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, 2009

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 11, 2009
-------------------------------     [City, State]             [Date]
    [Signature]

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: 343 lines

Form 13F Information Table Value Total: 1,625,036
                                        (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.





        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
3M CO COM           COM               88579Y101    18,211    303,006   SH           Sole        01       303,006
AAR CORP COM        COM               000361105         1         73   SH           Sole        01            73
ABB LTD SPONSORED
  ADR               SPONSORED ADR     000375204     2,490    157,809   SH           Sole        01       157,809
ADAPTEC INC COM     COM               00651F108       428    161,566   SH           Sole        01       161,566
ADVANCE AUTO PARTS
  INC COM           COM               00751Y106         5        114   SH           Sole        01           114
AES CORP COM        COM               00130H105    10,500    904,394   SH           Sole        01       904,394
AGRIUM INC COM      COM               008916108     2,723     68,251   SH           Sole        01        68,251
AIR PRODS & CHEMS
  INC COM           COM               009158106         6        100   SH           Sole        01           100
AIRGAS INC COM      COM               009363102     4,739    116,933   SH           Sole        01       116,933
ALBEMARLE CORP COM  COM               012653101     2,449     95,762   SH           Sole        01        95,762
ALCOA INC COM       COM               013817101         1         92   SH           Sole        01            92
ALCON INC COM SHS   COM               H01301102     2,922     25,167   SH           Sole        01        25,167
ALEXANDER &
  BALDWIN INC COM   COM               014482103       100      4,279   SH           Sole        01         4,279
ALLEGHENY ENERGY
  INC COM           COM               017361106     2,709    105,625   SH           Sole        01       105,625
ALLSTATE CORP COM   COM               020002101         1         29   SH           Sole        01            29
ALTERA CORP COM     COM               021441100     2,395    147,041   SH           Sole        01       147,041
ALTRIA GROUP INC
  COM               COM               02209S103         4        272   SH           Sole        01           272
AMDOCS LTD ORD      COM               G02602103         1         49   SH           Sole        01            49
AMERICA MOVIL SAB
  DE CV SPON ADR    ADR               02364W105     1,437     37,110   SH           Sole        01        37,110
AMERICAN EAGLE
  OUTFITTERS NE COM COM               02553E106         1         67   SH           Sole        01            67
AMERICAN ELEC PWR
  INC COM           COM               025537101     4,748    164,339   SH           Sole        01       164,339
AMERICAN EXPRESS
  CO COM            COM               025816109         5        230   SH           Sole        01           230
AMERICAN TOWER
  CORP CL A         CL A              029912201         1         37   SH           Sole        01            37
AMGEN INC COM       COM               031162100        18        342   SH           Sole        01           342






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
ANADARKO PETE CORP
  COM               COM               032511107     2,929     64,529   SH           Sole        01        64,529
ANSYS INC COM       COM               03662Q105     9,957    319,540   SH           Sole        01       319,540
APACHE CORP COM     COM               037411105         1         13   SH           Sole        01            13
ARKANSAS BEST CORP
  DEL COM           COM               040790107       234      8,896   SH           Sole        01         8,896
ASSURED GUARANTY
  LTD COM           COM               G0585R106       347     28,065   SH           Sole        01        28,065
AT&T INC COM        COM               00206R102         2         98   SH           Sole        01            98
AU OPTRONICS CORP
  SPONSORED ADR     ADR               002255107         5        524   SH           Sole        01           524
AUTOMATIC DATA
  PROCESSING IN COM COM               053015103     7,969    224,866   SH           Sole        01       224,866
AVNET INC COM       COM               053807103         0         16   SH           Sole        01            16
AXA SPONSORED ADR   SPONSORED ADR     054536107     6,601    348,180   SH           Sole        01       348,180
BAIDU INC SPON ADR
  REP A             ADR               056752108     2,548      8,463   SH           Sole        01         8,463
BALDOR ELEC CO COM  COM               057741100         0         20   SH           Sole        01            20
BANCO BRADESCO S A
  SP ADR PFD NEW    SPONSORED ADR     059460303     1,585    107,279   SH           Sole        01       107,279
BANK OF AMERICA
  CORPORATION COM   COM               060505104     2,233    169,137   SH           Sole        01       169,137
BANK OF NEW YORK
  MELLON CORP COM   COM               064058100     3,124    106,593   SH           Sole        01       106,593
BARD C R INC COM    COM               067383109     3,824     51,365   SH           Sole        01        51,365
BAXTER INTL INC COM COM               071813109    13,146    248,229   SH           Sole        01       248,229
BECTON DICKINSON &
  CO COM            COM               075887109     7,214    101,163   SH           Sole        01       101,163
BHP BILLITON LTD
  SPONSORED ADR     ADR               088606108     2,261     41,317   SH           Sole        01        41,317
BJS WHOLESALE CLUB
  INC COM           COM               05548J106         2         73   SH           Sole        01            73
BLACKROCK ENH
  CAP & INC FD I
  COM               COM               09256A109       519     39,885   SH           Sole        01        39,885
BLACKROCK INTL
  GRWTH & INC T COM COM               092524107     2,145    210,282   SH           Sole        01       210,282
BLACKROCK
  MUNIHOLDINGS N Y
  I COM             COM               09255C106         0         13   SH           Sole        01            13
BLACKROCK
  MUNIYIELD CALIF
  IN COM            COM               09254N103         0         27   SH           Sole        01            27
BOEING CO COM       COM               097023105     4,328    101,844   SH           Sole        01       101,844
BOWNE & CO INC COM  COM               103043105       310     47,578   SH           Sole        01        47,578
BP PLC SPONSORED
  ADR               ADR               055622104     1,888     39,603   SH           Sole        01        39,603






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
BRISTOL MYERS
  SQUIBB CO COM     COM               110122108     4,826    237,613   SH           Sole        01       237,613
BRITISH AMERN TOB
  PLC SPONSORED     SPONSORED ADR     110448107     1,735     31,101   SH           Sole        01        31,101
BURLINGTON NORTHN
  SANTA FE C COM    COM               12189T104     5,136     69,841   SH           Sole        01        69,841
CABOT
  MICROELECTRONICS
  CORP COM          COM               12709P103         1         29   SH           Sole        01            29
CADENCE DESIGN
  SYSTEM INC COM    COM               127387108         0         65   SH           Sole        01            65
CARNIVAL CORP
  PAIRED CTF        CTF               143658300         1         35   SH           Sole        01            35
CATERPILLAR INC
  DEL COM           COM               149123101         1         23   SH           Sole        01            23
CELANESE CORP DEL
  COM SER A         COM               150870103         3        147   SH           Sole        01           147
CEPHALON INC COM    COM               156708109     6,482    114,418   SH           Sole        01       114,418
CHATTEM INC COM     COM               162456107     7,452    109,429   SH           Sole        01       109,429
CHEVRON CORP NEW
  COM               COM               166764100         2         33   SH           Sole        01            33
CHINA LIFE INS CO
  LTD SPON ADR REP  SPONSORED ADR     16939P106     1,939     34,979   SH           Sole        01        34,979
CHINA MOBILE
  LIMITED
  SPONSORED ADR     ADR               16941M109     2,966     59,227   SH           Sole        01        59,227
CIMAREX ENERGY CO
  COM               COM               171798101         1         26   SH           Sole        01            26
CISCO SYS INC COM   COM               17275R102     8,804    472,068   SH           Sole        01       472,068
CLOROX CO DEL COM   COM               189054109         7        128   SH           Sole        01           128
CMS ENERGY CORP COM COM               125896100     4,090    338,552   SH           Sole        01       338,552
CNOOC LTD
  SPONSORED ADR     SPONSORED ADR     126132109     1,422     11,561   SH           Sole        01        11,561
COCA COLA CO COM    COM               191216100     8,220    171,292   SH           Sole        01       171,292
COCA COLA
  ENTERPRISES INC
  COM               COM               191219104         1         87   SH           Sole        01            87
COCA COLA FEMSA S
  A B DE C V SPON   ADR               191241108     1,745     43,500   SH           Sole        01        43,500
COGNIZANT
  TECHNOLOGY
  SOLUTIO CL A      CL A              192446102     8,564    320,737   SH           Sole        01       320,737
COLGATE PALMOLIVE
  CO COM            COM               194162103    17,150    242,440   SH           Sole        01       242,440
COMCAST CORP NEW
  CL A              CL A              20030N101     4,515    312,257   SH           Sole        01       312,257
COMERICA INC COM    COM               200340107       159      7,505   SH           Sole        01         7,505
COMPANHIA DE
  BEBIDAS DAS AME
  SPON              ADR               20441W203       131      2,015   SH           Sole        01         2,015
COMPANHIA
  SIDERURGICA
  NACION SPON       ADR               20440W105     1,346     60,238   SH           Sole        01        60,238
COMPANIA
  CERVECERIAS
  UNIDAS            SPONSORED ADR     204429104     1,468     41,933   SH           Sole        01        41,933






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
CONOCOPHILLIPS COM  COM               20825C104         2         44   SH           Sole        01            44
CONSECO INC DBCV
  3.500% 9/3 ADDED  PFD               208464BH9         1      2,000   SH           Sole        01         2,000
CORE LABORATORIES
  N V COM           COM               N22717107     6,810     78,145   SH           Sole        01        78,145
COVIDIEN PLC SHS
  ADDED             COM               G2554F105     4,554    121,634   SH           Sole        01       121,634
CREDIT SUISSE
  GROUP SPONSORED
  ADR               ADR               225401108     1,446     31,613   SH           Sole        01        31,613
CSS INDS INC COM    COM               125906107         6        314   SH           Sole        01           314
CTRIP COM INTL LTD
  ADR               SPONSORED ADR     22943F100     2,177     47,027   SH           Sole        01        47,027
DANAHER CORP DEL
  COM               COM               235851102         7        116   SH           Sole        01           116
DARDEN RESTAURANTS
  INC COM           COM               237194105         1         33   SH           Sole        01            33
DELTA AIR LINES
  INC.              COM               247361702        71     12,233   SH           Sole                  12,233
DEVON ENERGY CORP
  NEW COM           COM               25179M103     2,137     39,202   SH           Sole        01        39,202
DIAMOND OFFSHORE
  DRILLING IN COM   COM               25271C102    10,661    128,364   SH           Sole        01       128,364
DISCOVER FINL SVCS
  COM               COM               254709108         1         74   SH           Sole        01            74
DOLLAR THRIFTY
  AUTOMOTIVE GP COM COM               256743105       882     63,237   SH           Sole        01        63,237
DOW CHEM CO COM     COM               260543103         5        313   SH           Sole        01           313
DR REDDYS LABS LTD
  ADR               ADR               256135203     2,253    132,905   SH           Sole        01       132,905
DU PONT E I DE
  NEMOURS & CO COM  COM               263534109         1         25   SH           Sole        01            25
DUKE ENERGY CORP
  NEW COM           COM               26441C105       847     58,084   SH           Sole        01        58,084
DUKE REALTY CORP
  COM NEW           COM               264411505         0         33   SH           Sole        01            33
E M C CORP MASS COM COM               268648102     3,318    253,305   SH           Sole        01       253,305
EATON VANCE CORP
  COM NON VTG       COM               278265103     3,860    144,292   SH           Sole        01       144,292
EATON VANCE INS
  MUN BD FD COM     COM               27827X101         0          1   SH           Sole        01             1
EATON VANCE TAX
  MNG GBL DV E COM  COM               27829F108     6,181    572,852   SH           Sole        01       572,852
EATON VANCE TX MGD
  DIV EQ IN COM     COM               27828N102     3,550    302,157   SH           Sole        01       302,157
EATON VANCE TXMGD
  GL BUYWR O COM    COM               27829C105     2,623    219,135   SH           Sole        01       219,135
EDISON INTL COM     COM               281020107         1         25   SH           Sole        01            25
ELECTRO RENT CORP
  COM               COM               285218103         8        804   SH           Sole        01           804
EMERSON ELEC CO COM COM               291011104     8,687    268,111   SH           Sole        01       268,111






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
ENTERGY CORP NEW
  COM               COM               29364G103     3,305     42,638   SH           Sole        01        42,638
ERICSSON L M TEL
  CO ADR B SEK 10   ADR               294821608     3,056    312,519   SH           Sole        01       312,519
EVERGREEN GBL
  DIVID OPP FUND
  COM               COM               30024H101       511     56,280   SH           Sole        01        56,280
EXELON CORP COM     COM               30161N101     4,006     78,221   SH           Sole        01        78,221
EXXON MOBIL CORP
  COM               COM               30231G102    10,372    148,358   SH           Sole        01       148,358
FACTSET RESH SYS
  INC COM           COM               303075105    11,301    226,611   SH           Sole        01       226,611
FAIRPOINT
  COMMUNICATIONS    COM               305560104         0         15   SH           Sole                      15
FAMILY DLR STORES
  INC COM           COM               307000109        10        340   SH           Sole        01           340
FASTENAL CO COM     COM               311900104     7,729    233,017   SH           Sole        01       233,017
FIFTH STREET
  FINANCE CORP      COM               31678A103    14,793  1,473,379   SH           Sole               1,473,379
FIRST SOLAR INC COM COM               336433107        32        200   SH           Sole        01           200
FIRSTENERGY CORP
  COM               COM               337932107       629     16,236   SH           Sole        01        16,236
FOREST LABS INC COM COM               345838106         2         83   SH           Sole        01            83
FPL GROUP INC COM   COM               302571104       452      7,950   SH           Sole        01         7,950
FRANCE TELECOM
  SPONSORED ADR     ADR               35177Q105     1,520     66,658   SH           Sole        01        66,658
FRESENIUS KABI
  PHARMACEUTHLD
  RIGHT             RIGHT             35802M115         0          2   SH           Sole        01             2
FRESENIUS MED CARE
  AG&CO KGA         SPONSORED ADR     358029106     1,119     24,876   SH           Sole        01        24,876
GAMESTOP CORP NEW
  CL A              Cl A              36467W109     6,493    294,999   SH           Sole        01       294,999
GENERAL DYNAMICS
  CORP COM          COM               369550108    11,801    213,047   SH           Sole        01       213,047
GENERAL ELECTRIC
  CO COM            COM               369604103         2        129   SH           Sole        01           129
GILEAD SCIENCES
  INC COM           COM               375558103         5        100   SH           Sole        01           100
GROUPE CGI INC CL
  A SUB VTG         CL A SUB VTG      39945C109     2,910    328,127   SH           Sole        01       328,127
GRUPO TELEVISA SA
  DE CV SP ADR REP  SPONSORED ADR     40049J206     1,230     72,364   SH           Sole        01        72,364
HALLIBURTON CO COM  COM               406216101     5,476    264,529   SH           Sole        01       264,529
HANSEN NAT CORP COM COM               411310105     4,357    141,189   SH           Sole        01       141,189
HARSCO CORP COM     COM               415864107         1         47   SH           Sole        01            47
HARTFORD FINL SVCS
  GROUP INC COM     COM               416515104         0         33   SH           Sole        01            33
HDFC BANK LTD ADR
  REPS 3 SHS        ADR               40415F101     3,627     35,169   SH           Sole        01        35,169






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
HEWLETT PACKARD CO
  COM               COM               428236103     8,543    221,034   SH           Sole        01       221,034
HEXCEL CORP NEW COM COM               428291108     2,766    290,252   SH           Sole        01       290,252
HOLOGIC INC COM     COM               436440101         1         44   SH           Sole        01            44
HOLOGIC INC.        COM               436440101       137      9,632   SH           Sole                   9,632
HUDSON CITY
  BANCORP COM       COM               443683107     5,079    382,158   SH           Sole        01       382,158
ICT GROUP INC COM   COM               44929Y101         0         46   SH           Sole        01            46
IHS INC CL A        CL A              451734107    15,408    308,964   SH           Sole        01       308,964
ILLINOIS TOOL WKS
  INC COM           COM               452308109     6,941    185,885   SH           Sole        01       185,885
IMMUCOR INC COM     COM               452526106     2,229    162,022   SH           Sole        01       162,022
ING GLOBAL EQTY
  DIV & PREM O COM  COM               45684E107        55      4,700   SH           Sole        01         4,700
ING GROEP N V
  SPONSORED ADR     ADR               456837103        12      1,200   SH           Sole        01         1,200
INGERSOLL-RAND
  COMPANY LTD CL A  CL A              G4776G101     4,230    202,415   SH           Sole        01       202,415
INTEL CORP COM      COM               458140100         1         75   SH           Sole        01            75
INTERNATIONAL
  BUSINESS MACHS
  COM               COM               459200101    17,558    168,150   SH           Sole        01       168,150
INTUIT COM          COM               461202103     5,768    204,606   SH           Sole        01       204,606
ISHARES TR BARCLYS
  10-20YR           ETF               464288653         9         86   SH           Sole        01            86
ISHARES TR BARCLYS
  1-3 YR            ETF               464287457       417      4,978   SH           Sole        01         4,978
ISHARES TR BARCLYS
  1-3YR CR          ETF               464288646       262      2,545   SH           Sole        01         2,545
ISHARES TR BARCLYS
  3-7 YR            ETF               464288661         6         56   SH           Sole        01            56
ISHARES TR BARCLYS
  7-10 YR           ETF               464287440     4,524     49,893   SH           Sole        01        49,893
ISHARES TR BARCLYS
  MBS BD            ETF               464288588     7,488     71,122   SH           Sole        01        71,122
ISHARES TR BARCLYS
  SH TREA           ETF               464288679   294,196  2,668,933   SH           Sole        01     2,668,933
ISHARES TR BARCLYS
  TIPS BD           ETF               464287176     5,526     54,373   SH           Sole        01        54,373
ISHARES TR DJ US
  INDEX FD          ETF               464287846        28        625   SH           Sole        01           625
ISHARES TR IBOXX
  INV CPBD          ETF               464287242   175,542  1,750,518   SH           Sole        01     1,750,518
ISHARES TR MSCI
  EAFE IDX          ETF               464287465    17,768    387,872   SH           Sole        01       387,872
ISHARES TR MSCI
  EMERG MKT         ETF               464287234    31,777    985,936   SH           Sole        01       985,936
ISHARES TR MSCI
  GRW IDX           ETF               464288885       590     12,764   SH           Sole        01        12,764






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
ISHARES TR MSCI
  VAL IDX           ETF               464288877       635     15,052   SH           Sole        01        15,052
ISHARES TR RUSL
  2000 VALU         ETF               464287630         7        155   SH           Sole        01           155
ISHARES TR RUSSELL
  1000              ETF               464287622     7,172    141,577   SH           Sole        01       141,577
ISHARES TR RUSSELL
  MCP GR            ETF               464287481    18,426    505,508   SH           Sole        01       505,508
ISHARES TR RUSSELL
  MCP VL            ETF               464287473         4        131   SH           Sole        01           131
ISHARES TR
  RUSSELL1000GRW    ETF               464287614         2         58   SH           Sole        01            58
ISHARES TR
  RUSSELL1000VAL    ETF               464287598       389      8,181   SH           Sole        01         8,181
ISHARES TR S&P 500
  INDEX             ETF               464287200    84,533    915,352   SH           Sole        01       915,352
ISHARES TR S&P GBL
  ENER              ETF               464287341    15,527    505,780   SH           Sole        01       505,780
ISHARES TR S&P GL
  UTILITI           ETF               464288711    18,248    430,881   SH           Sole        01       430,881
ISHARES TR S&P
  MIDCP VALU        ETF               464287705        11        210   SH           Sole        01           210
ISHARES TR S&P500
  GRW               ETF               464287309    92,127  1,928,556   SH           Sole        01     1,928,556
ISHARES TR US PFD
  STK IDX           ETF               464288687     1,155     35,943   SH           Sole        01        35,943
JACK IN THE BOX
  INC COM           COM               466367109        50      2,248   SH           Sole        01         2,248
JAKKS PAC INC COM   COM               47012E106       173     13,456   SH           Sole        01        13,456
JARDEN CORP COM     COM               471109108       311     16,593   SH           Sole        01        16,593
JOHNSON & JOHNSON
  COM               COM               478160104    12,362    217,633   SH           Sole        01       217,633
JOY GLOBAL INC COM  COM               481165108         1         22   SH           Sole        01            22
JPMORGAN CHASE &
  CO COM            COM               46625H100     7,176    210,381   SH           Sole        01       210,381
KANSAS CITY
  SOUTHERN COM NEW  COM               485170302         1         51   SH           Sole        01            51
KEYCORP NEW COM     COM               493267108       115     21,889   SH           Sole        01        21,889
KRAFT FOODS INC CL
  A                 CL A              50075N104     4,700    185,483   SH           Sole        01       185,483
K-SWISS INC CL A    CL A              482686102       101     11,866   SH           Sole        01        11,866
LANDAUER INC COM    COM               51476K103         9        148   SH           Sole        01           148
LAZARD LTD SHS A    COM               G54050102         0         16   SH           Sole        01            16
LEGG MASON INC COM  COM               524901105         1         40   SH           Sole        01            40
LIFE TECHNOLOGIES
  CORP COM          COM               53217V109         3         74   SH           Sole        01            74
LIMITED BRANDS INC
  COM               COM               532716107         6        466   SH           Sole        01           466






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
LKQ CORP COM        COM               501889208     8,486    515,844   SH           Sole        01       515,844
LOCKHEED MARTIN
  CORP COM          COM               539830109         6         72   SH           Sole        01            72
LORILLARD INC COM   COM               544147101         3         45   SH           Sole        01            45
LOWES COS INC COM   COM               548661107    13,157    677,857   SH           Sole        01       677,857
LUBRIZOL CORP COM   COM               549271104         1         26   SH           Sole        01            26
MANPOWER INC COM    COM               56418H100         1         13   SH           Sole        01            13
MARINEMAX INC COM   COM               567908108       253     73,589   SH           Sole        01        73,589
MARSH & MCLENNAN
  COS INC COM       COM               571748102         7        340   SH           Sole        01           340
MARSHALL & ILSLEY
  CORP NEW COM      COM               571837103        58     12,039   SH           Sole        01        12,039
MASTERCARD INC CL A CL A              57636Q104     8,962     53,567   SH           Sole        01        53,567
MATTEL INC COM      COM               577081102         1         36   SH           Sole        01            36
MBIA INC COM        COM               55262C100       117     27,004   SH           Sole        01        27,004
MCDONALDS CORP COM  COM               580135101    12,228    212,699   SH           Sole        01       212,699
METLIFE INC COM     COM               59156R108         1         27   SH           Sole        01            27
MICROSOFT CORP COM  COM               594918104     5,892    247,876   SH           Sole        01       247,876
MIDCAP SPDR TR
  UNIT SER 1        UIT               595635103         0          1   SH           Sole        01             1
MITSUBISHI UFJ
  FINL GROUP IN     SPONSORED ADR     606822104     6,424  1,046,181   SH           Sole        01     1,046,181
NABORS INDUSTRIES
  LTD SHS           COM               G6359F103         2        109   SH           Sole        01           109
NATIONAL GRID PLC
  SPON ADR NEW      SPONSORED ADR     636274300     5,249    116,048   SH           Sole        01       116,048
NET SERVICOS DE
  COMUNICACAO SPONS ADR               64109T201     1,763    180,046   SH           Sole        01       180,046
NEW YORK CMNTY
  BANCORP INC COM   COM               649445103         3        258   SH           Sole        01           258
NEWTEK BUSINESS
  SERVICES INC.     COM               652526104        70    146,141   SH           Sole                 146,141
NIKE INC CL B       CL B              654106103     9,423    181,982   SH           Sole        01       181,982
NORTHEAST UTILS COM COM               664397106         3        138   SH           Sole        01           138
NORTHERN TR CORP
  COM               COM               665859104     4,224     78,692   SH           Sole        01        78,692
NOVARTIS A G
  SPONSORED ADR     SPONSORED ADR     66987V109     2,925     71,716   SH           Sole        01        71,716
NOVO-NORDISK A S
  ADR               ADR               670100205     1,701     31,228   SH           Sole        01        31,228
NRG ENERGY INC COM
  NEW               COM               629377508     1,492     57,491   SH           Sole        01        57,491






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
NSTAR COM           COM               67019E107         2         69   SH           Sole        01            69
NTELOS HLDGS CORP
  COM               COM               67020Q107         3        189   SH           Sole        01           189
NTT DOCOMO INC
  SPONS ADR         ADR               62942M201     1,438     98,800   SH           Sole        01        98,800
NUVEEN EQTY PRM
  OPPORTUNITYF COM  COM               6706EM102     2,082    188,938   SH           Sole        01       188,938
NUVEEN INSD DIVID
  ADVANTAGE COM     COM               67071L106         1         82   SH           Sole        01            82
NV ENERGY INC COM   COM               67073Y106       168     15,608   SH           Sole        01        15,608
NYSE EURONEXT COM   COM               629491101         0         16   SH           Sole        01            16
O REILLY
  AUTOMOTIVE INC
  COM               COM               686091109    11,675    306,589   SH           Sole        01       306,589
OCEANEERING INTL
  INC COM           COM               675232102     6,113    135,239   SH           Sole        01       135,239
OLD NATL BANCORP
  IND COM           COM               680033107         0         33   SH           Sole        01            33
OLD REP INTL CORP
  COM               COM               680223104       167     16,919   SH           Sole        01        16,919
OMNICARE INC COM    COM               681904108         0         12   SH           Sole        01            12
ORACLE CORP COM     COM               68389X105    11,348    529,770   SH           Sole        01       529,770
PT TELEKOMUNIKASI
  INDONESIA SPONSO  ADR               715684106     1,560     52,032   SH           Sole        01        52,032
PACCAR INC COM      COM               693718108     7,179    221,369   SH           Sole        01       221,369
PALL CORP COM       COM               696429307     5,106    192,229   SH           Sole        01       192,229
PEPCO HOLDINGS INC
  COM               COM               713291102         1         46   SH           Sole        01            46
PEPSICO INC COM     COM               713448108    12,954    235,698   SH           Sole        01       235,698
PETROLEO
  BRASILEIRO SA
  PETRO             SPONSORED ADR     71654V408       230      5,606   SH           Sole        01         5,606
PFIZER INC COM      COM               717081103        10        649   SH           Sole        01           649
PG&E CORP COM       COM               69331C108     4,034    104,944   SH           Sole        01       104,944
PHILIP MORRIS INTL
  INC COM           COM               718172109    10,073    230,922   SH           Sole        01       230,922
PHILIPPINE LONG
  DISTANCE TEL
  SPONSO            ADR               718252604     1,203     24,202   SH           Sole        01        24,202
PHILLIPS VAN
  HEUSEN CORP COM   COM               718592108         1         42   SH           Sole        01            42
PITNEY BOWES INC
  COM               COM               724479100         1         39   SH           Sole        01            39
PNC FINL SVCS
  GROUP INC COM     COM               693475105        86      2,224   SH           Sole        01         2,224
POSCO SPONSORED ADR ADR               693483109       245      2,962   SH           Sole        01         2,962
POTASH CORP SASK
  INC COM           COM               73755L107        28        300   SH           Sole        01           300






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
POWERSHS DB MULTI
  SECT COMM         ETF               73936B408        14        545   SH           Sole        01           545
PPL CORP COM        COM               69351T106     3,460    104,970   SH           Sole        01       104,970
PRAXAIR INC COM     COM               74005P104     8,678    122,098   SH           Sole        01       122,098
PROCTER & GAMBLE
  CO COM            COM               742718109    23,426    458,441   SH           Sole        01       458,441
PRUDENTIAL FINL
  INC COM           COM               744320102         1         27   SH           Sole        01            27
PUBLIC SVC
  ENTERPRISE GROUP
  COM               COM               744573106       870     26,675   SH           Sole        01        26,675
QUEST DIAGNOSTICS
  INC COM           COM               74834L100     3,721     65,946   SH           Sole        01        65,946
QWEST
  COMMUNICATIONS
  INTL IN COM       COM               749121109         3        717   SH           Sole        01           717
REINSURANCE GROUP
  AMER INC COM      COM               759351604         0          8   SH           Sole        01             8
RESEARCH IN MOTION
  LTD COM           COM               760975102     2,147     30,195   SH           Sole        01        30,195
RESMED INC COM      COM               761152107     4,186    102,782   SH           Sole        01       102,782
RITE AID CORP COM   COM               767754104         6      4,300   SH           Sole        01         4,300
ROCKWELL
  AUTOMATION INC
  COM               COM               773903109         7        216   SH           Sole        01           216
ROPER INDS INC NEW
  COM               COM               776696106     6,992    154,317   SH           Sole        01       154,317
ROYAL CARIBBEAN
  CRUISES LTD COM   COM               V7780T103       133      9,800   SH           Sole        01         9,800
SAFEWAY INC COM NEW COM               786514208         1         57   SH           Sole        01            57
SARA LEE CORP COM   COM               803111103     2,848    291,806   SH           Sole        01       291,806
SCHERING PLOUGH
  CORP COM          COM               806605101         3        120   SH           Sole        01           120
SCHLUMBERGER LTD
  COM               COM               806857108         5        100   SH           Sole        01           100
SCHNITZER STL INDS
  CL A              CL A              806882106         1         16   SH           Sole        01            16
SEI INVESTMENTS CO
  COM               COM               784117103        29      1,600   SH           Sole        01         1,600
SELECT SECTOR SPDR
  TR SBI INT-ENER   ETF               81369Y506    15,440    321,322   SH           Sole        01       321,322
SEMPRA ENERGY COM   COM               816851109         5        106   SH           Sole        01           106
SINGAPORE FD INC
  COM               COM               82929L109         0         25   SH           Sole        01            25
SKECHERS U S A INC
  CL A              CL A              830566105         0         25   SH           Sole        01            25
SMITHFIELD FOODS
  INC COM           COM               832248108       348     24,927   SH           Sole        01        24,927
SNAP ON INC COM     COM               833034101         2         55   SH           Sole        01            55
SOUTHERN CO COM     COM               842587107       885     28,399   SH           Sole        01        28,399






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
SPDR GOLD TRUST
  GOLD SHS          ETF               78463V107        24        259   SH           Sole        01           259
ST MARY LD & EXPL
  CO COM            COM               792228108         1         31   SH           Sole        01            31
STANLEY WKS COM     COM               854616109         1         25   SH           Sole        01            25
STATE STR CORP COM  COM               857477103         9        188   SH           Sole        01           188
STERICYCLE INC COM  COM               858912108     5,591    108,503   SH           Sole        01       108,503
STEWART
  INFORMATION SVCS
  COR COM           COM               860372101       184     12,916   SH           Sole        01        12,916
STRYKER CORP COM    COM               863667101    11,283    283,925   SH           Sole        01       283,925
SUNCOR ENERGY INC
  COM               COM               867229106         6        200   SH           Sole        01           200
SUPERVALU INC COM   COM               868536103         1         49   SH           Sole        01            49
SYBASE INC COM      COM               871130100     8,804    280,924   SH           Sole        01       280,924
SYMANTEC CORP COM   COM               871503108     4,225    271,158   SH           Sole        01       271,158
SYMMETRICOM INC COM COM               871543104         1        131   SH           Sole        01           131
SYNGENTA AG
  SPONSORED ADR     ADR               87160A100     1,873     40,256   SH           Sole        01        40,256
SYSCO CORP COM      COM               871829107         8        350   SH           Sole        01           350
TAIWAN
  SEMICONDUCTOR
  MFG LTD           SPONSORED ADR     874039100     1,872    198,970   SH           Sole        01       198,970
TARGET CORP COM     COM               87612E106    13,301    337,000   SH           Sole        01       337,000
TENARIS S A
  SPONSORED ADR     ADR               88031M109        57      2,091   SH           Sole        01         2,091
TERADYNE INC COM    COM               880770102         0         66   SH           Sole        01            66
TERRA INDS INC COM  COM               880915103         1         26   SH           Sole        01            26
TEVA
  PHARMACEUTICAL
  INDS LTD ADR      ADR               881624209       213      4,326   SH           Sole        01         4,326
THQ INC COM NEW     COM               872443403         0         65   SH           Sole        01            65
TIDEWATER INC COM   COM               886423102         1         29   SH           Sole        01            29
TIME WARNER CABLE
  INC COM           COM               88732J207         0          6   SH           Sole        01             6
TIME WARNER INC
  COM NEW ADDED     COM               887317303         1         24   SH           Sole        01            24
TOTAL S A
  SPONSORED ADR     SPONSORED ADR     89151E109     4,571     84,292   SH           Sole        01        84,292
TOYOTA MOTOR CORP
  SP ADR REP2COM    SPONSORED ADR     892331307     2,924     38,710   SH           Sole        01        38,710
TRACTOR SUPPLY CO
  COM               COM               892356106     2,044     49,457   SH           Sole        01        49,457
TRANSOCEAN LTD REG
  SHS               COM               H8817H100     3,388     45,600   SH           Sole        01        45,600






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
TRAVELERS
  COMPANIES INC COM COM               89417E109         1         23   SH           Sole        01            23
TUPPERWARE BRANDS
  CORP COM          COM               899896104         1         43   SH           Sole        01            43
TYSON FOODS INC CL
  A                 CL A              902494103         1         98   SH           Sole        01            98
UAL CORP.           COM               902549807         8      2,409   SH           Sole                   2,409
UNISOURCE ENERGY
  CORP COM          COM               909205106       619     23,323   SH           Sole        01        23,323
UNITED BANKSHARES
  INC WEST V COM    COM               909907107         0         24   SH           Sole        01            24
UNITED
  TECHNOLOGIES
  CORP COM          COM               913017109     9,617    185,092   SH           Sole        01       185,092
UNITEDHEALTH GROUP
  INC COM           COM               91324P102         3        104   SH           Sole        01           104
UNIVERSAL CORP VA
  COM               COM               913456109       243      7,330   SH           Sole        01         7,330
UNUM GROUP COM      COM               91529Y106         3        213   SH           Sole        01           213
US BANCORP DEL COM
  NEW               COM               902973304         1         33   SH           Sole        01            33
V F CORP COM        COM               918204108         1         16   SH           Sole        01            16
VALE S A ADR ADDED  ADR               91912E105     1,741     98,746   SH           Sole        01        98,746
VANGUARD INDEX FDS
  LARGE CAP ETF     ETF               922908637         0          9   SH           Sole        01             9
VANGUARD INDEX FDS
  VALUE ETF         ETF               922908744         0          6   SH           Sole        01             6
VANGUARD WORLD FDS
  ENERGY ETF        ETF               92204A306    15,531    221,971   SH           Sole        01       221,971
VANGUARD WORLD FDS
  HEALTH CAR ETF    ETF               92204A504        10        210   SH           Sole        01           210
VANGUARD WORLD FDS
  INDUSTRIAL ETF    ETF               92204A603         8        190   SH           Sole        01           190
VERIZON
  COMMUNICATIONS
  INC.              COM               92343V104        26        832   SH           Sole                     832
VIACOM INC NEW CL B CL B              92553P201         1         45   SH           Sole        01            45
VISHAY
  INTERTECHNOLOGY
  INC COM           COM               928298108         0         49   SH           Sole        01            49
VODAFONE GROUP PLC
  NEW SPONS ADR     ADR               92857W209     5,451    279,661   SH           Sole        01       279,661
VULCAN MATLS CO COM COM               929160109     4,546    105,476   SH           Sole        01       105,476
WAL MART STORES
  INC COM           COM               931142103     7,692    158,804   SH           Sole        01       158,804
WALGREEN CO COM     COM               931422109    15,858    539,398   SH           Sole        01       539,398
WALTER ENERGY INC
  COM               COM               93317Q105         1         35   SH           Sole        01            35
WALTER INVT MGMT
  CORP COM ADDED    COM               93317W102         0         13   SH           Sole        01            13






        COLUMN 1        COLUMN 2       COLUMN 3  COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7          COLUMN 8
                                                                                                           VOTING AUTHORITY
                                                                                                           ----------------
                         TITLE                    VALUE     SHRS OR   SH/  PUT/  INVESTMENT    OTHER
NAME OF ISSUER          OF CLASS        CUSIP    (x$1000)   PRN AMT   PRN  CALL  DISCRETION  MANAGERS     SOLE    SHARED  NONE
--------------      ----------------  ---------  --------  ---------  ---  ----  ----------  --------  ---------  ------  ----
                                                                                         
WASHINGTON FED INC
  COM               COM               938824109         2        132   SH           Sole        01           132
WATERS CORP COM     COM               941848103    10,950    212,737   SH           Sole        01       212,737
WELLS FARGO & CO
  NEW COM           COM               949746101         2         94   SH           Sole        01            94
WESTERN UN CO COM   COM               959802109     2,953    180,089   SH           Sole        01       180,089
WILLIAMS COS INC
  DEL COM           COM               969457100     2,205    141,241   SH           Sole        01       141,241
WINDSTREAM CORP COM COM               97381W104         1        100   SH           Sole        01           100
WISDOMTREE TRUST
  SMALLCAP DIVID    COM               97717W604         7        220   SH           Sole        01           220
WYETH COM           COM               983024100     2,276     50,148   SH           Sole        01        50,148
WYNDHAM WORLDWIDE
  CORP COM          COM               98310W108         1         90   SH           Sole        01            90
XL CAP LTD CL A     CL A              G98255105       398     34,706   SH           Sole        01        34,706
XTO ENERGY INC COM  COM               98385X106         1         33   SH           Sole        01            33
YAHOO INC COM       COM               984332106     5,754    367,408   SH           Sole        01       367,408
YUM BRANDS INC COM  COM               988498101     5,199    155,951   SH           Sole        01       155,951