FAM Large Cap Growth Portfolio - as of Jan. 1, 2006

SECTOR DISTRIBUTION FULLER GROWTH S&P 500 INDEX
Technology 7.0% 15.2%
Consumer Discretionary 0.0% 10.8%
Health Care 15.0% 13.3%
Industrials 18.0% 11.3%
Energy 20.0% 9.3%
Financials 18.5% 21.2%
Telecommunications 3.0% 3.0%
Materials 7.0% 3.0%
Consumer Staples 5.0% 9.5%
Utilities 3.0% 3.4%
Cash 3.5% 0.0%


HOLDINGS ALLOCATION SECTOR
INTEL 3.00% Technology
CORNING 2.00% Technology
ELECTRONIC ARTS 2.00% Technology
AMGEN 2.50% Health Care
MEDTRONIC 2.50% Health Care
UNITED HEALTHCARE 2.50% Health Care
WELLPOINT 2.50% Health Care
CAREMARK 2.50% Health Care
SIERRA HEALTH SVCS 2.50% Health Care
FLUOR 3.00% Industrials
FOSTER WHEELER 3.00% Industrials
DEERE 3.00% Industrials
CATERPILLAR 3.00% Industrials
BOEING 3.00% Industrials
LOCKHEED MARTIN 3.00% Industrials
HALLIBURTON 2.50% Energy
TRANSOCEAN 2.50% Energy
SCHLUMBERGER 2.50% Energy
BAKER HUGHES 2.50% Energy
BJ SERVICES 2.50% Energy
DEVON ENERGY 2.50% Energy
CHESAPEAKE ENERGY 2.50% Energy
VALERO ENERGY 2.50% Energy
US BANCORP 2.50% Financials
MERRILL LYNCH 3.50% Financials
JP MORGAN 2.50% Financials
BANK OF AMERICA 2.50% Financials
GOLDMAN SACHS 2.50% Financials
WASHINGTON MUTUAL 2.50% Financials
CITIGROUP 2.50% Financials
ERICSSON 3.00% Telecommunications
BHP BILLITON LTD. 3.50% Materials
DOW CHEMICAL 3.50% Materials
PEPSI 2.50% Consumer Staples
PHILIP MORRIS 2.50% Consumer Staples
DUKE ENERGY 3.00% Utilities
CASH 3.50% - -