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

                                   FORM 13F

                              FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: March 31, 2012
                                               -----------------------

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

Institutional Investment Manager Filing this Report:

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


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

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    John Vaz
         -------------------------------
Title:   Compliance Analyst
         -------------------------------
Phone:   781-446-2420
         -------------------------------

Signature, Place, and Date of Signing:

   /s/ John Vaz                       Wellesley Hills, MA    May 11, 2012
   -------------------------------    --------------------   -------------
           [Signature]                  [City, State]        [Date]

Report Type (Check only one.):

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

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

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

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

    Form 13F File Number        Name

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



                             FORM 13F SUMMARY PAGE

Report Summary:


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

Form 13F Information Table Entry Total:  221
                                        --------------------

Form 13F Information Table Value Total:  US$1,923,657
                                        --------------------
                                            (thousands)


List of Other Included Managers:

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

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

    No.       Form 13F File Number         Name

    1         28-12046                     Sun Capital Advisers LLC.
    ------       -----------------         -------------------------------------
    2         28-12047                     Sun Life Assurance Company of Cananda
    ------       -----------------         -------------------------------------


FORM 13F INFORMATION TABLE - March 31, 2012




        COLUMN 1             COLUMN 2     COLUMN 3   COLUMN 4       COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
------------------------- -------------- --------- ----------- ------------------- ---------- ---------- --------------------------
                                                      VALUE     SHRS OR   SH/ PUT/ INVESTMENT   OTHER        VOTING AUTHORITY
     NAME OF ISSUER       TITLE OF CLASS   CUSIP    (x$1000)    PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE    SHARED      NONE
------------------------- -------------- --------- ----------- ---------- --- ---- ---------- ---------- ------- ---------- -------
                                                                                           
3M CO                     COM            88579Y101     1,458       16,344 SH       SHARED     2                      16,344
3M CO                     COM            88579Y101     7,044       78,960 SH       SHARED     1                      78,960
Abbott Laboratories       COM            002824100     3,274       53,420 SH       SHARED     1                      53,420
Acme Packet Inc           COM            004764106     1,601       58,179 SH       SHARED     2                      58,179
Acme Packet Inc           COM            004764106     4,176      151,734 SH       SHARED     1                     151,734
AES Corporation           COM            00130H105     1,420      108,630 SH       SHARED     2                     108,630
AES Corporation           COM            00130H105     3,891      297,733 SH       SHARED     1                     297,733
American Express Co       COM            025816109     4,640       80,187 SH       SHARED     1                      80,187
American International
 Group                    COM            026874784     5,965      193,475 SH       SHARED     1                     193,475
Amgen Inc                 COM            031162100     1,729       25,442 SH       SHARED     2                      25,442
Amgen Inc                 COM            031162100     4,408       64,851 SH       SHARED     1                      64,851
AT&T Inc                  COM            00206R102     2,220       71,099 SH       SHARED     2                      71,099
AT&T Inc                  COM            00206R102     8,760      280,494 SH       SHARED     1                     280,494
Avon Products Inc         COM            054303102     1,615       83,416 SH       SHARED     2                      83,416
Avon Products Inc         COM            054303102     4,200      216,959 SH       SHARED     1                     216,959
Bank of America Corp      COM            060505104     1,919      200,543 SH       SHARED     2                     200,543
Barclays Bank Plc         COM            06738C828    17,349   20,700,000 SH       SHARED     1                  20,700,000
Barclays Bank Plc         COM            06738C828    45,427   54,200,000 SH       SHARED     1                  54,200,000
Baxter International Inc  COM            071813109     1,727       28,894 SH       SHARED     2                      28,894
Baxter International Inc  COM            071813109     4,162       69,624 SH       SHARED     1                      69,624
BB&T Corporation          COM            054937107     1,507       48,016 SH       SHARED     2                      48,016
BB&T Corporation          COM            054937107     4,942      157,443 SH       SHARED     1                     157,443
Berkshire Hathaway Inc    COM            084670702     1,511       18,622 SH       SHARED     2                      18,622
Berkshire Hathaway Inc    COM            084670702     3,958       48,779 SH       SHARED     1                      48,779
Best Buy Company Inc      COM            086516101     1,129       47,668 SH       SHARED     2                      47,668
Best Buy Company Inc      COM            086516101     3,085      130,281 SH       SHARED     1                     130,281
Boeing Company            COM            097023105     1,341       18,038 SH       SHARED     2                      18,038
Boeing Company            COM            097023105     6,871       92,396 SH       SHARED     1                      92,396
Boston Scientific         COM            101137107     5,681      950,000 SH       SHARED     1                     950,000
Boston Scientific Corp    COM            101137107     2,920      488,308 SH       SHARED     2                     488,308
Boston Scientific Corp    COM            101137107     7,602    1,271,282 SH       SHARED     1                   1,271,282
Bristol-Myers Squibb      COM            110122108     1,725       51,118 SH       SHARED     2                      51,118
Bristol-Myers Squibb      COM            110122108     7,777      230,444 SH       SHARED     1                     230,444
Caterpillar Inc           COM            149123101     3,430       32,204 SH       SHARED     1                      32,204
CCG Commercial Pool II
 Inc                      COM            12501RAF6       563        1,000 SH       SHARED     1                       1,000
Centro Retail Australia   COM            BSL0B74C7       902    9,688,869 SH       SHARED     1                   9,688,869
Centurylink Inc           COM            156700106     1,583       40,946 SH       SHARED     2                      40,946
Centurylink Inc           COM            156700106     5,878      152,084 SH       SHARED     1                     152,084
Charles Schwab Corp./The  COM            808513105     1,011       70,358 SH       SHARED     2                      70,358
Charles Schwab Corp./The  COM            808513105     3,684      256,345 SH       SHARED     1                     256,345
Chevron Corp              COM            166764100     3,583       33,419 SH       SHARED     2                      33,419
Chevron Corp              COM            166764100    12,080      112,672 SH       SHARED     1                     112,672
Cisco Systems Inc         COM            17275R102     2,771      130,994 SH       SHARED     2                     130,994
Cisco Systems Inc         COM            17275R102     8,355      395,014 SH       SHARED     1                     395,014
Citigroup Inc             COM            172967424     1,292       35,356 SH       SHARED     2                      35,356
Coca-Cola Co              COM            191216100     1,691       22,845 SH       SHARED     2                      22,845
Coca-Cola Co              COM            191216100     7,516      101,556 SH       SHARED     1                     101,556
ConocoPhillips            COM            20825C104     1,673       22,012 SH       SHARED     2                      22,012
ConocoPhillips            COM            20825C104     7,551       99,345 SH       SHARED     1                      99,345
Consolidated Edison Inc   COM            209115104     2,842       48,641 SH       SHARED     1                      48,641
Corning Inc               COM            219350105     3,119      221,524 SH       SHARED     2                     221,524
Corning Inc               COM            219350105     8,277      587,876 SH       SHARED     1                     587,876
Cosi Inc                  COM            22122P101       401      371,709 SH       SHARED     2                     371,709
Cosi Inc                  COM            22122P101     1,077      996,776 SH       SHARED     1                     996,776
CVS Caremark Corporation  COM            126650100     1,580       35,276 SH       SHARED     2                      35,276
CVS Caremark Corporation  COM            126650100     4,111       91,758 SH       SHARED     1                      91,758
Delta Air Lines Inc       COM            247361702       778       78,515 SH       SHARED     2                      78,515
Delta Air Lines Inc       COM            247361702     2,485      250,633 SH       SHARED     1                     250,633
DR Horton Inc             COM            23331A109     1,919      126,513 SH       SHARED     2                     126,513
DR Horton Inc             COM            23331A109     4,903      323,196 SH       SHARED     1                     323,196
Duke Energy Corp          COM            26441C105     3,036      144,504 SH       SHARED     1                     144,504
EI Dupont de Nemour and
 Co                       COM            263534109     1,711       32,335 SH       SHARED     2                      32,335
EI Dupont de Nemour and
 Co                       COM            263534109     7,756      146,614 SH       SHARED     1                     146,614
Eli Lilly & Co            COM            532457108     1,485       36,892 SH       SHARED     2                      36,892
Eli Lilly & Co            COM            532457108     3,991       99,118 SH       SHARED     1                      99,118
Emerson Electric Co       COM            291011104     1,585       30,374 SH       SHARED     2                      30,374
Emerson Electric Co       COM            291011104     4,184       80,185 SH       SHARED     1                      80,185
EOG Resources             COM            26875P101     1,604       14,438 SH       SHARED     2                      14,438
EOG Resources             COM            26875P101     4,169       37,526 SH       SHARED     1                      37,526
Exelon Corporation        COM            30161N101     1,352       34,478 SH       SHARED     2                      34,478
Exelon Corporation        COM            30161N101     5,994      152,872 SH       SHARED     1                     152,872
Exxon Mobil Corp          COM            30231G102     5,561       64,113 SH       SHARED     2                      64,113
Exxon Mobil Corp          COM            30231G102    20,011      230,725 SH       SHARED     1                     230,725
Fedex Corp                COM            31428X106         -            - SH       SHARED     1                           -
Forest Laboratories Inc   COM            345838106     2,764       79,676 SH       SHARED     2                      79,676
Forest Laboratories Inc   COM            345838106     7,195      207,410 SH       SHARED     1                     207,410
Fusion-io Inc             COM            36112J107     1,605       56,498 SH       SHARED     2                      56,498
Fusion-io Inc             COM            36112J107     4,181      147,167 SH       SHARED     1                     147,167
Gap Inc                   COM            364760108     1,971       75,395 SH       SHARED     2                      75,395
Gap Inc                   COM            364760108     5,090      194,711 SH       SHARED     1                     194,711
General Electric Company  COM            369604103     2,748      136,942 SH       SHARED     2                     136,942
General Electric Company  COM            369604103    10,180      507,236 SH       SHARED     1                     507,236
General Motors Co         COM            37045V100     1,229       47,911 SH       SHARED     2                      47,911
General Motors Co         COM            37045V100     3,171      123,643 SH       SHARED     1                     123,643
Goldman Sachs Group Inc   COM            38141G104     1,393       11,198 SH       SHARED     2                      11,198
Goldman Sachs Group Inc   COM            38141G104     3,788       30,454 SH       SHARED     1                      30,454
Goodyear Tire & Rubber
 Co                       COM            382550101     1,446      128,899 SH       SHARED     2                     128,899
Goodyear Tire & Rubber
 Co                       COM            382550101     3,800      338,704 SH       SHARED     1                     338,704
Google Inc-cl A           COM            38259P508     5,311        8,282 SH       SHARED     2                       8,282
Google Inc-cl A           COM            38259P508    14,094       21,980 SH       SHARED     1                      21,980
HALOZYME THERAPEUTICS
 INC                      COM            40637H109     2,378      186,382 SH       SHARED     2                     186,382
HALOZYME THERAPEUTICS
 INC                      COM            40637H109     6,417      502,900 SH       SHARED     1                     502,900
Hess Corp                 COM            42809H107     1,273       21,597 SH       SHARED     2                      21,597
Hess Corp                 COM            42809H107     3,648       61,876 SH       SHARED     1                      61,876
Home Depot Inc            COM            437076102     4,279       85,046 SH       SHARED     1                      85,046
Honeywell International
 Inc                      COM            438516106     1,674       27,423 SH       SHARED     2                      27,423
Honeywell International
 Inc                      COM            438516106     8,825      144,557 SH       SHARED     1                     144,557
IBM Corp                  COM            459200101     2,268       10,868 SH       SHARED     2                      10,868
IBM Corp                  COM            459200101     9,318       44,659 SH       SHARED     1                      44,659
Intel Corp                COM            458140100     5,283      187,916 SH       SHARED     2                     187,916
Intel Corp                COM            458140100    18,151      645,590 SH       SHARED     1                     645,590
Intermec Inc              COM            458786100     1,620      209,626 SH       SHARED     2                     209,626
Intermec Inc              COM            458786100     2,512      325,000 SH       SHARED     1                     325,000
Intermec Inc              COM            458786100     4,217      545,514 SH       SHARED     1                     545,514
International Paper Co    COM            460146103     2,083       59,343 SH       SHARED     2                      59,343
International Paper Co    COM            460146103     7,972      227,114 SH       SHARED     1                     227,114
Ishares                   COM            464286806       621       26,700 SH       SHARED     1                      26,700
Ishares                   COM            464286822     1,355       21,675 SH       SHARED     1                      21,675
Ishares                   COM            464286699     2,631      152,100 SH       SHARED     1                     152,100
Ishares                   COM            464286707     2,871      130,100 SH       SHARED     1                     130,100
IShares                   COM            464286699     3,181      183,870 SH       SHARED     1                     183,870
IShares                   COM            464287598     4,909       70,060 SH       SHARED     1                      70,060
Ishares                   COM            464286848     9,169      900,706 SH       SHARED     1                     900,706
IShares                   COM            464287648    15,211      159,480 SH       SHARED     1                     159,480
IShares                   COM            464287465    23,539      428,838 SH       SHARED     2                     428,838
IShares                   COM            464287473    47,030      977,138 SH       SHARED     1                     977,138
IShares                   COM            464287200   135,337      958,407 SH       SHARED     1                     958,407
IShares Barclays
 Treasury Infl            COM            464287176    74,183      630,538 SH       SHARED     1                     630,538
Ishares Tr                COM            464287465    10,846      197,600 SH       SHARED     1                     197,600
Johnson & Johnson         COM            478160104     2,781       42,160 SH       SHARED     1                      42,160
JP Morgan Chase & Co      COM            46625H100     2,992       65,069 SH       SHARED     2                      65,069
Kayne Anderson ETR Fund,
 Inc.                     COM            48660P2#0    16,650      600,000 SH       SHARED     1                     600,000
Kayne Anderson Midstream
 Enrgy                    COM            48661E2*8    16,800      600,000 SH       SHARED     1                     600,000
Kayne Anderson MLP
 Investment               COM            4866064#0    12,320      440,000 SH       SHARED     1                     440,000
Kayne Anderson MLP
 Investment               COM            4866062#2    16,650      600,000 SH       SHARED     1                     600,000
Kimberly-Clark Corp       COM            494368103     1,287       17,419 SH       SHARED     2                      17,419
Kimberly-Clark Corp       COM            494368103     6,469       87,554 SH       SHARED     1                      87,554
Kraft Foods Inc           COM            50075N104     1,588       41,791 SH       SHARED     2                      41,791
Kraft Foods Inc           COM            50075N104     7,140      187,855 SH       SHARED     1                     187,855
Legg Mason Inc            COM            524901105     1,599       57,233 SH       SHARED     2                      57,233
Legg Mason Inc            COM            524901105     4,148      148,519 SH       SHARED     1                     148,519
Lloyds Banking Group PLC  COM            539439AC3     1,007    1,460,000 SH       SHARED     1                   1,460,000
Lockheed Martin Corp      COM            539830109     1,368       15,228 SH       SHARED     2                      15,228
Lockheed Martin Corp      COM            539830109     3,541       39,401 SH       SHARED     1                      39,401
Louisiana Pacific Corp    COM            546347105     1,559      166,758 SH       SHARED     2                     166,758
Louisiana Pacific Corp    COM            546347105     4,120      440,600 SH       SHARED     1                     440,600
Lowes Companies Inc       COM            548661107     1,490       47,484 SH       SHARED     2                      47,484
Lowes Companies Inc       COM            548661107     4,047      128,963 SH       SHARED     1                     128,963
McDonald's Corp           COM            580135101     2,979       30,363 SH       SHARED     1                      30,363
Merck & Co. Inc.          COM            58933Y105     1,536       40,011 SH       SHARED     2                      40,011
Merck & Co. Inc.          COM            58933Y105     7,316      190,532 SH       SHARED     1                     190,532
Merge Healthcare Inc      COM            589499102     1,481      252,733 SH       SHARED     2                     252,733
MetLife Inc               COM            59156R108     6,729      180,159 SH       SHARED     1                     180,159
Microsoft Corp            COM            594918104     3,320      102,945 SH       SHARED     2                     102,945
Microsoft Corp            COM            594918104    12,239      379,436 SH       SHARED     1                     379,436
Monster World Wide Inc    COM            611742107     2,015      206,619 SH       SHARED     2                     206,619
Monster World Wide Inc    COM            611742107     5,240      537,439 SH       SHARED     1                     537,439
Morgan Stanley            COM            617446448     1,035       52,684 SH       SHARED     2                      52,684
Morgan Stanley            COM            617446448     2,862      145,739 SH       SHARED     1                     145,739
Mosaic Holdings Inc       COM            61945C103     1,521       27,514 SH       SHARED     2                      27,514
Mosaic Holdings Inc       COM            61945C103     4,040       73,074 SH       SHARED     1                      73,074
Mrv Communications Inc    COM            553477100     1,077    1,025,247 SH       SHARED     2                   1,025,247
Nokia OYJ                 COM            654902204     1,658      302,081 SH       SHARED     2                     302,081
Nokia OYJ                 COM            654902204     4,364      794,917 SH       SHARED     1                     794,917
Occidental Petroleum
 Corp                     COM            674599105     1,644       17,264 SH       SHARED     2                      17,264
Occidental Petroleum
 Corp                     COM            674599105     4,273       44,872 SH       SHARED     1                      44,872
Oclaro Inc                COM            67555N206     1,523      386,429 SH       SHARED     2                     386,429
Pepsico Inc               COM            713448108     1,470       22,158 SH       SHARED     2                      22,158
Pepsico Inc               COM            713448108     6,846      103,174 SH       SHARED     1                     103,174
Pfizer Inc                COM            717081103     1,151       50,819 SH       SHARED     2                      50,819
Pfizer Inc                COM            717081103    10,936      482,919 SH       SHARED     1                     482,919
Philip Morris
 International            COM            718172109     1,684       19,007 SH       SHARED     2                      19,007
Philip Morris
 International            COM            718172109     4,381       49,441 SH       SHARED     1                      49,441
PNC Financial Services
 Group                    COM            693475105     6,671      103,446 SH       SHARED     1                     103,446
Powershares QQQ Nasdaq
 100                      COM            73935A104    27,986      414,300 SH       SHARED     1                     414,300
Procter & Gamble Co       COM            742718109     2,247       33,428 SH       SHARED     2                      33,428
Procter & Gamble Co       COM            742718109     8,985      133,683 SH       SHARED     1                     133,683
Prudential Financial Inc  COM            744320102     7,120      112,314 SH       SHARED     1                     112,314
Raytheon Company          COM            755111507     1,340       25,395 SH       SHARED     2                      25,395
Raytheon Company          COM            755111507     3,468       65,705 SH       SHARED     1                      65,705
Riverbed Technology Inc   COM            768573107     1,754       62,470 SH       SHARED     2                      62,470
Riverbed Technology Inc   COM            768573107     4,653      165,705 SH       SHARED     1                     165,705
Safeway Inc               COM            786514208     1,474       72,919 SH       SHARED     2                      72,919
Safeway Inc               COM            786514208     3,824      189,226 SH       SHARED     1                     189,226
SAIC Inc                  COM            78390X101     1,644      124,529 SH       SHARED     2                     124,529
SAIC Inc                  COM            78390X101     4,375      331,441 SH       SHARED     1                     331,441
Silicon Graphics          COM            82706L108     3,073      317,493 SH       SHARED     2                     317,493
Silicon Graphics          COM            82706L108     8,432      871,123 SH       SHARED     1                     871,123
Silicon Graphics Int
 Corp                     COM            82706L108     9,104      940,500 SH       SHARED     1                     940,500
SPDR S&P 500 ETF Trust    COM            78462F103   118,404      840,879 SH       SHARED     1                     840,879
SPDR S&P 500 ETF Trust    COM            78462F103   279,138    1,982,375 SH       SHARED     1                   1,982,375
State Street Corp         COM            857477103     1,345       29,571 SH       SHARED     2                      29,571
State Street Corp         COM            857477103     4,072       89,490 SH       SHARED     1                      89,490
Supervalu Inc             COM            868536103     3,044      533,159 SH       SHARED     2                     533,159
Supervalu Inc             COM            868536103     5,627      985,519 SH       SHARED     1                     985,519
Talisman Energy Inc       COM            87425E103     1,564      124,100 SH       SHARED     2                     124,100
Talisman Energy Inc       COM            87425E103     4,135      328,200 SH       SHARED     1                     328,200
Target Corp               COM            87612E106     1,282       21,997 SH       SHARED     2                      21,997
Target Corp               COM            87612E106     3,496       59,994 SH       SHARED     1                      59,994
Travelers Cos Inc         COM            89417E109     3,293       55,632 SH       SHARED     1                      55,632
United Continental
 Holdings                 COM            910047109       847       39,391 SH       SHARED     2                      39,391
United Technologies Corp  COM            913017109     1,537       18,533 SH       SHARED     2                      18,533
United Technologies Corp  COM            913017109     8,279       99,823 SH       SHARED     1                      99,823
Unum Group                COM            91529Y106     2,457      100,368 SH       SHARED     2                     100,368
Unum Group                COM            91529Y106     6,315      257,957 SH       SHARED     1                     257,957
US Bancorp                COM            902973304     1,704       53,793 SH       SHARED     2                      53,793
US Bancorp                COM            902973304     8,987      283,667 SH       SHARED     1                     283,667
Valero Energy Corp        COM            91913Y100     1,444       56,037 SH       SHARED     2                      56,037
Valero Energy Corp        COM            91913Y100     3,767      146,163 SH       SHARED     1                     146,163
Vanguard MSCI EAFE ETF    COM            921943858    20,398      599,416 SH       SHARED     1                     599,416
Vanguard REIT ETF         COM            922908553    10,675      167,710 SH       SHARED     2                     167,710
Vanguard REIT ETF         COM            922908553    48,329      759,287 SH       SHARED     1                     759,287
Vanguard REIT ETF         COM            922908553    66,616    1,046,600 SH       SHARED     1                   1,046,600
Vanguard Short-Term Bond
 ETF                      COM            921937827    62,148      767,828 SH       SHARED     1                     767,828
Vanguard Small Cap ETF    COM            922908751    11,011      139,874 SH       SHARED     1                     139,874
Vanguard Total Bond
 Market                   COM            921937835    74,545      895,110 SH       SHARED     1                     895,110
Verizon Communications
 Inc                      COM            92343V104     1,460       38,184 SH       SHARED     2                      38,184
Verizon Communications
 Inc                      COM            92343V104     6,805      177,997 SH       SHARED     1                     177,997
Viacom Inc                COM            92553P201     1,373       28,939 SH       SHARED     2                      28,939
Viacom Inc                COM            92553P201     3,771       79,449 SH       SHARED     1                      79,449
Vicor Corp                COM            925815102     1,054      131,738 SH       SHARED     2                     131,738
Vicor Corp                COM            925815102     2,109      263,604 SH       SHARED     1                     263,604
Vicor Corp                               925815102     4,377      547,164 SH       SHARED     1                     547,164
Wachovia Capital Trust
 III                      COM            92978AAA0       945    1,000,000 SH       SHARED     1                   1,000,000
Wachovia Capital Trust
 III                      COM            92978AAA0    15,120   16,000,000 SH       SHARED     1                  16,000,000
Wal-Mart Stores Inc       COM            931142103     1,691       27,629 SH       SHARED     2                      27,629
Wal-Mart Stores Inc       COM            931142103     7,786      127,220 SH       SHARED     1                     127,220
Walt Disney Co            COM            254687106     1,651       37,701 SH       SHARED     2                      37,701
Walt Disney Co            COM            254687106     4,293       98,064 SH       SHARED     1                      98,064
Wells Fargo & Co          COM            949746101     2,106       61,697 SH       SHARED     2                      61,697
XL Group Plc              COM            98372PAJ7       332      394,000 SH       SHARED     1                     394,000

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