FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2010

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:  333 S. Wabash
	  Chicago,IL 60604


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: Lawrence J. Boysen
Title: Senior Vice President and Corporate Controller
Phone: (312) 822 5653
Signature, Place, and Date of Signing:

/s/ Lawrence J. Boysen             Chicago, IL                        05/17/2010
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Assets reported herein are described as having shared
investment discretion among Loews Corporation, CNA Financial
Corporation, The Continental Corporation and Continental Casualty
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
The Continental Corporation; and The Continental Corporation owns
100% of the outstanding shares of Continental Casualty Company.
Loews Corporation will report separately on securities over which
it has investment discretion which are not part of this report.

Report Type (Check only one.):

 [  X ]              13F HOLDINGS REPORT.

 [    ]              13F NOTICE.

 [    ]              13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:








FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 3

Form 13F Information Table Entry Total: 184

Form 13F Information Table Value Total:  $852,749 (in thousands)



List of Other Included Managers:

No. 	13F File Number		 Name

1	28-217		Loews Corporation
2	28-172		The Continental Corporation
3	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
ABBOTT LABORATORIES         COM     002824100  869     16,500     SH       DEFINED    1,2,3            16,500
ADAPTEC INC                 COM     00651F108  372     113,900    SH       DEFINED    1,2,3           113,900
AETNA INC                   COM     00817Y108  2,050   58,400     SH       DEFINED    1,2,3            58,400
AFTERMARKET TECHNOLOGY CORP COM     00211W104  445     25,950     SH       DEFINED    1,2,3            25,950
ALCATEL-LUCENT              SPONS   013904305  1,427   457,225    SH       DEFINED    1,2,3           457,225
ALCON INC                   COM SHS H01301102  226     1,400      SH       DEFINED    1,2,3             1,400
ALLSTATE CORPORATION        COM     020002101  1,943   60,125     SH       DEFINED    1,2,3            60,125
AMERICAN EQUITY INVT LIFE   COM     025676206  1,435   134,725    SH       DEFINED    1,2,3           134,725
AMERICAN NATIONAL INSURANCE COM     028591105  397     3,500      SH       DEFINED    1,2,3             3,500
AMGEN INC                   COM     031162100  3,411   57,000     SH       DEFINED    1,2,3            57,000
ANADARKO PETROLEUM CORP     COM     032511107  12,696  174,320    SH       DEFINED    1,2,3           174,320
ANSYS INC                   COM     03662Q105  208     4,824      SH       DEFINED    1,2,3             4,824
APACHE CORP                 COM     037411105  6,598   65,000     SH       DEFINED    1,2,3            65,000
ARGO GROUP INTERNATIONAL    COM     G0464B107  1,093   33,550     SH       DEFINED    1,2,3            33,550
ARMSTRONG WORLD INDUSTRIES  COM     04247X102  520     14,325     SH       DEFINED    1,2,3            14,325




                                                                             
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
ARTHUR J GALLAGHER & CO     COM     363576109  960     39,100     SH       DEFINED    1,2,3            39,100
ASSURANT INC                COM     04621X108  3,782   110,000    SH       DEFINED    1,2,3           110,000
AVNET INC                   COM     053807103  2,069   68,950     SH       DEFINED    1,2,3            68,950
AVON PRODUCTS  INC          COM     054303102  1,386   40,925     SH       DEFINED    1,2,3            40,925
BALTIC TRADING              COM     Y0553W103  1,268   93,600     SH       DEFINED    1,2,3            93,600
BANK OF AMERICA CORP        COM     060505104  2,771   155,265    SH       DEFINED    1,2,3           155,265
BANK OF NEW YORK            COM     064058100  3,921   126,981    SH       DEFINED    1,2,3           126,981
BARRICK GOLD CORP           COM     067901108  4,353   113,531    SH       DEFINED    1,2,3           113,531
BAXTER INTL                 COM     071813109  3,296   56,639     SH       DEFINED    1,2,3            56,639
BLACKROCK FLORIDA INSD MUNI COM     09250G102  550     38,900     SH       DEFINED    1,2,3            38,900
BLACKROCK MUNIYIELD INS     COM     09254E103  1,524   116,400    SH       DEFINED    1,2,3           116,400
BLACKROCK MUNIYIELD NY INS  COM     09255E102  696     55,900     SH       DEFINED    1,2,3            55,900
BLOUNT INTERNATIONAL INC    COM     095180105  780     75,275     SH       DEFINED    1,2,3            75,275
BOEING COMPANY              COM     097023105  2,124   29,250     SH       DEFINED    1,2,3            29,250
BP PLC                      SPONS   055622104  1,178   20,650     SH       DEFINED    1,2,3            20,650




                                                                             
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
BRADY CORPORATION           CL A    104674106  965     31,025     SH       DEFINED    1,2,3            31,025
CALPINE CORP                COM     131347304  1,857   156,149    SH       DEFINED    1,2,3           156,149
CAPITAL ONE FINANCIAL CORP  COM     14040H105  1,183   28,575     SH       DEFINED    1,2,3            28,575
CENOVUS ENERGY INC-W/I      COM     15135U109  1,245   47,500     SH       DEFINED    1,2,3            47,500
CENTERPOINT ENERGY INC      COM     15189T107  2,210   153,870    SH       DEFINED    1,2,3           153,870
CHARLES RIVER LABORATORIES  COM     159864107  989     25,150     SH       DEFINED    1,2,3            25,150
CHEMICAL FINANCIAL CORP     COM     163731102  660     27,925     SH       DEFINED    1,2,3            27,925
CIBER INC                   COM     17163B102  652     174,300    SH       DEFINED    1,2,3           174,300
CISCO SYSTEMS INC           COM     17275R102  1,093   42,000     SH       DEFINED    1,2,3            42,000
CITIGROUP INC               COM     172967101  1,693   417,933    SH       DEFINED    1,2,3           417,933
CNA SURETY CORPORATION      COM     12612L108  487,893 27,425,147 SH       DEFINED    1,2,3        27,425,147
COCA COLA CO                COM     191216100  1,557   28,300     SH       DEFINED    1,2,3            28,300
COMCAST CORP                CL A    20030N200  4,930   274,350    SH       DEFINED    1,2,3           274,350
COMCAST CORP                CL A    20030N101  740     39,300     SH       DEFINED    1,2,3            39,300
COMERICA                    COM     200340107  1,329   34,950     SH       DEFINED    1,2,3            34,950




                                                                             
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
COMPUTER ASSOCIATES INTL    COM     12673P105  1,499   63,877     SH       DEFINED    1,2,3            63,877
CONMED CORP                 COM     207410101  488     20,475     SH       DEFINED    1,2,3            20,475
CONSECO INC                 COM     208464883  689     110,800    SH       DEFINED    1,2,3           110,800
CONSTELLATION ENERGY PART   CL B    21038E101  631     180,260    SH       DEFINED    1,2,3           180,260
COOPER INDUSTRIES INC       SHS     G24140108  1,415   29,525     SH       DEFINED    1,2,3            29,525
CORNING INC                 COM     219350105  707     35,000     SH       DEFINED    1,2,3            35,000
COSTCO WHOLESALE CORP       COM     22160K105  597     10,000     SH       DEFINED    1,2,3            10,000
CSX CORP                    COM     126408103  1,832   36,000     SH       DEFINED    1,2,3            36,000
CVS CORP                    COM     126650100  2,559   70,000     SH       DEFINED    1,2,3            70,000
DELL COMPUTER CORP          COM     24702R101  1,726   114,925    SH       DEFINED    1,2,3           114,925
DELPHI FINANCIAL GROUP      CL A    247131105  869     34,538     SH       DEFINED    1,2,3            34,538
DELTA AIR LINES INC         COM     247361702  986     67,577     SH       DEFINED    1,2,3            67,577
DEVON ENERGY CORP           COM     25179M103  7,427   115,270    SH       DEFINED    1,2,3           115,270
DIAMONDROCK HOSPITALITY CO  COM     252784301  1,296   128,171    SH       DEFINED    1,2,3           128,171
DIODES INC                  COM     254543101  835     37,275     SH       DEFINED    1,2,3            37,275




                                                                             
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
DREW INDUSTRIES INC         COM     26168L205  327     14,828     SH       DEFINED    1,2,3            14,828
DU PONT DE NEMOURS E.I.     COM     263534109  689     18,500     SH       DEFINED    1,2,3            18,500
DYNEGY INC                  CL A    26817G102  1,203   955,130    SH       DEFINED    1,2,3           955,130
EMC CORPORATION             COM     268648102  837     46,410     SH       DEFINED    1,2,3            46,410
ENCANA CORP                 COM     292505104  1,474   47,500     SH       DEFINED    1,2,3            47,500
ENSCO INTERNATIONAL INC     SPONS   29358Q109  3,829   85,500     SH       DEFINED    1,2,3            85,500
EOG RESOURCES INC           COM     26875P101  1,394   15,000     SH       DEFINED    1,2,3            15,000
EVEREST RE GROUP LTD        COM     G3223R108  1,780   22,000     SH       DEFINED    1,2,3            22,000
EXELON CORP                 COM     30161N101  44      1,000      SH       DEFINED    1,2,3             1,000
EXXON MOBIL CORP            COM     30231G102  2,646   39,500     SH       DEFINED    1,2,3            39,500
FBL FINANCIAL GROUP INC     CL A    30239F106  585     23,900     SH       DEFINED    1,2,3            23,900
FLUOR CORP                  COM     343412102  558     12,000     SH       DEFINED    1,2,3            12,000
GENERAL ELECTRIC CO         COM     369604103  692     38,000     SH       DEFINED    1,2,3            38,000
GILDAN ACTIVEWEAR INC       COM     375916103  1,098   41,750     SH       DEFINED    1,2,3            41,750
GILEAD SCIENCES INC         COM     375558103  978     21,500     SH       DEFINED    1,2,3            21,500




                                                                             
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
GLG PARTNERS INC            COM     37929X107  292     95,000     SH       DEFINED    1,2,3            95,000
GOLDMAN SACHS GROUP INC     COM     38141G104  6,569   38,500     SH       DEFINED    1,2,3            38,500
GOOGLE INC                  CL A    38259P508  4,570   8,060      SH       DEFINED    1,2,3             8,060
GRACO                       COM     384109104  856     26,750     SH       DEFINED    1,2,3            26,750
GRIFFON CORPORATION         COM     398433102  1,238   99,319     SH       DEFINED    1,2,3            99,319
HALLIBURTON COMPANY         COM     406216101  904     30,000     SH       DEFINED    1,2,3            30,000
HALOZYME THERAPEUTICS INC   COM     40637H109  170     21,273     SH       DEFINED    1,2,3            21,273
HARTE-HANKS INC             COM     416196103  1,752   136,275    SH       DEFINED    1,2,3           136,275
HARTFORD FINANCIAL SVCS GRP COM     416515104  312     10,975     SH       DEFINED    1,2,3            10,975
HEARTLAND PAYMENT SYSTEMS   COM     42235N108  545     29,275     SH       DEFINED    1,2,3            29,275
HESS CORP                   COM     42809H107  1,344   21,480     SH       DEFINED    1,2,3            21,480
HEWLETT-PACKARD CO          COM     428236103  11,693  220,000    SH       DEFINED    1,2,3           220,000
HOME DEPOT                  COM     437076102  1,412   43,650     SH       DEFINED    1,2,3            43,650
HORIZON LINES INC           COM     44044K101  155     28,450     SH       DEFINED    1,2,3            28,450
HORMEL FOODS CORP           COM     440452100  84      2,000      SH       DEFINED    1,2,3             2,000




                                                                             
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
HOSPITALITY PROPERTIES      COM SHS 44106M102  1,672   69,800     SH       DEFINED    1,2,3            69,800
IMMUCOR INC                 COM     452526106  868     38,750     SH       DEFINED    1,2,3            38,750
INGERSOLL RAND CO           SHS     G47791101  2,216   63,560     SH       DEFINED    1,2,3            63,560
INSIGHT ENTERPRISES INC     COM     45765U103  448     31,175     SH       DEFINED    1,2,3            31,175
IBM                         COM     459200101  18,110  141,210    SH       DEFINED    1,2,3           141,210
J.C. PENNEY CO INC HLDG CO  COM     708160106  2,410   74,925     SH       DEFINED    1,2,3            74,925
JARDEN CORP                 COM     471109108  1,010   30,350     SH       DEFINED    1,2,3            30,350
JOHNSON & JOHNSON           COM     478160104  8,381   128,545    SH       DEFINED    1,2,3           128,545
JONES APPAREL GROUP INC     COM     480074103  1,011   53,175     SH       DEFINED    1,2,3            53,175
JPMORGAN CHASE & CO-CW18    COM     46634E114  2,333   151,810    SH       DEFINED    1,2,3           151,810
JPMORGAN CHASE & COMPANY    COM     46625H100  2,361   52,750     SH       DEFINED    1,2,3            52,750
KELLY SERVICES INC          CL A    488152208  874     52,471     SH       DEFINED    1,2,3            52,471
KRAFT FOODS INC             CL A    50075N104  1,956   64,675     SH       DEFINED    1,2,3            64,675
L-3 COMMUNICATIONS CORP     COM     502424104  2,126   23,200     SH       DEFINED    1,2,3            23,200
LAM RESEARCH CORP           COM     512807108  712     19,075     SH       DEFINED    1,2,3            19,075




                                                                             
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
LINCOLN NATIONAL CORP       COM     534187109  5,987   195,000    SH       DEFINED    1,2,3           195,000
MAGNA INTERNATIONAL INC     CL A    559222401  1,675   27,075     SH       DEFINED    1,2,3            27,075
MARRIOTT INTERNATIONAL      CL A    571903202  1,020   32,346     SH       DEFINED    1,2,3            32,346
MASTERCARD INC              CL A    57636Q104  2,540   10,000     SH       DEFINED    1,2,3            10,000
MCDERMOTT INTL INC          COM     580037109  2,464   91,540     SH       DEFINED    1,2,3            91,540
MEDIACOM COMMUNICATIONS     CL A    58446K105  1,488   250,000    SH       DEFINED    1,2,3           250,000
MEDTRONIC INC               COM     585055106  653     14,500     SH       DEFINED    1,2,3            14,500
MI DEVELOPMENTS INC         CL A    55304X104  604     46,300     SH       DEFINED    1,2,3            46,300
MICROSOFT CORP              COM     594918104  2,839   96,925     SH       DEFINED    1,2,3            96,925
MOLSON COORS BREWING CO     CL B    60871R209  694     16,500     SH       DEFINED    1,2,3            16,500
MORGAN ST DEAN WITTER DISC  COM     617446448  1,582   54,000     SH       DEFINED    1,2,3            54,000
MORGAN STANLEY QUAL MUNI    SECS    61745P585  386     28,600     SH       DEFINED    1,2,3            28,600
MOTOROLA INC                COM     620076109  1,994   283,980    SH       DEFINED    1,2,3           283,980
MTS SYSTEMS CORP            COM     553777103  1,004   34,578     SH       DEFINED    1,2,3            34,578
NARA BANCORP INC            COM     63080P105  1,061   121,100    SH       DEFINED    1,2,3           121,100




                                                                             
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
NATL PENN BCSHS INC         COM     637138108  831     120,475    SH       DEFINED    1,2,3           120,475
NORTHROP GRUMMAN CORP       COM     666807102  2,654   40,475     SH       DEFINED    1,2,3            40,475
OCCIDENTAL PETROLEUM        COM     674599105  7,609   90,000     SH       DEFINED    1,2,3            90,000
OMNICOM GROUP               COM     681919106  2,328   59,975     SH       DEFINED    1,2,3            59,975
ORACLE CORP                 COM     68389X105  6,428   250,000    SH       DEFINED    1,2,3           250,000
PEDIATRIX MEDICAL GROUP INC COM     58502B106  452     7,775      SH       DEFINED    1,2,3             7,775
PEPSICO INCORPORATED        COM     713448108  60      900        SH       DEFINED    1,2,3               900
PFIZER INC                  COM     717081103  9,969   581,300    SH       DEFINED    1,2,3           581,300
PHARMACEUTICAL HOLDRS TRUST DEPOS   71712A206  829     12,500     SH       DEFINED    1,2,3            12,500
PHH CORP                    COM     693320202  1,345   57,050     SH       DEFINED    1,2,3            57,050
PHILIP MORRIS INTERNATIONAL COM     718172109  782     15,000     SH       DEFINED    1,2,3            15,000
PIKE ELECTRIC CORP          COM     721283109  437     46,925     SH       DEFINED    1,2,3            46,925
PINNACLE WEST CAPITAL CORP  COM     723484101  737     19,540     SH       DEFINED    1,2,3            19,540
PITNEY-BOWES  INC           COM     724479100  1,777   72,689     SH       DEFINED    1,2,3            72,689
PLANTRONICS INC             COM     727493108  896     28,650     SH       DEFINED    1,2,3            28,650




                                                                             
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
PNC FINANCIAL CORP          COM     693475105  1,346   22,544     SH       DEFINED    1,2,3            22,544
POPULAR INC                 COM     733174106  207     71,000     SH       DEFINED    1,2,3            71,000
PORTLAND GENERAL ELECTRIC   COM     736508847  1,986   102,825    SH       DEFINED    1,2,3           102,825
PRAXAIR INC                 COM     74005P104  1,660   20,000     SH       DEFINED    1,2,3            20,000
PROCTER & GAMBLE CO         COM     742718109  886     14,000     SH       DEFINED    1,2,3            14,000
PROGRESS ENERGY INC         COM     743263105  2,113   53,680     SH       DEFINED    1,2,3            53,680
PUBLIC SERVICE CO OF N MEX  COM     69349H107  770     61,475     SH       DEFINED    1,2,3            61,475
QUALCOMM INC                COM     747525103  630     15,000     SH       DEFINED    1,2,3            15,000
REGIS CORP                  COM     758932107  623     33,325     SH       DEFINED    1,2,3            33,325
RENAISSANCERE HOLDINGS LTD  COM     G7496G103  1,782   31,400     SH       DEFINED    1,2,3            31,400
RENT-A-CENTER INC           COM     76009N100  694     29,350     SH       DEFINED    1,2,3            29,350
RITE AID CORP               COM     767754104  649     432,785    SH       DEFINED    1,2,3           432,785
SCHLUMBERGER LIMITED        COM     806857108  723     11,400     SH       DEFINED    1,2,3            11,400
SEALY CORP                  COM     812139301  300     85,775     SH       DEFINED    1,2,3            85,775
SEARS HOLDINGS CORP         COM     812350106  1,894   17,465     SH       DEFINED    1,2,3            17,465




                                                                             
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
SEMPRA ENERGY               COM     816851109  1,473   29,525     SH       DEFINED    1,2,3            29,525
SHERWIN WILLIAMS CO         COM     824348106  1,844   27,250     SH       DEFINED    1,2,3            27,250
SPDR GOLD TRUST             SHS     78463V107  27,238  250,000    SH       DEFINED    1,2,3           250,000
SPHERION CORPORATION        COM     784153108  291     35,450     SH       DEFINED    1,2,3            35,450
ST JUDE MEDICAL INC         COM     790849103  821     20,000     SH       DEFINED    1,2,3            20,000
STAPLES INC                 COM     855030102  2,154   92,070     SH       DEFINED    1,2,3            92,070
STARBUCKS CORP              COM     855244109  49      2,000      SH       DEFINED    1,2,3             2,000
STATE STREET CORP           COM     857477103  1,327   29,400     SH       DEFINED    1,2,3            29,400
SYMANTEC CORP               COM     871503108  457     27,000     SH       DEFINED    1,2,3            27,000
TALISMAN ENERGY INC         COM     87425E103  2,815   165,000    SH       DEFINED    1,2,3           165,000
TECH DATA CORP              COM     878237106  364     8,687      SH       DEFINED    1,2,3             8,687
THERMO FISHER SCIENTIFIC    COM     883556102  2,423   47,110     SH       DEFINED    1,2,3            47,110
THOMPSON CREEK METALS CO    COM     884768102  81      6,000      SH       DEFINED    1,2,3             6,000
TORCHMARK CORP              COM     891027104  2,281   42,625     SH       DEFINED    1,2,3            42,625
TRAVELERS COS INC/THE       COM     89417E109  5,124   95,000     SH       DEFINED    1,2,3            95,000




                                                                             
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
TREX COMPANY INC            COM     89531P105  1,180   55,425     SH       DEFINED    1,2,3            55,425
TRIUMPH GROUP INC           COM     896818101  510     7,275      SH       DEFINED    1,2,3             7,275
TYCO ELECTRONICS            SHS     H8912P106  2,582   93,975     SH       DEFINED    1,2,3            93,975
UNILEVER NV                 SHS     904784709  930     30,850     SH       DEFINED    1,2,3            30,850
UNITED NATIONAL GROUP LTD   COM     90933T109  1,205   125,866    SH       DEFINED    1,2,3           125,866
UNITED TECHNOLOGIES CORP    COM     913017109  2,138   29,040     SH       DEFINED    1,2,3            29,040
UNIVERSAL CORP-VA           COM     913456109  374     7,100      SH       DEFINED    1,2,3             7,100
UNUM CORP                   COM     91529Y106  1,102   44,500     SH       DEFINED    1,2,3            44,500
VALASSIS COMMUNICATIONS INC COM     918866104  205     7,350      SH       DEFINED    1,2,3             7,350
VALERO ENERGY CORP          COM     91913Y100  1,035   52,525     SH       DEFINED    1,2,3            52,525
VALIDUS HOLDINGS LTD        COM SHS G9319H102  4,361   158,405    SH       DEFINED    1,2,3           158,405
VIAD CORP                   COM     92552R406  748     36,418     SH       DEFINED    1,2,3            36,418
VISA INC                    CL A    92826C839  1,365   15,000     SH       DEFINED    1,2,3            15,000
WEBSTER FINANCIAL CORP      COM     947890109  997     57,000     SH       DEFINED    1,2,3            57,000
WILLIAMS COS INC            COM     969457100  2,267   98,120     SH       DEFINED    1,2,3            98,120




                                                                             
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
XCEL ENERGY INC             COM     98389B100  2,116   99,830     SH       DEFINED    1,2,3            99,830
XEROX CORP                  COM     984121103  5,753   590,000    SH       DEFINED    1,2,3           590,000
ZIMMER HOLDINGS INC         COM     98956P102  1,280   21,625     SH       DEFINED    1,2,3            21,625
ZORAN CORP                  COM     98975F101  1,057   98,244     SH       DEFINED    1,2,3            98,244