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, 2011

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            May 3, 2011
------------------   ------------------    ------------------
[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:    249
                                          ------------

Form 13F Information Table Value Total:   $ 1,690,079
                                          ------------
                                          (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
MARCH 31, 2011

                               TITLE                MARKET
                                OF                   VALUE       SHARES     SH/   INVESTMENT             VOTING AUTHORITY
            ISSUER             CLASS    CUSIP     ( USD 000)    /PRN AMT    PRN   DISCRETION   MANAGERS    SOLE     SHARED NONE
                                                                                             
3M CO                           COM   88579Y101       10,840      116,000    SH     DEFINED       01        116,000
ABBOTT LABORATORIES             COM   002824100       10,055      205,000    SH     DEFINED       01        205,000
AETNA INC                       COM   00817Y108        1,871       50,000    SH     DEFINED       01         50,000
AGILENT TECHNOLOGIES INC        COM   00846U101        6,719      150,000    SH     DEFINED       01        150,000
AIR PRODUCTS + CHEMICALS        COM   009158106        4,961       55,000    SH     DEFINED       01         55,000
ALCOA INC                       COM   013817101        3,106      176,000    SH     DEFINED       01        176,000
ALLERGAN INC                    COM   018490102        4,474       63,000    SH     DEFINED       01         63,000
ALTERA CORP                     COM   021441100        5,500      125,000    SH     DEFINED       01        125,000
ALTRIA GROUP INC                COM   02209S103        7,286      280,000    SH     DEFINED       01        280,000
AMAZON.COM INC                  COM   023135106        8,106       45,000    SH     DEFINED       01         45,000
AMERICA MOVIL ADR SERIES        ADR   02364W204       17,388      300,000    SH     DEFINED       01        300,000
AMERICA MOVIL ADR SERIES        ADR   02364W105        5,879      101,224    SH     DEFINED       01        101,224
AMERICAN EXPRESS CO             COM   025816109       10,170      225,000    SH     DEFINED       01        225,000
AMERICAN TOWER CORP CL A        COM   029912201        4,353       84,000    SH     DEFINED       01         84,000
AMERISOURCEBERGEN CORP          COM   03073E105        5,335      135,000    SH     DEFINED       01        135,000
AMGEN INC                       COM   031162100        6,735      126,000    SH     DEFINED       01        126,000
AMPHENOL CORP CL A              COM   032095101        3,481       64,000    SH     DEFINED       01         64,000
ANADARKO PETROLEUM CORP         COM   032511107        8,198      100,000    SH     DEFINED       01        100,000
AOL INC                         COM   00184X105          585       30,000    SH     DEFINED       01         30,000
APACHE CORP                     COM   037411105        9,296       71,000    SH     DEFINED       01         71,000
APPLE INC                       COM   037833100       42,511      122,000    SH     DEFINED       01        122,000
APPLIED MATERIALS INC           COM   038222105        4,374      280,000    SH     DEFINED       01        280,000
ARCH CAPITAL GROUP LTD          COM   G0450A105        2,321       23,400    SH     DEFINED       01         23,400
ARCHER DANIELS MIDLAND CO       COM   039483102        5,041      140,000    SH     DEFINED       01        140,000
ASIAINFO LINKAGE INC            COM   04518A104        8,432      390,000    SH     DEFINED       01        390,000
AT+T INC                        COM   00206R102       23,876      780,000    SH     DEFINED       01        780,000
AUTOMATIC DATA PROCESSING       COM   053015103        4,309       84,000    SH     DEFINED       01         84,000
BAKER HUGHES INC                COM   057224107        8,814      120,000    SH     DEFINED       01        120,000
BANCO BRADESCO ADR              ADR   059460303        2,636      127,050    SH     DEFINED       01        127,050
BANK OF AMERICA CORP            COM   060505104       17,662    1,325,000    SH     DEFINED       01      1,325,000
BANK OF NEW YORK MELLON         COM   064058100        7,171      240,000    SH     DEFINED       01        240,000
BAXTER INTERNATIONAL INC        COM   071813109        5,375      100,000    SH     DEFINED       01        100,000
BB+T CORP                       COM   054937107        2,471       90,000    SH     DEFINED       01         90,000
BERKSHIRE HATHAWAY INC          COM   084670702        9,623      115,000    SH     DEFINED       01        115,000
BMC SOFTWARE INC                COM   055921100        2,338       47,000    SH     DEFINED       01         47,000
BOEING CO/THE                   COM   097023105        8,280      112,000    SH     DEFINED       01        112,000
BROADCOM CORP CL A              COM   111320107        2,442       62,000    SH     DEFINED       01         62,000
CAPITAL ONE FINANCIAL           COM   14040H105        4,934       95,000    SH     DEFINED       01         95,000
CARDINAL HEALTH INC             COM   14149Y108        2,056       50,000    SH     DEFINED       01         50,000
CARNIVAL CORP                   COM   143658300        5,370      140,000    SH     DEFINED       01        140,000
CATERPILLAR INC                 COM   149123101       10,019       90,000    SH     DEFINED       01         90,000
CBS CORP CLASS B NON            COM   124857202        4,505      180,000    SH     DEFINED       01        180,000
CELGENE CORP                    COM   151020104        3,682       64,000    SH     DEFINED       01         64,000
CEMEX SAB SPONS ADR PART        ADR   151290889        2,704      303,474    SH     DEFINED       01        303,474
CHEVRON CORP                    COM   166764100       33,850      315,000    SH     DEFINED       01        315,000
CIA SIDERURGICA NACL SP         ADR   20440W105        1,090       65,400    SH     DEFINED       01         65,400
CISCO SYSTEMS INC               COM   17275R102       12,005      700,000    SH     DEFINED       01        700,000
CITIGROUP INC                   COM   172967101       20,378    4,600,000    SH     DEFINED       01      4,600,000
CITRIX SYSTEMS INC              COM   177376100        1,949       26,531    SH     DEFINED       01         26,531
CLIFFS NATURAL RESOURCES        COM   18683K101        2,949       30,000    SH     DEFINED       01         30,000
COACH INC                       COM   189754104        4,057       78,000    SH     DEFINED       01         78,000
COCA COLA CO/THE                COM   191216100       20,234      305,000    SH     DEFINED       01        305,000
COGNIZANT TECH SOLUTIONS        COM   192446102        3,174       39,000    SH     DEFINED       01         39,000
COLGATE PALMOLIVE CO            COM   194162103        5,651       70,000    SH     DEFINED       01         70,000
COMCAST CORP CLASS A            COM   20030N101        8,899      360,000    SH     DEFINED       01        360,000
COMPANHIA DE BEBIDAS PRF        ADR   20441W203        1,838       65,000    SH     DEFINED       01         65,000
COMPUTER SCIENCES CORP          COM   205363104        1,509       31,000    SH     DEFINED       01         31,000
CONOCOPHILLIPS                  COM   20825C104       19,968      250,000    SH     DEFINED       01        250,000
CONSOLIDATED COMMUN             COM   209034107        1,777       95,000    SH     DEFINED       01         95,000
CONSTELLATION ENERGY GR         COM   210371100        4,043      130,000    SH     DEFINED       01        130,000
CORNING INC                     COM   219350105        4,522      219,000    SH     DEFINED       01        219,000
COSTCO WHOLESALE CORP           COM   22160K105        4,399       60,000    SH     DEFINED       01         60,000
CSX CORP                        COM   126408103        3,932       50,000    SH     DEFINED       01         50,000
CTRIP.COM INTERNATIONAL         ADR   22943F100        5,600      135,000    SH     DEFINED       01        135,000
CUMMINS INC                     COM   231021106        3,180       29,000    SH     DEFINED       01         29,000
CVS CAREMARK CORP               COM   126650100        8,058      235,000    SH     DEFINED       01        235,000
DANAHER CORP                    COM   235851102        4,667       90,000    SH     DEFINED       01         90,000
DEERE + CO                      COM   244199105        7,846       81,000    SH     DEFINED       01         81,000
DEVON ENERGY CORPORATION        COM   25179M103        7,709       84,000    SH     DEFINED       01         84,000
DIAMOND OFFSHORE DRILLING       COM   25271C102        3,887       50,000    SH     DEFINED       01         50,000
DIRECTV CLASS A                 COM   25490A101        5,710      122,000    SH     DEFINED       01        122,000
DOMINION RESOURCES INC/VA       COM   25746U109        4,469      100,000    SH     DEFINED       01        100,000
DOVER CORP                      COM   260003108        1,775       27,000    SH     DEFINED       01         27,000
DOW CHEMICAL CO/THE             COM   260543103        5,697      151,000    SH     DEFINED       01        151,000
DU PONT (E.I.) DE NEMOURS       COM   263534109       10,166      185,000    SH     DEFINED       01        185,000
EATON CORP                      COM   278058102        7,210      130,000    SH     DEFINED       01        130,000
EBAY INC                        COM   278642103        6,674      215,000    SH     DEFINED       01        215,000
ELI LILLY + CO                  COM   532457108        4,219      120,000    SH     DEFINED       01        120,000
EMBRAER SA ADR                  ADR   29082A107          337       10,000    SH     DEFINED       01         10,000
EMC CORP/MASS                   COM   268648102       11,151      420,000    SH     DEFINED       01        420,000
EMERSON ELECTRIC CO             COM   291011104        7,128      122,000    SH     DEFINED       01        122,000
ENTERGY CORP                    COM   29364G103        1,748       26,000    SH     DEFINED       01         26,000
ESTEE LAUDER COMPANIES CL       COM   518439104        1,638       17,000    SH     DEFINED       01         17,000
EXELON CORP                     COM   30161N101        6,430      156,000    SH     DEFINED       01        156,000
EXPRESS SCRIPTS INC             COM   302182100        6,006      108,000    SH     DEFINED       01        108,000
EXXON MOBIL CORP                COM   30231G102       59,761      710,000    SH     DEFINED       01        710,000
FIFTH THIRD BANCORP             COM   316773100        1,388      100,000    SH     DEFINED       01        100,000
FIRST HORIZON NATIONAL          COM   320517105        1,593      142,209    SH     DEFINED       01        142,209
FISERV INC                      COM   337738108        2,822       45,000    SH     DEFINED       01         45,000
FLUOR CORP                      COM   343412102        2,652       36,000    SH     DEFINED       01         36,000
FOMENTO ECONOMICO MEX SP        ADR   344419106        6,528      111,300    SH     DEFINED       01        111,300
FORD MOTOR CO                   COM   345370860        7,450      500,000    SH     DEFINED       01        500,000
FREEPORT MCMORAN COPPER         COM   35671D857        8,333      150,000    SH     DEFINED       01        150,000
FRONTIER COMMUNICATIONS         COM   35906A108        3,280      400,000    SH     DEFINED       01        400,000
GENERAL DYNAMICS CORP           COM   369550108        3,980       52,000    SH     DEFINED       01         52,000
GENERAL ELECTRIC CO             COM   369604103       31,447    1,570,000    SH     DEFINED       01      1,570,000
GILEAD SCIENCES INC             COM   375558103        6,366      150,000    SH     DEFINED       01        150,000
GOLDMAN SACHS GROUP INC         COM   38141G104       11,895       75,000    SH     DEFINED       01         75,000
GOODRICH CORP                   COM   382388106        2,223       26,000    SH     DEFINED       01         26,000
GOOGLE INC CL A                 COM   38259P508       21,781       37,155    SH     DEFINED       01         37,155
GRUPO TELEVISA SA SPONS         ADR   40049J206        3,802      155,000    SH     DEFINED       01        155,000
HALLIBURTON CO                  COM   406216101        5,982      120,000    SH     DEFINED       01        120,000
HARTFORD FINANCIAL SVCS         COM   416515104        2,961      110,000    SH     DEFINED       01        110,000
HESS CORP                       COM   42809H107        5,877       69,000    SH     DEFINED       01         69,000
HEWLETT PACKARD CO              COM   428236103       14,995      366,000    SH     DEFINED       01        366,000
HOLOGIC INC                     COM   436440101        4,771      215,000    SH     DEFINED       01        215,000
HOME DEPOT INC                  COM   437076102        7,412      200,000    SH     DEFINED       01        200,000
HONEYWELL INTERNATIONAL         COM   438516106        7,882      132,000    SH     DEFINED       01        132,000
HOST HOTELS + RESORTS INC       COM   44107P104        4,403      250,000    SH     DEFINED       01        250,000
ILLINOIS TOOL WORKS             COM   452308109        7,252      135,000    SH     DEFINED       01        135,000
INGERSOLL RAND PLC              COM   G47791101        6,278      130,000    SH     DEFINED       01        130,000
INTEL CORP                      COM   458140100       14,623      725,000    SH     DEFINED       01        725,000
INTERPUBLIC GROUP OF COS        COM   460690100        3,017      240,000    SH     DEFINED       01        240,000
INTL BUSINESS MACHINES          COM   459200101       28,241      173,000    SH     DEFINED       01        173,000
INTUIT INC                      COM   461202103        3,290       62,000    SH     DEFINED       01         62,000
INTUITIVE SURGICAL INC          COM   46120E602        2,501        7,500    SH     DEFINED       01          7,500
INVESCO LTD                     COM   G491BT108        2,759      108,000    SH     DEFINED       01        108,000
ISHARES COHEN + STEERS          COM   464287564       13,245      190,000    SH     DEFINED       01        190,000
ITAU UNIBANCO HLDNG PREF        ADR   465562106        1,653       68,750    SH     DEFINED       01         68,750
JANUS CAPITAL GROUP INC         COM   47102X105        1,495      120,000    SH     DEFINED       01        120,000
JDS UNIPHASE CORP               COM   46612J507        3,751      180,000    SH     DEFINED       01        180,000
JOHNSON + JOHNSON               COM   478160104       21,100      356,000    SH     DEFINED       01        356,000
JOHNSON CONTROLS INC            COM   478366107        6,651      160,000    SH     DEFINED       01        160,000
JPMORGAN CHASE + CO             COM   46625H100       26,288      570,000    SH     DEFINED       01        570,000
JUNIPER NETWORKS INC            COM   48203R104        4,840      115,000    SH     DEFINED       01        115,000
KANSAS CITY SOUTHERN            COM   485170302        4,080       75,000    SH     DEFINED       01         75,000
KEYCORP                         COM   493267108        2,664      300,000    SH     DEFINED       01        300,000
KLA TENCOR CORPORATION          COM   482480100        1,326       28,000    SH     DEFINED       01         28,000
KRAFT FOODS INC CLASS A         COM   50075N104        6,397      204,000    SH     DEFINED       01        204,000
KROGER CO                       COM   501044101        2,205       92,000    SH     DEFINED       01         92,000
LENNAR CORP A                   COM   526057104        1,177       65,000    SH     DEFINED       01         65,000
LEUCADIA NATIONAL CORP          COM   527288104          976       26,000    SH     DEFINED       01         26,000
LG DISPLAY CO LTD ADR           ADR   50186V102        2,755      175,000    SH     DEFINED       01        175,000
LINCOLN NATIONAL CORP           COM   534187109        2,705       90,000    SH     DEFINED       01         90,000
LINEAR TECHNOLOGY CORP          COM   535678106        1,076       32,000    SH     DEFINED       01         32,000
LOWE S COS INC                  COM   548661107        5,022      190,000    SH     DEFINED       01        190,000
M + T BANK CORP                 COM   55261F104        5,310       60,000    SH     DEFINED       01         60,000
MACY S INC                      COM   55616P104        2,716      112,000    SH     DEFINED       01        112,000
MARRIOTT INTERNATIONAL          COM   571903202        4,091      115,000    SH     DEFINED       01        115,000
MARVELL TECHNOLOGY GROUP        COM   G5876H105        1,555      100,000    SH     DEFINED       01        100,000
MASCO CORP                      COM   574599106        3,756      270,000    SH     DEFINED       01        270,000
MASTERCARD INC CLASS A          COM   57636Q104        3,272       13,000    SH     DEFINED       01         13,000
MATTEL INC                      COM   577081102        1,321       53,000    SH     DEFINED       01         53,000
MCDONALD S CORP                 COM   580135101       10,502      138,000    SH     DEFINED       01        138,000
MCGRAW HILL COMPANIES INC       COM   580645109        1,733       44,000    SH     DEFINED       01         44,000
MCKESSON CORP                   COM   58155Q103        3,083       39,000    SH     DEFINED       01         39,000
MEDCO HEALTH SOLUTIONS          COM   58405U102        5,335       95,000    SH     DEFINED       01         95,000
MEDTRONIC INC                   COM   585055106        5,703      145,000    SH     DEFINED       01        145,000
MELCO CROWN ENTERTAINME         ADR   585464100        7,580    1,000,000    SH     DEFINED       01      1,000,000
MEMC ELECTRONIC MATERIALS       COM   552715104          674       52,000    SH     DEFINED       01         52,000
MERCK + CO. INC.                COM   58933Y105       13,204      400,000    SH     DEFINED       01        400,000
METLIFE INC                     COM   59156R108        5,808      130,000    SH     DEFINED       01        130,000
MICRON TECHNOLOGY INC           COM   595112103        1,318      115,000    SH     DEFINED       01        115,000
MICROSOFT CORP                  COM   594918104       27,642    1,090,000    SH     DEFINED       01      1,090,000
MINDRAY MEDICAL INTL LTD        ADR   602675100        6,572      261,000    SH     DEFINED       01        261,000
MONSANTO CO                     COM   61166W101       11,196      155,000    SH     DEFINED       01        155,000
MORGAN STANLEY                  COM   617446448        6,010      220,000    SH     DEFINED       01        220,000
MOTOROLA MOBILITY HOLD          COM   620097105        1,891       77,500    SH     DEFINED       01         77,500
MOTOROLA SOLUTIONS INC          COM   620076307        3,958       88,571    SH     DEFINED       01         88,571
MYLAN INC                       COM   628530107        5,207      230,000    SH     DEFINED       01        230,000
NABORS INDUSTRIES LTD           COM   G6359F103        6,076      200,000    SH     DEFINED       01        200,000
NATIONAL OILWELL VARCO          COM   637071101        5,945       75,000    SH     DEFINED       01         75,000
NETAPP INC                      COM   64110D104        5,878      122,000    SH     DEFINED       01        122,000
NEW ORIENTAL EDUCATIO SP        ADR   647581107        7,214       72,000    SH     DEFINED       01         72,000
NEWMONT MINING CORP             COM   651639106        6,823      125,000    SH     DEFINED       01        125,000
NEWS CORP CLASS B               COM   65248E203        5,549      298,000    SH     DEFINED       01        298,000
NIKE INC  CL B                  COM   654106103        5,071       67,000    SH     DEFINED       01         67,000
NORFOLK SOUTHERN CORP           COM   655844108        6,369       92,000    SH     DEFINED       01         92,000
NORTHROP GRUMMAN CORP           COM   666807102        2,820       45,000    SH     DEFINED       01         45,000
NUCOR CORP                      COM   670346105        2,533       55,000    SH     DEFINED       01         55,000
NVIDIA CORP                     COM   67066G104        3,395      184,000    SH     DEFINED       01        184,000
NYSE EURONEXT                   COM   629491101        2,740       78,000    SH     DEFINED       01         78,000
OCCIDENTAL PETROLEUM CORP       COM   674599105       13,270      127,000    SH     DEFINED       01        127,000
ORACLE CORP                     COM   68389X105       20,189      605,000    SH     DEFINED       01        605,000
P G + E CORP                    COM   69331C108        4,415      100,000    SH     DEFINED       01        100,000
PACCAR INC                      COM   693718108        4,450       85,000    SH     DEFINED       01         85,000
PAYCHEX INC                     COM   704326107        5,018      160,000    SH     DEFINED       01        160,000
PEABODY ENERGY CORP             COM   704549104        2,159       30,000    SH     DEFINED       01         30,000
PEPSICO INC                     COM   713448108       13,977      217,000    SH     DEFINED       01        217,000
PETROHAWK ENERGY CORP           COM   716495106        3,922      160,000    SH     DEFINED       01        160,000
PETROLEO BRASILEIRO S.A.        ADR   71654V408        3,639       90,000    SH     DEFINED       01         90,000
PFIZER INC                      COM   717081103       21,224    1,045,000    SH     DEFINED       01      1,045,000
PHILIP MORRIS INTERNATION       COM   718172109       16,728      255,000    SH     DEFINED       01        255,000
PHOENIX COMPANIES               COM   71902E109          277      101,817    SH      SOLE                   101,817
PNC FINANCIAL SERVICES          COM   693475105        5,792       92,000    SH     DEFINED       01         92,000
PPG INDUSTRIES INC              COM   693506107        5,713       60,000    SH     DEFINED       01         60,000
PPL CORPORATION                 COM   69351T106        1,896       75,000    SH     DEFINED       01         75,000
PRAXAIR INC                     COM   74005P104        5,691       56,000    SH     DEFINED       01         56,000
PRECISION CASTPARTS CORP        COM   740189105        3,753       25,500    SH     DEFINED       01         25,500
PROCTER + GAMBLE CO/THE         COM   742718109       22,491      365,000    SH     DEFINED       01        365,000
PRUDENTIAL FINANCIAL INC        COM   744320102        3,693       60,000    SH     DEFINED       01         60,000
PUBLIC SERVICE ENTERPRISE       COM   744573106        3,153      100,000    SH     DEFINED       01        100,000
QUALCOMM INC                    COM   747525103       14,256      260,000    SH     DEFINED       01        260,000
QWEST COMMUNICATIONS INTL       COM   749121109        1,528      223,000    SH     DEFINED       01        223,000
REGIONS FINANCIAL CORP          COM   7591EP100        2,755      380,000    SH     DEFINED       01        380,000
REPUBLIC SERVICES INC           COM   760759100        1,989       66,212    SH      SOLE                    66,212
ROCKWELL COLLINS INC            COM   774341101        1,425       22,000    SH     DEFINED       01         22,000
SCHLUMBERGER LTD                COM   806857108       19,114      205,000    SH     DEFINED       01        205,000
SCHWAB (CHARLES) CORP           COM   808513105        6,311      350,000    SH     DEFINED       01        350,000
SEMPRA ENERGY                   COM   816851109        2,460       46,000    SH     DEFINED       01         46,000
SIGMA ALDRICH                   COM   826552101        2,546       40,000    SH     DEFINED       01         40,000
SINA CORP                       COM   G81477104       12,310      115,000    SH     DEFINED       01        115,000
SLM CORP                        COM   78442P106        3,823      250,000    SH     DEFINED       01        250,000
SOUTHERN CO                     COM   842587107        6,856      180,000    SH     DEFINED       01        180,000
SPECTRA ENERGY CORP             COM   847560109        4,757      175,000    SH     DEFINED       01        175,000
SPRINT NEXTEL CORP              COM   852061100        3,255      700,000    SH     DEFINED       01        700,000
ST JUDE MEDICAL INC             COM   790849103        2,049       40,000    SH     DEFINED       01         40,000
STANLEY BLACK + DECKER          COM   854502101        6,126       80,000    SH     DEFINED       01         80,000
STARBUCKS CORP                  COM   855244109        3,695      100,000    SH     DEFINED       01        100,000
STATE STREET CORP               COM   857477103        5,845      130,000    SH     DEFINED       01        130,000
SUNTRUST BANKS INC              COM   867914103        4,329      150,000    SH     DEFINED       01        150,000
SUPERVALU INC                   COM   868536103        2,138      240,000    SH     DEFINED       01        240,000
SYSCO CORP                      COM   871829107        4,566      165,000    SH     DEFINED       01        165,000
T ROWE PRICE GROUP INC          COM   74144T108        4,777       72,000    SH     DEFINED       01         72,000
TAIWAN GTR CHINA FD             COM   874037104          330       45,846    SH     DEFINED       01         45,846
TARGET CORP                     COM   87612E106        6,999      140,000    SH     DEFINED       01        140,000
TELE NORTE LESTE PART ADR       ADR   879246106          272       15,500    SH     DEFINED       01         15,500
TELEFONOS DE MEXICO SP AD       ADR   879403707        1,726       95,000    SH     DEFINED       01         95,000
TELEFONOS DE MEXICO SP AD       ADR   879403780        2,117      116,000    SH     DEFINED       01        116,000
TEXAS INSTRUMENTS INC           COM   882508104        5,357      155,000    SH     DEFINED       01        155,000
THERMO FISHER SCIENTIFIC        COM   883556102        3,278       59,000    SH     DEFINED       01         59,000
TIME WARNER CABLE               COM   88732J207        4,033       56,536    SH     DEFINED       01         56,536
TIME WARNER INC                 COM   887317303        5,940      166,333    SH     DEFINED       01        166,333
TJX COMPANIES INC               COM   872540109        3,381       68,000    SH     DEFINED       01         68,000
UNION PACIFIC CORP              COM   907818108        7,866       80,000    SH     DEFINED       01         80,000
UNITED PARCEL SERVICE CL        COM   911312106       12,629      170,000    SH     DEFINED       01        170,000
UNITED TECHNOLOGIES CORP        COM   913017109       10,833      128,000    SH     DEFINED       01        128,000
UNITEDHEALTH GROUP INC          COM   91324P102        8,498      188,000    SH     DEFINED       01        188,000
US BANCORP                      COM   902973304        9,036      342,000    SH     DEFINED       01        342,000
VALE SA SP ADR                  ADR   91912E105        5,499      165,000    SH     DEFINED       01        165,000
VALERO ENERGY CORP              COM   91913Y100        2,952       99,000    SH     DEFINED       01         99,000
VERIZON COMMUNICATIONS          COM   92343V104       14,264      370,000    SH     DEFINED       01        370,000
VIACOM INC CLASS B              COM   92553P201        7,440      160,000    SH     DEFINED       01        160,000
VIRTUS                          COM   92828Q109          300        5,090    SH      SOLE                     5,090
VISA INC CLASS A SHARES         COM   92826C839        4,271       58,000    SH     DEFINED       01         58,000
WAL MART STORES INC             COM   931142103       13,538      260,000    SH     DEFINED       01        260,000
WALGREEN CO                     COM   931422109        5,541      138,000    SH     DEFINED       01        138,000
WALT DISNEY CO/THE              COM   254687106       15,082      350,000    SH     DEFINED       01        350,000
WATERS CORP                     COM   941848103        1,304       15,000    SH     DEFINED       01         15,000
WEATHERFORD INTL LTD            COM   H27013103        2,710      120,000    SH     DEFINED       01        120,000
WELLPOINT INC                   COM   94973V107        5,583       80,000    SH     DEFINED       01         80,000
WELLS FARGO + CO                COM   949746101       21,556      680,000    SH     DEFINED       01        680,000
WESTERN DIGITAL CORP            COM   958102105        1,305       35,000    SH     DEFINED       01         35,000
WESTERN UNION CO                COM   959802109        2,122      102,000    SH     DEFINED       01        102,000
WILLIAMS COS INC                COM   969457100        3,648      117,000    SH     DEFINED       01        117,000
WISCONSIN ENERGY CORP           COM   976657106        2,561       84,000    SH     DEFINED       01         84,000
XEROX CORP                      COM   984121103        4,362      410,000    SH     DEFINED       01        410,000
XILINX INC                      COM   983919101        1,279       39,000    SH     DEFINED       01         39,000
YAHOO  INC                      COM   984332106        4,493      270,000    SH     DEFINED       01        270,000
                                                  1,690,079