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, 2007

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:    BP p.l.c.
Address: 1 St James's Square
         London SW1Y 4PD
         England

Form 13F File Number:  28-05353

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:  Dr. Byron E. Grote
Title: Chief Financial Officer and Executive Director
Phone: 020 7496 4263

Signature, Place, and Date of Signing:

/s/ Byron Grote      London, UK            Nov 1st 2007
------------------   ------------------    ------------------
[Signature]          [City,State]          [Date]

Report Type (Check only one.):

[X] 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).)

[ ] 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:

Form 13F File Number               Name

28-________________                _______________



                      Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:            1
                                          ------------

Form 13F Information Table Entry Total:      414
                                          ------------

Form 13F Information Table Value Total:   $ 2,528,874
                                          ------------
                                          (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.

No.  Form 13F File Number          Name
01   28-05357                 BP Investment Management Limited








BP P.L.C.
FORM 13F INFORMATION TABLE
SEPTEMBER, 2007

                                   TITLE
                                    OF                 VALUE    SHARES    SH/   INVESTMENT            VOTING AUTHORITY
              ISSUER               CLASS    CUSIP    (x$1000)  /PRN AMT   PRN   DISCRETION  MANAGERS    SOLE    SHARED   NONE
                                                                                          
3M CO                               COM  88579Y101       11230     120000  SH    DEFINED       01        120000
ABBOTT LABS                         COM  002824100       13271     247500  SH    DEFINED       01        247500
ACE LTD                             COM  G0070K103        3998      66000  SH    DEFINED       01         66000
ADOBE SYS INC                       COM  00724F101        4148      95000  SH    DEFINED       01         95000
ADVANCED MICRO DEVICES INC          COM  007903107        1148      87000  SH    DEFINED       01         87000
AES CORP                            COM  00130H105        2285     114000  SH    DEFINED       01        114000
AETNA INC                           COM  00817Y108        4884      90000  SH    DEFINED       01         90000
AFFILIATED COMPUTER SVCS INC        COM  008190100        1017      20250  SH    DEFINED       01         20250
AFLAC INC                           COM  001055102        4064      71250  SH    DEFINED       01         71250
AGILENT TECHNOLOGIES INC            COM  00846U101        2877      78000  SH    DEFINED       01         78000
AIR PRODS + CHEMS INC               COM  009158106        4399      45000  SH    DEFINED       01         45000
ALCOA INC                           COM  013817101        5985     153000  SH    DEFINED       01        153000
ALLEGHENY ENERGY INC                COM  017361106        2548      48750  SH    DEFINED       01         48750
ALLEGHENY TECHNOLOGIES INC          COM  01741R102        1814      16500  SH    DEFINED       01         16500
ALLSTATE CORP                       COM  020002101        5376      94000  SH    DEFINED       01         94000
ALLTEL CORP                         COM  020039103        4181      60000  SH    DEFINED       01         60000
ALTERA CORP                         COM  021441100        1806      75000  SH    DEFINED       01         75000
ALTRIA GROUP INC                    COM  02209S103       24770     356250  SH    DEFINED       01        356250
AMAZON COM INC                      COM  023135106        4611      49500  SH    DEFINED       01         49500
AMBAC FINL GROUP INC                COM  023139108        1872      29750  SH    DEFINED       01         29750
AMEREN CORP                         COM  023608102        1575      30000  SH    DEFINED       01         30000
AMERICA MOVIL S A DE C V            ADR  02364W204       19140     300000  SH    DEFINED       01        300000
AMERICA MOVIL SAB DE CV             ADR  02364W105        7552     118000  SH    DEFINED       01        118000
AMERICAN ELEC PWR INC               COM  025537101        2765      60000  SH    DEFINED       01         60000
AMERICAN EXPRESS CO                 COM  025816109       12082     203500  SH    DEFINED       01        203500
AMERICAN INTL GROUP INC             COM  026874107       28667     423750  SH    DEFINED       01        423750
AMERICAN STD COS INC DEL            COM  029712106        1015      28500  SH    DEFINED       01         28500
AMERIPRISE FINL INC                 COM  03076C106        1969      31200  SH    DEFINED       01         31200
AMERISOURCEBERGEN CORP              COM  03073E105        1700      37500  SH    DEFINED       01         37500
AMGEN INC                           COM  031162100       10126     179000  SH    DEFINED       01        179000
ANADARKO PETE CORP                  COM  032511107        4434      82500  SH    DEFINED       01         82500
ANALOG DEVICES INC                  COM  032654105        2170      60000  SH    DEFINED       01         60000
ANHEUSER BUSCH COS INC              COM  035229103        6074     121500  SH    DEFINED       01        121500
AON CORP                            COM  037389103        3159      70500  SH    DEFINED       01         70500
APACHE CORP                         COM  037411105        4728      52500  SH    DEFINED       01         52500
APOLLO GROUP INC                    COM  037604105        1714      28500  SH    DEFINED       01         28500
APPLE INC                           COM  037833100       20843     135750  SH    DEFINED       01        135750
APPLERA CORP APPLIED BIOSYS         COM  038020103        1039      30000  SH    DEFINED       01         30000
APPLIED MATERIALS INC               COM  038222105        5341     258000  SH    DEFINED       01        258000
ARACRUZ CELULOSE S A                ADR  038496204         202       2750  SH    DEFINED       01          2750
ARCH CAP GROUP LTD                  COM  G0450A105        1473      19800  SH    DEFINED       01         19800
ARCHER DANIELS MIDLAND CO           COM  039483102        3722     112500  SH    DEFINED       01        112500
ASSURANT INC                        COM  04621X108         910      17000  SH    DEFINED       01         17000
AT+T INC                            COM  00206R102       43283    1023000  SH    DEFINED       01       1023000
AUTODESK INCORPORATED               COM  052769106        2474      49500  SH    DEFINED       01         49500
AUTOMATIC DATA PROCESSING INC       COM  053015103        4134      90000  SH    DEFINED       01         90000
AVAYA INC                           COM  053499109        1018      60000  SH    DEFINED       01         60000
AVON PRODS INC                      COM  054303102        2815      75000  SH    DEFINED       01         75000
BAKER HUGHES INC                    COM  057224107        5535      61250  SH    DEFINED       01         61250
BANCO BRADESCO SA                   ADR  059460303        2056      70000  SH    DEFINED       01         70000
BANCO ITAU S A                      ADR  059602201        1266      25000  SH    DEFINED       01         25000
BANK AMER CORP                      COM  060505104       37527     746500  SH    DEFINED       01        746500
BANK NEW YORK MELLON CORP           COM  064058100        9060     205260  SH    DEFINED       01        205260
BARD C R INC                        COM  067383109        1984      22500  SH    DEFINED       01         22500
BAUSCH + LOMB INC                   COM  071707103         576       9000  SH    DEFINED       01          9000
BAXTER INTL INC                     COM  071813109        5276      93750  SH    DEFINED       01         93750
BB+T CORP                           COM  054937107        3635      90000  SH    DEFINED       01         90000
BECTON DICKINSON + CO               COM  075887109        3077      37500  SH    DEFINED       01         37500
BED BATH + BEYOND INC               COM  075896100        1535      45000  SH    DEFINED       01         45000
BEST BUY CO INC                     COM  086516101        3083      67000  SH    DEFINED       01         67000
BIOGEN IDEC INC                     COM  09062X103        3383      51000  SH    DEFINED       01         51000
BJ SVCS CO                          COM  055482103        1712      64500  SH    DEFINED       01         64500
BLACK + DECKER CORPORATION          COM  091797100         937      11250  SH    DEFINED       01         11250
BLOCK H + R INC                     COM  093671105        1144      54000  SH    DEFINED       01         54000
BMC SOFTWARE INC                    COM  055921100        1077      34500  SH    DEFINED       01         34500
BOEING CO                           COM  097023105       14331     136500  SH    DEFINED       01        136500
BOSTON SCIENTIFIC CORP              COM  101137107        2860     204984  SH    DEFINED       01        204984
BRISTOL MYERS SQUIBB CO             COM  110122108       10123     351250  SH    DEFINED       01        351250
BROADCOM CORP                       COM  111320107        2624      72000  SH    DEFINED       01         72000
BURLINGTON NORTHN SANTA FE          COM  12189T104        4748      58500  SH    DEFINED       01         58500
BUTTERFIELD FD MGR THAI EURO        COM  335020905        4660     180000  SH    DEFINED       01        180000
CA INC                              COM  12673P105        1929      75000  SH    DEFINED       01         75000
CAPITAL ONE FINL CORP               COM  14040H105        4484      67500  SH    DEFINED       01         67500
CARDINAL HEALTH INC                 COM  14149Y108        4658      74500  SH    DEFINED       01         74500
CARNIVAL CORP                       COM  143658300        3269      67500  SH    DEFINED       01         67500
CATERPILLAR INC                     COM  149123101        9647     123000  SH    DEFINED       01        123000
CB RICHARD ELLIS GROUP INC          COM  12497T101        1086      39000  SH    DEFINED       01         39000
CELGENE CORP                        COM  151020104        6026      84500  SH    DEFINED       01         84500
CEMEX S.A.B DE C.C ADR              ADR  151290889        7790     260346  SH    DEFINED       01        260346
CENTERPOINT ENERGY INC              COM  15189T107        1347      84000  SH    DEFINED       01         84000
CENTEX CORP                         COM  152312104         817      30750  SH    DEFINED       01         30750
CHESAPEAKE ENERGY CORP              COM  165167107        2645      75000  SH    DEFINED       01         75000
CHEVRON CORP                        COM  166764100       33184     354604  SH    DEFINED       01        354604
CHUBB CORP                          COM  171232101        3218      60000  SH    DEFINED       01         60000
CIGNA CORP                          COM  125509109        2878      54000  SH    DEFINED       01         54000
CINTAS CORP                         COM  172908105         807      21750  SH    DEFINED       01         21750
CISCO SYS INC                       COM  17275R102       33772    1020000  SH    DEFINED       01       1020000
CITADEL BROADCASTING CORP           COM  17285T106         208      50067  SH    DEFINED       01         50067
CITIGROUP INC                       COM  172967101       37103     795000  SH    DEFINED       01        795000
CITIZENS COMMUNICATIONS CO          COM  17453B101        1138      79500  SH    DEFINED       01         79500
CITRIX SYS INC                      COM  177376100        1210      30000  SH    DEFINED       01         30000
CLEAR CHANNEL COMMUNICATIONS        COM  184502102        3267      87250  SH    DEFINED       01         87250
CME GROUP INC                       COM  12572Q105        5404       9200  SH    DEFINED       01          9200
COACH INC                           COM  189754104        3368      71250  SH    DEFINED       01         71250
COCA COLA CO                        COM  191216100       21551     375000  SH    DEFINED       01        375000
COCA COLA ENTERPRISES INC           COM  191219104        1290      53250  SH    DEFINED       01         53250
COGNIZANT TECHNOLOGY SOLUTIONS      COM  192446102        1795      22500  SH    DEFINED       01         22500
COLGATE PALMOLIVE CO                COM  194162103        7596     106500  SH    DEFINED       01        106500
COMCAST CORP NEW                    COM  20030N101       12695     525000  SH    DEFINED       01        525000
COMERICA INC                        COM  200340107        1346      26250  SH    DEFINED       01         26250
COMMERCE BANCORP INC N J            COM  200519106        1454      37500  SH    DEFINED       01         37500
COMMVAULT SYSTEMS INC               COM  204166102         358      19324  SH      SOLE                   19324
COMPANHIA DE BEBIDAS DAS AMERS      ADR  20441W203         951      13000  SH    DEFINED       01         13000
COMPANHIA SIDERURGICA NATL          ADR  20440W105         769      10900  SH    DEFINED       01         10900
COMPANHIA VALE DO RIO DOCE          ADR  204412209        6786     200000  SH    DEFINED       01        200000
COMPUTER SCIENCES CORP              COM  205363104        1677      30000  SH    DEFINED       01         30000
CONAGRA INC                         COM  205887102        2927     112000  SH    DEFINED       01        112000
CONOCOPHILLIPS                      COM  20825C104       23698     270000  SH    DEFINED       01        270000
CONSTELLATION ENERGY GROUP INC      COM  210371100        3517      41000  SH    DEFINED       01         41000
CORNING INC                         COM  219350105        6101     247500  SH    DEFINED       01        247500
COSTCO WHSL CORP NEW                COM  22160K105        4142      67500  SH    DEFINED       01         67500
COUNTRYWIDE FINL CORP               COM  222372104        1911     100500  SH    DEFINED       01        100500
COVENTRY HEALTH CARE INC            COM  222862104        2799      45000  SH    DEFINED       01         45000
COVIDIEN LTD                        COM  G2552X108        3253      78375  SH    DEFINED       01         78375
CSX CORP                            COM  126408103        3077      72000  SH    DEFINED       01         72000
CUMMINS INC                         COM  231021106        2302      18000  SH    DEFINED       01         18000
CVS CAREMARK CORP                   COM  126650100       10810     272775  SH    DEFINED       01        272775
D R HORTON INC                      COM  23331A109         711      55500  SH    DEFINED       01         55500
DANAHER CORP                        COM  235851102        3929      47500  SH    DEFINED       01         47500
DEERE + CO                          COM  244199105        5566      37500  SH    DEFINED       01         37500
DELL INC                            COM  24702R101       10212     370000  SH    DEFINED       01        370000
DENISON MINES CORP                  COM  248356107         339      30240  SH    DEFINED       01         30240
DEVON ENERGY CORPORATION NEW        COM  25179M103        5803      69750  SH    DEFINED       01         69750
DIRECTV GROUP INC                   COM  25459L106        3885     160000  SH    DEFINED       01        160000
DISCOVER FINL SVCS                  COM  254709108         905      43500  SH    DEFINED       01         43500
DISNEY WALT CO                      COM  254687106       11865     345000  SH    DEFINED       01        345000
DOMINION RES INC VA NEW             COM  25746U109        3920      46500  SH    DEFINED       01         46500
DONNELLEY R R + SONS CO             COM  257867101        1426      39000  SH    DEFINED       01         39000
DOVER CORP                          COM  260003108        1758      34500  SH    DEFINED       01         34500
DOW CHEM CO                         COM  260543103        7105     165000  SH    DEFINED       01        165000
DTE ENERGY CO                       COM  233331107        1453      30000  SH    DEFINED       01         30000
DU PONT E I DE NEMOURS + CO         COM  263534109        7806     157500  SH    DEFINED       01        157500
DUKE ENERGY HLDG CORP               COM  26441C105        3831     205000  SH    DEFINED       01        205000
E TRADE FINL CORP                   COM  269246104         882      67500  SH    DEFINED       01         67500
EASTMAN KODAK CO                    COM  277461109        1204      45000  SH    DEFINED       01         45000
EATON CORP                          COM  278058102        2332      23550  SH    DEFINED       01         23550
EBAY INC                            COM  278642103        7258     186000  SH    DEFINED       01        186000
ECOLAB INC                          COM  278865100        2832      60000  SH    DEFINED       01         60000
EDISON INTL                         COM  281020107        3743      67500  SH    DEFINED       01         67500
EHEALTH, INC.                       COM  28238P901         272       9837  SH      SOLE                    9837
EL PASO CORP                        COM  28336L109        2715     160000  SH    DEFINED       01        160000
ELECTRONIC ARTS INC                 COM  285512109        3415      61000  SH    DEFINED       01         61000
ELECTRONIC DATA SYS CORP NEW        COM  285661104        1704      78000  SH    DEFINED       01         78000
EMBARQ CORP                         COM  29078E105        1369      24616  SH    DEFINED       01         24616
EMBRAER EMPRESA BRASILEIRA DE       ADR  29081M102         439      10000  SH    DEFINED       01         10000
EMC CORP                            COM  268648102        7613     366000  SH    DEFINED       01        366000
EMERSON ELEC CO                     COM  291011104        7983     150000  SH    DEFINED       01        150000
ENTERGY CORP NEW                    COM  29364G103        3574      33000  SH    DEFINED       01         33000
EOG RESOURCES INC                   COM  26875P101        3363      46500  SH    DEFINED       01         46500
EQUITY RESIDENTIAL                  COM  29476L107        1970      46500  SH    DEFINED       01         46500
EXELON CORP                         COM  30161N101        9797     130000  SH    DEFINED       01        130000
EXPRESS SCRIPTS INC                 COM  302182100        2679      48000  SH    DEFINED       01         48000
EXXON MOBIL CORP                    COM  30231G102       87654     947000  SH    DEFINED       01        947000
FEDERAL HOME LN MTG CORP            COM  313400301        7302     123750  SH    DEFINED       01        123750
FEDERAL NATL MTG ASSN               COM  313586109       10262     168750  SH    DEFINED       01        168750
FEDEX CORP                          COM  31428X106        5107      48750  SH    DEFINED       01         48750
FIFTH THIRD BANCORP                 COM  316773100        3049      90000  SH    DEFINED       01         90000
FIRST HORIZON NATL CORP             COM  320517105         860      32250  SH    DEFINED       01         32250
FIRSTENERGY CORP                    COM  337932107        3800      60000  SH    DEFINED       01         60000
FISERV INC                          COM  337738108        1450      28500  SH    DEFINED       01         28500
FLEXTRONICS INTERNATIONAL LTD       COM  Y2573F102         755      67500  SH    DEFINED       01         67500
FLUOR CORP NEW                      COM  343412102        3959      27500  SH    DEFINED       01         27500
FOMENTO ECONOMICO MEXICANO SAB      ADR  344419106        4163     111300  SH    DEFINED       01        111300
FORD MTR CO DEL                     COM  345370860        2165     255000  SH    DEFINED       01        255000
FOREST LABS INC                     COM  345838106        1986      53250  SH    DEFINED       01         53250
FPL GROUP INC                       COM  302571104        4962      81500  SH    DEFINED       01         81500
FRANKLIN RES INC                    COM  354613101        4781      37500  SH    DEFINED       01         37500
FREEPORT MCMORAN COPPER + GOLD      COM  35671D857        5622      53595  SH    DEFINED       01         53595
GANNETT INC                         COM  364730101        1639      37500  SH    DEFINED       01         37500
GAP INC                             COM  364760108        1761      95500  SH    DEFINED       01         95500
GENENTECH INC                       COM  368710406        1287      16500  SH    DEFINED       01         16500
GENERAL DYNAMICS CORP               COM  369550108        6335      75000  SH    DEFINED       01         75000
GENERAL ELEC CO                     COM  369604103       69785    1685625  SH    DEFINED       01       1685625
GENERAL MLS INC                     COM  370334104        3408      58750  SH    DEFINED       01         58750
GENERAL MTRS CORP                   COM  370442105        3165      86250  SH    DEFINED       01         86250
GENUINE PARTS CO                    COM  372460105        1650      33000  SH    DEFINED       01         33000
GENZYME CORP                        COM  372917104        3021      48750  SH    DEFINED       01         48750
GILEAD SCIENCES INC                 COM  375558103        6539     160000  SH    DEFINED       01        160000
GOLDMAN SACHS GROUP INC             COM  38141G104       14467      66750  SH    DEFINED       01         66750
GOOGLE INC                          COM  38259P508       20422      36000  SH    DEFINED       01         36000
GRUPO TELEVISION SA DE CV           GDR  40049J206        3746     155000  SH    DEFINED       01        155000
HALLIBURTON CO                      COM  406216101        8337     217100  SH    DEFINED       01        217100
HARLEY DAVIDSON INC                 COM  412822108        1941      42000  SH    DEFINED       01         42000
HARMAN INTL INDS INC NEW            COM  413086109         973      11250  SH    DEFINED       01         11250
HARRAHS ENTMT INC                   COM  413619107        2478      28500  SH    DEFINED       01         28500
HARTFORD FINANCIAL SVCS GRP         COM  416515104        5553      60000  SH    DEFINED       01         60000
HASBRO INC                          COM  418056107         836      30000  SH    DEFINED       01         30000
HEINZ H J CO                        COM  423074103        3119      67500  SH    DEFINED       01         67500
HELLENIC TELECOMMUNICATIONS         ADR  423325307         522      27778  SH    DEFINED       01         27778
HERSHEY CO / THE                    COM  427866108        1323      28500  SH    DEFINED       01         28500
HESS CORP                           COM  42809H107        3925      59000  SH    DEFINED       01         59000
HEWLETT PACKARD CO                  COM  428236103       22181     445500  SH    DEFINED       01        445500
HILTON HOTELS CORP                  COM  432848109        3487      75000  SH    DEFINED       01         75000
HOME DEPOT INC                      COM  437076102       11451     353000  SH    DEFINED       01        353000
HONEYWELL INTL INC                  COM  438516106        8683     146000  SH    DEFINED       01        146000
HOSPIRA INC                         COM  441060100        1026      24750  SH    DEFINED       01         24750
HUMANA INC                          COM  444859102        1782      25500  SH    DEFINED       01         25500
IAC INTERACTIVECORP                 COM  44919P300        1068      36000  SH    DEFINED       01         36000
ILLINOIS TOOL WKS INC               COM  452308109        5547      93000  SH    DEFINED       01         93000
IMS HEALTH INC                      COM  449934108        1379      45000  SH    DEFINED       01         45000
INGERSOLL RAND COMPANY LIMITED      COM  G4776G101        3432      63000  SH    DEFINED       01         63000
INTEL CORP                          COM  458140100       27153    1050000  SH    DEFINED       01       1050000
INTERCONTINENTAL EXCHANGE INC       COM  45865V100     197,912    1302911  SH      SOLE                 1302911
INTERNATIONAL BUSINESS MACHS        COM  459200101       28625     243000  SH    DEFINED       01        243000
INTERNATIONAL GAME TECHNOLOGY       COM  459902102        2651      61500  SH    DEFINED       01         61500
INTERNATIONAL PAPER CO              COM  460146103        2959      82500  SH    DEFINED       01         82500
INTERWEST PARTNERS IX               COM  461889917        3421    2500000  SH    DEFINED       01       2500000
INTUIT                              COM  461202103        1818      60000  SH    DEFINED       01         60000
IONA TECHNOLOGIES PLC               ADR  46206P109         250      65000  SH    DEFINED       01         65000
ISHARES TR                          COM  464287564       16839     180000  SH    DEFINED       01        180000
ITT CORP NEW                        COM  450911102        2038      30000  SH    DEFINED       01         30000
JABIL CIRCUIT INC                   COM  466313103         925      40500  SH    DEFINED       01         40500
JDS UNIPHASE CORP                   COM  46612J507         505      33750  SH    DEFINED       01         33750
JOHNSON + JOHNSON                   COM  478160104       31536     480000  SH    DEFINED       01        480000
JOHNSON CTLS INC                    COM  478366107        4429      37500  SH    DEFINED       01         37500
JPMORGAN CHASE + CO                 COM  46625H100       26752     583850  SH    DEFINED       01        583850
JUNIPER NETWORKS INC                COM  48203R104        3295      90000  SH    DEFINED       01         90000
KB HOME                             COM  48666K109         376      15000  SH    DEFINED       01         15000
KELLOGG CO                          COM  487836108        2184      39000  SH    DEFINED       01         39000
KEYCORP NEW                         COM  493267108        2182      67500  SH    DEFINED       01         67500
KIMBERLY CLARK CORP                 COM  494368103        5059      72000  SH    DEFINED       01         72000
KLA TENCOR CORP                     COM  482480100        1757      31500  SH    DEFINED       01         31500
KOHLS CORP                          COM  500255104        3382      59000  SH    DEFINED       01         59000
KRAFT FOODS INC                     COM  50075N104        8163     236533  SH    DEFINED       01        236533
KROGER CO                           COM  501044101        3294     115500  SH    DEFINED       01        115500
L 3 COMMUNICATIONS HLDG CORP        COM  502424104        2605      25500  SH    DEFINED       01         25500
LEGG MASON INC                      COM  524901105        2213      26250  SH    DEFINED       01         26250
LEHMAN BROTHERS HLDGS INC           COM  524908100        5587      90500  SH    DEFINED       01         90500
LEXMARK INTL INC                    COM  529771107         685      16500  SH    DEFINED       01         16500
LG PHILIPS LCD CO LTD               COM  50186V102        4190     175000  SH    DEFINED       01        175000
LIBERTY MEDIA CORP NEW              COM  53071M302         936       7500  SH    DEFINED       01          7500
LILLY ELI + CO                      COM  532457108        8966     157500  SH    DEFINED       01        157500
LIMITED BRANDS INC                  COM  532716107        1602      70000  SH    DEFINED       01         70000
LINCOLN NATL CORP IN                COM  534187109        4288      65000  SH    DEFINED       01         65000
LINEAR TECHNOLOGY CORP              COM  535678106        1837      52500  SH    DEFINED       01         52500
LOCKHEED MARTIN CORP                COM  539830109        7486      69000  SH    DEFINED       01         69000
LOEWS CORP                          COM  540424108        4823      99750  SH    DEFINED       01         99750
LOWES COS INC                       COM  548661107        7187     256500  SH    DEFINED       01        256500
LSI CORP                            COM  502161102         501      67500  SH    DEFINED       01         67500
M + T BK CORP                       COM  55261F104        1319      12750  SH    DEFINED       01         12750
MACYS INC                           COM  55616P104        3361     104000  SH    DEFINED       01        104000
MARATHON OIL CORP                   COM  565849106        7270     127500  SH    DEFINED       01        127500
MARRIOTT INTL INC NEW               COM  571903202        3228      74250  SH    DEFINED       01         74250
MARSH + MCLENNAN COS INC            COM  571748102        2678     105000  SH    DEFINED       01        105000
MARSHALL + ILSLEY CORP              COM  571834100        2626      60000  SH    DEFINED       01         60000
MASCO CORP                          COM  574599106        1564      67500  SH    DEFINED       01         67500
MATTEL INC                          COM  577081102        1408      60000  SH    DEFINED       01         60000
MBIA INC                            COM  55262C100        1938      31750  SH    DEFINED       01         31750
MCCORMICK + CO INC                  COM  579780206         809      22500  SH    DEFINED       01         22500
MCDONALDS CORP                      COM  580135101       11847     217500  SH    DEFINED       01        217500
MCGRAW HILL COS INC                 COM  580645109        3207      63000  SH    DEFINED       01         63000
MCKESSON CORP                       COM  58155Q103        3086      52500  SH    DEFINED       01         52500
MEDCO HEALTH SOLUTIONS INC          COM  58405U102        4474      49500  SH    DEFINED       01         49500
MEDTRONIC INC                       COM  585055106       11296     200250  SH    DEFINED       01        200250
MELLANOX TECHNOLOGIES LTD           COM  M51363113         429      21952  SH      SOLE                   21952
MEMC ELECTR MATLS INC               COM  552715104        2178      37000  SH    DEFINED       01         37000
MERCK + CO INC                      COM  589331107       19681     380750  SH    DEFINED       01        380750
MERRILL LYNCH + CO INC              COM  590188108       11355     159300  SH    DEFINED       01        159300
METLIFE INC                         COM  59156R108        8925     128000  SH    DEFINED       01        128000
MICRON TECHNOLOGY INC               COM  595112103        1282     115500  SH    DEFINED       01        115500
MICROSOFT CORP                      COM  594918104       41981    1425000  SH    DEFINED       01       1425000
MOLEX INC                           COM  608554101         808      30000  SH    DEFINED       01         30000
MONSANTO CO NEW                     COM  61166W101        7459      87000  SH    DEFINED       01         87000
MONSTER WORLDWIDE INC               COM  611742107         715      21000  SH    DEFINED       01         21000
MOODYS CORP                         COM  615369105        2470      49000  SH    DEFINED       01         49000
MORGAN STANLEY                      COM  617446448       12663     201000  SH    DEFINED       01        201000
MOTOROLA INC                        COM  620076109        7227     390000  SH    DEFINED       01        390000
NATIONAL CITY CORP                  COM  635405103        2145      85500  SH    DEFINED       01         85500
NATIONAL OILWELL VARCO INC          COM  637071101        4335      30000  SH    DEFINED       01         30000
NATIONAL SEMICONDUCTOR CORP         COM  637640103        1485      54750  SH    DEFINED       01         54750
NETWORK APPLIANCE INC               COM  64120L104        1843      68500  SH    DEFINED       01         68500
NEWELL RUBBERMAID INC               COM  651229106        1297      45000  SH    DEFINED       01         45000
NEWMONT MNG CORP                    COM  651639106        4361      97500  SH    DEFINED       01         97500
NEWS CORP                           COM  65248E104        9414     402500  SH    DEFINED       01        402500
NIKE INC                            COM  654106103        4400      75000  SH    DEFINED       01         75000
NOBLE CORPORATION                   COM  G65422100        2649      54000  SH    DEFINED       01         54000
NORDSTROM INC                       COM  655664100        1934      41250  SH    DEFINED       01         41250
NORFOLK SOUTHN CORP                 COM  655844108        3504      67500  SH    DEFINED       01         67500
NORTHERN TRUST CORP                 COM  665859104        2270      34250  SH    DEFINED       01         34250
NORTHROP GRUMMAN CORP               COM  666807102        4212      54000  SH    DEFINED       01         54000
NOVELL INC                          COM  670006105         413      54000  SH    DEFINED       01         54000
NOVELLUS SYS INC                    COM  670008101         532      19500  SH    DEFINED       01         19500
NUCOR CORP                          COM  670346105        3538      59500  SH    DEFINED       01         59500
NVIDIA CORP                         COM  67066G104        3343      92250  SH    DEFINED       01         92250
OCCIDENTAL PETE CORP                COM  674599105       10573     165000  SH    DEFINED       01        165000
OMNICOM GROUP                       COM  681919106        3333      69300  SH    DEFINED       01         69300
ORACLE CORP                         COM  68389X105       13964     645000  SH    DEFINED       01        645000
ORBOTECH LTD                        COM  M75253100         664      31590  SH    DEFINED       01         31590
PACCAR INC                          COM  693718108        3549      41625  SH    DEFINED       01         41625
PARKER HANNIFIN CORP                COM  701094104        2181      19500  SH    DEFINED       01         19500
PAYCHEX INC                         COM  704326107        2614      63750  SH    DEFINED       01         63750
PEABODY ENERGY CORP                 COM  704549104        2334      48750  SH    DEFINED       01         48750
PENNEY J C INC                      COM  708160106        2947      46500  SH    DEFINED       01         46500
PEPSI BOTTLING GROUP INC            COM  713409100        1394      37500  SH    DEFINED       01         37500
PEPSICO INC                         COM  713448108       20044     273600  SH    DEFINED       01        273600
PETROLEO BRASILEIRO SA              ADR  71654V408        6795      90000  SH    DEFINED       01         90000
PFIZER INC                          COM  717081103       27496    1125500  SH    DEFINED       01       1125500
PG+E CORP                           COM  69331C108        2653      55500  SH    DEFINED       01         55500
PHOENIX COMPANIES                   COM  71902E109        1437     101817  SH      SOLE                  101817
PITNEY BOWES INC                    COM  724479100        1703      37500  SH    DEFINED       01         37500
PNC FINL SVCS GROUP INC             COM  693475105        5005      73500  SH    DEFINED       01         73500
PPG INDS INC                        COM  693506107        2267      30000  SH    DEFINED       01         30000
PPL CORP                            COM  69351T106        2778      60000  SH    DEFINED       01         60000
PRAXAIR INC                         COM  74005P104        4712      56250  SH    DEFINED       01         56250
PRINCIPAL FINANCIAL GROUP           COM  74251V102        4227      67000  SH    DEFINED       01         67000
PROCTER AND GAMBLE CO               COM  742718109       37140     528000  SH    DEFINED       01        528000
PROGRESS ENERGY INC                 COM  743263105        2249      48000  SH    DEFINED       01         48000
PROGRESSIVE CORP OHIO               COM  743315103        2329     120000  SH    DEFINED       01        120000
PRUDENTIAL FINL INC                 COM  744320102        7416      76000  SH    DEFINED       01         76000
PUBLIC SVC ENTERPRISE GROUP         COM  744573106        3300      37500  SH    DEFINED       01         37500
PULTE HOMES INC                     COM  745867101         531      39000  SH    DEFINED       01         39000
QLOGIC CORP                         COM  747277101         605      45000  SH    DEFINED       01         45000
QUALCOMM INC                        COM  747525103       10776     255000  SH    DEFINED       01        255000
QUEST DIAGNOSTICS INC               COM  74834L100        1820      31500  SH    DEFINED       01         31500
QUESTAR CORP                        COM  748356102        1891      36000  SH    DEFINED       01         36000
QWEST COMMUNICATIONS INTL INC       COM  749121109        2501     273000  SH    DEFINED       01        273000
RAYTHEON CO                         COM  755111507        5425      85000  SH    DEFINED       01         85000
ROBERT HALF INTL INC                COM  770323103         851      28500  SH    DEFINED       01         28500
ROCKWELL AUTOMATION INC             COM  773903109        2085      30000  SH    DEFINED       01         30000
ROCKWELL COLLINS INC                COM  774341101        1972      27000  SH    DEFINED       01         27000
ROHM + HAAS CO                      COM  775371107        2004      36000  SH    DEFINED       01         36000
SAFECO CORP                         COM  786429100        1194      19500  SH    DEFINED       01         19500
SAFEWAY INC                         COM  786514208        2318      70000  SH    DEFINED       01         70000
SANDISK CORP                        COM  80004C101        1736      31500  SH    DEFINED       01         31500
SARA LEE CORP                       COM  803111103        2378     142500  SH    DEFINED       01        142500
SCHERING PLOUGH CORP                COM  806605101        8540     270000  SH    DEFINED       01        270000
SCHLUMBERGER LTD                    COM  806857108       21578     205500  SH    DEFINED       01        205500
SCHWAB CHARLES CORP                 COM  808513105        4180     193500  SH    DEFINED       01        193500
SEACOR HLDGS INC                    COM  811904101         293       3084  SH      SOLE                    3084
SEARS HLDGS CORP                    COM  812350106        1910      15015  SH    DEFINED       01         15015
SEMPRA ENERGY                       COM  816851109        2615      45000  SH    DEFINED       01         45000
SIGMA ALDRICH                       COM  826552101        1170      24000  SH    DEFINED       01         24000
SIMON PPTY GROUP INC NEW            COM  828806109        3950      39500  SH    DEFINED       01         39500
SLM CORP                            COM  78442P106        3278      66000  SH    DEFINED       01         66000
SMITH INTL INC                      COM  832110100        2356      33000  SH    DEFINED       01         33000
SOHU COM INC                        COM  83408W103       18855     500000  SH    DEFINED       01        500000
SOUTHERN CO                         COM  842587107        4789     132000  SH    DEFINED       01        132000
SOUTHWEST AIRLS CO                  COM  844741108        1998     135000  SH    DEFINED       01        135000
SOVEREIGN BANCORP INC               COM  845905108        1278      75000  SH    DEFINED       01         75000
SPECTRA ENERGY CORP                 COM  847560109        2479     101250  SH    DEFINED       01        101250
SPRINT NEXTEL CORP                  COM  852061100        8835     465000  SH    DEFINED       01        465000
ST JUDE MED INC                     COM  790849103        3404      77250  SH    DEFINED       01         77250
STANLEY WORKS                       COM  854616109         758      13500  SH    DEFINED       01         13500
STAPLES INC                         COM  855030102        3127     145500  SH    DEFINED       01        145500
STARBUCKS CORP                      COM  855244109        3380     129000  SH    DEFINED       01        129000
STARWOOD HOTELS + RESORTS INC       COM  85590A401        2643      43500  SH    DEFINED       01         43500
STATE STREET CORPORATION            COM  857477103        5044      74000  SH    DEFINED       01         74000
STRYKER CORP                        COM  863667101        3197      46500  SH    DEFINED       01         46500
SUN MICROSYSTEMS INC                COM  866810104        3029     540000  SH    DEFINED       01        540000
SUNTRUST BKS INC                    COM  867914103        4824      63750  SH    DEFINED       01         63750
SUPERVALU INC                       COM  868536103        1463      37500  SH    DEFINED       01         37500
SYMANTEC CORP                       COM  871503108        2907     150000  SH    DEFINED       01        150000
SYNOVUS FINL CORP                   COM  87161C105        1935      69000  SH    DEFINED       01         69000
SYSCO CORP                          COM  871829107        2936      82500  SH    DEFINED       01         82500
TAIWAN GTR CHINA FD                 COM  874037104         723      93008  SH    DEFINED       01         93008
TARGET CORP                         COM  87612E102        9059     142500  SH    DEFINED       01        142500
TELE NORTE LESTE PARTICIPACOES      ADR  879246106         348      15500  SH    DEFINED       01         15500
TELEFONOS DE MEXICO S A             ADR  879403780        3813     116000  SH    DEFINED       01        116000
TELEFONOS DE MEXICO S A             ADR  879403707        3095      95000  SH    DEFINED       01         95000
TELLABS INC                         COM  879664100         857      90000  SH    DEFINED       01         90000
TEMPLE INLAND INC                   COM  879868107         947      18000  SH    DEFINED       01         18000
TENET HEALTHCARE CORP               COM  88033G100         252      75000  SH    DEFINED       01         75000
TERADYNE INC                        COM  880770102         435      31500  SH    DEFINED       01         31500
TEXAS INSTRS INC                    COM  882508104        9056     247500  SH    DEFINED       01        247500
TEXTRON INC                         COM  883203101        3639      58500  SH    DEFINED       01         58500
THERMO FISHER SCIENTIFIC INC        COM  883556102        4242      73500  SH    DEFINED       01         73500
TIFFANY + CO NEW                    COM  886547108        1178      22500  SH    DEFINED       01         22500
TIME WARNER INC NEW                 COM  887317105       11705     637500  SH    DEFINED       01        637500
TJX COS INC NEW                     COM  872540109        2602      89500  SH    DEFINED       01         89500
TRANSOCEAN INC                      COM  G90078109        5342      47250  SH    DEFINED       01         47250
TRAVELERS COS INC                   COM  89417E109        5663     112500  SH    DEFINED       01        112500
TRIBUNE CO NEW                      COM  896047107         943      34500  SH    DEFINED       01         34500
TXU CORP                            COM  873168108        5135      75000  SH    DEFINED       01         75000
TYCO ELECTRONICS LTD                COM  G9144P105        2777      78375  SH    DEFINED       01         78375
TYCO INTERNATIONAL LTD BERMUDA      COM  G9143X208        3475      78375  SH    DEFINED       01         78375
UNION PAC CORP                      COM  907818108        4579      40500  SH    DEFINED       01         40500
UNITED PARCEL SVC INC               COM  911312106       12955     172500  SH    DEFINED       01        172500
UNITED STS STL CORP NEW             COM  912909108        1271      12000  SH    DEFINED       01         12000
UNITED TECHNOLOGIES CORP            COM  913017109       14124     175500  SH    DEFINED       01        175500
UNITEDHEALTH GROUP INC              COM  91324P102       10655     220000  SH    DEFINED       01        220000
UNUM GROUP                          COM  91529Y106        2936     120000  SH    DEFINED       01        120000
US BANCORP DEL                      COM  902973304        9295     285750  SH    DEFINED       01        285750
VALERO ENERGY CORP                  COM  91913Y100        7054     105000  SH    DEFINED       01        105000
VERISIGN INC                        COM  92343E102        1316      39000  SH    DEFINED       01         39000
VERIZON COMMUNICATIONS              COM  92343V104       22361     505000  SH    DEFINED       01        505000
VIACOM INC NEW                      COM  92553P201        4530     116250  SH    DEFINED       01        116250
VULCAN MATLS CO                     COM  929160109        1337      15000  SH    DEFINED       01         15000
WACHOVIA CORP 2ND NEW               COM  929903102       16492     328851  SH    DEFINED       01        328851
WAL MART STORES INC                 COM  931142103       17744     406500  SH    DEFINED       01        406500
WALGREEN CO                         COM  931422109        7511     159000  SH    DEFINED       01        159000
WASHINGTON MUT INC                  COM  939322103        5297     150000  SH    DEFINED       01        150000
WASTE MGMT INC DEL                  COM  94106L109        3283      87000  SH    DEFINED       01         87000
WEATHERFORD INTERNATIONAL LTD       COM  G95089101        3779      56250  SH    DEFINED       01         56250
WELLPOINT INC                       COM  94973V107        9352     118500  SH    DEFINED       01        118500
WELLS FARGO + CO NEW                COM  949746101       19627     551000  SH    DEFINED       01        551000
WENDYS INTL INC                     COM  950590109        1004      28750  SH    DEFINED       01         28750
WESTERN UN CO                       COM  959802109        2988     142500  SH    DEFINED       01        142500
WEYERHAEUSER CO                     COM  962166104        2765      38250  SH    DEFINED       01         38250
WHIRLPOOL CORP                      COM  963320106        1069      12000  SH    DEFINED       01         12000
WHOLE FOODS MKT INC                 COM  966837106        1175      24000  SH    DEFINED       01         24000
WILLIAMS COS INC                    COM  969457100        3542     104000  SH    DEFINED       01        104000
WINDSTREAM CORP                     COM  97381W104         996      70564  SH    DEFINED       01         70564
WRIGLEY WM JR CO                    COM  982526105        2858      44500  SH    DEFINED       01         44500
WYETH                               COM  983024100       10046     225500  SH    DEFINED       01        225500
WYNDHAM WORLDWIDE CORP              COM  98310W108        1179      36000  SH    DEFINED       01         36000
XCEL ENERGY INC                     COM  98389B100        1292      60000  SH    DEFINED       01         60000
XEROX CORP                          COM  984121103        2497     144000  SH    DEFINED       01        144000
XILINX INC                          COM  983919101        1392      53250  SH    DEFINED       01         53250
XL CAPITAL LTD                      COM  G98255105        2376      30000  SH    DEFINED       01         30000
XTO ENERGY INC                      COM  98385X106        3707      59949  SH    DEFINED       01         59949
YAHOO INC                           COM  984332106        5576     207750  SH    DEFINED       01        207750
YUM BRANDS INC                      COM  988498101        2943      87000  SH    DEFINED       01         87000
ZIMMER HOLDINGS INC                 COM  98956P102        3159      39000  SH    DEFINED       01         39000
ZIONS BANCORP                       COM  989701107        1734      25250  SH    DEFINED       01         25250

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