2.
                          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 26, 2004

Check here if Amendment [  ]; Amendment Number:  _______________
  This Amendment (Check only one): [ ] is a restatement
                                   [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Intel Corporation
2200 Mission College Boulevard
Santa Clara, CA 95052-8119

Form 13F File Number:  28-5160

Person Signing this Report on Behalf of Reporting Manager:

Cary I. Klafter, Vice President and Corporate Secretary (408) 765-
1215

 ---------------------------------------------------------------
   ATTENTION--Intentional misstatements or omissions of facts
 constitute Federal Criminal Violations.  See 18 U.S.C. 1001 and
                        15 U.S.C. 78ff(a)
 ---------------------------------------------------------------
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.

Signature, Place and Date of Signing:


/S/Cary I. Klafter   Santa Clara, California  August 16, 2004
-------------------

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 manager(s).)



                      Form 13F SUMMARY PAGE

              REPORTING MANAGER:  INTEL CORPORATION

Report Summary:

Number of Other Included Managers:        -0-

Form 13F Information Table Entry Total:   350

Form 13F Information Table Value Total:   $823,062

                                                                                                               8/13/04
                           FORM 13F INFORMATION TABLE
                      REPORTING MANAGER:  INTEL CORPORATION


                                                       ITEM 4:   ITEM 5:
                                                        FAIR      SHARES                                        ITEM 8:
                                  ITEM 2:   ITEM 3:    MARKET       OR          ITEM 6:                     VOTING AUTHORITY
            ITEM 1:               TITLE OF   CUSIP      VALUE   PRINCIPAL SH/ INVESTMENT     ITEM 7:      (A)       (B)     (C)
         NAME OF ISSUER            CLASS     NUMBER     (000)     AMOUNT  PRN DISCRETION    MANAGERS     SOLE     SHARED    NONE
                                                                                                   
A D C TELECOMMUNICATIONS         COM        000886101          68    23,850  SH SOLE
AFLAC INC                        COM        001055102         618    15,150  SH SOLE
AT&T CORP                        COM NEW    001957505         344    23,521  SH SOLE
ABBOTT LABS                      COM        002824100       1,885    46,244  SH SOLE
ADVANCED MICRO DEVICES INC       COM        007903107         165    10,350  SH SOLE
AFFILIATED COMPUTER SERVICES     CL A       008190100         212     4,000  SH SOLE
AIR PRODS & CHEMS INC            COM        009158106         351     6,700  SH SOLE
ALBERTSONS INC                   COM        013104104         289    10,901  SH SOLE
ALCOA INC                        COM        013817101         851    25,752  SH SOLE
ALLERGAN INC                     COM        018490102         349     3,900  SH SOLE
ALLSTATE CORP                    COM        020002101         972    20,880  SH SOLE
ALLTEL CORP                      COM        020039103         466     9,200  SH SOLE
ALTERA CORP                      COM        021441100         248    11,200  SH SOLE
AMBAC FINL GROUP INC             COM        023139108         235     3,200  SH SOLE
AMERADA HESS CORP                COM        023551104         214     2,700  SH SOLE
AMEREN CORP                      COM        023608102         232     5,400  SH SOLE
AMERICAN ELEC PWR INC            COM        025537101         374    11,682  SH SOLE
AMERICAN EXPRESS CO              COM        025816109       1,955    38,050  SH SOLE
AMERICAN INTL GROUP INC          COM        026874107       5,506    77,243  SH SOLE
AMERICAN STD COS INC DEL         COM        029712106         254     6,300  SH SOLE
AMGEN INC                        COM        031162100       2,086    38,235  SH SOLE
AMSOUTH BANCORPORATION           COM        032165102         265    10,400  SH SOLE
AMX CORPORATION                  COM        00180C105       2,621   238,057  SH SOLE
ANADARKO PETE CORP               COM        032511107         439     7,493  SH SOLE
ANALOG DEVICES INC               COM        032654105         523    11,100  SH SOLE

               FAIR MARKET VALUE                           21,522   661,508



ANHEUSER BUSCH COS INC           COM        035229103       1,301    24,100  SH SOLE
AON CORP                         COM        037389103         264     9,256  SH SOLE
APACHE CORP                      COM        037411105         418     9,588  SH SOLE
APOLLO GROUP INC                 CL A       037604105         459     5,200  SH SOLE
APPLE COMPUTER INC               COM        037833100         355    10,900  SH SOLE
APPLIED MATLS INC                COM        038222105         977    49,800  SH SOLE
ARCHER DANIELS MIDLAND CO        COM        039483102         322    19,167  SH SOLE
ASM INTERNATIONAL  N.V.          COM        N07045102       2,467   119,287  SH SOLE
AUTOMATIC DATA PROCESSING IN     COM        053015103         733    17,502  SH SOLE
AUTOZONE INC                     COM        053332102         208     2,600  SH SOLE
AVAYA INC                        COM        053499109         198    12,521  SH SOLE
AVERY DENNISON CORP              COM        053611109         211     3,300  SH SOLE
AVOCENT CORP                     COM        053893103       1,692    46,067  SH SOLE
AVON PRODS INC                   COM        054303102         647    14,028  SH SOLE
BB&T CORP                        COM        054937107         599    16,200  SH SOLE
BJ SVCS CO                       COM        055482103         215     4,700  SH SOLE
BAKER HUGHES INC                 COM        057224107         375     9,960  SH SOLE
BANK OF AMERICA CORPORATION      COM        060505104       5,120    60,507  SH SOLE
BANK NEW YORK INC                COM        064057102         676    22,940  SH SOLE
BAXTER INTL INC                  COM        071813109         623    18,040  SH SOLE
BEAR STEARNS COS INC             COM        073902108         259     3,074  SH SOLE
BECTON DICKINSON & CO            COM        075887109         389     7,500  SH SOLE
BED BATH & BEYOND INC            COM        075896100         338     8,800  SH SOLE
BELLSOUTH CORP                   COM        079860102       1,421    54,182  SH SOLE
BEST BUY INC                     COM        086516101         487     9,600  SH SOLE
BIOMET INC                       COM        090613100         336     7,550  SH SOLE
BLOCK H & R INC                  COM        093671105         253     5,300  SH SOLE
BOEING CO                        COM        097023105       1,273    24,915  SH SOLE
BOSTON SCIENTIFIC CORP           COM        101137107       1,039    24,284  SH SOLE
BRISTOL MYERS SQUIBB CO          COM        110122108       1,407    57,446  SH SOLE
BROADCOM CORP                    CL A       111320107         419     9,000  SH SOLE



BURLINGTON RES INC               COM        122014103         425    11,744  SH SOLE
CIGNA CORP                       COM        125509109         289     4,200  SH SOLE
CSX CORP                         COM        126408103         206     6,300  SH SOLE
CVS CORP                         COM        126650100         492    11,700  SH SOLE
CALPINE CORP                     COM        131347106          53    12,200  SH SOLE
CAMPBELL SOUP CO                 COM        134429109         328    12,200  SH SOLE
CAREMARK RX INC                  COM        141705103         435    13,200  SH SOLE

               FAIR MARKET VALUE                           27,709   758,858



CARNIVAL CORP                    PAIRED     143658300         879    18,700  SH SOLE
                                CTF
CATERPILLAR INC DEL              COM        149123101         817    10,290  SH SOLE
CENDANT CORP                     COM        151313103         731    29,881  SH SOLE
CHARTER ONE FINL INC             COM        160903100         291     6,588  SH SOLE
CHEVRONTEXACO CORP               COM        166764100       2,978    31,640  SH SOLE
CHIRON CORP                      COM        170040109         250     5,600  SH SOLE
CHUBB CORP                       COM        171232101         378     5,550  SH SOLE
CIENA CORP                       COM        171779101          63    17,000  SH SOLE
CINCINNATI FINL CORP             COM        172062101         215     4,940  SH SOLE
CINERGY CORP                     COM        172474108         201     5,300  SH SOLE
CINTAS CORP                      COM        172908105         243     5,100  SH SOLE
CITIGROUP INC                    COM        172967101       7,091   152,493  SH SOLE
CLEAR CHANNEL COMMUNICATIONS     COM        184502102         672    18,200  SH SOLE
CLOROX CO DEL                    COM        189054109         333     6,200  SH SOLE
COCA COLA CO                     COM        191216100       3,655    72,408  SH SOLE
COCA COLA ENTERPRISES INC        COM        191219104         394    13,600  SH SOLE
COLGATE PALMOLIVE CO             COM        194162103         924    15,800  SH SOLE
COMERICA INC                     COM        200340107         285     5,200  SH SOLE
COMPUTER ASSOC INTL INC          COM        204912109         484    17,250  SH SOLE
COMPUTER SCIENCES CORP           COM        205363104         260     5,600  SH SOLE
COMPUWARE CORP                   COM        205638109          75    11,400  SH SOLE
CONAGRA FOODS INC                COM        205887102         431    15,900  SH SOLE
CONSOLIDATED EDISON INC          COM        209115104         282     7,100  SH SOLE

               FAIR MARKET VALUE                           21,932   481,740



CORNING INC                      COM        219350105         522    39,950  SH SOLE
COUNTRYWIDE FINANCIAL CORP       COM        222372104         576     8,199  SH SOLE
DTE ENERGY CO                    COM        233331107         203     5,000  SH SOLE
DANAHER CORP DEL                 COM        235851102         477     9,200  SH SOLE
DEERE & CO                       COM        244199105         505     7,200  SH SOLE
DELPHI CORP                      COM        247126105         177    16,558  SH SOLE
DISNEY WALT CO                   COM        254687106       1,545    60,612  SH SOLE
                                DISNEY
DOLLAR GEN CORP                  COM        256669102         196    10,018  SH SOLE
DONNELLEY R R & SONS CO          COM        257867101         208     6,300  SH SOLE
DOVER CORP                       COM        260003108         253     6,000  SH SOLE
DOW CHEM CO                      COM        260543103       1,123    27,593  SH SOLE
DU PONT E I DE NEMOURS & CO      COM        263534109       1,313    29,550  SH SOLE
DUKE ENERGY CORP                 COM        264399106         545    26,846  SH SOLE
E M C CORP MASS                  COM        268648102         816    71,604  SH SOLE
E TRADE FINANCIAL CORP           COM        269246104         120    10,800  SH SOLE
EASTMAN KODAK CO                 COM        277461109         228     8,450  SH SOLE
EATON CORP                       COM        278058102         291     4,500  SH SOLE
EBAY INC                         COM        278642103       1,756    19,100  SH SOLE
ECOLAB INC                       COM        278865100         241     7,600  SH SOLE

               FAIR MARKET VALUE                           11,095   375,080



EDISON INTL                      COM        281020107         245     9,600  SH SOLE
ELECTRONIC ARTS INC              COM        285512109         480     8,800  SH SOLE
ELECTRONIC DATA SYS NEW          COM        285661104         272    14,200  SH SOLE
EMERSON ELEC CO                  COM        291011104         791    12,450  SH SOLE
EQUITY OFFICE PROPERTIES TRU     COM        294741103         321    11,800  SH SOLE
FPL GROUP INC                    COM        302571104         352     5,500  SH SOLE
FEDERAL HOME LN MTG CORP         COM        313400301       1,290    20,382  SH SOLE
FEDERAL NATL MTG ASSN            COM        313586109       2,052    28,750  SH SOLE
FIFTH THIRD BANCORP              COM        316773100         898    16,692  SH SOLE
FIRST DATA CORP                  COM        319963104       1,168    26,229  SH SOLE
FISERV INC                       COM        337738108         226     5,800  SH SOLE
FIRSTENERGY CORP                 COM        337932107         367     9,800  SH SOLE
FORD MTR CO DEL                  COMPAR     345370860         848    54,215  SH SOLE
                                $0.01
FOREST LABS INC                  COM        345838106         617    10,900  SH SOLE
FORTUNE BRANDS INC               COM        349631101         323     4,286  SH SOLE
FRANKLIN RES INC                 COM        354613101         371     7,400  SH SOLE
GANNETT INC                      COM        364730101         679     8,000  SH SOLE
GAP INC DEL                      COM        364760108         643    26,525  SH SOLE
GATEWAY INC                      COM        367626108          50    11,100  SH SOLE
GENERAL DYNAMICS CORP            COM        369550108         586     5,900  SH SOLE
GENERAL ELEC CO                  COM        369604103       9,781   301,884  SH SOLE
GENERAL MLS INC                  COM        370334104         528    11,100  SH SOLE
GENERAL MTRS CORP                COM        370442105         777    16,674  SH SOLE

               FAIR MARKET VALUE                           23,665   627,987



GENUINE PARTS CO                 COM        372460105         204     5,150  SH SOLE
GENZYME CORP                     COMGENLDI  372917104         312     6,600  SH SOLE
                                V
GEORGIA PAC CORP                 COM        373298108         278     7,518  SH SOLE
GILLETTE CO                      COM        375766102       1,266    29,850  SH SOLE
GOLDEN WEST FINL CORP DEL        COM        381317106         473     4,450  SH SOLE
GUIDANT CORP                     COM        401698105         514     9,200  SH SOLE
HCA INC                          COM        404119109         609    14,650  SH SOLE
HALLIBURTON CO                   COM        406216101         393    13,000  SH SOLE
HARLEY DAVIDSON INC              COM        412822108         557     9,000  SH SOLE
HARTFORD FINL SVCS GROUP INC     COM        416515104         591     8,600  SH SOLE
HEALTHAXIS INC                   COM        42219D308         232   100,050  SH SOLE
HEINZ H J CO                     COM        423074103         408    10,400  SH SOLE
HERSHEY FOODS CORP               COM        427866108         361     7,800  SH SOLE
HEWLETT PACKARD CO               COM        428236103       1,906    90,316  SH SOLE
HILTON HOTELS CORP               COM        432848109         209    11,200  SH SOLE
HOME DEPOT INC                   COM        437076102       2,371    67,350  SH SOLE
HONEYWELL INTL INC               COM        438516106         932    25,457  SH SOLE
HOSPIRA INC                      COM        441060100         255     9,254  SH SOLE
ITT INDS INC IND                 COM        450911102         224     2,700  SH SOLE
ILLINOIS TOOL WKS INC            COM        452308109         873     9,100  SH SOLE
INTERNATIONAL BUSINESS MACHS     COM        459200101       4,436    50,318  SH SOLE

               FAIR MARKET VALUE                           17,404   491,963



INTERNATIONAL GAME TECHNOLOG     COM        459902102         398    10,300  SH SOLE
INTL PAPER CO                    COM        460146103         635    14,216  SH SOLE
INTERPUBLIC GROUP COS INC        COM        460690100         169    12,300  SH SOLE
INTUIT                           COM        461202103         228     5,900  SH SOLE
JEFFERSON PILOT CORP             COM        475070108         215     4,225  SH SOLE
JOHNSON & JOHNSON                COM        478160104       4,894    87,866  SH SOLE
JOHNSON CTLS INC                 COM        478366107         299     5,600  SH SOLE
KLA-TENCOR CORP                  COM        482480100         286     5,800  SH SOLE
KELLOGG CO                       COM        487836108         510    12,180  SH SOLE
KEYCORP NEW                      COM        493267108         370    12,384  SH SOLE
KIMBERLY CLARK CORP              COM        494368103         975    14,800  SH SOLE
KOHLS CORP                       COM        500255104         427    10,100  SH SOLE
KROGER CO                        COM        501044101         401    22,050  SH SOLE
LSI LOGIC CORP                   COM        502161102          85    11,200  SH SOLE
LEHMAN BROS HLDGS INC            COM        524908100         617     8,200  SH SOLE
LEXMARK INTL NEW                 CL A       529771107         367     3,800  SH SOLE
LILLY ELI & CO                   COM        532457108       2,325    33,250  SH SOLE
LIMITED BRANDS INC               COM        532716107         258    13,806  SH SOLE
LINCOLN NATL CORP IND            COM        534187109         250     5,300  SH SOLE
LINEAR TECHNOLOGY CORP           COM        535678106         363     9,200  SH SOLE
LOCKHEED MARTIN CORP             COM        539830109         695    13,344  SH SOLE
LOEWS CORP                       COM        540424108         330     5,500  SH SOLE

               FAIR MARKET VALUE                           15,097   321,321



LOWES COS INC                    COM        548661107       1,224    23,300  SH SOLE
LUCENT TECHNOLOGIES INC          COM        549463107         477   126,111  SH SOLE
MGIC INVT CORP WIS               COM        552848103         220     2,900  SH SOLE
MARATHON OIL CORP                COM        565849106         382    10,100  SH SOLE
MARSH & MCLENNAN COS INC         COM        571748102         711    15,658  SH SOLE
MARSHALL & ILSLEY CORP           COM        571834100         262     6,700  SH SOLE
MARRIOTT INTL INC NEW            COM        571903202         339     6,800  SH SOLE
MASCO CORP                       COM        574599106         418    13,400  SH SOLE
MATTEL INC                       COM        577081102         233    12,775  SH SOLE
MAY DEPT STORES CO               COM        577778103         234     8,500  SH SOLE
MCDONALDS CORP                   COM        580135101         973    37,404  SH SOLE
MCGRAW HILL COS INC              COM        580645109         436     5,700  SH SOLE
MEDTRONIC INC                    COM        585055106       1,747    35,862  SH SOLE
MERCK & CO INC                   COM        589331107       3,126    65,816  SH SOLE
MERRILL LYNCH & CO INC           COM        590188108       1,550    28,718  SH SOLE
MICROSOFT CORP                   COM        594918104       9,126   319,550  SH SOLE
MICRON TECHNOLOGY INC            COM        595112103         276    18,000  SH SOLE
MICRON TECHNOLOGY INC            COM        595112103     518,397 33,860,04  SH DEFINED     NONE                    33,860,04
                                                                        5                                                5
MOODYS CORP                      COM        615369105         285     4,400  SH SOLE
MORGAN STANLEY                   COM NEW    617446448       1,713    32,456  SH SOLE

               FAIR MARKET VALUE                          542,129 34,634,19
                                                                        5



MOTOROLA INC                     COM        620076109       1,265    69,298  SH SOLE
NATIONAL CITY CORP               COM        635405103         627    17,900  SH SOLE
NATIONAL SEMICONDUCTOR CORP      COM        637640103         347    15,800  SH SOLE
NEWMONT MINING CORP              COM        651639106         495    12,762  SH SOLE
NIKE INC                         CL B       654106103         591     7,800  SH SOLE
NORFOLK SOUTHERN CORP            COM        655844108         306    11,550  SH SOLE
NORTHERN TR CORP                 COM        665859104         275     6,500  SH SOLE
NORTHROP GRUMMAN CORP            COM        666807102         588    10,958  SH SOLE
NOVELL INC                       COM        670006105          94    11,194  SH SOLE
OCCIDENTAL PETE CORP DEL         COM        674599105         557    11,500  SH SOLE
OMNICOM GROUP INC                COM        681919106         425     5,600  SH SOLE
PNC FINL SVCS GROUP INC          COM        693475105         435     8,200  SH SOLE
PPG INDS INC                     COM        693506107         317     5,070  SH SOLE
PACCAR INC                       COM        693718108         300     5,175  SH SOLE
PARKER HANNIFIN CORP             COM        701094104         211     3,550  SH SOLE
PAYCHEX INC                      COM        704326107         379    11,175  SH SOLE
PENNEY J C INC                   COM        708160106         307     8,128  SH SOLE

               FAIR MARKET VALUE                            7,519   222,160



PEOPLESOFT INC                   COM        712713106         200    10,800  SH SOLE
PEPSI BOTTLING GROUP INC         COM        713409100         235     7,700  SH SOLE
PEPSICO INC                      COM        713448108       2,726    50,600  SH SOLE
PFIZER INC                       COM        717081103       7,739   225,764  SH SOLE
PHELPS DODGE CORP                COM        717265102         213     2,743  SH SOLE
PITNEY BOWES INC                 COM        724479100         305     6,900  SH SOLE
PROCTER & GAMBLE CO              COM        742718109       4,165    76,500  SH SOLE
PROGRESS ENERGY INC              COM        743263105         322     7,300  SH SOLE
PROGRESSIVE CORP OHIO            COM        743315103         546     6,400  SH SOLE
PRUDENTIAL FINL INC              COM        744320102         745    16,025  SH SOLE
PUBLIC SVC ENTERPRISE GROUP      COM        744573106         280     6,994  SH SOLE
QUALCOMM INC                     COM        747525103       1,737    23,800  SH SOLE
QWEST COMMUNICATIONS INTL IN     COM        749121109         188    52,298  SH SOLE
RAYTHEON CO                      COM NEW    755111507         469    13,100  SH SOLE
REGIONS FINL CORP                COM        758940100         241     6,600  SH SOLE
ROCKWELL AUTOMATION INC          COM        773903109         206     5,500  SH SOLE
ROHM & HAAS CO                   COM        775371107         274     6,592  SH SOLE

               FAIR MARKET VALUE                           20,591   525,616

SAFEWAY INC                      COM NEW    786514208         332    13,100  SH SOLE
ST JUDE MED INC                  COM        790849103         387     5,112  SH SOLE
ST PAUL TRAVELERS INC            COM        792860108         796    19,640  SH SOLE
SANMINA SCI CORP                 COM        800907107         140    15,350  SH SOLE
SARA LEE CORP                    COM        803111103         539    23,450  SH SOLE
SCHERING PLOUGH CORP             COM        806605101         805    43,550  SH SOLE
SCHLUMBERGER LTD                 COM        806857108       1,105    17,400  SH SOLE
SCHWAB CHARLES CORP NEW          COM        808513105         386    40,200  SH SOLE
SEARS ROEBUCK & CO               COM        812387108         249     6,600  SH SOLE
SEMPRA ENERGY                    COM        816851109         233     6,760  SH SOLE
SIEBEL SYS INC                   COM        826170102         157    14,700  SH SOLE
SIERRA WIRELESS INC              COM        826516106         386    10,421  SH SOLE
SIMON PPTY GROUP INC NEW         COM        828806109         309     6,000  SH SOLE
SOLECTRON CORP                   COM        834182107         184    28,400  SH SOLE

               FAIR MARKET VALUE                            6,008   250,683




SOUTHERN CO                      COM        842587107         631    21,650  SH SOLE
SOUTHTRUST CORP                  COM        844730101         380     9,800  SH SOLE
SOUTHWEST AIRLS CO               COM        844741108         392    23,375  SH SOLE
SPRINT CORP                      COM    FON 852061100         740    42,070  SH SOLE
                                GROUP
STAPLES INC                      COM        855030102         434    14,750  SH SOLE
STARBUCKS CORP                   COM        855244109         509    11,700  SH SOLE
STATE STR CORP                   COM        857477103         485     9,900  SH SOLE
STRYKER CORP                     COM        863667101         974    17,700  SH SOLE
SUN MICROSYSTEMS INC             COM        866810104         421    97,314  SH SOLE
SUNGARD DATA SYS INC             COM        867363103         222     8,550  SH SOLE
SUNTRUST BKS INC                 COM        867914103         546     8,400  SH SOLE
SYMANTEC CORP                    COM        871503108         403     9,200  SH SOLE
SYSCO CORP                       COM        871829107         685    19,100  SH SOLE
TJX COS INC NEW                  COM        872540109         360    14,900  SH SOLE
TXU CORP                         COM        873168108         389     9,602  SH SOLE
TELLABS INC                      COM        879664100         108    12,300  SH SOLE
TEXAS INSTRS INC                 COM        882508104       1,240    51,300  SH SOLE
TEXTRON INC                      COM        883203101         243     4,100  SH SOLE
TIME WARNER INC                  COM        887317105       2,370   134,795  SH SOLE

               FAIR MARKET VALUE                           11,532   520,506



TRIBUNE CO NEW                   COM        896047107         443     9,726  SH SOLE
TYCO INTL LTD NEW                COM        902124106       1,961    59,180  SH SOLE
US BANCORP DEL                   COM NEW    902973304       1,567    56,847  SH SOLE
UNION PAC CORP                   COM        907818108         458     7,700  SH SOLE
UNITED PARCEL SERVICE INC        CL B       911312106       2,514    33,450  SH SOLE
UNITED TECHNOLOGIES CORP         COM        913017109       1,400    15,300  SH SOLE
UNIVISION COMMUNICATIONS INC     CL A       914906102         303     9,500  SH SOLE
UNOCAL CORP                      COM        915289102         291     7,650  SH SOLE
VERITAS SOFTWARE CO              COM        923436109         351    12,615  SH SOLE
VIACOM INC                       CL B       925524308       1,851    51,827  SH SOLE
WACHOVIA CORP 2ND NEW            COM        929903102       1,731    38,891  SH SOLE
WAL MART STORES INC              COM        931142103       6,761   128,152  SH SOLE
WALGREEN CO                      COM        931422109       1,099    30,350  SH SOLE
WASHINGTON MUT INC               COM        939322103       1,031    26,673  SH SOLE
WELLS FARGO & CO NEW             COM        949746101       2,866    50,074  SH SOLE
WEYERHAEUSER CO                  COM        962166104         437     6,917  SH SOLE
WILLIAMS COS INC DEL             COM        969457100         182    15,300  SH SOLE

               FAIR MARKET VALUE                           25,246   560,152


WRIGLEY WM JR CO                 COM        982526105         422     6,700  SH SOLE
WYETH                            COM        983024100       1,426    39,426  SH SOLE
XILINX INC                       COM        983919101         340    10,200  SH SOLE
XEROX CORP                       COM        984121103         342    23,600  SH SOLE
YAHOO INC                        COM        984332106       2,155    59,200  SH SOLE
YUM BRANDS INC                   COM        988498101         323     8,684  SH SOLE
AMERISOURCEBERGEN CORP           COM        03073E105         200     3,350  SH SOLE
TARGET CORP                      COM        87612E106       1,145    26,950  SH SOLE
AES CORP                         COM        00130H105         183    18,450  SH SOLE
AT&T WIRELESS SVCS INC           COM        00209A106       1,155    80,625  SH SOLE
ADOBE SYS INC                    COM        00724F101         330     7,100  SH SOLE
AETNA INC NEW                    COM        00817Y108         386     4,539  SH SOLE
AGILENT TECHNOLOGIES INC         COM        00846U101         412    14,078  SH SOLE
ALTRIA GROUP INC                 COM        02209S103       3,030    60,549  SH SOLE
ANTHEM INC                       COM        03674B104         367     4,100  SH SOLE
BANK ONE CORP                    COM        06423A103       1,691    33,162  SH SOLE
BIOGEN IDEC INC                  COM        09062X103         612     9,675  SH SOLE
BURLINGTON NORTHN SANTA FE C     COM        12189T104         385    10,967  SH SOLE
CAPITAL ONE FINL CORP            COM        14040H105         465     6,800  SH SOLE
CARDINAL HEALTH INC              COM        14149Y108         900    12,850  SH SOLE
CISCO SYS INC                    COM        17275R102       4,823   203,518  SH SOLE

               FAIR MARKET VALUE                           21,092   644,523



COMCAST CORP NEW                 CL A       20030N101       1,871    66,599  SH SOLE
CONOCOPHILLIPS                   COM        20825C104       1,547    20,282  SH SOLE
COSTCO WHSL CORP NEW             COM        22160K105         560    13,600  SH SOLE
DELL INC                         COM        24702R101       2,717    75,850  SH SOLE
DEVON ENERGY CORP NEW            COM        25179M103         455     6,900  SH SOLE
DOMINION RES INC VA NEW          COM        25746U109         605     9,584  SH SOLE
DYNEGY INC NEW                   CL A       26816Q101          47    11,150  SH SOLE
EOG RES INC                      COM        26875P101         203     3,400  SH SOLE
EL PASO CORP                     COM        28336L109         150    19,014  SH SOLE
ENTERGY CORP NEW                 COM        29364G103         381     6,800  SH SOLE
EQUITY RESIDENTIAL               SH     BEN 29476L107         245     8,250  SH SOLE
                                INT
EXELON CORP                      COM        30161N101         975    29,300  SH SOLE
EXXON MOBIL CORP                 COM        30231G102       8,621   194,125  SH SOLE
FEDERATED DEPT STORES INC DE     COM        31410H101         263     5,359  SH SOLE
FEDEX CORP                       COM        31428X106         719     8,800  SH SOLE
GOLDMAN SACHS GROUP INC          COM        38141G104       1,346    14,300  SH SOLE
JDS UNIPHASE CORP                COM        46612J101         161    42,500  SH SOLE
J P MORGAN CHASE & CO            COM        46625H100       2,364    60,971  SH SOLE
KINDER MORGAN INC KANS           COM        49455P101         213     3,600  SH SOLE
M & T BK CORP                    COM        55261F104         306     3,500  SH SOLE
MBIA INC                         COM        55262C100         246     4,300  SH SOLE
MBNA CORP                        COM        55262L100         974    37,780  SH SOLE
MAXIM INTEGRATED PRODS INC       COM        57772K101         508     9,700  SH SOLE
MCKESSON CORP                    COM        58155Q103         296     8,613  SH SOLE
MEDCO HEALTH SOLUTIONS INC       COM        58405U102         301     8,030  SH SOLE

               FAIR MARKET VALUE                           26,074   672,307



MELLON FINL CORP                 COM        58551A108         374    12,750  SH SOLE
METLIFE INC                      COM        59156R108         807    22,500  SH SOLE
MONSANTO CO NEW                  COM        61166W101         302     7,833  SH SOLE
NETWORK APPLIANCE INC            COM        64120L104         220    10,200  SH SOLE
NEXTEL COMMUNICATIONS INC        CL A       65332V103         869    32,600  SH SOLE
ORACLE CORP                      COM        68389X105       1,846   154,734  SH SOLE
PG&E CORP                        COM        69331C108         346    12,396  SH SOLE
PPL CORP                         COM        69351T106         239     5,200  SH SOLE
PRAXAIR INC                      COM        74005P104         386     9,662  SH SOLE
PRINCIPAL FINANCIAL GROUP IN     COM        74251V102         330     9,500  SH SOLE
QUEST DIAGNOSTICS INC            COM        74834L100         263     3,100  SH SOLE
SBC COMMUNICATIONS INC           COM        78387G103       2,375    97,944  SH SOLE
SLM CORP                         COM        78442P106         538    13,300  SH SOLE
SIRF TECHNOLOGY HLDGS INC        COM        82967H101       5,228   400,000  SH SOLE
STARWOOD HOTELS&RESORTS WRLD     PAIRED     85590A203         269     6,000  SH SOLE
                                CTF
SYNOVUS FINL CORP                COM        87161C105         227     8,950  SH SOLE
TENET HEALTHCARE CORP            COM        88033G100         185    13,774  SH SOLE

               FAIR MARKET VALUE                           14,804   820,443



3M CO                            COM        88579Y101       2,088    23,200  SH SOLE
UNITEDHEALTH GROUP INC           COM        91324P102       1,155    18,552  SH SOLE
VALERO ENERGY CORP NEW           COM        91913Y100         280     3,800  SH SOLE
VERIZON COMMUNICATIONS           COM        92343V104       2,960    81,798  SH SOLE
WASTE MGMT INC DEL               COM        94106L109         523    17,063  SH SOLE
WELLPOINT HEALTH NETWORK NEW     COM        94973H108         515     4,600  SH SOLE
XCEL ENERGY INC                  COM        98389B100         198    11,835  SH SOLE
ZIMMER HLDGS INC                 COM        98956P102         634     7,189  SH SOLE
ACE LTD                          COM        G0070K103         351     8,300  SH SOLE
INGERSOLL-RAND COMPANY LTD       COM        G4776G101         355     5,200  SH SOLE
TRANSOCEAN INC                   COM        G90078109         275     9,504  SH SOLE
XL CAP LTD                       CL A       G98255105         309     4,100  SH SOLE

               FAIR MARKET VALUE                            9,643   195,141



                                 FAIR                     823,062 42,764,18
                                MARKET                              3
                                VALUE
                                TOTAL