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

                                   FORM 13F

                              FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2003
                                               -----------------------

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

Institutional Investment Manager Filing this Report:

   Name:         Sun Life Assurance Company of Canada
                 ------------------------------------------
   Address:      150 King Street West
                 ------------------------------------------
                 Toronto, Ontario, Canada MSH 1J9
                 ------------------------------------------

                 ------------------------------------------

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

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Candace Shaw
         -------------------------------
Title:   Vice-President, Investments
         -------------------------------
Phone:   416-979-6167
         -------------------------------

Signature, Place, and Date of Signing:

   /s/ Candace Shaw                   Ontario, Canada     8-15-2003
   -------------------------------    -----------------   -------------
           [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).)



                             FORM 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                0
                                        --------------------

Form 13F Information Table Entry Total:          394
                                        --------------------

Form 13F Information Table Value Total: $    1,342,604
                                        --------------------
                                            (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.

None




FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
U.S. OPERATIONS - AMOUNTS SHOWN ARE IN U.S. DOLLARS

AMR Corp                           COM              001765106       362    32,953 SH       SOLE                    32,953
AOL Time Warner Inc                COM              00184A105     6,631   412,146 SH       SOLE                   412,146
Agere Systems Inc                  CL B             00845V209     4,440 1,930,325 SH       SOLE                 1,930,325
Allegheny Energy Inc               COM              017361106     6,963   824,056 SH       SOLE                   824,056
Allmerica Financial Corp           COM              019754100     6,618   367,857 SH       SOLE                   367,857
Allstate Corp                      COM              020002101     5,136   144,081 SH       SOLE                   144,081
Amerada Hess Corp                  COM              023551104     9,136   185,770 SH       SOLE                   185,770
American International Group       COM              026874107     4,494    81,441 SH       SOLE                    81,441
Anadarko Petroleum Corp            COM              032511107     6,614   148,726 SH       SOLE                   148,726
Annaly Mortgage Management         COM              035710409    13,905   698,382 SH       SOLE                   698,382
Archer Daniels Midland Co          COM              039483102     8,313   645,934 SH       SOLE                   645,934
Archstone-Smith Trust              COM              039583109     5,560   231,653 SH       SOLE                   231,653
Arris Group Inc                    COM              04269Q100     6,195 1,248,905 SH       SOLE                 1,248,905
AvalonBay Communities Inc.         COM              053484101     6,059   142,091 SH       SOLE                   142,091
Avaya Inc                          COM              053499109     2,929   453,470 SH       SOLE                   453,470
BRE Properties Inc                 CL A             05564E106     6,022   181,383 SH       SOLE                   181,383
Bank of America Corp               COM              060505104     3,304    41,804 SH       SOLE                    41,804
Baxter International Inc           COM              071813109     8,386   322,523 SH       SOLE                   322,523
Boeing Company                     COM              097023105     6,478   188,745 SH       SOLE                   188,745
Boston Properties Inc              COM              101121101    10,129   231,260 SH       SOLE                   231,260
Bristol-Myers Squibb               COM              110122108     7,932   292,165 SH       SOLE                   292,165
CBL & Associates Properties        COM              124830100     6,044   140,557 SH       SOLE                   140,557
CSG Systems Intl Inc               COM              126349109     3,830   267,479 SH       SOLE                   267,479
Centerpoint Properties Trust       SH BEN INT       151895109     5,342    87,217 SH       SOLE                    87,217
Clean Harbors Inc                  COM              184496107     3,083   323,551 SH       SOLE                   323,551
Clear Channel Communications       COM              184502102     3,281    77,400 SH       SOLE                    77,400
Comcast Corp                       CL A             20030N101     4,360   144,456 SH       SOLE                   144,456
Concord Communications Inc         COM              206186108     6,733   490,376 SH       SOLE                   490,376
Developers Diversified Realty      COM              251591103     4,607   161,999 SH       SOLE                   161,999
Dillards Inc                       CL A             254067101     9,592   712,136 SH       SOLE                   712,136
Walt Disney Co                     COM DISNEY       254687106     4,716   238,805 SH       SOLE                   238,805
Duke Realty Corp                   COM NEW          264411505     5,860   212,718 SH       SOLE                   212,718
Eastman Kodak Co                   COM              277461109     2,969   108,557 SH       SOLE                   108,557






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Engelhard Corp                     COM              292845104     5,714   230,694 SH       SOLE                   230,694
Entravision Communication Cl A     CL A             29382R107     4,107   361,835 SH       SOLE                   361,835
Equity Office Properties Trust     COM              294741103     3,776   139,804 SH       SOLE                   139,804
Equity Residential Properties      SH BEN INT       29476L107     3,587   138,225 SH       SOLE                   138,225
Federal Realty Investment Tr       SH BEN INT NEW   313747206     5,254   164,192 SH       SOLE                   164,192
GATX Corporation                   COM              361448103     5,047   308,707 SH       SOLE                   308,707
General Electric Company           COM              369604103     9,194   320,571 SH       SOLE                   320,571
General Growth Properties          COM              370021107     7,524   120,503 SH       SOLE                   120,503
HCA Inc                            COM              404119109     6,410   200,056 SH       SOLE                   200,056
Haemonetics Corp                   COM              405024100     1,726    92,300 SH       SOLE                    92,300
Hain Celestial Group Inc           COM              405217100     3,688   230,919 SH       SOLE                   230,919
Honeywell International            COM              438516106     5,733   213,512 SH       SOLE                   213,512
I-STAT Corp                        COM              450312103     8,352   946,899 SH       SOLE                   946,899
Intel Corp                         COM              458140100     4,818   231,526 SH       SOLE                   231,526
International Paper Co             COM              460146103     5,496   153,823 SH       SOLE                   153,823
MSCI World Equity Benchmark        MSCI AUSTRALIA   464286103       868    78,186 SH       SOLE                    78,186
MSCI World Equity Benchmark        MSCI BELGIUM     464286301       143    12,969 SH       SOLE                    12,969
MSCI World Equity Benchmark        MSCI SINGAPORE   464286673       163    33,739 SH       SOLE                    33,739
MSCI World Equity Benchmark        MSCI UTD KINGD   464286699     4,313   328,487 SH       SOLE                   328,487
MSCI World Equity Benchmark        MSCI FRANCE      464286707     1,456    88,255 SH       SOLE                    88,255
MSCI World Equity Benchmark        MSCI SWITZERLD   464286749     1,076    91,331 SH       SOLE                    91,331
MSCI World Equity Benchmark        MSCI SWEDEN      464286756       584    50,258 SH       SOLE                    50,258
MSCI World Equity Benchmark        MSCI SPAIN       464286764       705    31,549 SH       SOLE                    31,549
MSCI World Equity Benchmark        MSCI GERMAN      464286806     1,102    90,365 SH       SOLE                    90,365
MSCI World Equity Benchmark        MSCI NETHERLND   464286814       792    59,958 SH       SOLE                    59,958
MSCI World Equity Benchmark        MSCI JAPAN       464286848     3,207   441,151 SH       SOLE                   441,151
MSCI World Equity Benchmark        MSCI ITALY       464286855       812    46,695 SH       SOLE                    46,695
MSCI World Equity Benchmark        MSCI HONG KONG   464286871       526    68,712 SH       SOLE                    68,712
JPMorgan Chase & Co                COM              46625H100     3,431   100,368 SH       SOLE                   100,368
Johnson & Johnson                  COM              478160104     5,381   104,085 SH       SOLE                   104,085
Kimco Realty Corp                  COM              49446R109     5,809   153,262 SH       SOLE                   153,262
Kroger Co                          COM              501044101    10,319   618,656 SH       SOLE                   618,656
Liberty Media Corp                 COM SER A        530718105     4,728   409,022 SH       SOLE                   409,022
Lincoln National Corp              COM              534187109     3,241    90,950 SH       SOLE                    90,950
Lucent Technologies Inc            COM              549463107     1,308   644,186 SH       SOLE                   644,186
Macerich Company                   COM              554382101     5,106   145,337 SH       SOLE                   145,337
Mack-Cali Realty Corp              COM              554489104     6,486   178,292 SH       SOLE                   178,292
Manor Care Inc                     COM              564055101     3,641   145,564 SH       SOLE                   145,564
Merck                              COM              589331107     4,605    76,059 SH       SOLE                    76,059
Merrill Lynch & Co Inc             COM              590188108     3,305    70,799 SH       SOLE                    70,799
Microsoft Corp                     COM              594918104    10,226   398,843 SH       SOLE                   398,843
Midway Games Inc                   COM              598148104     3,213   885,251 SH       SOLE                   885,251






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Parametric Technology Corp         COM              699173100     4,852 1,606,540 SH       SOLE                 1,606,540
Pegasus Communications Corp        CL A NEW         705904605     3,711   127,259 SH       SOLE                   127,259
Pfizer Inc                         COM              717081103     9,464   277,130 SH       SOLE                   277,130
Prologis                           SH BEN INT       743410102     4,888   179,058 SH       SOLE                   179,058
Prudential Financial Inc           COM              744320102     6,619   196,706 SH       SOLE                   196,706
Raytheon Co                        COM NEW          755111507     6,181   188,213 SH       SOLE                   188,213
Reckson Associates Realty Corp     COM              75621K106     5,999   287,586 SH       SOLE                   287,586
Regency Centers Corp               COM              758849103     2,776    79,360 SH       SOLE                    79,360
SBC Communications Inc             COM              78387G103     3,260   127,584 SH       SOLE                   127,584
SL Green Realty Corp               COM              78440X101    10,247   293,701 SH       SOLE                   293,701
Sara Lee                           COM              803111103     6,477   344,335 SH       SOLE                   344,335
Shurgard Storage Centers-A         COM              82567D104     4,692   141,851 SH       SOLE                   141,851
Simon Property Group Inc           COM              828806109     2,883    73,866 SH       SOLE                    73,866
Sprint Corp                        PCS COM SER 1    852061506     3,170   551,368 SH       SOLE                   551,368
Starwood Hotels & Resorts          PAIRED CTF       85590A203     7,710   269,665 SH       SOLE                   269,665
Thermo Electron Corp               COM              883556102     6,640   315,913 SH       SOLE                   315,913
Unova Inc                          COM              91529B106     6,930   624,293 SH       SOLE                   624,293
UnumProvident Corp                 COM              91529Y106     6,907   515,033 SH       SOLE                   515,033
Verizon Communications Inc         COM              92343V104     3,262    82,699 SH       SOLE                    82,699
Vicor Corp                         COM              925815102     4,300   443,257 SH       SOLE                   443,257
Vornado Realty Trust               SH BEN INT       929042109     6,836   156,778 SH       SOLE                   156,778
Orient Express Hotels Ltd          CL A             G67743107     1,264    85,702 SH       SOLE                    85,702


CANADIAN OPERATIONS - AMOUNTS SHOWN ARE IN U.S. DOLLARS

AOL Time Warner Inc                COM              00184A105     1,464    90,990 SH       SOLE                    90,990
ATI Technologies Inc               COM              001941103     7,523   561,400 SH       SOLE                   561,400
AT & T Corp                        COM              001957505        66     3,450 SH       SOLE                     3,450
Abbot Laboratories                 COM              002824100     1,183    27,040 SH       SOLE                    27,040
Abitibi-Consolidated Inc           COM              003924107        91    10,600 SH       SOLE                    10,600
Agnico-Eagle Mines Ltd             COM              008474108       188    12,100 SH       SOLE                    12,100
Air Products & Chemical Inc        COM              009158106       371     8,920 SH       SOLE                     8,920
Alcan Inc                          COM              013716105    17,099   407,025 SH       SOLE                   407,025
Alcoa Inc                          COM              013817101       529    20,730 SH       SOLE                    20,730
Alliance Atlantis Comm Inc         COM              01853E204       663    34,000 SH       SOLE                    34,000
Allstate Corp                      COM              020002101     3,134    87,910 SH       SOLE                    87,910
Altria Group                       COM              02209S103     1,592    35,031 SH       SOLE                    35,031
America Movil                      COM              02364W105       116     6,200 SH       SOLE                     6,200
American Express Co                COM              025816109       268     6,410 SH       SOLE                     6,410
AmerisourceBergen Corporation      COM              03073E105       166     2,400 SH       SOLE                     2,400
Amgen Inc                          COM              031162100     1,047    15,880 SH       SOLE                    15,880






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Amvescap PLC                       COM              03235E100        49     3,500 SH       SOLE                     3,500
Analog Devices                     COM              032654105       615    17,670 SH       SOLE                    17,670
Apache Corporation                 COM              037411105       555     8,530 SH       SOLE                     8,530
Apollo Group Inc                   COM              037604105       127     2,060 SH       SOLE                     2,060
Apple Computer Inc                 COM              037833100       972    51,000 SH       SOLE                    51,000
Aramark Corp                       COM              038521100       159     7,100 SH       SOLE                     7,100
Archer-Daniel Midland              COM              039483102     2,015   156,540 SH       SOLE                   156,540
Automatic Data Processing          COM              053015103        81     2,380 SH       SOLE                     2,380
Avon Products                      COM              054303102       549     8,830 SH       SOLE                     8,830
Axcelis Technologies Inc           COM              054540109        79    12,900 SH       SOLE                    12,900
Axcan Pharma Inc                   COM              054923107       345    20,700 SH       SOLE                    20,700
BCE Inc                            COM              05534B109    18,866   607,392 SH       SOLE                   607,392
BG Group                           COM              055434203       226    10,000 SH       SOLE                    10,000
BISYS Group                        COM              055472104       246    13,390 SH       SOLE                    13,390
BJ Services                        COM              055482103       232     6,200 SH       SOLE                     6,200
BP PLC                             COM              055622104     1,782    42,400 SH       SOLE                    42,400
Baker Hughes Inc                   COM              057224107       206     6,150 SH       SOLE                     6,150
Bank of America Corp               COM              060505104     2,038    25,790 SH       SOLE                    25,790
Bank of Montreal                   COM              063671101    16,126   379,000 SH       SOLE                   379,000
Bank of New York                   COM              064057102       247     8,600 SH       SOLE                     8,600
Bank of Nova Scotia                COM              064149107    26,246   436,710 SH       SOLE                   436,710
Bank One Corp                      COM              06423A103       225     6,050 SH       SOLE                     6,050
Bank One Corp                      COM              06423A103       225     6,050 SH       SOLE                     6,050
Barclays PLC                       COM              06738E204     2,459    82,200 SH       SOLE                    82,200
Barrick Gold Corp                  COM              067901108    27,975 1,166,100 SH       SOLE                 1,166,100
Bellsouth Corp                     COM              079860102       813    30,530 SH       SOLE                    30,530
Bennett Environmental Inc          COM              081906109       110     7,400 SH       SOLE                     7,400
Biogen Inc                         COM              090597105       220     5,800 SH       SOLE                     5,800
Biovail Corp                       COM              09067J109       850    13,500 SH       SOLE                    13,500
Boardwalk Equities Inc             COM              096613104        81     5,300 SH       SOLE                     5,300
Boston Scientific                  COM              101137107       134     2,200 SH       SOLE                     2,200
Bowater Inc                        COM              102183100       145     3,860 SH       SOLE                     3,860
Brascan Corporation                COM              10549P606       382    11,500 SH       SOLE                    11,500
Brinker International Inc          COM              109641100       144     4,000 SH       SOLE                     4,000
Bristol-Myers Squibb Co            COM              110122108     1,031    37,977 SH       SOLE                    37,977
British American Tobacco PLC       COM              110448107       578    25,500 SH       SOLE                    25,500
CAE Inc                            COM              124765108       419    73,200 SH       SOLE                    73,200
CHC Helicopter Corp                COM              12541C203        81     3,100 SH       SOLE                     3,100
CVS Corp                           COM              126650100       286    10,200 SH       SOLE                    10,200
Cadence Design Sys                 COM              127387108       144    11,980 SH       SOLE                    11,980
Cdn Imp Bank of Commerce           COM              136069101    14,369   266,590 SH       SOLE                   266,590
Cdn National Railways              COM              136375102    18,114   279,340 SH       SOLE                   279,340






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Canadian Nat Resources Ltd         COM              136385101     1,263    23,500 SH       SOLE                    23,500
Canadian Pacific Railway Co        COM              13645T100     2,546    84,000 SH       SOLE                    84,000
Canadian Pacific Railway Co        COM              13645T100    13,081   431,570 SH       SOLE                   431,570
Canfor Corporation                 COM              137902102       261    29,600 SH       SOLE                    29,600
Canon Inc                          COM              138006309       205     4,500 SH       SOLE                     4,500
Caremark Rx Inc                    COM              141705103       149     5,800 SH       SOLE                     5,800
Carnival Corp                      COM              143658300       536    16,500 SH       SOLE                    16,500
Caterpillar Inc                    COM              149123101       176     3,170 SH       SOLE                     3,170
Celestica Inc                      COM              15101Q108       313    14,800 SH       SOLE                    14,800
ChevronTexaco Corp                 COM              166764100       491     6,800 SH       SOLE                     6,800
Chubb Corporation                  COM              171232101       268     4,470 SH       SOLE                     4,470
Cisco Systems                      COM              17275R102     1,092    65,060 SH       SOLE                    65,060
Citigroup Inc                      COM              172967101     3,167    74,000 SH       SOLE                    74,000
Clear Channel Comm                 COM              184502102       497    11,730 SH       SOLE                    11,730
Cognos Inc                         COM              19244C109       306     8,400 SH       SOLE                     8,400
Colgate Palmolive                  COM              194162103       127     2,200 SH       SOLE                     2,200
Comcast Corporation                COM              20030N101       507    16,800 SH       SOLE                    16,800
ConocoPhillips Inc                 COM              20825C104     1,824    33,280 SH       SOLE                    33,280
Convergys Corporation              COM              212485106       906    56,600 SH       SOLE                    56,600
Cott Corp                          COM              22163N106       153     5,500 SH       SOLE                     5,500
Cox Communications Inc             COM              224044107       498    15,600 SH       SOLE                    15,600
CP Ships Ltd                       COM              22409V102       283    12,600 SH       SOLE                    12,600
DST Systems                        COM              233326107       141     3,700 SH       SOLE                     3,700
John Deere & Co.                   COM              244199105       698    15,270 SH       SOLE                    15,270
Dell Computer Corporation          COM              247025109       569    17,860 SH       SOLE                    17,860
Descartes Systems Group Inc.       COM              249906108        33    10,900 SH       SOLE                    10,900
Deutsche Telecom                   COM              251566105       137     9,000 SH       SOLE                     9,000
Devon Energy Corp                  COM              25179M103       234     4,380 SH       SOLE                     4,380
Diageo PLC                         COM              25243Q205     1,138    26,000 SH       SOLE                    26,000
Disney Walt Co                     COM              254687106     1,001    50,700 SH       SOLE                    50,700
Domtar Inc.                        COM              257561100    13,132   887,300 SH       SOLE                   887,300
Domtar Inc.                        COM              257561126         1     1,900 SH       SOLE                     1,900
Dorel Industries Inc               COM              25822C205        98     2,500 SH       SOLE                     2,500
Dow Chemical Company               COM              260543103       363    11,720 SH       SOLE                    11,720
Draxis Health Inc                  COM              26150J101        56    25,600 SH       SOLE                    25,600
E ON AG                            COM              268780103     3,034    59,200 SH       SOLE                    59,200
Eldorado Gold Corp                 COM              284902103       144    61,000 SH       SOLE                    61,000
Emerson Electric Co                COM              291011104       220     4,300 SH       SOLE                     4,300
EnCana Corporation                 COM              292505104    17,782   343,940 SH       SOLE                   343,940
Enbridge Inc                       COM              29250N105     9,663   201,600 SH       SOLE                   201,600
Energy East Corporation            COM              29266M109       203     9,800 SH       SOLE                     9,800
Entrust Inc                        COM              293848107       329   116,200 SH       SOLE                   116,200






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Equitable Resources                COM              294549100        73     1,800 SH       SOLE                     1,800
Express Scripts Inc                COM              302182100       247     3,610 SH       SOLE                     3,610
Exxon Mobil Corp                   COM              30231G102     1,417    39,450 SH       SOLE                    39,450
FPL Group                          COM              302571104       176     2,630 SH       SOLE                     2,630
Fairmont Hotels                    COM              305204109       174     5,625 SH       SOLE                     5,625
Federal National Mtge Assoc        COM              313586109     1,726    25,600 SH       SOLE                    25,600
First Data Corp                    COM              319963104       432    10,414 SH       SOLE                    10,414
FleetBoston Financial Corp         COM              339030108     1,705    57,400 SH       SOLE                    57,400
Fluor Corporation                  COM              343412102       979    29,100 SH       SOLE                    29,100
GSI Lumonics Inc                   COM              36229U102        98    10,800 SH       SOLE                    10,800
Gannett Co                         COM              364730101       460     5,990 SH       SOLE                     5,990
Genentech Inc                      COM              368710406       404     5,600 SH       SOLE                     5,600
General Dynamic Sys                COM              369550108     2,777    38,300 SH       SOLE                    38,300
General Elec Co                    COM              369604103       846    29,500 SH       SOLE                    29,500
General Motors Corp                COM              370442832       533    41,600 SH       SOLE                    41,600
Genzyme Corp                       COM              372917104       177     4,240 SH       SOLE                     4,240
Gillette Co                        COM              375766102       225     7,077 SH       SOLE                     7,077
Gildan Activewear Inc              COM              375916103        91     2,600 SH       SOLE                     2,600
Glaxosmithkline Plc                COM              37733W105     1,691    41,700 SH       SOLE                    41,700
Glaxosmithkline Plc                COM              37733W295       400    32,700 SH       SOLE                    32,700
Gold Fields Ltd                    COM              38059T106     1,140    93,600 SH       SOLE                    93,600
Goldcorp Inc                       COM              380956409       293    18,100 SH       SOLE                    18,100
Goldman Sachs Group                COM              38141G104     1,309    15,630 SH       SOLE                    15,630
Guidant Corp                       COM              401698105       173     3,900 SH       SOLE                     3,900
HCA Inc                            COM              404119109        64     2,000 SH       SOLE                     2,000
HSBC Holdings Plc                  COM              404280406     2,341    39,600 SH       SOLE                    39,600
Hartford Financial Services        COM              416515104       447     8,880 SH       SOLE                     8,880
Heinz H J Co                       COM              423074103       230     6,970 SH       SOLE                     6,970
Hewlett Packard Co                 COM              428236103     1,020    47,900 SH       SOLE                    47,900
Home Depot Inc                     COM              437076102       858    25,913 SH       SOLE                    25,913
Honda Motor Co                     COM              438128308     2,442   128,200 SH       SOLE                   128,200
Honeywell International Inc        COM              438516106     1,842    68,600 SH       SOLE                    68,600
Imperial Oil Ltd                   COM              453038408    12,783   271,400 SH       SOLE                   271,400
Inco Ltd                           COM              453258402    13,925   488,100 SH       SOLE                   488,100
ING Groep NV                       COM              456837103       982    56,000 SH       SOLE                    56,000
Intel Corp                         COM              458140100       368    17,690 SH       SOLE                    17,690
InterActive Corp                   COM              45840Q101       358     9,100 SH       SOLE                     9,100
I B M Corp                         COM              459200101       926    11,230 SH       SOLE                    11,230
Intl Paper Co                      COM              460146103       470    13,160 SH       SOLE                    13,160
Intl Paper Co                      COM              460146103       715    20,000 SH       SOLE                    20,000
Amvescap PLC                       COM              461276891       106    25,000 SH       SOLE                    25,000
Ishares                            COM              464286608     6,493   132,500 SH       SOLE                   132,500






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Ishares                            COM              464286848     2,261   311,000 SH       SOLE                   311,000
Ishares Tr                         COM              464287465    93,357   861,941 SH       SOLE                   861,941
Johnson & Johnson                  COM              478160104     1,142    22,084 SH       SOLE                    22,084
Kellogg Co                         COM              487836108       767    22,330 SH       SOLE                    22,330
Keyspan Corp                       COM              49337W100       135     3,800 SH       SOLE                     3,800
Kimberly Clark                     COM              494368103       491     9,410 SH       SOLE                     9,410
Kingsway Financial Service Inc     COM              496904103       193    11,800 SH       SOLE                    11,800
Kohls Corporation                  COM              500255104       510     9,930 SH       SOLE                     9,930
KROGER CO                          COM              501044101       289    17,300 SH       SOLE                    17,300
Lamar Advertising Company          COM              512815101       242     6,820 SH       SOLE                     6,820
Estee Lauder                       COM              518439104        44     1,300 SH       SOLE                     1,300
Leitch Technology Corp             COM              52543H107     3,292   726,700 SH       SOLE                   726,700
Lilly (Eli) and Co                 COM              532457108       133     1,926 SH       SOLE                     1,926
Linear Technology                  COM              535678106       274     8,460 SH       SOLE                     8,460
Lowe's Cos Inc                     COM              548661107       137     3,200 SH       SOLE                     3,200
Luxottica Group SPA                COM              55068R202     1,626   117,000 SH       SOLE                   117,000
Lyondell Chemical Company          COM              552078107        67     4,970 SH       SOLE                     4,970
MDS Inc                            COM              55269P302    14,267   768,300 SH       SOLE                   768,300
Magna International Inc            COM              559222401    12,376   136,400 SH       SOLE                   136,400
Manulife Financial Corp            COM              56501R106       546    14,300 SH       SOLE                    14,300
Matsushita  Electric Ind. Co       COM              576879209     1,470   146,300 SH       SOLE                   146,300
Maxim Integrated Products          COM              57772K101       253     7,420 SH       SOLE                     7,420
Medtronic Inc                      COM              585055106       424     8,830 SH       SOLE                     8,830
Mellon Financial                   COM              58551A108     1,051    37,870 SH       SOLE                    37,870
Merrill Lynch & Co Inc             COM              590188108       973    20,840 SH       SOLE                    20,840
Methanex Corp                      COM              59151K108       296    20,600 SH       SOLE                    20,600
Metlife Inc                        COM              59156R108       564    19,930 SH       SOLE                    19,930
Microsoft Corp                     COM              594918104     2,689   104,882 SH       SOLE                   104,882
Microchip Technology Inc           COM              595017104       171     6,900 SH       SOLE                     6,900
Moore Wallace Inc                  COM              615857109     9,888   502,200 SH       SOLE                   502,200
Morgan Stanley Co                  COM              617446448     1,796    42,000 SH       SOLE                    42,000
Motorola Inc                       COM              620076109       251    26,600 SH       SOLE                    26,600
Motorola Inc                       PREF             620076208       140     4,300 SH       SOLE                     4,300
Nasdaq 100                         COM              631100104     4,612   154,000 SH       SOLE                   154,000
National City Corp                 COM              635405103       341    10,440 SH       SOLE                    10,440
National Fuel Gas Company          COM              636180101       206     7,900 SH       SOLE                     7,900
Network Associates                 COM              640938106       129    10,200 SH       SOLE                    10,200
New York Times Co                  COM              650111107       310     6,810 SH       SOLE                     6,810
Nexen Inc                          COM              65334H102    19,063   558,200 SH       SOLE                   558,200
Nippon Tel & Tel Co                COM              654624105       970    49,000 SH       SOLE                    49,000
Nissan Motor Co. Ltd.              COM              654744408       735    39,000 SH       SOLE                    39,000
Nokia Corp                         COM              654902204       312    19,000 SH       SOLE                    19,000






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Nomura Holdings Inc                COM              65535H208     1,505   118,000 SH       SOLE                   118,000
Nortel Networks Corp               COM              656568102     5,581 1,533,110 SH       SOLE                 1,533,110
Northrop Grumman Corp              COM              666807102       417     4,830 SH       SOLE                     4,830
Northrop Grumman Corp              PREF             666807409        81       800 SH       SOLE                       800
Novartis AG                        COM              66987V109     1,501    37,700 SH       SOLE                    37,700
Novellus Systems Inc               COM              670008101       348     9,490 SH       SOLE                     9,490
NSTAR                              COM              67019E107       301     6,600 SH       SOLE                     6,600
Occidental Petroleum               COM              674599105       200     5,970 SH       SOLE                     5,970
Olympus Optical Co Limited         COM              681627204       211    10,000 SH       SOLE                    10,000
Oracle Systems Corp                COM              68389X105       666    55,456 SH       SOLE                    55,456
Outback Steakhouse                 COM              689899102       133     3,400 SH       SOLE                     3,400
PPG Industries                     COM              693506107       468     9,220 SH       SOLE                     9,220
PPL Corporation                    COM              69351T106       179     4,160 SH       SOLE                     4,160
Pearson Plc                        COM              705015105     1,094   114,000 SH       SOLE                   114,000
Peoplesoft Inc                     COM              712713106       306    17,400 SH       SOLE                    17,400
Pepsico Inc                        COM              713448108     1,298    29,160 SH       SOLE                    29,160
Petro Canada Limited               COM              71644E102       912    16,900 SH       SOLE                    16,900
Petro Canada Limited               COM              71644E102       912    16,900 SH       SOLE                    16,900
Peyto Exploration & Dev Corp       COM              717047104        80     5,200 SH       SOLE                     5,200
Pfizer Inc                         COM              717081103     4,453   130,382 SH       SOLE                   130,382
Phelps Dodge Corp                  COM              717265102       209     5,450 SH       SOLE                     5,450
Pitney Bowes Inc                   COM              724479100     1,444    37,600 SH       SOLE                    37,600
Placer Dome Inc                    COM              725906101    27,258 1,652,000 SH       SOLE                 1,652,000
Potash Corp of Sask Inc            COM              73755L107     6,011    69,900 SH       SOLE                    69,900
Praxair Inc                        COM              74005P104       220     3,660 SH       SOLE                     3,660
Precision Drilling Corp            COM              74022D100       635    12,500 SH       SOLE                    12,500
Procter & Gamble Co                COM              742718109       751     8,422 SH       SOLE                     8,422
Progress Energy Ltd                COM              742981103       136    13,700 SH       SOLE                    13,700
Prudential Financial Inc           COM              744320102     1,467    43,600 SH       SOLE                    43,600
QLT Inc                            COM              746927102       345    20,200 SH       SOLE                    20,200
Quebecor World Inc                 COM              748203106    19,148   768,700 SH       SOLE                   768,700
Regions Financial Corp             COM              758940100     1,270    37,600 SH       SOLE                    37,600
Research In Motion                 COM              760975102       175     6,000 SH       SOLE                     6,000
Rio Tinto Plc                      COM              767204100        46       600 SH       SOLE                       600
Royal Bank of Canada               COM              780087102    27,543   480,006 SH       SOLE                   480,006
Royal Dutch Petroleum Co           COM              780257804     3,371    72,300 SH       SOLE                    72,300
SBC Communications                 COM              78387G103     3,701   144,850 SH       SOLE                   144,850
SLM Corporation                    COM              78442P106       404    10,320 SH       SOLE                    10,320
SPDR Trust                         COM              78462F103    41,395   424,000 SH       SOLE                   424,000
SPDR Trust                         COM              78462F103   138,043 1,413,943 SH       SOLE                 1,413,943
Safeway Inc                        COM              786514208       187     9,140 SH       SOLE                     9,140
St Paul Companies                  COM              792860108       168     4,600 SH       SOLE                     4,600






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
Schering Plough Corp               COM              806605101       605    32,500 SH       SOLE                    32,500
Schlumberger Ltd                   COM              806857108       512    10,760 SH       SOLE                    10,760
Scripps EW Co                      COM              811054204       153     1,720 SH       SOLE                     1,720
Sears Roebuck & Co                 COM              812387108     2,200    65,400 SH       SOLE                    65,400
Secom Company Ltd                  COM              813113206       234     4,000 SH       SOLE                     4,000
Shire Pharmaceuticals Grp Plc      COM              82481R106       790    40,000 SH       SOLE                    40,000
Siemens AG                         COM              826197501     1,636    33,500 SH       SOLE                    33,500
Smurfit Stone Container            COM              832727101       155    11,900 SH       SOLE                    11,900
Sony Corp                          COM              835699307       420    15,000 SH       SOLE                    15,000
Southtrust Corp                    COM              844730101       228     8,450 SH       SOLE                     8,450
Sprint Corp PCS Group              COM              852061506       267    46,500 SH       SOLE                    46,500
Stanley Works                      COM              854616109       530    19,200 SH       SOLE                    19,200
Staples Inc                        COM              855030102       125     6,800 SH       SOLE                     6,800
Starwood Hotels & Resorts          COM              85590A203       412    14,420 SH       SOLE                    14,420
Sun Life Fin Services of Cdn       COM              866796105       269     9,600 SH       SOLE                     9,600
Suncor Energy Inc                  COM              867229106     2,331    92,000 SH       SOLE                    92,000
Suncor Energy Inc                  COM              867229106       958    37,800 SH       SOLE                    37,800
SunGuard Data Systems              COM              867363103       332    12,800 SH       SOLE                    12,800
Suntrust Banks Inc                 COM              867914103       695    11,710 SH       SOLE                    11,710
Superior Industries Int'l          COM              868168105       926    22,200 SH       SOLE                    22,200
Symantec Corp                      COM              871503108        53     1,200 SH       SOLE                     1,200
TJX Companies Inc                  COM              872540109       149     7,900 SH       SOLE                     7,900
TXU Corp                           COM              873168108       211     9,400 SH       SOLE                     9,400
TXU Corp                           PREF             873168504       106     3,200 SH       SOLE                     3,200
Talisman Energy Inc                COM              87425E103     1,052    17,100 SH       SOLE                    17,100
Target Corp                        COM              87612E106       555    14,680 SH       SOLE                    14,680
Telefonos de Mexico S A de C V     COM              879403780     1,282    40,800 SH       SOLE                    40,800
Texas Instruments Inc              COM              882508104       333    18,920 SH       SOLE                    18,920
Thomson Corp                       COM              884903105       339     8,000 SH       SOLE                     8,000
3M Company                         COM              88579Y101       511     3,960 SH       SOLE                     3,960
Timberland Company                 COM              887100105     1,258    23,800 SH       SOLE                    23,800
Tomkins PLC                        COM              890030208     1,517   100,400 SH       SOLE                   100,400
Toronto Dominion Bank              COM              891160509    20,428   546,800 SH       SOLE                   546,800
Travelers Property Casualty        COM              89420G109     1,218    76,620 SH       SOLE                    76,620
Travelers Property Casualty        PREF             89420G307       101     4,200 SH       SOLE                     4,200
Tribune Co                         COM              896047107       840    17,400 SH       SOLE                    17,400
Tyco Intl Ltd                      COM              902124106       547    28,800 SH       SOLE                    28,800
Tyson Foods Inc                    COM              902494103        69     6,500 SH       SOLE                     6,500
UST Inc                            COM              902911106     2,932    83,700 SH       SOLE                    83,700
Union Pacific Corp.                COM              907818108       337     5,800 SH       SOLE                     5,800
Unisys Corporation                 COM              909214108       602    49,000 SH       SOLE                    49,000
United Parcel Service              COM              911312106       295     4,630 SH       SOLE                     4,630






FORM 13F INFORMATION TABLE - JUNE 30, 2003
COLUMN 1                           COLUMN 2         COLUMN 3  COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7         COLUMN 8
                                                              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER       VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT   PRN CALL DISCRETION  MANAGERS   SOLE   SHARED NONE
                                                                                               
United Technologies Corp           COM              913017109       588     8,300 SH       SOLE                     8,300
Unocal Corp                        COM              915289102       296    10,300 SH       SOLE                    10,300
UPM Kymmene Corporation            COM              915436109     2,297   157,900 SH       SOLE                   157,900
Veritas Softwar Corp               COM              923436109       659    22,860 SH       SOLE                    22,860
Verizon Comm                       COM              92343V104       284     7,200 SH       SOLE                     7,200
Viacom Inc                         COM              925524308     1,415    32,370 SH       SOLE                    32,370
Vodafone Group Plc                 COM              92857W100        79     4,000 SH       SOLE                     4,000
WGL Holdings Inc                   COM              92924F106       125     4,700 SH       SOLE                     4,700
WPP Group PLC                      COM              929309300     1,426    35,600 SH       SOLE                    35,600
Wachovia Corp                      COM              929903102       262     6,560 SH       SOLE                     6,560
Wal Mart Stores Inc                COM              931142103       879    16,370 SH       SOLE                    16,370
Waters Corp                        COM              941848103     1,818    62,400 SH       SOLE                    62,400
Wendys International Inc           COM              950590109       507    17,500 SH       SOLE                    17,500
Westwood One                       COM              961815107       207     6,100 SH       SOLE                     6,100
Wheaton River Minerals             COM              962902102        94    55,500 SH       SOLE                    55,500
Wheaton River Minerals             COM              962902177         9    13,875 SH       SOLE                    13,875
Williams Sanoma Inc                COM              969904101       199     6,800 SH       SOLE                     6,800
Wyeth                              COM              983024100     1,503    33,000 SH       SOLE                    33,000
Yahoo Inc                          COM              984332106       157     4,800 SH       SOLE                     4,800
Zarlink Semiconductor              COM              989139100        76    10,800 SH       SOLE                    10,800
Ace Ltd                            COM              G0070K103       336     9,800 SH       SOLE                     9,800
Accenture Ltd                      COM              G1150G111        56     3,120 SH       SOLE                     3,120
Noble Corp                         COM              G65422100       322     9,400 SH       SOLE                     9,400
Transocean Inc                     COM              G90078109       943    42,900 SH       SOLE                    42,900
XL Capital Ltd                     COM              G98255105       149     1,800 SH       SOLE                     1,800
Check Point Software Tech Ltd      COM              M22465104       273    14,000 SH       SOLE                    14,000
ASML Holding NV                    COM              N07059111       191    20,000 SH       SOLE                    20,000
Starbucks                          COM              855244109     5,858   217,900 SH       SOLE                   217,900
Marsh & Mclennan                   COM              571748102        66     1,300 SH       SOLE                     1,300

                                                              1,342,604