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

                                             FORM 13F

                                             FORM 13F COVER PAGE

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

If amended report check here:

Institutional Investment Manager Filing This Report:
Name:                                        The St. Paul Companies, Inc.
Address:                                     385 Washington Street
                                             St. Paul, MN  55102-1396

13F File Number:                             28-62

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:                                        Bruce Backberg
Title:                                       Corporate Secretary
Phone:                                       (651) 310-7916

Signature, Place and Date of signing:

/s/ Bruce Backberg, St. Paul, Minnesota, August 14, 2003

Report Type (Check only one.):

[ X ]  13F HOLDINGS REPORT
[   ]  13F NOTICE
[   ]  13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES
EXCHANGE ACT OF 1934.



                                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                                    1
Form 13F Information Table Entry Total:                             299
Form 13F Information Table Value Total:                        $871,227

List of Other Included Managers:

No.           13F Filing Number  Name
01            28-29              ST. PAUL FIRE AND MARINE INSURANCE COMPANY





                                                             FORM 13F INFORMATION TABLE
                                         TITLE
                                         OF
NAME OF ISSUER                           CLASS  CUSIP     VALUE    SHARES     SH/ PUT/  INVESTMT  OTHER    VOTING AUTHORITY
                                                          (X$1000) PRN/AMT    PRN CALL  DSCRETN   MANAGERS SOLE        SHARED  NONE
                                                                                              
AGCO CORP                                COMM   001084102    2,731   159,900   SH       SHARED                         159,900
AGCO CORP                                COMM   001084102    3,855   225,700   SH       SOLE               225,700
AOL TIME WARNER INC                      COMM   00184A105      289    17,960   SH       SOLE                17,960
AMERICAN TELEPHONE & TELEGRAPH CO.       COMM   001957505    3,022   157,000   SH       SHARED                         157,000
AMERICAN TELEPHONE & TELEGRAPH CO.       COMM   001957505    4,778   248,200   SH       SOLE               248,200
AT&T WIRELESS                            COMM   00209A106    3,029   369,000   SH       SHARED                         369,000
AT&T WIRELESS                            COMM   00209A106    4,565   556,000   SH       SOLE               556,000
ABBOTT LABORATORIES                      COMM   002824100    1,457    33,300   SH       SHARED                          33,300
ABBOTT LABORATORIES                      COMM   002824100    2,936    67,100   SH       SOLE                67,100
ABERCROMBIE AND FITCH CO - CL            COMM   002896207       74     2,620   SH       SOLE                 2,620
ADOBE SYSTEMS INC.                       COMM   00724F101      437    13,630   SH       SOLE                13,630
AETNA LIFE & CASUALTY                    COMM   00817Y108    2,378    39,500   SH       SHARED                          39,500
AETNA LIFE & CASUALTY                    COMM   00817Y108    5,550    92,200   SH       SOLE                92,200
AFFILIATED COMPUTER SERVICES, INC.       COMM   008190100      105     2,300   SH       SOLE                 2,300
ALBEMARLE CORP                           COMM   012653101       70     2,500   SH       SOLE                 2,500
ALBERTO-CULVER CO.                       COMM   013068101    2,555    50,000   SH       SOLE                50,000
ALLIED WASTE                             COMM   019589308      437    43,480   SH       SOLE                43,480
ALLSTATE CORP                            COMM   020002101       50     1,410   SH       SOLE                 1,410
ALTERA CORP.                             COMM   021441100      143     8,720   SH       SOLE                 8,720
ALTRIA GROUP                             COMM   02209S103    2,726    60,000   SH       SHARED                          60,000
ALTRIA GROUP                             COMM   02209S103    5,599   123,210   SH       SOLE               123,210
AMBAC FINL INC                           COMM   023139108    2,935    44,300   SH       SHARED                          44,300
AMBAC FINL INC                           COMM   023139108    2,478    37,400   SH       SOLE                37,400
AMERICAN EXPRESS COMPANY                 COMM   025816109    2,931    70,100   SH       SHARED                          70,100
AMERICAN EXPRESS COMPANY                 COMM   025816109    6,374   152,440   SH       SOLE               152,440
AMERICAN INTERNATIONAL GROUP INC         COMM   026874107    1,925    34,890   SH       SHARED                          34,890
AMERICAN INTERNATIONAL GROUP INC         COMM   026874107    7,164   129,837   SH       SOLE               129,837
AMERICAN POWER CONVERSION                COMM   029066107       62     3,950   SH       SOLE                 3,950
AMGEN INC                                COMM   031162100    3,178    48,200   SH       SHARED                          48,200
AMGEN INC                                COMM   031162100    8,067   122,340   SH       SOLE               122,340
ANADARKO PETROLEUM CO                    COMM   032511107      439     9,880   SH       SOLE                 9,880
ANALOG DEVICES, INC.                     COMM   032654105    2,692    77,300   SH       SHARED                          77,300
ANALOG DEVICES, INC.                     COMM   032654105    3,716   106,710   SH       SOLE               106,710
ANHEUSER BUSCH COS. INC.                 COMM   035229103      204     4,000   SH       SOLE                 4,000
ANNALY MORTGAGE MANAGEMENT               COMM   035710409      266    13,340   SH       SOLE                13,340
ANTHEM, INC.                             COMM   03674B104    2,631    34,100   SH       SHARED                          34,100
ANTHEM, INC.                             COMM   03674B104    4,421    57,300   SH       SOLE                57,300
APACHE CORP                              COMM   037411105    2,973    45,700   SH       SHARED                          45,700
APACHE CORP                              COMM   037411105    5,568    85,589   SH       SOLE                85,589
APPLERA CORP COM AP BIO GRP              COMM   038020103      163     8,540   SH       SOLE                 8,540
APPLIED MATERIALS, INC.                  COMM   038222105      163    10,280   SH       SOLE                10,280
AUTODESK INC                             COMM   052769106      144     8,920   SH       SOLE                 8,920
AUTOLIV INC                              COMM   052800109       54     2,010   SH       SOLE                 2,010
AUTOMATIC DATA PROCESSING                COMM   053015103      122     3,600   SH       SOLE                 3,600
AUTOZONE, INC.                           COMM   053332102      148     1,950   SH       SOLE                 1,950
AVERY DENNISON CORP.                     COMM   053611109       60     1,200   SH       SOLE                 1,200
AVON PRODUCTS                            COMM   054303102    3,104    49,900   SH       SHARED                          49,900
AVON PRODUCTS                            COMM   054303102    3,427    55,100   SH       SOLE                55,100
BP AMOCO PLC (ADR)                       COMM   055622104    1,175    27,952   SH       SOLE                27,952
BALL CORP                                COMM   058498106    1,010    22,200   SH       SHARED                          22,200
BALL CORP                                COMM   058498106    1,315    28,900   SH       SOLE                28,900
BANK OF AMERICA CORP                     COMM   060505104    3,130    39,600   SH       SHARED                          39,600
BANK OF AMERICA CORP                     COMM   060505104   10,012   126,690   SH       SOLE               126,690
BANK ONE CORP                            COMM   06423A103      264     7,110   SH       SOLE                 7,110
BAXTER INTERNATIONAL INC.                COMM   071813109      164     6,300   SH       SOLE                 6,300
BEAR STEARNS COMPANIES INC               COMM   073902108      458     6,320   SH       SOLE                 6,320
BECKMAN COULTER INC                      COMM   075811109       98     2,420   SH       SOLE                 2,420
BED BATH & BEYOND                        COMM   075896100       49     1,270   SH       SOLE                 1,270
BELL SOUTH CORP.                         COMM   079860102      298    11,190   SH       SOLE                11,190
BOEING COMPANY                           COMM   097023105      179     5,220   SH       SOLE                 5,220
BOSTON SCIENTIFIC CORP.                  COMM   101137107    2,603    42,600   SH       SHARED                          42,600
BOSTON SCIENTIFIC CORP.                  COMM   101137107    4,216    69,000   SH       SOLE                69,000
BRISTOL-MYERS SQUIBB CO                  COMM   110122108      315    11,620   SH       SOLE                11,620
BROADCOM CORP                            COMM   111320107    3,109   124,800   SH       SHARED                         124,800
BROADCOM CORP                            COMM   111320107    4,272   171,500   SH       SOLE               171,500
BURLINGTON RESOURCES INC.                COMM   122014103      115     2,130   SH       SOLE                 2,130
CABLEVISION SYSTEMS                      COMM   12686C109       48     2,320   SH       SOLE                 2,320
CARNIVAL CRUISE LINES INC                COMM   143658300      428    13,170   SH       SOLE                13,170
CENTERPOINT ENERGY INC                   COMM   15189T107      117    14,350   SH       SOLE                14,350
CEPHALON INC                             COMM   156708109      199     4,850   SH       SOLE                 4,850
CHEVRONTEXACO CORP                       COMM   166764100    4,110    56,920   SH       SOLE                56,920
CISCO SYSTEMS INC.                       COMM   17275R102    3,350   199,500   SH       SHARED                         199,500
CISCO SYSTEMS INC.                       COMM   17275R102    5,699   339,400   SH       SOLE               339,400
CITIGROUP INC                            COMM   172967101    3,184    74,400   SH       SHARED                          74,400
CITIGROUP INC                            COMM   172967101   15,751   368,015   SH       SOLE               368,015
CITRIX SYS INC                           COMM   177376100      102     5,000   SH       SOLE                 5,000
CLEAR CHANNEL                            COMM   184502102    1,819    42,900   SH       SHARED                          42,900
CLEAR CHANNEL                            COMM   184502102    5,358   126,390   SH       SOLE               126,390
CLOROX CO                                COMM   189054109       55     1,290   SH       SOLE                 1,290
COCA COLA CO                             COMM   191216100    1,949    42,000   SH       SHARED                          42,000
COCA COLA CO                             COMM   191216100    8,147   175,545   SH       SOLE               175,545
COLGATE POLMOLIVE CO                     COMM   194162103      100     1,720   SH       SOLE                 1,720
COMCAST CORPORATION (A)                  COMM   20030N101    2,963    98,180   SH       SHARED                          98,180
COMCAST CORPORATION (A)                  COMM   20030N101    6,625   219,518   SH       SOLE               219,518
COMPUTER ASSOCIATES INTL, INC.           COMM   204912109      122     5,470   SH       SOLE                 5,470
COMPUTER SCIENCES CORP                   COMM   205363104       52     1,360   SH       SOLE                 1,360
CONCORD EFS INC                          COMM   206197105      107     7,300   SH       SOLE                 7,300
CONOCOPHILLIPS                           COMM   20825C104      336     6,140   SH       SOLE                 6,140
COORS, ADOLPH CO. CLASS B                COMM   217016104       54     1,100   SH       SOLE                 1,100
COUNTRYWIDE FINANCIAL                    COMM   222372104       56       800   SH       SOLE                   800
COVANCE INC                              COMM   222816100      125     6,920   SH       SOLE                 6,920
DTE ENERGY CO.                           COMM   233331107      224     5,810   SH       SOLE                 5,810
DANAHER CORP                             COMM   235851102    3,457    50,800   SH       SOLE                50,800
DELL COMPUTER CORP                       COMM   24702R101    3,404   106,900   SH       SHARED                         106,900
DELL COMPUTER CORP                       COMM   24702R101    9,250   290,530   SH       SOLE               290,530
DISNEY, WALT CO.                         COMM   254687106      239    12,120   SH       SOLE                12,120
DOMINION RESOURCES INC.                  COMM   25746U109      118     1,840   SH       SOLE                 1,840
DU PONT E I DE NEMOURS AND CO.           COMM   263534109      249     5,980   SH       SOLE                 5,980
EOG RESOURCES INC                        COMM   26875P101      164     3,930   SH       SOLE                 3,930
EASTMAN KODAK CO.                        COMM   277461109      144     5,250   SH       SOLE                 5,250
EBAY                                     COMM   278642103      230     2,210   SH       SOLE                 2,210
EBIX.COM INC                             COMM   278715107       11     1,598   SH       SHARED                           1,598
ECHOSTAR COMMUNICATIONS CORP             COMM   278762109    2,912    84,100   SH       SHARED                          84,100
ECHOSTAR COMMUNICATIONS CORP             COMM   278762109    4,701   135,800   SH       SOLE               135,800
EXELON CORPORATION                       COMM   30161N101      120     2,000   SH       SOLE                 2,000
EXXON MOBIL CORP                         COMM   30231G102    3,542    98,636   SH       SHARED                          98,636
EXXON MOBIL CORP                         COMM   30231G102   12,858   358,070   SH       SOLE               358,070
FPL GROUP                                COMM   302571104       74     1,100   SH       SOLE                 1,100
FAIR ISAAC CORP                          COMM   303250104       52     1,010   SH       SOLE                 1,010
FREDDIE MAC                              COMM   313400301    1,396    27,500   SH       SHARED                          27,500
FREDDIE MAC                              COMM   313400301    2,372    46,730   SH       SOLE                46,730
(R) FEDERAL NATIONAL MORTGAGE            COMM   313586109    2,927    43,400   SH       SHARED                          43,400
(R) FEDERAL NATIONAL MORTGAGE            COMM   313586109        7       101   SH       SHARED                             101
(R) FEDERAL NATIONAL MORTGAGE            COMM   313586109    6,323    93,760   SH       SOLE                93,760
FIFTH THIRD BANCORP                      COMM   316773100      204     3,560   SH       SOLE                 3,560
FIRST DATA CORPORATION                   COMM   319963104      293     7,080   SH       SOLE                 7,080
FISERV, INC.                             COMM   337738108      226     6,350   SH       SOLE                 6,350
FLEETBOSTON FINANCIAL                    COMM   339030108      189     6,350   SH       SOLE                 6,350
FOREST LABS, INC.                        COMM   345838106      117     2,140   SH       SOLE                 2,140
GENENTECH                                COMM   368710406    2,971    41,200   SH       SHARED                          41,200
GENENTECH                                COMM   368710406    6,165    85,480   SH       SOLE                85,480
GENERAL ELECTRIC CO.                     COMM   369604103    4,425   154,300   SH       SHARED                         154,300
GENERAL ELECTRIC CO.                     COMM   369604103   15,814   551,394   SH       SOLE               551,394
GILLETTE CO.                             COMM   375766102      146     4,590   SH       SOLE                 4,590
GOLDMAN SACHS GROUP                      COMM   38141G104    2,630    31,400   SH       SHARED                          31,400
GOLDMAN SACHS GROUP                      COMM   38141G104    5,028    60,030   SH       SOLE                60,030
GTECH HOLDINGS CORP                      COMM   400518106       54     1,440   SH       SOLE                 1,440
GUIDANT CORP.                            COMM   401698105    3,369    75,900   SH       SHARED                          75,900
GUIDANT CORP.                            COMM   401698105    4,261    96,000   SH       SOLE                96,000
HCA INC COM                              COMM   404119109      103     3,210   SH       SOLE                 3,210
HARLEY-DAVIDSON                          COMM   412822108       88     2,200   SH       SOLE                 2,200
HARTFORD FINANCIAL SERVICES GROUP        COMM   416515104      236     4,690   SH       SOLE                 4,690
HASBRO                                   COMM   418056107    2,970   169,800   SH       SHARED                         169,800
HASBRO                                   COMM   418056107    2,741   156,700   SH       SOLE               156,700
HEWLETT-PACKARD                          COMM   428236103    3,427   160,900   SH       SHARED                         160,900
HEWLETT-PACKARD                          COMM   428236103    4,759   223,450   SH       SOLE               223,450
HOME DEPOT, INC.                         COMM   437076102    3,762   113,600   SH       SHARED                         113,600
HOME DEPOT, INC.                         COMM   437076102    7,962   240,384   SH       SOLE               240,384
INDEPENDENCE COMNTY BANK CORP            COMM   453414104      101     3,580   SH       SOLE                 3,580
INTEL CORP                               COMM   458140100    3,031   145,660   SH       SHARED                         145,660
INTEL CORP                               COMM   458140100    7,744   372,140   SH       SOLE               372,140
INTERACTIVE CORP                         COMM   45840Q101    2,478    63,000   SH       SHARED                          63,000
INTERACTIVE CORP                         COMM   45840Q101    3,449    87,700   SH       SOLE                87,700
INTERNATIONAL BUSINESS MACHINES CORP CAP COMM   459200101    4,947    59,960   SH       SOLE                59,960
INTERNATIONAL FLAVORS & FRAGRANCES       COMM   459506101      169     5,300   SH       SOLE                 5,300
JP MORGAN CHASE & CO                     COMM   46625H100    2,957    86,500   SH       SHARED                          86,500
JP MORGAN CHASE & CO                     COMM   46625H100    4,889   143,040   SH       SOLE               143,040
JOHNSON & JOHNSON                        COMM   478160104    2,564    49,600   SH       SHARED                          49,600
JOHNSON & JOHNSON                        COMM   478160104   11,736   227,002   SH       SOLE               227,002
KLA-TENCOR CORP                          COMM   482480100      116     2,490   SH       SOLE                 2,490
KT CORP - ADR                            COMM   48268K101    2,070   105,000   SH       SHARED                         105,000
KT CORP - ADR                            COMM   48268K101      473    24,000   SH       SOLE                24,000
KAUFMAN & BROAD HOME CORP.               COMM   48666K109      229     3,690   SH       SOLE                 3,690
KINDER MORGAN INC                        COMM   49455P101    4,132    75,600   SH       SHARED                          75,600
KINDER MORGAN INC                        COMM   49455P101    5,613   102,700   SH       SOLE               102,700
KOHL'S CORP.                             COMM   500255104      183     3,570   SH       SOLE                 3,570
KRAFT FOODS                              COMM   50075N104    2,656    81,600   SH       SHARED                          81,600
KRAFT FOODS                              COMM   50075N104    4,557   140,000   SH       SOLE               140,000
L THREE COMM HOLDINGS                    COMM   502424104    3,431    78,900   SH       SHARED                          78,900
L THREE COMM HOLDINGS                    COMM   502424104    4,501   103,500   SH       SOLE               103,500
LEHMAN BROS                              COMM   524908100    2,679    40,300   SH       SHARED                          40,300
LEHMAN BROS                              COMM   524908100    4,217    63,440   SH       SOLE                63,440
LEXMARK INTL                             COMM   529771107    2,703    38,200   SH       SHARED                          38,200
LEXMARK INTL                             COMM   529771107    4,098    57,900   SH       SOLE                57,900
LIBERTY MEDIA CORP CL A                  COMM   530718105    3,252   281,300   SH       SHARED                         281,300
LIBERTY MEDIA CORP CL A                  COMM   530718105    4,592   397,200   SH       SOLE               397,200
LILLY, ELI & CO                          COMM   532457108      459     6,660   SH       SOLE                 6,660
LINEAR TECHNOLOGY CORP                   COMM   535678106      139     4,300   SH       SOLE                 4,300
LOWE'S COMPANIES INC.                    COMM   548661107      413     9,610   SH       SOLE                 9,610
LUBRIZOL CORP                            COMM   549271104       95     3,070   SH       SOLE                 3,070
MBNA CORP.                               COMM   55262L100    2,986   143,300   SH       SHARED                         143,300
MBNA CORP.                               COMM   55262L100    4,669   224,040   SH       SOLE               224,040
MEMC ELECTRONIC MATERIALS                COMM   552715104      167    17,090   SH       SOLE                17,090
MGIC INVESTMENT CORP.                    COMM   552848103    2,654    56,900   SH       SHARED                          56,900
MGIC INVESTMENT CORP.                    COMM   552848103    4,421    94,800   SH       SOLE                94,800
MARSH & MCLENNAN COS INC                 COMM   571748102      172     3,360   SH       SOLE                 3,360
MATTEL INC                               COMM   577081102    2,634   139,200   SH       SHARED                         139,200
MATTEL INC                               COMM   577081102    4,945   261,370   SH       SOLE               261,370
MAXIM INTEGRATED PRODOCTS                COMM   57772K101      297     8,710   SH       SOLE                 8,710
MAYTAG CORP.                             COMM   578592107       25     1,030   SH       SOLE                 1,030
MCDONALDS CORP                           COMM   580135101    1,985    90,000   SH       SHARED                          90,000
MCDONALDS CORP                           COMM   580135101    4,633   210,000   SH       SOLE               210,000
MEDICIS PHARMACEUTICAL CORP CL A         COMM   584690309      112     1,980   SH       SOLE                 1,980
MEDTRONIC INC                            COMM   585055106    2,624    54,700   SH       SHARED                          54,700
MEDTRONIC INC                            COMM   585055106    6,427   133,974   SH       SOLE               133,974
MELLON FINANCIAL CORP                    COMM   58551A108       72     2,580   SH       SOLE                 2,580
MERCK AND CO INC                         COMM   589331107    5,382    88,880   SH       SOLE                88,880
MERRILL LYNCH & CO.                      COMM   590188108      254     5,450   SH       SOLE                 5,450
MICROSOFT CORP                           COMM   594918104    4,796   187,060   SH       SHARED                         187,060
MICROSOFT CORP                           COMM   594918104   18,668   728,064   SH       SOLE               728,064
MILLS CORP                               COMM   601148109      173     5,150   SH       SOLE                 5,150
MORGAN STANLEY                           COMM   617446448      602    14,080   SH       SOLE                14,080
MOTOROLA INC                             COMM   620076109    1,179   125,000   SH       SHARED                         125,000
MURPHY OIL                               COMM   626717102       50       960   SH       SOLE                   960
NATIONAL CITY CORP                       COMM   635405103    2,178    66,600   SH       SOLE                66,600
NATIONAL INSTRUMENTS CORP                COMM   636518102      165     4,350   SH       SOLE                 4,350
NEXTEL COMMS - A                         COMM   65332V103    3,641   201,470   SH       SOLE               201,470
NISOURCE INC                             COMM   65473P105      228    12,000   SH       SOLE                12,000
NOKIA CORP ADR                           COMM   654902204    1,972   120,000   SH       SHARED                         120,000
NOKIA CORP ADR                           COMM   654902204      542    33,000   SH       SOLE                33,000
NORFOLK SOUTHERN CORP                    COMM   655844108       89     4,650   SH       SOLE                 4,650
NORTH FORK BCP                           COMM   659424105      329     9,670   SH       SOLE                 9,670
NUCOR CORP                               COMM   670346105    2,687    55,000   SH       SHARED                          55,000
NUCOR CORP                               COMM   670346105    3,239    66,300   SH       SOLE                66,300
OCCIDENTAL PETROLEUM CORP                COMM   674599105      487    14,530   SH       SOLE                14,530
OMNICOM GROUP INC.                       COMM   681919106    3,011    42,000   SH       SHARED                          42,000
OMNICOM GROUP INC.                       COMM   681919106    3,334    46,500   SH       SOLE                46,500
ORACLE CORPORATION                       COMM   68389X105    1,802   150,000   SH       SHARED                         150,000
ORACLE CORPORATION                       COMM   68389X105    2,678   222,950   SH       SOLE               222,950
THE PMI GROUP INC                        COMM   69344M101      202     7,510   SH       SOLE                 7,510
PPL CORPORATION                          COMM   69351T106      301     7,000   SH       SOLE                 7,000
PEABODY ENERGY CORP                      COMM   704549104      586    17,450   SH       SOLE                17,450
PEOPLESOFT, INC.                         COMM   712713106       85     4,840   SH       SOLE                 4,840
PEPSICO INC                              COMM   713448108    3,289    73,900   SH       SHARED                          73,900
PEPSICO INC                              COMM   713448108    8,037   180,601   SH       SOLE               180,601
(R) PETROCORP INC.                       COMM   71645N101    9,650 1,731,000   SH       SHARED                       1,731,000
PFIZER INC                               COMM   717081103    3,747   109,710   SH       SHARED                         109,710
PFIZER INC                               COMM   717081103   16,699   488,996   SH       SOLE               488,996
PHILADELPHIA SUBURBAN CORP               COMM   718009608       60     2,480   SH       SOLE                 2,480
POLARIS INDS INC                         COMM   731068102      406     6,620   SH       SOLE                 6,620
POLYCOM, INC.                            COMM   73172K104       71     5,130   SH       SOLE                 5,130
POPULAR INC                              COMM   733174106      464    12,040   SH       SOLE                12,040
PROCTER AND GAMBLE                       COMM   742718109    2,845    31,900   SH       SHARED                          31,900
PROCTER AND GAMBLE                       COMM   742718109    7,274    81,570   SH       SOLE                81,570
PROGRESS ENERGY INC                      COMM   743263105      228     5,200   SH       SOLE                 5,200
QLOGIC CORP.                             COMM   747277101       48       990   SH       SOLE                   990
QUALCOMM INC                             COMM   747525103      242     6,740   SH       SOLE                 6,740
RADIAN GROUP INC.                        COMM   750236101    2,419    66,000   SH       SHARED                          66,000
RADIAN GROUP INC.                        COMM   750236101    3,088    84,250   SH       SOLE                84,250
RALCORP HOLDINGS INC.                    COMM   751028101    1,852    74,200   SH       SHARED                          74,200
RALCORP HOLDINGS INC.                    COMM   751028101    1,585    63,500   SH       SOLE                63,500
REYNOLDS & REYNOLDS CO.                  COMM   761695105       59     2,060   SH       SOLE                 2,060
ROCKWELL COLLINS                         COMM   774341101      171     6,950   SH       SOLE                 6,950
ROYAL DUTCH PETROLEUM CO.                COMM   780257804      286     6,130   SH       SOLE                 6,130
SBC COMMUNICATIONS INC                   COMM   78387G103      515    20,160   SH       SOLE                20,160
SEI INVESTMENTS                          COMM   784117103      479    14,980   SH       SOLE                14,980
SLM CORP                                 COMM   78442P106      111     2,840   SH       SOLE                 2,840
SPX CORPORATION                          COMM   784635104      169     3,830   SH       SOLE                 3,830
SARA LEE CORP.                           COMM   803111103       93     4,950   SH       SOLE                 4,950
SCHERING PLOUGH CORP                     COMM   806605101       79     4,250   SH       SOLE                 4,250
SCHLUMBERGER LTD                         COMM   806857108      164     3,440   SH       SOLE                 3,440
SELECT COMFORT COMMON STOCK              COMM   81616X103   24,976 2,363,169   SH       SHARED                       2,363,169
SEMTECH CORP                             COMM   816850101       48     3,370   SH       SOLE                 3,370
SEMPRA ENERGY                            COMM   816851109       90     3,140   SH       SOLE                 3,140
SIGMA-ALDRICH                            COMM   826552101    4,351    80,100   SH       SOLE                80,100
SOUTHERN COMPANY                         COMM   842587107      132     4,250   SH       SOLE                 4,250
SPRINT CORP (FON)                        COMM   852061100      179    12,400   SH       SOLE                12,400
STATE STREET CORP                        COMM   857477103       50     1,260   SH       SOLE                 1,260
SUNGARD DATA SYSTEMS                     COMM   867363103      147     5,660   SH       SOLE                 5,660
SUNOCO INC                               COMM   86764P109      131     3,480   SH       SOLE                 3,480
SYMANTEC CORP                            COMM   871503108    1,453    33,100   SH       SHARED                          33,100
TCF FINL CORP                            COMM   872275102      281     7,050   SH       SOLE                 7,050
TELLABS INC                              COMM   879664100       50     7,670   SH       SOLE                 7,670
TEVA PHARMACEUTICAL INDUSTRIES ADR       COMM   881624209    3,533    62,100   SH       SHARED                          62,100
TEVA PHARMACEUTICAL INDUSTRIES ADR       COMM   881624209    5,292    93,000   SH       SOLE                93,000
THERMO ELECTRON                          COMM   883556102       87     4,120   SH       SOLE                 4,120
3M COMPANY                               COMM   88579Y101      393     3,050   SH       SOLE                 3,050
TIDEWATER INC.                           COMM   886423102       97     3,300   SH       SOLE                 3,300
TYCO INTERNATIONAL LTD.                  COMM   902124106      549    28,900   SH       SOLE                28,900
US BANCORP - NEW                         COMM   902973304      278    11,330   SH       SOLE                11,330
UNION PACIFIC CORP                       COMM   907818108      356     6,140   SH       SOLE                 6,140
UNITED DEFENSE INDUSTRIES                COMM   91018B104       52     2,010   SH       SOLE                 2,010
UNITED PARCEL SERVICE                    COMM   911312106      101     1,590   SH       SOLE                 1,590
UNITED TECHNOLOGIES CORP                 COMM   913017109    2,812    39,700   SH       SHARED                          39,700
UNITED TECHNOLOGIES CORP                 COMM   913017109    5,160    72,850   SH       SOLE                72,850
UNITEDHEALTHCARE GROUP                   COMM   91324P102    3,497    69,600   SH       SHARED                          69,600
UNITEDHEALTHCARE GROUP                   COMM   91324P102    5,519   109,840   SH       SOLE               109,840
UTSTARCOM                                COMM   918076100      148     4,150   SH       SOLE                 4,150
VALERO ENERGY CORP.                      COMM   91913Y100      356     9,790   SH       SOLE                 9,790
VERIZON COMMUNICATIONS                   COMM   92343V104    3,799    96,300   SH       SOLE                96,300
VIACOM INC. CL B                         COMM   925524308    2,323    53,200   SH       SHARED                          53,200
VIACOM INC. CL B                         COMM   925524308    5,279   120,920   SH       SOLE               120,920
WACHOVIA  CORP - NEW                     COMM   929903102      322     8,050   SH       SOLE                 8,050
WAL-MART STORES INC                      COMM   931142103    3,124    58,200   SH       SHARED                          58,200
WAL-MART STORES INC                      COMM   931142103   16,097   299,918   SH       SOLE               299,918
WALGREEN CO                              COMM   931422109      185     6,150   SH       SOLE                 6,150
WASHINGTON FEDERAL INC                   COMM   938824109       69     3,000   SH       SOLE                 3,000
WASHINGTON MUTUAL INC                    COMM   939322103      242     5,850   SH       SOLE                 5,850
WASTE MANAGEMENT INC.                    COMM   94106L109      208     8,620   SH       SOLE                 8,620
WEBMED CORP                              COMM   94769M105      123    11,300   SH       SOLE                11,300
WEBSTER FINANCIAL CORP.                  COMM   947890109       82     2,160   SH       SOLE                 2,160
WEIGHT WATCHERS INTL INC                 COMM   948626106    1,929    42,400   SH       SHARED                          42,400
WEIGHT WATCHERS INTL INC                 COMM   948626106    4,585   100,800   SH       SOLE               100,800
WELLS FARGO & CO                         COMM   949746101    3,170    62,900   SH       SHARED                          62,900
WELLS FARGO & CO                         COMM   949746101    8,261   163,910   SH       SOLE               163,910
WYETH CORP                               COMM   983024100    3,548    77,900   SH       SHARED                          77,900
WYETH CORP                               COMM   983024100    5,042   110,700   SH       SOLE               110,700
XTO ENERGY INC                           COMM   98385X106      140     6,970   SH       SOLE                 6,970
ZIMMER HOLDINGS INC                      COMM   98956P102    2,861    63,500   SH       SHARED                          63,500
ZIMMER HOLDINGS INC                      COMM   98956P102    4,908   108,950   SH       SOLE               108,950
ACE LTD                                  COMM   G0070K103      134     3,920   SH       SOLE                 3,920
AMDOCS LTD                               COMM   G02602103    3,845   160,200   SH       SHARED                         160,200
AMDOCS LTD                               COMM   G02602103    4,318   179,900   SH       SOLE               179,900
EVEREST RE GROUP LTD                     COMM   G3223R108    3,335    43,600   SH       SHARED                          43,600
EVEREST RE GROUP LTD                     COMM   G3223R108    4,624    60,450   SH       SOLE                60,450
PLATINUM UNDERWRITERS HOLDING            COMM   G7127P100  135,000 6,000,000   SH       SHARED                       6,000,000
WILLIS GROUP HOLDINGS LTD                COMM   G96655108    2,500    81,300   SH       SHARED                          81,300
WILLIS GROUP HOLDINGS LTD                COMM   G96655108    2,066    67,200   SH       SOLE                67,200
FLEXTRONICS INTERNATIONAL LTD            COMM   Y2573F102      152    14,530   SH       SOLE                14,530