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

                                   FORM 13F

                              FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended:  September 30, 2012
                                               -----------------------

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

Institutional Investment Manager Filing this Report:

   Name:         Sun Life Financial Inc.
                 ---------------------------------
   Address:      150 King street West
                 ---------------------------------
                 Toronto, Ontario, Canada, M5H 1J9
                 ---------------------------------

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

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

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    John Vaz
         -------------------------------
Title:   Compliance Analyst
         -------------------------------
Phone:   781-446-2420
         -------------------------------

Signature, Place, and Date of Signing:

         /s/ John Vaz            Wellesley Hills, Ma   November 12, 2012
   ---------------------------   -------------------   -----------------
         [Signature]                [City, State]           [Date]

Report Type (Check only one.):

/ / 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).)

/X/ 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:
[If there are no entries in this list, omit this section.]

    Form 13F File Number        Name

    28-06597                    McLean Budden
       ---------------          ------------------------------------
    28-04968                    MFS
       ---------------          ------------------------------------



                             FORM 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                     2
                                        --------------------

Form 13F Information Table Entry Total:              214
                                        --------------------

Form 13F Information Table Value Total:    US $1,907,161
                                        --------------------
                                            (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.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

    No.       Form 13F File Number         Name

      1       28-12046                     Sun Capital Advisers LLC.
    -----        -----------------         ------------------------------------
      2       28-12047                     Sun Life Assurance Company of Canada
    -----        -----------------         ------------------------------------



FORM 13F INFORMATION TABLE - September 30, 2012



        COLUMN 1            COLUMN 2     COLUMN 3    COLUMN 4        COLUMN 5         COLUMN 6    COLUMN 7        COLUMN 8
------------------------ -------------- --------- ------------- -------------------- ----------- ---------- --------------------
                                                                                                              VOTING AUTHORITY
                                                                                                            --------------------
                                                      VALUE         SHRS             INVESTMENT    OTHER
     NAME OF ISSUER      TITLE OF CLASS   CUSIP      (000'S)     OR PRN AMT  SHR/PRN  DISCRETION  MANAGERS  SOLE  SHARED    NONE
------------------------ -------------- --------- ------------- ------------ ------- ----------- ---------- ---- ---------- ----
                                                                                              
3M CO                         COM       88579Y101        5,782        62,560    SH        SHARED        1            62,560
3M CO                         COM       88579Y101        1,484        16,060    SH        SHARED        2            16,060
Abbott Laboratories           COM       002824100        1,714        25,000    SH        SHARED        1            25,000
Acme Packet Inc               COM       004764106        8,022       469,098    SH        SHARED        1           469,098
Acme Packet Inc               COM       004764106        2,900       169,602    SH        SHARED        2           169,602
Actuate Corp                  COM       00508B102        2,028       288,462    SH        SHARED        1           288,462
Actuate Corp                  COM       00508B102          775       110,191    SH        SHARED        2           110,191
Aeropostale Inc               COM       007865108        5,647       417,332    SH        SHARED        1           417,332
Aeropostale Inc               COM       007865108        1,204        88,969    SH        SHARED        2            88,969
AES Corporation               COM       00130H105        3,266       297,733    SH        SHARED        1           297,733
AES Corporation               COM       00130H105        1,171       106,744    SH        SHARED        2           106,744
Akamai Technologies Inc       COM       00971T101       16,099       420,789    SH        SHARED        1           420,789
Akamai Technologies Inc       COM       00971T101        6,050       158,141    SH        SHARED        2           158,141
American Express Company      COM       025816109        4,559        80,187    SH        SHARED        1            80,187
American International
 Group                        COM       026874784        6,344       193,475    SH        SHARED        1           193,475
Amgen Inc                     COM       031162100        5,466        64,851    SH        SHARED        1            64,851
Amgen Inc                     COM       031162100        2,107        25,000    SH        SHARED        2            25,000
Apple Inc                     COM       037833100        4,539         6,804    SH        SHARED        1             6,804
Apple Inc                     COM       037833100        1,717         2,574    SH        SHARED        2             2,574
Archer Daniels Midland        COM       039483102        4,287       157,715    SH        SHARED        1           157,715
AT&T Inc                      COM       00206R102        7,430       197,094    SH        SHARED        1           197,094
AT&T Inc                      COM       00206R102        2,634        69,864    SH        SHARED        2            69,864
Bank of America Corp          COM       060505104        1,740       197,061    SH        SHARED        2           197,061
Barclays Bank Plc             COM       06738C828       48,560    54,200,000    SH        SHARED        1        54,200,000
Barclays Bank Plc             COM       06738C828       18,546    20,700,000    SH        SHARED        1        20,700,000
Baxter International Inc      COM       071813109        4,196        69,624    SH        SHARED        1            69,624
Baxter International Inc      COM       071813109        1,711        28,392    SH        SHARED        2            28,392
BB&T Corporation              COM       054937107        3,960       119,407    SH        SHARED        1           119,407
BB&T Corporation              COM       054937107        1,565        47,182    SH        SHARED        2            47,182
Berkshire Hathaway Inc        COM       084670702        4,302        48,779    SH        SHARED        1            48,779
Berkshire Hathaway Inc        COM       084670702        1,614        18,299    SH        SHARED        2            18,299
Boeing Company                COM       097023105        4,960        71,274    SH        SHARED        1            71,274
Boeing Company                COM       097023105        1,234        17,725    SH        SHARED        2            17,725
Boston Scientific Corp        COM       101137107        8,471     1,475,791    SH        SHARED        1         1,475,791
Boston Scientific Corp        COM       101137107        3,239       564,207    SH        SHARED        2           564,207
BOSTON SCIENTIFIC
 CORPORATION                  COM       101137107        5,453       950,000    SH        SHARED        1           950,000
Bristol-Myers Squibb          COM       110122108        6,195       183,544    SH        SHARED        1           183,544
Bristol-Myers Squibb          COM       110122108        1,695        50,230    SH        SHARED        2            50,230
Bunge Limited                 COM       G16962105        4,225        63,010    SH        SHARED        1            63,010
Bunge Limited                 COM       G16962105        1,600        23,864    SH        SHARED        2            23,864
Caterpillar Inc               COM       149123101        1,549        18,009    SH        SHARED        1            18,009
CCG Commercial Pool II
 Inc                          COM       12501RAF6          430         1,000    SH        SHARED        1             1,000
Centurylink Inc               COM       156700106        3,784        93,652    SH        SHARED        1            93,652
Centurylink Inc               COM       156700106        1,625        40,235    SH        SHARED        2            40,235
Charles Schwab Corp./The      COM       808513105        3,277       256,345    SH        SHARED        1           256,345
Charles Schwab Corp./The      COM       808513105          884        69,136    SH        SHARED        2            69,136
Chevron Corp                  COM       166764100       11,615        99,649    SH        SHARED        1            99,649
Chevron Corp                  COM       166764100        3,828        32,839    SH        SHARED        2            32,839
Cisco Systems Inc             COM       17275R102        1,795        93,996    SH        SHARED        1            93,996
Citigroup Inc                 COM       172967424        1,137        34,742    SH        SHARED        2            34,742
Clean Energy Fuels Corp       COM       184499101        4,202       319,063    SH        SHARED        1           319,063
Clean Energy Fuels Corp       COM       184499101        1,518       115,248    SH        SHARED        2           115,248
Coca-Cola Co                  COM       191216100        6,319       166,606    SH        SHARED        1           166,606
Coca-Cola Co                  COM       191216100        1,703        44,897    SH        SHARED        2            44,897
ConocoPhillips                COM       20825C104        4,971        86,931    SH        SHARED        1            86,931
ConocoPhillips                COM       20825C104        1,237        21,630    SH        SHARED        2            21,630
Consolidated Edison Inc       COM       209115104        1,486        24,817    SH        SHARED        1            24,817
Cosi Inc                      COM       22122P101          767       996,776    SH        SHARED        1           996,776
Cosi Inc                      COM       22122P101          286       371,709    SH        SHARED        2           371,709
CVS Caremark Corporation      COM       126650100        4,443        91,758    SH        SHARED        1            91,758
CVS Caremark Corporation      COM       126650100        1,678        34,663    SH        SHARED        2            34,663
Deckers Outdoor Corp          COM       243537107       13,707       374,093    SH        SHARED        1           374,093
Deckers Outdoor Corp          COM       243537107        3,306        90,235    SH        SHARED        2            90,235
DR Horton Inc                 COM       23331A109        5,222       253,191    SH        SHARED        1           253,191
DR Horton Inc                 COM       23331A109        1,970        95,512    SH        SHARED        2            95,512
Duke Energy Corp                        26441C204        1,438        22,192    SH        SHARED        1            22,192
EI Dupont de Nemour and
 Co                           COM       263534109        1,614        32,108    SH        SHARED        1            32,108
Eli Lilly & Co                COM       532457108        4,699        99,118    SH        SHARED        1            99,118
Eli Lilly & Co                COM       532457108        1,719        36,251    SH        SHARED        2            36,251
EMC Corp                      COM       268648102        8,638       316,775    SH        SHARED        1           316,775
EMC Corp                      COM       268648102        3,277       120,185    SH        SHARED        2           120,185
Emerson Electric Co           COM       291011104        3,871        80,185    SH        SHARED        1            80,185
Emerson Electric Co           COM       291011104        1,441        29,847    SH        SHARED        2            29,847
EOG Resources                 COM       26875P101        4,205        37,526    SH        SHARED        1            37,526
EOG Resources                 COM       26875P101        1,590        14,187    SH        SHARED        2            14,187
Exelon Corporation            COM       30161N101        5,737       161,256    SH        SHARED        1           161,256
Exelon Corporation            COM       30161N101        1,205        33,879    SH        SHARED        2            33,879
Exxon Mobil Corp              COM       30231G102       18,682       204,282    SH        SHARED        1           204,282
Exxon Mobil Corp              COM       30231G102        5,503        60,172    SH        SHARED        2            60,172
Fifth Third Bancorp           COM       316773100        4,389       283,075    SH        SHARED        1           283,075
Forest Laboratories Inc       COM       345838106        7,386       207,410    SH        SHARED        1           207,410
Forest Laboratories Inc       COM       345838106        2,788        78,292    SH        SHARED        2            78,292
Fusion-io Inc                 COM       36112J107       12,397       409,542    SH        SHARED        1           409,542
Fusion-io Inc                 COM       36112J107        4,124       136,231    SH        SHARED        2           136,231
General Electric Company      COM       369604103        9,373       412,718    SH        SHARED        1           412,718
General Electric Company      COM       369604103        3,056       134,564    SH        SHARED        2           134,564
Goldman Sachs Group Inc       COM       38141G104        4,500        39,584    SH        SHARED        1            39,584
Goldman Sachs Group Inc       COM       38141G104        1,251        11,004    SH        SHARED        2            11,004
Goodyear Tire & Rubber
 Co                           COM       382550101        4,129       338,704    SH        SHARED        1           338,704
Goodyear Tire & Rubber
 Co                           COM       382550101        1,544       126,661    SH        SHARED        2           126,661
Google Inc-cl A               COM       38259P508       10,772        14,277    SH        SHARED        1            14,277
Google Inc-cl A               COM       38259P508        4,183         5,544    SH        SHARED        2             5,544
HALOZYME THERAPEUTICS
 INC                          COM       40637H109        3,947       523,529    SH        SHARED        1           523,529
HALOZYME THERAPEUTICS
 INC                          COM       40637H109        1,411       187,142    SH        SHARED        2           187,142
Hess Corp                     COM       42809H107        3,324        61,876    SH        SHARED        1            61,876
Hess Corp                     COM       42809H107        1,140        21,222    SH        SHARED        2            21,222
Home Depot Inc                COM       437076102        1,871        31,000    SH        SHARED        1            31,000
Honeywell International
 Inc                          COM       438516106        6,688       111,930    SH        SHARED        1           111,930
Honeywell International
 Inc                          COM       438516106        1,610        26,947    SH        SHARED        2            26,947
IBM Corp                      COM       459200101        1,653         7,969    SH        SHARED        1             7,969
Intel Corp                    COM       458140100        4,883       215,516    SH        SHARED        1           215,516
Intel Corp                    COM       458140100        1,305        57,623    SH        SHARED        2            57,623
Intermec Inc                  COM       458786100        3,388       545,514    SH        SHARED        1           545,514
INTERMEC INC                  COM       458786100        2,018       325,000    SH        SHARED        1           325,000
Intermec Inc                  COM       458786100        1,279       205,986    SH        SHARED        2           205,986
International Paper Co        COM       460146103       11,923       328,271    SH        SHARED        1           328,271
International Paper Co        COM       460146103        4,144       114,102    SH        SHARED        2           114,102
IShares                       COM       464286699        3,199       183,870    SH        SHARED        1           183,870
IShares                       COM       464287200      170,756     1,182,518    SH        SHARED        1         1,182,518
IShares                       COM       464287648       15,309       160,117    SH        SHARED        1           160,117
IShares                       COM       464287655       36,460       436,965    SH        SHARED        1           436,965
IShares                       COM       464287614       33,536       502,789    SH        SHARED        1           502,789
IShares                       COM       464287630       32,824       443,932    SH        SHARED        1           443,932
IShares                       COM       464287473       43,428       891,379    SH        SHARED        1           891,379
IShares                       COM       464287465       22,728       428,838    SH        SHARED        2           428,838
ISHARES MSCI EAFE INDEX
 FUND                         COM       464287465        8,089       152,625    SH        SHARED        1           152,625
ISHARES MSCI FRANCE
 INDEX FUND                   COM       464286707        3,304       157,500    SH        SHARED        1           157,500
ISHARES MSCI GERMANY
 INDEX                        COM       464286806          655        29,000    SH        SHARED        1            29,000
ISHARES MSCI JAPAN FUND       COM       464286848        7,349       801,456    SH        SHARED        1           801,456
ISHARES MSCI MEXICO
 INVESTABLE MARKET INDEX
 FUND                         COM       464286822        1,417        21,675    SH        SHARED        1            21,675
ISHARES MSCI UNITED
 KINGDOM INDEX FUND           COM       464286699        2,719       156,300    SH        SHARED        1           156,300
Johnson & Johnson             COM       478160104        3,120        45,275    SH        SHARED        1            45,275
JP Morgan Chase & Co          COM       46625H100        2,588        63,939    SH        SHARED        2            63,939
Kayne Anderson ETR Fund
 Inc.                         COM       48660P2#0       16,800       600,000    SH        SHARED        1           600,000
Kayne Anderson Midstream
 Enrgy                        COM       48661E2*8       17,100       600,000    SH        SHARED        1           600,000
Kayne Anderson MLP
 Investment                   COM       4866062#2       16,800       600,000    SH        SHARED        1           600,000
Kayne Anderson MLP
 Investment                   COM       4866064#0       12,760       440,000    SH        SHARED        1           440,000
Kimberly-Clark Corp           COM       494368103        5,749        67,017    SH        SHARED        1            67,017
Kimberly-Clark Corp           COM       494368103        1,468        17,117    SH        SHARED        2            17,117
Kohls Corp                    COM       500255104        4,242        82,817    SH        SHARED        1            82,817
Kohls Corp                    COM       500255104        1,647        32,155    SH        SHARED        2            32,155
Legg Mason Inc                COM       524901105        3,665       148,519    SH        SHARED        1           148,519
Legg Mason Inc                          524901105        1,388        56,239              SHARED        2            56,239
Lloyds Banking Group PLC      COM       539439AC3        1,190     1,460,000    SH        SHARED        1         1,460,000
Lockheed Martin Corp          COM       539830109        3,679        39,401    SH        SHARED        1            39,401
Lockheed Martin Corp          COM       539830109        1,397        14,964    SH        SHARED        2            14,964
McDonald's Corp               COM       580135101        2,991        32,602    SH        SHARED        1            32,602
Merck & Co. Inc.              COM       58933Y105        6,607       146,515    SH        SHARED        1           146,515
Merck & Co. Inc.              COM       58933Y105        1,773        39,316    SH        SHARED        2            39,316
Merge Healthcare Inc          COM       589499102        3,782       989,930    SH        SHARED        1           989,930
Merge Healthcare Inc          COM       589499102          965       252,733    SH        SHARED        2           252,733
MetLife Inc                   COM       59156R108        3,390        98,384    SH        SHARED        1            98,384
Microsoft Corp                COM       594918104        1,572        52,807    SH        SHARED        1            52,807
Mondelez International
 Inc                          COM       609207105        1,665        40,255    SH        SHARED        1            40,255
Morgan Stanley                COM       617446448        2,440       145,739    SH        SHARED        1           145,739
Morgan Stanley                COM       617446448          867        51,769    SH        SHARED        2            51,769
Mosaic Holdings Inc           COM       61945C103        7,960       138,175    SH        SHARED        1           138,175
Mosaic Holdings Inc           COM       61945C103        2,915        50,596    SH        SHARED        2            50,596
MRV Communications Inc        COM       553477100        2,701     5,002,743    SH        SHARED        1         5,002,743
Mrv Communications Inc        COM       553477100          164       303,648    SH        SHARED        2           303,648
Neuberger Berman Real
 Estate                       COM       64190A2#9       25,000     1,000,000    SH        SHARED        1         1,000,000
Occidental Petroleum
 Corp                         COM       674599105        3,862        44,872    SH        SHARED        1            44,872
Occidental Petroleum
 Corp                         COM       674599105        1,460        16,964    SH        SHARED        2            16,964
Oclaro Inc                    COM       67555N206        3,063     1,138,771    SH        SHARED        1         1,138,771
Oclaro Inc                    COM       67555N206        1,351       502,350    SH        SHARED        2           502,350
Pep-Boys Manny Moe &
 Jack                         COM       713278109        4,252       417,710    SH        SHARED        1           417,710
Pep-Boys Manny Moe &
 Jack                         COM       713278109        1,604       157,575    SH        SHARED        2           157,575
Pepsico Inc                   COM       713448108        5,845        82,585    SH        SHARED        1            82,585
Pepsico Inc                   COM       713448108        1,541        21,773    SH        SHARED        2            21,773
Pfizer Inc                    COM       717081103        7,961       320,365    SH        SHARED        1           320,365
Pfizer Inc                    COM       717081103        1,241        49,937    SH        SHARED        2            49,937
Philip Morris
 International                COM       718172109        4,447        49,441    SH        SHARED        1            49,441
Philip Morris
 International                COM       718172109        1,680        18,677    SH        SHARED        2            18,677
PNC Financial Services
 Group                        COM       693475105        5,279        83,657    SH        SHARED        1            83,657
POWERSHARES QQQ               COM       73935A104       28,662       418,000    SH        SHARED        1           418,000
Procter & Gamble Co           COM       742718109        9,492       136,857    SH        SHARED        1           136,857
Procter & Gamble Co           COM       742718109        2,278        32,848    SH        SHARED        2            32,848
Prudential Financial Inc      COM       744320102        3,399        62,354    SH        SHARED        1            62,354
Raytheon Company              COM       755111507        3,756        65,705    SH        SHARED        1            65,705
Raytheon Company              COM       755111507        1,426        24,954    SH        SHARED        2            24,954
Riverbed Technology Inc       COM       768573107       15,528       667,004    SH        SHARED        1           667,004
Riverbed Technology Inc       COM       768573107        5,881       252,622    SH        SHARED        2           252,622
Silicon Graphics              COM       82706L108        7,927       871,123    SH        SHARED        1           871,123
Silicon Graphics              COM       82706L108        2,889       317,493    SH        SHARED        2           317,493
SILICON GRAPHICS
 INTERNATIONAL CORP           COM       82706L108        8,559       940,500    SH        SHARED        1           940,500
SPDR S&P 500 ETF Trust        COM       78462F103      152,654     1,060,320    SH        SHARED        1         1,060,320
SPDR S&P 500 ETF TRUST                  78462F103      285,971     1,986,324              SHARED        1         1,986,324
State Street Corp             COM       857477103        3,755        89,490    SH        SHARED        1            89,490
State Street Corp             COM       857477103        1,219        29,057    SH        SHARED        2            29,057
Talisman Energy Inc           COM       87425E103        4,372       328,200    SH        SHARED        1           328,200
Talisman Energy Inc           COM       87425E103        1,624       121,900    SH        SHARED        2           121,900
Target Corporation            COM       87612E106        4,364        68,750    SH        SHARED        1            68,750
Target Corporation            COM       87612E106        1,578        24,865    SH        SHARED        2            24,865
Travelers Cos Inc             COM       89417E109        5,932        86,900    SH        SHARED        1            86,900
Travelers Cos Inc             COM       89417E109        1,818        26,635    SH        SHARED        2            26,635
United Technologies Corp      COM       913017109        6,452        82,415    SH        SHARED        1            82,415
United Technologies Corp      COM       913017109        1,426        18,211    SH        SHARED        2            18,211
US Bancorp                    COM       902973304        7,103       207,074    SH        SHARED        1           207,074
US Bancorp                    COM       902973304        1,813        52,859    SH        SHARED        2            52,859
Valero Energy Corp            COM       91913Y100        4,630       146,163    SH        SHARED        1           146,163
Valero Energy Corp            COM       91913Y100        1,744        55,064    SH        SHARED        2            55,064
Vanguard MSCI EAFE ETF        COM       921943858       37,986     1,155,282    SH        SHARED        1         1,155,282
Vanguard REIT ETF             COM       922908553       67,997     1,046,600    SH        SHARED        1         1,046,600
Vanguard REIT ETF             COM       922908553       57,294       881,870    SH        SHARED        1           881,870
Vanguard REIT ETF             COM       922908553       10,896       167,710    SH        SHARED        2           167,710
Vanguard Small Cap ETF        COM       922908751       24,390       304,341    SH        SHARED        1           304,341
Vasco Data Security Intl
 Inc.                         COM       92230Y104        5,139       547,840    SH        SHARED        1           547,840
Vasco Data Security Intl
 Inc.                         COM       92230Y104        1,999       213,102    SH        SHARED        2           213,102
Verizon Communications
 Inc                          COM       92343V104        7,395       162,281    SH        SHARED        1           162,281
Verizon Communications
 Inc                          COM       92343V104        1,710        37,521    SH        SHARED        2            37,521
Viacom Inc                    COM       92553P201        4,258        79,449    SH        SHARED        1            79,449
Viacom Inc                    COM       92553P201        1,524        28,436    SH        SHARED        2            28,436
Vicor Corp                    COM       925815102        1,758       263,604    SH        SHARED        1           263,604
Vicor Corp                    COM       925815102        1,150       172,405    SH        SHARED        2           172,405
VICOR CORPORATION             COM       925815102        3,650       547,164    SH        SHARED        1           547,164
VM Ware Inc                   COM       928563402        6,043        62,462    SH        SHARED        1            62,462
VM Ware Inc                   COM       928563402        2,281        23,575    SH        SHARED        2            23,575
Wachovia Capital Trust
 III                          COM       92978AAA0       15,820    16,000,000    SH        SHARED        1        16,000,000
Wachovia Capital Trust
 III                          COM       92978AAA0          989     1,000,000    SH        SHARED        1         1,000,000
Wal-Mart Stores Inc           COM       931142103        1,688        22,876    SH        SHARED        1            22,876
Walt Disney Co                COM       254687106        2,890        55,272    SH        SHARED        1            55,272
Walt Disney Co                COM       254687106        1,045        19,991    SH        SHARED        2            19,991
Wells Fargo & Co              COM       949746101        3,577       103,596    SH        SHARED        2           103,596
XL Group Plc                  COM       98372PAJ7          362       394,000    SH        SHARED        1           394,000
                                                                   1,907,161