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, 2007

Check here if Amendment [ ]; Amendment Number:

        This Amendment (Check only one.): [ ]is a restatement.
                                          [ ]adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:         Genworth Financial, Inc.
Address:      6620 West Broad Street
              Richmond, Virginia 23230

Form 13F File Number: 28-11523

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:       Patricia Merrill
Title:      Senior Counsel
Phone:      (804) 662-2711

Signature, Place, and Date of Signing:

  /s/ Patricia Merrill           Richmond, VA              August 8, 2007
-------------------------  -------------------------  ------------------------
       [Signature]               [City, State]                 [Date]

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
    are reported in this report.)

[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all
    holdings are reported by other reporting manager(s).)

[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

List of Other Managers Reporting for this Manager: NONE



                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                     1

Form 13F Information Table Entry Total:        571 lines

Form 13F Information Table Value Total:        2,374,501
                                              (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       28-11546                  Genworth Financial Asset Management, Inc.



                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                            VOTING AUTHORITY
                                                                                           -------------------
                       TITLE OF               VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       ------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                         
24/7 Real Media Inc       NEW      901314203       5      446 SH          Sole       01        446
3M Company                COM      88579Y101  32,586  375,455 SH          Sole       01    375,455
ABB Ltd ADR          SPONSORED ADR 000375204  16,727  740,120 SH          Sole       01    740,120
Abraxis Bioscience
  Inc                     COM      00383E106     124    5,592 SH          Sole       01      5,592
Ace Ltd Ord Shs           COM      G0070K103       1       16 SH          Sole       01         16
Actuant Corp Cl A
  New                     NEW      00508X203     101    1,605 SH          Sole       01      1,605
Advanced Med Optics
  Inc Convt Bond          7/1      00763MAG3       4    4,000 SH          Sole       01      4,000
Advanced Micro
  Device                  ADR      007903107       1       51 SH          Sole       01         51
Advantage Energy
  Inc Fd Tr Unit        TR UNIT    00762L101     111    7,899 SH          Sole       01      7,899
Aeropostale Inc.          COM      007865108   2,420   58,050 SH          Sole       01     58,050
AES Corporation           COM      00130H105   8,655  395,556 SH          Sole       01    395,556
Affiliated Computer
  Svcs Inc Cl A          CL A      008190100       1       23 SH          Sole       01         23
Affiliated Managers
  Group                   COM      008252108       4       29 SH          Sole       01         29
Aflac Inc                 COM      001055102  24,938  485,168 SH          Sole       01    485,168
AGCO Corporation          ADR      001084102       3       66 SH          Sole       01         66
Agilent Technologies      COM      00846U101   5,480  142,553 SH          Sole       01    142,553
Akzo Nobel NV        SPONSORED ADR 010199305   5,864   68,324 SH          Sole       01     68,324
Alcan Aluminium Ltd       ADR      013716105       1        8 SH          Sole       01          8
Alcoa Inc                 COM      013817101   4,043   99,756 SH          Sole       01     99,756
Allergan Inc              COM      018490102     684   11,870 SH          Sole       01     11,870
Alliance New York
  Muni Income Fund        COM      018714105     528   36,561 SH          Sole       01     36,561
Alliant Techsystems
  Inc Convt Bond          2/1      018804AH7       4    3,000 SH          Sole       01      3,000
Allianz SE                ADR      018805101       1       54 SH          Sole       01         54
Altera Corp             ADR NEW    021441100       1       43 SH          Sole       01         43
Altria Group Inc          COM      02209S103  17,215  245,438 SH          Sole       01    245,438
Alza Corp                 7/2      02261WAB5       2    2,000 SH          Sole       01      2,000
AMB Property Corp.        COM      00163T109      55    1,026 SH          Sole       01      1,026
AMBAC Financial
  Group                   COM      023139108       1       17 SH          Sole       01         17
Amdocs Ltd Sr Notes
  Convt Bond              3/1      02342TAD1       3    3,000 SH          Sole       01      3,000
America Movil SAB
  DE CV ADR L Shares      SHS      02364W105   9,471  152,926 SH          Sole       01    152,926
American Axle &
  Manufacturing           COM      024061103  18,632  629,047 SH          Sole       01    629,047
American Capital
  Strategies Ltd          COM      024937104       3       59 SH          Sole       01         59
American Electric
  Power                   COM      025537101   8,148  180,910 SH          Sole       01    180,910
American Equity Inv
  Life Holding Co         COM      025676206     106    8,755 SH          Sole       01      8,755




                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                                VOTING AUTHORITY
                                                                                              ---------------------
                        TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER           CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       -------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                              
American Express Co       COM       025816109  21,299    348,133 SH          Sole       01      348,133
American Finl Group
  Inc Corp Bond           6/0       025932AD6       2      3,000 SH          Sole       01        3,000
American Home
  Mortgage Inv            COM       02660R107      89      4,817 SH          Sole       01        4,817
American
  International
  Group Inc               COM       026874107  17,789    254,021 SH          Sole       01      254,021
American National
  Ins                     COM       028591105     260      1,702 SH          Sole       01        1,702
Ameriprise
  Financial Inc           COM       03076C106   7,762    122,094 SH          Sole       01      122,094
Amgen Inc                 COM       031162100       1         12 SH          Sole       01           12
Analog Devices Inc   CA INSD MUN TR 032654105       1         22 SH          Sole       01           22
AngloGold Ashanti
  ADR                SPONSORED ADR  035128206       1         30 SH          Sole       01           30
Anheuser Busch Co         COM       035229103       2         38 SH          Sole       01           38
Ansys Inc                 COM       03662Q105   2,163     81,629 SH          Sole       01       81,629
Apollo Group Inc          CL A      037604105       1          9 SH          Sole       01            9
Apple Inc.                COM       037833100     958      7,851 SH          Sole       01        7,851
Applied Materials    CAROLNA GP STK 038222105       1         47 SH          Sole       01           47
Aquila Inc.               COM       03840P102     635    155,211 SH          Sole       01      155,211
Archstone- Smith
  Trust                   COM       039583109     296      5,008 SH          Sole       01        5,008
Arkansas Best Corp
  Del                     COM       040790107  15,777    404,839 SH          Sole       01      404,839
Arris Group Inc           COM       04269Q100   4,469    254,079 SH          Sole       01      254,079
Asia Pacific Fund
  Closed                  COM       044901106       1         44 SH          Sole       01           44
Asta Funding Inc          COM       046220109     105      2,744 SH          Sole       01        2,744
AstraZeneca PLC      SPONSORED ADR  046353108  17,069    319,164 SH          Sole       01      319,164
AT & T Inc new            COM       00206R102       1         28 SH          Sole       01           28
AU Optronics Corp
  ADR                     ADR       002255107     358     20,829 SH          Sole       01       20,829
Automatic Data Proc       COM       053015103   7,643    157,695 SH          Sole       01      157,695
AvalonBay
  Communities Inc         COM       053484101     277      2,328 SH          Sole       01        2,328
AXA UAP Spons ADR    SPONSORED ADR  054536107  13,070    303,667 SH          Sole       01      303,667
Axcelis Technologies      COM       054540109   6,534  1,006,750 SH          Sole       01    1,006,750
Banco Bradesco ADR        NEW       059460303  11,218    465,294 SH          Sole       01      465,294
Banco Itau Hldg Fin
  S A                     PFD       059602201     142      3,198 SH          Sole       01        3,198
Bank of America Corp      COM       060505104      34        702 SH          Sole       01          702
Bausch & Lomb Inc         COM       071707103       2         26 SH          Sole       01           26
Baxter
  International Inc.      COM       071813109  19,472    345,613 SH          Sole       01      345,613
Beacon Roofing
  Supply Inc.             COM       073685109      76      4,499 SH          Sole       01        4,499
Beckman Coulter Inc       COM       075811109       2         24 SH          Sole       01           24
Becton Dickinson &
  Co                      COM       075887109   6,961     93,434 SH          Sole       01       93,434
Bed Bath & Beyond         COM       075896100       1         18 SH          Sole       01           18
Best Buy Inc Sub
  Deb Convt Bond          1/1       086516AF8       3      3,000 SH          Sole       01        3,000
BHP Billiton Limited      CL A      088606108  16,877    282,456 SH          Sole       01      282,456
Bill Barrett Corp         COM       06846N104   2,593     70,398 SH          Sole       01       70,398
BlackRock FL Ins
  Muni Inc Tr             COM       09250G102      12        891 SH          Sole       01          891




                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                                VOTING AUTHORITY
                                                                                              ---------------------
                        TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER           CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       -------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                              
BlackRock Florida
  Muni 2020 Term
  Trust                 COM SHS     09250M109      12        893 SH          Sole       01          893
BlackRock Mini
  Hldgs New York
  Ins Fund                COM       09255C106     534     39,585 SH          Sole       01       39,585
BlackRock Muni CA
  Insured                 COM       09254N103   1,431    104,271 SH          Sole       01      104,271
BlackRock Muni NY
  Intermed Dur Fund       DDED      09255F109     970     71,073 SH          Sole       01       71,073
Blackrock Muni
  Yield Fla Inc           COM       09254R104       7        504 SH          Sole       01          504
BlackRock Muniyld
  CA Fund Inc             DDED      09254M105   1,382     99,174 SH          Sole       01       99,174
BlackRock NY Muni
  Income Trust II         COM       09249R102   1,041     69,936 SH          Sole       01       69,936
Blount
  International Inc       COM       095180105  16,227  1,240,587 SH          Sole       01    1,240,587
Boston Properties,
  Inc.                    COM       101121101     348      3,410 SH          Sole       01        3,410
Bowne & Co Inc            COM       103043105  12,671    649,476 SH          Sole       01      649,476
BP AMOCO PLC              CL A      055622104       1         11 SH          Sole       01           11
Brandywine Realty
  Trust              SH BEN INT NEW 105368203      93      3,239 SH          Sole       01        3,239
Brasil Distr Pao
  Acu SP ADR              COM       20440T201       1         29 SH          Sole       01           29
Briggs & Stratton
  Corp                    COM       109043109  16,729    530,066 SH          Sole       01      530,066
Bristol Myers-
  Squibb                  COM       110122108   6,307    199,850 SH          Sole       01      199,850
British American
  Tobacco            SPONSORED ADR  110448107  14,672    212,209 SH          Sole       01      212,209
Broadcom Corp Cl A        CL A      111320107     565     19,301 SH          Sole       01       19,301
Broadridge
  Financial
  Solutions              ADDED      11133T103       0          1 SH          Sole       01            1
Brookdale Sr Living
  Inc                     COM       112463104     114      2,499 SH          Sole       01        2,499
Brookfield PPTYS          COM       112900105     207      8,498 SH          Sole       01        8,498
Build-A- Bear
  Workshop Inc.           COM       120076104      74      2,826 SH          Sole       01        2,826
C H Robinson
  Wldwide Inc Com         COM       12541W209       2         29 SH          Sole       01           29
C R Bard Inc NJ           COM       067383109  12,666    153,281 SH          Sole       01      153,281
Cadence Design Sys        COM       127387108   2,661    121,186 SH          Sole       01      121,186
Cadence Design Sys
  Inc Convt Bond          8/1       127387AB4       4      3,000 SH          Sole       01        3,000
Camden Property
  Trust                SH BEN INT   133131102     207      3,086 SH          Sole       01        3,086
Canadian Pacific
  Railway                 COM       13645T100       3         44 SH          Sole       01           44
Canon Inc ADR             ADR       138006309  14,132    241,001 SH          Sole       01      241,001
Carnival Corp             4/1       143658AN2       5      4,000 SH          Sole       01        4,000
Caterpillar Inc           COM       149123101   4,422     56,475 SH          Sole       01       56,475
CDW Corporation           COM       12512N105   1,816     21,372 SH          Sole       01       21,372
Celanese Corp Del
  Com Ser A               ER A      150870103   4,679    120,654 SH          Sole       01      120,654
Centene Corp Del          COM       15135B101       5        217 SH          Sole       01          217
CenterPoint Energy        CL A      15189T107      36      2,081 SH          Sole       01        2,081
Century Aluminum Co       COM       156431108     139      2,540 SH          Sole       01        2,540
Cerner Corporation        COM       156782104     201      3,630 SH          Sole       01        3,630
CGI Group Inc         CL A SUB VTG  39945C109  21,109  1,881,359 SH          Sole       01    1,881,359
Charles Riv Labs
  Intl Inc                6/1       159864AB3       4      3,000 SH          Sole       01        3,000
Chattem, Inc.             COM       162456107   2,235     35,261 SH          Sole       01       35,261
Chesapeake Energy
  Corporation             CL A      165167107       3         84 SH          Sole       01           84




                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                             VOTING AUTHORITY
                                                                                            -------------------
                        TITLE OF               VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER           CLASS       CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       -------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                          
Chicago Mercantile
  Exchange Holdings       CL A      167760107     737    1,379 SH          Sole       01      1,379
Chico's FAS Inc           COM       168615102   1,581   64,960 SH          Sole       01     64,960
China Life
  Insurance Co Ltd
  ADR                SPON ADR REP H 16939P106       1       21 SH          Sole       01         21
China Petroleum and
  Chemical Corp      SPON ADR H SHS 16941R108       1        6 SH          Sole       01          6
China Telecom Corp
  ADR H Shares        CL A SUB VTG  169426103       1       18 SH          Sole       01         18
Chung HWA Telecom
  Co Ltd                  CL B      17133Q205       1       31 SH          Sole       01         31
CIGNA Corporation         COM       125509109       2       42 SH          Sole       01         42
Cisco Systems Inc         COM       17275R102  12,800  459,590 SH          Sole       01    459,590
CIT Group Inc.            COM       125581108       1       22 SH          Sole       01         22
Citadel
  Broadcasting Corp       COM       17285T106       0        8 SH          Sole       01          8
Citigroup Inc             COM       172967101   9,765  190,393 SH          Sole       01    190,393
Clear Channel
  Communications          CL B      184502102       1       22 SH          Sole       01         22
Cleveland-Cliffs
  Inc.                    COM       185896107      68      877 SH          Sole       01        877
CMS Energy Corp           COM       125896100     876   50,908 SH          Sole       01     50,908
CNOOC Limited        SPONSORED ADR  126132109     311    2,737 SH          Sole       01      2,737
Coca Cola Femsa ADR     CL B NEW    191241108       1       28 SH          Sole       01         28
Coca-Cola Company         COM       191216100       2       38 SH          Sole       01         38
Colgate- Palmolive
  Company                 COM       194162103   6,863  105,823 SH          Sole       01    105,823
Columbus McKinnon
  Corp                    COM       199333105     106    3,294 SH          Sole       01      3,294
Comcast Corp Class A      CL A      20030N101   9,173  326,195 SH          Sole       01    326,195
Companhia Vale Do
  Rio Doce                ADR       204412209  11,085  248,826 SH          Sole       01    248,826
Compania
  Cervecerias
  Unidas ADR         SPONSORED ADR  204429104  11,064  300,068 SH          Sole       01    300,068
Compania de Minas
  Buenaventu ADR B
  Shs                SPONSORED ADR  204448104       0       13 SH          Sole       01         13
CompuCredit Corp.         COM       20478N100     116    3,317 SH          Sole       01      3,317
Comtech Telecom Corp    COM NEW     205826209     140    3,019 SH          Sole       01      3,019
ConAgra Inc.              COM       205887102   9,295  346,063 SH          Sole       01    346,063
Conseco Inc               9/3       208464BH9       2    2,000 SH          Sole       01      2,000
Constellation Energy      COM       210371100       7       85 SH          Sole       01         85
Cooper Cameron Corp
  Convt Bond           CONVT BOND   216640AE2       6    3,000 SH          Sole       01      3,000
Cooper Companies          NEW       216648402  18,388  344,858 SH          Sole       01    344,858
Corus Bankshares Inc      COM       220873103      86    4,963 SH          Sole       01      4,963
Costco Wholesale
  Corp New                COM       22160K105   4,260   72,794 SH          Sole       01     72,794
Covanta Holdings
  Corp                    COM       22282E102   4,973  201,754 SH          Sole       01    201,754
Coventry Health
  Care Inc.               COM       222862104       3       49 SH          Sole       01         49
CSS Industries Inc.       COM       125906107  18,007  454,596 SH          Sole       01    454,596
CVS Caremark Corp.        COM       126650100       2       63 SH          Sole       01         63
CYTYC Corp                COM       232946103     377    9,262 SH          Sole               9,262
Danaher Corp Del
  Lyon                    1/2       235851AF9       3    3,000 SH          Sole       01      3,000
Danaher Corporation       COM       235851102       4       52 SH          Sole       01         52
Del Monte Foods Co        COM       24522P103   2,742  225,516 SH          Sole       01    225,516




                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                             VOTING AUTHORITY
                                                                                            -------------------
                        TITLE OF               VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER           CLASS       CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       -------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                          
Deluxe Corporation        COM       248019101       2       47 SH          Sole       01         47
Dentsply Intl Inc         COM       249030107  16,261  425,010 SH          Sole       01    425,010
Deutsche Bank AG          ORD       D18190898   4,787   33,072 SH          Sole       01     33,072
Deutsche Telekom AG       COM       251566105       0       24 SH          Sole       01         24
Developers Div Rlty       COM       251591103     201    3,816 SH          Sole       01      3,816
Devon Energy Corp         COM       25179M103   7,138   91,170 SH          Sole       01     91,170
Diageo PLC spon ADR
  (New)                   NEW       25243Q205     233    2,802 SH          Sole       01      2,802
Diamond Offshore
  Drilling                COM       25271C102  19,559  192,588 SH          Sole       01    192,588
Diamond Offshore
  Drilling Inc Conv       Conv      25271CAE2       6    3,000 SH          Sole       01      3,000
Directv Group Inc         COM       25459L106       1       43 SH          Sole       01         43
Disney, Inc.           COM DISNEY   254687106       3       88 SH          Sole       01         88
Dominion Resources        COM       25746U109   1,084   12,565 SH          Sole       01     12,565
Doral Financial
  Corporation             COM       25811P100       0       32 SH          Sole       01         32
Dow Chemical Company      COM       260543103       2       35 SH          Sole       01         35
DPL Inc                   COM       233293109     971   34,271 SH          Sole       01     34,271
Dr. Reddy's Labs Ltd      ADR       256135203   9,101  563,875 SH          Sole       01    563,875
DST Systems Inc Del
  Convt Bond              8/1       233326AD9       5    3,000 SH          Sole       01      3,000
Duke Energy Corp New      COM       26441C105     851   46,501 SH          Sole       01     46,501
Dun & Bradstreet
  Corp                    COM       26483E100       1       13 SH          Sole       01         13
Dupont De Nemours         COM       263534109       2       31 SH          Sole       01         31
DWS Global High Inc
  Fund Inc             COM ADDED    23338W104       0       41 SH          Sole       01         41
E.ON AG              SPONSORED ADR  268780103   2,170   38,994 SH          Sole       01     38,994
East West Bankcorp
  Inc                     COM       27579R104   1,786   45,948 SH          Sole       01     45,948
Eastman Chemical Co       COM       277432100      39      610 SH          Sole       01        610
Eaton Corporation         COM       278058102       1       10 SH          Sole       01         10
Eaton Vance FL Muni
  Inc Tr               SH BEN INT   27826B100      12      868 SH          Sole       01        868
Eaton Vance Insured
  Florida Muni Bd
  Fund                    COM       27828E102       6      436 SH          Sole       01        436
eBay Inc                  COM       278642103       1       35 SH          Sole       01         35
Edison International      COM       281020107     994   17,705 SH          Sole       01     17,705
Electronic Data Sys
  Convt Bond              7/1       285661AF1       3    3,000 SH          Sole       01      3,000
Electronics For
  Imaging                 COM       286082102   2,512   89,023 SH          Sole       01     89,023
Embarq Corp               COM       29078E105      40      635 SH          Sole       01        635
Embraer- Empresa
  Brasileir          SP ADR PFD SHS 29081M102   9,407  195,117 SH          Sole       01    195,117
Emerson Electric Co       COM       291011104  18,010  384,822 SH          Sole       01    384,822
Endo
  Pharmaceuticals
  Holdings Inc            COM       29264F205       1       26 SH          Sole       01         26
Enel Sociata Per
  Azioni                  ADR       29265W108   1,347   25,075 SH          Sole       01     25,075
ENI S.P.A.           SPONSORED ADR  26874R108     120    1,656 SH          Sole       01      1,656
Entergy Corporation       COM       29364G103   1,672   15,573 SH          Sole       01     15,573
Equifax Incorporated      COM       294429105   8,511  191,609 SH          Sole       01    191,609
Equity Residential
  Property Trust       SH BEN INT   29476L107     261    5,727 SH          Sole       01      5,727




                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                                VOTING AUTHORITY
                                                                                              ---------------------
                        TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER           CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       -------------  --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                              
Esterline Technology      COM       297425100      94      1,952 SH          Sole       01        1,952
eTelecare Global
  Solutions ADR          ADDED      29759R102     252     15,602 SH          Sole       01       15,602
Euronet Worldwide,
  Inc.                    COM       298736109  11,751    402,968 SH          Sole       01      402,968
Exelon Corporation        COM       30161N101   2,022     27,849 SH          Sole       01       27,849
Expedia Inc               COM       30212P105       0          1 SH          Sole       01            1
Expeditors Int'l of
  Washington, Inc.        COM       302130109   2,403     58,183 SH          Sole       01       58,183
Express Jet
  Holdings Inc.           CL A      30218U108  17,199  2,876,115 SH          Sole       01    2,876,115
Express Scripts Inc       COM       302182100   2,348     46,944 SH          Sole       01       46,944
Exxon Mobil Corp          COM       30231G102  32,224    384,170 SH          Sole       01      384,170
FactSet Research
  Systems                 COM       303075105   3,066     44,854 SH          Sole       01       44,854
Federal National
  Mortgage
  Association             COM       313586109       1         10 SH          Sole       01           10
Federal Realty
  Investment Trust   SH BEN INT NEW 313747206      89      1,147 SH          Sole       01        1,147
Fei Co                    6/0       30241LAF6       3      2,000 SH          Sole       01        2,000
Fidelity National
  Financial Inc.          CL A      31620R105      37      1,563 SH          Sole       01        1,563
Fidelity National
  Info Services           COM       31620M106       1         13 SH          Sole       01           13
First American Corp       COM       318522307  10,984    221,902 SH          Sole       01      221,902
FirstEnergy Corp          COM       337932107      13        204 SH          Sole       01          204
FirstFed Financial
  Corp.                   COM       337907109      76      1,347 SH          Sole       01        1,347
Fiserv Inc                COM       337738108       2         39 SH          Sole       01           39
Fisher Scientific
  Intl Convt Bond         3/0       338032AX3       4      3,000 SH          Sole       01        3,000
Focus Media Holding
  LTD                     ADR       34415V109     418      8,289 SH          Sole       01        8,289
Ford Motor Co
  Capital                 6.5%      345395206       5        125 SH          Sole       01          125
Ford Motor Company        0.01      345370860       1        133 SH          Sole       01          133
Fortune Brands Inc        COM       349631101       1          9 SH          Sole       01            9
FPL Group Inc             COM       302571104      10        172 SH          Sole       01          172
Freeport McMoran
  Copper & Gold Stk
  B                       CL B      35671D857  18,629    224,930 SH          Sole       01      224,930
Fremont General Corp      COM       357288109       0         26 SH          Sole       01           26
Fresenius Med Care
  Aktiengesellschaft      ADR       358029106   4,559     99,236 SH          Sole       01       99,236
Frontier Oil Corp         COM       35914P105   2,706     61,823 SH          Sole       01       61,823
Gafisa SA--ADR           ADDED      362607301     341     10,930 SH          Sole       01       10,930
Genentech Inc           COM NEW     368710406     757     10,010 SH          Sole       01       10,010
General Cable Corp        COM       369300108   2,078     27,437 SH          Sole       01       27,437
General Dynamics          COM       369550108  19,550    249,930 SH          Sole       01      249,930
General Electric Co.      COM       369604103   7,045    184,045 SH          Sole       01      184,045
General Growth
  Properties Inc.         COM       370021107      99      1,864 SH          Sole       01        1,864
General Mills Inc         COM       370334104     204      3,487 SH          Sole       01        3,487
General Motors Corp       COM       370442105      43      1,139 SH          Sole       01        1,139
General Mtrs Corp
  Sr Deb Conv Ser C       C33       370442717       4        150 SH          Sole       01          150
Genlyte Group Inc.        COM       372302109       2         31 SH          Sole       01           31
Genworth Financial        CL A      37247D106       3         95 SH          Sole       01           95




                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                            VOTING AUTHORITY
                                                                                           -------------------
                       TITLE OF               VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       ------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                         
Genzyme Corp              COM      372917104     669   10,393 SH          Sole       01     10,393
Genzyme Corp Sr
  Note Convt Bond        12/0      372917AN4       5    5,000 SH          Sole       01      5,000
Gilead Sciences Inc       COM      375558103       4       95 SH          Sole       01         95
Gilead Sciences Inc       5/0      375558AH6       3    3,000 SH          Sole       01      3,000
Goodrich Corporation      COM      382388106   2,651   44,503 SH          Sole       01     44,503
Google Inc Class A       CL A      38259P508   1,267    2,424 SH          Sole       01      2,424
Grant Prideco, Inc        COM      38821G101       1       17 SH          Sole       01         17
Greater China Fund
  Closed End              COM      39167B102       1       53 SH          Sole       01         53
Grupo Televisa SA
  DE CV ADR           ADR REP ORD  40049J206   8,306  300,847 SH          Sole       01    300,847
H&R Block Inc             COM      093671105       0       15 SH          Sole       01         15
Halliburton Company       COM      406216101       2       59 SH          Sole       01         59
Harley Davidson Inc       COM      412822108       2       26 SH          Sole       01         26
Harman Intl Indust        COM      413086109       1        6 SH          Sole       01          6
Harsco Corporation        COM      415864107   1,744   33,546 SH          Sole       01     33,546
Hartford Financial
  Services Group          COM      416515104       1       10 SH          Sole       01         10
Harvest Energy Trust    TR UNIT    41752X101      53    1,724 SH          Sole       01      1,724
Healthcare Realty
  Trust Inc               COM      421946104      47    1,680 SH          Sole       01      1,680
Hercules Offshore
  Inc                     COM      427093109     108    3,329 SH          Sole       01      3,329
Hewlett Packard Co
  Sub Lyon Convt
  Bond                   10/1      428236AC7       4    5,000 SH          Sole       01      5,000
Hewlett- Packard Co       COM      428236103       1       17 SH          Sole       01         17
Highwoods
  Properties Inc.         COM      431284108     102    2,726 SH          Sole       01      2,726
Hilton Hotel Corp         COM      432848109   4,591  137,160 SH          Sole       01    137,160
Hitachi Ltd               COM      433578507      79    1,120 SH          Sole       01      1,120
Holdrs
  Pharmaceuticals         COM      71712A206       7       91 SH          Sole       01         91
Home Depot Inc            COM      437076102       0        8 SH          Sole       01          8
Honda Motor Co Ltd        COM      438128308  12,540  345,557 SH          Sole       01    345,557
Host Hotels &
  Resort Inc              COM      44107P104     240   10,400 SH          Sole       01     10,400
Hutchinson
  Technology              COM      448407106   3,138  166,817 SH          Sole       01    166,817
IAC Interactive-New       NEW      44919P300       0        1 SH          Sole       01          1
IBM                       COM      459200101       3       28 SH          Sole       01         28
ICICI Bank LTD       SPONSORED ADR 45104G104  26,781  544,888 SH          Sole       01    544,888
IDEARC Inc.               Com      451663108       1       41 SH          Sole                  41
Illinois Tool Works       COM      452308109   7,373  136,053 SH          Sole       01    136,053
Imperial Tobacco
  Group PLC          SPONSORED ADR 453142101     199    2,163 SH          Sole       01      2,163
IMS Health Inc            COM      449934108       1       30 SH          Sole       01         30
IndyMac Bancorp Inc       COM      456607100      31    1,077 SH          Sole       01      1,077
ING Groep NV         SPONSORED ADR 456837103  20,370  463,270 SH          Sole       01    463,270
Insured Muni Income
  Fund                    COM      45809F104   4,936  374,813 SH          Sole       01    374,813
Integrated Device
  Technology              COM      458118106       1       98 SH          Sole       01         98
Intel Corp                COM      458140100       2       65 SH          Sole       01         65




                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                            VOTING AUTHORITY
                                                                                           -------------------
                       TITLE OF               VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       ------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                         
Intercontinental
  Exchange                COM      45865V100     822    5,557 SH          Sole       01      5,557
International Power
  PLC                SPONSORED ADR 46018M104     976   11,403 SH          Sole       01     11,403
Int'l Flavors and
  Fragrances              COM      459506101  17,428  334,254 SH          Sole       01    334,254
Intuitive Surgical
  Inc                     COM      46120E602     343    2,472 SH          Sole       01      2,472
Inventiv Health Inc       COM      46122E105      82    2,236 SH          Sole       01      2,236
Invest Gr Muni            COM      461368102   4,924  361,760 SH          Sole       01    361,760
Iron Mountain Inc         COM      462846106     239    9,129 SH          Sole       01      9,129
IShares Lehman 20+
  Year Treasury Bd
  Fd                     S BD      464287432  28,888  339,178 SH          Sole       01    339,178
IShares MSCI
  Emerging Market
  Index Fund Ishares      MKT      464287234       3       25 SH          Sole       01         25
IShares MSCI Japan
  Index               MSCI JAPAN   464286848       2      132 SH          Sole       01        132
IShares Pacific Ex
  Japan                   IDX      464286665       3       20 SH          Sole       01         20
IShares S&P Global
  Energy                 ENER      464287341  78,925  610,261 SH          Sole       01    610,261
IShares S&P Midcap
  400 Barra Growth        GRW      464287606       9      102 SH          Sole       01        102
IShares S&P Midcap
  400 Barra Value In     VALU      464287705      12      138 SH          Sole       01        138
IShares Silver Trust      COM      46428Q109   5,822   47,138 SH          Sole       01     47,138
IShares Tr S&P
  Global 100 Index       INDX      464287572      13      166 SH          Sole       01        166
Jabil Circuit Inc         COM      466313103   1,441   65,312 SH          Sole       01     65,312
Jack in the Box Corp      COM      466367109   3,392   47,815 SH          Sole       01     47,815
Jakks Pacific Inc         COM      47012E106  17,947  637,784 SH          Sole       01    637,784
JF China Region
  Fund Closed end         COM      46614T107       1       53 SH          Sole       01         53
Johnson & Johnson         COM      478160104  19,461  315,825 SH          Sole       01    315,825
Johnson Controls Inc      COM      478366107       1       11 SH          Sole       01         11
Jones Lang Lasalle
  Inc                     COM      48020Q107   2,471   21,768 SH          Sole       01     21,768
JP Morgan Chase & Co      COM      46625H100       3       57 SH          Sole       01         57
Juniper Networks Inc      6/1      48203RAC8       4    3,000 SH          Sole       01      3,000
Kenexa Corp               COM      488879107     106    2,816 SH          Sole       01      2,816
Kforce Inc                COM      493732101      97    6,040 SH          Sole       01      6,040
Kilroy Realty Corp.       COM      49427F108      70      988 SH          Sole       01        988
Kimberly-Clark Corp       COM      494368103      90    1,345 SH          Sole       01      1,345
KLA-Tencor Corp           COM      482480100       1       17 SH          Sole       01         17
Knight
  Transportation          COM      499064103   2,449  126,345 SH          Sole       01    126,345
Kohl's Corporation        COM      500255104       2       35 SH          Sole       01         35
Koninklijke Philips
  Electronics             NEW      500472303  19,793  467,692 SH          Sole       01    467,692
Kookmin Bank ADR     SPONSORED ADR 50049M109  10,470  119,352 SH          Sole       01    119,352
Korea Equity Fund
  Closed End              COM      50063B104       1       81 SH          Sole       01         81
Korea Fund Closed
  End                     COM      500634100       1       21 SH          Sole       01         21
Kraft Foods Inc.         CL A      50075N104   4,062  115,233 SH          Sole       01    115,233
K-Swiss Inc              CL A      482686102   2,980  105,204 SH          Sole       01    105,204
L-3 Communications
  Holdings Inc            COM      502424104       2       19 SH          Sole       01         19
Laboratory Corp
  Amer Hlds               9/1      50540RAG7       4    4,000 SH          Sole       01      4,000




                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                                VOTING AUTHORITY
                                                                                              ---------------------
                        TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER           CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       -------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                              
Laboratory Corp of
  America               COM NEW     50540R409       1         11 SH          Sole       01           11
Lafarge ADR               COM       505861401       1         15 SH          Sole       01           15
Lear Corporation          COM       521865105  35,807  1,005,530 SH          Sole       01    1,005,530
Lehman Brothers
  Holdings                COM       524908100       2         21 SH          Sole       01           21
Lennar Corp               CL A      526057104       1         19 SH          Sole       01           19
Liberty Property
  Trust                SH BEN INT   531172104     229      5,210 SH          Sole       01        5,210
Linear Technology
  Corp                    COM       535678106       1         20 SH          Sole       01           20
Lockheed Martin
  Corp Convt Bond         8/1       539830AP4       4      3,000 SH          Sole       01        3,000
Loews Corp Carolina
  Group              CAROLNA GP STK 540424207   4,830     62,512 SH          Sole       01       62,512
Louisiana- Pacific
  Corp.                   COM       546347105  15,222    804,540 SH          Sole       01      804,540
Lowe's Companies Inc      COM       548661107  18,801    612,619 SH          Sole       01      612,619
LSI Corporation 4%
  Conv Sub Notes          5/1       502161AJ1       2      2,000 SH          Sole       01        2,000
Macerich Company          COM       554382101      87      1,051 SH          Sole       01        1,051
Macy's Inc.              ADDED      55616P104       2         44 SH          Sole       01           44
Magyar Telekom
  Telecommun PLC          COM       559776109       1         23 SH          Sole       01           23
Maidenform Brands
  Inc                     COM       560305104      71      3,556 SH          Sole       01        3,556
Manor Care Inc            6/0       564055AP6       4      3,000 SH          Sole       01        3,000
Manpower Inc.             COM       56418H100       2         17 SH          Sole       01           17
Marathon Oil Corp         COM       565849106       4         66 SH          Sole       01           66
Market Vectors Gold
  Miners                  ETF       57060U100  18,118    478,170 SH          Sole       01      478,170
Matria Healthcare
  Inc--New                NEW       576817209      91      3,006 SH          Sole       01        3,006
Mattel Inc                COM       577081102       1         37 SH          Sole       01           37
Maxim Integrated
  Products                COM       57772K101       1         20 SH          Sole       01           20
MBIA Incorporated         COM       55262C100       1         11 SH          Sole       01           11
MBIA/ Claymore
  Mangd Duration
  Muni                    COM       55266X100   4,808    378,860 SH          Sole       01      378,860
McDonalds Corp            COM       580135101  30,480    600,471 SH          Sole       01      600,471
McGraw-Hill Co            COM       580645109  12,830    188,454 SH          Sole       01      188,454
MDC Holdings Inc          COM       552676108       1         17 SH          Sole       01           17
Medarex Inc               COM       583916101     101      7,093 SH          Sole       01        7,093
Medicines Company         COM       584688105      71      4,043 SH          Sole       01        4,043
Medicis
  Pharmaceutical
  Corp                    6/0       584690AB7       2      2,000 SH          Sole       01        2,000
Medtronic Inc             COM       585055106       5         96 SH          Sole       01           96
Mellon Financial
  Corp                    COM       58551A108  12,443    282,785 SH          Sole       01      282,785
Merck & Co.               COM       589331107       1         22 SH          Sole       01           22
Meritage Homes Corp       COM       59001A102      60      2,245 SH          Sole       01        2,245
Methanex Corporation      COM       59151K108       3        118 SH          Sole       01          118
MGI Pharma Inc            COM       552880106      71      3,178 SH          Sole       01        3,178
MI Schottenstein
  Homes Inc               COM       55305B101  13,767    517,561 SH          Sole       01      517,561
Microchip
  Technology Inc          COM       595017104   2,078     56,115 SH          Sole       01       56,115
Micron Technology         COM       595112103       1         56 SH          Sole       01           56




                          FORM 13F INFORMATION TABLE



COLUMN 1                  COLUMN 2       COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                                     VOTING AUTHORITY
                                                                                                   ---------------------
                          TITLE OF                  VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER             CLASS          CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       ------------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                                   
Microsoft Corp.              COM         594918104  12,909    438,035 SH          Sole       01      438,035
MicroStrategy Inc
  Cl A                       NEW         594972408      78        822 SH          Sole       01          822
Millipore Corp.              COM         601073109   2,746     36,567 SH          Sole       01       36,567
Mitsubishi UFJ Fin
  Group              SPONSORED ADR ADDED 606822104  18,376  1,667,505 SH          Sole       01    1,667,505
MKS Instruments, Inc         COM         55306N104     141      5,084 SH          Sole       01        5,084
Mobile Telesystems
  OJSC                       COM         607409109       1         16 SH          Sole       01           16
Molson Coors
  Brewing Co Cl B           CL B         60871R209   2,320     25,097 SH          Sole       01       25,097
Moody's Corporation          COM         615369105     495      7,966 SH          Sole       01        7,966
Morgan Stanley Asia
  Pacific Fund
  Clsdend                    COM         61744U106       1         49 SH          Sole       01           49
Morgan Stanley CA
  Insured Muni Inc     CA INSD MUN TR    61745P502   1,356     96,621 SH          Sole       01       96,621
Morgan Stanley CA
  Muni Sec               INSD CA MUN     61745P825   1,343     97,118 SH          Sole       01       97,118
Morgan Stanley
  Emerg Mkts Fd Inc          COM         61744G107       8        310 SH          Sole       01          310
Morgan Stanley NY
  Qual Muni Sec         N Y QULTY MUN    61745P528     968     71,484 SH          Sole       01       71,484
Nabors Inds Inc
  Conv Exch 0B Bond          6/1         629568AL0       3      3,000 SH          Sole       01        3,000
National Bank Of
  Greece                     ADR         633643408   5,300    462,872 SH          Sole       01      462,872
National Grid New
  Transco PLC           SPON ADR NEW     636274300   1,586     21,501 SH          Sole       01       21,501
National- Oilwell,
  Inc.                       COM         637071101     251      2,410 SH          Sole       01        2,410
Nationwide Health
  Props                      COM         638620104      83      3,052 SH          Sole       01        3,052
Natl Semiconductor           COM         637640103       1         45 SH          Sole       01           45
Navigant Consulting          COM         63935N107      78      4,182 SH          Sole       01        4,182
Nektar Therapeutics          COM         640268108      55      5,818 SH          Sole       01        5,818
Ness Technologies
  Inc                        COM         64104X108      73      5,575 SH          Sole       01        5,575
Netgear Inc                  COM         64111Q104     116      3,211 SH          Sole       01        3,211
Network Appliance            COM         64120L104       1         51 SH          Sole       01           51
Neuberger Berman CA
  Inter Muni Fund            COM         64123C101   1,352     96,265 SH          Sole       01       96,265
New York Community
  Bancorp                    COM         649445103   2,662    156,379 SH          Sole       01      156,379
Newtek Business
  Services Inc               COM         652526104     278    146,141 SH          Sole               146,141
NICE Systems LTD ADR    SPONSORED ADR    653656108       0          8 SH          Sole       01            8
NII Holdings Inc.
  Cl B                    CL B NEW       62913F201  20,933    259,265 SH          Sole       01      259,265
Nike, Inc.                  CL B         654106103  24,545    421,080 SH          Sole       01      421,080
Nippon Telephone             COM         654624105       1         23 SH          Sole       01           23
NiSource Inc                 COM         65473P105       1         31 SH          Sole       01           31
Nissan Motor Ltd ADR    SPONSORED ADR    654744408  16,949    790,510 SH          Sole       01      790,510
Nokia Corporation       SPONSORED ADR    654902204  22,325    794,204 SH          Sole       01      794,204
Northeast Utilities          COM         664397106   1,927     67,936 SH          Sole       01       67,936
Novartis AG             SPONSORED ADR    66987V109  17,639    314,591 SH          Sole       01      314,591
Novo-Nordisk A/S             COM         670100205       1         10 SH          Sole       01           10
NRG Energy Inc             COM NEW       629377508   8,672    208,622 SH          Sole       01      208,622
NTT DoCoMo Inc
  Spons ADR                  ADR         62942M201  15,933  1,008,403 SH          Sole       01    1,008,403
Nuveen Fl Qual Inc
  Muni Tr                    COM         670978105      12        866 SH          Sole       01          866




                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                               VOTING AUTHORITY
                                                                                             ---------------------
                       TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       ------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                             
Old Republic Int'l        COM      680223104     159      7,489 SH          Sole       01        7,489
Omnicom Group Inc         7/0      681919AT3       5      5,000 SH          Sole       01        5,000
Option Care, Inc.         COM      683948103       1         84 SH          Sole       01           84
Oracle Corporation        COM      68389X105  24,303  1,233,023 SH          Sole       01    1,233,023
O'Reilly
  Automotive, Inc.        COM      686091109   2,345     64,152 SH          Sole       01       64,152
Orix Corp            SPONSORED ADR 686330101       2         18 SH          Sole       01           18
Overseas
  Shipholding Group
  Inc                     COM      690368105       2         25 SH          Sole       01           25
Owens- Illinois Inc       NEW      690768403  15,523    443,512 SH          Sole       01      443,512
Pall Corporation          COM      696429307  29,503    641,508 SH          Sole       01      641,508
Patterson Cos Inc         COM      703395103     243      6,531 SH          Sole       01        6,531
Pengrowth Enery Tr
  Units Cl A              NEW      706902509     153      8,035 SH          Sole       01        8,035
PepsiCo Inc               COM      713448108  19,868    306,368 SH          Sole       01      306,368
Petroleo Brasileiro  SPONSORED ADR 71654V408  30,909    254,874 SH          Sole       01      254,874
PetroQuest Energy
  Inc                     COM      716748108     114      7,864 SH          Sole       01        7,864
Pfizer Inc                COM      717081103       3        114 SH          Sole       01          114
PG&E Corporation          COM      69331C108   1,526     33,695 SH          Sole       01       33,695
Philippine Long
  Dist Telephone Co  SPONSORED ADR 718252604  13,977    244,356 SH          Sole       01      244,356
Phillips-Van Heusen
  Corp                    COM      718592108   3,894     64,287 SH          Sole       01       64,287
Pilgram Pride Corp        COM      721467108       1         20 SH          Sole       01           20
Pimco Municipal
  Advantage Fund         ADDED     722015104   4,990    379,484 SH          Sole       01      379,484
Pitney Bowes Inc          COM      724479100     223      4,761 SH          Sole       01        4,761
Plum Creek Timber Co      COM      729251108       0          9 SH          Sole       01            9
PMI Group Inc             COM      69344M101   2,541     56,876 SH          Sole       01       56,876
Polaris Inds Inc          COM      731068102       1         11 SH          Sole       01           11
Pool Corp                 COM      73278L105   2,111     54,083 SH          Sole       01       54,083
Popular, Inc.             COM      733174106  12,023    748,153 SH          Sole       01      748,153
POSCO ADR                 COM      693483109       2         18 SH          Sole       01           18
PPL Corporation           COM      69351T106   1,787     38,182 SH          Sole       01       38,182
Praxair Inc               COM      74005P104  21,984    305,380 SH          Sole       01      305,380
Price T.Rowe Group
  Inc                     COM      74144T108       2         29 SH          Sole       01           29
Procter & Gamble Co       COM      742718109  34,411    562,359 SH          Sole       01      562,359
ProLogis Trust        SH BEN INT   743410102     372      6,535 SH          Sole       01        6,535
Provident Energy
  Trust                 TR UNIT    74386K104     158     13,251 SH          Sole       01       13,251
Public Service Ent
  Group                   COM      744573106   1,020     11,615 SH          Sole       01       11,615
Public Storage            COM      74460D109     236      3,070 SH          Sole       01        3,070
Publicis Groupe S.A.      ADR      74463M106  16,299    375,117 SH          Sole       01      375,117
Puget Energy Inc          COM      745310102     233      9,642 SH          Sole       01        9,642
Putnam Invest Gr
  Mun Tr                  COM      746805100   4,974    496,949 SH          Sole       01      496,949
Putnam Managed Mun
  Income Tr               COM      746823103   5,155    655,912 SH          Sole       01      655,912
Putnam NY Inv Gr
  Muni Tr             SH BEN INT   746921105   1,044     80,288 SH          Sole       01       80,288




                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                               VOTING AUTHORITY
                                                                                             ---------------------
                       TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       ------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                             
Putnam Tax-Free
  Health Care Fund    SH BEN INT   746920107   5,431    392,435 SH          Sole       01      392,435
Qualcomm Inc              COM      747525103     586     13,510 SH          Sole       01       13,510
Quest Diagnostics
  Inc                     COM      74834L100       2         33 SH          Sole       01           33
Radian Group Inc          COM      750236101       2         38 SH          Sole       01           38
Regal-Beloit
  Corporation             COM      758750103      82      1,764 SH          Sole       01        1,764
Regency Centers
  Corp.                   COM      758849103     199      2,829 SH          Sole       01        2,829
Rent-A-Center, Inc.       COM      76009N100   9,013    343,629 SH          Sole       01      343,629
Reynolds American
  Inc                     COM      761713106      29        447 SH          Sole       01          447
Rinker Group Limited      COM      76687M101       1         16 SH          Sole       01           16
Rio Tinto PLC-Gbp    SPONSORED ADR 767204100       3          9 SH          Sole       01            9
Roper Industries Inc      COM      776696106   2,789     48,847 SH          Sole       01       48,847
Rudolph
  Technologies Inc.       COM      781270103      91      5,455 SH          Sole       01        5,455
Ryland Group Inc          COM      783764103       1         36 SH          Sole       01           36
SalesForce.com Inc        COM      79466L302     368      8,592 SH          Sole       01        8,592
Sanderson Farms, Inc      COM      800013104       2         36 SH          Sole       01           36
SanDisk Corporation       COM      80004C101       2         49 SH          Sole       01           49
Sanmina Corporation       COM      800907107   8,497  2,714,754 SH          Sole       01    2,714,754
Sanofi-Aventis
  Spons ADR          SPONSORED ADR 80105N105       2         43 SH          Sole       01           43
SAP AG                    COM      803054204       1         15 SH          Sole       01           15
Satyam Computer
  Svcs ADR                ADR      804098101   9,699    391,726 SH          Sole       01      391,726
Schering Plough
  Corp Mand Prd
  Conv Stock             MAND      806605606       4         60 SH          Sole       01           60
Schlumberger Ltd          COM      806857108     895     10,539 SH          Sole       01       10,539
Sealed Air Corp           COM      81211K100   8,210    264,663 SH          Sole       01      264,663
Select Comfort Corp       COM      81616X103      71      4,348 SH          Sole       01        4,348
Semco Energy Inc          COM      78412D109       0         28 SH          Sole       01           28
Shire PLC                 COM      82481R106       1         18 SH          Sole       01           18
Siemens AG           SPONSORED ADR 826197501  23,568    164,743 SH          Sole       01      164,743
Sigma Aldrich Corp        COM      826552101       3         70 SH          Sole       01           70
Silicon Image, Inc.       COM      82705T102   3,818    445,002 SH          Sole       01      445,002
Siliconware Precis
  Inds ADR                SPL      827084864  10,580    961,811 SH          Sole       01      961,811
Simon Ppty Group
  Inc New                 COM      828806109     465      4,996 SH          Sole       01        4,996
Singapore Fund Inc        COM      82929L109       3        181 SH          Sole       01          181
Smith International
  Inc                     COM      832110100   3,026     51,605 SH          Sole       01       51,605
Smithfield Foods Inc      COM      832248108  16,510    536,221 SH          Sole       01      536,221
Sonic Corp.               COM      835451105      83      3,760 SH          Sole       01        3,760
Sony Corp ADR             COM      835699307       1         10 SH          Sole       01           10
Southern Company          COM      842587107       0          9 SH          Sole       01            9
Southern Union            COM      844030106       4        116 SH          Sole       01          116
SPDR Russell/
  Nomura Small Cap
  Japan ETF              MLCP      863308789  60,717  1,190,998 SH          Sole       01    1,190,998
Sprint Nextel Corp
  Comm                    FON      852061100   9,659    466,379 SH          Sole       01      466,379




                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                            VOTING AUTHORITY
                                                                                           -------------------
                       TITLE OF               VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       ------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                         
Staples Inc               COM      855030102       1       62 SH          Sole       01         62
Starbucks Corp            COM      855244109     752   28,655 SH          Sole       01     28,655
Starwood Hotels &
  Resorts Wldwde New      COM      85590A401      92    1,366 SH          Sole       01      1,366
State Street Corp         COM      857477103  19,910  291,080 SH          Sole       01    291,080
Statoil ASA          SPONSORED ADR 85771P102       1       44 SH          Sole       01         44
Stericycle, Inc           COM      858912108   2,441   54,904 SH          Sole       01     54,904
Stewart Information
  Services                COM      860372101  16,319  409,721 SH          Sole       01    409,721
Streettracks Gold Tr   GOLD SHS    863307104   6,398   99,544 SH          Sole       01     99,544
Stryker Corporation       COM      863667101     378    5,988 SH          Sole       01      5,988
Superior Industries
  Intl                    COM      868168105  16,145  741,957 SH          Sole       01    741,957
Swisscom AG               ADR      871013108     153    4,498 SH          Sole       01      4,498
Symantec Corp             COM      871503108  10,327  511,253 SH          Sole       01    511,253
Syngenta AG ADR           ADR      87160A100  13,844  355,609 SH          Sole       01    355,609
Sysco Corporation         COM      871829107       0        2 SH          Sole       01          2
Taiwan
  Semiconductor Mfg
  Co Ltd Spr ADR     SPONSORED ADR 874039100   8,891  798,863 SH          Sole       01    798,863
Target Corporation        COM      87612E106  20,057  315,363 SH          Sole       01    315,363
Tata Motors Ltd ADR       COM      876568502       1       59 SH          Sole       01         59
Taubman Centers,
  Inc.                    COM      876664103     106    2,131 SH          Sole       01      2,131
Technip SA           SPONSORED ADR 878546209       3       32 SH          Sole       01         32
Tekelec                   COM      879101103      81    5,600 SH          Sole       01      5,600
Tele Norte Leste     SPON ADR PFD  879246106       1       53 SH          Sole       01         53
Telefonica S.A.           COM      879382208       1       11 SH          Sole       01         11
Telekomunikas
  Indonesia ADR           ADR      715684106  13,414  311,229 SH          Sole       01    311,229
Templeton Dragon Fd       COM      88018T101       1       37 SH          Sole       01         37
Templeton Emerging
  Mrks Income Fund
  Inc                     COM      880192109       2      117 SH          Sole       01        117
Tenaris SA ADR            COM      88031M109       2       45 SH          Sole       01         45
Teva Pharmaceutical
  Indus                   ADR      881624209       2       56 SH          Sole       01         56
Teva
  Pharmaceuticals
  Conv Bond               2/0      88164RAB3       4    3,000 SH          Sole       01      3,000
Teva
  Pharmaceuticals
  Conv Bond               2/0      88165FAA0       1    1,000 SH          Sole       01      1,000
Texas Instruments         COM      882508104       3       71 SH          Sole       01         71
Thor Industries Inc       COM      885160101       1       15 SH          Sole       01         15
Time Warner Inc.          COM      887317105   8,697  413,358 SH          Sole       01    413,358
TJX Companies, Inc        COM      872540109       2       58 SH          Sole       01         58
Tomkins PLC ADR         RED ADR    890030208  17,874  860,563 SH          Sole       01    860,563
Torchmark Corp            COM      891027104       1       20 SH          Sole       01         20
Toro Company              COM      891092108       1       12 SH          Sole       01         12
Total Fina S.A.      SPONSORED ADR 89151E109  23,958  295,855 SH          Sole       01    295,855
Tower Group Inc           COM      891777104     108    3,395 SH          Sole       01      3,395
Travelers Companies
  Inc.                   ADDED     89417E109      25      475 SH          Sole       01        475
Trex Company Inc          COM      89531P105  13,092  666,963 SH          Sole       01    666,963




                          FORM 13F INFORMATION TABLE



COLUMN 1               COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5       COLUMN 6  COLUMN 7       COLUMN 8
                                                                                               VOTING AUTHORITY
                                                                                             ---------------------
                       TITLE OF               VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER          CLASS       CUSIP    (x$1000)  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
--------------       ------------- --------- -------- --------- --- ---- ---------- -------- --------- ------ ----
                                                                             
Triad Guaranty Inc        COM      895925105      87      2,168 SH          Sole       01        2,168
Trident
  Microsystems Inc.       COM      895919108      74      4,011 SH          Sole       01        4,011
Tronox Inc Cl B sh        COM      897051207       0          1 SH          Sole       01            1
True Religion
  Apparel Inc             COM      89784N104     113      5,577 SH          Sole       01        5,577
Turkcell Iletisim
  Hizmet--ADR          SPON ADR    900111204     216     12,973 SH          Sole       01       12,973
TXU Corporation           COM      873168108   1,725     25,628 SH          Sole       01       25,628
Tyco Intl Ltd             COM      902124106   9,510    281,454 SH          Sole       01      281,454
UAL Corp.                 COM      902549807      77      1,885 SH          Sole                 1,885
UDR Inc                  ADDED     902653104      63      2,378 SH          Sole       01        2,378
Unilever PLC           SPON ADR    904767704     238      7,387 SH          Sole       01        7,387
Unisource Energy Co       COM      909205106      47      1,423 SH          Sole       01        1,423
United Auto Group         4/0      909440AH2       2      2,000 SH          Sole       01        2,000
United
  Microelectronics   SPONSORED ADR 910873207       0        110 SH          Sole       01          110
United Parcel Svc        CL B      911312106   6,791     93,025 SH          Sole       01       93,025
United Technologies       COM      913017109  23,166    326,603 SH          Sole       01      326,603
United Utilities
  PLC ADR            SPONSORED ADR 91311Q105     322     11,409 SH          Sole       01       11,409
UnitedHealth Group        COM      91324P102       1         24 SH          Sole       01           24
Unum Group                COM      91529Y106       1         40 SH          Sole       01           40
US Bancorp (New)        COM NEW    902973304   6,358    192,967 SH          Sole       01      192,967
UST Inc.                  COM      902911106       2         36 SH          Sole       01           36
Van Kampen Inv
  Grade NY Muni           COM      920931102     984     63,513 SH          Sole       01       63,513
Van Kampen Trust
  for Invest Grade
  Muni                    COM      920929106   4,865    322,160 SH          Sole       01      322,160
Varian Medical
  Systems                 COM      92220P105   2,128     50,054 SH          Sole       01       50,054
VCA Antech Inc.           COM      918194101   2,236     59,317 SH          Sole       01       59,317
Veolia Environment   SPONSORED ADR 92334N103  14,169    180,939 SH          Sole       01      180,939
VERIZON
  COMMUNICATIONS INC      Com      92343V104      36        832 SH          Sole                   832
VF Corporation            COM      918204108       3         33 SH          Sole       01           33
Vodafone Group New
  Plc Spons Adr          ADDED     92857W209  21,301    633,384 SH          Sole       01      633,384
Vornado Realty Trust  SH BEN INT   929042109     127      1,156 SH          Sole       01        1,156
W Holding Co. Inc         COM      929251106   6,486  2,456,730 SH          Sole       01    2,456,730
Wachovia
  Corporation 2nd         COM      929903102       0          1 SH          Sole       01            1
Walgreen Company          COM      931422109  18,991    436,177 SH          Sole       01      436,177
Walmart                   COM      931142103   7,429    154,424 SH          Sole       01      154,424
Walt Disney Co Cv
  Sr Notes                4/1      254687AU0       5      4,000 SH          Sole       01        4,000
Washington Mutual         COM      939322103      33        778 SH          Sole       01          778
Watson Pharmaceutic       COM      942683103       2         47 SH          Sole       01           47
Webster Financial         COM      947890109      17        389 SH          Sole       01          389
Wells Fargo & Co New      COM      949746101       2         47 SH          Sole       01           47
WESCO International
  Inc                     COM      95082P105     109      1,796 SH          Sole       01        1,796
Western Assets
  Emerg Mkts
  Floating Rt Fd         ADDED     95766C107   3,513    268,954 SH          Sole       01      268,954




                          FORM 13F INFORMATION TABLE



COLUMN 1                  COLUMN 2       COLUMN 3  COLUMN 4     COLUMN 5      COLUMN 6  COLUMN 7      COLUMN 8
                                                                                                  VOTING AUTHORITY
                                                                                                 -------------------
                          TITLE OF                  VALUE   SHRS OR SH/ PUT/ INVESTMENT  OTHER
NAME OF ISSUER             CLASS          CUSIP    (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS  SOLE   SHARED NONE
--------------       ------------------- --------- -------- ------- --- ---- ---------- -------- ------- ------ ----
                                                                               
Western Assets Emrg
  Mkts Debt Fund            ADDED        95766A101       2       92 SH          Sole       01         92
Western Assets Emrg
  Mkts Inc Fd II            ADDED        95766E103       2      126 SH          Sole       01        126
Western Union Corp          ADDED        959802109  17,962  862,309 SH          Sole       01    862,309
Whirlpool Corp               COM         963320106       1       10 SH          Sole       01         10
Williams Companies           COM         969457100  10,550  333,656 SH          Sole       01    333,656
Wimm-Bill- Dann
  Foods ADR                  ADR         97263M109  16,365  157,337 SH          Sole       01    157,337
Winnebago Industries         COM         974637100       1       33 SH          Sole       01         33
WPP Group            SPON ADR 0905 ADDED 929309409  17,110  228,892 SH          Sole       01    228,892
Wrigley Wm Jr Co             COM         982526105  28,944  523,313 SH          Sole       01    523,313
Wyeth                        COM         983024100   6,231  108,666 SH          Sole       01    108,666
Wyeth Senior Debt
  Convt Bond                 1/1         983024AD2       3    3,000 SH          Sole       01      3,000
Xerium Technologies
  Inc                        COM         98416J100   5,566  730,383 SH          Sole       01    730,383
Yahoo! Inc                   COM         984332106     445   16,396 SH          Sole       01     16,396
Yum Brands Inc               COM         988498101   8,120  248,157 SH          Sole       01    248,157
Zenith National
  Insurance                  COM         989390109   3,895   82,721 SH          Sole       01     82,721
Zimmer Holdings Inc          COM         98956P102     213    2,509 SH          Sole       01      2,509
Zumiez Inc                   COM         989817101   1,556   41,195 SH          Sole       01     41,195