                90,770
Procter & Gamble Co       COM           742718109           74       1,194  SH          SHARED      2                 1,194
Procter & Gamble Co       COM           742718109        2,059      33,428  SH          SHARED      2                33,428
Prologis                  COM           743410102          550      34,437  SH          SHARED      1                34,437
Prologis                  COM           743410102           95       5,959  SH          SHARED      2                 5,959
Prologis                  COM           743410102        1,140      71,338  SH          SHARED      1                71,338
Prologis                  COM           743410102          772      48,319  SH          SHARED      1                48,319
Prologis                  COM           743410102          942      58,974  SH          SHARED      1                58,974
PSP Swiss Property
 AG-REG                   COM             B012877        1,799      21,844  SH          SHARED      1                21,844
PSP Swiss Property
 AG-REG                   COM             B012877        1,480      17,972  SH          SHARED      1                17,972
Public Storage            COM           74460D109        3,343      30,140  SH          SHARED      1                30,140
Public Storage            COM           74460D109          598       5,390  SH          SHARED      2                 5,390
Public Storage            COM           74460D109        5,613      50,605  SH          SHARED      1                50,605
Public Storage            COM           74460D109        5,222      47,079  SH          SHARED      1                47,079
Public Storage            COM           74460D109        4,636      41,802  SH          SHARED      1                41,802
Ramco-Gershenson
 Properties               COM           751452202        1,325     105,711  SH          SHARED      1               105,711
Ramco-Gershenson
 Properties               COM           751452202          229      18,238  SH          SHARED      2                18,238
Ramco-Gershenson
 Properties               COM           751452202        2,536     202,427  SH          SHARED      1               202,427
Ramco-Gershenson
 Properties               COM           751452202        1,828     145,874  SH          SHARED      1               145,874
Ramco-Gershenson
 Properties               COM           751452202        2,097     167,344  SH          SHARED      1               167,344
Raytheon Company          COM           755111507        3,342      65,705  SH          SHARED      1                65,705
Raytheon Company          COM           755111507           43         849  SH          SHARED      2                   849
Raytheon Company          COM           755111507        1,292      25,395  SH          SHARED      2                25,395
SAIC Inc                  COM           78390X101        4,156     245,649  SH          SHARED      1               245,649
SAIC Inc                  COM           78390X101           55       3,230  SH          SHARED      2                 3,230
SAIC Inc                  COM           78390X101        1,613      95,309  SH          SHARED      2                95,309
Segro PLC                 COM             B5ZN1N8        8,402   1,630,180  SH          SHARED      1             1,630,180
Segro PLC                 COM             B5ZN1N8          279      54,208  SH          SHARED      1                54,208
Segro PLC                 COM             B5ZN1N8        6,925   1,343,569  SH          SHARED      1             1,343,569
Silicon Graphics          COM           82706L108       18,642     871,123  SH          SHARED      1               871,123
Silicon Graphics          COM           82706L108          250      11,705  SH          SHARED      2                11,705
Silicon Graphics          COM           82706L108        6,794     317,493  SH          SHARED      2               317,493
Silicon Graphics Int
 Corp                     COM           82706L108       19,948     940,500  SH          SHARED      1               940,500
Simon Property Group Inc  COM           828806109        6,682      62,356  SH          SHARED      1                62,356
Simon Property Group Inc  COM           828806109        1,089      10,158  SH          SHARED      2                10,158
Simon Property Group Inc  COM           828806109       10,792     100,707  SH          SHARED      1               100,707
Simon Property Group Inc  COM           828806109        8,978      83,783  SH          SHARED      1                83,783
Simon Property Group Inc  COM           828806109        8,921      83,249  SH          SHARED      1                83,249
SL Green Realty Corp      COM           78440X101        1,135      15,098  SH          SHARED      1                15,098
SL Green Realty Corp      COM           78440X101          190       2,531  SH          SHARED      2                 2,531
SL Green Realty Corp      COM           78440X101        1,542      20,511  SH          SHARED      1                20,511
SL Green Realty Corp      COM           78440X101        1,550      20,617  SH          SHARED      1                20,617
SL Green Realty Corp      COM           78440X101        1,275      16,953  SH          SHARED      1                16,953
Smfg Preferred Capital 2  COM             B2RF6S1        6,500   6,175,000  SH          SHARED      1             6,175,000
Smfg Preferred Capital 2  COM             B2RF6S1        3,684   3,500,000  SH          SHARED      1             3,500,000
SPDR S&P 500 ETF Trust    COM           78462F103            7          55  SH          SHARED      2                    55
SPDR S&P 500 ETF Trust    COM           78462F103       69,825     526,626  SH          SHARED      1               526,626
SPDR S&P 500 ETF Trust    COM           78462F103      269,318   2,031,206  SH          SHARED      1             2,031,206
Starwood Property Trust
 Inc                      COM           85571B105          974      43,696  SH          SHARED      1                43,696
Starwood Property Trust
 Inc                      COM           85571B105          167       7,483  SH          SHARED      2                 7,483
Starwood Property Trust
 Inc                      COM           85571B105        1,811      81,191  SH          SHARED      1                81,191
Starwood Property Trust
 Inc                      COM           85571B105        1,292      57,958  SH          SHARED      1                57,958
Starwood Property Trust
 Inc                      COM           85571B105        1,497      67,140  SH          SHARED      1                67,140
State Street Bank &
 Trust Co                 COM           857477103        4,022      89,490  SH          SHARED      1                89,490
State Street Bank &
 Trust Co                 COM           857477103           45         998  SH          SHARED      2                   998
State Street Bank &
 Trust Co                 COM           857477103        1,329      29,571  SH          SHARED      2                29,571
Stockland                 COM             6850856        6,936   1,810,244  SH          SHARED      1             1,810,244
Stockland                 COM             6850856        5,764   1,504,555  SH          SHARED      1             1,504,555
Sun Hung Kai Properties   COM             6859927       11,724     740,254  SH          SHARED      1               740,254
Sun Hung Kai Properties   COM             6859927        9,730     614,316  SH          SHARED      1               614,316
Supervalu Inc             COM           868536103        8,801     985,519  SH          SHARED      1               985,519
Supervalu Inc             COM           868536103           39       4,347  SH          SHARED      2                 4,347
Supervalu Inc             COM           868536103        3,410     381,831  SH          SHARED      2               381,831
Tanger Factory Outlet
 Center                   COM           875465106          776      29,560  SH          SHARED      1                29,560
Tanger Factory Outlet
 Center                   COM           875465106          134       5,114  SH          SHARED      2                 5,114
Tanger Factory Outlet
 Center                   COM           875465106        1,937      73,828  SH          SHARED      1                73,828
Tanger Factory Outlet
 Center                   COM           875465106        1,100      41,926  SH          SHARED      1                41,926
Tanger Factory Outlet
 Center                   COM           875465106        1,601      61,032  SH          SHARED      1                61,032
Target Corp               COM           87612E106        3,039      60,771  SH          SHARED      1                60,771
Target Corp               COM           87612E106           39         783  SH          SHARED      2                   783
Target Corp               COM           87612E106        1,100      21,997  SH          SHARED      2                21,997
Taubman Centers Inc       COM           876664103        1,115      20,804  SH          SHARED      1                20,804
Taubman Centers Inc       COM           876664103          193       3,599  SH          SHARED      2                 3,599
Taubman Centers Inc       COM           876664103        2,628      49,044  SH          SHARED      1                49,044
Taubman Centers Inc       COM           876664103        1,589      29,652  SH          SHARED      1                29,652
Taubman Centers Inc       COM           876664103        2,172      40,545  SH          SHARED      1                40,545
Technicolor SA            COM        FR0010891101          121     113,202  SH          SHARED      1               113,202
Technicolor SA            COM        FR0010891135          258     240,553  SH          SHARED      1               240,553
Technicolor SA            COM        FR0010918292          940     129,489  SH          SHARED      1               129,489
Technicolor SA            COM        FR0010891101          152     141,502  SH          SHARED      1               141,502
Technicolor SA            COM        FR0010891135          322     300,691  SH          SHARED      1               300,691
Technicolor SA            COM        FR0010918292        1,175     161,858  SH          SHARED      1               161,858
Technicolor SA            COM        FR0010891101          212     198,103  SH          SHARED      1               198,103
Technicolor SA            COM        FR0010891135          451     420,968  SH          SHARED      1               420,968
Technicolor SA            COM        FR0010918292        1,645     226,610  SH          SHARED      1               226,610
Technicolor SA            COM        FR0010891101          212     198,103  SH          SHARED      1               198,103
Technicolor SA            COM        FR0010891135          451     420,968  SH          SHARED      1               420,968
Technicolor SA            COM        FR0010918292        1,645     226,610  SH          SHARED      1               226,610
Tellabs Inc               COM           879664100           63      12,055  SH          SHARED      2                12,055
Texas Instruments Inc     COM           882508104        3,450      99,821  SH          SHARED      1                99,821
Texas Instruments Inc     COM           882508104           61       1,760  SH          SHARED      2                 1,760
Texas Instruments Inc     COM           882508104        1,355      39,194  SH          SHARED      2                39,194
Tokyo Tatemono Co. LTD    COM             6895426        3,159     844,571  SH          SHARED      1               844,571
Tokyo Tatemono Co. LTD    COM             6895426        2,849     761,717  SH          SHARED      1               761,717
Travelers Cos Inc         COM           89417E109        5,404      90,856  SH          SHARED      1                90,856
Travelers Cos Inc         COM           89417E109           69       1,153  SH          SHARED      2                 1,153
Travelers Cos Inc         COM           89417E109        1,927      32,397  SH          SHARED      2                32,397
Unibail Rodamco SE        COM             7076242        6,681      30,859  SH          SHARED      1                30,859
Unibail Rodamco SE        COM             7076242        5,419      25,029  SH          SHARED      1                25,029
United Continental
 Holdings                 COM           910047109        2,408     104,739  SH          SHARED      1               104,739
United Continental
 Holdings                 COM           910047109          906      39,391  SH          SHARED      2                39,391
United Technologies Corp  COM           913017109        5,180      61,194  SH          SHARED      1                61,194
United Technologies Corp  COM           913017109           68         808  SH          SHARED      2                   808
United Technologies Corp  COM           913017109        1,569      18,533  SH          SHARED      2                18,533
Unitedhealth Group Inc    COM           91324P102        3,669      81,167  SH          SHARED      1                81,167
Unitedhealth Group Inc    COM           91324P102           48       1,069  SH          SHARED      2                 1,069
Unitedhealth Group Inc    COM           91324P102        1,354      29,948  SH          SHARED      2                29,948
Unum Group                COM           91529Y106        6,771     257,957  SH          SHARED      1               257,957
Unum Group                COM           91529Y106           88       3,342  SH          SHARED      2                 3,342
Unum Group                COM           91529Y106        2,635     100,368  SH          SHARED      2               100,368
US Bancorp                COM           902973304        4,112     155,587  SH          SHARED      1               155,587
US Bancorp                COM           902973304           47       1,784  SH          SHARED      2                 1,784
US Bancorp                COM           902973304        1,422      53,793  SH          SHARED      2                53,793
Vanguard Emerging
 Markets ETF              COM           922042858       65,127   1,330,479  SH          SHARED      1             1,330,479
Vanguard Europe Pacific
 ETF                      COM           921943858       59,134   1,584,950  SH          SHARED      1             1,584,950
Vanguard FTSE All-World
 Ex-US                    COM           922042775       16,113     326,704  SH          SHARED      1               326,704
Vanguard REIT ETF         COM           922908553       48,716     833,175  SH          SHARED      1               833,175
Vanguard Small Cap ETF    COM           922908751       16,207     205,179  SH          SHARED      1               205,179
Ventas Inc                COM           92276F100        1,528      28,142  SH          SHARED      1                28,142
Ventas Inc                COM           92276F100          270       4,976  SH          SHARED      2                 4,976
Ventas Inc                COM           92276F100        2,660      48,987  SH          SHARED      1                48,987
Ventas Inc                COM           92276F100        2,396      44,121  SH          SHARED      1                44,121
Ventas Inc                COM           92276F100        2,196      40,445  SH          SHARED      1                40,445
Verizon Communications
 Inc                      COM           92343V104        9,370     243,124  SH          SHARED      1               243,124
Verizon Communications
 Inc                      COM           92343V104           99       2,568  SH          SHARED      2                 2,568
Verizon Communications
 Inc                      COM           92343V104        2,911      75,534  SH          SHARED      2                75,534
Viacom Inc-class B        CL B          92553P201        4,611      99,121  SH          SHARED      1                99,121
Viacom Inc-class B        CL B          92553P201           61       1,306  SH          SHARED      2                 1,306
Viacom Inc-class B        CL B          92553P201        1,698      36,503  SH          SHARED      2                36,503
Vicor Corp                COM           925815102        4,347     263,604  SH          SHARED      1               263,604
Vicor Corp                COM           925815102           79       4,812  SH          SHARED      2                 4,812
Vicor Corp                COM           925815102        2,172     131,738  SH          SHARED      2               131,738
Vicor Corp                COM           925815102        9,017     547,164  SH          SHARED      1               547,164
Visa Inc-Class A Shares   COM           92826C839        5,411      73,502  SH          SHARED      1                73,502
Visa Inc-Class A Shares   COM           92826C839        1,244      16,904  SH          SHARED      2                16,904
Vornado Realty Trust      COM           929042109        2,791      31,897  SH          SHARED      1                31,897
Vornado Realty Trust      COM           929042109          466       5,325  SH          SHARED      2                 5,325
Vornado Realty Trust      COM           929042109        5,650      64,576  SH          SHARED      1                64,576
Vornado Realty Trust      COM           929042109        3,792      43,333  SH          SHARED      1                43,333
Vornado Realty Trust      COM           929042109        4,671      53,383  SH          SHARED      1                53,383
Wachovia Capital Trust
 III                      COM           92978AAA0       13,487  14,700,000  SH          SHARED      1            14,700,000
Wachovia Capital Trust
 III                      COM           92978AAA0        1,193   1,300,000  SH          SHARED      1             1,300,000
Wachovia Capital Trust
 III                      COM           92978AAA0          578     630,000  SH          SHARED      1               630,000
Wachovia Capital Trust
 III                      COM           92978AAA0          339     370,000  SH          SHARED      1               370,000
Wal-Mart Stores Inc       COM           931142103        3,908      75,073  SH          SHARED      1                75,073
Wal-Mart Stores Inc       COM           931142103           51         989  SH          SHARED      2                   989
Wal-Mart Stores Inc       COM           931142103        1,438      27,629  SH          SHARED      2                27,629
Walt Disney Co            COM           254687106        5,550     128,792  SH          SHARED      1               128,792
Walt Disney Co            COM           254687106           72       1,675  SH          SHARED      2                 1,675
Walt Disney Co            COM           254687106        1,670      38,762  SH          SHARED      2                38,762
Wells Fargo & Co          COM           949746101           93       2,921  SH          SHARED      2                 2,921
Wells Fargo & Co          COM           949746101        1,956      61,697  SH          SHARED      2                61,697
Westfield Group           COM             B01BTX7        7,318     758,742  SH          SHARED      1               758,742
Westfield Group           COM             B01BTX7        6,048     627,081  SH          SHARED      1               627,081
Westfield Retail Trust    COM             B624885        2,053     758,742  SH          SHARED      1               758,742
Westfield Retail Trust    COM             B624885        1,632     603,303  SH          SHARED      1               603,303
Weyerhaeuser Co           COM           962166104        1,433      58,241  SH          SHARED      1                58,241
Weyerhaeuser Co           COM           962166104           69       2,821  SH          SHARED      2                 2,821
Weyerhaeuser Co           COM           962166104          251      10,208  SH          SHARED      2                10,208
Weyerhaeuser Co           COM           962166104        4,799     195,088  SH          SHARED      1               195,088
Weyerhaeuser Co           COM           962166104        1,677      68,168  SH          SHARED      1                68,168
Weyerhaeuser Co           COM           962166104        4,078     165,789  SH          SHARED      1               165,789
WHARF HOLDINGS LTD        COM             6435576        5,020     727,893  SH          SHARED      1               727,893
WHARF HOLDINGS LTD        COM             6435576        4,135     599,596  SH          SHARED      1               599,596
XL Capital Ltd            COM           98372PAJ7          361     394,000  SH          SHARED      1               394,000
                                                     2,356,500