[X]
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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[
]
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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A.
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Full
title of the plan and the address of the plan, if different from
that of
the issuer named below:
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B.
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Name
of issuer of the securities held pursuant to the plan and the address
of
its principal executive office:
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CIGNA
401(k) PLAN
TABLE
OF CONTENTS
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Page
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Financial
Statements
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Supplemental
Schedule
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STATEMENTS
OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
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|||||||
For
the Years Ended
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|||||||
December
31,
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|||||||
2005
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2004
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||||||
(In
thousands)
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|||||||
Investment
income
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|||||||
Net appreciation in fair value
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|||||||
of investments (see Note 4)
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$
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169,679
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$
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182,247
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|||
Interest
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50,751
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47,618
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Dividends
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311
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1,542
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|||||
Net investment income
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220,741
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231,407
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Contributions
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|||||||
Employee contributions
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94,907
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96,902
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|||||
Employer contributions
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39,723
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39,125
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Rollover contributions
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5,074
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4,259
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Total contributions
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139,704
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140,286
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Benefits
paid to participants
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(215,764
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)
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(232,238
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)
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Net
increase
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144,681
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139,455
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Net
assets available for benefits
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Beginning of year
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2,273,742
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2,134,287
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End of year
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$
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2,418,423
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$
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2,273,742
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As
of
December
31,
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2005
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2004
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($
in thousands)
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Fixed
Income Fund
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||||||||||
(contract interest rate: 4.45% and 4.1%, respectively)
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$
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1,147,991
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$
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1,135,061
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CIGNA
Stock Fund
(3,330,625 and 3,766,040 shares, respectively)
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$
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372,031
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$
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307,205
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Dryden
S&P 500 Index Fund
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$
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212,269
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$
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218,595
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For
the Years Ended December 31,
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2005
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2004
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(In
thousands)
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CIGNA
common stock
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$
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110,939
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$
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95,140
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PRIAC
separate accounts and custom funds
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58,740
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-
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CGLIC
separate accounts and custom funds
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-
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87,107
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Net
appreciation
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$
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169,679
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$
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182,247
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As
of December 31,
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2005
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2004
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(In
thousands)
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Net
Assets:
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CIGNA
Stock Fund
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$
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126,028
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$
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100,624
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Employer
contributions receivable
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9,681
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7,514
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Dividends
receivable
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29
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31
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$
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135,738
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$
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108,169
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For
the Years Ended December 31,
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2005
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2004
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(In
thousands)
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Changes
in Net Assets:
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Contributions
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$
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21,623
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$
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21,840
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Dividends
and
interest
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343
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705
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Net
appreciation in fair value
of investments
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37,954
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30,207
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Benefits
paid
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(11,466
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)
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(9,332
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)
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Loan
activity (net of repayments)
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(1,956
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)
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(1,323
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)
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Transfers
to
participant-directed investments (net of
transfers
in)
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(18,929
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)
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(5,077
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)
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Net
increase
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$
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27,569
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$
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37,020
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FORM
5500 SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF
YEAR)
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As
of December 31, 2005
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(In
thousands)
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Identity
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Current
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of
Party
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Description
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Value
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*
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PRIAC
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Fixed
Income Fund (contract interest rate: 4.45%)
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$
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1,147,991
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*
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CIGNA
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CIGNA
Stock Fund
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CIGNA
common stock (cost, $227,221)
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372,031
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*
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PRIAC
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Dryden
S&P 500 Index Fund
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212,269
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*
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PRIAC
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Small
Cap Value / Perkins, Wolf, McDonnell Fund
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84,061
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*
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PRIAC
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Large
Cap Growth / Goldman Sachs Fund
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78,019
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*
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PRIAC
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Small
Cap Growth / TSCM Fund
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(formerly:
Small Cap Growth / TimesSquare Fund)
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72,056
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*
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PRIAC
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Barclays
Extended Equity Market Index Fund
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60,390
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*
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PRIAC
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Mid
Cap Value / Wellington Mgmt Fund
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51,448
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*
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PRIAC
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Mid
Cap Blend / New Amsterdam Partners Fund
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44,412
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*
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PRIAC
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Large
Cap Value / Wellington Mgmt Fund
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41,659
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*
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PRIAC
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SSGA
Daily EAFE SL Series - CL T Fund
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(formerly:
State Street Global Advisors EAFE Index Fund)
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32,925
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*
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PRIAC
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International
Blend / Boston Co. Fund
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32,531
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*
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PRIAC
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Mid
Cap Growth / Artisan Partners Fund
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26,538
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*
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PRIAC
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High
Yield Bond / Caywood-Scholl Fund
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22,369
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*
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PRIAC
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International
Growth / Artisan Partners Fund
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16,515
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*
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PRIAC
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CIGNA
Custom 40 Fund
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14,816
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*
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PRIAC
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Large
Cap Value / Aronson+Johnson+Ortiz Fund
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(formerly:
Large Cap Value / John A. Levin & Co. Fund)
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13,427
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*
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PRIAC
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CIGNA
Custom 50 Fund
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12,714
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*
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PRIAC
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CIGNA
Custom 30 Fund
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10,892
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*
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PRIAC
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Large
Cap Growth / Wellington Mgmt. Fund
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(formerly:
Large Cap Growth / RCM Fund)
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9,151
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*
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PRIAC
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CIGNA
Custom 20 Fund
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7,621
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*
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PRIAC
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CIGNA
Custom 60 Fund
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5,692
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*
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Participant
Loans
|
(interest
rate: 3.44% to 8.97%; maturities 2006-2015)
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39,131
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Total
assets held for investment purposes
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$
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2,408,658
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*
|
indicates
party-in-interest to the Plan
|
CIGNA 401(k) PLAN | |
Date:
June 29, 2006
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By:
/s/ John Arko
|
John
Arko
|
|
Plan
Administrator
|
Number
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Description
|
Method
of Filing
|
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