FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: December 31,2004 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: CNA Financial Corporation Address: CNA Plaza Chicago,IL 60685 13F File Number: 28-346 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: Lynne Gugenheim Title: Senior Vice President and Deputy General Counsel Phone: (312) 822 4921 Signature, Place, and Date of Signing: February 14,2005 Chicago, Illinois,60685 I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934 Report Type (Check only one.): [ X ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: Assets reported herein are described as having shared investment discretion among Loews Corporation, CNA Financial Corporation,The Continental Corporation, Continental Casualty Company and Continental Assurance Company. Each of the foregoing entities specifically disclaims ownership of any securities in this report which are not beneficially owned by that entity and states that such assets are solely under the control of its board of directors. The characterization of shared investment discretion with parent holding companies is made solely as a consequence of SEC interpretations regarding control of the subsidiary through share ownership. Loews Corporation owns approximately 90% of the outstanding shares of CNA Financial Corporation; CNA Financial Corporation owns 100% of the outstanding shares of Continental Casualty Company and The Continental Corporation; and Continental Casualty Company owns 100% of the outstanding shares of Continental Assurance Company. Loews Corporation will report separately on securities over which it has investment discretion which are not part of this report. FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 247 Form 13F Information Table Value Total: 1,132,075 (in thousands) List of Other Included Managers: No. 13F File Number Name 1 28-172 The Continental Corporation 2 28 -217 Loews Corporation 3 28-386 Continental Assurance Company 4 28-387 Continental Casualty Company Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None 3M CO COM 88579Y101 1,641 20,000 SH DEFINED 2 20,000 99 CENTS ONLY STORES COM 65440K106 1,616 100,000 SH DEFINED 2,4 100,000 ABBOTT LABORATORIES COM 002824100 1,166 25,000 SH DEFINED 2 25,000 ACCENTURE LTD CL A G1150G111 1,455 53,900 SH DEFINED 2 53,900 ACCREDO HEALTH INC COM 00437V104 516 18,600 SH DEFINED 2 18,600 ADVANCED MEDICAL OPTICS NOTE 00763MAG3 2,012 1,850,000 PRN DEFINED 2,3 36,823 AETNA INC COM 00817Y108 437 3,500 SH DEFINED 2 3,500 AFTERMARKET TECHNOLOGY CORP COM 008318107 300 18,650 SH DEFINED 2 18,650 AGILENT TECH INC DBCV 00846UAB7 45,898 45,500,000 PRN DEFINED 2,3,4 1,412,165 ALCON INC COM SHS H01301102 484 6,000 SH DEFINED 2 6,000 ALLSTATE CORPORATION COM 020002101 1,583 30,600 SH DEFINED 2 30,600 AMBAC FINANCIAL GROUP INC COM 023139108 1,519 18,500 SH DEFINED 2 18,500 AMERICAN EXPRESS COM 025816109 1,127 20,000 SH DEFINED 2 20,000 AMERICAN GREET NOTE 026375AJ4 1,063 560,000 PRN DEFINED 2,3 40,290 AMERICAN HOME MORTGAGE INVESCOM 02660R107 826 24,125 SH DEFINED 2 24,125 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None AMERICAN INTL GROUP INC COM 026874107 5,254 80,000 SH DEFINED 2 80,000 AMERICAN NATIONAL INSURANCE COM 028591105 562 5,400 SH DEFINED 2 5,400 AMERICAN PHYSICIANS CAP INC COM 028884104 1,231 34,175 SH DEFINED 2 34,175 AMERUS GROUP CO COM 03072M108 775 17,100 SH DEFINED 2 17,100 AMGEN INC COM 031162100 1,283 20,000 SH DEFINED 2 20,000 AMGEN INC NOTE 031162AE0 15,036 20,250,000 PRN DEFINED 2,4 179,417 ANADARKO PETROLEUM CORP COM 032511107 8,425 130,000 SH DEFINED 2 130,000 ANDREW CORP NOTE 034425AB4 1,358 1,050,000 PRN DEFINED 2,3 76,701 ANHEUSER BUSCH CO COM 035229103 1,760 34,700 SH DEFINED 2 34,700 AON CORP COM 037389103 1,984 83,150 SH DEFINED 2 83,150 APACHE CORP COM 037411105 212 4,200 SH DEFINED 2 4,200 ARCHER DANIELS COM 039483102 2,231 100,000 SH DEFINED 2 100,000 ARVINMERITOR INC COM 043353101 1,338 59,825 SH DEFINED 2 59,825 ASHLAND INC COM 044204105 1,967 33,700 SH DEFINED 2 33,700 ASSURANT INC COM 04621X108 532 17,400 SH DEFINED 2 17,400 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None ATMI INC NOTE 00207RAC5 581 500,000 PRN DEFINED 2,3 22,535 AXIS CAPITAL HOLDINGS LTD SHS G0692U109 1,300 47,500 SH DEFINED 2 47,500 BANK OF NEW YORK COM 064057102 1,374 41,100 SH DEFINED 2 41,100 BEARINGPOINT INC COM 074002106 3,218 400,750 SH DEFINED 2 400,750 BEAZER HOMES USA INC COM 07556Q105 804 5,500 SH DEFINED 2 5,500 BEST BUY COMPANY INC COM 086516101 2,466 41,500 SH DEFINED 2 41,500 BOEING COMPANY COM 097023105 3,809 73,575 SH DEFINED 2 73,575 BOSTON SCIENTIFIC CORP COM 101137107 1,529 43,000 SH DEFINED 2 43,000 BOWNE & CO INC COM 103043105 1,130 69,525 SH DEFINED 2 69,525 BP PLC-SPONS ADR 055622104 1,156 19,800 SH DEFINED 2 19,800 BRISTOL-MYERS SQUIBB CO COM 110122108 1,090 42,550 SH DEFINED 2 42,550 BROCADE COMMUNICATIONS NOTE 111621AB4 19,712 20,749,000 PRN DEFINED 2,3,4 474,262 BURLINGTON RESOURCES INC COM 122014103 3,306 76,000 SH DEFINED 2 76,000 CABLEVISION SYSTEMS CL A 12686C109 3,486 140,000 SH DEFINED 2 140,000 CABOT OIL & GAS CORP COM 127097103 3,540 80,000 SH DEFINED 2 80,000 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None CATERPILLAR INC COM 149123101 975 10,000 SH DEFINED 2 10,000 CENTEX CORP COM 152312104 4,171 70,000 SH DEFINED 2 70,000 CHESAPEAKE ENERGY CORP PFDCONV 165167800 306 2,500 SH DEFINED 2,3,4 2,500 CHEVRON TEXACO CORP COM 166764100 1,838 35,000 SH DEFINED 2 35,000 CIGNA CORP COM 125509109 1,487 18,225 SH DEFINED 2 18,225 CINERGY CORP COM 172474108 3,018 72,500 SH DEFINED 2 72,500 CISCO SYSTEMS INC COM 17275R102 1,544 80,000 SH DEFINED 2 80,000 CIT GROUP INC COM 125581108 2,184 47,675 SH DEFINED 2 47,675 CITIGROUP INC COM 172967101 9,685 201,025 SH DEFINED 2 201,025 CNA SURETY CORPORATION COM 12612L108 366,126 27,425,147 SH DEFINED 1,2,4 27,425,147 CNF INC COM 12612W104 2,118 42,275 SH DEFINED 2 42,275 COCA COLA CO COM 191216100 958 23,000 SH DEFINED 2 23,000 COMCAST CORP CLA 20030N101 3,325 99,900 SH DEFINED 2 99,900 COMCAST CORP CL A 20030N200 8,995 273,900 SH DEFINED 2 273,900 COMMSCOPE INC COM 203372107 253 13,375 SH DEFINED 2 13,375 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None COMPUTER ASSOCIATES INTL INCCOM 204912109 2,352 75,725 SH DEFINED 2 75,725 COOPER CAMERON CORP DBCV 216640AE2 3,161 3,000,000 PRN DEFINED 2,4 43,457 CORINTHIAN COLLEGES INC COM 218868107 283 15,000 SH DEFINED 2 15,000 CORNING INC DBCV 219350AJ4 2,827 3,579,000 PRN DEFINED 2,3,4 29,815 CORNING INC NOTE 219350AK1 2,428 2,000,000 PRN DEFINED 2,4 206,718 CREDENCE SYSTEMS CORP NOTE 225302AF5 1,080 1,000,000 PRN DEFINED 2,3 88,417 CVS CORP COM 126650100 1,577 35,000 SH DEFINED 2 35,000 CYTEC INDUSTRIES INC COM 232820100 729 14,175 SH DEFINED 2 14,175 DANAHER CORP COM 235851102 976 17,000 SH DEFINED 2 17,000 DEL MONTE FOODS CO COM 24522P103 997 90,500 SH DEFINED 2 90,500 DELL COMPUTER CORP COM 24702R101 1,264 30,000 SH DEFINED 2 30,000 DELPHI FINANCIAL GROUP CLA 247131105 1,674 36,275 SH DEFINED 2 36,275 DEX MEDIA INC COM 25212E100 1,644 65,850 SH DEFINED 2 65,850 DIAGEO PLC-SPONSORED ADR 25243Q205 4,474 77,300 SH DEFINED 2 77,300 DISNEY (WALT) CO NOTE 254687AU0 38,938 35,000,000 PRN DEFINED 2,3,4 1,188,051 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None DOUBLECLICK INC NOTE 258609AE6 6,966 7,500,000 PRN DEFINED 2,3,4 571,733 DREAMWORKS ANIMATION SKG CL A 26153C103 64 1,700 SH DEFINED 2 1,700 DST SYSTEMS INC DBCV 233326AD9 2,131 1,710,000 PRN DEFINED 2,3 34,838 DUKE ENERGY CORP NOTE 264399EJ1 7,858 7,000,000 PRN DEFINED 2,3,4 296,736 ELECTRONCIS FOR IMAGING DBCV 286082AA0 1,399 1,450,000 PRN DEFINED 2,3 54,884 ELECTRONIC DATA SYSTEMS NOTE 285661AF1 29,047 27,500,000 PRN DEFINED 2,3,4 805,508 EMPRESA BRASILIERA DE AE ADR PFD 29081M102 1,338 40,000 SH DEFINED 2 40,000 ENTERGY CORP COM 29364G103 2,501 37,000 SH DEFINED 2 37,000 ESTERLINE TECHNOLOGIES CORP COM 297425100 434 13,300 SH DEFINED 2 13,300 EXELON CORP COM 30161N101 5,557 126,100 SH DEFINED 2 126,100 FALCON FINANCIAL INVESTMENT COM 306032103 1,337 191,000 SH DEFINED 2,4 191,000 FEDERAL HM LOAN MORTGAGE CORCOM 313400301 2,924 39,675 SH DEFINED 2 39,675 FEDERAL NATL MTGE ASSN. COM 313586109 1,424 20,000 SH DEFINED 2 20,000 FEDERATED DEPART STORES INC COM 31410H101 1,734 30,000 SH DEFINED 2 30,000 FIRST AMERICAN CORPORATION COM 318522307 315 8,950 SH DEFINED 2 8,950 FIRST CITIZENS BCSHS CL A 31946M103 282 1,900 SH DEFINED 2 1,900 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None FISHER SCIENTIFIC INTL NOTE 338032AW5 372 250,000 PRN DEFINED 2,3 5,267 FLIR SYSTEMS INC NOTE 302445AB7 1,138 700,000 PRN DEFINED 2,3 15,771 FMC CORP (NEW) COM 302491303 1,326 27,450 SH DEFINED 2 27,450 GARDNER DENVER INC COM 365558105 1,219 33,600 SH DEFINED 2 33,600 GATX CORP COM 361448103 368 12,450 SH DEFINED 2 12,450 GENERAL CABLE CORP COM 369300108 664 47,925 SH DEFINED 2 47,925 GENERAL ELECTRIC CO COM 369604103 4,964 136,000 SH DEFINED 2 136,000 GENERAL MARITIME CORP SHS Y2692M103 4,395 110,000 SH DEFINED 2 110,000 GENERAL MOTORS SR CONVA370442741 20,072 800,000 SH DEFINED 2,3,4 800,000 GILEAD SCIENCES INC COM 375558103 192 5,500 SH DEFINED 2 5,500 GLENBOROUGH REALTY TRUST INCCOM 37803P105 610 28,675 SH DEFINED 2 28,675 GLIMCHER REALTY TRUST SH BEN 379302102 317 11,425 SH DEFINED 2 11,425 GUIDANT CORP COM 401698105 1,730 24,000 SH DEFINED 2 24,000 GUITAR CENTER MG NOTE 402040AC3 2,101 1,300,000 PRN DEFINED 2,3 37,594 HANGER ORTHOPEDIC GROUP INC COM 41043F208 230 28,350 SH DEFINED 2 28,350 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None HARTFORD FINANCIAL SVCS COM 416515104 693 10,000 SH DEFINED 2 10,000 HEALTH NET INC COM 42222G108 3,862 133,775 SH DEFINED 2 133,775 HERMAN MILLER INC COM 600544100 229 8,300 SH DEFINED 2 8,300 HEWLETT-PACKARD CO. COM 428236103 2,102 100,250 SH DEFINED 2 100,250 HORACE MANN EDUCATORS COM 440327104 971 50,900 SH DEFINED 2 50,900 HUMAN GENOME SCIENCES NOTE 444903AF5 4,433 4,500,000 PRN DEFINED 2,3,4 80,000 HUTCHINSON TECH NOTE 448407AE6 1,316 1,000,000 PRN DEFINED 2,3 33,512 IKON MBIA INC. COM 55262C100 1,269 20,050 SH DEFINED 2 20,050 INCO LTD NOTE 453258AM7 5,006 5,000,000 PRN DEFINED 2,4 132,765 INCO LTD DBCV 453258AT2 4,121 3,152,000 PRN DEFINED 2 100,660 INTEGRA LIFESCIENCES HLD NOTE 457985AB5 791 635,000 PRN DEFINED 2,3 18,596 INTEL CORP COM 458140100 1,170 50,000 SH DEFINED 2 50,000 INTERNATIONAL BUSINESS MACHICOM 459200101 5,422 55,000 SH DEFINED 2 55,000 INTERPUBLIC GROUP COS NOTE 460690AT7 2,188 1,670,000 PRN DEFINED 2,3 134,461 INTL GAME TECHNOLOGY COM 459902102 206 6,000 SH DEFINED 2 6,000 INTL GAME TECHNOLOGY DBCV 459902AL6 1,528 2,000,000 PRN DEFINED 2,4 42,341 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None INTL RECTIFIER NOTE 460254AE5 41,583 41,897,000 PRN DEFINED 2,3,4 566,674 INVITROGEN INC NOTE 46185RAJ9 2,151 1,800,000 PRN DEFINED 2,3 26,378 IPC HOLDINGS LTD ORD G4933P101 3,575 82,175 SH DEFINED 2 82,175 IVAX CORP NOTE 465823AJ1 1,790 1,850,000 PRN DEFINED 2,3 77,440 JANUS CAPITAL GROUP INC. COM 47102X105 968 57,600 SH DEFINED 2 57,600 JOHNSON & JOHNSON COM 478160104 1,268 20,000 SH DEFINED 2 20,000 JPMORGAN CHASE & COMPANY COM 46625H100 1,947 49,900 SH DEFINED 2 49,900 KAYDON CORP NOTE 486587AB4 825 650,000 PRN DEFINED 2,3 22,291 KELLY SERVICES INC CL A 488152208 117 3,871 SH DEFINED 2 3,871 KENNAMETAL INC COM 489170100 498 10,000 SH DEFINED 2 10,000 KIMBERLY CLARK COM 494368103 1,645 25,000 SH DEFINED 2 25,000 L-3 COMMUNICATIONS CORP COM 502424104 220 3,000 SH DEFINED 2 3,000 LEAR SEATING CORP COM 521865105 3,147 51,575 SH DEFINED 2 51,575 LEHMAN BROTHERS HOLDING INC COM 524908100 1,662 19,000 SH DEFINED 2 19,000 LENNOX INTERNATL NOTE 526107AB3 1,039 815,000 PRN DEFINED 2,3 45,059 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None LIBBEY INC COM 529898108 175 7,875 SH DEFINED 2 7,875 LIBERTY MEDIA COMSERA 530718105 4,535 413,000 SH DEFINED 2 413,000 LIBERTY MEDIA INTL INC-A COM 530719103 73 1,584 SH DEFINED 2 1,584 LINCOLN NATIONAL CORP INDIANCOM 534187109 1,867 40,000 SH DEFINED 2 40,000 LOCKHEED MARTIN CORP COM 539830109 861 15,500 SH DEFINED 2 15,500 LOWES COMPANIES NOTE 548661CG0 21,050 20,000,000 PRN DEFINED 2,3,4 344,240 MASCO CORPORATION COM 574599106 365 10,000 SH DEFINED 2 10,000 MASSEY ENERGY CO NOTE 576203AB9 597 300,000 PRN DEFINED 2,3 15,472 MAYTAG CORP. COM 578592107 676 32,050 SH DEFINED 2 32,050 MBNA CORPORATION COM 55262L100 1,567 55,600 SH DEFINED 2 55,600 MCKESSON HBOC INC COM 58155Q103 2,394 76,100 SH DEFINED 2 76,100 MEDIACOM COMMUNICATIONS CORPCL A 58446K105 1,250 200,000 SH DEFINED 2 200,000 MEDICIS PHARMACE NOTE 58470KAA2 1,973 1,500,000 PRN DEFINED 2,3 25,818 MEDTRONIC INC COM 585055106 1,242 25,000 SH DEFINED 2 25,000 MEDTRONIC INC DBCV 585055AB2 5,056 5,000,000 PRN DEFINED 2,3,4 80,898 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None MERRILL LYNCH & CO INC COM 590188108 1,195 20,000 SH DEFINED 2 20,000 METHANEX CORP COM 59151K108 2,009 110,000 SH DEFINED 2 110,000 METLIFE INC COM 59156R108 2,896 71,500 SH DEFINED 2 71,500 MICRON TECH NOTE 595112AG8 1,774 1,500,000 PRN DEFINED 2,3 127,248 MICROSOFT CORP COM 594918104 3,283 122,900 SH DEFINED 2 122,900 MILACRON INC COM 598709103 309 91,150 SH DEFINED 2 91,150 MONEYGRAM INTERNATIONAL COM 60935Y109 1,833 86,700 SH DEFINED 2 86,700 MORGAN STANLEY ASIA-PACIF COM 61744U106 906 70,700 SH DEFINED 2 70,700 NACCO INDS INC CL A 629579103 653 6,200 SH DEFINED 2 6,200 NCI BUILDING SYSTEMS INC COM 628852105 835 22,275 SH DEFINED 2 22,275 NEUBERGER BERMAN REALTY INC COM 64126G109 762 40,000 SH DEFINED 2 40,000 NEWS CORP LTD CL A 65248E104 7,860 421,214 SH DEFINED 2 421,214 NISOURCE INC COM 65473P105 2,984 131,000 SH DEFINED 2 131,000 NORTEL NETWORKS NOTE 656568AB8 8,753 9,000,000 PRN DEFINED 2,4 900,000 NORTHERN TRUST CORP COM 665859104 1,749 36,000 SH DEFINED 2 36,000 NOVOGEN LIMITED-SPONS ADR ADR 67010F103 551 24,950 SH DEFINED 2 24,950 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None OAK INDUSTRIES NOTE 671400AL3 18,580 17,952,000 PRN DEFINED 2,3,4 1,156,699 OHIO CASUALTY CORP COM 677240103 789 33,975 SH DEFINED 2 33,975 OLD REPUBLIC INTL CORP COM 680223104 2,640 104,338 SH DEFINED 2 104,338 OMNICOM GROUP NOTE 681919AK2 3,940 4,000,000 PRN DEFINED 2,4 36,360 OMNICOM GROUP NOTE 681919AM8 12,484 12,500,000 PRN DEFINED 2,3,4 113,625 P G 7 E CORPORATION COM 69331C108 3,654 109,800 SH DEFINED 2 109,800 PAPA JOHN'S INTL INC COM 698813102 328 9,525 SH DEFINED 2 9,525 PAR PHARMACEUTICAL COS NOTE 717125AC2 4,625 5,000,000 PRN DEFINED 2,4 56,330 PEPSICO INCORPORATED COM 713448108 1,670 32,000 SH DEFINED 2 32,000 PETRO-CANADA COM 71644E102 1,531 30,000 SH DEFINED 2 30,000 PFIZER INC COM 717081103 1,476 54,900 SH DEFINED 2 54,900 PHARMACEUTICAL HOLDRS TRUST DEPOSIT71712A206 1,308 18,000 SH DEFINED 2 18,000 PHILIPS ELECTRONICS-NY NY REG S500472303 3,151 118,900 SH DEFINED 2 118,900 PHILLIPS PETROLEUM COMPANY COM 20825C104 1,600 18,425 SH DEFINED 2 18,425 PHOTRONICS INC NOTE 719405AE2 170 135,000 PRN DEFINED 2,3 8,496 PIONEER NATURAL RESOURCES COCOM 723787107 3,756 107,000 SH DEFINED 2 107,000 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None PIONEER STANDARD ELECTRONICSCOM 00847J105 286 16,700 SH DEFINED 2 16,700 PLACER DOME INC COM 725906101 1,243 65,900 SH DEFINED 2 65,900 PMI GROUP INC COM 69344M101 1,670 40,000 SH DEFINED 2 40,000 PRAXAIR INC COM 74005P104 1,325 30,000 SH DEFINED 2 30,000 PRECISION CASTPARTS CORP COM 740189105 1,726 26,275 SH DEFINED 2 26,275 PRIORITY HEALTHCARE CORP CL B 74264T102 815 37,450 SH DEFINED 2 37,450 PUBLIC SERVICE CO OF N MEX COM 69349H107 474 18,738 SH DEFINED 2 18,738 PUBLIC SVC ENTERPRISE GRP INCOM 744573106 538 10,400 SH DEFINED 2 10,400 PULTE CORP COM 745867101 8,932 140,000 SH DEFINED 2 140,000 R.H. DONNELLEY CORP COM 74955W307 663 11,225 SH DEFINED 2 11,225 RENT-A-CENTER INC COM 76009N100 1,371 51,750 SH DEFINED 2 51,750 RESMED INC NOTE 761152AB3 1,533 1,450,000 PRN DEFINED 2,3 23,927 ROBBINS & MYERS INC COM 770196103 316 13,250 SH DEFINED 2 13,250 RYLAND GROUP INC COM 783764103 2,302 40,000 SH DEFINED 2 40,000 SANMINA CORP SDCV 800907AD9 40,711 77,915,000 PRN DEFINED 2,3,4 505,092 SAPPI LTD ADR NEW 803069202 2,108 145,400 SH DEFINED 2 145,400 SARA LEE CORP COM 803111103 2,065 85,550 SH DEFINED 2 85,550 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None SCANA CORP COM 80589M102 2,660 67,500 SH DEFINED 2 67,500 SCHLUMBERGER LIMITED COM 806857108 2,209 33,000 SH DEFINED 2 33,000 SCHLUMBERGER LIMITED DBCV 806857AC2 3,285 3,000,000 PRN DEFINED 2,4 41,477 SCHWEITZER-MAUDUIT INTL INC COM 808541106 443 13,050 SH DEFINED 2 13,050 SOLECTRON CORP NOTE 834182AS6 3,475 3,960,000 PRN DEFINED 2,3,4 409,649 SPHERION CORPORATION COM 848420105 1,026 122,175 SH DEFINED 2 122,175 SPRINT CORP COM 852061100 4,970 200,000 SH DEFINED 2 200,000 SUN HEALTHCARE GROUP INC-W/ICOM 866933401 23 2,480 SH DEFINED 2,4 2,480 SYBASE INC COM 871130100 2,264 113,500 SH DEFINED 2 113,500 SYMANTEC CORP COM 871503108 1,288 50,000 SH DEFINED 2 50,000 TARGET CORP COM 87612E106 2,077 40,000 SH DEFINED 2 40,000 TECH DATA CORP SDCV 878237AC0 2,541 2,500,000 PRN DEFINED 2,4 41,999 TEEKAY SHIPPING CORP COM Y8564W103 2,527 60,000 SH DEFINED 2 60,000 TEJON RANCH COM 879080109 840 20,600 SH DEFINED 2 20,600 TEVA PHARMACEUT FIN BV DBCV 88164RAA5 2,888 2,835,000 PRN DEFINED 2,4 74,801 TEXTRON INC COM 883203101 1,343 18,200 SH DEFINED 2 18,200 TJX COS INC NOTE 872540AL3 5,967 6,800,000 PRN DEFINED 2,3,4 222,136 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None TOMMY HILFIGER CORP ORD G8915Z102 287 25,475 SH DEFINED 2 25,475 TORCHMARK CORP COM 891027104 1,528 26,750 SH DEFINED 2 26,750 TRIARC COS-B CLB SER1895927309 425 34,700 SH DEFINED 2 34,700 TRINITY INDUSTRIES COM 896522109 301 8,825 SH DEFINED 2 8,825 TRIQUINT SEMICON NOTE 89674KAB9 4,838 5,000,000 PRN DEFINED 2,3,4 73,746 UNION PACIFIC COM 907818108 2,157 32,075 SH DEFINED 2 32,075 UNITED NATIONAL GROUP LTD-A CLA 91103X102 544 29,200 SH DEFINED 2 29,200 UNITED PARCEL SERVICE -CL B CL B 911312106 2,008 23,500 SH DEFINED 2 23,500 UNITED STATIONERS INC COM 913004107 315 6,825 SH DEFINED 2 6,825 UNIVERSAL CORP-VA COM 913456109 514 10,750 SH DEFINED 2 10,750 UNOCAL CORP COM 915289102 3,291 76,100 SH DEFINED 2 76,100 US CORPORATION COM 91729Q101 766 20,175 SH DEFINED 2 20,175 VALASSIS COMMUNICATIONS INC COM 918866104 757 21,625 SH DEFINED 2 21,625 VALERO ENERGY CORP COM 91913Y100 4,994 110,000 SH DEFINED 2 110,000 VERZION COMMUNICATIONS INC COM 92343V104 1,069 26,400 SH DEFINED 2 26,400 Column Column Column Column Column Column Column Column 1: 2: 3: 4: 5: 6: 7: 8: Name Title Shares or Voting Authority of of CUSIP Value Principal SH/ Put/ Investment Other ------------------ Issuer Class Number (x$1000) Amount PRN Call Discretion Mgrs Sole Shared None VIAD CORP COM 92552R406 1,598 56,100 SH DEFINED 2 56,100 VINTAGE PETROLEUM INC COM 927460105 3,404 150,000 SH DEFINED 2 150,000 WACHOVIA CORP COM 929903102 3,025 57,500 SH DEFINED 2 57,500 WAL MART STORES INC COM 931142103 1,056 20,000 SH DEFINED 2 20,000 WALTER INDUSTRIES INC COM 93317Q105 336 9,975 SH DEFINED 2 9,975 WASHINGTON MUTUAL INC COM 939322103 1,398 33,075 SH DEFINED 2 33,075 WELLS FARGO COMPANY COM 949746101 1,243 20,000 SH DEFINED 2 20,000 WHIRLPOOL CORPORATION COM 963320106 3,447 49,800 SH DEFINED 2 49,800 WILLIAMS COS INC COM 969457100 3,677 225,700 SH DEFINED 2 225,700 WISCONSIN ENERGY CORP COM 976657106 2,507 74,375 SH DEFINED 2 74,375 XCEL ENERGY INC COM 98389B100 1,587 87,200 SH DEFINED 2 87,200 XL CAPITAL LTD-CLASS A CL A G98255105 1,988 25,600 SH DEFINED 2 25,600 YELLOW ROADWAY CORP NOTE 985509AN8 2,320 1,350,000 PRN DEFINED 2,3 34,404 YORK INTERNATIONAL CORP COM 986670107 828 23,975 SH DEFINED 2 23,975