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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 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:    The Chubb Corporation
Address: 15 Mountain View Road
         P. O. Box 1615
         Warren, NJ 07061-1615

Form 13F File Number: 28-327

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 J. Kennedy
Title: Senior Vice President and Chief Accounting Officer
Phone: 908-903-2281

Signature, Place, and Date of Signing:


/s/ John J. Kennedy                    Warren, New Jersey        May 12, 2009
----------------------------------   ----------------------   ------------------
[Signature]                               [City, State]             [Date]

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:               2
                                               ---
Form 13F Information Table Entry Total:        240
                                               ---
Form 13F Information Table Value Total: $1,132,879
                                        ==========
                                        (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 - 2490              Federal Insurance Company
02    28 - 2804              Pacific Indemnity Company



PAGE 1


NAME OF REPORTING MANAGER   THE CHUBB CORPORATION   PERIOD ENDING MARCH 31, 2009

                                    FORM 13F

                              FILE NUMBER: 28 - 327



                                                                         INVESTMENT DISCRETION                VOTING AUTHORITY
                                                  FAIR MARKET  -----------------------------------------          (SHARES)
                                                     VALUE                               SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES    SOLE  SHARED  OTHERS  MANAGER    SOLE     SHARED  NONE
--------------                -----  -----------  -----------  ----------  ----  ------  ------  -------  ---------  ------  ----
                                                                                            
ALLIED WORLD ASSURANCE CO HL  COM    G0219G-20-3      289,241   7,605,592           X                     7,605,592
AMDOCS LTD                    COM    G02602-10-3        5,234     282,600           X               1       282,600
AMDOCS LTD                    COM    G02602-10-3        2,641     142,620           X               2       142,620
COVIDIEN LTD                  COM    G2552X-10-8        2,735      82,288           X                        82,288
COVIDIEN LTD                  COM    G2552X-10-8        9,231     277,712           X               1       277,712
COVIDIEN LTD                  COM    G2552X-10-8        1,163      35,000           X               2        35,000
SEAGATE TECHNOLOGY            COM    G7945J-10-4        2,434     405,000           X               1       405,000
SEAGATE TECHNOLOGY            COM    G7945J-10-4        1,803     300,000           X               2       300,000
XL CAPITAL LTD CLASS A        COM    G98255-10-5           --          33           X                            33
XL CAPITAL LTD CLASS A        COM    G98255-10-5          710     129,967           X               1       129,967
XL CAPITAL LTD CLASS A        COM    G98255-10-5          273      50,000           X               2        50,000
FLEXTRONICS INTL LTD          COM    Y2573F-10-2        2,331     806,724           X               1       806,724
FLEXTRONICS INTL LTD          COM    Y2573F-10-2        1,715     593,276           X               2       593,276
AT&T INC                      COM    00206R-10-2        1,512      60,000           X               1        60,000
AT&T INC                      COM    00206R-10-2        2,016      80,000           X               2        80,000
ALCOA INC                     COM    013817-10-1        2,569     350,000           X               1       350,000
ALCOA INC                     COM    013817-10-1          734     100,000           X               2       100,000
ALPHATEC HOLDINGS             COM    02081G-10-2        5,310   2,999,834           X               1     2,999,834
AMEREN CORPORATION            COM    023608-10-2        4,327     186,600           X               1       186,600
AMEREN CORPORATION            COM    023608-10-2        2,166      93,400           X               2        93,400
AMGEN INC                     COM    031162-10-0        2,476      50,000           X                        50,000
AMGEN INC                     COM    031162-10-0        7,428     150,000           X               1       150,000
AMGEN INC                     COM    031162-10-0        4,952     100,000           X               2       100,000
ANADARKO PETROLEUM CORP       COM    032511-10-7        9,722     250,000           X               1       250,000
ARCHER DANIELS                COM    039483-10-2        4,167     150,007           X               1       150,007
ARCHER DANIELS                COM    039483-10-2        3,472     124,993           X               2       124,993
ATMOS ENERGY CORP             COM    049560-10-5        1,618      70,000           X               1        70,000
ATMOS ENERGY CORP             COM    049560-10-5       12,716     550,000           X               2       550,000
AVERY DENNISON CORP           COM    053611-10-9        3,185     142,591           X                       142,591
AVERY DENNISON CORP           COM    053611-10-9        4,124     184,600           X               1       184,600
AVERY DENNISON CORP           COM    053611-10-9          286      12,819           X               2        12,819
BP PLC-SPONS ADR              COM    055622-10-4        4,411     110,000           X               1       110,000
BP PLC-SPONS ADR              COM    055622-10-4        3,609      90,000           X               2        90,000
BANK OF AMERICA               COM    060505-10-4          136      20,000           X                        20,000
BANK OF AMERICA               COM    060505-10-4        2,778     407,356           X               1       407,356
BANK OF AMERICA               COM    060505-10-4          986     144,545           X               2       144,545
BAXTER INTERNATIONAL INC      COM    071813-10-9       11,268     220,000           X               1       220,000
BAXTER INTERNATIONAL INC      COM    071813-10-9        2,561      50,000           X               2        50,000
BOSTON SCIENTIFIC CORP        COM    101137-10-7        6,837     860,000           X               1       860,000
BOSTON SCIENTIFIC CORP        COM    101137-10-7        1,908     240,000           X               2       240,000
BRISTOL MYERS SQUIBB          COM    110122-10-8        4,165     190,000           X               1       190,000
BRISTOL MYERS SQUIBB          COM    110122-10-8        6,576     300,000           X               2       300,000
BROADRIDGE FINANCIAL SOLUTIO  COM    11133T-10-3       11,166     600,000           X               1       600,000
BROADRIDGE FINANCIAL SOLUTIO  COM    11133T-10-3        2,791     150,000           X               2       150,000
CBS CORP-CL B                 COM    124857-20-2        1,221     317,900           X               1       317,900




PAGE 2


NAME OF REPORTING MANAGER   THE CHUBB CORPORATION   PERIOD ENDING MARCH 31, 2009

                                    FORM 13F

                              FILE NUMBER: 28 - 327



                                                                         INVESTMENT DISCRETION                VOTING AUTHORITY
                                                  FAIR MARKET  -----------------------------------------          (SHARES)
                                                     VALUE                               SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES    SOLE  SHARED  OTHERS  MANAGER    SOLE     SHARED  NONE
--------------                -----  -----------  -----------  ----------  ----  ------  ------  -------  ---------  ------  ----
                                                                                            
CBS CORP-CL B                 COM    124857-20-2          238      62,100           X               2        62,100
CELESTICA INC                 COM    15101Q-10-8        3,560   1,000,000           X               1     1,000,000
CELESTICA INC                 COM    15101Q-10-8          356     100,000           X               2       100,000
CISCO SYSTEMS INC             COM    17275R-10-2        3,790     226,000           X               1       226,000
CISCO SYSTEMS INC             COM    17275R-10-2        4,595     274,000           X               2       274,000
CITIGROUP INC                 COM    172967-10-1           15       6,000           X                         6,000
CITIGROUP INC                 COM    172967-10-1          567     224,000           X               1       224,000
CITIGROUP INC                 COM    172967-10-1          481     190,000           X               2       190,000
COCA COLA ENTERPRISES         COM    191219-10-4        5,195     393,847           X               1       393,847
COCA COLA ENTERPRISES         COM    191219-10-4        4,038     306,153           X               2       306,153
COLGATE PALMOLIVE             COM    194162-10-3        7,078     120,000           X               1       120,000
COMCAST CORP-CL A             COM    20030N-10-1        7,502     550,000           X               1       550,000
COMCAST CORP-CL A             COM    20030N-10-1        2,728     200,000           X               2       200,000
COMMUNITY HEALTH SYSTEMS INC  COM    203668-10-8        5,369     350,000           X               1       350,000
COMMUNITY HEALTH SYSTEMS INC  COM    203668-10-8        3,068     200,000           X               2       200,000
CONOCOPHILLIPS                COM    20825C-10-4        7,440     190,000           X               1       190,000
CONSOLIDATED EDISON INC       COM    209115-10-4        1,981      50,000           X                        50,000
CONSOLIDATED EDISON INC       COM    209115-10-4        6,476     163,500           X               1       163,500
CONSOLIDATED EDISON INC       COM    209115-10-4        3,961     100,000           X               2       100,000
CONSTELLATION BRANDS INC-A    COM    21036P-10-8        5,593     470,000           X               1       470,000
CONSTELLATION BRANDS INC-A    COM    21036P-10-8        1,843     154,900           X               2       154,900
CORNING INC                   COM    219350-10-5        3,981     300,000           X               1       300,000
CORNING INC                   COM    219350-10-5        2,654     200,000           X               2       200,000
COVENTRY HEALTH CARE INC      COM    222862-10-4          104       8,059           X                         8,059
COVENTRY HEALTH CARE INC      COM    222862-10-4        2,569     198,509           X               1       198,509
COVENTRY HEALTH CARE INC      COM    222862-10-4        1,080      83,432           X               2        83,432
DTE ENERGY COMPANY            COM    233331-10-7        4,155     150,000           X                       150,000
DTE ENERGY COMPANY            COM    233331-10-7        2,770     100,000           X               1       100,000
DTE ENERGY COMPANY            COM    233331-10-7        2,762      99,700           X               2        99,700
DEAN FOODS CO                 COM    242370-10-4          907      50,156           X                        50,156
DEAN FOODS CO                 COM    242370-10-4        7,653     423,278           X               1       423,278
DEAN FOODS CO                 COM    242370-10-4        5,904     326,566           X               2       326,566
DELL INC                      COM    24702R-10-1        5,214     550,000           X               1       550,000
DELL INC                      COM    24702R-10-1        1,422     150,000           X               2       150,000
DELTA AIRLINES INC DEL        COM    247361-70-2        1,502     266,830           X                       266,830
DELTA AIRLINES INC DEL        COM    247361-70-2        1,883     334,470           X               1       334,470
DOW CHEMICAL CO               COM    260543-10-3        3,035     360,000           X               1       360,000
EBAY INC                      COM    278642-10-3        2,512     200,000           X                       200,000
EBAY INC                      COM    278642-10-3        2,512     200,000           X               2       200,000
EL PASO CORP                  COM    28336L-10-9        3,125     500,000           X               1       500,000
ERICSSON (LM) TEL-SP ADR      COM    294821-60-8        4,336     536,000           X               1       536,000
ERICSSON (LM) TEL-SP ADR      COM    294821-60-8        4,563     564,000           X               2       564,000
FAMILY DOLLAR STORES          COM    307000-10-9          113       3,400           X                         3,400
FAMILY DOLLAR STORES          COM    307000-10-9       20,342     609,600           X               1       609,600
FAMILY DOLLAR STORES          COM    307000-10-9        2,903      87,000           X               2        87,000




PAGE 3


NAME OF REPORTING MANAGER   THE CHUBB CORPORATION   PERIOD ENDING MARCH 31, 2009

                                    FORM 13F

                              FILE NUMBER: 28 - 327



                                                                         INVESTMENT DISCRETION                VOTING AUTHORITY
                                                  FAIR MARKET  -----------------------------------------          (SHARES)
                                                     VALUE                               SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES    SOLE  SHARED  OTHERS  MANAGER    SOLE     SHARED  NONE
--------------                -----  -----------  -----------  ----------  ----  ------  ------  -------  ---------  ------  ----
                                                                                            
FOREST LABORATORIES INC       COM    345838-10-6        2,196     100,000           X                       100,000
FOREST LABORATORIES INC       COM    345838-10-6        4,392     200,000           X               1       200,000
FOREST LABORATORIES INC       COM    345838-10-6        4,392     200,000           X               2       200,000
GENERAL ELECTRIC              COM    369604-10-3        2,426     240,000           X               1       240,000
GENERAL ELECTRIC              COM    369604-10-3        1,921     190,000           X               2       190,000
GENERAL MILLS INC             COM    370334-10-4        2,494      50,000           X               1        50,000
GENERAL MILLS INC             COM    370334-10-4        5,986     120,000           X               2       120,000
GENWORTH FINANCIAL INC-CL A   COM    37247D-10-6          380     200,000           X               1       200,000
GENWORTH FINANCIAL INC-CL A   COM    37247D-10-6          152      80,000           X               2        80,000
GLAXOSMITHKLINE PLC-ADR       COM    37733W-10-5        5,624     181,000           X               1       181,000
GOOGLE INC-CL A               COM    38259P-50-8       10,442      30,000           X               1        30,000
GREAT PLAINS ENERGY INC       COM    391164-10-0        3,173     235,600           X               1       235,600
GREAT PLAINS ENERGY INC       COM    391164-10-0        2,310     171,500           X               2       171,500
HARTFORD FINANCIAL SERVICES   COM    416515-10-4          314      40,000           X                        40,000
HARTFORD FINANCIAL SERVICES   COM    416515-10-4          471      60,000           X               1        60,000
HEALTHCARE SERVICES GROUP     COM    421906-10-8          190      12,693           X               1        12,693
HEALTH MGMT ASSOC             COM    421933-10-2        1,548     600,000           X               1       600,000
HEALTH MGMT ASSOC             COM    421933-10-2        1,806     700,000           X               2       700,000
HJ HEINZ CO                   COM    423074-10-3        6,612     200,000           X               1       200,000
HESS CORP                     COM    42809H-10-7        6,791     125,300           X               1       125,300
INTEL CORP                    COM    458140-10-0        3,758     250,000           X                       250,000
INTEL CORP                    COM    458140-10-0        5,260     350,000           X               1       350,000
INTEL CORP                    COM    458140-10-0        1,503     100,000           X               2       100,000
INTERNATIONAL BUSINESS MACHI  COM    459200-10-1       13,565     140,000           X               1       140,000
INTERNATIONAL PAPER CO        COM    460146-10-3        2,253     320,000           X               1       320,000
INTERNATIONAL PAPER CO        COM    460146-10-3        1,267     180,000           X               2       180,000
INTERPUBLIC GROUP OF COS INC  COM    460690-10-0          824     200,000           X                       200,000
INTERPUBLIC GROUP OF COS INC  COM    460690-10-0        4,190   1,017,000           X               1     1,017,000
INTERPUBLIC GROUP OF COS INC  COM    460690-10-0          342      83,000           X               2        83,000
JP MORGAN CHASE & CO          COM    46625H-10-0        1,233      46,400           X                        46,400
JP MORGAN CHASE & CO          COM    46625H-10-0        7,272     273,600           X               1       273,600
JP MORGAN CHASE & CO          COM    46625H-10-0        1,063      40,000           X               2        40,000
JABIL CIRCUIT INC             COM    466313-10-3        1,191     214,286           X                       214,286
JABIL CIRCUIT INC             COM    466313-10-3        3,984     716,600           X               1       716,600
JABIL CIRCUIT INC             COM    466313-10-3        1,496     269,114           X               2       269,114
KRAFT FOODS INC-A             COM    50075N-10-4        8,200     367,898           X               1       367,898
KRAFT FOODS INC-A             COM    50075N-10-4        3,075     137,962           X               2       137,962
KROGER CO.                    COM    501044-10-1        8,488     400,000           X                       400,000
LABORATORY CRP OF AMER HLDGS  COM    50540R-40-9        4,758      81,350           X               1        81,350
LEXMARK INTL GROUP INC        COM    529771-10-7          882      52,294           X               1        52,294
LIFE POINT HOSPITALS          COM    53219L-10-9        5,265     252,400           X               1       252,400
LIFE POINT HOSPITALS          COM    53219L-10-9        3,079     147,600           X               2       147,600
LIZ CLAIBORNE INC             COM    539320-10-1          889     360,000           X               1       360,000
LIZ CLAIBORNE INC             COM    539320-10-1          148      60,000           X               2        60,000
MANULIFE FINANCIAL SERVICE    COM    56501R-10-6        1,285     114,734           X                       114,734




PAGE 4


NAME OF REPORTING MANAGER   THE CHUBB CORPORATION   PERIOD ENDING MARCH 31, 2009

                                    FORM 13F

                              FILE NUMBER: 28 - 327



                                                                         INVESTMENT DISCRETION                VOTING AUTHORITY
                                                  FAIR MARKET  -----------------------------------------          (SHARES)
                                                     VALUE                               SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES    SOLE  SHARED  OTHERS  MANAGER    SOLE     SHARED  NONE
--------------                -----  -----------  -----------  ----------  ----  ------  ------  -------  ---------  ------  ----
                                                                                            
MARATHON OIL CORP             COM    565849-10-6        7,903     300,600           X               2       300,600
MCDONALDS CORP                COM    580135-10-1        9,653     176,900           X               1       176,900
MCDONALDS CORP                COM    580135-10-1        1,261      23,100           X               2        23,100
MEDTRONIC INC                 COM    585055-10-6        5,157     175,000           X                       175,000
MEDTRONIC INC                 COM    585055-10-6        5,157     175,000           X               2       175,000
MICROSOFT CORP                COM    594918-10-4          735      40,000           X                        40,000
MICROSOFT CORP                COM    594918-10-4        6,246     340,000           X               1       340,000
MICROSOFT CORP                COM    594918-10-4        4,041     220,000           X               2       220,000
MORGAN STANLEY DEAN WITTER    COM    617446-44-8        4,782     210,000           X               1       210,000
MOTOROLA INC                  COM    620076-10-9        2,453     580,000           X               1       580,000
MOTOROLA INC                  COM    620076-10-9          508     120,000           X               2       120,000
NEWELL RUBBERMAID INC         COM    651229-10-6        2,873     450,400           X               1       450,400
NEWELL RUBBERMAID INC         COM    651229-10-6        1,592     249,600           X               2       249,600
NEWTEK BUSINESS SERVICES INC  COM    652526-10-4            1       2,000           X                         2,000
NEWTEK BUSINESS SERVICES INC  COM    652526-10-4           23      64,500           X               1        64,500
NISOURCE INC                  COM    65473P-10-5        3,284     335,100           X               1       335,100
NISOURCE INC                  COM    65473P-10-5        2,106     214,900           X               2       214,900
NORTHROP GRUMMAN CORP         COM    666807-10-2        6,546     150,000           X               1       150,000
OGE ENERGY CORP               COM    670837-10-3           62       2,600           X                         2,600
OGE ENERGY CORP               COM    670837-10-3          619      26,000           X               1        26,000
OFFICE DEPOT INC              COM    676220-10-6          197     150,000           X                       150,000
OFFICE DEPOT INC              COM    676220-10-6          655     500,224           X               1       500,224
OFFICE DEPOT INC              COM    676220-10-6          196     149,776           X               2       149,776
OMNICARE INC                  COM    681904-10-8        8,816     360,000           X               1       360,000
OMNICARE INC                  COM    681904-10-8        5,878     240,000           X               2       240,000
ORACLE CORP                   COM    68389X-10-5          904      50,000           X                        50,000
ORACLE CORP                   COM    68389X-10-5        2,891     160,000           X               1       160,000
ORACLE CORP                   COM    68389X-10-5        1,446      80,000           X               2        80,000
OWENS ILLINOIS                COM    690768-40-3        1,406      97,400           X                        97,400
OWENS ILLINOIS                COM    690768-40-3        4,540     314,400           X               2       314,400
PNC FINANCIAL                 COM    693475-10-5          136       4,653           X               1         4,653
PNC FINANCIAL                 COM    693475-10-5           98       3,332           X               2         3,332
PEPCO HOLDINGS INC            COM    713291-10-2        1,248     100,000           X                       100,000
PEPCO HOLDINGS INC            COM    713291-10-2        4,088     327,600           X               1       327,600
PEPCO HOLDINGS INC            COM    713291-10-2        3,627     290,600           X               2       290,600
PEPSI BOTTLING GROUP INC      COM    713409-10-0          275      12,416           X               2        12,416
PFIZER INC                    COM    717081-10-3        6,715     493,000           X               1       493,000
PFIZER INC                    COM    717081-10-3        3,500     257,000           X               2       257,000
PINNACLE WEST CAPITAL         COM    723484-10-1        1,328      50,000           X                        50,000
PINNACLE WEST CAPITAL         COM    723484-10-1        6,906     260,000           X               1       260,000
PINNACLE WEST CAPITAL         COM    723484-10-1        1,859      70,000           X               2        70,000
PRIDE INTERNATIONAL INC       COM    74153Q-10-2        3,416     190,000           X               1       190,000
PRIDE INTERNATIONAL INC       COM    74153Q-10-2        3,416     190,000           X               2       190,000
PROGRESS ENERGY INC           COM    743263-10-5          725      20,000           X                        20,000
PROGRESS ENERGY INC           COM    743263-10-5        5,881     162,200           X               1       162,200




PAGE 5


NAME OF REPORTING MANAGER   THE CHUBB CORPORATION   PERIOD ENDING MARCH 31, 2009

                                    FORM 13F

                              FILE NUMBER: 28 - 327



                                                                         INVESTMENT DISCRETION                VOTING AUTHORITY
                                                  FAIR MARKET  -----------------------------------------          (SHARES)
                                                     VALUE                               SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES    SOLE  SHARED  OTHERS  MANAGER    SOLE     SHARED  NONE
--------------                -----  -----------  -----------  ----------  ----  ------  ------  -------  ---------  ------  ----
                                                                                            
PROGRESS ENERGY INC           COM    743263-10-5        4,728     130,400           X               2       130,400
QUADRAMED CORP                COM    74730W-50-7           83      13,777           X               1        13,777
QUEST DIAGNOSTICS INC         COM    74834L-10-0       17,568     370,000           X               1       370,000
RALCORP HLDGS INC             COM    751028-10-1        1,143      21,206           X               1        21,206
RALCORP HLDGS INC             COM    751028-10-1          428       7,952           X               2         7,952
ROWAN COMPANIES INC           COM    779382-10-0        2,993     250,000           X               1       250,000
ROYAL DUTCH SHELL PLC         COM    780259-20-6        4,430     100,000           X                       100,000
ROYAL DUTCH SHELL PLC         COM    780259-20-6        4,430     100,000           X               1       100,000
SAFEWAY INC                   COM    786514-20-8        4,038     200,000           X                       200,000
SAFEWAY INC                   COM    786514-20-8        2,422     120,000           X               1       120,000
SAFEWAY INC                   COM    786514-20-8        4,644     230,000           X               2       230,000
ST JUDE MEDICAL               COM    790849-10-3        1,817      50,000           X                        50,000
ST JUDE MEDICAL               COM    790849-10-3       12,716     350,000           X               1       350,000
SANMINA CORP                  COM    800907-10-7          854   2,800,000           X               1     2,800,000
SANMINA CORP                  COM    800907-10-7           61     200,000           X               2       200,000
SANOFI-AVENTIS-ADR            COM    80105N-10-5        8,379     300,000           X               1       300,000
SMITHFIELD FOODS INC          COM    832248-10-8        3,428     362,400           X               1       362,400
SMITHFIELD FOODS INC          COM    832248-10-8          829      87,600           X               2        87,600
SPECTRA ENERGY CORP           COM    847560-10-9        1,434     101,400           X                       101,400
SPECTRA ENERGY CORP           COM    847560-10-9        1,380      97,578           X               1        97,578
SPECTRA ENERGY CORP           COM    847560-10-9        1,708     120,822           X               2       120,822
SPRINT NEXTEL CORP            COM    852061-10-0          428     120,000           X                       120,000
SPRINT NEXTEL CORP            COM    852061-10-0        1,607     450,000           X               1       450,000
SPRINT NEXTEL CORP            COM    852061-10-0          214      60,000           X               2        60,000
STAGE STORES                  COM    85254C-30-5          178      17,642           X                        17,642
STAR GAS PARTNERS LP          COM    85512C-10-5          117      45,100           X               1        45,100
SYMANTEC CORP                 COM    871503-10-8        6,723     450,000           X               1       450,000
SYMANTEC CORP                 COM    871503-10-8        4,482     300,000           X               2       300,000
TEVA PHARMACEUTICAL-SP ADR    COM    881624-20-9       13,515     300,000           X               1       300,000
TEVA PHARMACEUTICAL-SP ADR    COM    881624-20-9        4,505     100,000           X               2       100,000
TIME WARNER                   COM    887317-30-3          965      16,667           X                        16,667
TIME WARNER                   COM    887317-30-3        5,790     100,000           X               1       100,000
TIME WARNER                   COM    887317-30-3       10,615     183,334           X               2       183,334
TIME WARNER CABLE             COM    88732J-20-7          104       4,184           X                         4,184
TIME WARNER CABLE             COM    88732J-20-7          622      25,100           X               1        25,100
TIME WARNER CABLE             COM    88732J-20-7        1,141      46,019           X               2        46,019
TOTAL SA-SPON ADR             COM    89151E-10-9        9,812     200,000           X               1       200,000
TRAVELERS COS INC             COM    89417E-10-9          718      17,678           X                        17,678
TRAVELERS COS INC             COM    89417E-10-9        4,490     110,481           X               1       110,481
TRAVELERS COS INC             COM    89417E-10-9        4,545     111,841           X               2       111,841
TYSON FOODS INC-CL A          COM    902494-10-3        1,075     114,450           X                       114,450
TYSON FOODS INC-CL A          COM    902494-10-3        5,518     587,600           X               1       587,600
TYSON FOODS INC-CL A          COM    902494-10-3        2,798     297,950           X               2       297,950
UNITEDHEALTH GROUP            COM    91324P-10-2        7,325     350,000           X               1       350,000
VERIZON COMMUNICATIONS        COM    92343V-10-4          755      25,000           X                        25,000




PAGE 6


NAME OF REPORTING MANAGER   THE CHUBB CORPORATION   PERIOD ENDING MARCH 31, 2009

                                    FORM 13F

                              FILE NUMBER: 28 - 327



                                                                         INVESTMENT DISCRETION                VOTING AUTHORITY
                                                  FAIR MARKET  -----------------------------------------          (SHARES)
                                                     VALUE                               SHARED           -----------------------
NAME OF ISSUER                CLASS     CUSIP        (000)       SHARES    SOLE  SHARED  OTHERS  MANAGER    SOLE     SHARED  NONE
--------------                -----  -----------  -----------  ----------  ----  ------  ------  -------  ---------  ------  ----
                                                                                            
VERIZON COMMUNICATIONS        COM    92343V-10-4        5,649     187,043           X               1       187,043
VERIZON COMMUNICATIONS        COM    92343V-10-4        7,701     255,000           X               2       255,000
VIACOM INC CL B               COM    92553P-20-1        1,738     100,000           X                       100,000
VIACOM INC CL B               COM    92553P-20-1        6,083     350,000           X               1       350,000
WAL-MART                      COM    931142-10-3       15,630     300,000           X               1       300,000
WALGREEN COMPANY              COM    931422-10-9        5,483     211,200           X               1       211,200
WALGREEN COMPANY              COM    931422-10-9       10,093     388,800           X               2       388,800
WELLS FARGO & COMPANY         COM    949746-10-1          369      25,884           X               1        25,884
WELLS FARGO & COMPANY         COM    949746-10-1          198      13,937           X               2        13,937
WILLIAMS COMPANIES            COM    969457-10-0        3,983     350,000           X               1       350,000
WYETH US                      COM    983024-10-0          861      20,000           X                        20,000
WYETH US                      COM    983024-10-0        3,658      85,000           X               1        85,000
WYETH US                      COM    983024-10-0        2,798      65,000           X               2        65,000
WYNDHAM WORLDWIDE CORP        COM    98310W-10-8          210      50,000           X               1        50,000
WYNDHAM WORLDWIDE CORP        COM    98310W-10-8          252      60,000           X               2        60,000
                                                    ---------
                                                    1,132,879
                                                    =========