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

                                    FORM 13F

                               FORM 13f Cover Page



            Report for the Calendar Year or Quarter Ended September 30, 2004

If amended report check here:      |_|                    Amendment Number: ____

This Amendment (Check only one):   |_| is a restatement
                                   |_| adds new holding
                                       entries.

PRIOR FILINGS FOR THE NOMURA GROUP WERE REPORTED UNDER THE NAME NOMURA 
SECURITIES COMPANY, WITH CIK NUMBER 0000110097.  SUBSEQUENT FILINGS WILL
BE MADE UNDER THE NAME NOMURA HOLDINGS, INC., CIK NUMBER 0001163653.
NOMURA HOLDINGS, INC. (NHI) IS THE PARENT HOLDING COMPANY OF A NUMBER 
OF OPERATING SUBSIDIARIES, SOME OF WHICH ARE OR MAY BE INSTITUTIONAL
INVESTMENT MANAGERS FOR THE PURPOSES OF THE REPORTING REQUIREMENTS UNDER
SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 (THE ACT) AND THE RULES
PROMULGATED THEREUNDER.  NHI ITSELF DOES NOT DIRECTLY EXERCISE INVESTMENT
DISCRETION WITH RESPECT TO ANY SECTION 13(F) SECURITIES POSITIONS.  IN
THAT NHI'S OWNERSHIP INTEREST IN SUCH OPERATING SUBSIDIARIES IS DEEMED THE
EXERCISE OF INVESTMENT DISCRETION REGARDING CERTAIN OF SUCH SUBSIDIARIES'
MANAGED ACCOUNTS, THE INFORMATION REQUIRED BY FORM 13F IS REPORTED BY NHI
ON BEHALF OF CERTAIN OF NHI'S OPERATING SUBSIDIARIES WHICH ARE INSTITUTIONAL
INVESTMENT MANAGERS SUBJECT TO SECTION 13(F)OF THE ACT.

Nomura Holdings Inc.
--------------------------------------------------------------------------------
Name of Institutional Investment Manager

1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan
--------------------------------------------------------------------------------
Business Address         (Street)       (City)            (State)          (Zip)


13F File Number: 001-15270

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, and tables, are considered integral parts of this form.


Person Signing this Report on Behalf of Reporting Manager:

David A. Leibowitz             Head of Compliance and Surveillance 212-667-9387
--------------------------------------------------------------------------------
Name                               (Title)                            (Phone)


                                        /s/ David A.Leibowitz
                                      ------------------------------------------
                                           (Manual Signature of Person Duly
                                           Authorized to Submit This Report)

                                        New York, NY  November 15, 2004
                                      ------------------------------------------
                                              (Place and Date of Signing)


Report Type:

[ ]      13F HOLDINGS REPORT.

[ ]      13F NOTICE.

[X]      13F COMBINATION REPORT.





                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:       4

Form 13F Information Table Entry Total:  988

Form 13F Information Table Value Total: $11,043,625
                                         (thousands)



List of Other Included Managers:

Name and 13F file numbers of ALL Institutional  Investment Managers with respect
to which this schedule is filed (other than the one filing this  report):  (List
in alphabetical order).




   13F File No.: Name:
   ------------- ---------------------
6.  28-05739      Global Funds Management, S.A.
   ------------- ---------------------
2.  28-04985      Nomura International plc
   ------------- ---------------------
4.  28-04993      Nomura Securities (Bermuda)
   ------------- ---------------------
1.  28-04983      Nomura Securities International, Inc.
   ------------- ---------------------







1Page      1                                                                                                      04-11-08  14:47:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
                                                                                            

0DAIMLERCHRYSLER AG             ORD        D1668R123        202 000000004900 SH       DEFINED 01         SOLE
 ACE LTD                        ORD        G0070K103     12,014 000000299901 SH       DEFINED 01         SOLE
 APEX SILVER MINES LTD          ORD        G04074103      3,472 000000160000 SH       DEFINED 01         SOLE
 BUNGE LIMITED                  COM        G16962105        459 000000011500 SH       DEFINED 01         SOLE
 COOPER INDS LTD                CL A       G24182100      4,243 000000071920 SH       DEFINED 01         SOLE
 EVEREST RE GROUP LTD           COM        G3223R108        200 000000002700 SH       DEFINED 01         SOLE
 GARMIN LTD                     ORD        G37260109        305 000000007059 SH       DEFINED 01         SOLE
 INGERSOLL-RAND COMPANY LTD     CL A       G4776G101      8,792 000000129361 SH       DEFINED 01         SOLE
 MARVELL TECHNOLOGY GROUP LTD   ORD        G5876H105        370 000000014188 SH       DEFINED 01         SOLE
 NABORS INDUSTRIES LTD          SHS        G6359F103      5,258 000000111049 SH       DEFINED 01         SOLE
 NOBLE CORPORATION              SHS        G65422100      4,446 000000098924 SH       DEFINED 01         SOLE
 PLATINUM UNDERWRITER HLDGS L   COM        G7127P100      2,488 000000085000 SH       DEFINED 01         SOLE
 HILFIGER TOMMY CORP            ORD        G8915Z102      1,055 000000106900 SH       DEFINED 01         SOLE
 TRANSOCEAN INC                 ORD        G90078109      8,423 000000235416 SH       DEFINED 01         SOLE
 GOLAR LNG LTD BERMUDA          SHS        G9456A100      1,250 000000080000 SH       DEFINED 01         SOLE
 XL CAP LTD                     CL A       G98255105      7,643 000000103300 SH       DEFINED 01         SOLE
 CHECK POINT SOFTWARE TECH LT   ORD        M22465104      2,420 000000142610 SH       DEFINED 01         SOLE
 GILAT SATELLITE NETWORKS LTD   SHS NEW    M51474118      3,302 000000555000 SH       DEFINED 01         SOLE
 STELMAR SHIPPING LTD           COM        V8726M103      1,134 000000030000 SH       DEFINED 01         SOLE
 FLEXTRONICS INTL LTD           ORD        Y2573F102        463 000000034956 SH       DEFINED 01         SOLE
 A D C TELECOMMUNICATIONS       COM        000886101      1,161 000000641573 SH       DEFINED 01         SOLE
 AFLAC INC                      COM        001055102     15,794 000000402809 SH       DEFINED 01         SOLE
 AFLAC INC                      COM        001055102        337 000000008600 SH       DEFINED 01         SOLE
 AES CORP                       COM        00130H105      8,574 000000858278 SH       DEFINED 01         SOLE
 AMB PROPERTY CORP              COM        00163T109        318 000000008600 SH       DEFINED 01         SOLE
 ATI TECHNOLOGIES INC           COM        001941103        270 000000017632 SH       DEFINED 01         SOLE
 AT&T CORP                      COM NEW    001957505      8,546 000000596811 SH       DEFINED 01         SOLE
 AT&T WIRELESS SVCS INC         COM        00209A106     56,860 000003847113 SH       DEFINED 01         SOLE
 AT&T WIRELESS SVCS INC         COM        00209A106      1,034 000000070000 SH       DEFINED 01         SOLE
 AT&T WIRELESS SVCS INC         COM        00209A106    127,794 000008655200 SH       DEFINED 02         SOLE
 ABBOTT LABS                    COM        002824100     48,839 000001152955 SH       DEFINED 01         SOLE
 ABERCROMBIE & FITCH CO         CL A       002896207        223 000000007100 SH       DEFINED 01         SOLE
 ACTIVISION INC NEW             COM NEW    004930202        145 000000010469 SH       DEFINED 01         SOLE
 ACTUANT CORP                   SDCV  2.00 00508XAB0      1,205 000000010000 PRN      DEFINED 01         SOLE
 ADESA INC                      COM        00686U104        300 000000018300 SH       DEFINED 01         SOLE
 ADOBE SYS INC                  COM        00724F101      9,369 000000189398 SH       DEFINED 01         SOLE
 ADTRAN INC                     COM        00738A106        272 000000012011 SH       DEFINED 01         SOLE
 AEROPOSTALE                    COM        007865108        436 000000016660 SH       DEFINED 01         SOLE
 ADVANCED MICRO DEVICES INC     COM        007903107      3,573 000000274888 SH       DEFINED 01         SOLE
 ADVANTA CORP                   CL B       007942204        532 000000022026 SH       DEFINED 01         SOLE
 ADVENT SOFTWARE INC            COM        007974108        199 000000011873 SH       DEFINED 01         SOLE
 AETNA INC NEW                  COM        00817Y108     11,674 000000116822 SH       DEFINED 01         SOLE
 AFFILIATED COMPUTER SERVICES   CL A       008190100      5,697 000000102343 SH       DEFINED 01         SOLE
 AGERE SYS INC                  CL A       00845V100      1,664 000001585100 SH       DEFINED 01         SOLE
 AGILENT TECHNOLOGIES INC       COM        00846U101      7,975 000000369732 SH       DEFINED 01         SOLE
 AIR PRODS & CHEMS INC          COM        009158106      9,206 000000169304 SH       DEFINED 01         SOLE
1Page      2                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0AIRTRAN HLDGS INC              COM        00949P108        142 000000014330 SH       DEFINED 01         SOLE
 ALBERTO CULVER CO              COM        013068101      3,802 000000087463 SH       DEFINED 01         SOLE
 ALBERTSONS INC                 COM        013104104      6,698 000000279929 SH       DEFINED 01         SOLE
 ALCAN INC                      COM        013716105        219 000000004600 SH       DEFINED 01         SOLE
 ALCOA INC                      COM        013817101     22,557 000000671546 SH       DEFINED 01         SOLE
 ALCATEL                        SPONSORED  013904305        265 000000022600 SH       DEFINED 01         SOLE
 ALLEGHENY ENERGY INC           COM        017361106      1,646 000000103187 SH       DEFINED 01         SOLE
 ALLEGHENY TECHNOLOGIES INC     COM        01741R102      1,578 000000086509 SH       DEFINED 01         SOLE
 ALLERGAN INC                   NOTE       018490AE2      2,284 000002500000 SH       DEFINED 01         SOLE
 ALLERGAN INC                   COM        018490102      7,063 000000097354 SH       DEFINED 01         SOLE
 ALLIANCE DATA SYSTEMS CORP     COM        018581108        308 000000007600 SH       DEFINED 01         SOLE
 ALLIANCE GAMING CORP           COM NEW    01859P609        151 000000010033 SH       DEFINED 01         SOLE
 ALLIANT ENERGY CORP            COM        018802108        400 000000016100 SH       DEFINED 01         SOLE
 ALLIANT TECHSYSTEMS INC        COM        018804104        689 000000011400 SH       DEFINED 01         SOLE
 ALLIED WASTE INDS INC          SDCV  4.25 019589AD2      5,257 000000060000 PRN      DEFINED 01         SOLE
 ALLIED WASTE INDS INC          COM PAR$.0 019589308      2,139 000000241727 SH       DEFINED 01         SOLE
 ALLSTATE CORP                  COM        020002101     24,876 000000518364 SH       DEFINED 01         SOLE
 ALLTEL CORP                    COM        020039103     12,466 000000227033 SH       DEFINED 01         SOLE
 ALTERA CORP                    COM        021441100      7,620 000000389388 SH       DEFINED 01         SOLE
 ALTRIA GROUP INC               COM        02209S103     71,532 000001520667 SH       DEFINED 01         SOLE
 AMAZON COM INC                 COM        023135106      1,919 000000046981 SH       DEFINED 01         SOLE
 AMAZON COM INC                 COM        023135106        690 000000016900 SH       DEFINED 01         SOLE
 AMBAC FINL GROUP INC           COM        023139108      6,395 000000079988 SH       DEFINED 01         SOLE
 AMERADA HESS CORP              COM        023551104      6,075 000000068265 SH       DEFINED 01         SOLE
 AMEREN CORP                    COM        023608102      6,788 000000147092 SH       DEFINED 01         SOLE
 AMERICAN AXLE & MFG HLDGS IN   COM        024061103        450 000000015400 SH       DEFINED 01         SOLE
 AMERICAN EAGLE OUTFITTERS NE   COM        02553E106        203 000000005512 SH       DEFINED 01         SOLE
 AMERICAN ELEC PWR INC          COM        025537101      9,552 000000298879 SH       DEFINED 01         SOLE
 AMERICAN EXPRESS CO            COM        025816109     48,320 000000938986 SH       DEFINED 01         SOLE
 AMERICAN FINL GROUP INC OHIO   COM        025932104        427 000000014300 SH       DEFINED 01         SOLE
 AMERICAN INTL GROUP INC        COM        026874107    129,915 000001910806 SH       DEFINED 01         SOLE
 AMERICAN MED SEC GROUP INC     COM        02744P101      1,280 000000040034 SH       DEFINED 01         SOLE
 AMERICAN PWR CONVERSION CORP   COM        029066107      3,109 000000178794 SH       DEFINED 01         SOLE
 AMERICAN STD COS INC DEL       COM        029712106      6,350 000000163200 SH       DEFINED 01         SOLE
 AMERISOURCEBERGEN CORP         COM        03073E105      5,530 000000102969 SH       DEFINED 01         SOLE
 AMETEK INC NEW                 COM        031100100        345 000000011400 SH       DEFINED 01         SOLE
 AMGEN INC                      NOTE       031162AE0     21,900 000030000000 SH       DEFINED 01         SOLE
 AMGEN INC                      COM        031162100     60,285 000001061183 SH       DEFINED 01         SOLE
 AMKOR TECHNOLOGY INC           COM        031652100         50 000000013788 SH       DEFINED 01         SOLE
 AMSOUTH BANCORPORATION         COM        032165102      6,537 000000267929 SH       DEFINED 01         SOLE
 AMVESCAP PLC                   SPONSORED  03235E100      2,194 000000200000 SH       DEFINED 01         SOLE
 ANADARKO PETE CORP             COM        032511107     12,229 000000184285 SH       DEFINED 01         SOLE
 ANALOG DEVICES INC             COM        032654105     11,058 000000285161 SH       DEFINED 01         SOLE
 ANDREW CORP                    COM        034425108      1,525 000000124628 SH       DEFINED 01         SOLE
 ANHEUSER BUSCH COS INC         COM        035229103     30,208 000000604774 SH       DEFINED 01         SOLE
 ANNTAYLOR STORES CORP          COM        036115103        384 000000016450 SH       DEFINED 01         SOLE
1Page      3                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0ANTHEM INC                     COM        03674B104     10,765 000000123386 SH       DEFINED 01         SOLE
 AON CORP                       COM        037389103      6,698 000000233055 SH       DEFINED 01         SOLE
 APACHE CORP                    COM        037411105     12,263 000000244727 SH       DEFINED 01         SOLE
 APARTMENT INVT & MGMT CO       CL A       03748R101      2,482 000000071365 SH       DEFINED 01         SOLE
 APOGENT TECHNOLOGIES INC       DBCV       03760AAK7     17,821 000000145000 PRN      DEFINED 01         SOLE
 APOLLO GROUP INC               CL A       037604105     11,526 000000157101 SH       DEFINED 01         SOLE
 APPLE COMPUTER INC             COM        037833100     11,616 000000299785 SH       DEFINED 01         SOLE
 APPLERA CORP                   COM AP BIO 038020103      3,022 000000160195 SH       DEFINED 01         SOLE
 APPLIED MICRO CIRCUITS CORP    COM        03822W109        809 000000258529 SH       DEFINED 01         SOLE
 APPLIED MATLS INC              COM        038222105     24,159 000001465104 SH       DEFINED 01         SOLE
 AQUILA INC                     COM        03840P102        145 000000046625 SH       DEFINED 01         SOLE
 ARAMARK CORP                   CL B       038521100        743 000000030800 SH       DEFINED 01         SOLE
 ARCHER DANIELS MIDLAND CO      COM        039483102      8,371 000000493021 SH       DEFINED 01         SOLE
 ARCHSTONE SMITH TR             COM        039583109        240 000000007600 SH       DEFINED 01         SOLE
 ARROW ELECTRS INC              COM        042735100        230 000000010200 SH       DEFINED 01         SOLE
 ARVINMERITOR INC               COM        043353101        213 000000011404 SH       DEFINED 01         SOLE
 ASCENTIAL SOFTWARE CORP        COM NEW    04362P207        190 000000014113 SH       DEFINED 01         SOLE
 ASHLAND INC                    COM        044204105      2,985 000000053244 SH       DEFINED 01         SOLE
 ASTORIA FINL CORP              COM        046265104        244 000000006900 SH       DEFINED 01         SOLE
 ATMEL CORP                     COM        049513104        145 000000040058 SH       DEFINED 01         SOLE
 ATRIX LABS INC                 COM        04962L101      2,622 000000085437 SH       DEFINED 01         SOLE
 AUTODESK INC                   COM        052769106      4,094 000000084191 SH       DEFINED 01         SOLE
 AUTOLIV INC                    COM        052800109        282 000000007000 SH       DEFINED 01         SOLE
 AUTOMATIC DATA PROCESSING IN   COM        053015103     17,821 000000431316 SH       DEFINED 01         SOLE
 AUTONATION INC                 COM        05329W102      3,626 000000212348 SH       DEFINED 01         SOLE
 AUTOZONE INC                   COM        053332102      4,764 000000061677 SH       DEFINED 01         SOLE
 AVAYA INC                      COM        053499109      4,687 000000336271 SH       DEFINED 01         SOLE
 AVERY DENNISON CORP            COM        053611109      5,368 000000081611 SH       DEFINED 01         SOLE
 AVNET INC                      DBCV  2.00 053807AL7     16,428 000000175000 PRN      DEFINED 01         SOLE
 AVNET INC                      COM        053807103        350 000000020500 SH       DEFINED 01         SOLE
 AVOCENT CORP                   COM        053893103        226 000000008718 SH       DEFINED 01         SOLE
 AVON PRODS INC                 COM        054303102     15,542 000000355818 SH       DEFINED 01         SOLE
 BB&T CORP                      COM        054937107     16,329 000000411438 SH       DEFINED 01         SOLE
 BISYS GROUP INC                COM        055472104        166 000000011424 SH       DEFINED 01         SOLE
 BJ SVCS CO                     COM        055482103      6,225 000000118789 SH       DEFINED 01         SOLE
 BMC SOFTWARE INC               COM        055921100      2,654 000000167925 SH       DEFINED 01         SOLE
 BAKER HUGHES INC               COM        057224107     10,719 000000245178 SH       DEFINED 01         SOLE
 BALL CORP                      COM        058498106      3,207 000000085686 SH       DEFINED 01         SOLE
 BANDAG INC                     CL A       059815308     14,556 000000361300 SH       DEFINED 01         SOLE
 BANK OF AMERICA CORPORATION    COM        060505104    128,495 000002965505 SH       DEFINED 01         SOLE
 BANK HAWAII CORP               COM        062540109        217 000000004600 SH       DEFINED 01         SOLE
 BANK NEW YORK INC              COM        064057102     16,838 000000577270 SH       DEFINED 01         SOLE
 BARD C R INC                   COM        067383109      4,551 000000080372 SH       DEFINED 01         SOLE
 BARNES & NOBLE INC             COM        067774109        288 000000007800 SH       DEFINED 01         SOLE
 BAUSCH & LOMB INC              COM        071707103      2,810 000000042297 SH       DEFINED 01         SOLE
 BAXTER INTL INC                COM        071813109     14,831 000000461179 SH       DEFINED 01         SOLE
1Page      4                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0BEA SYS INC                    COM        073325102        354 000000051295 SH       DEFINED 01         SOLE
 BEAR STEARNS COS INC           COM        073902108      7,447 000000077445 SH       DEFINED 01         SOLE
 BECKMAN COULTER INC            COM        075811109        353 000000006300 SH       DEFINED 01         SOLE
 BECTON DICKINSON & CO          COM        075887109      9,534 000000184424 SH       DEFINED 01         SOLE
 BED BATH & BEYOND INC          COM        075896100     10,725 000000289017 SH       DEFINED 01         SOLE
 BEL FUSE INC                   CL A       077347201        834 000000029749 SH       DEFINED 01         SOLE
 BELLSOUTH CORP                 COM        079860102     36,793 000001356698 SH       DEFINED 01         SOLE
 BELO CORP                      COM SER A  080555105        624 000000027700 SH       DEFINED 01         SOLE
 BEMIS INC                      COM        081437105      2,261 000000085083 SH       DEFINED 01         SOLE
 BERKLEY W R CORP               COM        084423102        202 000000004800 SH       DEFINED 01         SOLE
 BEST BUY INC                   COM        086516101     13,040 000000240416 SH       DEFINED 01         SOLE
 BIG LOTS INC                   COM        089302103      1,149 000000093958 SH       DEFINED 01         SOLE
 BIOCRYST PHARMACEUTICALS       COM        09058V103        181 000000035677 SH       DEFINED 01         SOLE
 BIOMET INC                     COM        090613100      9,769 000000208387 SH       DEFINED 01         SOLE
 BIOGEN IDEC INC                COM        09062X103     15,904 000000259999 SH       DEFINED 01         SOLE
 BIOTECH HOLDERS TR             DEPOSTRY R 09067D201     81,917 000000566900 SH       DEFINED 01         SOLE
 BIOVERIS CORP                  COM        090676107        619 000000099759 SH       DEFINED 01         SOLE
 BLACK & DECKER CORP            COM        091797100      4,722 000000060977 SH       DEFINED 01         SOLE
 BLACK HILLS CORP               COM        092113109        252 000000009099 SH       DEFINED 01         SOLE
 BLOCK H & R INC                COM        093671105      6,199 000000125436 SH       DEFINED 01         SOLE
 BLOCKBUSTER INC                CL A       093679108      2,770 000000365000 SH       DEFINED 01         SOLE
 BLYTH INC                      COM        09643P108        277 000000008968 SH       DEFINED 01         SOLE
 BOEING CO                      COM        097023105     31,878 000000617568 SH       DEFINED 01         SOLE
 BOISE CASCADE CORP             COM        097383103      2,910 000000087462 SH       DEFINED 01         SOLE
 BOISE CASCADE CORP             COM        097383103        998 000000030000 SH       DEFINED 01         SOLE
 BORG WARNER INC                COM        099724106        597 000000013800 SH       DEFINED 01         SOLE
 BOSTON PROPERTIES INC          COM        101121101        221 000000004000 SH       DEFINED 01         SOLE
 BOSTON SCIENTIFIC CORP         COM        101137107     24,697 000000621635 SH       DEFINED 01         SOLE
 BRINKER INTL INC               COM        109641100        654 000000021000 SH       DEFINED 01         SOLE
 BRISTOL MYERS SQUIBB CO        COM        110122108     34,237 000001446458 SH       DEFINED 01         SOLE
 BROADCOM CORP                  CL A       111320107      7,571 000000277449 SH       DEFINED 01         SOLE
 BROWN FORMAN CORP              CL A       115637100        477 000000010200 SH       DEFINED 01         SOLE
 BROWN FORMAN CORP              CL B       115637209      4,553 000000099414 SH       DEFINED 01         SOLE
 BRUNSWICK CORP                 COM        117043109      3,292 000000071948 SH       DEFINED 01         SOLE
 BURLINGTON NORTHN SANTA FE C   COM        12189T104     10,532 000000274932 SH       DEFINED 01         SOLE
 BURLINGTON RES INC             COM        122014103     12,027 000000294799 SH       DEFINED 01         SOLE
 CBRL GROUP INC                 NOTE       12489VAB2     11,843 000025000000 SH       DEFINED 01         SOLE
 CBRL GROUP INC                 COM        12489V106        212 000000005891 SH       DEFINED 01         SOLE
 C D W CORP                     COM        12512N105        665 000000011466 SH       DEFINED 01         SOLE
 C H ROBINSON WORLDWIDE INC     COM        12541W100        339 000000007315 SH       DEFINED 01         SOLE
 CIGNA CORP                     COM        125509109      7,160 000000102840 SH       DEFINED 01         SOLE
 CMS ENERGY CORP                COM        125896100      1,219 000000128114 SH       DEFINED 01         SOLE
 CNF INC                        COM        12612W104        836 000000020400 SH       DEFINED 01         SOLE
 CSG SYS INTL INC               COM        126349109        279 000000018108 SH       DEFINED 01         SOLE
 CSX CORP                       COM        126408103      5,275 000000158914 SH       DEFINED 01         SOLE
 CVS CORP                       COM        126650100     12,429 000000295032 SH       DEFINED 01         SOLE
1Page      5                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0CABLEVISION SYS CORP           CL A NY CA 12686C109        608 000000030000 SH       DEFINED 01         SOLE
 CABOT CORP                     COM        127055101        416 000000010800 SH       DEFINED 01         SOLE
 CABOT MICROELECTRONICS CORP    COM        12709P103        529 000000014612 SH       DEFINED 01         SOLE
 CACI INTL INC                  CL A       127190304        363 000000006881 SH       DEFINED 01         SOLE
 CADENCE DESIGN SYSTEM INC      COM        127387108        183 000000014100 SH       DEFINED 01         SOLE
 CAESARS ENTMT INC              COM        127687101      4,607 000000275900 SH       DEFINED 01         SOLE
 CALLAWAY GOLF CO               COM        131193104        140 000000013299 SH       DEFINED 01         SOLE
 CALPINE CORP                   COM        131347106      1,195 000000412202 SH       DEFINED 01         SOLE
 CAMPBELL SOUP CO               COM        134429109      8,188 000000311475 SH       DEFINED 01         SOLE
 CAPITAL ONE FINL CORP          COM        14040H105     13,308 000000180089 SH       DEFINED 01         SOLE
 CARDINAL HEALTH INC            COM        14149Y108     14,050 000000321017 SH       DEFINED 01         SOLE
 CAREER EDUCATION CORP          COM        141665109      1,359 000000047820 SH       DEFINED 01         SOLE
 CAREMARK RX INC                COM        141705103     11,002 000000343079 SH       DEFINED 01         SOLE
 CARLISLE COS INC               COM        142339100        581 000000009100 SH       DEFINED 01         SOLE
 CARNIVAL CORP                  PAIRED CTF 143658300     26,385 000000557949 SH       DEFINED 01         SOLE
 CARNIVAL CORP                  PAIRED CTF 143658300      5,362 000000112396 SH       DEFINED 02         SOLE
 CARNIVAL CORP                  PAIRED CTF 143658300     10,403 000000220000 SH       DEFINED 04         SOLE
 CATALINA MARKETING CORP        COM        148867104        245 000000010644 SH       DEFINED 01         SOLE
 CATELLUS DEV CORP NEW          COM        149113102        225 000000008500 SH       DEFINED 01         SOLE
 CATERPILLAR INC DEL            COM        149123101     20,591 000000255958 SH       DEFINED 01         SOLE
 CENDANT CORP                   DBCV  3.87 151313AN3     18,615 000000185000 PRN      DEFINED 01         SOLE
 CENDANT CORP                   COM        151313103     16,847 000000779954 SH       DEFINED 01         SOLE
 CENTERPOINT ENERGY INC         NOTE  2.87 15189TAL1      3,640 000000035000 PRN      DEFINED 01         SOLE
 CENTERPOINT ENERGY INC         COM        15189T107      2,407 000000232341 SH       DEFINED 01         SOLE
 CENTEX CORP                    COM        152312104      4,615 000000091464 SH       DEFINED 01         SOLE
 CENTURYTEL INC                 COM        156700106      3,447 000000100698 SH       DEFINED 01         SOLE
 CEPHALON INC                   COM        156708109        453 000000009464 SH       DEFINED 01         SOLE
 CERIDIAN CORP NEW              COM        156779100        193 000000010500 SH       DEFINED 01         SOLE
 CHARTER COMMUNICATIONS INC D   CL A       16117M107         38 000000014900 SH       DEFINED 06         SOLE
 CHELSEA PPTY GROUP INC         COM        163421100     45,386 000000676400 SH       DEFINED 01         SOLE
 CHEVRONTEXACO CORP             COM        166764100     83,652 000001559525 SH       DEFINED 01         SOLE
 CHEVRONTEXACO CORP             COM        166764100        214 000000004000 SH       DEFINED 01         SOLE
 CHICOS FAS INC                 COM        168615102        878 000000025700 SH       DEFINED 01         SOLE
 CHIRON CORP                    COM        170040109      9,486 000000214619 SH       DEFINED 01         SOLE
 CHOICEPOINT INC                COM        170388102        281 000000006600 SH       DEFINED 01         SOLE
 CHUBB CORP                     COM        171232101     10,028 000000142700 SH       DEFINED 01         SOLE
 CHURCH & DWIGHT INC            DBCV  5.25 171340AC6      2,345 000000020000 PRN      DEFINED 01         SOLE
 CHURCH & DWIGHT INC            COM        171340102        255 000000009100 SH       DEFINED 01         SOLE
 CIENA CORP                     COM        171779101        922 000000466147 SH       DEFINED 01         SOLE
 CINCINNATI BELL INC NEW        COM        171871106        137 000000039523 SH       DEFINED 01         SOLE
 CINCINNATI FINL CORP           COM        172062101      5,358 000000129988 SH       DEFINED 01         SOLE
 CINERGY CORP                   COM        172474108      5,545 000000140035 SH       DEFINED 01         SOLE
 CIRCUIT CITY STORE INC         COM        172737108      2,471 000000161118 SH       DEFINED 01         SOLE
 CISCO SYS INC                  COM        17275R102     94,289 000005209386 SH       DEFINED 01         SOLE
 CINTAS CORP                    COM        172908105      6,428 000000152903 SH       DEFINED 01         SOLE
 CITIGROUP INC                  COM        172967101    172,740 000003915234 SH       DEFINED 01         SOLE
1Page      6                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0CITIZENS COMMUNICATIONS CO     COM        17453B101      3,312 000000247406 SH       DEFINED 01         SOLE
 CITRIX SYS INC                 COM        177376100      2,710 000000154735 SH       DEFINED 01         SOLE
 CITY NATL CORP                 COM        178566105        474 000000007300 SH       DEFINED 01         SOLE
 CLAIRES STORES INC             COM        179584107        247 000000009900 SH       DEFINED 01         SOLE
 CLEAR CHANNEL COMMUNICATIONS   COM        184502102     14,372 000000461115 SH       DEFINED 01         SOLE
 CLOROX CO DEL                  COM        189054109      8,381 000000157251 SH       DEFINED 01         SOLE
 COACH INC                      COM        189754104      5,883 000000138706 SH       DEFINED 01         SOLE
 COCA COLA CO                   COM        191216100     75,652 000001888961 SH       DEFINED 01         SOLE
 COCA COLA ENTERPRISES INC      COM        191219104      6,569 000000347581 SH       DEFINED 01         SOLE
 COEUR D ALENE MINES CORP IDA   COM        192108108      1,211 000000255639 SH       DEFINED 01         SOLE
 COGNIZANT TECHNOLOGY SOLUTIO   CL A       192446102        351 000000011521 SH       DEFINED 01         SOLE
 COLE NATIONAL CORP NEW         CL A       193290103        555 000000020039 SH       DEFINED 01         SOLE
 COLGATE PALMOLIVE CO           COM        194162103     18,875 000000417784 SH       DEFINED 01         SOLE
 COMCAST CORP NEW               CL A       20030N101     60,877 000002155726 SH       DEFINED 01         SOLE
 COMERICA INC                   COM        200340107      7,790 000000131258 SH       DEFINED 01         SOLE
 COMMERCE BANCORP INC NJ        COM        200519106        215 000000003900 SH       DEFINED 01         SOLE
 COMMERCE BANCSHARES INC        COM        200525103        338 000000007032 SH       DEFINED 01         SOLE
 COMMUNITY HEALTH SYS INC NEW   COM        203668108        549 000000020600 SH       DEFINED 01         SOLE
 COMMUNITY FIRST BANKSHARES I   COM        203902101      7,269 000000226742 SH       DEFINED 01         SOLE
 COMPASS BANCSHARES INC         COM        20449H109        385 000000008789 SH       DEFINED 01         SOLE
 COMPUTER ASSOC INTL INC        COM        204912109     11,372 000000432413 SH       DEFINED 01         SOLE
 COMPUTER SCIENCES CORP         COM        205363104      6,694 000000142144 SH       DEFINED 01         SOLE
 COMPUWARE CORP                 COM        205638109      1,892 000000367443 SH       DEFINED 01         SOLE
 COMVERSE TECHNOLOGY INC        COM PAR $0 205862402      5,802 000000308147 SH       DEFINED 01         SOLE
 CONAGRA FOODS INC              COM        205887102     10,347 000000402455 SH       DEFINED 01         SOLE
 CONNETICS CORP                 COM        208192104      1,184 000000043830 SH       DEFINED 01         SOLE
 CONOCOPHILLIPS                 COM        20825C104     42,383 000000511571 SH       DEFINED 01         SOLE
 CONSECO INC                    PFD B CV 5 208464867      1,231 000000000500 PRN      DEFINED 01         SOLE
 CONSECO INC                    COM NEW    208464883      1,180 000000066822 SH       DEFINED 01         SOLE
 CONSOLIDATED EDISON INC        COM        209115104      7,722 000000183697 SH       DEFINED 01         SOLE
 CONSTELLATION ENERGY GROUP I   COM        210371100      5,192 000000130341 SH       DEFINED 01         SOLE
 CONVERGYS CORP                 COM        212485106      1,490 000000111020 SH       DEFINED 01         SOLE
 COOPER TIRE & RUBR CO          COM        216831107      1,251 000000062061 SH       DEFINED 01         SOLE
 COORS ADOLPH CO                CL B       217016104      2,057 000000030286 SH       DEFINED 01         SOLE
 COPART INC                     COM        217204106        247 000000013082 SH       DEFINED 01         SOLE
 CORINTHIAN COLLEGES INC        COM        218868107        142 000000010559 SH       DEFINED 01         SOLE
 CORNING INC                    COM        219350105     11,392 000001028215 SH       DEFINED 01         SOLE
 CORPORATE EXECUTIVE BRD CO     COM        21988R102        239 000000003905 SH       DEFINED 01         SOLE
 COSTCO WHSL CORP NEW           COM        22160K105     15,117 000000364188 SH       DEFINED 01         SOLE
 COTT CORP QUE                  COM        22163N106        233 000000008100 SH       DEFINED 01         SOLE
 COUNTRYWIDE FINANCIAL CORP     COM        222372104     22,352 000000567467 SH       DEFINED 01         SOLE
 COX COMMUNICATIONS INC NEW     CL A       224044107      4,853 000000146200 SH       DEFINED 02         SOLE
 COX RADIO INC                  CL A       224051102        204 000000013700 SH       DEFINED 01         SOLE
 CRANE CO                       COM        224399105      1,394 000000048205 SH       DEFINED 01         SOLE
 CRAWFORD & CO                  CL B       224633107        187 000000028037 SH       DEFINED 01         SOLE
 CREDENCE SYS CORP              COM        225302108        148 000000020623 SH       DEFINED 01         SOLE
1Page      7                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0CROMPTON CORP                  COM        227116100        213 000000022541 SH       DEFINED 01         SOLE
 CUMMINS INC                    COM        231021106      2,718 000000036797 SH       DEFINED 01         SOLE
 CURTISS WRIGHT CORP            CL B       231561408     16,873 000000311900 SH       DEFINED 01         SOLE
 CYPRESS SEMICONDUCTOR CORP     COM        232806109        385 000000043600 SH       DEFINED 01         SOLE
 D R HORTON INC                 COM        23331A109        268 000000008100 SH       DEFINED 01         SOLE
 DST SYS INC DEL                DBCV  3.62 233326AD9     14,328 000000125000 PRN      DEFINED 01         SOLE
 DTE ENERGY CO                  COM        233331107      5,408 000000128183 SH       DEFINED 01         SOLE
 DANA CORP                      COM        235811106      2,016 000000113984 SH       DEFINED 01         SOLE
 DANAHER CORP DEL               COM        235851102     11,657 000000227324 SH       DEFINED 01         SOLE
 DARDEN RESTAURANTS INC         COM        237194105      2,921 000000125293 SH       DEFINED 01         SOLE
 DEAN FOODS CO NEW              COM        242370104      1,365 000000045500 SH       DEFINED 01         SOLE
 DEERE & CO                     COM        244199105     12,430 000000192576 SH       DEFINED 01         SOLE
 DELL INC                       COM        24702R101     74,221 000002084878 SH       DEFINED 01         SOLE
 DELL INC                       COM        24702R101      9,192 000000258000 SH       DEFINED 02         SOLE
 DELPHI CORP                    COM        247126105      3,877 000000417332 SH       DEFINED 01         SOLE
 DELTA AIR LINES INC DEL        COM        247361108        412 000000125373 SH       DEFINED 01         SOLE
 DELUXE CORP                    COM        248019101      1,587 000000038704 SH       DEFINED 01         SOLE
 DENTSPLY INTL INC NEW          COM        249030107        348 000000006706 SH       DEFINED 01         SOLE
 DEVON ENERGY CORP NEW          COM        25179M103     12,689 000000178699 SH       DEFINED 01         SOLE
 DEVRY INC DEL                  COM        251893103        227 000000011000 SH       DEFINED 01         SOLE
 DIAMONDS TR                    UNIT SER 1 252787106    151,305 000001500000 SH       DEFINED 01         SOLE
 DIEBOLD INC                    COM        253651103        630 000000013500 SH       DEFINED 01         SOLE
 DIGENE CORP                    COM        253752109        987 000000038033 SH       DEFINED 01         SOLE
 DILLARDS INC                   CL A       254067101      1,302 000000065966 SH       DEFINED 01         SOLE
 DISNEY WALT CO                 COM DISNEY 254687106     34,356 000001523565 SH       DEFINED 01         SOLE
 DOLLAR GEN CORP                COM        256669102      5,194 000000257771 SH       DEFINED 01         SOLE
 DOLLAR TREE STORES INC         COM        256747106      2,008 000000074524 SH       DEFINED 01         SOLE
 DOMINION RES INC VA NEW        COM        25746U109     16,389 000000251186 SH       DEFINED 01         SOLE
 DONNELLEY R R & SONS CO        COM        257867101      5,065 000000161738 SH       DEFINED 01         SOLE
 DOVER CORP                     COM        260003108      6,348 000000163322 SH       DEFINED 01         SOLE
 DOW CHEM CO                    COM        260543103     31,404 000000695093 SH       DEFINED 01         SOLE
 DOW JONES & CO INC             COM        260561105      2,599 000000064023 SH       DEFINED 01         SOLE
 DU PONT E I DE NEMOURS & CO    COM        263534109     31,849 000000744146 SH       DEFINED 01         SOLE
 DUKE ENERGY CORP               NOTE  1.75 264399EJ1     10,650 000000100000 PRN      DEFINED 01         SOLE
 DUKE ENERGY CORP               COM        264399106     15,852 000000692552 SH       DEFINED 01         SOLE
 DUQUESNE LT HLDGS INC          COM        266233105        226 000000012610 SH       DEFINED 01         SOLE
 DYNEGY INC NEW                 CL A       26816Q101      1,479 000000296482 SH       DEFINED 01         SOLE
 E M C CORP MASS                COM        268648102     20,605 000001785539 SH       DEFINED 01         SOLE
 EOG RES INC                    COM        26875P101      5,721 000000086881 SH       DEFINED 01         SOLE
 E TRADE FINANCIAL CORP         COM        269246104      3,187 000000279150 SH       DEFINED 01         SOLE
 EASTMAN CHEM CO                COM        277432100      2,781 000000058493 SH       DEFINED 01         SOLE
 EASTMAN KODAK CO               COM        277461109      6,952 000000215768 SH       DEFINED 01         SOLE
 EATON CORP                     COM        278058102      7,679 000000121101 SH       DEFINED 01         SOLE
 EBAY INC                       COM        278642103     46,601 000000506874 SH       DEFINED 01         SOLE
 ECHOSTAR COMMUNICATIONS NEW    CL A       278762109        385 000000012389 SH       DEFINED 01         SOLE
 ECOLAB INC                     COM        278865100      5,964 000000189709 SH       DEFINED 01         SOLE
1Page      8                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0EDISON INTL                    COM        281020107      6,353 000000239683 SH       DEFINED 01         SOLE
 EDUCATION MGMT CORP            COM        28139T101        623 000000023388 SH       DEFINED 01         SOLE
 EDWARDS AG INC                 COM        281760108        595 000000017200 SH       DEFINED 01         SOLE
 EFUNDS CORP                    COM        28224R101      1,396 000000075132 SH       DEFINED 01         SOLE
 EL PASO CORP                   COM        28336L109      4,367 000000475252 SH       DEFINED 01         SOLE
 ELAN PLC                       ADR        284131208        468 000000020000 SH       DEFINED 01         SOLE
 ELECTRONIC ARTS INC            COM        285512109     14,284 000000310600 SH       DEFINED 01         SOLE
 ELECTRONIC DATA SYS NEW        NOTE  3.87 285661AF1     15,441 000000155000 PRN      DEFINED 01         SOLE
 ELECTRONIC DATA SYS NEW        COM        285661104      7,532 000000388484 SH       DEFINED 01         SOLE
 EMERSON ELEC CO                COM        291011104     19,375 000000313061 SH       DEFINED 01         SOLE
 EMMIS COMMUNICATIONS CORP      CL A       291525103        205 000000011353 SH       DEFINED 01         SOLE
 EMULEX CORP                    COM NEW    292475209        198 000000017218 SH       DEFINED 01         SOLE
 ENDO PHARMACEUTICALS HLDGS I   COM        29264F205        275 000000015000 SH       DEFINED 01         SOLE
 ENERGY EAST CORP               COM        29266M109        214 000000008500 SH       DEFINED 01         SOLE
 ENERGIZER HLDGS INC            COM        29266R108        216 000000004700 SH       DEFINED 01         SOLE
 ENGELHARD CORP                 COM        292845104      3,013 000000106301 SH       DEFINED 01         SOLE
 ENTERCOM COMMUNICATIONS CORP   CL A       293639100        336 000000010300 SH       DEFINED 01         SOLE
 ENTERGY CORP NEW               COM        29364G103     10,145 000000167391 SH       DEFINED 01         SOLE
 EQUIFAX INC                    COM        294429105      2,737 000000103835 SH       DEFINED 01         SOLE
 EQUITABLE RES INC              COM        294549100        233 000000004300 SH       DEFINED 01         SOLE
 EQUITY OFFICE PROPERTIES TRU   COM        294741103      8,118 000000297929 SH       DEFINED 01         SOLE
 EQUITY RESIDENTIAL             SH BEN INT 29476L107      6,679 000000215452 SH       DEFINED 01         SOLE
 ERICSSON L M TEL CO            ADR B SEK  294821608        390 000000012500 SH       DEFINED 01         SOLE
 ESPEED INC                     CL A       296643109      4,424 000000450069 SH       DEFINED 01         SOLE
 EVERGREEN RES INC              COM NO PAR 299900308     22,207 000000554500 SH       DEFINED 01         SOLE
 EXELON CORP                    COM        30161N101     17,894 000000487733 SH       DEFINED 01         SOLE
 EXPEDITORS INTL WASH INC       COM        302130109        368 000000007129 SH       DEFINED 01         SOLE
 EXPRESS SCRIPTS INC            COM        302182100      4,389 000000067172 SH       DEFINED 01         SOLE
 EXXON MOBIL CORP               COM        30231G102    228,830 000004734747 SH       DEFINED 01         SOLE
 F M C CORP                     COM NEW    302491303        237 000000004882 SH       DEFINED 01         SOLE
 FPL GROUP INC                  COM        302571104      9,343 000000136756 SH       DEFINED 01         SOLE
 FAIR ISAAC CORP                COM        303250104        296 000000010150 SH       DEFINED 01         SOLE
 FAIRCHILD SEMICONDUCTOR INTL   COM        303726103        145 000000010300 SH       DEFINED 01         SOLE
 FAMILY DLR STORES INC          COM        307000109      3,406 000000125690 SH       DEFINED 01         SOLE
 FASTENAL CO                    COM        311900104      1,074 000000018657 SH       DEFINED 01         SOLE
 FEDERAL HOME LN MTG CORP       COM        313400301     34,981 000000536198 SH       DEFINED 01         SOLE
 FEDERAL NATL MTG ASSN          COM        313586109     46,092 000000727009 SH       DEFINED 01         SOLE
 FEDERAL SIGNAL CORP            COM        313855108        190 000000010235 SH       DEFINED 01         SOLE
 FEDERATED DEPT STORES INC DE   COM        31410H101      6,063 000000133461 SH       DEFINED 01         SOLE
 FEDERATED INVS INC PA          CL B       314211103      2,408 000000084685 SH       DEFINED 01         SOLE
 FEDEX CORP                     COM        31428X106     18,943 000000221068 SH       DEFINED 01         SOLE
 FIDELITY NATL FINL INC         COM        316326107        598 000000015720 SH       DEFINED 01         SOLE
 FIFTH THIRD BANCORP            COM        316773100     26,528 000000538969 SH       DEFINED 01         SOLE
 FIRST AMERN CORP CALIF         COM        318522307        283 000000009200 SH       DEFINED 01         SOLE
 FIRST DATA CORP                COM        319963104     30,897 000000710290 SH       DEFINED 01         SOLE
 FIRST HORIZON NATL CORP        COM        320517105      4,007 000000092414 SH       DEFINED 01         SOLE
1Page      9                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0FIRST HEALTH GROUP CORP        COM        320960107        476 000000029624 SH       DEFINED 01         SOLE
 FIRST NATL BANKSHRS FL INC N   COM        321100109      1,556 000000063420 SH       DEFINED 01         SOLE
 FISERV INC                     COM        337738108      5,792 000000166165 SH       DEFINED 01         SOLE
 FIRSTENERGY CORP               COM        337932107      9,976 000000242866 SH       DEFINED 01         SOLE
 FISHER SCIENTIFIC INTL INC     COM NEW    338032204      5,163 000000088527 SH       DEFINED 01         SOLE
 FLUOR CORP NEW                 NOTE  1.50 343412AA0      5,218 000000050000 PRN      DEFINED 01         SOLE
 FLUOR CORP NEW                 COM        343412102      2,810 000000063139 SH       DEFINED 01         SOLE
 FOOT LOCKER INC                COM        344849104        289 000000012200 SH       DEFINED 01         SOLE
 FORD MTR CO DEL                COM PAR $0 345370860     19,051 000001355974 SH       DEFINED 01         SOLE
 FOREST LABS INC                COM        345838106     13,210 000000293820 SH       DEFINED 01         SOLE
 FOREST OIL CORP                COM PAR $0 346091705        208 000000006909 SH       DEFINED 01         SOLE
 FORTUNE BRANDS INC             COM        349631101      8,157 000000110099 SH       DEFINED 01         SOLE
 FOUR SEASONS HOTEL INC         NOTE  1.87 35100EAE4      4,972 000004500000 SH       DEFINED 01         SOLE
 FRANKLIN RES INC               COM        354613101     10,264 000000184079 SH       DEFINED 01         SOLE
 FREEPORT-MCMORAN COPPER & GO   CL B       35671D857      5,300 000000130886 SH       DEFINED 01         SOLE
 FRONTIER OIL CORP              COM        35914P105      1,678 000000071073 SH       DEFINED 01         SOLE
 GANNETT INC                    COM        364730101     16,771 000000200238 SH       DEFINED 01         SOLE
 GAP INC DEL                    COM        364760108     12,789 000000685767 SH       DEFINED 01         SOLE
 GARTNER INC                    COM        366651107        144 000000012400 SH       DEFINED 01         SOLE
 GATEWAY INC                    COM        367626108      1,448 000000292579 SH       DEFINED 01         SOLE
 GENERAL DYNAMICS CORP          COM        369550108     15,058 000000147491 SH       DEFINED 01         SOLE
 GENERAL ELEC CO                COM        369604103    257,478 000007667621 SH       DEFINED 01         SOLE
 GENERAL MLS INC                COM        370334104     12,613 000000280930 SH       DEFINED 01         SOLE
 GENERAL MTRS CORP              COM        370442105     17,830 000000419731 SH       DEFINED 01         SOLE
 GENERAL MTRS CORP              COM        370442105        849 000000020000 SH       DEFINED 01         SOLE
 GENERAL MTRS CORP              DEB SR CON 370442733     34,669 000000014500 PRN      DEFINED 01         SOLE
 GENTEX CORP                    COM        371901109        549 000000015629 SH       DEFINED 01         SOLE
 GENUINE PARTS CO               COM        372460105      5,271 000000137362 SH       DEFINED 01         SOLE
 GENZYME CORP                   NOTE  1.25 372917AN4      7,856 000000075000 PRN      DEFINED 01         SOLE
 GENZYME CORP                   COM GENL D 372917104     10,559 000000194078 SH       DEFINED 01         SOLE
 GEORGIA PAC CORP               COM        373298108      7,048 000000196055 SH       DEFINED 01         SOLE
 GILEAD SCIENCES INC            COM        375558103     12,541 000000335510 SH       DEFINED 01         SOLE
 GILLETTE CO                    COM        375766102     31,119 000000745548 SH       DEFINED 01         SOLE
 GLATFELTER                     COM        377316104        216 000000017479 SH       DEFINED 01         SOLE
 GOLD FIELDS LTD NEW            SPONSORED  38059T106      3,003 000000220000 SH       DEFINED 01         SOLE
 GOLDEN STAR RES LTD CDA        COM        38119T104      1,317 000000250000 SH       DEFINED 01         SOLE
 GOLDEN WEST FINL CORP DEL      COM        381317106     13,061 000000117720 SH       DEFINED 01         SOLE
 GOLDMAN SACHS GROUP INC        COM        38141G104     33,611 000000360481 SH       DEFINED 01         SOLE
 GOODRICH CORP                  COM        382388106      3,099 000000098835 SH       DEFINED 01         SOLE
 GOODYEAR TIRE & RUBR CO        COM        382550101      1,470 000000136881 SH       DEFINED 01         SOLE
 GOOGLE INC                     CL A       38259P508        460 000000003500 SH       DEFINED 02         SOLE
 GRAINGER W W INC               COM        384802104      3,898 000000067620 SH       DEFINED 01         SOLE
 GRAY TELEVISION INC            CL A       389375205      1,275 000000114500 SH       DEFINED 01         SOLE
 GREAT LAKES CHEM CORP          COM        390568103      1,132 000000044234 SH       DEFINED 01         SOLE
 GREAT PLAINS ENERGY INC        COM        391164100        256 000000008800 SH       DEFINED 01         SOLE
 GREENPOINT FINL CORP           COM        395384100     51,695 000001117500 SH       DEFINED 01         SOLE
1Page     10                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0GRUPO TMM S A                  SP ADR A S 40051D105        414 000000175000 SH       DEFINED 01         SOLE
 GTECH HLDGS CORP               COM        400518106        582 000000023000 SH       DEFINED 01         SOLE
 GUIDANT CORP                   COM        401698105     15,770 000000238807 SH       DEFINED 01         SOLE
 HCA INC                        COM        404119109     13,635 000000357429 SH       DEFINED 01         SOLE
 HNI CORP                       COM        404251100        304 000000007700 SH       DEFINED 01         SOLE
 HALLIBURTON CO                 NOTE  3.12 406216AM3      2,846 000000025000 PRN      DEFINED 01         SOLE
 HALLIBURTON CO                 COM        406216101     10,961 000000325368 SH       DEFINED 01         SOLE
 HANOVER COMPRESSOR CO          COM        410768105        142 000000010609 SH       DEFINED 01         SOLE
 HARLEY DAVIDSON INC            COM        412822108     13,951 000000234723 SH       DEFINED 01         SOLE
 HARRAHS ENTMT INC              COM        413619107      4,669 000000088136 SH       DEFINED 01         SOLE
 HARTFORD FINL SVCS GROUP INC   COM        416515104     13,429 000000216857 SH       DEFINED 01         SOLE
 HASBRO INC                     COM        418056107      2,508 000000133418 SH       DEFINED 01         SOLE
 HEALTH MGMT ASSOC INC NEW      NOTE  1.50 421933AF9      5,150 000000050000 PRN      DEFINED 01         SOLE
 HEALTH MGMT ASSOC INC NEW      CL A       421933102      3,912 000000191531 SH       DEFINED 01         SOLE
 HEALTH NET INC                 COM        42222G108      2,612 000000105700 SH       DEFINED 01         SOLE
 HEICO CORP NEW                 CL A       422806208      2,526 000000187450 SH       DEFINED 01         SOLE
 HEINZ H J CO                   COM        423074103     10,022 000000278244 SH       DEFINED 01         SOLE
 HERCULES INC                   COM        427056106      1,321 000000092739 SH       DEFINED 01         SOLE
 HERSHEY FOODS CORP             COM        427866108      8,464 000000181209 SH       DEFINED 01         SOLE
 HEWLETT PACKARD CO             COM        428236103     42,010 000002240557 SH       DEFINED 01         SOLE
 HIBERNIA CORP                  CL A       428656102        356 000000013500 SH       DEFINED 01         SOLE
 HILLENBRAND INDS INC           COM        431573104        899 000000017800 SH       DEFINED 01         SOLE
 HILTON HOTELS CORP             COM        432848109      5,579 000000296134 SH       DEFINED 01         SOLE
 HOLLYWOOD ENTMT CORP           COM        436141105        146 000000014833 SH       DEFINED 01         SOLE
 HOME DEPOT INC                 COM        437076102     63,307 000001614982 SH       DEFINED 01         SOLE
 HONEYWELL INTL INC             COM        438516106     23,092 000000643962 SH       DEFINED 01         SOLE
 HORACE MANN EDUCATORS CORP N   COM        440327104        177 000000010117 SH       DEFINED 01         SOLE
 HOSPIRA INC                    COM        441060100      3,555 000000116192 SH       DEFINED 01         SOLE
 HUBBELL INC                    CL A       443510102     14,258 000000338600 SH       DEFINED 01         SOLE
 HUMANA INC                     COM        444859102      2,427 000000121474 SH       DEFINED 01         SOLE
 HUNT J B TRANS SVCS INC        COM        445658107        459 000000012363 SH       DEFINED 01         SOLE
 HUNTINGTON BANCSHARES INC      COM        446150104      4,449 000000178603 SH       DEFINED 01         SOLE
 IDT CORP                       CL B       448947309        150 000000010000 SH       DEFINED 01         SOLE
 HYPERION SOLUTIONS CORP        COM        44914M104        209 000000006157 SH       DEFINED 01         SOLE
 IAC INTERACTIVECORP            COM        44919P102      3,503 000000159100 SH       DEFINED 01         SOLE
 ICOS CORP                      COM        449295104        366 000000015200 SH       DEFINED 01         SOLE
 IMS HEALTH INC                 COM        449934108      4,241 000000177331 SH       DEFINED 01         SOLE
 ITT INDS INC IND               COM        450911102      5,824 000000072813 SH       DEFINED 01         SOLE
 IDENIX PHARMACEUTICALS INC     COM        45166R204      2,734 000000930974 SH       DEFINED 02         SOLE
 ILLINOIS TOOL WKS INC          COM        452308109     20,921 000000224549 SH       DEFINED 01         SOLE
 IMCLONE SYS INC                COM        45245W109      1,987 000000037601 SH       DEFINED 01         SOLE
 IMPAX LABORATORIES INC         COM        45256B101        389 000000025334 SH       DEFINED 01         SOLE
 INAMED CORP                    COM        453235103        562 000000011790 SH       DEFINED 01         SOLE
 INDEPENDENCE CMNTY BK CORP     COM        453414104        224 000000005745 SH       DEFINED 01         SOLE
 INDYMAC BANCORP INC            COM        456607100        376 000000010400 SH       DEFINED 01         SOLE
 INET TECHNOLOGIES INC          COM        45662V105      2,517 000000200083 SH       DEFINED 01         SOLE
1Page     11                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0INFORMATION HLDGS INC          COM        456727106        681 000000025034 SH       DEFINED 01         SOLE
 INSTINET GROUP INC             COM        457750107      4,753 000000945000 SH       DEFINED 01         SOLE
 INTEGRATED CIRCUIT SYS INC     COM        45811K208        322 000000015017 SH       DEFINED 01         SOLE
 INTEGRATED DEVICE TECHNOLOGY   COM        458118106        354 000000037226 SH       DEFINED 01         SOLE
 INTEL CORP                     COM        458140100     98,130 000004891839 SH       DEFINED 01         SOLE
 INTEL CORP                     COM        458140100     20,643 000001026000 SH       DEFINED 02         SOLE
 INTERCEPT INC                  COM        45845L107      3,359 000000179363 SH       DEFINED 01         SOLE
 INTERMUNE INC                  COM        45884X103        237 000000020176 SH       DEFINED 01         SOLE
 INTERNATIONAL BUSINESS MACHS   COM        459200101    105,023 000001224903 SH       DEFINED 01         SOLE
 INTERNATIONAL BUSINESS MACHS   COM        459200101      2,350 000000027420 SH       DEFINED 01         SOLE
 INTERNATIONAL FLAVORS&FRAGRA   COM        459506101      2,719 000000071197 SH       DEFINED 01         SOLE
 INTERNATIONAL GAME TECHNOLOG   COM        459902102      9,165 000000254955 SH       DEFINED 01         SOLE
 INTL PAPER CO                  DBCV       460146BM4      5,500 000010000000 SH       DEFINED 01         SOLE
 INTL PAPER CO                  COM        460146103     15,910 000000393736 SH       DEFINED 01         SOLE
 INTERNATIONAL RECTIFIER CORP   COM        460254105        260 000000007600 SH       DEFINED 01         SOLE
 INTERNATIONAL SPEEDWAY CORP    CL A       460335201        443 000000008897 SH       DEFINED 01         SOLE
 INTERNET HOLDRS TR             DEPOSIT RC 46059W102     28,875 000000484000 SH       DEFINED 01         SOLE
 INTERSIL CORP                  CL A       46069S109        953 000000059825 SH       DEFINED 01         SOLE
 INTERPUBLIC GROUP COS INC      COM        460690100      3,332 000000314725 SH       DEFINED 01         SOLE
 INTUIT                         COM        461202103      7,749 000000170702 SH       DEFINED 01         SOLE
 INVERESK RESH GROUP INC        COM        461238107     12,385 000000335731 SH       DEFINED 01         SOLE
 INVITROGEN CORP                COM        46185R100        347 000000006316 SH       DEFINED 01         SOLE
 INVISION TECHNOLOGIES INC      COM        461851107      2,927 000000065062 SH       DEFINED 01         SOLE
 INVESTORS FINL SERVICES CORP   COM        461915100        299 000000006640 SH       DEFINED 01         SOLE
 ISHARES TR                     RUSSELL 20 464287655     18,899 000000166000 SH       DEFINED 01         SOLE
 IVAX CORP                      NOTE  1.50 465823AJ1      1,584 000000015000 PRN      DEFINED 01         SOLE
 IVAX CORP                      COM        465823102      1,221 000000063800 SH       DEFINED 01         SOLE
 JDS UNIPHASE CORP              COM        46612J101      3,928 000001165592 SH       DEFINED 01         SOLE
 JPMORGAN & CHASE & CO          COM        46625H100    103,389 000002602291 SH       DEFINED 01         SOLE
 JABIL CIRCUIT INC              COM        466313103      3,519 000000153029 SH       DEFINED 01         SOLE
 JACOBS ENGR GROUP INC DEL      COM        469814107        302 000000007900 SH       DEFINED 01         SOLE
 JANUS CAP GROUP INC            COM        47102X105      2,463 000000180970 SH       DEFINED 01         SOLE
 JEFFERIES GROUP INC NEW        COM        472319102        261 000000007600 SH       DEFINED 01         SOLE
 JEFFERSON PILOT CORP           COM        475070108      5,242 000000105571 SH       DEFINED 01         SOLE
 JETBLUE AWYS CORP              COM        477143101      3,070 000000146754 SH       DEFINED 01         SOLE
 JOHNSON & JOHNSON              COM        478160104    122,385 000002172646 SH       DEFINED 01         SOLE
 JOHNSON CTLS INC               COM        478366107      7,995 000000140749 SH       DEFINED 01         SOLE
 JONES APPAREL GROUP INC        COM        480074103      4,135 000000115526 SH       DEFINED 01         SOLE
 JUNIPER NETWORKS INC           COM        48203R104        838 000000035550 SH       DEFINED 01         SOLE
 KLA-TENCOR CORP                COM        482480100      7,607 000000183409 SH       DEFINED 01         SOLE
 K V PHARMACEUTICAL CO          CL A       482740206        203 000000011373 SH       DEFINED 01         SOLE
 KB HOME                        COM        48666K109      3,054 000000036153 SH       DEFINED 01         SOLE
 KELLOGG CO                     COM        487836108     13,364 000000313272 SH       DEFINED 01         SOLE
 KELLWOOD CO                    COM        488044108        462 000000012675 SH       DEFINED 01         SOLE
 KEMET CORP                     COM        488360108        143 000000017704 SH       DEFINED 01         SOLE
 KERR MCGEE CORP                COM        492386107      6,359 000000111085 SH       DEFINED 01         SOLE
1Page     12                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0KEYCORP NEW                    COM        493267108      9,535 000000301758 SH       DEFINED 01         SOLE
 KEYSPAN CORP                   COM        49337W100      4,881 000000124538 SH       DEFINED 01         SOLE
 KIMBERLY CLARK CORP            COM        494368103     24,042 000000372225 SH       DEFINED 01         SOLE
 KINDER MORGAN INC KANS         COM        49455P101      5,724 000000091120 SH       DEFINED 01         SOLE
 KING PHARMACEUTICALS INC       COM        495582108      2,186 000000183120 SH       DEFINED 01         SOLE
 KMART HLDG CORPORATION         COM        498780105        201 000000002300 SH       DEFINED 01         SOLE
 KNIGHT RIDDER INC              COM        499040103      3,764 000000057514 SH       DEFINED 01         SOLE
 KOHLS CORP                     COM        500255104     12,523 000000259877 SH       DEFINED 01         SOLE
 KONINKLIJKE PHILIPS ELECTRS    NY REG SH  500472303        309 000000013500 SH       DEFINED 01         SOLE
 KOSAN BIOSCIENCES INC          COM        50064W107        235 000000040841 SH       DEFINED 01         SOLE
 KRISPY KREME DOUGHNUTS INC     COM        501014104      3,011 000000237852 SH       DEFINED 01         SOLE
 KROGER CO                      COM        501044101      8,907 000000573946 SH       DEFINED 01         SOLE
 LSI LOGIC CORP                 COM        502161102      1,305 000000302897 SH       DEFINED 01         SOLE
 LTX CORP                       COM        502392103        147 000000027332 SH       DEFINED 01         SOLE
 LA JOLLA PHARMACEUTICAL CO     COM        503459109        279 000000091500 SH       DEFINED 01         SOLE
 LA Z BOY INC                   COM        505336107        170 000000011257 SH       DEFINED 01         SOLE
 LABORATORY CORP AMER HLDGS     NOTE       50540RAC6     18,437 000025000000 SH       DEFINED 01         SOLE
 LABRANCHE & CO INC             COM        505447102        144 000000017049 SH       DEFINED 01         SOLE
 LAM RESEARCH CORP              COM        512807108      1,645 000000075183 SH       DEFINED 01         SOLE
 LAMAR ADVERTISING CO           CL A       512815101        484 000000011653 SH       DEFINED 01         SOLE
 LANDAMERICA FINL GROUP INC     COM        514936103      1,067 000000023463 SH       DEFINED 01         SOLE
 LATTICE SEMICONDUCTOR CORP     COM        518415104        142 000000029000 SH       DEFINED 01         SOLE
 LAUDER ESTEE COS INC           CL A       518439104      1,057 000000025300 SH       DEFINED 01         SOLE
 LEAPFROG ENTERPRISES INC       CL A       52186N106      2,445 000000120764 SH       DEFINED 01         SOLE
 LEGGETT & PLATT INC            COM        524660107      4,034 000000143576 SH       DEFINED 01         SOLE
 LEGG MASON INC                 COM        524901105        807 000000015150 SH       DEFINED 01         SOLE
 LEHMAN BROS HLDGS INC          COM        524908100     16,122 000000202244 SH       DEFINED 01         SOLE
 LENNAR CORP                    CL B       526057302     11,646 000000265900 SH       DEFINED 01         SOLE
 LEUCADIA NATL CORP             COM        527288104      1,155 000000020400 SH       DEFINED 01         SOLE
 LEVEL 3 COMMUNICATIONS INC     COM        52729N100        313 000000120929 SH       DEFINED 01         SOLE
 LEXMARK INTL NEW               CL A       529771107      9,009 000000107249 SH       DEFINED 01         SOLE
 LIBERTY MEDIA CORP NEW         COM SER A  530718105      6,540 000000750000 SH       DEFINED 01         SOLE
 LIBERTY MEDIA INTL INC         COM SER A  530719103        333 000000010000 SH       DEFINED 01         SOLE
 LIFEPOINT HOSPITALS INC        COM        53219L109        350 000000011684 SH       DEFINED 01         SOLE
 LILLY ELI & CO                 COM        532457108     51,197 000000852583 SH       DEFINED 01         SOLE
 LIMITED BRANDS INC             COM        532716107      7,752 000000347803 SH       DEFINED 01         SOLE
 LINCARE HLDGS INC              COM        532791100      1,212 000000040803 SH       DEFINED 01         SOLE
 LINCOLN NATL CORP IND          COM        534187109      6,101 000000129809 SH       DEFINED 01         SOLE
 LINEAR TECHNOLOGY CORP         COM        535678106      9,789 000000270117 SH       DEFINED 01         SOLE
 LINENS N THINGS INC            COM        535679104        625 000000027012 SH       DEFINED 01         SOLE
 LIONS GATE ENTMNT CORP         COM NEW    535919203        261 000000030000 SH       DEFINED 01         SOLE
 LIZ CLAIBORNE INC              COM        539320101      3,352 000000088886 SH       DEFINED 01         SOLE
 LOCKHEED MARTIN CORP           COM        539830109     18,732 000000335832 SH       DEFINED 01         SOLE
 LOEWS CORP                     COM        540424108      7,992 000000136616 SH       DEFINED 01         SOLE
 LOUISIANA PAC CORP             COM        546347105      2,300 000000088645 SH       DEFINED 01         SOLE
 LOWES COS INC                  COM        548661107     31,320 000000576269 SH       DEFINED 01         SOLE
1Page     13                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0LUBRIZOL CORP                  COM        549271104        283 000000008200 SH       DEFINED 01         SOLE
 LUCENT TECHNOLOGIES INC        COM        549463107     10,548 000003327694 SH       DEFINED 01         SOLE
 M & T BK CORP                  COM        55261F104      8,836 000000092334 SH       DEFINED 01         SOLE
 MBIA INC                       COM        55262C100      6,673 000000114648 SH       DEFINED 01         SOLE
 MBNA CORP                      COM        55262L100     23,803 000000944572 SH       DEFINED 01         SOLE
 MDU RES GROUP INC              COM        552690109        223 000000008500 SH       DEFINED 01         SOLE
 MCI INC                        COM        552691107      1,792 000000107021 SH       DEFINED 01         SOLE
 MGIC INVT CORP WIS             COM        552848103      5,500 000000082652 SH       DEFINED 01         SOLE
 MPS GROUP INC                  COM        553409103        142 000000017002 SH       DEFINED 01         SOLE
 MAGELLAN HEALTH SVCS INC       COM NEW    559079207      3,660 000000100124 SH       DEFINED 01         SOLE
 MANDALAY RESORT GROUP          COM        562567107     13,867 000000202000 SH       DEFINED 01         SOLE
 MANDALAY RESORT GROUP          COM        562567107      2,003 000000029200 SH       DEFINED 02         SOLE
 MANOR CARE INC NEW             COM        564055101      2,454 000000081914 SH       DEFINED 01         SOLE
 MANPOWER INC                   COM        56418H100        204 000000004600 SH       DEFINED 01         SOLE
 MARATHON OIL CORP              COM        565849106     10,680 000000258736 SH       DEFINED 01         SOLE
 MARSH & MCLENNAN COS INC       COM        571748102     17,633 000000385340 SH       DEFINED 01         SOLE
 MARSHALL & ILSLEY CORP         COM        571834100      7,178 000000178136 SH       DEFINED 01         SOLE
 MARRIOTT INTL INC NEW          CL A       571903202      8,776 000000168903 SH       DEFINED 01         SOLE
 MARTEK BIOSCIENCES CORP        COM        572901106        223 000000004593 SH       DEFINED 01         SOLE
 MARTIN MARIETTA MATLS INC      COM        573284106        546 000000012061 SH       DEFINED 01         SOLE
 MASCO CORP                     COM        574599106     11,009 000000318835 SH       DEFINED 01         SOLE
 MATTEL INC                     COM        577081102      5,589 000000308303 SH       DEFINED 01         SOLE
 MAXIM INTEGRATED PRODS INC     COM        57772K101     14,167 000000335010 SH       DEFINED 01         SOLE
 MAY DEPT STORES CO             COM        577778103      5,596 000000218354 SH       DEFINED 01         SOLE
 MAYTAG CORP                    COM        578592107      1,486 000000080909 SH       DEFINED 01         SOLE
 MCCORMICK & CO INC             COM NON VT 579780206      3,541 000000103129 SH       DEFINED 01         SOLE
 MCDATA CORP                    CL B       580031102      3,842 000000817500 SH       DEFINED 01         SOLE
 MCDATA CORP                    CL A       580031201        197 000000039290 SH       DEFINED 01         SOLE
 MCDONALDS CORP                 COM        580135101     26,210 000000935099 SH       DEFINED 01         SOLE
 MCGRAW HILL COS INC            COM        580645109     11,161 000000140063 SH       DEFINED 01         SOLE
 MCKESSON CORP                  COM        58155Q103      5,737 000000223689 SH       DEFINED 01         SOLE
 MEADWESTVACO CORP              COM        583334107      4,762 000000149304 SH       DEFINED 01         SOLE
 MEDCO HEALTH SOLUTIONS INC     COM        58405U102      6,222 000000201387 SH       DEFINED 01         SOLE
 MEDICIS PHARMACEUTICAL CORP    CL A NEW   584690309        710 000000018200 SH       DEFINED 01         SOLE
 MEDIMMUNE INC                  COM        584699102      7,172 000000302638 SH       DEFINED 01         SOLE
 MEDTRONIC INC                  DBCV  1.25 585055AB2     15,375 000000150000 PRN      DEFINED 01         SOLE
 MEDTRONIC INC                  COM        585055106     46,646 000000898783 SH       DEFINED 01         SOLE
 MELLON FINL CORP               COM        58551A108      8,929 000000322491 SH       DEFINED 01         SOLE
 MENTOR GRAPHICS CORP           COM        587200106        140 000000012775 SH       DEFINED 01         SOLE
 MERCK & CO INC                 COM        589331107     54,051 000001637917 SH       DEFINED 01         SOLE
 MERCURY INTERACTIVE CORP       NOTE       589405AD1      7,153 000007500000 SH       DEFINED 01         SOLE
 MERCURY INTERACTIVE CORP       COM        589405109      5,674 000000162676 SH       DEFINED 01         SOLE
 MEREDITH CORP                  COM        589433101      2,280 000000044380 SH       DEFINED 01         SOLE
 MERRILL LYNCH & CO INC         FRNT       590188A73      3,977 000000040000 PRN      DEFINED 01         SOLE
 MERRILL LYNCH & CO INC         COM        590188108     37,504 000000754319 SH       DEFINED 01         SOLE
 MERRILL LYNCH & CO INC         COM        590188108     20,778 000000419000 SH       DEFINED 02         SOLE
1Page     14                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0METALS USA INC                 COM NEW    591324207      1,001 000000056451 SH       DEFINED 01         SOLE
 METLIFE INC                    COM        59156R108     21,373 000000553005 SH       DEFINED 01         SOLE
 METRO GOLDWYN MAYER INC        COM        591610100        578 000000050000 SH       DEFINED 01         SOLE
 MICREL INC                     COM        594793101        140 000000013496 SH       DEFINED 01         SOLE
 MICROSOFT CORP                 COM        594918104    226,260 000008183029 SH       DEFINED 01         SOLE
 MICROSOFT CORP                 COM        594918104        495 000000017930 SH       DEFINED 01         SOLE
 MICROCHIP TECHNOLOGY INC       COM        595017104        561 000000020938 SH       DEFINED 01         SOLE
 MICRON TECHNOLOGY INC          COM        595112103      5,444 000000452571 SH       DEFINED 01         SOLE
 MILLENNIUM PHARMACEUTICALS I   COM        599902103        489 000000035774 SH       DEFINED 01         SOLE
 MILLER HERMAN INC              COM        600544100        265 000000010771 SH       DEFINED 01         SOLE
 MILLIPORE CORP                 COM        601073109      2,215 000000046302 SH       DEFINED 01         SOLE
 MINE SAFETY APPLIANCES CO      COM        602720104        222 000000005459 SH       DEFINED 01         SOLE
 MISSION RESOURCES CORP         COM        605109107        478 000000076000 SH       DEFINED 01         SOLE
 MOLEX INC                      COM        608554101      8,114 000000272120 SH       DEFINED 01         SOLE
 MOLEX INC                      CL A       608554200     54,373 000002065879 SH       DEFINED 01         SOLE
 MONACO COACH CORP              COM        60886R103        270 000000012475 SH       DEFINED 01         SOLE
 MONSANTO CO NEW                COM        61166W101      7,218 000000198195 SH       DEFINED 01         SOLE
 MONSTER WORLDWIDE INC          COM        611742107      2,217 000000089989 SH       DEFINED 01         SOLE
 MOODYS CORP                    COM        615369105      7,981 000000108964 SH       DEFINED 01         SOLE
 MORGAN STANLEY                 COM NEW    617446448     40,974 000000831124 SH       DEFINED 01         SOLE
 MOTOROLA INC                   COM        620076109     31,418 000001741618 SH       DEFINED 01         SOLE
 MOTOROLA INC                   COM        620076109      2,740 000000153000 SH       DEFINED 02         SOLE
 MUELLER INDS INC               COM        624756102        222 000000005183 SH       DEFINED 01         SOLE
 MYLAN LABS INC                 COM        628530107      3,601 000000200083 SH       DEFINED 01         SOLE
 NCR CORP NEW                   COM        62886E108      3,535 000000071299 SH       DEFINED 01         SOLE
 NTL INC DEL                    COM        62940M104      1,775 000000028600 SH       DEFINED 01         SOLE
 NASDAQ 100 TR                  UNIT SER 1 631100104    610,800 000017381907 SH       DEFINED 01         SOLE
 NATIONAL CITY CORP             COM        635405103     19,038 000000492960 SH       DEFINED 01         SOLE
 NATIONAL COMMERCE FINL CORP    COM        63545P104     18,815 000000550000 SH       DEFINED 01         SOLE
 NATIONAL FUEL GAS CO N J       COM        636180101        263 000000009300 SH       DEFINED 01         SOLE
 NATIONAL INSTRS CORP           COM        636518102        231 000000007640 SH       DEFINED 01         SOLE
 NATIONAL-OILWELL INC           COM        637071101        423 000000012900 SH       DEFINED 01         SOLE
 NATIONAL PROCESSING INC        COM        637229105      1,591 000000060025 SH       DEFINED 01         SOLE
 NATIONAL SEMICONDUCTOR CORP    COM        637640103      4,285 000000276647 SH       DEFINED 01         SOLE
 NATIONWIDE FINL SVCS INC       CL A       638612101        368 000000010500 SH       DEFINED 01         SOLE
 NAVISTAR INTL CORP NEW         COM        63934E108      1,987 000000053429 SH       DEFINED 01         SOLE
 NEIMAN MARCUS GROUP INC        CL A       640204202        303 000000005270 SH       DEFINED 01         SOLE
 NEIMAN MARCUS GROUP INC        CL B       640204301     11,991 000000225200 SH       DEFINED 01         SOLE
 NEKTAR THERAPEUTICS            COM        640268108        832 000000057500 SH       DEFINED 01         SOLE
 NETWORK APPLIANCE INC          COM        64120L104      6,513 000000282584 SH       DEFINED 01         SOLE
 NEUROCRINE BIOSCIENCES INC     COM        64125C109        213 000000004532 SH       DEFINED 01         SOLE
 NEW YORK CMNTY BANCORP INC     COM        649445103        829 000000040368 SH       DEFINED 01         SOLE
 NEW YORK TIMES CO              CL A       650111107      4,531 000000115900 SH       DEFINED 01         SOLE
 NEWELL RUBBERMAID INC          COM        651229106      4,999 000000249456 SH       DEFINED 01         SOLE
 NEWFIELD EXPL CO               COM        651290108        330 000000005400 SH       DEFINED 01         SOLE
 NEWMONT MINING CORP            COM        651639106     15,364 000000337453 SH       DEFINED 01         SOLE
1Page     15                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0NEWPORT CORP                   COM        651824104        172 000000015031 SH       DEFINED 01         SOLE
 NEWS CORP LTD                  ADR NEW    652487703     32,285 000000982225 SH       DEFINED 01         SOLE
 NEWS CORP LTD                  SP ADR PFD 652487802     38,022 000001213626 SH       DEFINED 01         SOLE
 NEXTEL COMMUNICATIONS INC      CL A       65332V103     26,908 000001128712 SH       DEFINED 01         SOLE
 NEXTEL COMMUNICATIONS INC      CL A       65332V103      2,008 000000085000 SH       DEFINED 02         SOLE
 NICOR INC                      COM        654086107      1,275 000000034762 SH       DEFINED 01         SOLE
 NIKE INC                       CL B       654106103     18,856 000000239302 SH       DEFINED 01         SOLE
 NISOURCE INC                   COM        65473P105      4,345 000000206818 SH       DEFINED 01         SOLE
 NORDSTROM INC                  COM        655664100      4,367 000000114206 SH       DEFINED 01         SOLE
 NORFOLK SOUTHERN CORP          COM        655844108      9,073 000000305096 SH       DEFINED 01         SOLE
 NORTEL NETWORKS CORP NEW       COM        656568102      1,613 000000474500 SH       DEFINED 01         SOLE
 NORTH FORK BANCORPORATION NY   COM        659424105      5,683 000000127863 SH       DEFINED 01         SOLE
 NORTHEAST UTILS                COM        664397106        345 000000017800 SH       DEFINED 01         SOLE
 NORTHERN TR CORP               COM        665859104      6,914 000000169472 SH       DEFINED 01         SOLE
 NORTHROP GRUMMAN CORP          COM        666807102     14,199 000000266262 SH       DEFINED 01         SOLE
 NORTHWEST AIRLS CORP           CL A       667280101         92 000000011292 SH       DEFINED 01         SOLE
 NOVARTIS A G                   SPONSORED  66987V109      1,493 000000032000 SH       DEFINED 01         SOLE
 NOVELL INC                     COM        670006105      1,863 000000295339 SH       DEFINED 01         SOLE
 NOVELLUS SYS INC               COM        670008101      3,289 000000123494 SH       DEFINED 01         SOLE
 NSTAR                          COM        67019E107        240 000000004900 SH       DEFINED 01         SOLE
 NUCOR CORP                     COM        670346105      5,596 000000061247 SH       DEFINED 01         SOLE
 NVIDIA CORP                    COM        67066G104      2,221 000000152971 SH       DEFINED 01         SOLE
 OCCIDENTAL PETE CORP DEL       COM        674599105     16,100 000000287871 SH       DEFINED 01         SOLE
 OCULAR SCIENCES INC            COM        675744106      6,389 000000133195 SH       DEFINED 01         SOLE
 OFFICE DEPOT INC               COM        676220106      4,105 000000273179 SH       DEFINED 01         SOLE
 OIL SVC HOLDRS TR              DEPOSTRY R 678002106     65,360 000000800000 SH       DEFINED 01         SOLE
 OMNICARE INC                   COM        681904108        360 000000012700 SH       DEFINED 01         SOLE
 OMNICOM GROUP INC              NOTE       681919AP1      7,284 000007500000 SH       DEFINED 01         SOLE
 OMNICOM GROUP INC              COM        681919106     10,157 000000139026 SH       DEFINED 01         SOLE
 ON SEMICONDUCTOR CORP          COM        682189105         78 000000025000 SH       DEFINED 01         SOLE
 ONEOK INC NEW                  COM        682680103        221 000000008500 SH       DEFINED 01         SOLE
 ORACLE CORP                    COM        68389X105     44,693 000003962206 SH       DEFINED 01         SOLE
 O REILLY AUTOMOTIVE INC        COM        686091109        388 000000010134 SH       DEFINED 01         SOLE
 OWENS ILL INC                  COM NEW    690768403        364 000000022800 SH       DEFINED 01         SOLE
 PG&E CORP                      COM        69331C108      8,989 000000295702 SH       DEFINED 01         SOLE
 PMA CAP CORP                   CL A       693419202      3,549 000000470093 SH       DEFINED 01         SOLE
 PMC-SIERRA INC                 COM        69344F106      1,293 000000146782 SH       DEFINED 01         SOLE
 PMI GROUP INC                  COM        69344M101        454 000000011200 SH       DEFINED 01         SOLE
 PNC FINL SVCS GROUP INC        COM        693475105     11,389 000000210535 SH       DEFINED 01         SOLE
 PPG INDS INC                   COM        693506107      8,258 000000134763 SH       DEFINED 01         SOLE
 PPL CORP                       COM        69351T106      6,786 000000143838 SH       DEFINED 01         SOLE
 PACCAR INC                     COM        693718108      9,424 000000136354 SH       DEFINED 01         SOLE
 PACIFIC SUNWEAR CALIF INC      COM        694873100        769 000000036566 SH       DEFINED 01         SOLE
 PACIFICARE HEALTH SYS DEL      COM        695112102        245 000000006700 SH       DEFINED 01         SOLE
 PACKAGING CORP AMER            COM        695156109        203 000000008300 SH       DEFINED 01         SOLE
 PACTIV CORP                    COM        695257105      2,758 000000118635 SH       DEFINED 01         SOLE
1Page     16                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0PALL CORP                      COM        696429307      2,346 000000095847 SH       DEFINED 01         SOLE
 PALMONE INC                    COM        69713P107      2,237 000000073514 SH       DEFINED 01         SOLE
 PAR PHARMACEUTICAL COS INC     COM        69888P106        887 000000024707 SH       DEFINED 01         SOLE
 PARAMETRIC TECHNOLOGY CORP     COM        699173100      1,138 000000215628 SH       DEFINED 01         SOLE
 PARKER DRILLING CO             COM        701081101        936 000000255268 SH       DEFINED 01         SOLE
 PARKER DRILLING CO             COM        701081101        550 000000150000 SH       DEFINED 01         SOLE
 PARKER HANNIFIN CORP           COM        701094104      5,197 000000088296 SH       DEFINED 01         SOLE
 PARTNERS TR FINL GROUP INC N   COM        70213F102        156 000000015095 SH       DEFINED 01         SOLE
 PATTERSON COMPANIES INC        COM        703395103        715 000000009343 SH       DEFINED 01         SOLE
 PATTERSON UTI ENERGY INC       COM        703481101        346 000000018156 SH       DEFINED 01         SOLE
 PAYCHEX INC                    COM        704326107     10,578 000000350848 SH       DEFINED 01         SOLE
 PAYLESS SHOESOURCE INC         COM        704379106        366 000000036187 SH       DEFINED 01         SOLE
 PENN ENGR & MFG CORP           CL A       707389102        455 000000029500 SH       DEFINED 01         SOLE
 PENNEY J C INC                 COM        708160106      7,693 000000218079 SH       DEFINED 01         SOLE
 PEOPLES ENERGY CORP            COM        711030106      1,492 000000035806 SH       DEFINED 01         SOLE
 PEOPLESOFT INC                 COM        712713106      6,007 000000302622 SH       DEFINED 01         SOLE
 PEPSI BOTTLING GROUP INC       COM        713409100      5,099 000000187838 SH       DEFINED 01         SOLE
 PEPSIAMERICAS INC              COM        71343P200        271 000000014200 SH       DEFINED 01         SOLE
 PEPSICO INC                    COM        713448108     61,337 000001260782 SH       DEFINED 01         SOLE
 PERKINELMER INC                COM        714046109      1,754 000000101906 SH       DEFINED 01         SOLE
 PETROCHINA CO LTD              SPONSORED  71646E100        526 000000009800 SH       DEFINED 01         SOLE
 PETSMART INC                   COM        716768106        421 000000014855 SH       DEFINED 01         SOLE
 PFIZER INC                     COM        717081103    171,896 000005617518 SH       DEFINED 01         SOLE
 PHELPS DODGE CORP              COM        717265102      6,713 000000072948 SH       DEFINED 01         SOLE
 PINNACLE WEST CAP CORP         COM        723484101      3,147 000000075838 SH       DEFINED 01         SOLE
 PIONEER NAT RES CO             COM        723787107        520 000000015100 SH       DEFINED 01         SOLE
 PITNEY BOWES INC               COM        724479100      7,666 000000173835 SH       DEFINED 01         SOLE
 PIXAR                          COM        725811103        205 000000002607 SH       DEFINED 01         SOLE
 PLEXUS CORP                    COM        729132100        142 000000012873 SH       DEFINED 01         SOLE
 PLUM CREEK TIMBER CO INC       COM        729251108      4,747 000000135533 SH       DEFINED 01         SOLE
 POGO PRODUCING CO              COM        730448107        251 000000005300 SH       DEFINED 01         SOLE
 POWER-ONE INC                  COM        739308104        499 000000077038 SH       DEFINED 01         SOLE
 POWERWAVE TECHNOLOGIES INC     COM        739363109        146 000000023737 SH       DEFINED 01         SOLE
 PRAXAIR INC                    COM        74005P104     10,243 000000239673 SH       DEFINED 01         SOLE
 PREMCOR INC                    COM        74045Q104        519 000000013500 SH       DEFINED 01         SOLE
 PRICE T ROWE GROUP INC         COM        74144T108      4,804 000000094324 SH       DEFINED 01         SOLE
 PRIDE INTL INC DEL             NOTE  3.25 74153QAD4      5,443 000000050000 PRN      DEFINED 01         SOLE
 PRIDE INTL INC DEL             COM        74153Q102      2,576 000000130200 SH       DEFINED 01         SOLE
 PRIME HOSPITALITY CORP         COM        741917108        122 000000010079 SH       DEFINED 01         SOLE
 PRINCIPAL FINANCIAL GROUP IN   COM        74251V102      8,788 000000244323 SH       DEFINED 01         SOLE
 PRIORITY HEALTHCARE CORP       CL B       74264T102        385 000000019123 SH       DEFINED 01         SOLE
 PROCTER & GAMBLE CO            COM        742718109    101,560 000001876588 SH       DEFINED 01         SOLE
 PROGRESS ENERGY INC            COM        743263105      8,550 000000201958 SH       DEFINED 01         SOLE
 PROGRESSIVE CORP OHIO          COM        743315103     13,828 000000163174 SH       DEFINED 01         SOLE
 PROLOGIS                       SH BEN INT 743410102      4,738 000000134468 SH       DEFINED 01         SOLE
 PROTECTIVE LIFE CORP           COM        743674103        569 000000014500 SH       DEFINED 01         SOLE
1Page     17                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0PROTEIN DESIGN LABS INC        COM        74369L103        942 000000048129 SH       DEFINED 01         SOLE
 PROVINCE HEALTHCARE CO         COM        743977100        839 000000040136 SH       DEFINED 01         SOLE
 PROVIDIAN FINL CORP            NOTE  4.00 74406AAC6      3,967 000000030000 PRN      DEFINED 01         SOLE
 PROVIDIAN FINL CORP            COM        74406A102      6,581 000000423529 SH       DEFINED 01         SOLE
 PRUDENTIAL FINL INC            COM        744320102     17,992 000000382490 SH       DEFINED 01         SOLE
 PUBLIC SVC ENTERPRISE GROUP    COM        744573106      7,953 000000186697 SH       DEFINED 01         SOLE
 PULTE HOMES INC                COM        745867101      6,086 000000099184 SH       DEFINED 01         SOLE
 QLOGIC CORP                    COM        747277101      2,368 000000079709 SH       DEFINED 01         SOLE
 QUALCOMM INC                   COM        747525103     50,147 000001284509 SH       DEFINED 01         SOLE
 QUALITY DISTR INC FLA          COM        74756M102      1,228 000000201039 SH       DEFINED 01         SOLE
 QUANTA SVCS INC                COM        74762E102        140 000000023174 SH       DEFINED 01         SOLE
 QUANTUM CORP                   COM DSSG   747906204        150 000000064998 SH       DEFINED 01         SOLE
 QUEST DIAGNOSTICS INC          COM        74834L100      6,612 000000074950 SH       DEFINED 01         SOLE
 QUESTAR CORP                   COM        748356102        449 000000009800 SH       DEFINED 01         SOLE
 QWEST COMMUNICATIONS INTL IN   COM        749121109      4,502 000001352187 SH       DEFINED 01         SOLE
 RPM INTL INC                   COM        749685103        716 000000040600 SH       DEFINED 01         SOLE
 RF MICRODEVICES INC            COM        749941100        229 000000036132 SH       DEFINED 01         SOLE
 RADIAN GROUP INC               COM        750236101        531 000000011500 SH       DEFINED 01         SOLE
 RADIO ONE INC                  CL A       75040P108     12,922 000000904300 SH       DEFINED 01         SOLE
 RADIOSHACK CORP                COM        750438103      3,488 000000121819 SH       DEFINED 01         SOLE
 RAYMOND JAMES FINANCIAL INC    COM        754730109        283 000000011750 SH       DEFINED 01         SOLE
 RAYTHEON CO                    COM NEW    755111507     12,606 000000331933 SH       DEFINED 01         SOLE
 READERS DIGEST ASSN INC        COM        755267101        157 000000010761 SH       DEFINED 01         SOLE
 RECKSON ASSOCS RLTY CORP       COM        75621K106        293 000000010200 SH       DEFINED 01         SOLE
 REDWOOD TR INC                 COM        758075402      3,747 000000060043 SH       DEFINED 01         SOLE
 REEBOK INTL LTD                COM        758110100      1,740 000000047392 SH       DEFINED 01         SOLE
 REGIS CORP MINN                COM        758932107        215 000000005370 SH       DEFINED 01         SOLE
 REGIONAL BK HOLDRS TR          DEPOSITRY  75902E100     53,484 000000400000 SH       DEFINED 01         SOLE
 REGIONS FINANCIAL CORP NEW     COM        7591EP100     11,482 000000347309 SH       DEFINED 01         SOLE
 RENT A CTR INC NEW             COM        76009N100        377 000000014607 SH       DEFINED 01         SOLE
 RESEARCH IN MOTION LTD         COM        760975102        341 000000004472 SH       DEFINED 01         SOLE
 RESPIRONICS INC                COM        761230101        424 000000007935 SH       DEFINED 01         SOLE
 RETAIL HOLDRS TR               DEP RCPT   76127U101     37,711 000000413500 SH       DEFINED 01         SOLE
 RETEK INC                      COM        76128Q109        149 000000032748 SH       DEFINED 01         SOLE
 REWARDS NETWORK INC            COM        761557107      1,334 000000200046 SH       DEFINED 01         SOLE
 REYNOLDS AMERICAN INC          COM        761713106      7,424 000000109113 SH       DEFINED 01         SOLE
 RIGEL PHARMACEUTICALS INC      COM NEW    766559603        506 000000020014 SH       DEFINED 01         SOLE
 ROBERT HALF INTL INC           COM        770323103      3,403 000000132070 SH       DEFINED 01         SOLE
 ROCKWELL AUTOMATION INC        COM        773903109      5,937 000000153414 SH       DEFINED 01         SOLE
 ROCKWELL COLLINS INC           COM        774341101      4,859 000000130851 SH       DEFINED 01         SOLE
 ROHM & HAAS CO                 COM        775371107      7,129 000000165926 SH       DEFINED 01         SOLE
 ROSS STORES INC                COM        778296103        466 000000019902 SH       DEFINED 01         SOLE
 ROUSE CO                       COM        779273101     34,777 000000520000 SH       DEFINED 01         SOLE
 ROWAN COS INC                  COM        779382100      2,139 000000081036 SH       DEFINED 01         SOLE
 ROXIO INC                      COM        780008108      3,084 000000600000 SH       DEFINED 01         SOLE
 ROYAL DUTCH PETE CO            NY REG EUR 780257804        505 000000009800 SH       DEFINED 01         SOLE
1Page     18                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0RUBY TUESDAY INC               COM        781182100        487 000000017500 SH       DEFINED 01         SOLE
 RYANAIR HLDGS PLC              SPONSORED  783513104        289 000000009914 SH       DEFINED 01         SOLE
 RYDER SYS INC                  COM        783549108      2,295 000000048808 SH       DEFINED 01         SOLE
 SBC COMMUNICATIONS INC         COM        78387G103     63,433 000002444470 SH       DEFINED 01         SOLE
 SEI INVESTMENTS CO             COM        784117103      3,142 000000093306 SH       DEFINED 01         SOLE
 SLM CORP                       COM        78442P106     14,318 000000321046 SH       DEFINED 01         SOLE
 SPDR TR                        UNIT SER 1 78462F103    355,579 000003181637 SH       DEFINED 01         SOLE
 S1 CORPORATION                 COM        78463B101      3,592 000000450188 SH       DEFINED 01         SOLE
 SPX CORP                       COM        784635104      1,490 000000042100 SH       DEFINED 01         SOLE
 SABRE HLDGS CORP               CL A       785905100      2,586 000000105452 SH       DEFINED 01         SOLE
 SAFECO CORP                    COM        786429100      4,579 000000100313 SH       DEFINED 01         SOLE
 SAFENET INC                    COM        78645R107      1,391 000000052738 SH       DEFINED 01         SOLE
 SAFEWAY INC                    COM NEW    786514208      6,896 000000357165 SH       DEFINED 01         SOLE
 ST JOE CO                      COM        790148100        300 000000006300 SH       DEFINED 01         SOLE
 ST JUDE MED INC                COM        790849103      9,821 000000130484 SH       DEFINED 01         SOLE
 ST PAUL TRAVELERS INC          COM        792860108     16,708 000000505409 SH       DEFINED 01         SOLE
 SAKS INC                       COM        79377W108        143 000000011900 SH       DEFINED 01         SOLE
 SANDISK CORP                   COM        80004C101        420 000000014444 SH       DEFINED 01         SOLE
 SANMINA SCI CORP               COM        800907107      3,240 000000459624 SH       DEFINED 01         SOLE
 SANMINA SCI CORP               COM        800907107         74 000000010700 SH       DEFINED 06         SOLE
 SANOFI AVENTIS                 SPONSORED  80105N105     15,804 000000431706 SH       DEFINED 01         SOLE
 SANOFI AVENTIS                 SP ADR TEM 80105N204     31,254 000000857233 SH       DEFINED 01         SOLE
 SARA LEE CORP                  COM        803111103     13,388 000000585660 SH       DEFINED 01         SOLE
 SCHEIN HENRY INC               COM        806407102        728 000000011685 SH       DEFINED 01         SOLE
 SCHERING PLOUGH CORP           COM        806605101     21,313 000001118241 SH       DEFINED 01         SOLE
 SCHLUMBERGER LTD               COM        806857108     29,271 000000434869 SH       DEFINED 01         SOLE
 SCHWAB CHARLES CORP NEW        COM        808513105      9,345 000001016871 SH       DEFINED 01         SOLE
 SCIENTIFIC ATLANTA INC         COM        808655104      3,632 000000140147 SH       DEFINED 01         SOLE
 SCRIPPS E W CO OHIO            CL A       811054204        909 000000019044 SH       DEFINED 01         SOLE
 SEALED AIR CORP NEW            COM        81211K100      3,701 000000079862 SH       DEFINED 01         SOLE
 SEARS ROEBUCK & CO             COM        812387108      6,284 000000157706 SH       DEFINED 01         SOLE
 SELECT SECTOR SPDR TR          SBI INT-EN 81369Y506     69,860 000002000000 SH       DEFINED 01         SOLE
 SELECT SECTOR SPDR TR          SBI INT-FI 81369Y605    170,760 000006000000 SH       DEFINED 01         SOLE
 SELECT SECTOR SPDR TR          SBI INT-UT 81369Y886     50,100 000002000000 SH       DEFINED 01         SOLE
 SEMICONDUCTOR HLDRS TR         DEP RCPT   816636203     20,314 000000671760 SH       DEFINED 01         SOLE
 SEMPRA ENERGY                  COM        816851109      6,472 000000178855 SH       DEFINED 01         SOLE
 SHELL TRANS & TRADING PLC      ADR NY SHS 822703609        387 000000008700 SH       DEFINED 01         SOLE
 SHERWIN WILLIAMS CO            COM        824348106      5,064 000000115208 SH       DEFINED 01         SOLE
 SIEBEL SYS INC                 COM        826170102      4,556 000000604263 SH       DEFINED 01         SOLE
 SIERRA PAC RES NEW             COM        826428104        140 000000015737 SH       DEFINED 01         SOLE
 SIGMA ALDRICH CORP             COM        826552101      3,351 000000057778 SH       DEFINED 01         SOLE
 SILICON VY BANCSHARES          NOTE       827064AC0      5,461 000004500000 SH       DEFINED 01         SOLE
 SIMON PPTY GROUP INC NEW       COM        828806109      8,245 000000153748 SH       DEFINED 01         SOLE
 SINCLAIR BROADCAST GROUP INC   CL A       829226109        438 000000060000 SH       DEFINED 01         SOLE
 SIX FLAGS INC                  COM        83001P109        136 000000025074 SH       DEFINED 01         SOLE
 SMITHFIELD FOODS INC           COM        832248108        290 000000011600 SH       DEFINED 01         SOLE
1Page     19                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0SMUCKER J M CO                 COM NEW    832696405        603 000000013600 SH       DEFINED 01         SOLE
 SMURFIT-STONE CONTAINER CORP   COM        832727101        251 000000012984 SH       DEFINED 01         SOLE
 SNAP ON INC                    COM        833034101      1,298 000000047119 SH       DEFINED 01         SOLE
 SOLECTRON CORP                 NOTE  0.50 834182AS6      2,084 000000025000 PRN      DEFINED 01         SOLE
 SOLECTRON CORP                 COM        834182107      3,546 000000716433 SH       DEFINED 01         SOLE
 SONOCO PRODS CO                COM        835495102        309 000000011700 SH       DEFINED 01         SOLE
 SONUS PHARMACEUTICALS INC      COM        835692104        219 000000059200 SH       DEFINED 01         SOLE
 SOUTHERN CO                    COM        842587107     16,349 000000545362 SH       DEFINED 01         SOLE
 SOUTHTRUST CORP                COM        844730101     49,594 000001190468 SH       DEFINED 01         SOLE
 SOUTHWEST AIRLS CO             COM        844741108      8,312 000000610324 SH       DEFINED 01         SOLE
 SOVEREIGN BANCORP INC          COM        845905108      5,917 000000271205 SH       DEFINED 01         SOLE
 SPINNAKER EXPL CO              COM        84855W109        451 000000012872 SH       DEFINED 01         SOLE
 SPRINT CORP                    COM FON    852061100     21,514 000001068795 SH       DEFINED 01         SOLE
 STANCORP FINL GROUP INC        COM        852891100        655 000000009200 SH       DEFINED 01         SOLE
 STANLEY WKS                    COM        854616109      2,950 000000069368 SH       DEFINED 01         SOLE
 STAPLES INC                    COM        855030102     11,579 000000388298 SH       DEFINED 01         SOLE
 STARBUCKS CORP                 COM        855244109     14,540 000000319857 SH       DEFINED 01         SOLE
 STARWOOD HOTELS&RESORTS WRLD   NOTE  3.50 85590AAJ3      3,801 000000035000 PRN      DEFINED 01         SOLE
 STARWOOD HOTELS&RESORTS WRLD   PAIRED CTF 85590A203      7,454 000000160586 SH       DEFINED 01         SOLE
 STATE STR CORP                 COM        857477103     12,087 000000283002 SH       DEFINED 01         SOLE
 STEEL DYNAMICS INC             NOTE  4.00 858119AD2      3,532 000000015000 PRN      DEFINED 01         SOLE
 STONE ENERGY CORP              COM        861642106        261 000000005978 SH       DEFINED 01         SOLE
 STORAGE TECHNOLOGY CORP        COM PAR $0 862111200        315 000000012500 SH       DEFINED 01         SOLE
 STREETTRACKS SER TR            SPDR O STR 86330E869        406 000000002800 SH       DEFINED 01         SOLE
 STRYKER CORP                   COM        863667101     14,285 000000297109 SH       DEFINED 01         SOLE
 SUN MICROSYSTEMS INC           COM        866810104     10,278 000002544241 SH       DEFINED 01         SOLE
 SUNGARD DATA SYS INC           COM        867363103      5,083 000000213870 SH       DEFINED 01         SOLE
 SUNOCO INC                     COM        86764P109      4,138 000000055940 SH       DEFINED 01         SOLE
 SUNTERRA CORP                  COM NEW    86787D208        476 000000050000 SH       DEFINED 01         SOLE
 SUNTRUST BKS INC               COM        867914103     14,850 000000210914 SH       DEFINED 01         SOLE
 SUPERIOR INDS INTL INC         COM        868168105        436 000000014576 SH       DEFINED 01         SOLE
 SUPERVALU INC                  COM        868536103      3,318 000000120471 SH       DEFINED 01         SOLE
 SWIFT TRANSN CO                COM        870756103        555 000000033013 SH       DEFINED 01         SOLE
 SYBASE INC                     COM        871130100        449 000000032600 SH       DEFINED 01         SOLE
 SYMANTEC CORP                  COM        871503108     13,314 000000242619 SH       DEFINED 01         SOLE
 SYMBOL TECHNOLOGIES INC        COM        871508107      2,324 000000183876 SH       DEFINED 01         SOLE
 SYNOPSYS INC                   COM        871607107      2,847 000000180699 SH       DEFINED 01         SOLE
 SYNOVUS FINL CORP              COM        87161C105      5,993 000000229186 SH       DEFINED 01         SOLE
 SYSCO CORP                     COM        871829107     15,609 000000521710 SH       DEFINED 01         SOLE
 TCF FINL CORP                  COM        872275102        299 000000009900 SH       DEFINED 01         SOLE
 TECO ENERGY INC                COM        872375100      2,144 000000158516 SH       DEFINED 01         SOLE
 TJX COS INC NEW                COM        872540109      8,108 000000367894 SH       DEFINED 01         SOLE
 TXU CORP                       COM        873168108     10,400 000000217031 SH       DEFINED 01         SOLE
 TARGET CORP                    COM        87612E106     30,192 000000667245 SH       DEFINED 01         SOLE
 TECH DATA CORP                 COM        878237106        239 000000006210 SH       DEFINED 01         SOLE
 TECUMSEH PRODS CO              CL B       878895101        375 000000009178 SH       DEFINED 01         SOLE
1Page     20                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0TEKTRONIX INC                  COM        879131100      2,127 000000063997 SH       DEFINED 01         SOLE
 TELEFLEX INC                   COM        879369106        357 000000008400 SH       DEFINED 01         SOLE
 TELEWEST GLOBAL INC            COM        87956T107      9,806 000000843925 SH       DEFINED 01         SOLE
 TELIK INC                      COM        87959M109        766 000000034392 SH       DEFINED 01         SOLE
 TELLABS INC                    COM        879664100      3,063 000000333323 SH       DEFINED 01         SOLE
 TEMPLE INLAND INC              COM        879868107      3,422 000000050970 SH       DEFINED 01         SOLE
 TENET HEALTHCARE CORP          COM        88033G100      3,758 000000348337 SH       DEFINED 01         SOLE
 TERADYNE INC                   COM        880770102      2,073 000000154748 SH       DEFINED 01         SOLE
 TETRA TECH INC NEW             COM        88162G103        377 000000029802 SH       DEFINED 01         SOLE
 TEVA PHARMACEUTICAL INDS LTD   ADR        881624209      1,618 000000062370 SH       DEFINED 01         SOLE
 TEXAS GENCO HLDGS INC          COM        882443104      3,592 000000077000 SH       DEFINED 01         SOLE
 TEXAS INSTRS INC               COM        882508104     27,629 000001298401 SH       DEFINED 01         SOLE
 TEXTRON INC                    COM        883203101      6,962 000000108329 SH       DEFINED 01         SOLE
 THERMO ELECTRON CORP           COM        883556102      3,521 000000130312 SH       DEFINED 01         SOLE
 THOMAS & BETTS CORP            COM        884315102        234 000000008746 SH       DEFINED 01         SOLE
 THOR INDS INC                  COM        885160101        328 000000012400 SH       DEFINED 01         SOLE
 3COM CORP                      COM        885535104        138 000000032861 SH       DEFINED 01         SOLE
 3M CO                          COM        88579Y101     46,955 000000587164 SH       DEFINED 01         SOLE
 TIFFANY & CO NEW               COM        886547108      3,350 000000108995 SH       DEFINED 01         SOLE
 TIME WARNER INC                COM        887317105     59,076 000003660245 SH       DEFINED 01         SOLE
 TITAN CORP                     COM        888266103        143 000000010244 SH       DEFINED 01         SOLE
 TOLL BROTHERS INC              COM        889478103        273 000000005900 SH       DEFINED 01         SOLE
 TOO INC                        COM        890333107        185 000000010284 SH       DEFINED 01         SOLE
 TORCHMARK CORP                 COM        891027104      4,403 000000082806 SH       DEFINED 01         SOLE
 TOYS R US INC                  COM        892335100      2,846 000000160453 SH       DEFINED 01         SOLE
 TRANSACTION SYS ARCHITECTS     CL A       893416107      2,603 000000140085 SH       DEFINED 01         SOLE
 TRIARC COS INC                 CL B SER 1 895927309        335 000000029288 SH       DEFINED 01         SOLE
 TRIBUNE CO NEW                 COM        896047107     10,760 000000261504 SH       DEFINED 01         SOLE
 TRIQUINT SEMICONDUCTOR INC     COM        89674K103        144 000000036954 SH       DEFINED 01         SOLE
 TUPPERWARE CORP                COM        899896104        173 000000010244 SH       DEFINED 01         SOLE
 TYCO INTL LTD NEW              COM        902124106     45,393 000001480560 SH       DEFINED 01         SOLE
 UST INC                        COM        902911106      4,910 000000121975 SH       DEFINED 01         SOLE
 US BANCORP DEL                 COM NEW    902973304     40,254 000001392905 SH       DEFINED 01         SOLE
 USEC INC                       COM        90333E108        132 000000012744 SH       DEFINED 01         SOLE
 UNIFI INC                      COM        904677101        270 000000118800 SH       DEFINED 01         SOLE
 UNION PAC CORP                 COM        907818108     11,267 000000192279 SH       DEFINED 01         SOLE
 UNIONBANCAL CORP               COM        908906100        290 000000004900 SH       DEFINED 01         SOLE
 UNISOURCE ENERGY CORP          COM        909205106      2,072 000000085098 SH       DEFINED 01         SOLE
 UNISYS CORP                    COM        909214108      2,606 000000252539 SH       DEFINED 01         SOLE
 UNITED AUTO GROUP INC          COM        909440109        221 000000008835 SH       DEFINED 01         SOLE
 UNITED DOMINION REALTY TR IN   COM        910197102        206 000000010400 SH       DEFINED 01         SOLE
 UNITED ONLINE INC              COM        911268100        366 000000038146 SH       DEFINED 01         SOLE
 UNITED PARCEL SERVICE INC      CL B       911312106     65,601 000000864092 SH       DEFINED 01         SOLE
 UNITED RENTALS INC             COM        911363109        316 000000019921 SH       DEFINED 01         SOLE
 UNITED STATES CELLULAR CORP    COM        911684108      1,661 000000038500 SH       DEFINED 01         SOLE
 UNITED STATES STL CORP NEW     COM        912909108      3,191 000000084824 SH       DEFINED 01         SOLE
1Page     21                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0UNITED TECHNOLOGIES CORP       COM        913017109     36,385 000000389651 SH       DEFINED 01         SOLE
 UNITEDHEALTH GROUP INC         COM        91324P102     36,062 000000489045 SH       DEFINED 01         SOLE
 UNITRIN INC                    COM        913275103        328 000000007900 SH       DEFINED 01         SOLE
 UNIVERSAL HLTH SVCS INC        CL B       913903100        582 000000013400 SH       DEFINED 01         SOLE
 UNIVISION COMMUNICATIONS INC   CL A       914906102      7,577 000000239722 SH       DEFINED 01         SOLE
 UNOCAL CORP                    COM        915289102      8,409 000000195577 SH       DEFINED 01         SOLE
 UNUMPROVIDENT CORP             COM        91529Y106      5,904 000000376342 SH       DEFINED 01         SOLE
 USF CORP                       COM        91729Q101        207 000000005777 SH       DEFINED 01         SOLE
 V F CORP                       COM        918204108      4,298 000000086919 SH       DEFINED 01         SOLE
 VALERO ENERGY CORP NEW         COM        91913Y100      7,575 000000094447 SH       DEFINED 01         SOLE
 VALSPAR CORP                   COM        920355104        317 000000006800 SH       DEFINED 01         SOLE
 VARCO INTL INC DEL             COM        922122106      2,708 000000101000 SH       DEFINED 01         SOLE
 VARIAN INC                     COM        922206107        333 000000008817 SH       DEFINED 01         SOLE
 VECTREN CORP                   COM        92240G101        319 000000012700 SH       DEFINED 01         SOLE
 VERISIGN INC                   COM        92343E102        215 000000010835 SH       DEFINED 01         SOLE
 VERIZON COMMUNICATIONS         COM        92343V104     80,568 000002045929 SH       DEFINED 01         SOLE
 VERITAS SOFTWARE CO            COM        923436109     11,879 000000667384 SH       DEFINED 01         SOLE
 VERTEX PHARMACEUTICALS INC     COM        92532F100        153 000000014584 SH       DEFINED 01         SOLE
 VIACOM INC                     CL B       925524308     69,097 000002058910 SH       DEFINED 01         SOLE
 VISHAY INTERTECHNOLOGY INC     COM        928298108        192 000000014900 SH       DEFINED 01         SOLE
 VISTEON CORP                   COM        92839U107        856 000000107157 SH       DEFINED 01         SOLE
 VISX INC DEL                   COM        92844S105        369 000000017946 SH       DEFINED 01         SOLE
 VULCAN MATLS CO                COM        929160109      4,002 000000078560 SH       DEFINED 01         SOLE
 WGL HLDGS INC                  COM        92924F106        212 000000007534 SH       DEFINED 01         SOLE
 WMS INDS INC                   COM        929297109        296 000000011541 SH       DEFINED 01         SOLE
 WACHOVIA CORP 2ND NEW          COM        929903102     45,423 000000967480 SH       DEFINED 01         SOLE
 WAL MART STORES INC            COM        931142103    165,244 000003106107 SH       DEFINED 01         SOLE
 WALGREEN CO                    COM        931422109     27,114 000000756755 SH       DEFINED 01         SOLE
 WARWICK CMNTY BANCORP INC      COM        936559103      4,738 000000143253 SH       DEFINED 01         SOLE
 WASHINGTON MUT INC             COM        939322103     25,198 000000644798 SH       DEFINED 01         SOLE
 WASHINGTON POST CO             CL B       939640108        276 000000000300 SH       DEFINED 01         SOLE
 WASTE MGMT INC DEL             COM        94106L109     12,040 000000440414 SH       DEFINED 01         SOLE
 WATERS CORP                    COM        941848103      4,025 000000091292 SH       DEFINED 01         SOLE
 WATSON PHARMACEUTICALS INC     COM        942683103      2,468 000000083808 SH       DEFINED 01         SOLE
 WAYNE BANCORP INC OHIO         COM        944293109        401 000000014114 SH       DEFINED 01         SOLE
 WEBMD CORP                     NOTE  1.75 94769MAE5      2,037 000000025000 PRN      DEFINED 01         SOLE
 WEBMD CORP                     COM        94769M105        118 000000017023 SH       DEFINED 01         SOLE
 WEBSTER FINL CORP CONN         COM        947890109        397 000000008050 SH       DEFINED 01         SOLE
 WELLPOINT HEALTH NETWORK NEW   COM        94973H108     14,810 000000140936 SH       DEFINED 01         SOLE
 WELLS FARGO & CO NEW           COM        949746101     73,851 000001238490 SH       DEFINED 01         SOLE
 WENDYS INTL INC                COM        950590109      4,125 000000122789 SH       DEFINED 01         SOLE
 WERNER ENTERPRISES INC         COM        950755108        330 000000017108 SH       DEFINED 01         SOLE
 WESTERN DIGITAL CORP           COM        958102105      2,637 000000300000 SH       DEFINED 01         SOLE
 WESTERN GAS RES INC            COM        958259103        526 000000018400 SH       DEFINED 01         SOLE
 WESTWOOD ONE INC               COM        961815107        496 000000025100 SH       DEFINED 01         SOLE
 WEYERHAEUSER CO                COM        962166104     11,969 000000180054 SH       DEFINED 01         SOLE
1Page     22                                                                                                      04-11-08  16:37:43
0                                            FORM 13F
                                         INFORMATION TABLE
                                           QUARTER ENDING
                                         09/30/2004
         NAME OF ISSUER           TITLE      CUSIP     VALUE       SHARES    SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
                                 OF CLASS              X1000      PRN AMT    PRN CALL DSCRETN MANAGERS
 ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ----------------
0WHIRLPOOL CORP                 COM        963320106      3,027 000000050378 SH       DEFINED 01         SOLE
 WHOLE FOODS MKT INC            COM        966837106        357 000000004170 SH       DEFINED 01         SOLE
 WILLIAMS COS INC DEL           COM        969457100      4,673 000000386207 SH       DEFINED 01         SOLE
 WILLIAMS SONOMA INC            COM        969904101        319 000000008500 SH       DEFINED 01         SOLE
 WILMINGTON TRUST CORP          COM        971807102        343 000000009500 SH       DEFINED 01         SOLE
 WIND RIVER SYSTEMS INC         COM        973149107        159 000000013035 SH       DEFINED 01         SOLE
 WINN DIXIE STORES INC          COM        974280109        418 000000135338 SH       DEFINED 01         SOLE
 WORTHINGTON INDS INC           COM        981811102      1,478 000000069259 SH       DEFINED 01         SOLE
 WRIGLEY WM JR CO               COM        982526105     10,709 000000169153 SH       DEFINED 01         SOLE
 WYETH                          DBCV       983024AD2     19,642 000000200000 PRN      DEFINED 01         SOLE
 WYETH                          COM        983024100     38,665 000001033845 SH       DEFINED 01         SOLE
 XCEL ENERGY INC                COM        98389B100      5,114 000000295268 SH       DEFINED 01         SOLE
 XILINX INC                     COM        983919101      9,632 000000356749 SH       DEFINED 01         SOLE
 XEROX CORP                     COM        984121103      8,766 000000622602 SH       DEFINED 01         SOLE
 YAHOO INC                      COM        984332106     36,270 000001069617 SH       DEFINED 01         SOLE
 YELLOW CORP                    NOTE  3.37 985509AQ1     15,930 000000120000 PRN      DEFINED 01         SOLE
 YORK INTL CORP NEW             COM        986670107        689 000000021816 SH       DEFINED 01         SOLE
 YUM BRANDS INC                 COM        988498101      8,698 000000213930 SH       DEFINED 01         SOLE
 ZIMMER HLDGS INC               COM        98956P102     16,554 000000209444 SH       DEFINED 01         SOLE
 ZIONS BANCORPORATION           COM        989701107      4,300 000000070448 SH       DEFINED 01         SOLE
 ZORAN CORP                     COM        98975F101        227 000000014450 SH       DEFINED 01         SOLE
 ZOLL MED CORP                  COM        989922109          1 000000000038 SH       DEFINED 01         SOLE