-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Lg5EQ/JUFm6epciyKulQeKuyuazw+5JNbyBEficQsdyAPyQWY5kDkLccH4Wu/mF1 iartkAUQ/Q+jQV/r9lgRmg== 0001105607-06-000393.txt : 20061129 0001105607-06-000393.hdr.sgml : 20061129 20061129124554 ACCESSION NUMBER: 0001105607-06-000393 CONFORMED SUBMISSION TYPE: N-Q PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20060930 FILED AS OF DATE: 20061129 DATE AS OF CHANGE: 20061129 EFFECTIVENESS DATE: 20061129 FILER: COMPANY DATA: COMPANY CONFORMED NAME: W&R TARGET FUNDS INC CENTRAL INDEX KEY: 0000810016 IRS NUMBER: 481146010 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-Q SEC ACT: 1940 Act SEC FILE NUMBER: 811-05017 FILM NUMBER: 061244414 BUSINESS ADDRESS: STREET 1: 6300 LAMAR AVENUE CITY: OVERLAND PARK STATE: KS ZIP: 66202 BUSINESS PHONE: 9132362000 MAIL ADDRESS: STREET 1: P O BOX 29217 CITY: SHAWNEE MISSION STATE: KS ZIP: 66201-9217 FORMER COMPANY: FORMER CONFORMED NAME: TARGET UNITED FUNDS INC DATE OF NAME CHANGE: 19990506 FORMER COMPANY: FORMER CONFORMED NAME: TMK UNITED FUNDS INC DATE OF NAME CHANGE: 19920703 0000810016 S000006224 W&R Target Asset Strategy Portfolio C000017158 W&R Target Asset Strategy Portfolio 0000810016 S000006225 W&R Target International Value Portfolio C000017159 W&R Target International Value Portfolio 0000810016 S000006226 W&R Target Limited-Term Bond Portfolio C000017160 W&R Target Limited-Term Bond Portfolio 0000810016 S000006227 W&R Target Micro Cap Growth Portfolio C000017161 W&R Target Micro Cap Growth Portfolio 0000810016 S000006228 W&R Target Mid Cap Growth Portfolio C000017162 W&R Target Mid Cap Growth Portfolio 0000810016 S000006229 W&R Target Money Market Portfolio C000017163 W&R Target Money Market Portfolio 0000810016 S000006230 W&R Target Mortgage Securities Portfolio C000017164 W&R Target Mortgage Securities Portfolio 0000810016 S000006231 W&R Target Real Estate Securities Portfolio C000017165 W&R Target Real Estate Securities Portfolio 0000810016 S000006232 W&R Target Science and Technology Portfolio C000017166 W&R Target Science and Technology Portfolio 0000810016 S000006233 W&R Target Small Cap Growth Portfolio C000017167 W&R Target Small Cap Growth Portfolio 0000810016 S000006234 W&R Target Small Cap Value Portfolio C000017168 W&R Target Small Cap Value Portfolio 0000810016 S000006235 W&R Target Balanced Portfolio C000017169 W&R Target Balanced Portfolio 0000810016 S000006236 W&R Target Value Portfolio C000017170 W&R Target Value Portfolio 0000810016 S000006237 W&R Target Bond Portfolio C000017171 W&R Target Bond Portfolio 0000810016 S000006238 W&R Target Core Equity Portfolio C000017172 W&R Target Core Equity Portfolio 0000810016 S000006239 W&R Target Dividend Income Portfolio C000017173 W&R Target Dividend Income Portfolio 0000810016 S000006240 W&R Target Global Natural Resources Portfolio C000017174 W&R Target Global Natural Resources Portfolio 0000810016 S000006241 W&R Target Growth Portfolio C000017175 W&R Target Growth Portfolio 0000810016 S000006242 W&R Target High Income Portfolio C000017176 W&R Target High Income Portfolio 0000810016 S000006243 W&R Target International Growth Portfolio C000017177 W&R Target International Growth Portfolio 0000810016 S000011749 W&R Target Energy Portfolio C000032174 W&R Target Energy Portfolio N-Q 1 tgt_main11-06.htm MAIN PART
 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-Q

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY

 

Investment Company Act file number 811-5017

 

W&R Target Funds, Inc.


(Exact name of registrant as specified in charter)

 
 

6300 Lamar Avenue, Overland Park, Kansas 66202


(Address of principal executive offices) (Zip code)

 
 

Kristen A. Richards

6300 Lamar Avenue

Overland Park, Kansas 66202


(Name and address of agent for service)

 

Registrant's telephone number, including area code: 913-236-2000

 

Date of fiscal year end: December 31

 

Date of reporting period: September 30, 2006

 

Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (ss. 239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1-5 under that Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.

 

A registrant is required to disclose the information specified by Form N-Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget ("OMB") control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 100 F Street, NE, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. ss. 3507.

 
 

ITEM 1. SCHEDULE OF INVESTMENTS.




The Investments of W&R Target Asset Strategy Portfolio  
      September 30, 2006                
BULLION - 8.76%  

Troy
Ounces
   
Value
 

                 
Gold
   
79,823
   
$
47,789,930
 
(Cost: $47,169,020)

                 
                 
COMMON STOCKS  
Shares
       

                 
Banks - 2.89%                
Bank of China Limited, H Shares (A)(B)*
15,500,000
     
6,665,041
 
HSBC Holdings plc (A)
   
149,200
     
2,722,301
 
Kookmin Bank (A)
   
37,850
     
2,984,000
 
Standard Chartered PLC (A)
   
133,312
     
3,414,608
 
           




15,785,950
 
Business Equipment and Services - 4.42%                
Dentsu Inc. (A)
   
481
     
1,307,098
 
Euronext N.V. (A)
   
56,400
     
5,481,873
 
Jacobs Engineering Group Inc.*
   
45,032
     
3,365,241
 
Mitsui & Co., Ltd. (A)
   
115,000
     
1,462,265
 
NYSE Group, Inc.*
   
167,102
     
12,490,875
 
           




24,107,352
 
Capital Equipment - 0.25%                
SMC Corporation (A)
   
10,400
   


1,376,102
 
                 
Communications Equipment - 3.23%                
3Com Corporation*
   
604,576
     
2,663,157
 
Nokia Corporation, Series A, ADR
   
282,683
     
5,566,028
 
QUALCOMM Incorporated
   
141,824
     
5,156,721
 
ZTE Corporation, H Shares (A)
1,143,600
     
4,227,591
 
           




17,613,497
 
Construction Materials - 0.43%                
Comtech Group, Inc.*
   
155,368
   


2,326,636
 
                 
Consumer Electronics - 1.25%                
Nintendo Co., Ltd. (A)
   
33,200
   


6,840,957
 
                 
Electronic Component - 3.16%                
Samsung Electronics Co., Ltd. (A)
   
12,337
     
8,657,086
 
SanDisk Corporation (C)*
   
108,688
     
5,813,721
 
Texas Instruments Incorporated
   
83,564
     
2,778,503
 
           




17,249,310
 
Gold and Precious Metals - 3.69%                
Agnico-Eagle Mines Limited
   
229,909
     
7,157,067
 
Barrick Gold Corporation
   
287,036
     
8,817,746
 
Glamis Gold Ltd.*
   
105,072
     
4,142,989
 
           




20,117,802
 
Insurance -- Life - 1.50%                
China Life Insurance Company Limited, H Shares (A)
4,195,000
   


8,206,222
 
                 
Mining - 1.18%                
Cameco Corporation (A)
   
60,120
     
2,190,729
 
Goldcorp Inc.
   
180,945
     
4,270,302
 
           




6,461,031
 
Motor Vehicles - 2.73%                
Suzuki Motor Corporation (A)*
   
149,700
     
3,801,905
 
Toyota Motor Corporation (A)
   
204,000
     
11,087,238
 
           




14,889,143
 
Multiple Industry - 3.30%                
Las Vegas Sands, Inc.*
   
62,116
     
4,245,629
 
Smiths Group plc (A)
   
303,053
     
5,086,914
 
streetTRACKS Gold Trust*
   
86,605
     
5,147,801
 
Sumitomo Mitsui Financial Group, Inc. (A)(B)
   
335
     
3,516,614
 
           




17,996,958
 
Non-Residential Construction - 0.78%                
Fluor Corporation
   
38,852
     
2,987,330
 
Kurita Water Industries Ltd.*
   
64,900
     
1,258,167
 
           




4,245,497
 
Petroleum -- International - 1.67%                
China Petroleum & Chemical Corporation, H Shares (A)
5,272,000
     
3,275,270
 
Exxon Mobil Corporation
   
42,153
     
2,828,466
 
PetroChina Company Limited, H Shares (A)(B)
2,800,000
     
3,011,815
 
           




9,115,551
 
Petroleum -- Services - 1.81%                
Baker Hughes Incorporated
   
49,754
     
3,393,223
 
Transocean Inc.*
   
45,022
     
3,296,961
 
Weatherford International Ltd.*
   
76,436
     
3,188,910
 
           




9,879,094
 
Railroad - 0.28%                
Central Japan Railway Company (A)
   
146
   


1,557,333
 
                 
Real Estate Investment Trust - 0.70%                
Hongkong Land Holdings Limited
   
391,000
     
1,517,080
 
Keppel Land Limited (A)
   
393,000
     
1,227,313
 
Sumitomo Realty & Development Co., Ltd. (A)
   
37,000
     
1,086,899
 
           




3,831,292
 
Retail -- Specialty Stores - 0.45%                
Shimachu Co., Ltd. (A)*
   
84,200
   


2,473,431
 
                 
Security and Commodity Brokers - 3.36%                
Chicago Mercantile Exchange Holdings Inc.
   
32,580
     
15,581,385
 
Goldman Sachs Group, Inc. (The)
   
16,221
     
2,744,107
 
           




18,325,492
 
Utilities -- Electric - 1.75%                
Veolia Environment (A)
   
158,600
   


9,575,007
 
                 
Utilities -- Telephone - 2.72%                
China Mobile (Hong Kong) Limited (A)
1,711,500
     
12,093,737
 
UBS AG
   
46,418
     
2,753,052
 
           




14,846,789
 
                 
TOTAL COMMON STOCKS - 41.55%          
$
226,820,446
 

(Cost: $186,970,775)
               
                 
                 
CORPORATE DEBT SECURITIES  
Principal Amount in Thousands
       

                 
Banks - 0.18%                
Norilsk Nickel Finance Luxembourg S.A.,
               
      7.125%, 9-30-09  
$
1,000
   


1,014,800
 
                 
Beverages - 0.34%                
Central European Distribution Corporation,
               
      8.0%, 7-25-12 (B)    
900
     
1,232,548
 
Companhia Brasileira de Bebidas,
               
      10.5%, 12-15-11    
500
     
602,500
 
           




1,835,048
 
Construction Materials - 0.10%                
Interface, Inc.,
               
      9.5%, 2-1-14    
550
   


566,500
 
                 
Finance Companies - 0.52%                
ALROSA Finance S.A.,
               
      8.125%, 5-6-08    
900
     
927,630
 
Russian Standard Bank:
               
      7.5%, 10-7-10    
600
     
582,498
 
      7.5%, 10-7-10 (B)    
350
     
339,500
 
Toyota Motor Credit Corporation,
               
      5.65%, 1-18-15    
1,050
     
980,711
 
           




2,830,339
 
Food and Related - 0.35%                
Cosan S.A. Industria e Comercio,
               
      9.0%, 11-1-09    
1,800
   


1,903,500
 
                 
Forest and Paper Products - 0.09%                
Sino-Forest Corporation,
               
      9.125%, 8-17-11 (B)    
475
   


492,813
 
                 
Homebuilders, Mobile Homes - 0.11%                
Desarrolladora Homex, S.A. de C.V.,
               
      7.5%, 9-28-15    
627
   


614,460
 
                 
Hospital Supply and Management - 0.14%                
US Oncology Holdings, Inc.,
               
      10.6750017%, 3-15-15    
750
   


765,000
 
                 
Mining - 0.32%                
Vedanta Resources plc,
               
      6.625%, 2-22-10 (B)    
1,800
   


1,752,750
 
                 
Motion Pictures - 0.13%                
Cinemark, Inc.,
               
      0.0%, 3-15-14 (D)    
900
   


717,750
 
                 
Motor Vehicles - 0.20%                
Hyundai Motor Company,
               
      5.3%, 12-19-08 (B)    
1,080
   


1,070,637
 
                 
Non-Residential Construction - 0.20%                
Odebrecht Overseas Ltd.,
               
      11.5%, 2-25-09 (B)    
1,000
   


1,105,000
 
                 
Railroad - 0.26%                
TFM, S.A. de C.V.,
               
      12.5%, 6-15-12    
1,270
   


1,397,000
 
                 
Utilities -- Electric - 0.13%                
Compania de Transporte de Energia Electrica en Alta Tension
      Transener Sociedad Anonima,
               
      9.0%, 12-15-15    
711
   


702,113
 
                 
Utilities -- Telephone - 0.48%                
Digicel Limited,
               
      9.25%, 9-1-12 (B)    
500
     
518,750
 
Open Joint Stock Company Mobile TeleSystems,
               
      9.75%, 1-30-08    
1,000
     
1,039,100
 
Open Joint Stock Company "Vimpel-Communications",
               
      8.0%, 2-11-10    
1,050
     
1,077,773
 
           




2,635,623
 
                 
TOTAL CORPORATE DEBT SECURITIES - 3.55%          
$
19,403,333
 

(Cost: $19,212,381)
               
                 
                 
OTHER GOVERNMENT SECURITIES                

                 
Argentina - 0.61%                
Republic of Argentina (The), GDP-Linked Securities,
               
      0.0%, 12-15-35
33,400
   


3,329,980
 
                 
Germany - 4.19%                
Bundesschatzanweisungen Federal Treasury Notes,
               
      3.0%, 3-14-08 (E)
EUR18,200
 


22,878,951
 
                 
South Korea - 0.19%                
Korea Development Bank (The),
               
      5.785%, 10-29-06  
$
1,000
   


999,919
 
                 
United Kingdom - 1.22%                
United Kingdom Treasury:
               
      4.75%, 6-7-10 (E)
GBP1,500
     
2,808,103
 
      5.75%, 12-7-09 (E)    
2,000
     
3,849,164
 
           




6,657,267
 
                 
TOTAL OTHER GOVERNMENT SECURITIES - 6.21%          
$
33,866,117
 

(Cost: $33,777,683)
               
                 
                 
UNITED STATES GOVERNMENT
AGENCY OBLIGATIONS
               

                 
Mortgage-Backed Obligations - 1.61%                
Federal Home Loan Mortgage Corporation Agency
      REMIC/CMO (Interest Only):
               
      5.5%, 9-15-17  
$
6,820
     
1,156,223
 
      5.0%, 11-15-17    
590
     
82,106
 
      5.0%, 4-15-19    
1,183
     
172,125
 
      5.0%, 4-15-19    
580
     
81,885
 
      5.0%, 2-15-20    
1,720
     
39,898
 
      5.0%, 7-15-21    
1,210
     
85,804
 
      5.0%, 6-15-22    
1,286
     
47,506
 
      5.0%, 7-15-22    
5,234
     
212,356
 
      5.0%, 11-15-22    
590
     
84,978
 
      5.0%, 1-15-23    
1,111
     
51,075
 
      5.0%, 4-15-23    
693
     
48,948
 
      5.0%, 5-15-23    
1,030
     
160,187
 
      5.0%, 8-15-23    
764
     
124,338
 
      5.5%, 11-15-23    
3,800
     
318,809
 
      5.5%, 11-15-23    
1,963
     
144,528
 
      5.0%, 9-15-24    
2,009
     
151,474
 
      5.5%, 9-15-24    
1,129
     
80,706
 
      5.5%, 4-15-25    
531
     
47,071
 
      5.5%, 4-15-25    
255
     
32,289
 
      5.0%, 9-15-25    
2,728
     
243,254
 
      5.5%, 10-15-25    
2,259
     
494,994
 
      5.0%, 4-15-26    
2,933
     
248,005
 
      5.0%, 10-15-28    
459
     
91,099
 
      5.5%, 2-15-30    
743
     
90,150
 
      5.0%, 8-15-30    
1,496
     
156,992
 
      5.5%, 3-15-31    
1,043
     
143,031
 
Federal National Mortgage Association Agency
      REMIC/CMO (Interest Only):
               
      5.5%, 11-25-17    
1,286
     
105,078
 
      5.0%, 5-25-22    
785
     
105,852
 
      5.0%, 7-25-23    
2,911
     
542,402
 
      5.0%, 8-25-23    
932
     
147,809
 
      5.5%, 9-25-25    
796
     
59,756
 
      5.5%, 11-25-25    
2,365
     
161,228
 
      5.0%, 9-25-30    
1,274
     
181,139
 
      5.5%, 8-25-33    
1,746
     
369,215
 
Government National Mortgage Association Agency
      REMIC/CMO (Interest Only):
               
      5.0%, 1-20-30    
2,172
     
260,023
 
      5.0%, 6-20-31    
2,261
     
293,023
 
      5.0%, 7-20-33    
582
     
110,282
 
      5.5%, 11-20-33    
2,260
     
386,467
 
      5.5%, 7-1-35    
683
     
101,774
 
Government National Mortgage Association Fixed Rate
      Pass-Through Certificates:
               
      5.5%, 11-15-16    
267
     
267,952
 
      5.5%, 11-15-16    
92
     
92,061
 
      5.5%, 12-15-16    
464
     
465,680
 
      5.5%, 12-15-16    
359
     
360,530
 
      5.5%, 12-15-16    
181
     
181,500
 
           




8,781,602
 
Treasury Inflation Protected Obligation - 2.18%                
United States Treasury Note,
               
      2.0%, 1-15-14
11,000
   


11,883,324
 
                 
TOTAL UNITED STATES GOVERNMENT
AGENCY OBLIGATIONS - 3.79%
         
$
20,664,926
 

(Cost: $20,223,492)
               
                 
                 
PUT OPTION - 0.00%  
Number of
Contracts
       

                 
NYSE Group, Inc., October 55,
               
      Expires 10-23-06    
135
   
$
675
 
(Cost: $32,028)

                 
                 
UNREALIZED GAIN (LOSS) ON OPEN FORWARD CURRENCY CONTRACTS - (0.15%)  
Face
Amount in
Thousands
       

                 
Chinese Yuan Renminbi, 5-9-07 (E)
CNY42,800
     
22,618
 
Chinese Yuan Renminbi, 5-9-07 (E)
232,400
     
(169,038
)
Euro, 1-10-07 (E)
EUR6,200
     
525,217
 
Japanese Yen, 1-10-07 (E)
JPY5,100,000
     
(1,195,506
)
Russian Ruble, 6-25-07 (E)
RUB269,800
     
131,480
 
Singapore Dollar, 8-21-07 (E)
SGD8,500
     
(104,187
)
South Korean Won, 4-19-07 (E)
KRW10,500,000
     
116,838
 
Taiwan Dollar, 5-22-07 (E)
TWD175,000
     
(158,819
)
           

$

(831,397
)
               
 
               
 
SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     
 

                 
Commerical Paper                
      Banks - 1.83%                
      LaSalle Bank Corporation,                
            5.23%, 10-23-06  
$
10,000
   


9,968,039
 
                 
      Beverages - 2.93%                
      Anheuser-Busch Companies, Inc.,                
            5.3%, 10-2-06    
10,000
     
9,998,528
 
      Diageo Capital plc (Diageo plc),                
            5.29%, 10-5-06    
6,000
     
5,996,473
 
           




15,995,001
 
      Finance Companies - 3.29%                
      Prudential Funding LLC,                
            5.21%, 10-30-06    
18,000
   


17,924,455
 
                 
      Food and Related - 2.70%                
      Hershey Company (The),                
            5.2%, 10-11-06    
14,750
   


14,728,695
 
                 
      Forest and Paper Products - 2.74%                
      Kimberly-Clark Worldwide Inc.:                
            5.2%, 10-17-06    
5,000
     
4,988,444
 
            5.2%, 10-19-06    
10,000
     
9,974,000
 
           




14,962,444
 
      Health Care -- Drugs - 1.10%                
      Alcon Capital Corporation (Nestle S.A.),                
            5.23%, 10-3-06    
6,000
   


5,998,257
 
                 
      Insurance -- Life - 1.83%                
      American General Finance Corporation,                
            5.25%, 10-11-06    
10,000
   


9,985,417
 
                 
      Mining - 0.80%                
      BHP Billiton Finance (USA) Limited
            (BHP Billiton Limited),
               
            5.27%, 10-19-06    
4,400
   


4,388,406
 
                 
      Multiple Industry - 2.75%                
      Honeywell International Inc.,                
            5.25%, 10-2-06    
15,000
   


14,997,813
 
                 
      Petroleum -- International - 0.91%                
      Shell International Finance B.V. and Royal Dutch
            Shell plc (Royal Dutch Shell plc),
               
            5.2%, 10-30-06    
5,000
   


4,979,056
 
                 
      Publishing - 2.74%                
      Scripps (E.W.) Co.,                
            5.22%, 10-12-06    
15,000
   


14,976,075
 
                 
      Retail -- General Merchandise - 7.24%                
      Home Depot, Inc. (The),                
            5.36%, 10-2-06    
20,000
     
19,997,022
 
      Target Corporation,                
            5.21%, 10-10-06    
5,000
     
4,993,487
 
      Wal-Mart Stores, Inc.,                
            5.22%, 10-24-06    
14,550
     
14,501,476
 
             

39,491,985
 
      Security and Commodity Brokers - 3.53%                
      American Express Credit Corp.,                
            5.23%, 10-30-06    
10,000
     
9,957,869
 
      Greenwich Capital Holdings Inc. (Royal Bank
            of Scotland PLC (The)),
               
            5.37%, 10-2-06    
9,320
     
9,318,610
 
             

19,276,479
 
      Utilities -- Telephone - 0.91%                
      AT&T Inc.,                
            5.27%, 10-23-06    
5,000
   


4,983,897
 
                 
Total Commercial Paper - 35.30%            
192,656,019
 

                 
Note - 0.99%                
      Non-Residential Construction                
      Healthcare Property Group, LLC, Taxable Variable
            Rate Bonds, Series 2005 (SunTrust Bank),
               
            5.31%, 10-4-06    
5,400
   


5,400,000
 
                 
TOTAL SHORT-TERM SECURITIES - 36.29%          
$
198,056,019
 

(Cost: $198,056,019)
               
                 
TOTAL INVESTMENT SECURITIES - 100.00%          
$
545,770,049
 

(Cost: $505,441,398)
               
                 
 
Notes to Schedule of Investments
                   
Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts; REMIC - Real Estate Mortgage Investment Conduit.
                   
The following credit default swap agreements were outstanding at September 30, 2006:
                   
Counterparty Reference
Entity
Fixed
Rate
  Expiration
Date
Notional
Amount
Unrealized
Appreciation
(Depreciation
)

Lehman Brothers
Dow Jones CDX
      Emerging Markets
      Series 5
1.35%
 
6-20-11
$4,000,000
 
$
(10,203
)
Merrill Lynch
      International
Dow Jones CDX
      Emerging Markets
      Series 5
1.35%
 
6-20-11
4,000,000
   
(10,453
)
Morgan Stanley
Dow Jones CDX
      Emerging Markets
      Series 5
1.35%
 
6-20-11
8,000,000
   
(20,805
)
Lehman Brothers
Dow Jones CDX
      North America High
      Yield Series 7
3.25%
 
12-20-11
21,400,000
   
(6,741
)
Merrill Lynch
      International
Dow Jones CDX
      North America High
      Yield Series 7
3.25%
 
12-20-11
9,500,000
   
(2,993
)
Merrill Lynch
      International
Dow Jones CDX
      North America High
      Yield Series 7
3.25%
 
12-20-11
7,100,000
   
6,634
 
Morgan Stanley
Dow Jones CDX
      North America High
      Yield Series 7
3.25%
 
12-20-11
12,000,000
   
(3,780
)
Morgan Stanley
Dow Jones CDX
      North America High
      Yield Series 7
3.25%
 
12-20-11
4,600,000
   
4,298
 
Morgan Stanley
Brazilian Government
      International Bond
      Swap
1.89%
 
6-20-11
5,200,000
   
(111,198
)

             
$
(155,241
)

*No dividends were paid during the preceding 12 months.
                   
(A)Listed on an exchange outside the United States.
                   
(B)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $19,705,468 or 3.61% of total investments.
                   
(C)Security serves as cover for the following written call option outstanding as of September 30, 2006.
                   
Underlying
Security
Contracts
Subject
to Call
 
Premium
Received
 
Market
Value

SanDisk Corporation
452
   
$68,548
   
$6,780


               
(D)The security does not bear interest for an initial period of time and subsequently becomes interest bearing.
               
               
(E)Principal amounts are denominated in the indicated foreign currency, where applicable (CNY - Chinese Yuan Renminbi, EUR - Euro, GBP - Great Britain Pound, JPY - Japanese Yen, KRW - South Korean Won, RUB - Russian Ruble, SGD - Singapore Dollar, TWD - Taiwan Dollar ).
               
(F)Cash and security serves as collateral for the following open futures contracts at September 30, 2006.
               
Type
Number of
Contracts
 
Expiration
Date
 
Market
Value
Underlying
Face Amount
at Value

VIX Index
900
 
10-17-06
 
$
11,790,000
 
$
13,987,423
VIX Index
1,783
 
11-14-06
   
26,085,290
   
28,409,544
VIX Index
689
 
12-12-06
   
10,762,180
   
10,896,575


 
 
     
$
48,637,470
 
$
53,293,542


                   




The Investments of W&R Target Balanced Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Air Transportation - 1.00%              
Southwest Airlines Co.
   
333,000
   
$
5,547,780
               
Aircraft - 1.42%              
Boeing Company (The)
   
100,100
   


7,892,885
               
Banks - 3.72%              
Bank of America Corporation
   
100,300
     
5,373,071
Northern Trust Corporation
   
137,200
     
8,015,910
Wells Fargo & Company
   
204,000
     
7,380,720
           




20,769,701
Beverages - 2.93%              
Anheuser-Busch Companies, Inc.
   
29,000
     
1,377,790
Brown-Forman Corporation, Class B
   
71,200
     
5,457,480
PepsiCo, Inc.
   
145,900
     
9,521,434
           




16,356,704
Business Equipment and Services - 2.68%              
NYSE Group, Inc.*
   
122,300
     
9,141,925
Pitney Bowes Inc.
   
131,300
     
5,825,781
           




14,967,706
Chemicals -- Specialty - 1.10%              
Air Products and Chemicals, Inc.
   
92,200
   


6,119,314
               
Communications Equipment - 3.62%              
Cisco Systems, Inc.*
   
359,500
     
8,263,107
Nokia Corporation, Series A, ADR
   
339,500
     
6,684,755
QUALCOMM Incorporated
   
143,700
     
5,224,932
           




20,172,794
Computers -- Micro - 1.52%              
Apple Computer, Inc.*
   
109,800
   


8,452,404
               
Computers -- Peripherals - 1.18%              
Microsoft Corporation
   
240,900
   


6,582,592
               
Defense - 2.36%              
General Dynamics Corporation
   
183,600
   


13,158,612
               
Electrical Equipment - 1.22%              
Emerson Electric Co.
   
81,200
   


6,809,432
               
Electronic Components - 2.96%              
Advanced Micro Devices, Inc.*
   
389,300
     
9,674,105
Microchip Technology Incorporated
   
210,700
     
6,829,841
           




16,503,946
Electronic Instruments - 0.76%              
Lam Research Corporation*
   
93,950
   


4,258,284
               
Finance Companies - 2.63%              
SLM Corporation
   
282,500
   


14,684,350
               
Food and Related - 0.88%              
Campbell Soup Company
   
134,600
   


4,912,900
               
Health Care -- Drugs - 5.09%              
Allergan, Inc.
   
80,500
     
9,065,105
Amgen Inc.*
   
81,100
     
5,799,461
Gilead Sciences, Inc.*
   
114,000
     
7,832,370
Novartis AG, ADR
   
97,300
     
5,686,212
           




28,383,148
Health Care -- General - 4.81%              
Biomet, Inc.
   
167,100
     
5,378,113
DENTSPLY International Inc.
   
212,500
     
6,403,688
Johnson & Johnson
   
163,300
     
10,604,702
Zimmer Holdings, Inc.*
   
66,100
     
4,461,750
           




26,848,253
Hospital Supply and Management - 1.11%              
Medtronic, Inc.
   
132,700
   


6,162,588
               
Household -- General Products - 1.77%              
Colgate-Palmolive Company
   
158,900
   


9,867,690
               
Insurance -- Life - 1.14%              
Aflac Incorporated
   
138,900
   


6,356,064
               
Insurance -- Property and Casualty - 1.08%              
Berkshire Hathaway Inc., Class B*
   
1,900
   


6,030,600
               
Motion Pictures - 1.42%              
News Corporation Limited, Class A
   
402,700
     
7,913,055
               
Multiple Industry - 4.54%              
Altria Group, Inc.
   
59,300
     
4,539,415
General Electric Company
   
328,756
     
11,605,087
Las Vegas Sands, Inc.*
   
134,300
     
9,179,405
           




25,323,907
Non-Residential Construction - 0.98%              
Fluor Corporation
   
70,800
   


5,443,812
               
Petroleum -- International - 4.68%              
BP p.l.c., ADR
   
115,500
     
7,574,490
ChevronTexaco Corporation
   
83,000
     
5,383,380
Exxon Mobil Corporation
   
195,546
     
13,121,137
           




26,079,007
Petroleum -- Services - 3.37%              
Schlumberger Limited
   
207,200
     
12,852,616
Smith International, Inc.
   
153,100
     
5,940,280
           




18,792,896
Publishing - 1.07%              
Meredith Corporation
   
121,200
   


5,978,796
               
Retail -- General Merchandise - 2.70%              
Target Corporation
   
154,200
     
8,519,550
Wal-Mart Stores, Inc.
   
132,900
     
6,554,628
           




15,074,178
Retail -- Specialty Stores - 0.86%              
Best Buy Co., Inc.
   
90,000
   


4,820,400
               
Security and Commodity Brokers - 5.00%              
American Express Company
   
110,300
     
6,185,624
Chicago Mercantile Exchange Holdings Inc.
   
9,400
     
4,495,550
J.P. Morgan Chase & Co.
   
162,400
     
7,626,304
Legg Mason, Inc.
   
49,400
     
4,982,484
Merrill Lynch & Co., Inc.
   
58,800
     
4,599,336
           




27,889,298
Timesharing and Software - 1.05%              
Paychex, Inc.
   
159,200
   


5,861,744
               
Trucking and Shipping - 1.20%              
Expeditors International of Washington, Inc.
   
150,400
   


6,705,584
               
Utilities -- Electric - 1.70%              
Exelon Corporation
   
157,000
   


9,504,780
               
Utilities -- Telephone - 2.70%              
AT&T Inc.
   
231,000
     
7,521,360
UBS AG
   
127,500
     
7,562,025
           




15,083,385
               
TOTAL COMMON STOCKS - 76.25%          
$
425,308,589

(Cost: $331,146,653)
             

             

CORPORATE DEBT SECURITIES  
Principal
Amount in
Thousands
     

               
Air Transportation - 0.07%              
Southwest Airlines Co.,
             
      7.875%, 9-1-07  
$
360
   


367,152
               
Banks - 0.24%              
Wells Fargo Bank, N.A.,
             
      7.55%, 6-21-10    
1,250
   


1,350,848
               
Beverages - 0.30%              
Coca-Cola Enterprises Inc.,
             
      6.7%, 10-15-36    
500
     
558,243
Diageo Capital plc,
             
      3.5%, 11-19-07    
1,150
     
1,127,467
           




1,685,710
Finance Companies - 1.10%              
American International Group,
             
      3.85%, 11-26-07 (A)    
1,400
     
1,378,072
Banco Hipotecario Nacional:
             
      7.916%, 7-25-09 (A)    
17
     
413
      8.0%, 3-31-11 (A)    
806
     
217,580
First Union-Lehman Brothers Company,
             
      6.65%, 11-18-29    
606
     
610,441
First Union-Lehman Brothers-Bank of America Commercial
      Mortgage Trust,
             
      6.56%, 11-18-35    
825
     
836,718
Mellon Residential Funding,
             
      6.75%, 6-26-28    
107
     
106,742
Prudential Insurance Company of America,
             
      6.6%, 5-15-08 (A)    
1,500
     
1,531,120
Unilever Capital Corporation,
             
      5.9%, 11-15-32    
1,450
     
1,458,372
           




6,139,458
Food and Related - 0.50%              
Archer-Daniels-Midland Company,
             
      7.0%, 2-1-31    
1,350
     
1,563,540
Cargill, Inc.,
             
      6.375%, 6-1-12 (A)    
1,150
     
1,207,564
           




2,771,104
Insurance -- Life - 0.26%              
StanCorp Financial Group, Inc.,
             
      6.875%, 10-1-12    
1,375
   


1,468,070
               
Insurance -- Property and Casualty - 0.28%              
Principal Life Global,
             
      6.25%, 2-15-12 (A)    
1,500
   


1,568,775
               
Real Estate Investment Trust - 0.31%              
Vornado Realty L.P.,
             
      5.625%, 6-15-07    
1,750
   


1,748,301
               
TOTAL CORPORATE DEBT SECURITIES - 3.06%          
$
17,099,418

(Cost: $17,050,962)
             
               
               
OTHER GOVERNMENT SECURITY - 0.31%              

               
Canada              
Hydro-Quebec,
             
      8.0%, 2-1-13    
1,500
   

1,724,719
(Cost: $1,651,062)

             
               
UNITED STATES GOVERNMENT AND
GOVERNMENT AGENCY OBLIGATIONS
             

               
Agency Obligations - 0.19%              
Federal National Mortgage Association,
             
      7.25%, 1-15-10    
1,000
   


1,070,299
               
Mortgage-Backed Obligations - 3.26%              
Federal National Mortgage Association Fixed Rate
      Pass-Through Certificates:
             
      6.23%, 1-1-08    
1,589
     
1,592,173
      6.0%, 9-1-17    
640
     
650,602
      5.0%, 1-1-18    
511
     
503,942
      5.5%, 4-1-18    
294
     
294,651
      5.0%, 5-1-18    
247
     
243,661
      4.5%, 7-1-18    
3,195
     
3,091,776
      7.0%, 9-1-25    
88
     
90,797
      6.5%, 10-1-28    
400
     
411,669
      6.5%, 2-1-29    
296
     
304,688
      7.5%, 4-1-31    
213
     
222,007
      7.0%, 7-1-31    
362
     
374,150
      7.0%, 9-1-31    
377
     
389,400
      7.0%, 9-1-31    
298
     
308,701
      7.0%, 11-1-31    
81
     
83,319
      6.5%, 2-1-32    
1,243
     
1,277,163
      7.0%, 2-1-32    
472
     
488,023
      7.0%, 2-1-32    
431
     
446,163
      7.0%, 3-1-32    
280
     
289,710
      7.0%, 7-1-32    
733
     
758,050
      6.0%, 9-1-32    
2,408
     
2,425,942
      6.0%, 2-1-33    
600
     
603,957
      5.5%, 5-1-33    
1,025
     
1,012,811
      5.5%, 5-1-33    
771
     
761,953
      5.5%, 5-1-33    
478
     
472,198
      5.5%, 6-1-33    
828
     
817,632
Government National Mortgage Association Fixed Rate
      Pass-Through Certificates:
             
      6.5%, 8-15-28    
74
     
76,069
      6.0%, 8-15-28    
27
     
27,712
United States Department of Veterans Affairs, Guaranteed
      REMIC Pass-Through Certificates, Vendee Mortgage
      Trust, 1997-A Class 3-A,
             
      8.293%, 12-15-26    
152
     
158,732
           




18,177,651
Treasury Inflation Protected Obligation - 0.21%              
United States Treasury Note,
             
      3.0%, 7-15-12 (B)    
1,000
   


1,174,297
               
Treasury Obligations - 13.31%              
United States Treasury Bonds:
             
      7.5%, 11-15-16    
1,500
     
1,837,500
      7.25%, 8-15-22    
4,000
     
5,062,812
      6.25%, 8-15-23    
5,250
     
6,095,334
United States Treasury Notes:
             
      3.25%, 8-15-07    
5,000
     
4,927,345
      4.25%, 10-31-07    
1,200
     
1,191,703
      3.0%, 11-15-07    
4,000
     
3,918,752
      3.0%, 2-15-08    
3,000
     
2,928,867
      2.625%, 5-15-08    
4,000
     
3,869,064
      4.75%, 11-15-08    
4,000
     
4,005,468
      4.0%, 3-15-10    
3,200
     
3,139,251
      4.25%, 10-15-10
10,000
     
9,875,780
      3.875%, 2-15-13    
3,000
     
2,881,524
      3.625%, 5-15-13    
3,000
     
2,834,532
      4.25%, 8-15-13    
4,000
     
3,915,624
      4.25%, 8-15-15
17,000
16,537,141
      5.25%, 2-15-29    
1,150
     
1,216,035
           




74,236,732
               
TOTAL UNITED STATES GOVERNMENT AND GOVERNMENT AGENCY OBLIGATIONS - 16.97%          
$
94,658,979

(Cost: $94,956,246)
             
               
               
SHORT-TERM SECURITIES              

               
Aircraft - 0.36%              
United Technologies Corporation,
             
      5.32%, 10-6-06    
2,000
   


1,998,522
               
Aluminum - 0.90%              
Alcoa Incorporated,
             
      5.4%, 10-2-06    
5,020
   


5,019,247
               
Capital Equipment - 0.53%              
Deere (John) Credit Limited (Deere (John) Capital Corporation),
             
      5.33%, 11-3-06    
3,000
   


2,985,343
               
Insurance -- Life - 0.90%              
American General Finance Corporation,
             
      5.25%, 10-11-06    
5,000
   


4,992,708
               
Utilities -- Gas and Pipeline - 0.72%              
Michigan Consolidated Gas Co.,
             
      5.3%, 10-2-06    
4,000
   


3,999,411
               
TOTAL SHORT-TERM SECURITIES - 3.41%          
$
18,995,231

(Cost: $18,995,231)
             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
557,786,936

(Cost: $463,800,154)
             
               
               
Notes to Schedule of Investments
 
Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts; REMIC - Real Estate Mortgage Investment Conduit.
 
*No dividends were paid during the preceding 12 months.
 
(A)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $5,903,524 or 1.06% of total investments.
 
(B)The interest rate for this security is a stated rate, but the interest payments are determined by multiplying the inflation-adjusted principal by one half of the stated rate for each semiannual interest payment date.
 




The Investments of W&R Target Bond Portfolio
      September 30, 2006
             
CORPORATE DEBT SECURITIES  
Principal
Amount in
Thousands
   
Value

               
Banks - 2.54%              

First Union National Bank of Florida,

             
      6.18%, 2-15-36  
$
4,000
   
$
4,259,012

SouthTrust Bank, National Association,

             
      6.125%, 1-9-28    
1,000
     
1,068,931
           




5,327,943
Broadcasting - 1.84%              

Comcast Cable Communications, Inc.,

             
      8.5%, 5-1-27    
1,250
     
1,535,293

EchoStar DBS Corporation,

             
      6.375%, 10-1-11    
750
     
730,312

TCA Cable TV, Inc.,

             
      6.53%, 2-1-28    
1,000
     
1,011,507

Westinghouse Electric Corporation,

             
      8.875%, 6-14-14    
500
     
577,343
           




3,854,455
Business Equipment and Services - 0.19%              

Quebecor World Capital Corporation,

             
      4.875%, 11-15-08    
425
   


405,875
               
Coal - 0.47%              

Peabody Energy Corporation,

             
      6.875%, 3-15-13    
1,000
   


985,000
               
Communications Equipment - 0.24%              

Harris Corporation,

             
      6.35%, 2-1-28    
500
   


513,428
               
Construction Materials - 1.29%              

Hanson PLC,

             
      7.875%, 9-27-10    
2,500
   


2,692,097
               
Finance Companies - 3.02%              

Barton Springs CDO SPC, Series 2005-1 Segregated Portfolio
      and Barton Springs CDO Series 2005-1 LLC,

             
      6.85%, 12-20-10    
1,750
     
1,617,000

General Motors Acceptance Corporation,

             
      5.125%, 5-9-08    
2,500
     
2,449,827

Preferred Term Securities XVI, Ltd. and Preferred Term
      Securities XVI, Inc.,

             
      7.99%, 3-23-35 (A)    
1,250
     
1,262,500

Preferred Term Securities XVII, Ltd. and Preferred Term
      Securities XVII, Inc.,

             
      7.59%, 6-23-35 (A)    
1,000
     
1,002,500
           




6,331,827
Finance Companies -- Mortgage Related - 23.58%              

Alternative Loan Trust 2005-J4,

             
      5.5%, 11-25-35    
1,750
     
1,690,554

Banc of America Commercial Mortgage Inc., Commercial
      Mortgage Pass-Through Certificates, Series 2005-2,

             
      4.783%, 7-10-43    
2,500
     
2,446,748

CHL Mortgage Pass-Through Trust 2005-28,

             
      5.25%, 1-25-19    
3,042
     
3,012,897

CHL Pass-Through Trust 2003-20,

             
      5.5%, 7-25-33    
2,400
     
2,394,104

CHYPS CBO 1997-1 Ltd.,

             
      6.72%, 1-15-10 (A)    
444
     
244,225

COMM 2005-C6,

             
      5.144%, 6-10-44    
6,000
     
5,952,777

First Horizon Alternative Mortgage Securities Trust 2005-FA6,

             
      5.5%, 9-25-35    
2,265
     
2,232,213

GSR Mortgage Loan Trust 2004-2F,

             
      7.0%, 1-25-34    
1,384
     
1,441,992

J.P. Morgan Chase Commercial Mortgage Securities Corp.,
      Commercial Mortgage Pass-Through Certificates,
      Series 2004-C1,

             
      4.719%, 1-15-38    
2,000
     
1,928,103

MASTR Adjustable Rate Mortgages Trust 2005-1,

             
      5.2567%, 3-25-35    
2,981
     
2,934,332

Merrill Lynch Mortgage Trust 2005-CIP1,

             
      4.949%, 7-12-38    
2,000
     
1,968,921

Structured Adjustable Rate Mortgage Loan Trust, Mortgage
      Pass-Through Certificates:

             
      Series 2004-12,              
      5.08169%, 9-25-34    
2,982
     
2,876,548
      Series 2004-18,              
      5.19472%, 12-25-34    
4,042
     
3,964,042
      Series 2004-3AC,              
      4.9348%, 3-25-34    
2,030
     
1,992,897
      Series 2004-5,              
      4.59192%, 5-25-34    
2,017
     
1,924,663
      Series 2004-6,              
      4.69862%, 6-25-34    
987
     
944,551
      Series 2004-A,              
      4.61457%, 2-25-34    
1,476
     
1,465,534
      Series 2005-21,              
      5.70977%, 11-25-35    
1,237
     
1,204,349

Structured Adjustable Rate Mortgage Loan Trust:

             
      Series 2005-22,              
      5.63425%, 12-25-35    
1,275
     
1,236,726
      Series 2006-1,              
      6.113%, 2-25-36    
1,294
     
1,285,008

Structured Asset Securities Corporation Trust 2005-16,

             
      5.5%, 9-25-35    
3,000
     
2,898,830

Structured Asset Securities Corporation, Mortgage Pass-Through
      Certificates, Series 2003-40A,

             
      4.8237%, 1-25-34    
984
     
947,206

Wells Fargo Mortgage Pass-Through Certificates,
      Series 2003-10,

             
      4.5%, 9-25-18    
2,500
     
2,383,010
           




49,370,230
Food and Related - 0.25%              

ConAgra, Inc.,

             
      6.7%, 8-1-27    
500
   


527,997
               
Forest and Paper Products - 1.38%              

Bowater Canada Finance Corporation,

             
      7.95%, 11-15-11    
1,000
     
955,000

Champion International Corporation,

             
      6.65%, 12-15-37    
1,500
     
1,559,706

Westvaco Corporation,

             
      7.5%, 6-15-27    
364
     
376,380
           




2,891,086
Homebuilders, Mobile Homes - 1.39%              

D.R. Horton, Inc.,

             
      8.0%, 2-1-09    
1,364
     
1,427,356

Pulte Homes, Inc.,

             
      4.875%, 7-15-09    
1,500
     
1,473,379
           




2,900,735
Hospital Supply and Management - 0.96%              

HCA - The Healthcare Company,

             
      8.75%, 9-1-10    
2,000
   


2,020,000
               
Household -- General Products - 1.23%              

Procter & Gamble Company (The),

             
      8.0%, 9-1-24    
2,000
   


2,570,302
               
Household -- Major Appliances - 0.48%              

Controladora Mabe S.A. de C.V.,

             
      6.5%, 12-15-15 (A)    
1,000
   


1,009,307
               
Petroleum -- Domestic - 0.61%              

Chesapeake Energy Corporation,

             
      7.5%, 9-15-13    
1,250
   


1,268,750
               
Petroleum -- International - 1.55%              

Pemex Project Funding Master Trust,

             
      7.375%, 12-15-14    
3,000
   


3,243,000
               
Petroleum -- Services - 1.05%              

Halliburton Company,

             
      6.75%, 2-1-27    
2,000
   


2,193,200
               
Real Estate Investment Trust - 0.37%              

Diversified REIT Owner Trust 1999-1,

             
      6.78%, 3-18-11 (A)    
750
   


768,338
               
Utilities -- Electric - 1.88%              

Dominion Resources, Inc.,

             
      5.25%, 8-1-33    
2,500
     
2,420,425

HQI Transelec Chile S.A.,

             
      7.875%, 4-15-11    
750
     
797,453

Pepco Holdings, Inc.,

             
      4.0%, 5-15-10    
750
     
713,568
           




3,931,446
Utilities -- Gas and Pipeline - 0.96%              

Tennessee Gas Pipeline Company

             
      7.0%, 3-15-27    
2,000
   


2,008,378
               
Utilities -- Telephone - 2.39%              

Deutsche Telekom International Finance B.V.,

             
      8.0%, 6-15-10    
2,500
     
2,727,235

New York Telephone Company,

             
      6.7%, 11-1-23    
750
     
753,724

Pacific Bell,

             
      7.25%, 11-1-27    
750
     
781,352

Telefonos de Mexico, S.A. de C.V.,

             
      4.5%, 11-19-08    
750
     
735,122
           




4,997,433
               
TOTAL CORPORATE DEBT SECURITIES - 47.67%          
$
99,810,827

(Cost: $99,801,025)

             
               
               
OTHER GOVERNMENT SECURITIES              

               
Brazil - 0.27%              

Federative Republic of Brazil (The),

             
      9.25%, 10-22-10    
500
   


562,500
               
Canada - 0.86%              

Province de Quebec,

             
      7.14%, 2-27-26    
1,500
   


1,808,014
               
Japan - 1.20%              

Japanese Government 15 Year Floating Rate Bond,

             
      1.23%, 1-20-18 (B)
300,000
   


2,499,048
               
Supranational - 0.52%              

Inter-American Development Bank,

             
      8.4%, 9-1-09    
1,000
   


1,089,043
               
TOTAL OTHER GOVERNMENT SECURITIES - 2.85%          
$
5,958,605

(Cost: $5,657,952)

             
               
               
UNITED STATES GOVERNMENT AND GOVERNMENT AGENCY OBLIGATIONS              

               
Agency Obligations - 9.21%              

Federal Home Loan Mortgage Corporation:

             
      5.25%, 11-5-12    
5,000
     
4,951,560
      4.75%, 5-6-13    
2,000
     
1,935,262
      5.2%, 3-5-19    
2,500
     
2,430,490
      5.5%, 8-20-19    
2,500
     
2,471,662

Federal National Mortgage Association,

             
      5.3%, 2-22-11    
4,000
     
3,985,844

Tennessee Valley Authority,

             
      4.875%, 12-15-16    
3,500
     
3,500,553
           




19,275,371
Mortgage-Backed Obligations - 26.58%              

Federal Home Loan Mortgage Corporation Adjustable Rate
      Participation Certificates,

             
      5.699%, 7-1-36    
1,479
     
1,486,597

Federal Home Loan Mortgage Corporation Agency
      REMIC/CMO:

             
      5.0%, 5-15-19    
1,000
     
974,606
      5.0%, 7-15-19    
1,077
     
1,054,975
      5.0%, 5-15-23    
1,500
     
1,458,391
      6.0%, 3-15-29    
371
     
375,988
      7.5%, 9-15-29    
683
     
717,728
      4.0%, 2-15-30    
500
     
480,069
      4.25%, 3-15-31    
916
     
885,481
      5.5%, 9-15-31    
3,750
     
3,747,893
      5.0%, 9-15-32    
1,500
     
1,412,551
      5.5%, 4-15-24 (Interest Only)    
1,359
     
62,300
      5.5%, 4-15-24 (Interest Only)    
3,327
     
223,334
      5.0%, 7-15-29 (Interest Only)    
1,832
     
205,299
      5.0%, 9-15-31 (Interest Only)    
3,061
     
491,561

Federal Home Loan Mortgage Corporation Fixed Rate
      Participation Certificates:

             
      5.0%, 6-1-21    
1,978
     
1,944,215
      5.0%, 7-1-25    
2,719
     
2,641,433
      6.0%, 11-1-28    
663
     
670,404
      6.5%, 10-1-31    
128
     
130,728
      6.5%, 11-1-31    
162
     
165,758
      6.0%, 2-1-32    
322
     
324,719
      5.0%, 3-1-35    
1,751
     
1,684,752
      5.5%, 10-1-35    
1,415
     
1,396,338
      5.5%, 8-1-36    
1,998
     
1,970,730

Federal Home Loan Mortgage Corporation Non-Agency
      REMIC/CMO (Interest Only),

             
      5.5%, 12-15-13    
662
     
136,093

Federal National Mortgage Association Agency
      REMIC/CMO:

             
      5.0%, 3-25-18    
3,500
     
3,411,750
      5.0%, 6-25-18    
2,173
     
2,148,675
      5.5%, 2-25-32    
1,500
     
1,493,867
      4.0%, 11-25-32    
754
     
718,976
      4.0%, 3-25-33    
552
     
527,238
      3.5%, 8-25-33    
1,649
     
1,492,074
      5.0%, 3-25-18 (Interest Only)    
1,059
     
82,282

Federal National Mortgage Association Fixed Rate
      Pass-Through Certificates:

             
      4.0%, 11-1-18    
1,213
     
1,150,096
      5.5%, 10-1-23    
829
     
823,329
      5.0%, 4-1-24    
2,800
     
2,720,307
      5.0%, 2-1-25    
1,242
     
1,206,502
      6.0%, 12-1-28    
113
     
114,235
      5.0%, 3-1-34    
2,464
     
2,376,371
      5.5%, 1-1-17    
987
     
990,102
      6.0%, 4-1-33    
1,259
     
1,268,027
      5.5%, 6-1-33    
2,499
     
2,468,870

Federal National Mortgage Association Non-Agency
      REMIC/CMO:

             
      4.5%, 7-25-24    
1,000
     
928,687
      5.5%, 9-25-31    
1,000
     
988,556
      4.5%, 12-25-34    
2,000
     
1,903,993

Government National Mortgage Association Agency
      REMIC/CMO:

             
      5.0%, 1-20-32    
623
     
614,101
      5.5%, 6-20-28 (Interest Only)    
3,551
     
274,783

Government National Mortgage Association Fixed Rate
      Pass-Through Certificates:

             
      7.5%, 7-15-23    
30
     
31,559
      7.5%, 12-15-23    
165
     
171,813
      8.0%, 9-15-25    
62
     
65,624
      7.0%, 7-20-27    
19
     
19,525
      7.0%, 8-20-27    
53
     
55,041
      6.5%, 5-15-29    
100
     
103,162
      7.5%, 7-15-29    
33
     
34,247
      7.75%, 10-15-31    
295
     
300,468

Government National Mortgage Association Non-Agency
      REMIC/CMO,

             
      4.0%, 1-16-30    
371
     
352,085

United States Department of Veterans Affairs, Guaranteed
      REMIC Pass-Through Certificates, Vendee Mortgage Trust:

             
      2001-3 Class G,              
      6.5%, 4-15-27    
120
     
120,151
      2003-2 Class D,              
      5.0%, 11-15-23    
572
     
570,444
      2003-2 Class E,              
      5.0%, 12-15-25    
1,500
     
1,487,043
           




55,655,926
Treasury Obligations - 12.97%              

United States Treasury Bond,

             
      6.125%, 11-15-27    
2,000
     
2,339,218

United States Treasury Notes:

             
      4.0%, 4-15-10    
7,000
     
6,865,194
      5.0%, 2-15-11    
8,000
     
8,141,560
      4.0%, 2-15-15
10,250
     
9,811,577
           




27,157,549
               
TOTAL UNITED STATES GOVERNMENT AND GOVERNMENT AGENCY OBLIGATIONS - 48.76%          
$
102,088,846

(Cost: $102,423,561)

             
               
               
SHORT-TERM SECURITY - 0.72%              

               
Aluminum              

Alcoa Incorporated,

             
      5.4%, 10-2-06    
1,517
   
$
1,516,772
(Cost: $1,516,772)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
209,375,050

(Cost: $209,399,310)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 

(A)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $4,286,870 or 2.06% of total investments.

 

(B)Principal amount is denominated in the indicated foreign currency, where applicable (JPY - Japanese Yen).




The Investments of W&R Target Core Equity Portfolio
      September 30, 2006              
COMMON STOCKS    


Shares
     
Value

               
Aircraft - 5.80%              
Boeing Company (The)
   
206,500
   
$
16,282,525
Lockheed Martin Corporation
   
173,600
     
14,940,016
United Technologies Corporation
   
184,600
     
11,694,410
           




42,916,951
Banks - 4.29%              
Bank of America Corporation
   
308,800
     
16,542,416
Wells Fargo & Company
   
419,600
     
15,181,128
           




31,723,544
Beverages - 2.00%              
PepsiCo, Inc.
   
226,500
   


14,781,390
               
Capital Equipment - 1.30%              
Deere & Company
   
114,300
   


9,590,913
               
Chemicals -- Petroleum and Inorganic - 1.02%              
E.I. du Pont de Nemours and Company
   
176,600
   


7,565,544
               
Chemicals -- Specialty - 2.09%              
Air Products and Chemicals, Inc.
   
233,150
   


15,474,166
               
Communications Equipment - 2.68%              
Cisco Systems, Inc.*
   
317,000
     
7,286,245
Corning Incorporated*
   
514,800
     
12,566,268
           




19,852,513
Computers -- Main and Mini - 4.23%              
Hewlett-Packard Company
   
451,100
     
16,550,859
Xerox Corporation*
   
945,800
     
14,716,648
           




31,267,507
Computers -- Micro - 1.92%              
Apple Computer, Inc.*
   
184,200
   


14,179,716
               
Computers -- Peripherals - 5.93%              
Adobe Systems Incorporated*
   
344,100
     
12,891,707
Electronic Arts Inc.*
   
256,100
     
14,260,928
Microsoft Corporation
   
271,200
     
7,410,540
SAP Aktiengesellschaft, ADR
   
188,000
     
9,306,000
           




43,869,175
Consumer Electronics - 0.90%              
Research In Motion Limited*
   
64,700
   


6,643,073
               
Defense - 3.04%              
General Dynamics Corporation
   
314,300
   


22,525,881
               
Electronic Components - 3.46%              
Advanced Micro Devices, Inc.*
   
877,300
     
21,800,905
Broadcom Corporation, Class A*
   
125,100
     
3,794,908
           




25,595,813
Finance Companies - 2.45%              
SLM Corporation
   
349,300
   


18,156,614
               
Food and Related - 1.51%              
Campbell Soup Company
   
253,200
     
9,241,800
ConAgra Foods, Inc.
   
78,300
     
1,916,784
           




11,158,584
Health Care -- Drugs - 6.19%              
Amgen Inc.*
   
114,400
     
8,180,744
Novartis AG, Registered Shares (A)
   
149,650
     
8,736,415
Pfizer Inc.
   
878,200
     
24,905,752
Schering-Plough Corporation
   
178,300
     
3,938,647
           




45,761,558
Health Care -- General - 2.80%              
Johnson & Johnson
   
318,600
   


20,689,884
               
Hospital Supply and Management - 1.75%              
Medtronic, Inc.
   
279,250
   


12,968,370
               
Household -- General Products - 4.12%              
Colgate-Palmolive Company
   
251,800
     
15,636,780
Procter & Gamble Company (The)
   
239,300
     
14,831,814
           




30,468,594
Insurance -- Life - 1.04%              
Aflac Incorporated
   
167,500
   


7,664,800
               
Insurance -- Property and Casualty - 1.46%              
ACE Limited
   
197,700
   


10,820,121
               
Multiple Industry - 6.57%              
Altria Group, Inc.
   
143,800
     
11,007,890
General Electric Company
   
837,300
     
29,556,690
Las Vegas Sands, Inc.*
   
117,200
     
8,010,620
           




48,575,200
Petroleum -- International - 3.42%              
Exxon Mobil Corporation
   
376,976
   


25,295,090
               
Petroleum -- Services - 9.28%              
Baker Hughes Incorporated
   
227,450
     
15,512,090
Schlumberger Limited
   
323,000
     
20,035,690
Smith International, Inc.
   
355,700
     
13,801,160
Transocean Inc.*
   
54,100
     
3,961,743
Weatherford International Ltd.*
   
367,400
     
15,327,928
           




68,638,611
Railroad - 0.99%              
Union Pacific Corporation
   
83,200
   


7,321,600
               
Restaurants - 0.30%              
YUM! Brands, Inc.
   
42,400
   


2,206,920
               
Retail -- General Merchandise - 2.50%              
Kohl's Corporation*
   
113,200
     
7,348,944
Wal-Mart Stores, Inc.
   
225,900
     
11,141,388
           




18,490,332
Retail -- Specialty Stores - 1.82%              
Best Buy Co., Inc.
   
251,100
   


13,448,916
               
Security and Commodity Brokers - 6.37%              
Goldman Sachs Group, Inc. (The)
   
77,500
     
13,110,675
J.P. Morgan Chase & Co.
   
550,700
     
25,860,872
Merrill Lynch & Co., Inc.
   
104,300
     
8,158,346
           




47,129,893
Timesharing and Software - 0.98%              
Google Inc., Class A*
   
18,100
   


7,273,756
               
Utilities -- Electric - 1.03%              
Dominion Resources, Inc.
   
99,600
   


7,618,404
               
Utilities -- Telephone - 3.57%              
AT&T Inc.
   
345,000
     
11,233,200
UBS AG (A)
   
254,000
     
15,193,890
           




26,427,090
               
TOTAL COMMON STOCKS - 96.81%           $ 716,100,523

(Cost: $584,373,653)

             

             

SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     

               
Finance Companies - 0.68%              
PACCAR Financial Corp.,
             
      5.24%, 10-5-06  
$
5,000
   


4,997,089
               
Forest and Paper Products - 0.55%              
Sonoco Products Co.,
             
      5.4%, 10-2-06    
4,069
   


4,068,390
               
Leisure Time Industry - 0.62%              
Walt Disney Company (The),
             
      5.36%, 10-16-06    
4,588
   


4,577,753
               
Utilities -- Electric - 0.67%              
PacifiCorp,
             
      5.3%, 10-16-06    
5,000
   


4,988,958
               
Utilities -- Telephone - 0.67%              
BellSouth Corporation,
             
      5.25%, 10-12-06    
5,000
   


4,991,979
               
TOTAL SHORT-TERM SECURITIES - 3.19%           $ 23,624,169

(Cost: $23,624,169)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%           $ 739,724,692

(Cost: $607,997,822)

             
               

Notes to Schedule of Investments
 
Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts; REMIC - Real Estate Mortgage Investment Conduit.
 

*No dividends were paid during the preceding 12 months.

 

(A)Listed on an exchange outside the United States.

 




The Investments of W&R Target Dividend Income Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Aircraft - 2.12%              

Boeing Company (The)

   
11,669
   
$
920,101

Goodrich Corporation

   
12,706
     
514,847
           




1,434,948
Banks - 3.07%              

Bank of America Corporation

   
24,534
     
1,314,286

Mellon Financial Corporation

   
8,806
     
344,315

Wells Fargo & Company

   
11,646
     
421,352
           




2,079,953
Beverages - 2.18%              

Diageo plc, ADR

   
13,761
     
977,582

PepsiCo, Inc.

   
7,664
     
500,153
           




1,477,735
Business Equipment and Services - 0.75%              

Genuine Parts Company

   
11,845
   


510,875
               
Capital Equipment - 3.07%              

Caterpillar Inc.

   
10,853
     
714,127

Deere & Company

   
16,284
     
1,366,390
           




2,080,517
Chemicals -- Petroleum and Inorganic - 0.69%              

E.I. du Pont de Nemours and Company

   
10,882
   


466,185
               
Chemicals -- Specialty - 1.65%              

Air Products and Chemicals, Inc.

   
16,770
   


1,113,025
               
Computers -- Peripherals - 1.87%              

SAP Aktiengesellschaft, ADR

   
25,539
   


1,264,181
               
Electrical Equipment - 0.47%              

Emerson Electric Co.

   
3,809
   


319,423
               
Electronic Components - 0.92%              

Microchip Technology Incorporated

   
19,208
   


622,627
               
Finance Companies - 3.15%              

SLM Corporation

   
41,030
   


2,132,739
               
Food and Related - 0.79%              

Campbell Soup Company

   
14,720
   


537,280
               
Health Care -- Drugs - 1.11%              

Pfizer Inc.

   
26,523
   


752,192
               
Health Care -- General - 1.09%              

Johnson & Johnson

   
11,350
   


737,069
               
Hospital Supply and Management - 0.80%              

Medtronic, Inc.

   
11,598
   


538,611
               
Hotels and Gaming - 2.82%              

Harrah's Entertainment, Inc.

   
10,212
     
678,383

Starwood Hotels & Resorts Worldwide, Inc.

   
21,500
     
1,229,585
           




1,907,968
Household -- General Products - 3.22%              

Colgate-Palmolive Company

   
21,507
     
1,335,585

Procter & Gamble Company (The)

   
13,625
     
844,478
           




2,180,063
Insurance -- Life - 0.49%              

Aflac Incorporated

   
7,194
   


329,198
               
Insurance -- Property and Casualty - 3.34%              

ACE Limited

   
6,089
     
333,251

Allstate Corporation (The)

   
13,603
     
853,316

Everest Re Group, Ltd.

   
3,469
     
338,332

St. Paul Companies, Inc. (The)

   
15,743
     
738,189
           




2,263,088
Metal Fabrication - 1.10%              

Loews Corporation, Carolina Group

   
13,414
   


743,002
               
Mining - 1.02%              

Freeport-McMoRan Copper & Gold Inc., Class B

   
12,982
   


691,421
               
Multiple Industry - 5.62%              

3M Company

   
7,258
     
540,140

Altria Group, Inc.

   
20,608
     
1,577,542

General Electric Company

   
47,803
     
1,687,446
           




3,805,128
Non-Residential Construction - 2.07%              

Fluor Corporation

   
18,261
   


1,404,088
               
Petroleum -- International - 6.65%              

Anadarko Petroleum Corporation

   
23,288
     
1,020,713

BP p.l.c., ADR

   
7,201
     
472,242

ConocoPhillips

   
11,183
     
665,724

Exxon Mobil Corporation

   
30,357
     
2,036,955

Marathon Oil Corporation

   
3,966
     
304,985
           




4,500,619
Petroleum -- Services - 9.91%              

BJ Services Company

   
20,411
     
614,983

Baker Hughes Incorporated

   
21,677
     
1,478,371

Grant Prideco, Inc.*

   
12,274
     
466,780

National Oilwell Varco, Inc.*

   
11,849
     
693,759

Schlumberger Limited

   
29,939
     
1,857,116

Transocean Inc.*

   
9,182
     
672,398

Valero GP Holdings, LLC*

   
20,300
     
393,820

Weatherford International Ltd.*

   
12,674
     
528,759
           




6,705,986
Railroad - 1.01%              

Union Pacific Corporation

   
7,760
   


682,880
               
Real Estate Investment Trust - 2.71%              

Host Hotels & Resorts, Inc.

   
13,146
     
301,438

ProLogis

   
11,879
     
677,816

Simon Property Group, Inc.

   
9,437
     
855,181
           




1,834,435
Retail -- General Merchandise - 0.55%              

Federated Department Stores, Inc.

   
8,636
   


373,162
               
Security and Commodity Brokers - 6.74%              

AllianceBernstein Holding L.P.

   
22,266
     
1,536,131

Chicago Mercantile Exchange Holdings Inc.

   
3,273
     
1,565,312

J.P. Morgan Chase & Co.

   
25,116
     
1,179,447

Legg Mason, Inc.

   
2,812
     
283,618
           




4,564,508
Tobacco - 1.30%              

Reynolds American Inc.

   
14,172
   


878,239
               
Trucking and Shipping - 1.55%              

United Parcel Service, Inc., Class B

   
14,614
   


1,051,331
               
Utilities -- Electric - 1.70%              

Dominion Resources, Inc.

   
7,828
     
598,764

NRG Energy, Inc.*

   
12,221
     
553,611
           




1,152,375
Utilities -- Gas and Pipeline - 2.35%              

Enbridge Inc.

   
18,995
     
613,159

Kinder Morgan, Inc.

   
9,308
     
975,944
           




1,589,103
Utilities -- Telephone - 2.94%              

BellSouth Corporation

   
14,404
     
615,771

Iowa Telecommunications Services, Inc.

   
35,038
     
693,402

Windstream Corporation

   
51,514
     
679,470
           




1,988,643
               
TOTAL COMMON STOCKS - 80.82%          
$
54,712,597

(Cost: $46,826,342)

             

             

SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     

               
Certificate of Deposit - 2.96%              
Banks              

Wells Fargo Bank, N.A.,

             
      5.27%, 10-18-06  
 $
2,000
   


2,000,000
               
Commercial Paper              
Aircraft - 2.95%              

United Technologies Corporation,

             
      5.32%, 10-6-06    
2,000
   


1,998,522
               
Aluminum - 3.69%              

Alcoa Incorporated,

             
      5.4%, 10-2-06    
2,500
   


2,499,625
               
Capital Equipment - 2.94%              

Deere (John) Credit Limited (Deere (John) Capital Corporation),

             
      5.33%, 11-3-06    
2,000
   


1,990,229
               
Finance Companies - 3.68%              

General Electric Capital Corporation,

             
      5.23%, 10-27-06    
1,500
     
1,494,334

Preferred Receivables Funding Corp.,

             
      5.26%, 10-19-06    
1,000
     
997,370
           




2,491,704
Leisure Time Industry - 2.96%              

Walt Disney Company (The),

             
      5.36%, 10-16-06    
2,005
   


2,000,522
               
Total Commercial Paper - 16.22%            
10,980,602

               
TOTAL SHORT-TERM SECURITIES - 19.18%          
$
12,980,602

(Cost: $12,980,602)

             
               
TOTAL INVESTMENT SECURITIES - 100%          
$
67,693,199

(Cost: $59,806,944)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 

*No income dividends were paid during the preceding 12 months.




The Investments of W&R Target Energy Portfolio

      September 30, 2006

             
COMMON STOCKS  


Shares
   
Value

               
Business Equipment and Services - 2.19%              

Bucyrus International, Inc., Class A

   
1,150
   
$
48,777

Headwaters Incorporated*

   
1,300
     
30,355

Jacobs Engineering Group Inc.*

   
550
     
41,101
           




120,233
Capital Equipment - 3.97%              

Cameron International Corporation*

   
2,400
     
115,944

Shaw Group Inc. (The)*

   
1,450
     
34,278

SunPower Corporation, Class A*

   
1,100
     
30,509

Suntech Power Holdings Co., Ltd., ADR*

   
1,450
     
37,454
           




218,185
Chemicals -- Specialty - 0.61%              

VeraSun Energy Corporation*

   
2,100
   


33,705
               
Coal - 3.20%              

Alpha Natural Resources, Inc.*

   
2,300
     
36,248

Foundation Coal Holdings, Inc.

   
1,200
     
38,844

Massey Energy Company

   
1,300
     
27,222

Peabody Energy Corporation

   
2,000
     
73,560
           




175,874
Electrical Equipment - 0.30%              

Hydrogenics Corporation*

12,200
   


16,531
               
Electronic Components - 0.47%              

Evergreen Solar, Inc.*

   
3,100
   


25,699
               
Electronic Instruments - 0.84%              

Energy Conversion Devices, Inc.*

   
1,250
   


46,275
               
Food and Related - 1.07%              

Archer Daniels Midland Company

   
1,550
   


58,714
               
Mining - 1.57%              

Arch Coal, Inc.

   
1,350
     
39,028

Cameco Corporation

   
1,300
     
47,541
           




86,569
Multiple Industry - 1.79%              

General Electric Company

   
1,500
     
52,950

Technip SA, ADR

   
800
     
45,576
           




98,526
Non-Residential Construction - 1.61%              

Fluor Corporation

   
1,150
   


88,423
               
Petroleum -- Canada - 0.85%              

Suncor Energy Inc.

   
650
   


46,833
               
Petroleum -- Domestic - 1.59%              

Sunoco, Inc.

   
1,000
     
62,190

XTO Energy Inc.

   
600
     
25,278
           




87,468
Petroleum -- International - 27.94%              

Anadarko Petroleum Corporation

   
2,200
     
96,426

Apache Corporation

   
1,650
     
104,280

BP p.l.c., ADR

   
1,850
     
121,323

CNOOC Limited, ADR

   
300
     
24,987

ConocoPhillips

   
1,600
     
95,248

Devon Energy Corporation

   
1,650
     
104,198

EOG Resources, Inc.

   
1,650
     
107,332

EnCana Corporation

   
1,200
     
56,028

Exxon Mobil Corporation

   
2,450
     
164,395

Hess Corporation

   
1,050
     
43,491

Marathon Oil Corporation

   
1,050
     
80,745

Newfield Exploration Company*

   
3,250
     
125,255

Noble Energy, Inc.

   
2,300
     
104,857

Occidental Petroleum Corporation

   
2,100
     
101,031

PetroChina Company Limited, ADR

   
250
     
26,913

Petroleo Brasileiro S.A. - Petrobras, ADR

   
300
     
25,149

Statoil ASA, ADR

   
1,600
     
38,112

TOTAL S.A., ADR

   
400
     
26,376

Talisman Energy Inc.

   
5,550
     
90,909
           




1,537,055
Petroleum -- Services - 27.18%              

BJ Services Company

   
3,100
     
93,403

Baker Hughes Incorporated

   
2,400
     
163,680

Complete Production Services, Inc.*

   
4,850
     
95,739

ENSCO International Incorporated

   
1,650
     
72,319

Grant Prideco, Inc.*

   
2,650
     
100,779

Halliburton Company

   
2,750
     
78,237

Nabors Industries Ltd.*

   
4,450
     
132,388

National Oilwell Varco, Inc.*

   
2,400
     
140,520

Schlumberger Limited

   
2,750
     
170,583

Smith International, Inc.

   
2,500
     
97,000

TODCO, Class A*

   
2,150
     
74,390

Transocean Inc.*

   
1,300
     
95,199

Valero Energy Corporation

   
1,250
     
64,338

Weatherford International Ltd.*

   
2,800
     
116,816
           




1,495,391
Utilities -- Electric - 3.79%              

Entergy Corporation

   
1,350
     
105,610

Exelon Corporation

   
1,700
     
102,918
           




208,528
Utilities -- Gas and Pipeline - 4.25%              

Enbridge Inc.

   
3,100
     
100,068

Kinder Morgan, Inc.

   
1,050
     
110,093

Southwestern Energy Company*

   
800
     
23,896
           




234,057
               
TOTAL COMMON STOCKS - 83.22%          
$
4,578,066

(Cost: $5,125,163)

             
               
               
SHORT-TERM SECURITY - 16.78%  
Principal
Amount in
Thousands
     

               
Repurchase Agreement              

J.P. Morgan Securities, Inc.,
      4.9% Repurchase Agreement dated 9-29-06
      to be repurchased at $923,377 on 10-2-06 (A)

 
$
923
   
$
923,000
(Cost: $923,000)

               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
5,501,066

(Cost: $6,048,163)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 

*No dividends were paid during the preceding 12 months.

 

(A)Collateralized by $923,000 United States Treasury Bond, 6.125% due 8-15-29; market value and accrued interest aggregate $1,095,957.






The Investments of W&R Target Global Natural Resources Portfolio  
      September 30, 2006                
COMMON STOCKS  


Shares
   
Value
 

                 
Australia - 1.18%                
Lihir Gold Limited (A)*
   
383,500
   
$
826,028
 
Sino Gold Limited (A)*
   
20,299
     
63,541
 
           




889,569
 
Bermuda - 0.83%                
China Gas Holdings Limited (A)
1,359,500
     
223,365
 
Tsakos Energy Navigation Limited
   
2,000
     
89,200
 
Weatherford International Ltd.*
   
7,500
     
312,900
 
           




625,465
 
Brazil - 12.95%                
Aracruz Celulose S.A., ADR
   
14,500
     
721,665
 
Arcelor Brasil S.A. (A)
   
13,100
     
230,333
 
Bradespar S.A. (A)
   
15,900
     
531,633
 
CPFL Energia S.A., ADR
   
4,600
     
176,778
 
Companhia Energetica de Minas Gerais - CEMIG, ADR
   
15,400
     
604,450
 
Companhia Siderurgica Nacional (A)
   
25,600
     
727,039
 
Companhia Siderurgica Nacional, ADR
   
33,700
     
958,091
 
Companhia Vale do Rio Doce, ADR
   
104,800
     
2,259,488
 
Companhia Vale do Rio Doce, Class A (A)
   
12,760
     
235,916
 
Companhia de Saneamento Basico do Estado de Sao
      Paulo - SABESP, ADR
   
15,900
     
478,590
 
Cosan S.A. Industria e Comercio (A)*
   
18,800
     
304,788
 
Petroleo Brasileiro S.A. - Petrobras, ADR
   
4,200
     
352,086
 
Suzano Bahia Sul Papel E Celulose S.A. (A)
   
197,700
     
1,377,526
 
Votorantim Celulose e Papel S.A. (A)
   
14,000
     
236,628
 
Votorantim Celulose e Papel S.A., ADR
   
32,700
     
553,938
 
           




9,748,949
 
Canada - 10.36%                
Agnico-Eagle Mines Limited (A)
   
9,200
     
284,869
 
Barrick Gold Corporation (A)
   
94,000
     
2,887,082
 
Breaker Energy Ltd., Class A (A)*
   
43,000
     
230,821
 
Cambior Inc. (A)*
   
277,800
     
974,257
 
Canadian National Railway Company (A)
   
2,000
     
83,650
 
Crew Energy Inc. (A)*
   
19,600
     
207,968
 
Eldorado Gold Corporation (A)*
   
74,800
     
324,563
 
Highpine Oil & Gas Limited (A)*
   
7,500
     
114,001
 
IAMGOLD Corporation (A)
   
53,300
     
450,624
 
Kinross Gold Corporation (A)*
   
97,300
     
1,217,828
 
Pason Systems Inc. (A)
   
18,600
     
262,588
 
Pure Energy Services Ltd. (A)(B)*
   
9,000
     
121,986
 
Savanna Energy Services Corp. (A)*
   
9,500
     
155,536
 
Trican Well Service Ltd. (A)
   
22,400
     
377,358
 
zed.i solutions inc. (A)*
   
100,900
     
104,714
 
           




7,797,845
 
Cayman Islands - 4.93%                
Apex Silver Mines Limited (A)*
   
46,600
     
776,356
 
Noble Corporation (A)
   
39,500
     
2,535,110
 
Transocean Inc.*
   
5,400
     
395,442
 
           




3,706,908
 
China - 0.34%                
Xinao Gas Holdings Limited (A)
   
250,000
   


256,718
 
                 
France - 0.27%                
L'Air Liquide S.A. (A)*
   
1,000
   


204,030
 
                 
Germany - 0.86%                
Siemens AG (A)
   
3,000
     
261,764
 
Wacker Chemie AG (A)*
   
3,300
     
389,166
 
           




650,930
 
Japan - 0.13%                
Sumitomo Titanium Corporation (A)
   
800
   


95,153
 
                 
Mexico - 2.08%                
Cemex, S.A. de C.V., ADR*
   
52,000
   


1,564,160
 
                 
Peru - 0.84%                
Compania de Minas Buenaventura S.A.A., ADR
   
23,400
   


631,800
 
                 
South Africa - 3.45%                
Gold Fields Limited, ADR
   
112,200
     
2,001,648
 
Impala Platinum Holdings Limited (A)
   
2,600
     
428,952
 
Mvelaphanda Resources Limited (A)*
   
37,400
     
162,061
 
           




2,592,661
 
South Korea - 1.06%                
GS Holdings Corp. (A)
   
22,730
   


795,100
 
                 
Thailand - 3.35%                
Banpu Public Company Limited, Registered Shares (A)
   
61,600
     
239,414
 
PTT Public Company Limited (A)
   
246,900
     
1,419,683
 
Rayong Refinery Public Company Limited (A)*
   
280,600
     
142,672
 
Thai Oil Public Company Limited (A)
   
449,000
     
717,157
 
           




2,518,926
 
United Kingdom - 1.35%                
Randgold Resources Limited, ADR (A)*
   
41,700
     
849,637
 
Titanium Resources Group Ltd. (A)*
   
146,000
     
169,485
 
           




1,019,122
 
United States - 37.80%                
Air Products and Chemicals, Inc.
   
35,500
     
2,356,135
 
Alpha Natural Resources, Inc.*
   
44,900
     
707,624
 
Applied Materials, Inc.
   
9,400
     
166,568
 
Arch Coal, Inc.
   
75,300
     
2,176,923
 
Atwood Oceanics, Inc.*
   
22,400
     
1,007,328
 
Aventine Renewable Energy Holdings, Inc.*
   
14,800
     
316,572
 
Avery Dennison Corporation
   
7,000
     
421,190
 
Baker Hughes Incorporated
   
21,500
     
1,466,300
 
Bunge Limited
   
20,600
     
1,193,770
 
CONSOL Energy Inc.
   
19,000
     
602,870
 
Cameron International Corporation*
   
16,000
     
772,960
 
Celanese Corporation, Series A
   
34,000
     
608,600
 
ConocoPhillips
   
9,500
     
565,535
 
Diamond Offshore Drilling, Inc.
   
18,700
     
1,353,319
 
Exxon Mobil Corporation
   
11,200
     
751,520
 
Foundation Coal Holdings, Inc.
   
19,000
     
615,030
 
GlobalSanteFe Corporation
   
28,100
     
1,404,719
 
Grant Prideco, Inc.*
   
20,700
     
787,221
 
Helmerich & Payne, Inc.
   
14,000
     
322,420
 
Hexcel Corporation*
   
37,000
     
523,550
 
Horizon Offshore, Inc.*
   
7,400
     
126,466
 
iShares Silver Trust*
   
2,700
     
309,177
 
MEMC Electronic Materials, Inc.*
   
19,000
     
695,970
 
Nalco Holdings LLC*
   
28,100
     
520,412
 
Peabody Energy Corporation
   
41,200
     
1,515,336
 
Praxair, Inc.
   
28,300
     
1,674,228
 
Rohm and Haas Company
   
20,600
     
975,410
 
Smith International, Inc.
   
45,300
     
1,757,640
 
streetTRACKS Gold Trust*
   
6,400
     
380,416
 
Valero Energy Corporation
   
37,400
     
1,924,978
 
VeraSun Energy Corporation*
   
28,300
     
454,215
 
           




28,454,402
 
                 
TOTAL COMMON STOCKS - 81.78%          
$
61,551,738
 

(Cost: $58,762,930)
               
                 
                 
CORPORATE DEBT SECURITY - 0.12%  
Principal
Amount in
Thousands
       

Brazil                
Bahia Sul Celulose S.A. (B)(C)
BRL 180
   
$
88,906
 
(Cost: $89,429)

                 
                 
UNREALIZED GAIN (LOSS) ON OPEN
FORWARD CURRENCY CONTRACTS - 0.00%
 
Face
Amount in
Thousands
       

                 
Brazilian Real, 10-18-06 (C)
BRL 520
     
(8,767
)
Brazilian Real, 11-22-06 (C)
   
1,270
     
4,320
 
Canadian Dollar, 10-18-06 (C)
CAD 3,440
     
(41,046
)
Canadian Dollar, 11-22-06 (C)
   
3,590
     
7,557
 
South African Rand, 10-18-06 (C)
ZAR 2,560
     
18,333
 
South African Rand, 11-22-06 (C)
   
560
     
7,315
 
South African Rand, 12-13-06 (C)
   
1,600
     
14,349
 
           

$

2,061
 
                 
SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
       

                 
Aircraft - 2.66%                
United Technologies Corporation,
               
      5.32%, 10-6-06  
$
2,000
   


1,998,522
 
                 
Aluminum - 2.66%                
Alcoa Incorporated,
               
      5.4%, 10-2-06    
2,000
   


1,999,700
 
                 
Capital Equipment - 2.64%                
Deere (John) Credit Limited (Deere (John) Capital Corporation),
               
      5.33%, 11-3-06    
2,000
   


1,990,229
 
                 
Finance Companies - 1.85%                
Preferred Receivables Funding Corp.,
               
      5.26%, 10-19-06    
1,400
   


1,396,318
 
                 
Food and Related - 3.45%                
McCormick & Co. Inc.,
               
      5.37%, 10-2-06    
2,600
   


2,599,612
 
                 
Multiple Industry - 1.99%                
General Electric Capital Corporation,
               
      5.23%, 10-27-06    
1,500
   


1,494,334
 
                 
Retail -- Specialty Stores - 2.85%                
Home Depot, Inc. (The),
               
      5.36%, 10-2-06    
2,148
   


2,147,680
 
                 
TOTAL SHORT-TERM SECURITIES - 18.10%          
$
13,626,395
 

(Cost: $13,626,395)
               
                 
TOTAL INVESTMENT SECURITIES - 100.00%          
$
75,269,100
 

(Cost: $72,478,754)
               
                 

Notes to Schedule of Investments
 
Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts; REMIC - Real Estate Mortgage Investment Conduit.
 
*No dividends were paid during the preceding 12 months.
 
(A)Listed on an exchange outside the United States.
 
(B)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $210,892 or 0.28% of total investments.
 
(C)Principal amounts are denominated in the indicated foreign currency, where applicable (BRL - Brazilian Real, CAD - Canadian Dollar, ZAR - South African Rand).
 





The Investments of W&R Target Growth Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Air Transportation - 0.57%              

Gol Linhas Aereas Inteligentes S.A., ADR

   
195,000
   
$
6,698,250
               
Aircraft - 1.21%              

Boeing Company (The)

   
180,000
   


14,193,000
               
Beverages - 3.43%              

PepsiCo, Inc.

   
615,000
   


40,134,900
               
Business Equipment and Services - 1.79%              

CheckFree Corporation*

   
505,000
   


20,869,125
               
Chemicals -- Petroleum and Inorganic - 3.42%              

Monsanto Company

   
850,000
   


39,958,500
               
Communications Equipment - 5.48%              

Cisco Systems, Inc.*

2,180,000
     
50,107,300

QUALCOMM Incorporated

   
385,000
     
13,998,600
           




64,105,900
Computers -- Micro - 2.50%              

Apple Computer, Inc.*

   
380,000
   


29,252,400
               
Computers -- Peripherals - 5.50%              

Adobe Systems Incorporated*

   
540,000
     
20,231,100

Electronic Arts Inc.*

   
315,000
     
17,540,775

Microsoft Corporation

   
535,000
     
14,618,875

SAP Aktiengesellschaft, ADR

   
240,000
     
11,880,000
           




64,270,750
Consumer Electronics - 0.68%              

Harman International Industries, Incorporated

   
95,600
   


7,976,864
               
Defense - 2.60%              

General Dynamics Corporation

   
424,600
   


30,431,082
               
Electrical Equipment - 1.79%              

Emerson Electric Co.

   
250,000
   


20,965,000
               
Electronic Components -3.48%              

Broadcom Corporation, Class A*

   
322,500
     
9,783,038

Microchip Technology Incorporated

   
953,600
     
30,910,944
           




40,693,982
Finance Companies - 2.94%              

SLM Corporation

   
660,400
   


34,327,592
               
Food and Related - 0.45%              

Archer Daniels Midland Company

   
140,000
   


5,303,200
               
Health Care -- Drugs - 12.34%              

Abbott Laboratories

   
255,000
     
12,382,800

Alcon, Inc.

   
122,100
     
13,980,450

Allergan, Inc.

   
185,500
     
20,889,155

Amgen Inc.*

   
125,000
     
8,938,750

Genentech, Inc.*

   
505,000
     
41,763,500

Gilead Sciences, Inc.*

   
497,400
     
34,173,867

Schering-Plough Corporation

   
550,000
     
12,149,500
           




144,278,022
Health Care -- General - 4.62%              

Baxter International Inc.

   
380,000
     
17,274,800

DENTSPLY International Inc.

   
365,000
     
10,999,275

Johnson & Johnson

   
223,300
     
14,501,102

Roche Holding Ltd, ADR

   
130,000
     
11,274,250
           




54,049,427
Hospital Supply and Management - 1.44%              

Medtronic, Inc.

   
361,900
   


16,806,636
               
Hotels and Gaming - 1.67%              

International Game Technology

   
360,000
     
14,940,000

Shuffle Master, Inc.

   
170,000
     
4,589,150
           




19,529,150
Household -- General Products - 7.22%              

Colgate-Palmolive Company

   
715,000
     
44,401,500

Procter & Gamble Company (The)

   
645,000
     
39,977,100
           




84,378,600
Insurance -- Life - 1.00%              

Aflac Incorporated

   
255,000
   


11,668,800
               
Multiple Industry - 4.47%              

General Electric Company

   
891,400
     
31,466,420

Las Vegas Sands, Inc.*

   
303,900
     
20,771,565
           




52,237,985
Petroleum -- Services - 7.98%              

Baker Hughes Incorporated

   
108,900
     
7,426,980

Schlumberger Limited

   
725,000
     
44,971,750

Smith International, Inc.

1,052,800
     
40,848,640
           




93,247,370
Restaurants - 0.45%              

Panera Bread Company, Class A*

   
90,000
   


5,246,100
               
Retail -- Food Stores - 2.19%              

Walgreen Co.

   
576,900
   


25,608,591
               
Security and Commodity Brokers - 6.52%              

Chicago Mercantile Exchange Holdings Inc.

   
78,200
     
37,399,150

Franklin Resources, Inc.

   
70,500
     
7,455,375

Goldman Sachs Group, Inc. (The)

   
117,600
     
19,894,392

Legg Mason, Inc.

   
113,700
     
11,467,782
           




76,216,699
Timesharing and Software - 8.17%              

Automatic Data Processing, Inc.

   
375,000
     
17,752,500

Google Inc., Class A*

   
114,160
     
45,876,908

Paychex, Inc.

   
865,000
     
31,849,300
           




95,478,708
Trucking and Shipping - 1.81%              

Expeditors International of Washington, Inc.

   
476,000
   


21,222,460
               
Utilities -- Telephone - 2.03%              

UBS AG

   
400,000
   


23,724,000
               
TOTAL COMMON STOCKS - 97.75%          
$
1,142,873,093

(Cost: $934,229,065)

             

             

SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     

               
Capital Equipment - 0.43%              

Deere (John) Credit Limited (Deere (John) Capital Corporation)

 
$
5,000
   


4,975,571
               
Insurance -- Life - 0.43%              

American General Finance Corporation

   
5,000
   


4,992,708
               
Food and Related - 0.28%              

McCormick & Co. Inc.

   
3,329
   


3,328,504
               
Leisure Time Industry - 0.26%              

Walt Disney Company (The)

   
3,000
   


2,993,300
               
Mining - 0.85%              

BHP Billiton Finance (USA) Limited (BHP Billiton Limited)

   
10,000
   


9,973,650
               
TOTAL SHORT-TERM SECURITIES - 2.25%          
$
26,263,733

(Cost: $26,263,733)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
1,169,136,826

(Cost: $960,492,798)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 
*No dividends were paid during the preceding 12 months.




The Investments of W&R Target High Income Portfolio
September 30, 2006
             
COMMON STOCKS, RIGHT AND WARRANT  


Shares
   
Value

               
Broadcasting - 0.07%              

Citadel Broadcasting Corporation

   
15,000
   
$
141,000
               
Capital Equipment - 0.34%              

Dresser-Rand Group Inc.*

   
21,000
     
428,400

Goodman Global, Inc.*

   
16,000
     
213,600
           




642,000
Finance Companies - 0.00%              

ONO Finance Plc, Rights (A)*

   
250
   


5,000
               
Health Care -- Drugs - 0.16%              

Elan Corporation, plc, ADR*

   
20,000
   


307,600
               
Hospital Supply and Management - 0.23%              

Triad Hospitals, Inc.*

   
10,000
   


440,300
               
Hotels and Gaming - 0.18%              

Pinnacle Entertainment, Inc.*

   
12,500
   


351,500
               
Petroleum -- Services - 0.61%              

BJ Services Company

   
5,000
     
150,650

Baker Hughes Incorporated

   
5,000
     
341,000

Diamond Offshore Drilling, Inc.

   
5,000
     
361,850

Schlumberger Limited

   
5,000
     
310,150
           




1,163,650
Timesharing and Software - 0.43%              

Alliance Data Systems Corporation*

   
15,000
   


827,850
               
Utilities -- Gas and Pipeline - 0.31%              

Williams Companies, Inc. (The)

   
25,000
   


596,750
               
Utilities -- Telephone - 0.00%              

GT Group Telecom, Inc., Warrants (A)(B)*

   
300
   


- -
**
               
TOTAL COMMON STOCKS, RIGHT AND
WARRANT - 2.33%
         
$
4,475,650

(Cost: $3,968,178)
             
               
               
PREFERRED STOCKS              

               
Apparel - 0.00%              

Anvil Holdings, Inc., 13.0% (B)*

   
65,627
   


66
               
Broadcasting - 0.00%              

Adelphia Communications Corporation, 13.0%*

   
12,500
   


6,250
               
TOTAL PREFERRED STOCKS - 0.00%          
$
6,316

(Cost: $1,942,028)
             
               
               
CORPORATE DEBT SECURITIES  
Principal Amount in Thousands
     

               
Aircraft - 0.99%              

Esterline Technologies Corporation,

             
      7.75%, 6-15-13  
$
750
     
757,500

L-3 Communications Corporation:

             
      6.125%, 1-15-14    
200
     
194,000
      5.875%, 1-15-15    
1,000
     
950,000
           




1,901,500
Aluminum - 0.16%              

Century Aluminum Company,

             
      7.5%, 8-15-14    
300
   


300,000
               
Apparel - 0.52%              

Oxford Industries, Inc.,

             
      8.875%, 6-1-11    
500
     
510,000

Perry Ellis International, Inc.,

             
      8.875%, 9-15-13    
500
     
492,500
           




1,002,500
Beverages - 0.93%              

Constellation Brands, Inc.,

             
      7.25%, 9-1-16    
750
     
758,437

Cott Beverages Inc.,

             
      8.0%, 12-15-11    
1,000
     
1,020,000
           




1,778,437
Broadcasting - 5.51%              

CSC Holdings, Inc.,

             
      7.25%, 4-15-12 (A)    
425
     
423,406

Cablevision Systems Corporation,

             
      9.62%, 4-1-09    
1,835
     
1,951,981

Charter Communications Operating, LLC and Charter
      Communications Operating Capital Corp.,

             
      8.0%, 4-30-12 (A)    
1,000
     
1,007,500

EchoStar DBS Corporation,

             
      8.75813%, 10-1-08    
1,500
     
1,515,000

Gray Communications Systems, Inc.,

             
      9.25%, 12-15-11    
500
     
523,125

Insight Communications Company, Inc.,

             
      12.25%, 2-15-11    
1,500
     
1,590,000

PanAmSat Corporation:

             
      6.375%, 1-15-08    
500
     
498,750
      9.0%, 6-15-16 (A)    
1,000
     
1,030,000

Radio One, Inc.,

             
      8.875%, 7-1-11    
2,000
     
2,042,500
           




10,582,262
Business Equipment and Services - 9.75%              

Allied Waste North America, Inc.:

             
      8.5%, 12-1-08    
1,000
     
1,047,500
      7.125%, 5-15-16    
2,000
     
1,972,500

Carriage Services, Inc.,

             
      7.875%, 1-15-15    
150
     
145,875

Corrections Corporation of America,

             
      7.5%, 5-1-11    
1,000
     
1,022,500

Education Management LLC and Education Management
      Finance Corp.:

             
      8.75%, 6-1-14 (A)    
1,000
     
1,010,000
      10.25%, 6-1-16 (A)    
700
     
715,750

Hughes Network Systems, LLC, and HNS Finance Corp.,

             
      9.5%, 4-15-14 (A)    
240
     
247,200

Iron Mountain Incorporated,

             
      8.625%, 4-1-13    
1,500
     
1,533,750

Lamar Advertising Company,

             
      6.625%, 8-15-15    
2,000
     
1,917,500

Lamar Media Corp.,

             
      6.625%, 8-15-15 (A)    
500
     
479,375

R.H. Donnelley Finance Corporation III,

             
      8.875%, 1-15-16    
750
     
751,875

Service Corporation International,

             
      7.625%, 10-1-18 (A)    
1,000
     
1,006,250

SunGard Data Systems Inc.:

             
      3.75%, 1-15-09    
2,000
     
1,870,000
      10.25%, 8-15-15    
3,000
     
3,090,000

Syniverse Technologies, Inc.,

             
      7.75%, 8-15-13    
2,000
     
1,925,000
           




18,735,075
Capital Equipment - 3.18%              

Case New Holland Inc.:

             
      9.25%, 8-1-11    
2,000
     
2,120,000
      7.125%, 3-1-14    
320
     
321,200

Dresser-Rand Group Inc.,

             
      7.375%, 11-1-14    
350
     
343,875

Mueller Group, Inc.,

             
      10.0%, 5-1-12    
650
     
706,062

Simmons Bedding Company,

             
      7.875%, 1-15-14    
1,225
     
1,188,250

Simmons Company,

             
      0.0%, 12-15-14 (C)    
2,000
     
1,425,000
           




6,104,387
Chemicals -- Petroleum and Inorganic - 0.68%              

Nalco Company,

             
      7.75%, 11-15-11    
750
     
765,000

PolyOne Corporation,

             
      10.625%, 5-15-10    
500
     
537,500
           




1,302,500
Chemicals -- Specialty - 2.70%              

Compass Minerals International, Inc.:

             
      0.0%, 12-15-12 (C)    
1,920
     
1,852,800
      0.0%, 6-1-13 (C)    
2,750
     
2,557,500

Ethyl Corporation,

             
      8.875%, 5-1-10    
250
     
260,000

VeraSun Energy Corporation,

             
      9.875%, 12-15-12    
500
     
522,500
           




5,192,800
               
Coal - 0.73%              

James River Coal Company,

             
      9.375%, 6-1-12    
1,550
   


1,395,000
               
Computers -- Main and Mini - 0.87%              

Xerox Corporation:

             
      6.4%, 3-15-16    
1,000
     
995,000
      6.75%, 2-1-17    
675
     
685,125
           




1,680,125
Computers -- Peripherals - 1.05%              

ASG Consolidated LLC and ASG Finance, Inc.,

             
      0.0%, 11-1-11 (C)    
2,325
   


2,022,750
               
Construction Materials - 6.88%              

AMH Holdings, Inc.,

             
      0.0%, 3-1-14 (C)    
1,000
     
550,000

Ames True Temper, Inc.,

             
      9.50688%, 1-15-12    
1,650
     
1,658,250

Associated Materials Incorporated,

             
      9.75%, 4-15-12    
525
     
523,687

Brand Services, Inc.,

             
      12.0%, 10-15-12    
650
     
729,807

Builders FirstSource, Inc.,

             
      9.655%, 2-15-12    
2,900
     
2,842,000

Interface, Inc.:

             
      10.375%, 2-1-10    
445
     
485,050
      9.5%, 2-1-14    
2,000
     
2,060,000

Jacuzzi Brands, Inc.,

             
      9.625%, 7-1-10    
1,860
     
1,971,600

Ply Gem Industries, Inc.,

             
      9.0%, 2-15-12    
3,000
     
2,392,500
           




13,212,894
Containers - 4.33%              

Alltrista Corporation,

             
      9.75%, 5-1-12    
250
     
263,750

BPC Holding Corporation:

             
      8.875%, 9-15-14 (A)    
300
     
301,500
      9.265%, 9-15-14 (A)    
1,500
     
1,507,500

Graham Packaging Company, L.P. and GPC Capital Corp. I:

             
      8.5%, 10-15-12    
150
     
148,500
      9.875%, 10-15-14    
300
     
294,750

MDP Acquisitions plc,

             
      9.625%, 10-1-12    
900
     
949,500

Owens-Brockway Glass Container Inc.,

             
      8.75%, 11-15-12    
750
     
791,250

Owens-Illinois, Inc.,

             
      7.35%, 5-15-08    
2,500
     
2,518,750

Stone Container Corporation,

             
      9.75%, 2-1-11    
1,500
     
1,545,000
           




8,320,500
Defense - 0.94%              

Armor Holdings, Inc.,

             
      8.25%, 8-15-13    
1,750
   


1,811,250
               
Electronic Components - 0.77%              

Amkor Technology, Inc.,

             
      9.25%, 6-1-16    
200
     
187,500

Seagate Technology HDD Holdings,

             
      6.8%, 10-1-16    
800
     
796,000

Viasystems, Inc.,

             
      10.5%, 1-15-11    
500
     
491,250
           




1,474,750
Finance Companies - 6.98%              

CCO Holdings, LLC and CCO Holdings Capital Corp.,

             
      9.515%, 12-15-10    
1,500
     
1,533,750

Case Credit Corporation,

             
      6.75%, 10-21-07    
1,000
     
1,002,500

Dollar Financial Group, Inc.,

             
      9.75%, 11-15-11    
263
     
286,918

Ferrellgas, L.P. and Ferrellgas Finance Corp.,

             
      6.75%, 5-1-14    
500
     
488,750

Goodman Global Holdings, Inc.:

             
      8.32938%, 6-15-12    
965
     
978,269
      7.875%, 12-15-12    
1,605
     
1,528,763

MSW Energy Holdings LLC and MSW Energy Finance Co., Inc.,

             
      8.5%, 9-1-10    
300
     
309,000

Norcraft Companies, L.P. and Norcraft Finance Corp.,

             
      0.0%, 9-1-12 (C)    
1,600
     
1,296,000

PIH Acquisition Co.,

             
      10.75%, 10-1-13 (A)    
475
     
479,750

Toll Corp.,

             
      8.25%, 12-1-11    
890
     
910,025

Verso Paper Holdings LLC and Verso Paper Inc.:

             
      9.125%, 8-1-14 (A)    
650
     
654,063
      9.235%, 8-1-14 (A)    
325
     
328,250
      11.375%, 8-1-16 (A)    
325
     
322,563

Visant Holding Corp.,

             
      8.75%, 12-1-13 (A)    
2,250
     
2,264,063

Xerox Capital Trust I,

             
      8.0%, 2-1-27    
1,000
     
1,020,000
           




13,402,664
Food and Related - 2.95%              

Gold Kist Inc.,

             
      10.25%, 3-15-14    
650
     
747,500

Pierre Merger Corp.,

             
      9.875%, 7-15-12    
1,970
     
1,999,550

Pinnacle Foods Holding Corporation,

             
      8.25%, 12-1-13    
2,500
     
2,503,125

Reddy Ice Holdings, Inc.,

             
      0.0%, 11-1-12 (C)    
475
     
410,875
           




5,661,050
Forest and Paper Products - 2.87%              

Buckeye Cellulose Corporation,

             
      9.25%, 9-15-08    
1,500
     
1,500,000

Buckeye Technologies Inc.:

             
      8.0%, 10-15-10    
2,300
     
2,208,000
      8.5%, 10-1-13    
1,250
     
1,253,125

Tembec Industries Inc.,

             
      8.625%, 6-30-09    
1,000
     
555,000
           




5,516,125
Health Care -- General - 1.01%              

Encore Medical IHC, Inc.,

             
      9.75%, 10-1-12    
1,763
   


1,939,300
               
Homebuilders, Mobile Homes - 1.30%              

Standard Pacific Corp.,

             
      6.5%, 8-15-10    
450
     
423,000

Stanley-Martin Communities, LLC and Stanley-Martin
      Financing Corp.,

             
      9.75%, 8-15-15    
1,000
     
792,500

Technical Olympic USA, Inc.:

             
      9.0%, 7-1-10    
500
     
475,625
      7.5%, 3-15-11    
1,000
     
805,000
           




2,496,125
Hospital Supply and Management - 4.97%              

HCA Inc.,

             
      6.375%, 1-15-15    
670
     
541,025

Psychiatric Solutions, Inc.:

             
      10.625%, 6-15-13    
1,467
     
1,595,363
      7.75%, 7-15-15    
1,500
     
1,462,500

Rural/Metro Corporation,

             
      0.0%, 3-15-16 (C)    
1,640
     
1,197,200

Rural/Metro Operating Company, LLC and Rural/Metro
      (Delaware) Inc.,

             
      9.875%, 3-15-15    
1,100
     
1,137,125

Tenet Healthcare Corporation,

             
      9.875%, 7-1-14    
1,280
     
1,275,200

Triad Hospitals, Inc.,

             
      7.0%, 11-15-13    
500
     
485,625

US Oncology Holdings, Inc.,

             
      10.675%, 3-15-15    
1,400
     
1,428,000

US Oncology, Inc.:

             
      9.0%, 8-15-12    
250
     
258,750
      10.75%, 8-15-14    
150
     
164,250
           




9,545,038
Hotels and Gaming - 2.48%              

Inn of the Mountain Gods Resort and Casino,

             
      12.0%, 11-15-10    
1,750
     
1,833,125

Pinnacle Entertainment, Inc.,

             
      8.25%, 3-15-12    
1,485
     
1,503,563

Pokagon Gaming Authority,

             
      10.375%, 6-15-14 (A)    
100
     
106,625

Station Casinos, Inc.:

             
      6.0%, 4-1-12    
500
     
482,500
      6.875%, 3-1-16    
500
     
468,750
      7.75%, 8-15-16    
350
     
363,125
           




4,757,688
Household -- General Products - 0.55%              

JohnsonDiversey, Inc.,

             
      9.625%, 5-15-12    
1,060
   


1,065,300
               
Motion Pictures - 2.60%              

AMC Entertainment Inc.:

             
      9.655%, 8-15-10    
850
     
877,625
      9.5%, 2-1-11    
1,000
     
998,750
      9.875%, 2-1-12    
500
     
513,750

Cinemark, Inc.,

             
      0.0%, 3-15-14 (C)    
2,050
     
1,634,875

Cinemark USA, Inc.,

             
      9.0%, 2-1-13    
926
     
960,725
           




4,985,725
Motor Vehicles - 3.39%              

ADESA, Inc.,

             
      7.625%, 6-15-12    
300
     
295,500

AutoNation, Inc.,

             
      7.50688%, 4-15-13 (A)    
175
     
177,187

General Motors Corporation,

             
      8.375%, 7-15-33    
2,500
     
2,162,500

Group 1 Automotive, Inc.,

             
      8.25%, 8-15-13    
1,000
     
1,022,500

Sonic Automotive, Inc.,

             
      8.625%, 8-15-13    
1,250
     
1,259,375

United Auto Group, Inc.,

             
      9.625%, 3-15-12    
1,500
     
1,590,000
           




6,507,062
Multiple Industry - 2.20%              

Chase Merger Sub, Inc.:

             
      9.5%, 8-1-14 (A)    
700
     
710,500
      11.75%, 8-1-16 (A)    
500
     
515,000

K&F Acquisition, Inc.,

             
      7.75%, 11-15-14    
1,400
     
1,403,500

Warner Chilcott Corporation,

             
      8.75%, 2-1-15    
1,550
     
1,604,250
           




4,233,250
Petroleum -- Domestic - 4.33%              

Chaparral Energy, Inc.,

             
      8.5%, 12-1-15    
400
     
397,000

Chesapeake Energy Corporation:

             
      7.625%, 7-15-13    
500
     
510,625
      6.375%, 6-15-15    
500
     
477,500
      6.5%, 8-15-17    
500
     
468,750
      6.25%, 1-15-18    
1,000
     
927,500

Delta Petroleum Corporation,

             
      7.0%, 4-1-15    
150
     
138,000

Denbury Resources Inc.:

             
      7.5%, 4-1-13    
250
     
250,000
      7.5%, 12-15-15    
500
     
500,000

EXCO Resources, Inc.,

             
      7.25%, 1-15-11    
900
     
879,750

Ferrellgas Partners, L.P. and Ferrellgas Partners Finance Corp.,

             
      8.75%, 6-15-12    
1,000
     
1,040,000

Frontier Oil Corporation,

             
      6.625%, 10-1-11    
470
     
470,000

Petrohawk Energy Corporation,

             
      9.125%, 7-15-13 (A)    
2,250
     
2,261,250
           




8,320,375
Petroleum -- Services - 0.96%              

Grant Prideco, Inc.,

             
      6.125%, 8-15-15    
150
     
143,250

Hanover Compressor Company:

             
      8.625%, 12-15-10    
500
     
520,000
      7.5%, 4-15-13    
350
     
350,000
      9.0%, 6-1-14    
150
     
159,000

Parker Drilling Company,

             
      9.625%, 10-1-13    
250
     
272,500

SemGroup, L.P. and SemGroup Finance Corp.,

             
      8.75%, 11-15-15 (A)    
400
     
403,500
           




1,848,250
Publishing - 2.42%              

CBD Media Holdings LLC and CBD Holdings Finance, Inc.,

             
      9.25%, 7-15-12    
600
     
591,000

CBD Media LLC and CBD Finance, Inc.,

             
      8.625%, 6-1-11    
1,000
     
985,000

Dex Media, Inc.,

             
      0.0%, 11-15-13 (C)    
1,500
     
1,263,750

Dex Media West LLC and Dex Media West Finance Co.,

             
      8.5%, 8-15-10    
1,750
     
1,806,875
           




4,646,625
Railroad - 1.12%              

Kansas City Southern Railway Company (The),

             
      7.5%, 6-15-09    
950
     
950,000

TFM, S.A. de C.V.,

             
      9.375%, 5-1-12    
1,125
     
1,192,500
           




2,142,500
Restaurants - 2.65%              

Friendly Ice Cream Corporation,

             
      8.375%, 6-15-12    
750
     
680,625

Landry's Restaurants, Inc.,

             
      7.5%, 12-15-14    
1,000
     
957,500

NPC International, Inc.,

             
      9.5%, 5-1-14 (A)    
3,500
     
3,447,500
           




5,085,625
Retail -- Food Stores - 2.51%              

Couche-Tard U.S. L.P. and Couche-Tard Financing Corp.,

             
      7.5%, 12-15-13    
945
     
959,175

Rite Aid Corporation:

             
      7.125%, 1-15-07    
1,500
     
1,501,875
      8.125%, 5-1-10    
1,000
     
1,002,500

Stater Bros. Holdings Inc.:

             
      8.89%, 6-15-10    
500
     
505,000
      8.125%, 6-15-12    
855
     
859,275
           




4,827,825
Retail -- General Merchandise - 0.41%              

Interline Brands, Inc.,

             
      8.125%, 6-15-14    
350
     
354,375

NBC Acquisition Corp.,

             
      0.0%, 3-15-13 (C)    
600
     
438,000
           




792,375
Retail -- Specialty Stores - 1.35%              

General Nutrition Centers, Inc.,

             
      8.5%, 12-1-10    
1,700
     
1,649,000

Nebraska Book Company, Inc.,

             
      8.625%, 3-15-12    
1,000
     
937,500
           




2,586,500
Security and Commodity Brokers - 1.49%              

Elan Finance public limited company and Elan Finance Corp.,

             
      7.75%, 11-15-11    
1,250
     
1,217,188

Global Cash Access, L.L.C. and Global Cash Access
      Finance Corporation,

             
      8.75%, 3-15-12    
1,564
     
1,642,200
           




2,859,388
Steel - 0.43%              

PNA Group, Inc.,

             
      10.75%, 9-1-16 (A)    
795
   


816,862
               
Timesharing and Software - 0.34%              

iPayment, Inc.,

             
      9.75%, 5-15-14 (A)    
650
   


663,000
               
Trucking and Shipping - 0.40%              

Quality Distribution, LLC and QD Capital Corporation,

             
      9.0%, 11-15-10    
800
   


766,000
               
Utilities -- Electric - 1.81%              

Aquila, Inc.,

             
      14.875%, 7-1-12    
1,000
     
1,312,500

NRG Energy, Inc.:

             
      7.25%, 2-1-14    
750
     
744,375
      7.375%, 2-1-16    
750
     
745,312

Tenaska Alabama Partners, L.P.,

             
      7.0%, 6-30-21 (A)    
684
     
670,324
           




3,472,511
Utilities -- Gas and Pipeline - 2.20%              

ANR Pipeline Company,

             
      8.875%, 3-15-10    
500
     
524,332

Atlas Pipeline Parnters, L.P. and Atlas Pipeline Finance Corp.,

             
      8.125%, 12-15-15    
350
     
356,125

Copano Energy, L.L.C.,

             
      8.125%, 3-1-16    
650
     
658,125

Southern Natural Gas Company,

             
      8.875%, 3-15-10    
1,000
     
1,048,665

Williams Companies, Inc. (The),

             
      8.75%, 3-15-32    
1,500
     
1,642,500
           




4,229,747
Utilities -- Telephone - 2.09%              

American Tower Corporation,

             
      7.125%, 10-15-12    
1,600
     
1,640,000

LCI International, Inc.,

             
      7.25%, 6-15-07    
1,050
     
1,052,625

Nextel Communications, Inc.,

             
      7.375%, 8-1-15    
750
     
773,804

Triton PCS, Inc.,

             
      8.5%, 6-1-13    
600
     
556,500
           




4,022,929
               
TOTAL CORPORATE DEBT SECURITIES - 95.80%        
 
$
184,006,569

(Cost: $183,481,792)
             
               
               
SHORT-TERM SECURITY - 1.87%              

               
Household -- General Products              

Fortune Brands Inc.,

             
      5.46%, 10-2-06    
3,582
   
$
3,581,457
(Cost: $3,581,457)

               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
192,069,992

(Cost: $192,973,455)
             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 
*No dividends were paid during the preceding 12 months.
 
**Not shown due to rounding.
 
(A)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $21,553,918 or 11.22% of total investments.
 
(B)Securities valued in good faith by management's valuation committee subject to the supervision of the Board of Directors.
 
(C)The security does not bear interest for an initial period of time and subsequently becomes interest bearing.
 




The Investments of W&R Target International Growth Portfolio
      September 30, 2006              
COMMON STOCKS    


Shares
     
Value

               
Australia - 0.94%              
QBE Insurance Group Limited (A)
   
115,000
   
$
2,099,885
               
Belgium - 1.20%              
InBev NV (A)
   
21,000
     
1,156,237
KBC Group NV (A)
   
14,500
     
1,527,022
           



2,683,259
Canada - 1.63%              
EnCana Corporation (A)
   
43,300
     
2,014,791
Shoppers Drug Mart Corporation (A)(B)
   
39,700
     
1,621,742
           



3,636,533
China - 0.45%              
China Mobile (Hong Kong) Limited (A)
142,000
   

1,003,395
               
Finland - 0.77%              
Nokia OYJ (A)
   
86,000
   

1,707,764
               
France - 10.95%              
ALSTOM (A)*
   
23,000
     
2,080,940
Cap Gemini SA (A)
   
26,000
     
1,379,110
Pernod Ricard (A)
   
11,200
     
2,330,582
Pinault-Printemps-Redoute SA (A)
   
9,400
     
1,393,414
STMicroelectronics N.V. (A)
   
86,300
     
1,495,950
Sanofi-Aventis (A)
   
13,000
     
1,157,226
TOTAL S.A. (A)
   
52,000
     
3,412,333
VINCI (A)
   
63,000
     
7,014,113
Vivendi Universal (A)
   
115,000
     
4,145,839
           



24,409,507
Germany - 12.48%              
Allianz Aktiengesellschaft, Registered Shares (A)
   
13,800
     
2,388,283
Commerzbank Aktiengesellschaft (A)
   
28,000
     
948,707
Continental Aktiengesellschaft (A)
   
17,300
     
2,009,679
E.ON AG (A)
   
20,000
     
2,376,587
Fresenius AG (A)
   
4,700
     
838,849
Hypo Real Estate Holding AG (A)
   
27,500
     
1,714,980
Munchener Ruckversicherungs-Gesellschaft Aktiengesellschaft,
      Registered Shares (A)
   
7,300
     
1,154,785
RWE Aktiengesellschaft (A)
   
28,700
     
2,651,241
SAP Aktiengesellschaft (A)
   
21,600
     
4,286,529
Salzgitter AG (A)
   
20,000
     
1,881,792
Siemens AG (A)
   
59,600
     
5,200,386
Wacker Chemie AG (A)*
   
20,000
     
2,358,580
           



27,810,398
Greece - 2.81%              
Bank of Cyprus Limited (A)
225,000
     
2,288,203
OPAP S.A. (A)(B)*
   
70,000
     
2,352,240
Piraeus Bank S.A. (A)
   
62,500
     
1,619,939
           



6,260,382
               
Ireland - 5.20%              
Anglo Irish Bank Corporation plc (Great Britain) (A)
276,546
     
4,544,751
Anglo Irish Bank Corporation plc (Ireland) (A)
220,000
     
3,612,686
CRH public limited company (A)
   
64,600
     
2,186,346
Irish Life & Permanent plc (A)
   
50,000
     
1,252,837
           



11,596,620
Italy - 5.31%              
Banca Intesa S.p.A. (A)
440,000
     
2,895,728
Banca Italease S.p.A. (A)
   
28,700
     
1,415,693
Banco Popolare di Verona e Novara S.c. a r.l. (A)
   
39,000
     
1,077,605
Saipem S.p.A. (A)
   
76,200
     
1,656,165
UniCredito Italiano S.p.A. (A)
577,000
     
4,788,761
           



11,833,952
Japan - 20.03%              
Astellas Pharma Inc. (A)
   
56,500
     
2,271,958
Canon Inc. (A)
   
70,500
     
3,676,444
Central Japan Railway Company (A)
   
188
     
2,005,333
Chubu Electric Power Company, Incorporated (A)
   
43,000
     
1,117,545
CREDIT SAISON CO., LTD. (A)
   
54,000
     
2,276,571
DENSO CORPORATION (A)
   
34,700
     
1,219,090
Hoya Corporation (A)
   
55,300
     
2,083,259
Japan Tobacco Inc. (A)
   
400
     
1,554,286
Kabushiki Kaisha Mitsubishi Tokyo Financial Group (A)
   
87
     
1,119,492
Mitsubishi Estate Co., Ltd. (A)
143,000
     
3,123,302
Mizuho Financial Group, Inc. (A)
   
520
     
4,032,339
ORIX Corporation (A)
   
12,000
     
3,316,825
SMC Corporation (A)
   
19,700
     
2,606,654
SUMCO Corporation (A)
   
29,000
     
2,148,148
Sega Sammy Holdings Inc. (A)
   
72,000
     
2,316,190
Shin-Etsu Chemical Co., Ltd. (A)*
   
29,000
     
1,851,090
Sumitomo Mitsui Financial Group, Inc. (A)
   
115
     
1,207,196
Tokyo Electric Power Company, Incorporated (The) (A)
   
41,000
     
1,180,106
Toyota Motor Corporation (A)
   
77,900
     
4,233,803
YAMADA-DENKI Co., Ltd. (A)
   
12,900
     
1,293,003
           



44,632,634
Luxembourg - 0.83%              
Tenaris S.A., ADR
   
52,000
   

1,839,760
               
Netherlands - 0.52%              
Euronext N.V. (A)
   
12,000
   

1,166,356
               
Norway - 1.46%              
Orkla ASA (A)
   
28,700
     
1,365,389
Statoil ASA (A)
   
80,000
     
1,890,724
           



3,256,113
Russia - 1.41%              
OAO LUKOIL, ADR
   
41,700
   

3,148,350
               
South Korea - 0.95%              
Samsung Electronics Co., Ltd. (A)
   
3,000
   

2,105,152
               
Spain - 1.70%              
Enagas, S.A. (A)
   
110,000
     
2,665,576
Telefonica, S.A. (A)
   
65,000
     
1,126,729
           



3,792,305
Sweden - 1.00%              
Telefonaktiebolaget LM Ericsson, B Shares (A)
640,000
   

2,218,295
               
Switzerland - 12.50%              
Compagnie Financiere Richemont SA (A)
   
26,500
     
1,275,781
Credit Suisse Group, Registered Shares (A)
   
57,900
     
3,350,046
Holcim Ltd, Registered Shares (A)
   
28,900
     
2,362,014
Nestle S.A., Registered Shares (A)
   
14,900
     
5,195,250
Novartis AG, Registered Shares (A)
   
115,400
     
6,736,935
Roche Holdings AG, Genussschein (A)
   
17,100
     
2,956,552
UBS AG (A)
   
57,000
     
3,409,653
Zurich Financial Services, Registered Shares (A)
   
10,500
     
2,579,971
           



27,866,202
Taiwan - 0.51%              
Himax Technologies, Inc., ADR*
200,000
   

1,143,000
               
United Kingdom - 12.74%              
BAE SYSTEMS plc (A)
290,000
     
2,146,127
Barclays PLC (A)
143,000
     
1,804,602
BHP Billiton Plc (A)
127,000
     
2,192,402
British American Tobacco p.l.c. (A)
173,000
     
4,677,339
Cadbury Schweppes plc (A)
109,000
     
1,160,226
Diageo plc (A)
   
57,000
     
1,006,937
GlaxoSmithKline plc (A)
171,500
     
4,566,141
IG Group Holdings plc (A)(B)
258,000
     
1,251,137
Reckitt Benckiser plc (A)
   
85,500
     
3,544,290
Royal Bank of Scotland Group plc (The) (A)
107,659
     
3,706,958
Vodafone Group Plc (A)
1,025,000
     
2,346,164
           



28,402,323
United States - 1.21%              
Research In Motion Limited*
   
14,500
     
1,488,788
Schlumberger Limited
   
19,600
     
1,215,788
           



2,704,576
               
TOTAL COMMON STOCKS - 96.60%          
$
215,316,761

(Cost: $169,656,606)
             
               
OTHER GOVERNMENT SECURITY - 1.41%  
Principal
Amount in
Thousands
     

               
Germany              
German Treasury Bill,
             
      0%, 1-17-07 (C)
EUR2,500
   
$
3,140,948
(Cost: $3,164,092)

             
               
SHORT-TERM SECURITIES              

               
Commercial Paper - 0.65%              
      Security and Commodity Brokers              
      UBS Finance Delaware LLC (UBS AG),
             
            5.34%, 10-2-06  
$
1,446
   

1,445,786
               
Commercial Paper (backed by irrevocable
      bank letter of credit) - 1.34%
             
      Multiple Industry              
      Louis Dreyfus Corporation (Barclays Bank PLC,
            New York Branch),
             
            5.27%, 10-18-06    
3,000
   

2,992,534
               
TOTAL SHORT-TERM SECURITIES - 1.99%          
$
4,438,320

(Cost: $4,438,320)
             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
222,896,029

(Cost: $177,259,018)
             
               
               
Notes to Schedule of Investments
 
Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.
 
*No dividends were paid during the preceding 12 months.
 
(A)Listed on an exchange outside the United States.
 
(B)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $5,225,119 or 2.34% of total investments.
 
(C)Principal amounts are denominated in the indicated foreign currency, where applicable (EUR - Euro).




The Investments of W&R Target International Value Portfolio
      September 30, 2006              
COMMON STOCKS    


Shares
     
Value

               
Australia - 1.77%              
National Australia Bank Limited (A)
   
249,043
   
$
6,811,959
Qantas Airways Limited (A)
   
359,561
     
1,047,806
Qantas Airways Limited (A)(B)
   
545,600
     
1,589,947
           




9,449,712
Belgium - 1.85%              
Agfa-Gevaert N.V. (A)
   
227,060
     
5,384,185
Agfa-Gevaert N.V. (A)(B)
   
5,100
     
120,934
Belgacom SA (A)
   
111,330
     
4,339,641
           




9,844,760
Bermuda - 1.74%              
ACE Limited
   
83,770
     
4,584,732
XL Capital Ltd, Class A
   
68,390
     
4,698,393
           




9,283,125
Canada - 2.30%              
Barrick Gold Corporation (A)
   
206,300
     
6,336,192
Domtar Inc. (A)
   
510,680
     
2,997,147
Quebecor World Inc. (A)
   
281,000
     
2,928,786
           




12,262,125
China - 0.83%              
China Telecom Corporation Limited (A)
8,936,000
     
3,234,585
China Telecom Corporation Limited (A)(B)
3,240,000
     
1,172,790
           




4,407,375
Denmark - 2.05%              
Vestas Wind Systems A/S (A)*
   
410,221
   


10,953,450
               
Finland - 2.45%              
Stora Enso Oyj, Class R (A)
   
340,690
     
5,166,879
Stora Enso Oyj, Class R (A)
   
71,073
     
1,078,972
UPM-Kymmene Corporation (A)
   
286,300
     
6,803,441
           




13,049,292
France - 7.68%              
AXA S.A. (A)
   
227,853
     
8,402,081
France Telecom (A)
   
489,159
     
11,227,068
Sanofi-Aventis (A)
   
100,350
     
8,932,895
THOMSON (A)
   
425,460
     
6,684,482
TOTAL S.A. (A)
   
86,868
     
5,700,434
           




40,946,960
Germany - 5.10%              
Bayerische Motoren Werke Aktiengesellschaft (A)
   
72,100
     
3,864,606
Deutsche Post AG (A)
   
241,000
     
6,319,829
E.ON AG (A)
   
33,900
     
4,028,314
Munchener Ruckversicherungs-Gesellschaft Aktiengesellschaft,
      Registered Shares (A)
   
48,940
     
7,741,805
Siemens AG (A)
   
59,900
     
5,226,562
           




27,181,116
Hong Kong - 1.58%              
Hutchison Whampoa Limited, Ordinary Shares (A)
   
955,100
   


8,434,582
               
Israel - 1.58%              
Check Point Software Technologies Ltd.*
   
442,720
   


8,436,030
               
Italy - 1.43%              
Eni S.p.A. (A)
   
257,739
   


7,637,946
               
Japan - 4.39%              
KDDI CORPORATION (A)
   
1,067
     
6,648,144
Konica Minolta Holdings, Inc. (A)
   
363,000
     
4,861,511
Sony Corporation (A)*
   
167,700
     
6,786,083
Takeda Pharmaceutical Company Limited (A)
   
82,200
     
5,128,584
           




23,424,322
Netherlands - 6.65%              
Akzo Nobel N.V. (A)
   
102,540
     
6,316,675
ING Groep N.V., Certicaaten Van Aandelen (A)
   
251,394
     
11,058,518
Koninklijke Philips Electronics N.V., Ordinary Shares (A)
   
200,550
     
7,036,708
Reed Elsevier NV (A)
   
663,360
     
11,061,468
           




35,473,369
Norway - 3.18%              
Norske Skogindustrier ASA (A)
   
448,441
     
6,740,428
Telenor ASA (A)
   
784,680
     
10,231,402
           




16,971,830
Portugal - 0.48%              
Portugal Telecom, SGPS, S.A., Ordinary Shares (A)
   
207,040
   


2,585,998
               
Singapore - 2.53%              
DBS Group Holdings Ltd (A)
   
300,000
     
3,626,633
Flextronics International Ltd.*
   
325,350
     
4,107,544
Venture Corporation Limited (A)
   
724,000
     
5,743,680
           




13,477,857
South Korea - 5.86%              
KT Corporation, ADR
   
329,160
     
7,067,065
Kookmin Bank, ADR*
   
73,760
     
5,755,493
POSCO, ADR
   
46,710
     
3,032,880
SK Telecom Co., Ltd., ADR
   
184,530
     
4,360,444
Samsung Electronics Co., Ltd., GDR (B)
   
31,490
     
11,052,990
           




31,268,872
Spain - 4.29%              
Gamesa Corporacion Tecnologica, S.A. (A)
   
298,034
     
6,530,513
Iberdrola, S.A. (A)
   
84,078
     
3,763,525
Repsol YPF, S.A. (A)
   
256,583
     
7,636,225
Telefonica, S.A., ADR
   
95,274
     
4,936,146
           




22,866,409
Sweden - 0.61%              
Securitas AB, Class B (A)
   
172,280
     
2,162,860
Securitas Direct AB, Class B (A)*
   
172,280
     
432,572
Securitas Systems AB, Class B (A)*
   
172,280
     
646,507
           




3,241,939
Switzerland - 3.57%              
Nestle S.A., Registered Shares (A)
   
21,620
     
7,538,342
Swiss Reinsurance Company, Registered Shares (A)
   
80,750
     
6,179,995
UBS AG (A)
   
88,800
     
5,311,880
           




19,030,217
Taiwan - 4.49%              
Chunghwa Telecom Co., Ltd., ADR
   
285,048
     
4,934,181
Compal Electronics Inc., GDR
   
452,309
     
2,002,055
Compal Electronics Inc., GDR (B)
   
528,412
     
2,338,910
Lite-On Technology Corporation, GDR
   
536,695
     
6,624,057
Mega Financial Holding Company (A)
11,400,000
     
8,077,045
           




23,976,248
United Kingdom - 28.69%              
AMVESCAP PLC (A)
   
340,700
     
3,699,863
Alliance Boots plc (A)
   
360,615
     
5,232,770
Aviva plc (A)
   
249,150
     
3,652,651
BAE SYSTEMS plc (A)
   
649,760
     
4,808,509
BBA Group plc (A)
   
542,660
     
2,705,222
BP p.l.c. (A)
   
677,720
     
7,385,142
British Sky Broadcasting Group plc (A)
   
919,890
     
9,404,032
Cadbury Schweppes plc (A)
   
349,060
     
3,715,490
Centrica plc (A)
1,015,750
     
6,185,712
Compass Group PLC (A)
3,093,770
     
15,538,651
GlaxoSmithKline plc (A)
   
308,840
     
8,222,780
Group 4 Securicor plc (A)
1,580,600
     
5,001,430
HSBC Holdings plc (A)
   
417,940
     
7,625,728
Old Mutual plc (A)
1,871,100
     
5,868,098
Pearson plc (A)
   
425,050
     
6,052,361
Rentokil Initial plc (A)
2,082,700
     
5,712,812
Rolls-Royce Group plc (A)
   
695,160
     
5,896,150
Royal Bank of Scotland Group plc (The) (A)
   
356,360
     
12,270,330
Royal Dutch Shell plc, Class B (A)
   
204,753
     
6,950,461
tesco plc (A)
   
657,030
     
4,428,669
Unilever PLC (A)
   
241,385
     
5,952,244
Vodafone Group Plc (A)
4,877,865
     
11,165,141
Wm MORRISON SUPERMARKETS PLC (A)
1,212,110
     
5,520,526
           




152,994,772
               
TOTAL COMMON STOCKS - 95.10%          
$
507,198,306

(Cost: $383,159,787)
             

             

SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     

               
Commercial Paper              
      Aircraft - 0.94%              
      United Technologies Corporation,              
            5.32%, 10-6-06  
$
5,000
   


4,996,306
               
      Food and Related - 1.16%              
      McCormick & Co., Inc.,              
            5.37%, 10-2-06    
6,187
   


6,186,077
               
      Retail -- General Merchandise - 0.93%              
      Target Corporation,              
            5.21%, 10-10-06    
5,000
   


4,993,487
               
Total Commercial Paper - 3.03%            
16,175,870

               
Commercial Paper (backed by irrevocable bank
      letter of credit)
         
      Food and Related - 0.37%              
      COFCO Capital Corp. (Rabobank Nederland),              
            5.27%, 10-18-06    
2,000
   


1,995,023
               
      Multiple Industry - 0.94%              
      Louis Dreyfus Corporation (Barclays Bank PLC,
            New York Branch),
             
            5.27%, 10-20-06    
5,000
   


4,986,093
               
Total Commercial Paper (backed by irrevocable
      bank letter of credit) - 1.31%
           
6,981,116

               
Other Government Security - 0.56%              
      Supranational              
      Central American Bank for Economic Integration
            (Barclays Bank PLC),
             
            5.25%, 10-24-06    
3,000
   


2,989,938
               
TOTAL SHORT-TERM SECURITIES - 4.90%          
$
26,146,924

(Cost: $26,146,924)
             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
533,345,230

(Cost: $409,306,711)
             

             

Notes to Schedule of Investments
 
Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.
 
*No income dividends were paid during the preceding 12 months.
 
(A)Listed on an exchange outside the United States.
 
(B)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $16,275,571 or 3.05% of total investments.




The Investments of W&R Target Limited-Term Bond Portfolio
      September 30, 2006              
CORPORATE DEBT SECURITIES  
Principal
Amount in
Thousands
   
Value

               
Aircraft - 2.90%              

Raytheon Company,

             
      6.75%, 8-15-07  
$
2,030
   
$
2,051,977
               
Broadcasting - 2.06%              

Cox Communications, Inc.,

             
      4.625%, 1-15-10    
1,500
   


1,459,062
               
Business Equipment - 4.94%              

International Lease Finance Corporation,

             
      5.0%, 4-15-10    
1,500
     
1,479,242

USA Waste Services, Inc.,

             
      7.125%, 10-1-07    
2,000
     
2,026,028
           




3,505,270
Capital Equipment - 2.49%              

John Deere Capital Corporation,

             
      5.125%, 10-19-06    
1,766
   


1,765,772
               
Chemicals -- Petroleum and Inorganic - 2.07%              

Monsanto Company,

             
      4.0%, 5-15-08    
1,500
   


1,469,471
               
Communications Equipment - 1.41%              

Cisco Systems, Inc.,

             
      5.47938%, 2-20-09    
1,000
   


1,001,751
               
Forest and Paper Products - 2.07%              

International Paper Company,

             
      4.25%, 1-15-09    
1,500
   


1,465,715
               
Mining - 1.40%              

BHP Billiton Finance (USA) Limited,

             
      5.0%, 12-15-10    
1,000
   


992,428
               
Petroleum -- International - 6.18%              

Anadarko Petroleum Corporation,

             
      5.375%, 3-1-07    
2,385
     
2,381,449

Conoco Funding Company,

             
      5.45%, 10-15-06    
2,000
     
2,000,008
           




4,381,457
Railroad - 5.51%              

CSX Corporation,

             
      6.25%, 10-15-08    
1,000
     
1,018,721

Norfolk Southern Corporation,

             
      7.35%, 5-15-07    
1,850
     
1,870,276

Union Pacific Corporation,

             
      6.625%, 2-1-08    
1,000
     
1,016,406
           




3,905,403
               
Timesharing and Software - 2.80%              

Equifax Inc.,

             
      4.95%, 11-1-07    
2,000
   


1,984,232
               
Utilities -- Electric - 4.62%              

Kansas City Power & Light Company,

             
      6.0%, 3-15-07    
1,276
     
1,279,422

Virginia Electric and Power Company,

             
      5.375%, 2-1-07    
2,000
     
1,998,426
           




3,277,848
Utilities -- Telephone - 0.71%              

SBC Communications Inc.,

             
      5.61188%, 11-14-08    
500
   


501,367
               
TOTAL CORPORATE DEBT SECURITIES - 39.16%          
$
27,761,753

(Cost: $32,434,045)

             
               
               
UNITED STATES GOVERNMENT AND
GOVERNMENT AGENCY OBLIGATIONS
             

               
Agency Obligations - 6.34%              

Federal Home Loan Bank,

             
      5.0%, 2-29-08    
2,000
     
1,999,078

Federal Home Loan Mortgage Corporation,

             
      5.0%, 10-18-10    
2,500
     
2,499,583
           




4,498,661
               
Mortgage-Backed Obligations - 32.90%              

Federal Home Loan Mortgage Corporation Agency
      REMIC/CMO:

             
      4.0%, 5-15-16    
1,528
     
1,481,305
      3.5%, 12-15-16    
854
     
814,974
      5.5%, 7-15-17 (Interest Only)    
943
     
16,196
      5.5%, 10-15-23 (Interest Only)    
3,691
     
204,914
      5.0%, 6-15-24 (Interest Only)    
2,000
     
179,762
      5.5%, 5-15-34    
918
     
920,965

Federal Home Loan Mortgage Corporation,

             
      3.625%, 9-15-08    
2,000
     
1,950,068

Federal Home Loan Mortgage Corporation Fixed Rate
      Participation Certificates:

             
      7.0%, 8-1-07    
1
     
575
      4.5%, 5-1-10    
886
     
872,037
      4.0%, 6-1-14    
1,394
     
1,342,236
      5.5%, 1-1-17    
103
     
103,631
      5.5%, 5-1-17    
113
     
113,670
      4.5%, 1-1-18    
1,158
     
1,118,693
      4.5%, 4-1-18    
1,156
     
1,116,858
      4.5%, 3-1-19    
1,479
     
1,427,051

Federal National Mortgage Association Agency
      REMIC/CMO,

             
      5.0%, 6-25-22    
1,932
     
1,913,387

Federal National Mortgage Association Fixed Rate
      Pass-Through Certificates:

             
      6.0%, 11-1-13    
12
     
11,936
      7.0%, 10-1-14    
13
     
13,542
      6.0%, 3-1-16    
44
     
44,445
      6.0%, 3-1-16    
38
     
38,429
      5.5%, 2-1-17    
391
     
392,251
      5.5%, 1-1-18    
632
     
633,502
      5.0%, 3-1-18    
1,107
     
1,091,124
      5.0%, 6-1-20    
1,209
     
1,188,379

Federal National Mortgage Association:

             
      4.25%, 7-15-07    
2,000
     
1,985,186
      5.3%, 3-20-09    
2,000
     
1,998,300

Government National Mortgage Association Fixed Rate
      Pass-Through Certificates:

             
      6.5%, 1-15-14    
21
     
21,149
      7.5%, 3-15-15    
17
     
17,225
      6.0%, 8-15-16    
60
     
60,697
      6.0%, 12-15-16    
123
     
124,767
      5.5%, 1-15-17    
173
     
173,525
      6.0%, 1-15-17    
107
     
109,411
      5.5%, 7-15-17    
251
     
252,356
      5.5%, 10-15-17    
149
     
149,591
      5.0%, 12-15-17    
772
     
763,834
      7.0%, 6-15-28    
18
     
18,843
      7.0%, 7-15-29    
26
     
27,244
      3.75%, 1-20-34    
643
     
633,116
           




23,325,174
               
Treasury Inflation Protected Obligation - 0.83%              

United States Treasury Note,

             
      3.0%, 7-15-12 (A)    
500
   


587,148
               
Treasury Obligations - 17.49%              

United States Treasury Notes:

             
      4.75%, 11-15-08    
2,000
     
2,002,734
      3.125%, 4-15-09    
2,000
     
1,928,750
      4.0%, 6-15-09    
2,000
     
1,968,750
      4.0%, 3-15-10    
2,500
     
2,452,540
      5.0%, 2-15-11    
2,000
     
2,035,390
      5.0%, 8-15-11    
1,000
     
1,019,258
      4.375%, 8-15-12    
1,000
     
989,570
           




12,396,992
               
TOTAL UNITED STATES GOVERNMENT AND
GOVERNMENT AGENCY OBLIGATIONS - 57.56%
         
$
40,807,975

(Cost: $36,925,654)

             
               
SHORT-TERM SECURITIES              

               
Aluminum - 0.47%              

Alcoa Incorporated,

             
      5.4%, 10-2-06    
334
   


333,950
               
Finance Companies - 2.81%              

Preferred Receivables Funding Corp.,

             
      5.26%, 10-19-06    
2,000
   


1,994,740
               
TOTAL SHORT-TERM SECURITIES - 3.28%          
$
2,328,690

(Cost: $2,328,690)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
70,898,418

(Cost: $71,688,389)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts; REMIC - Real Estate Mortgage Investment Conduit.

 

(A)The interest rate for this security is a stated rate, but the interest payments are determined by multiplying the inflation-adjusted principal by one half of the stated rate for each semiannual interest payment date.




The Investments of W&R Target Micro Cap Growth Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Air Transportation - 0.38%              
Pinnacle Airlines Corp.*
   
29,200
   
$
216,226
               
Apparel - 1.62%              
Ashworth, Inc.*
   
41,100
     
280,302
Volcom, Inc.*
   
28,700
     
646,755
           




927,057
Business Equipment and Services - 8.47%              
Fiberstars, Inc.*
   
54,300
     
387,973
GEO Group, Inc. (The)*
   
12,100
     
511,225
Grubb & Ellis Company*
   
45,600
     
440,952
Houston Wire & Cable Company*
   
29,400
     
553,749
INVESTools Inc.*
   
50,200
     
534,128
Kenexa Corporation*
   
24,800
     
625,704
Marlin Business Services, Inc.*
   
30,500
     
637,298
Metrologic Instruments, Inc.*
   
16,900
     
306,651
Unica Corporation*
   
28,600
     
293,150
Website Pros, Inc.*
   
51,400
     
559,489
           




4,850,319
Capital Equipment - 3.99%              
NATCO Group Inc.*
   
41,900
     
1,206,720
Somanetics Corporation*
   
30,800
     
613,690
Warnaco Group, Inc. (The)*
   
24,100
     
465,371
           




2,285,781
Communications Equipment - 3.81%              
Blue Coat Systems, Inc.*
   
12,000
     
216,060
Ikanos Communications, Inc.*
   
37,900
     
445,894
Intervoice, Inc.*
   
50,600
     
320,045
Redback Networks, Inc.*
   
86,600
     
1,201,142
           




2,183,141
Computers -- Main and Mini - 1.19%              
Rackable Systems, Inc.*
   
24,900
   


681,015
               
Computers -- Peripherals - 9.96%              
Applix, Inc.*
   
35,900
     
323,279
AudioCodes Ltd.*
   
48,200
     
453,080
Entrust, Inc.*
232,000
     
799,240
Lawson Software, Inc.*
   
75,100
     
543,724
NetScout Systems, Inc.*
   
35,200
     
228,976
Phase Forward Incorporated*
   
81,200
     
968,716
Sigma Designs, Inc.*
   
60,600
     
906,879
Stratasys, Inc.*
   
16,900
     
445,991
WebSideStory, Inc.*
   
33,000
     
436,260
Xyratex Ltd*
   
31,400
     
598,327
           




5,704,472
Construction Materials - 1.07%              
Comtech Group, Inc.*
   
40,900
   


612,477
               
Electrical Equipment - 2.88%              
EXFO Electro-Optical Engineering Inc.*
   
78,300
     
458,055
Power-One, Inc.*
   
94,800
     
687,300
Ultralife Batteries, Inc.*
   
47,900
     
501,513
           




1,646,868
Electronic Components - 6.52%              
GSI Group Inc.*
   
32,100
     
300,296
Hittite Microwave Corporation*
   
3,800
     
168,967
Integrated Silicon Solution, Inc.*
   
69,300
     
386,001
NetLogic Microsystems, Inc.*
   
45,900
     
1,164,024
PLX Technology, Inc.*
   
40,200
     
416,472
Supertex, Inc.*
   
17,800
     
690,907
Volterra Semiconductor Corporation*
   
37,300
     
605,939
           




3,732,606
Electronic Instruments - 3.80%              
Asyst Technologies, Inc.*
   
53,800
     
363,957
Energy Conversion Devices, Inc.*
   
23,600
     
873,672
Intevac, Inc.*
   
23,800
     
399,602
Mattson Technology, Inc.*
   
13,000
     
107,770
Microtune, Inc.*
   
88,400
     
429,182
           




2,174,183
Health Care -- Drugs - 6.83%              
AVANIR Pharmaceuticals, Class A*
   
81,700
     
564,547
Acusphere, Inc.*
   
46,100
     
165,499
Adeza Biomedical Corporation*
   
30,200
     
495,280
BioSphere Medical, Inc.*
   
34,900
     
228,246
Dyax Corp.*
   
77,100
     
255,586
InterMune, Inc.*
   
29,900
     
490,211
POZEN Inc.*
   
54,300
     
697,755
Sciele Pharma, Inc.*
   
32,700
     
615,905
SuperGen, Inc.*
   
85,600
     
397,612
           




3,910,641
Health Care -- General - 14.00%              
Bruker BioSciences Corporation*
   
56,900
     
398,584
Candela Corporation*
   
69,200
     
754,280
Cutera, Inc.*
   
28,700
     
762,989
Greatbatch, Inc.*
   
12,000
     
271,440
IRIS International, Inc.*
   
40,000
     
460,200
NuVasive, Inc.*
   
30,400
     
611,040
Omnicell, Inc.*
   
59,900
     
1,071,312
PolyMedica Corporation
   
24,500
     
1,048,355
Quidel Corporation*
   
94,800
     
1,339,998
Spectranetics Corporation (The)*
   
81,600
     
953,496
Systems Xcellence Inc.*
   
21,000
     
345,345
           




8,017,039
Hospital Supply and Management - 0.91%              
AngioDynamics, Inc.*
   
24,200
     
501,061
NovaMed, Inc.*
   
2,400
     
18,864
           




519,925
Motion Pictures - 1.44%              
On Assignment, Inc.*
   
84,000
   


824,880
               
Multiple Industry - 2.57%              
DivX, Inc.*
   
9,100
     
215,670
Eagle Test Systems, Inc.*
   
48,900
     
807,339
Liquidity Services, Inc.*
   
28,800
     
448,560
           




1,471,569
Non-Residential Construction - 0.80%              
Perini Corporation*
   
21,900
   


457,272
               
Petroleum -- Services - 2.89%              
Brigham Exploration Company*
   
90,300
     
609,976
Warrior Energy Services Corporation*
   
40,600
     
1,043,623
           




1,653,599
Restaurants - 4.00%              
BUCA, Inc.*
   
36,000
     
190,260
McCormick & Schmick's Seafood Restaurants, Inc.*
   
31,200
     
701,844
Red Robin Gourmet Burgers, Inc.*
   
18,400
     
848,884
Ruth's Chris Steak House, Inc.*
   
29,100
     
547,371
           




2,288,359
Retail -- Specialty Stores - 3.13%              
DSW Inc., Class A*
   
11,700
     
368,550
Gaiam, Inc., Class A*
   
38,300
     
493,495
Golf Galaxy, Inc.*
   
1,600
     
20,816
Jos. A. Bank Clothiers, Inc.*
   
25,483
     
762,579
Tweeter Home Entertainment Group, Inc.*
   
32,600
     
148,819
           




1,794,259
Security and Commodity Brokers - 0.48%              
Penson Worldwide, Inc.*
   
15,200
   


272,840
               
Steel - 3.02%              
NS Group, Inc.*
   
26,800
   


1,729,940
               
Timesharing and Software - 9.86%              
Blackbaud, Inc.
   
33,300
     
732,433
Concur Technologies, Inc.*
   
64,900
     
943,321
Covansys Corporation*
   
54,900
     
940,437
CyberSource Corporation*
   
26,700
     
316,128
iGate Corporation*
   
46,100
     
228,425
RightNow Technologies, Inc.*
   
22,300
     
347,992
Stellent, Inc.
   
26,200
     
284,532
Ultimate Software Group, Inc. (The)*
   
48,800
     
1,147,776
VASCO Data Security International, Inc.*
   
29,600
     
306,212
VitalStream Holdings, Inc.*
   
45,000
     
397,350
           




5,644,606
Trucking and Shipping - 1.90%              
U.S. Xpress Enterprises, Inc., Class A*
   
46,800
   


1,085,994
               
Utilities -- Telephone - 1.99%              
@Road, Inc.*
   
67,000
     
390,275
Cbeyond, Inc.*
   
27,400
     
751,445
           




1,141,720
               
TOTAL COMMON STOCKS - 97.51%          
$
55,826,788

(Cost: $48,546,937)
             
               
               
SHORT-TERM SECURITY - 2.49%  
Principal
Amount in
Thousands
     

               
Aluminum              
Alcoa Incorporated,
             
      5.4%, 10/2/06  
$
1,428
   
$
1,427,786
(Cost: $1,427,786)

             
               
TOTAL INVESTMENT SECURITIES - 100%          
$
57,254,574

(Cost: $49,974,723)
             
               

Notes to Schedule of Investments
 
*No dividends were paid during the preceding 12 months.





The Investments of W&R Target Mid Cap Growth Portfolio
      September 30, 2006
             
COMMON STOCKS  


Shares
   
Value

               
Air Transportation - 0.55%              

Southwest Airlines Co.

   
10,250
   
$
170,765
               
Aircraft - 1.60%              

L-3 Communications Holdings, Inc.

   
6,300
   


493,479
               
Banks - 5.34%              

Northern Trust Corporation

   
13,600
     
794,580

Synovus Financial Corp.

   
29,100
     
854,667
           




1,649,247
Beverages - 1.58%              

Brown-Forman Corporation, Class B

   
6,350
   


486,727
               
Business Equipment and Services - 7.20%              

Cintas Corporation

   
12,050
     
491,941

Euronet Worldwide, Inc.*

   
7,750
     
190,185

Lamar Advertising Company, Class A*

   
11,150
     
595,466

Republic Services, Inc., Class A

   
7,550
     
303,586

Stericycle, Inc.*

   
9,200
     
641,654
           




2,222,832
Capital Equipment - 2.04%              

IDEX Corporation

   
14,650
   


630,683
               
Chemicals -- Specialty - 1.29%              

Air Products and Chemicals, Inc.

   
6,000
   


398,220
               
Computers -- Micro - 4.23%              

Apple Computer, Inc.*

   
11,400
     
877,572

Sun Microsystems, Inc.*

   
86,300
     
427,617
           




1,305,189
Computers -- Peripherals - 0.53%              

Electronic Arts Inc.*

   
2,950
   


164,271
               
Consumer Electronics - 0.76%              

Research In Motion Limited*

   
2,300
   


236,153
               
Electrical Equipment - 1.77%              

Molex Incorporated, Class A

   
16,600
   


545,974
               
Electronic Components - 7.34%              

Broadcom Corporation, Class A*

   
17,575
     
533,138

Linear Technology Corporation

   
7,800
     
242,697

Maxim Integrated Products, Inc.

   
7,675
     
215,476

Microchip Technology Incorporated

   
16,500
     
534,848

Network Appliance, Inc.*

   
19,950
     
738,250
           




2,264,409
Electronic Instruments - 1.73%              

Lam Research Corporation*

   
11,750
   


532,569
               
Farm Machinery - 0.80%              

AGCO Corporation*

   
9,700
   


245,895
               
Food and Related - 1.51%              

Hershey Foods Corporation

   
8,750
   


467,687
               
Health Care -- Drugs - 7.19%              

Allergan, Inc.

   
9,250
     
1,041,642

Gilead Sciences, Inc.*

   
12,550
     
862,248

ICOS Corporation*

   
12,600
     
315,630
           




2,219,520
Health Care -- General - 9.26%              

Biomet, Inc.

   
17,950
     
577,721

DENTSPLY International Inc.

   
15,300
     
461,065

Gen-Probe Incorporated*

   
5,800
     
271,672

Kyphon Inc.*

   
11,100
     
415,306

Henry Schein, Inc.*

   
15,350
     
769,265

Zimmer Holdings, Inc.*

   
5,400
     
364,500
           




2,859,529
Hospital Supply and Management - 6.81%              

C. R. Bard, Inc.

   
12,125
     
909,375

Cytyc Corporation*

   
14,000
     
342,510

Express Scripts, Inc.*

   
3,250
     
245,326

Laboratory Corporation of America Holdings*

   
9,200
     
603,244
           




2,100,455
Insurance-Property and Casualty - 2.29%              

AXIS Capital Holdings Limited

   
12,200
     
423,218

Everest Re Group, Ltd.

   
2,900
     
282,837
           




706,055
Metal Fabrication - 1.56%              

Fastenal Company

   
12,500
   


482,437
               
Motor Vehicles - 1.01%              

Harley-Davidson, Inc.

   
4,950
   


310,612
               
Petroleum -- Domestic - 1.04%              

XTO Energy Inc.

   
7,600
   


320,188
               
Petroleum -- International - 1.06%              

Noble Energy, Inc. (A)

   
7,200
   


328,248
               
Petroleum -- Services - 1.04%              

Complete Production Services, Inc. (A)*

   
7,250
     
143,115

Smith International, Inc.

   
4,600
     
178,480
           




321,595
Publishing - 3.27%              

Getty Images, Inc.*

   
7,750
     
385,020

Meredith Corporation

   
12,650
     
624,025
           




1,009,045
Restaurants - 2.02%              

P.F. Chang's China Bistro, Inc.*

   
8,650
     
300,155

YUM! Brands, Inc.

   
6,200
     
322,710
           




622,865
Retail -- Food Stores - 1.04%              

Longs Drug Stores Corporation

   
6,950
   


319,770
               
Retail -- General Merchandise - 0.89%              

Nordstrom, Inc. (A)

   
6,500
   


274,950
               
Retail -- Specialty Stores - 1.30%              

Chico's FAS, Inc.*

   
11,250
     
242,212

The Gap, Inc.

   
8,400
     
159,180
           




401,392
Security and Commodity Brokers - 5.14%              

Chicago Mercantile Exchange Holdings Inc.

   
1,640
     
784,330

Legg Mason, Inc.

   
3,100
     
312,666

TD Ameritrade Holding Corporation

   
25,900
     
488,733
           




1,585,729
Timesharing and Software - 5.90%              

eBay Inc.

   
15,850
     
449,268

Global Payments Inc.

   
13,750
     
605,137

Paychex, Inc.

   
20,800
     
765,856
           




1,820,261
Trucking and Shipping - 1.73%              

C.H. Robinson Worldwide, Inc.

   
12,000
   


534,900
               
TOTAL COMMON STOCKS - 90.82%          
$
28,031,651

(Cost: $26,469,422)

             
               
               
PUT OPTIONS - 0.07%  
Number of
Contracts
     

               

Complete Production Services, Inc., October 20, Expires 10-23-06

   
36
     
3,949

Noble Energy, Inc., October 45, Expires 10-23-06

   
36
     
4,165

Smith International, Inc., October 40, Expires 10-23-06

   
46
     
9,085

XTO Energy Inc., October 45, Expires 10-23-06

   
16
     
5,154

(Cost: $10,531)

         

$

22,353
               
               
SHORT-TERM SECURITY - 9.11%  
Principal
Amount in
Thousands
     

               
Repurchase Agreement              

J.P. Morgan Securities Inc.,
      4.9% Repurchase Agreement dated 9-29-06
      to be repurchased at $2,811,147 on 10-2-06 (B)

 
$
2,810
   
$
2,810,000
(Cost: $2,810,000)

               
TOTAL INVESTMENT SECURITIES - 100%          
$
30,864,004

(Cost: $29,289,953)

             
               
Notes to Schedule of Investments
 

 

 

 

 

 

 

 

 

 

*No dividends were paid during the preceding 12 months.
                   

(A)Securities serve as cover for the following written call options outstanding at September 30, 2006.

                   

Underlying
Security

Contracts
Subject
to Call
 

Expiration Month/
Exercise Price

Premium
Received
 
Market
Value

Complete Production Services, Inc.

36
 

October/25

 
$
2,838
 
$
122

Nordstrom, Inc.

65
 

October/40

   
4,712
   
18,850

Noble Energy, Inc.

36
 

October/55

   
3,127
   
106


         
$
10,677
 
$
19,078


                   

(B)Collateralized by $2,406,000 United States Treasury Bond, 6.125% due 8-15-29; market value and accrued interest aggregate $2,856,849.




The Investments of W&R Target Money Market Portfolio
      September 30, 2006              
CORPORATE OBLIGATIONS  
Principal
Amount in
Thousands
   
Value

               
Certificates of Deposit - 9.54%              
      Banks              
      Barclays Bank PLC, New York Branch,              
            5.2%, 4-3-07  
$
925
   
$
925,000
      Citibank, N.A.:              
            5.42%, 11-3-06    
1,300
     
1,300,000
            5.345%, 11-27-06    
1,500
     
1,500,000
            5.335%, 12-7-06    
500
     
500,000
      Royal Bank of Scotland plc (The):              
            4.34%, 10-3-06    
600
     
600,000
            4.725%, 11-27-06    
800
     
799,713
      Wells Fargo Bank, N.A.,              
            5.55%, 8-8-07    
1,000
     
1,000,000
           




6,624,713
Commercial Paper              
      Finance Companies - 13.85%              
      Ciesco, LLC:              
            5.28%, 10-11-06    
2,100
     
2,096,920
            5.35%, 11-6-06    
1,000
     
994,650
      Kitty Hawk Funding Corp.:              
            5.34%, 10-16-06    
250
     
249,444
            5.37%, 10-27-06    
300
     
298,836
            5.27%, 11-1-06    
1,800
     
1,791,832
            5.25%, 12-29-06    
950
     
937,670
      PACCAR Financial Corp.:              
            5.38%, 10-11-06    
258
     
257,614
            5.37%, 10-19-06    
300
     
299,194
            5.36%, 10-25-06    
300
     
298,928
      Preferred Receivables Funding Corp.,              
            5.26%, 11-14-06    
750
     
745,178
      Three Pillars Funding LLC:              
            5.27%, 10-10-06    
300
     
299,605
            5.3%, 10-13-06    
300
     
299,470
            5.28%, 11-3-06    
1,050
     
1,044,918
           




9,614,259
      Food and Related - 2.66%              
      McCormick & Co. Inc.:              
            5.35%, 11-16-06    
500
     
496,582
            5.1%, 5-31-07    
1,400
     
1,352,003
           




1,848,585
      Mining - 1.22%              
      BHP Billiton Finance (USA) Limited (BHP Billiton Limited),              
            5.27%, 10-19-06    
850
   


847,760
               
      Retail -- General Merchandise - 1.50%              
      Target Corporation,              
            5.39%, 10-2-06    
1,045
   


1,044,844
               
      Security and Commodity Brokers - 4.60%              
      UBS Finance Delaware LLC (UBS AG):              
            5.38%, 10-6-06    
1,000
     
999,253
            5.38%, 10-19-06    
1,200
     
1,196,772
            5.28%, 10-26-06    
1,000
     
996,333
           




3,192,358
               
Total Commercial Paper - 23.83%            
16,547,806

               
Commercial Paper (backed by irrevocable
      bank letter of credit)
             
      Finance Companies - 10.38%              
      NATC California LLC (Suntrust Bank),              
            5.39%, 10-12-06    
1,200
     
1,198,024
      River Fuel Funding Company #3, Inc.
            (Bank of New York (The)),
             
            5.27%, 10-31-06    
1,400
     
1,393,852
      River Fuel Trust #1 (Bank of New York (The)),              
            5.29%, 12-14-06    
1,500
     
1,483,689
      Vehicle Services of America Ltd. (Bank of America, N.A.),              
            5.3%, 11-17-06    
3,153
     
3,131,183
           




7,206,748
      Food and Related - 4.74%              
      COFCO Capital Corp. (Rabobank Nederland):              
            5.26%, 10-18-06    
1,300
     
1,296,771
            5.265%, 10-18-06    
750
     
748,135
            5.27%, 10-18-06    
1,250
     
1,246,889
           




3,291,795
      Multiple Industry - 0.65%              
      Louis Dreyfus Corporation (Barclays Bank PLC,
            New York Branch),
             
            5.27%, 10-18-06    
453
   


451,873
               
Total Commercial Paper (backed by irrevocable
bank letter of credit) - 15.77%
           
10,950,416

               
Notes              
      Banks - 5.00%              
      Rabobank Nederland,              
            5.12%, 10-18-06    
500
     
500,000
      Wells Fargo & Company:              
            5.38%, 10-2-06    
1,500
     
1,500,000
            5.34%, 10-16-06    
500
     
500,000
      U.S. Bancorp,              
            5.1%, 7-15-07    
975
     
972,585
           




3,472,585
      Business Equipment and Services - 1.82%              
      Playworld Systems Incorporated, Taxable Variable Rate
            Demand/Fixed Rate Revenue Bonds, Series A of 1998
            (Wachovia Bank, N.A.),
             
            5.43%, 10-4-06    
1,260
   


1,260,000
               
      Computers -- Main and Mini - 1.80%              
      International Business Machines Corporation,              
            5.32%, 10-9-06    
1,250
   


1,250,000
               
      Finance Companies - 0.21%              
      Lowell Family, LLC, Variable Rate Taxable Demand
            Bonds (LaSalle Bank National Association),
             
            5.36%, 10-5-06    
145
   


145,000
               
      Furniture and Furnishings - 0.40%              
      Capo & Sons Corporation, Taxable Variable Rate Demand
            Bonds, Series 1998 (Wachovia Bank, N.A.),
             
            5.48%, 10-5-06    
275
   


275,000
               
      Health Care -- Drugs - 0.86%              
      Lilly (Eli) and Company,              
            5.32%, 10-2-06    
600
   


600,000
               
      Hospital Supply and Management - 1.30%              
      Autumn House at Powder Mill, Inc., Taxable Variable Rate
            Demand Bonds, Series of 2003 (Suntrust Bank),
             
            5.38%, 10-4-06    
500
     
500,000
      Meriter Management Services, Inc., Taxable Variable Rate
            Demand Notes, Series 1996 (U.S. Bank Milwaukee, N.A.),
             
            5.31%, 10-4-06    
405
     
405,000
           




905,000
      Household -- General Products - 1.47%              
      Watts Brothers Frozen Foods, L.L.C., Variable Rate
            Demand Taxable Revenue Bonds, 1997 (U.S. Bank of
            Washington, National Association),
             
            5.37000045%, 10-5-06    
1,019
   


1,019,000
               
      Leisure Time Industry - 1.85%              
      Ansley Golf Club, Inc., Incremental Taxable Variable Rate
            Demand Bonds, Series 1998 (Wachovia Bank, N.A.),
             
            5.48%, 10-5-06    
1,285
   


1,285,000
               
      Multiple Industry - 3.17%              
      3M Company,              
            5.6453%, 12-12-06 (A)    
1,000
     
1,001,320
      General Electric Capital Corporation:              
            5.0%, 2-15-07    
500
     
500,215
            5.0%, 6-15-07    
700
     
697,863
           




2,199,398
      Non-Residential Construction - 0.61%              
      Healthcare Property Group, LLC, Taxable Variable Rate
            Bonds, Series 2005 (SunTrust Bank),
             
            5.31%, 10-4-06    
425
   


425,000
               
      Retail -- General Merchandise - 2.89%              
      Wal-Mart Stores, Inc.,              
            5.877%, 6-1-07    
2,000
   


2,005,205
               
      Trucking and Shipping - 1.93%              
      Volpe Family Partnership, L.P., Taxable Variable Rate
            Demand Revenue Bonds, Series of 2001
            (Wachovia Bank, N.A.),
             
            5.38%, 10-5-06    
1,340
   


1,340,000
               
Total Notes - 23.31%            
16,181,188

               
TOTAL CORPORATE OBLIGATIONS - 72.45%          
$
50,304,123

(Cost: $50,304,123)

             

             

OTHER GOVERNMENT SECURITY - 0.93%              

               
Supranational              

Central American Bank for Economic Integration
      (Barclays Bank PLC),

             
      5.25%, 10-24-06    
650
   
$
647,820
(Cost: $647,820)


             

MUNICIPAL OBLIGATIONS - TAXABLE              

               
Arkansas - 1.44%              

City of Little Rock, Arkansas, Taxable Variable Rate Demand
      Revenue Bonds (Ringwood Containers, L.P. Project),
      Series 2006A (SunTrust Bank),

             
      5.31%, 10-4-06    
1,000
   


1,000,000
               
California - 6.30%              

California Pollution Control Financing Authority, Environmental
      Improvement Revenue Bonds (Air Products Manufacturing
      Corporation), Taxable Series 1997A,

             
      5.33%, 11-2-06    
3,250
     
3,250,000

County of Sacramento, Taxable Pension Funding Bonds,
      Series 1995B (Bayerische Landesbank Girozentrale,
      New York Branch),

             
      5.39%, 10-4-06    
1,125
     
1,125,000
           




4,375,000
Florida - 2.18%              

University of South Florida Research Foundation, Incorporated,
      Variable Rate Demand Revenue Bonds (Interdisciplinary
      Research Building Project), Taxable Series 2004B
      (Bank of America, N.A.),

             
      5.31%, 10-4-06    
1,510
   


1,510,000
               
Georgia - 4.32%              

Municipal Electric Authority of Georgia, General Resolution
      Projects Bond Anticipation Notes, Series B (Taxable),
      (Bayerische Landesbank, New York Branch, Wachovia Bank,
      National Association and WestL B AG, New York Branch),

             
      5.46%, 10-4-06    
3,000
   


3,000,000
               
Indiana - 0.58%              

City of Hobart, Indiana, Taxable Variable Rate Demand,
      Economic Development Revenue Bonds (Albanese
      Confectionery Group, Inc. Project), Series 2006B (Harris N.A.),

             
      5.34%, 10-5-06    
400
   


400,000
               
Iowa - 0.43%              

Iowa Finance Authority, Taxable Variable Rate Demand Health
      Facilities Revenue Bonds (St. Luke's Health Foundation of
      Sioux City, Iowa Project), Series 2006 (General Electric
      Capital Corporation),

             
      5.32%, 10-5-06    
300
   


300,000
               
New York - 0.94%              

City of New York (The), General Obligation Bonds, Fiscal 1995
      Series B, Taxable Adjustable Rate Bonds (WestLB AG),

             
      5.45%, 10-4-06    
650
   


650,000
               
Washington - 0.78%              

Washington State Housing Finance Commission, Taxable
      Variable Rate Demand Multifamily Revenue Bonds
      (Mill Pointe Apartments Project), Series 1999B
      (U. S. Bank, National Association),

             
      5.3999998%, 10-2-06    
545
   


545,000
               
TOTAL MUNICIPAL OBLIGATIONS - TAXABLE - 16.97%          
$
11,780,000

(Cost: $11,780,000)

             

             

             
UNITED STATES GOVERNMENT
AGENCY OBLIGATIONS
             

               

Federal Home Loan Bank:

             
      3.75%, 1-16-07    
750
     
747,701
      5.0%, 3-2-07    
600
     
600,000
      5.65%, 8-10-07    
1,500
     
1,500,000
      5.4%, 9-12-07    
1,200
     
1,200,000

Federal Home Loan Mortgage Corporation:

             
      4.8%, 2-23-07    
400
     
400,000
      5.41%, 6-22-07    
950
     
950,000

Overseas Private Investment Corporation:

             
      5.3%, 10-4-06    
330
     
330,000
      5.3%, 10-4-06    
301
     
301,000
      5.27%, 10-4-06    
674
     
674,419
               
TOTAL UNITED STATES GOVERNMENT
AGENCY OBLIGATIONS - 9.65%
         
$
6,703,120

(Cost:$6,703,120)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
69,435,063

(Cost: $69,435,063)

             
               

Notes to Schedule of Investments
 

(A)Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of this security amounted to 1.44% of total investments.






The Investments of W&R Target Mortgage Securities Portfolio
      September 30, 2006              
CORPORATE DEBT SECURITIES  
Principal
Amount in
Thousands
   
Value

               
Finance Companies              

ABFS Mortgage Loan Trust:

             
      2001-2,              
      6.99%, 12-25-31  
$
305
   
$
310,759
      2002-4,              
      7.423%, 12-15-33    
170
     
170,471

Banc of America Alternative Loan Trust:

             
      2004-11,              
      6.0%, 12-25-34    
336
     
333,544
      2005-6,              
      6.0%, 7-25-35    
364
     
361,969
      2005-8:              
      5.57297%, 9-25-35    
215
     
210,046
      5.57297%, 9-25-35    
44
     
42,416
      2005-10,              
      5.66792%, 11-25-35    
123
     
112,696
      2005-12,              
      5.80625%, 1-25-36    
173
     
167,940
      2006-4:              
      6.22471%, 5-25-36    
65
     
64,500
      6.22471%, 5-25-36    
84
     
79,907

Banc of America Commercial Mortgage Inc., Commercial
      Mortgage Pass-Through Certificates:

             
      Series 2002-2,              
      6.2%, 7-11-43 (A)    
140
     
145,134
      Series 2003-1,              
      4.9%, 9-11-36 (A)    
450
     
432,006
      Series 2004-6,              
      5.104%, 12-10-42 (A)    
100
     
97,276

Banc of America Funding 2004-2 Trust,

             
      6.5%, 7-20-32    
144
     
146,474

Banc of America Funding Corporation,

             
      5.00871%, 9-20-34    
107
     
104,302

Banc of America Mortgage Trust:

             
      2005-J,              
      5.09762%, 11-25-35    
307
     
304,236
      2004-3,              
      4.875%, 4-25-19    
88
     
85,037
      2004-7,              
      5.75%, 8-25-34    
118
     
116,589

Banc of America Structured Securities Trust 2002-X1 F,

             
      6.274%, 10-11-33 (A)    
250
     
258,082

BankAmerica Manufactured Housing Contract Trust,

             
      7.015%, 1-10-28    
130
     
131,612

Bear Stearns Commercial Mortgage Securities Inc.:

             
      Series 2001-TOP2 Trust Fund:              
      7.50419%, 2-15-35 (A)    
500
     
536,761
      7.84419%, 2-15-35 (A)    
75
     
82,204
      Series 2000-WF1 Trust Fund,              
      6.5%, 2-15-32    
150
     
154,406

C-Bass 2005-CB3 Trust:

             
      5.109%, 12-25-34    
200
     
189,191
      5.86%, 12-25-36    
285
     
288,065

C-Bass 2006-MH1 Trust,

             
      5.97%, 9-25-36 (A)    
150
     
151,547

CHL Mortgage Pass-Through Trust 2003-28,

             
      4.15%, 8-25-33    
150
     
141,656

CWHEQ Home Equity Loan Trust, Series 2006-S3,

             
      6.518%, 1-25-29    
215
     
220,699

Capital Auto Receivables Asset Trust 2006-1,

             
      7.16%, 1-15-13 (A)    
110
     
111,341

Centex Home Equity Loan Trust 2005-C,

             
      5.048%, 6-25-35    
210
     
203,791

Charlie Mac Trust 2004-2,

             
      5.0%, 10-25-34    
248
     
236,771

Chase Mortgage Finance Trust, Series 2003-S11,

             
      5.5%, 10-25-33    
319
     
310,751

Citigroup Mortgage Loan Trust Inc., Mortgage Pass-Through
      Certificates, Series 2004-2,

             
      6.5%, 8-25-33 (A)    
63
     
62,916

CountryPlace Manufactured Housing Contract Trust 2005-1,

             
      4.8%, 12-15-35 (A)    
145
     
141,327

Credit Suisse First Boston Mortgage Securities Corp.,

             
      6.0%, 11-25-18    
56
     
56,502

DLJ Commercial Mortgage Corp. 1998-CG1,

             
      7.37751%, 6-10-31 (A)    
170
     
186,574

FFCA Secured Lending Corporation,

             
      6.73%, 10-18-25 (A)    
30
     
29,512

Ford Credit Auto Owner Trust 2006-B,

             
      7.12%, 2-15-13 (A)    
65
     
66,063

Global Mortgage Securitization 2005-A Ltd. and Global
      Mortgage Securitization 2005-A LLC:

             
      5.25%, 4-25-32    
92
     
88,496
      5.40266%, 4-25-32    
134
     
121,069

Global Mortgage Securitization Ltd. and Global Mortgage
      Securitization, LLC,

             
      5.25%, 11-25-32 (A)    
180
     
174,827

Green Tree Financial Corporation:

             
      7.65%, 4-15-19    
191
     
197,791
      9.0%, 6-15-25    
110
     
130,505
      7.95%, 8-15-25    
138
     
141,733

Hilton Hotel Pool Trust:

             
      5.83%, 10-3-15 (A)    
100
     
101,057
      7.653%, 10-3-15 (A)    
220
     
231,775

Home Equity Loan Trust 2003-HS2,

             
      5.09%, 7-25-33    
64
     
63,650

J.P. Morgan Chase Commercial Mortgage Securities Corp.,

             
      6.2207%, 10-12-37 (A)    
200
     
208,091

J.P. Morgan Mortgage Acquisition Trust:

             
      2006-CW2,              
      6.337%, 8-25-36    
270
     
274,712
      2006-WF1,              
      6.41%, 7-25-36    
250
     
254,901

J.P. Morgan Mortgage Trust:

             
      2005-S2,              
      5.66689%, 9-25-35    
196
     
193,492
      2006-S3,              
      6.187%, 8-25-36    
399
     
401,955

Lehman ABS Manufactured Housing Contract Trust 2001-B:

             
      3.01%, 3-15-10    
145
     
132,919
      5.873%, 5-15-22    
119
     
119,268

Lehman XS Trust, Series 2005-8,

             
      5.69%, 12-25-35    
315
     
315,217

MASTR Asset Securitization Trust 2003-10,

             
      5.5%, 11-25-33    
77
     
75,044

MMCA Auto Owner Trust:

             
      2002-2,              
      4.67%, 3-15-10    
63
     
62,756
      2002-1,              
      5.37%, 1-15-10    
15
     
15,066

Mid-State Capital Corporation 2004-1 Trust,

             
      6.005%, 8-15-37    
88
     
89,218

Morgan Stanley Dean Witter Capital I Trust 2002-IQ3,

             
      6.60835%, 9-15-37 (A)    
100
     
102,353

NationsLink Funding Corporation, Commercial Mortgage
      Pass-Through Certificates, Series 1998-2,

             
      5.0%, 8-20-30 (A)    
100
     
95,155

Nomura Asset Securities Corporation, Commercial Mortgage
      Pass-Through Certificates, Series1998-D6,

             
      6.0%, 3-15-30 (A)    
250
     
257,337

Origen Manufactured Housing Contract Trust:

             
      2004-A:              
      5.7%, 1-15-35    
100
     
98,697
      5.91%, 1-15-35    
200
     
198,330
      2004-B,              
      4.75%, 8-15-21    
100
     
96,084
      2005-A,              
      4.97%, 10-15-21    
105
     
101,838
      2005-B,              
      5.605%, 5-15-22    
35
     
34,854

RALI Series 2003-QS10 Trust,

             
      5.5%, 5-25-33    
230
     
226,769

RALI Series 2003-QS11 Trust,

             
      5.75%, 6-25-33    
216
     
213,469

RAMP Series 2005-RS1 Trust,

             
      5.145%, 1-25-35    
225
     
218,951

RESI Finance Limited Partnership 2003-C and RESI Finance
      DE Corporation 2003-C,

             
      6.73%, 9-10-35 (A)    
129
     
131,341

RFMSI Series 2004-S5 Trust,

             
      4.5%, 5-25-19    
88
     
84,449

Structured Adjustable Rate Mortgage Loan Trust, Series 2005-21,

             
      5.4%, 11-25-35    
144
     
137,073

Structured Asset Securities Corporation:

             
      5.54%, 11-25-32    
67
     
66,471
      5.25%, 8-25-33    
140
     
133,458
      5.63%, 5-25-34    
100
     
98,785
      6.0%, 6-25-34    
250
     
248,340

Wachovia Bank Commercial Mortgage Trust (The),

             
      4.942%, 11-15-34 (A)    
105
     
101,028

Wells Fargo Mortgage Backed Securities 2004-1 Trust (The),

             
      5.5%, 2-25-34    
144
     
141,633

Wells Fargo Mortgage Backed Securities 2006-9 Trust,

             
      6.0%, 8-25-36    
285
     
280,749
               
TOTAL CORPORATE DEBT SECURITIES - 47.66%          
$
13,305,779

(Cost: $13,392,530)

             
               
               
UNITED STATES GOVERNMENT
AGENCY OBLIGATIONS
             

               
Mortgage-Backed Obligations              

Federal Home Loan Mortgage Corporation Agency
      REMIC/CMO,

             
      5.0%, 6-15-31    
108
     
103,733

Federal Home Loan Mortgage Corporation Fixed Rate
      Participation Certificates:

             
      5.0%, 5-1-18    
337
     
331,781
      5.5%, 6-1-19    
203
     
203,562
      5.5%, 5-1-20    
244
     
244,126
      6.0%, 10-1-33    
611
     
617,424
      5.5%, 2-1-35    
213
     
210,127
      5.5%, 7-1-35    
195
     
192,773
      5.0%, 8-1-35    
391
     
376,181
      5.5%, 10-1-35    
200
     
197,188
      5.0%, 12-1-35    
473
     
455,540

Federal National Mortgage Association Fixed Rate
      Pass-Through Certificates:

             
      5.5%, 3-1-18    
202
     
202,002
      5.0%, 10-1-18    
189
     
186,521
      5.5%, 9-1-19    
124
     
123,874
      7.0%, 11-1-32    
172
     
176,705
      6.0%, 6-1-33    
393
     
395,625
      6.0%, 12-1-33    
297
     
299,355
      5.5%, 1-1-34    
171
     
168,874
      5.5%, 1-1-34    
163
     
161,580
      5.0%, 2-1-34    
372
     
358,173
      5.5%, 2-1-34    
389
     
384,163
      6.0%, 4-1-34    
210
     
210,875
      5.5%, 7-1-34    
366
     
361,676
      5.5%, 9-1-34    
118
     
116,874
      6.5%, 9-1-34    
84
     
85,445
      6.0%, 10-1-34    
300
     
301,313
      5.5%, 11-1-34    
301
     
296,981
      6.0%, 11-1-34    
120
     
120,553
      6.5%, 11-1-34    
230
     
234,324
      6.5%, 11-1-34    
174
     
177,281
      6.0%, 12-1-34    
521
     
523,971
      5.5%, 2-1-35    
611
     
602,872
      4.787%, 3-1-35    
231
     
227,027
      6.5%, 3-1-35    
148
     
150,937
      6.0%, 4-1-35    
212
     
212,764
      5.172%, 6-1-35    
422
     
417,938
      5.0%, 7-1-35    
89
     
85,814
      5.5%, 7-1-35    
234
     
230,473
      5.5%, 10-1-35    
611
     
603,098
      5.5%, 10-1-35    
190
     
187,096
      6.5%, 2-1-36    
95
     
96,545
      6.5%, 6-1-36    
179
     
182,695
      6.0%, 8-1-36    
388
     
389,677
      6.5%, 10-1-36    
365
     
371,616

Government National Mortgage Association Agency
      REMIC/CMO (Interest Only),

             
      0.97056%, 6-17-45
1,556
     
87,768

Government National Mortgage Association Fixed Rate
      Pass-Through Certificates:

             
      6.25%, 7-15-24    
111
     
113,354
      5.5%, 12-15-34    
409
     
406,670

Government National Mortgage Association Non-Agency
      REMIC/CMO,

             
      5.008%, 12-16-25    
500
     
494,000
               
TOTAL UNITED STATES GOVERNMENT
AGENCY OBLIGATIONS - 45.42%
         
$
12,678,944

(Cost: $12,795,574)

             
               
               
SHORT-TERM SECURITIES              

               
Finance Companies - 2.68%              

Preferred Receivables Funding Corp.,

             
      5.26%, 10-19-06    
750
   


748,027
         
Multiple Industry - 3.57%

General Electric Capital Corporation,

             
      5.23%, 10-27-06
1,000
   


996,223
Retail -- General Merchandise - 0.67%              

Target Corporation,

             
      5.39%, 10-2-06    
189
   


188,972
               
TOTAL SHORT-TERM SECURITIES - 6.92%          
$
1,933,222

(Cost: $1,933,222)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
27,917,945

(Cost: $28,121,326)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 

(A)Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2006, the total value of these securities amounted to $3,703,707 or 13.27% of total investments.

 




The Investments of W&R Target Real Estate Securities Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Business Equipment and Services - 3.79%              

Brookfield Properties Corporation

   
49,350
   
$
1,743,042

CB Richard Ellis Group, Inc., Class A*

   
5,200
     
127,920
           




1,870,962
Health Care -- General - 0.42%              

Brookdale Senior Living, Inc.

   
4,500
   


208,890
               
Hotels and Gaming - 2.76%              

Hilton Hotels Corporation

   
15,000
     
417,750

Marriott International, Inc., Class A

   
6,200
     
239,568

Starwood Hotels & Resorts Worldwide, Inc.

   
12,300
     
703,437
           




1,360,755
Multiple Industry - 1.01%              

Forest City Enterprises, Inc., Class A

   
9,226
   


500,972
               
Real Estate Investment Trust - 88.48%              

AMB Property Corporation

   
10,600
     
584,166

Acadia Realty Trust

   
7,000
     
178,500

Alexandria Real Estate Equities, Inc.

   
5,900
     
553,420

American Campus Communities, Inc.

   
26,900
     
686,219

American Financial Realty Trust

   
15,200
     
169,632

Apartment Investment and Management Company, Class A

   
15,200
     
827,032

Archstone-Smith Trust

   
31,900
     
1,736,636

Associated Estates Realty Corporation

   
2,900
     
44,863

AvalonBay Communities, Inc.

   
11,600
     
1,396,640

BioMed Realty Trust, Inc.

   
34,843
     
1,057,137

Boston Properties, Inc.

   
13,400
     
1,384,756

Brandywine Realty Trust

   
32,400
     
1,054,620

CBL & Associates Properties, Inc.

   
14,000
     
586,740

Camden Property Trust

   
18,300
     
1,390,983

Colonial Properties Trust

   
5,200
     
248,612

Columbia Equity Trust, Inc.

   
13,300
     
221,445

Corporate Office Properties Trust

   
10,700
     
478,932

Cousins Properties Incorporated

   
8,200
     
280,522

Developers Diversified Realty Corporation

   
24,700
     
1,377,272

Duke Realty Corporation

   
19,900
     
743,265

EastGroup Properties, Inc.

   
800
     
39,888

Equity Inns, Inc.

   
5,700
     
90,744

Equity Lifestyle Properties, Inc.

   
6,900
     
315,399

Equity Residential

   
37,000
     
1,871,460

Essex Property Trust, Inc.

   
1,800
     
218,520

First Industrial Realty Trust, Inc.

   
7,900
     
347,600

First Potomac Realty Trust

   
11,300
     
341,486

General Growth Properties, Inc.

   
32,688
     
1,557,583

Healthcare Realty Trust Incorporated

   
2,700
     
103,707

Home Properties, Inc.

   
7,800
     
445,848

Host Hotels & Resorts, Inc.

   
71,468
     
1,638,761

Innkeepers USA Trust

   
14,100
     
229,689

Kilroy Realty Corporation

   
5,400
     
406,836

Kimco Realty Corporation

   
40,200
     
1,723,374

Kite Realty Group Trust

   
36,700
     
625,368

LaSalle Hotel Properties

   
5,500
     
238,370

Liberty Property Trust

   
15,000
     
716,850

Macerich Company (The)

   
11,100
     
847,596

Mack-Cali Realty Corporation

   
10,300
     
533,540

Maguire Properties, Inc.

   
21,300
     
867,762

Mid-America Apartment Communities, Inc.

   
4,400
     
269,368

Newcastle Investment Corp.

   
10,100
     
276,841

Omega Healthcare Investors, Inc.

   
8,800
     
132,088

Parkway Properties, Inc.

   
4,500
     
209,205

ProLogis

   
52,802
     
3,012,882

Public Storage, Inc.

   
19,600
     
1,685,404

Regency Centers Corporation

   
10,600
     
728,856

SL Green Realty Corp.

   
8,600
     
960,620

Simon Property Group, Inc.

   
33,100
     
2,999,522

Sunstone Hotel Investors, Inc.

   
22,200
     
659,784

Taubman Centers, Inc.

   
8,000
     
355,360

U-Store-It Trust

   
19,300
     
414,178

United Dominion Realty Trust, Inc.

   
34,600
     
1,044,920

Ventas, Inc.

   
13,100
     
504,874

Vornado Realty Trust

   
16,500
     
1,798,500

Weingarten Realty Investors

   
10,800
     
464,616
           




43,678,791
 
       
TOTAL COMMON STOCKS - 96.46%          
$
47,620,370

(Cost: $37,258,610)

             
               
               
SHORT-TERM SECURITY - 3.54%  
Principal
Amount in
Thousands
     

               
Aluminum              

Alcoa Incorporated,

      5.4%, 10-2-06  
$
1,746
     $
1,745,738
(Cost: $1,745,738)

               
TOTAL INVESTMENT SECURITIES - 100%          
$
49,366,108

(Cost: $39,004,348)

             
               

Notes to Schedule of Investments
 
*No dividends were paid during the preceding 12 months.




The Investments of W&R Target Science and Technology Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Business Equipment and Services - 10.52%              

CheckFree Corporation*

   
310,000
   
$
12,810,750

Cogent, Inc.*

   
161,200
     
2,212,470

Euronet Worldwide, Inc.*

   
279,950
     
6,869,973

Global Cash Access, Inc.*

   
225,700
     
3,405,813

Headwaters Incorporated*

   
84,700
     
1,977,745

Telvent GIT, S.A.*

   
163,700
     
2,196,036

VeriFone Holdings, Inc.*

   
247,500
     
7,066,125
           




36,538,912
Chemicals -- Specialty - 0.28%              

VeraSun Energy Corporation*

   
61,400
   


985,470
               
Communications Equipment - 2.00%              

Comtech Telecommunications Corp.*

   
64,600
     
2,162,162

Juniper Networks, Inc.*

   
277,500
     
4,799,362
           




6,961,524
Computers -- Peripherals - 10.48%              

Aspen Technology, Inc.*

   
691,000
     
7,535,355

Lawson Software, Inc.*

   
518,900
     
3,756,836

Red Hat, Inc.*

   
147,900
     
3,119,211

Symbol Technologies, Inc.

1,199,304
     
17,821,657

Synaptics Incorporated*

   
171,600
     
4,179,318
           




36,412,377
Consumer Electronics - 5.90%              

Research In Motion Limited*

   
199,700
   


20,504,198
               
Defense - 2.19%              

ESCO Technologies Inc.*

   
164,900
   


7,591,996
               
Electronic Equipment - 0.46%              

Power-One, Inc.*

   
221,400
   


1,605,150
               
Electronic Components - 15.84%              

Advanced Micro Devices, Inc.*

   
321,900
     
7,999,215

Broadcom Corporation, Class A*

   
85,800
     
2,602,743

Cypress Semiconductor Corporation*

   
447,200
     
7,946,744

MediaTek Incorporation (A)

   
346,500
     
3,287,288

Microchip Technology Incorporated

   
78,400
     
2,541,336

Micron Technology, Inc.*

   
211,000
     
3,671,400

Qimonda AG*

   
106,600
     
1,812,200

Saifun Semiconductors Ltd.*

   
120,300
     
3,477,873

Samsung Electronics Co., Ltd. (A)

   
16,300
     
11,437,992

SanDisk Corporation*

   
53,600
     
2,867,064

Volterra Semiconductor Corporation*

   
256,900
     
4,173,340

Xilinx, Inc.

   
145,300
     
3,190,062
           




55,007,257
Electronic Instruments - 0.60%              

SiRF Technology Holdings, Inc.*

   
87,000
   


2,085,825
               
Food and Related - 3.70%              

Archer Daniels Midland Company

   
339,700
   


12,867,836
               
Health Care -- Drugs - 5.71%              

Affymetrix, Inc.*

   
208,800
     
4,497,552

Genzyme Corporation*

   
155,400
     
10,491,054

Nuvelo, Inc.*

   
63,700
     
1,161,251

Schering-Plough Corporation

   
167,400
     
3,697,866
           




19,847,723
Health Care -- General - 3.39%              

Advanced Medical Optics, Inc.*

   
181,100
     
7,162,505

Radiation Therapy Services, Inc.*

   
54,069
     
1,580,167

SonoSite, Inc.*

   
63,200
     
1,793,300

Volcano Corporation*

   
107,800
     
1,241,317
           




11,777,289
Hospital Supply and Management - 21.64%              

Cerner Corporation*

   
512,100
     
23,241,658

HealthSouth Corporation*

   
890,400
     
4,411,932

Triad Hospitals, Inc.*

   
489,800
     
21,565,894

UnitedHealth Group Incorporated

   
65,600
     
3,227,520

WellCare Health Plans, Inc.*

   
250,700
     
14,197,141

WellPoint, Inc.*

   
110,600
     
8,521,730
           




75,165,875
Multiple Industry - 1.99%              

Himax Technologies, Inc., ADR*

   
679,400
     
3,882,771

Home Diagnostics, Inc.*

   
111,700
     
1,455,451

Nextest Systems Corporation*

   
53,300
     
701,161

Technology Investment Capital Corp.

   
58,912
     
862,766
           




6,902,149
Petroleum -- International - 3.99%*              

Noble Energy, Inc.

   
304,300
   


13,873,037
               
Timesharing and Software - 9.12%              

Alliance Data Systems Corporation*

   
441,400
     
24,360,866

Google Inc., Class A*

   
9,450
     
3,797,624

Yahoo! Inc.*

   
138,700
     
3,509,804
           




31,668,294
Utilities -- Electric - 0.08%              

Plug Power Inc.*

   
63,700
   


260,533
               
Utilities -- Telephone - 1.03%              

ALLTEL Corporation

   
64,200
   


3,563,100
               
TOTAL COMMON STOCKS - 98.92%          
$
343,618,545

(Cost: $275,330,018)

             
               
               
SHORT-TERM SECURITIES - 1.08%  
Principal
Amount in
Thousands
     

               
Aluminum              

Alcoa Incorporated,

             
      5.4%, 10-2-06  
$
3,748
   
$
3,747,438
(Cost: $3,747,438)

               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
347,365,983

(Cost: $279,077,456)

             
               

Notes to Schedule of Investments
 

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

 
*No income dividends were paid during the preceding 12 months.
 

(A)Listed on an exchange outside the United States.

 




The Investments of W&R Target Small Cap Growth Portfolio
      September 30, 2006              
COMMON STOCKS    


Shares
     
Value

               
Air Transportation - 1.75%              
UTi Worldwide Inc.
   
342,300
   
$
9,579,265
               
Apparel - 1.70%              
Volcom, Inc.*
   
411,900
   


9,282,167
               
Business Equipment and Services - 12.10%              
American Reprographics Company*
   
209,500
     
6,716,570
CheckFree Corporation*
   
338,055
     
13,970,123
Mobile Mini, Inc.*
   
198,000
     
5,624,190
Strayer Education, Inc.
   
50,400
     
5,451,012
Synchronoss Technologies, Inc.*
   
405,000
     
3,853,575
Tetra Tech, Inc.*
   
401,600
     
6,991,856
TETRA Technologies, Inc.*
   
100,000
     
2,416,000
VeriFone Holdings, Inc.*
   
330,800
     
9,444,340
West Corporation*
   
241,300
     
11,646,345
           




66,114,011
Capital Equipment - 2.89%              
Chicago Bridge & Iron Company N.V., NY Shares
   
418,400
     
10,066,704
Gardner Denver, Inc.*
   
173,200
     
5,729,456
           




15,796,160
Chemicals -- Petroleum and Inorganic - 1.53%              
Agrium Inc.
   
234,100
     
6,318,359
UAP Holding Corp.
   
96,400
     
2,057,176
           




8,375,535
Chemicals -- Specialty - 1.03%              
Brady Corporation, Class A
   
159,500
   


5,608,020
               
Communications Equipment - 1.50%              
General Cable Corporation*
   
214,300
   


8,188,403
               
Computers -- Main and Mini - 1.35%              
Rackable Systems, Inc.*
   
269,100
   


7,359,885
               
Computers -- Peripherals - 6.45%              
Allscripts Healthcare Solutions, Inc.*
   
655,500
     
14,719,252
Avid Technology, Inc.*
   
169,400
     
6,170,395
Cognex Corporation
   
233,900
     
5,905,975
MICROS Systems, Inc.*
   
172,900
     
8,461,726
           




35,257,348
Construction Materials - 0.58%              
Comtech Group, Inc.*
   
212,300
   


3,179,192
               
Defense - 2.34%              
DRS Technologies, Inc.
   
293,300
   


12,808,411
               
Electronic Instruments - 5.48%              
Energy Conversion Devices, Inc.*
   
122,100
     
4,520,142
FLIR Systems, Inc.*
   
433,200
     
11,757,048
Trimble Navigation Limited*
   
290,300
     
13,658,615
           




29,935,805
Farm Machinery - 1.24%              
AGCO Corporation*
   
268,100
   


6,796,335
               
Finance Companies - 1.69%              
Financial Federal Corporation
   
343,575
   


9,207,810
               
Food and Related - 1.97%              
United Natural Foods, Inc.*
   
348,200
   


10,787,236
               
Health Care -- Drugs - 1.33%              
Martek Biosciences Corporation*
   
337,124
   


7,249,852
               
Health Care -- General - 9.30%              
American Medical Systems Holdings, Inc.*
   
324,600
     
5,975,886
FoxHollow Technologies, Inc.*
   
163,700
     
5,596,084
Hologic, Inc.*
   
253,800
     
11,042,838
IntraLase Corp.*
   
472,400
     
9,303,918
NuVasive, Inc.*
   
276,700
     
5,561,670
ResMed Inc.*
   
191,300
     
7,699,825
Henry Schein, Inc.*
   
112,400
     
5,632,926
           




50,813,147
Hospital Supply and Management - 6.20%              
Cerner Corporation*
   
282,512
     
12,821,807
Emageon Inc.*
   
683,500
     
10,642,095
PSS World Medical, Inc.*
   
522,900
     
10,434,470
           




33,898,372
Hotels and Gaming - 4.72%              
Scientific Games Corporation, Class A*
   
451,300
     
14,360,366
Shuffle Master, Inc.*
   
423,200
     
11,424,284
           




25,784,650
Leisure Time Industry - 2.22%              
THQ Inc.*
   
415,900
   


12,135,962
               
Motor Vehicle Parts - 1.15%              
LKQ Corporation*
   
285,900
   


6,276,934
               
Multiple Industry - 0.20%              
Riverbed Technology, Inc.*
   
55,000
   


1,068,650
               
Petroleum -- Domestic - 1.42%              
Delta Petroleum Corporation*
   
345,800
   


7,780,500
               
Petroleum -- International - 1.01%              
Newfield Exploration Company*
   
143,200
   


5,518,928
               
Petroleum -- Services - 2.21%              
Dril-Quip, Inc.*
   
113,200
     
7,661,376
Hydril Company*
   
79,200
     
4,438,368
           




12,099,744
Publishing - 2.24%              
Getty Images, Inc.*
   
246,700
   


12,256,056
               
Railroad - 2.57%              
Kansas City Southern*
   
513,100
   


14,012,761
               
Restaurants - 1.85%              
Panera Bread Company, Class A*
   
173,500
   


10,113,315
               
Retail -- Specialty Stores - 3.43%              
Guitar Center, Inc.*
   
209,700
     
9,364,154
O'Reilly Automotive, Inc.*
   
282,900
     
9,388,037
           




18,752,191
Timesharing and Software - 9.09%              
Bankrate, Inc.*
   
194,300
     
5,157,694
Blackboard Inc.*
   
229,600
     
6,078,660
CoStar Group, Inc.*
   
148,100
     
6,118,011
FactSet Research Systems, Inc.
   
183,925
     
8,933,237
MicroStrategy Incorporated, Class A*
   
118,950
     
12,105,541
WebEx Communications, Inc.*
   
288,800
     
11,261,756
           




49,654,899
Utilities -- Telephone - 1.02%              
NeuStar, Inc., Class A*
   
200,900
   


5,574,975
               
TOTAL COMMON STOCKS - 93.56%          
$
511,266,519

(Cost: $451,460,730)
             

             

SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     

               
Aircraft - 0.91%              
United Technologies Corporation,
             
      5.32%, 10-6-06  
$
5,000
   


4,996,306
               
Forest and Paper Products - 0.54%              
Sonoco Products Co.,
             
      5.4%, 10-2-06    
2,943
   


2,942,559
               
Insurance -- Life - 0.91%              
American General Finance Corporation,
             
      5.25%, 10-11-06    
5,000
   


4,992,708
               
Leisure Time Industry - 0.73%              
Walt Disney Company (The),
             
      5.36%, 10-16-06    
3,995
   


3,986,078
               
Utilities -- Electric - 0.91%              
PacifiCorp,
             
      5.3%, 10-16-06    
5,000
   


4,988,958
               
Utilities -- Gas and Pipeline - 0.92%              
Michigan Consolidated Gas Co.,
             
      5.31%, 10-6-06    
5,000
   


4,996,312
               
Utilities -- Telephone - 1.52%              
AT&T Inc.,
             
      5.27%, 10-23-06    
3,323
     
3,312,298
BellSouth Corporation,
             
      5.25%, 10-12-06    
5,000
     
4,991,979
           




8,304,277
               
TOTAL SHORT-TERM SECURITIES - 6.44%          
$
35,207,198

(Cost: $35,207,198)
             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
546,473,717

(Cost: $486,667,928)
             
               

Notes to Schedule of Investments
 
*No dividends were paid during the preceding 12 months.




The Investments of W&R Target Small Cap Value Portfolio
      September 30, 2006              
COMMON STOCKS  


Shares
   
Value

               
Aircraft - 1.67%              

K&F Industries Holdings, Inc.*

   
58,300
   
$
1,094,874

Orbital Sciences Corporation*

105,700
     
1,983,989
           




3,078,863
Apparel - 1.09%              

Phillips-Van Heusen Corporation

   
48,251
   


2,015,444
               
Banks - 9.05%              

Boston Private Financial Holdings, Inc.

   
91,600
     
2,553,350

Cathay General Bancorp

   
44,400
     
1,601,730

Central Pacific Financial Corp.

   
47,400
     
1,733,892

First Midwest Bancorp, Inc.

   
75,800
     
2,874,336

First Niagara Financial Group, Inc.

160,400
     
2,341,038

Taylor Capital Group, Inc.

   
50,200
     
1,483,661

Umpqua Holdings Corporation

   
79,401
     
2,270,075

Wintrust Financial Corporation

   
36,900
     
1,848,875
           




16,706,957
Broadcasting - 0.51%              

Outdoor Channel Holdings, Inc.*

   
86,100
   


935,476
               
Business Equipment and Services - 7.64%              

Brink's Company (The)

   
78,900
     
4,186,434

CACI International Inc*

   
27,600
     
1,518,276

Education Realty Trust, Inc.

105,000
     
1,549,800

PRA International*

   
47,486
     
1,267,876

Sunterra Corporation*

   
25,620
     
290,403

Waste Connections, Inc.*

   
71,700
     
2,718,147

Watson Wyatt & Company Holdings, Inc., Class A

   
63,100
     
2,582,052
           




14,112,988
Capital Equipment - 1.31%              

CARBO Ceramics Inc.

   
16,185
     
583,146

Goodman Global, Inc.*

   
44,100
     
588,735

Warnaco Group, Inc. (The)*

   
64,900
     
1,253,219
           




2,425,100
Communications Equipment - 3.44%              

Dycom Industries, Inc.*

   
67,400
     
1,449,100

Emulex Corporation*

   
55,800
     
1,013,886

LoJack Corporation*

   
50,914
     
996,896

Polycom, Inc.*

117,600
     
2,882,964
           




6,342,846
Computers -- Peripherals - 4.49%              

Electronics for Imaging, Inc.*

106,400
     
2,432,304

Imation Corp.

   
55,700
     
2,236,355

Lawson Software, Inc.*

148,300
     
1,073,692

TIBCO Software Inc.*

283,500
     
2,542,995
           




8,285,346
Construction Materials - 0.96%              

Texas Industries, Inc.

   
34,000
   


1,770,040
               
Containers - 3.32%              

AptarGroup, Inc.

   
36,100
     
1,836,768

Jarden Corporation*

   
79,650
     
2,626,060

Silgan Holdings Inc.

   
44,600
     
1,674,730
           




6,137,558
Cosmetics and Toiletries - 0.63%              

Bare Escentuals, Inc.*

   
3,400
     
92,055

Nu Skin Enterprises, Inc., Class A

   
60,500
     
1,059,960
           




1,152,015
Electronic Components - 1.74%              

PMC-Sierra, Inc.*

214,500
     
1,275,202

Trident Microsystems, Inc.*

   
44,500
     
1,035,293

Varian Semiconductor Equipment Associates, Inc.*

   
24,600
     
902,451
           




3,212,946
Electronic Instruments - 0.47%              

Progressive Gaming International Corporation*

105,200
   


861,588
               
Finance Companies - 2.53%              

Hanover Insurance Group, Inc. (The)

   
77,400
     
3,454,362

Jackson Hewitt Tax Service Inc.

   
40,700
     
1,221,407
           




4,675,769
Food and Related - 2.96%              

Hain Celestial Group, Inc. (The)*

117,600
     
3,009,384

Pilgrim's Pride Corporation

   
44,300
     
1,211,605

Ralcorp Holdings, Inc.*

   
25,900
     
1,249,157
           




5,470,146
Health Care -- Drugs - 0.81%              

Axcan Pharma Inc.*

109,221
   


1,488,682
               
Health Care -- General - 5.15%              

DJO Incorporated*

122,377
     
5,082,317

Hologic, Inc.*

   
26,700
     
1,161,717

PolyMedica Corporation

   
31,500
     
1,347,885

Radiation Therapy Services, Inc.*

   
65,489
     
1,913,916
           




9,505,835
Hospital Supply and Management - 0.96%              

Magellan Health Services, Inc.*

   
41,700
   


1,775,377
               
Hotels and Gaming - 4.88%              

Gaylord Entertainment Company*

   
40,400
     
1,771,540

Orient-Express Hotels Ltd.

   
64,000
     
2,392,320

Pinnacle Entertainment, Inc.*

   
70,300
     
1,976,836

Shuffle Master, Inc.*

   
35,600
     
961,022

Vail Resorts, Inc.*

   
47,600
     
1,904,952
           




9,006,670
Insurance -- Property and Casualty - 4.15%              

Aspen Insurance Holdings Limited

123,300
     
3,184,839

Endurance Specialty Holdings Ltd.

   
48,400
     
1,706,584

Platinum Underwriters Holdings, Ltd.

   
89,700
     
2,765,451
           




7,656,874
Leisure Time Industry - 1.52%              

Marvel Entertainment, Inc.*

   
89,700
     
2,165,358

RC2 Corporation*

   
18,908
     
634,647
           




2,800,005
Motion Pictures - 1.16%              

Regal Entertainment Group

107,800
   


2,136,596
               
Motor Vehicle Parts - 2.94%              

Copart, Inc.*

   
64,500
     
1,817,932

Directed Electronics, Inc.*

121,238
     
1,831,300

Tenneco Automotive Inc.*

   
76,300
     
1,784,657
           




5,433,889
Non-Residential Construction - 2.37%              

Washington Group International, Inc.

   
74,300
   


4,374,413
               
Petroleum -- Domestic - 2.07%              

Comstock Resources, Inc.*

   
68,100
     
1,848,915

Goodrich Petroleum Corporation*

   
65,766
     
1,980,872
           




3,829,787
Petroleum -- Services - 2.99%              

Hercules Offshore, Inc.*

   
48,803
     
1,515,089

Hornbeck Offshore Services, Inc.*

   
37,300
     
1,249,550

Oceaneering International, Inc.*

   
50,200
     
1,546,160

Universal Compression Holdings, Inc.*

   
22,600
     
1,207,970
           




5,518,769
Publishing - 0.77%              

Scholastic Corporation*

   
45,900
   


1,428,638
               
Real Estate Investment Trust - 4.32%              

BioMed Realty Trust, Inc.

   
60,300
     
1,829,502

Corporate Office Properties Trust

   
51,600
     
2,309,616

Innkeepers USA Trust

104,200
     
1,697,418

Strategic Hotels & Resorts, Inc.

107,800
     
2,143,064
           




7,979,600
Restaurants - 1.30%              

Landry's Restaurants, Inc.

   
79,444
   


2,395,237
               
Retail -- General Merchandise - 1.03%              

Saks Incorporated

109,700
   


1,895,616
               
Retail -- Specialty Stores - 3.62%              

Big 5 Sporting Goods Corporation

   
49,200
     
1,120,284

Finish Line, Inc. (The), Class A

   
70,700
     
891,527

Genesco Inc.*

   
26,600
     
916,902

Guitar Center, Inc.*

   
24,300
     
1,085,116

Talbots, Inc. (The)

   
99,937
     
2,723,283
           




6,737,112
Savings and Loans - 1.63%              

Sterling Financial Corporation

   
55,421
     
1,796,472

WSFS Financial Corporation

   
19,589
     
1,217,946
           




3,014,418
Security and Commodity Brokers - 5.01%              

GFI Group Inc.*

   
36,600
     
2,022,333

National Financial Partners Corp.

   
50,174
     
2,058,639

Piper Jaffray Companies*

   
85,400
     
5,176,948
           




9,257,920
Timesharing and Software - 3.04%              

Hyperion Solutions Corporation*

   
54,400
     
1,876,800

Per-Se Technologies, Inc.*

 
111,900
     
2,551,880

TradeStation Group, Inc.*

   
79,100
     
1,190,060
           




5,618,740
Trucking and Shipping - 1.01%              

Kirby Corporation*

   
59,600
   


1,867,268
               
Utilities -- Electric - 3.29%              

Black Hills Corporation

   
48,000
     
1,613,280

El Paso Electric Company*

   
11,615
     
259,479

ITC Holdings Corp.

   
26,600
     
829,920

PNM Resources, Inc.

   
62,000
     
1,709,340

Pike Electric Corporation*

 
111,500
     
1,661,350
           




6,073,369
               
TOTAL COMMON STOCKS - 95.83%          
$
176,977,897

(Cost: $167,324,115)

             

             

SHORT-TERM SECURITIES  
Principal
Amount in
Thousands
     

               
Aircraft - 1.08%              

United Technologies Corporation,

             
      5.32%, 10-6-06  
$
2,000
   


1,998,522
               
Food and Related - 3.09%              

McCormick & Co. Inc.,

             
      5.37%, 10-2-06    
5,713
   


5,712,148
               
TOTAL SHORT-TERM SECURITIES - 4.17%          
$
7,710,670

(Cost: $7,710,670)

             
               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
184,688,567

(Cost: $175,034,785)

             
               

Notes to Schedule of Investments
 
*No income dividends were paid during the preceding 12 months.




The Investments of W&R Target Value Portfolio
            September 30, 2006
             
COMMON STOCKS    


Shares
     
Value

               
Aircraft - 2.62%              

Lockheed Martin Corporation (A)

   
39,200
   
$
3,373,552

Raytheon Company

   
119,700
     
5,746,797
           




9,120,349
Banks - 11.72%              

Bank of America Corporation

   
332,300
     
17,801,311

Citigroup Inc.

   
193,406
     
9,606,476

National City Corporation

   
122,300
     
4,476,180

Wachovia Corporation

   
86,200
     
4,809,960

Wells Fargo & Company

   
114,700
     
4,149,846
           




40,843,773
Beverages - 1.18%              

Diageo plc, ADR

   
57,900
   


4,113,216
               
Business Equipment and Services - 1.51%              

Realogy Businesses of Cendant Corporation*

   
71,850
     
1,629,558

Waste Management, Inc. (A)

   
99,400
     
3,645,992
           




5,275,550
Capital Equipment - 0.94%              

Illinois Tool Works Inc.

   
73,300
   


3,291,170
               
Chemicals -- Petroleum and Inorganic - 0.98%              

du Pont (E.I.) de Nemours and Company

   
79,600
   


3,410,064
               
Chemicals -- Specialty - 0.70%              

Air Products and Chemicals, Inc.

   
36,700
   


2,435,779
               
Communications Equipment - 1.25%              

Cisco Systems, Inc. (A)*

   
128,200
     
2,946,677

Nokia Corporation, Series A, ADR

   
71,300
     
1,403,897
           




4,350,574
Computers -- Main and Mini - 5.18%              

Hewlett-Packard Company (A)

   
401,500
     
14,731,035

Xerox Corporation*

   
214,000
     
3,329,840
           




18,060,875
Computers -- Peripherals - 0.93%              

Adobe Systems Incorporated (A)*

   
86,800
   


3,251,962
               
Defense - 1.49%              

General Dynamics Corporation (A)

   
72,500
   


5,196,075
               
Electronic Components - 0.50%              

Motorola, Inc.

   
69,400
   


1,735,000
               
Finance Companies - 5.57%              

Capital One Financial Corporation

   
74,300
     
5,844,438

Fannie Mae

   
117,300
     
6,558,243

Freddie Mac

   
105,600
     
7,004,448
           




19,407,129
Food and Related - 1.38%              

General Mills, Inc.

   
85,200
   


4,822,320
               
Furniture and Furnishings - 0.74%              

Masco Corporation

   
93,900
   


2,574,738
               
Health Care -- Drugs - 4.16%              

AmerisourceBergen Corporation

   
77,200
     
3,489,440

McKesson Corporation

   
78,900
     
4,159,608

Pfizer Inc.

   
242,100
     
6,865,956
           




14,515,004
Health Care -- General - 1.96%              

Boston Scientific Corporation (A)*

   
196,700
     
2,909,193

Da Vita Inc. (A)*

   
67,500
     
3,906,225
           




6,815,418
Hospital Supply and Management - 2.23%              

Aetna Inc.

   
107,000
     
4,231,850

Coventry Health Care, Inc.*

   
68,800
     
3,544,576
           




7,776,426
Hotels and Gaming - 0.46%              

Wyndham Worldwide businesses of Cendant Corporation*

   
57,480
   


1,607,716
               
Insurance -- Life - 3.81%              

UnumProvident Corporation

   
684,500
   


13,272,455
               
Insurance -- Property and Casualty - 5.65%              

Assurant, Inc.

   
75,200
     
4,016,432

Everest Re Group, Ltd. (A)

   
49,900
     
4,866,747

MBIA Inc.

   
31,700
     
1,947,648

St. Paul Companies, Inc. (The)

   
188,901
     
8,857,568
           




19,688,395
Leisure Time Industry - 0.15%              

Avis Budget Group, Inc.

   
28,740
   


525,654
               
Metal Fabrication - 1.97%              

Loews Corporation, Carolina Group (A)

   
123,900
   


6,862,821
               
Motion Pictures - 0.64%              

News Corporation Limited, Class A (A)

   
112,800
   


2,216,520
               
Motor Vehicle Parts - 0.89%              

American Axle & Manufacturing Holdings, Inc. (A)

   
186,700
   


3,116,023
               
Multiple Industry - 4.16%              

Altria Group, Inc.

   
125,700
     
9,622,335

Genworth Financial, Inc.

   
53,800
     
1,883,538

Mirant Corporation*

   
109,300
     
2,984,983
           




14,490,856
Petroleum -- International - 12.15%              

Anadarko Petroleum Corporation

   
92,000
     
4,032,360

ChevronTexaco Corporation

   
171,200
     
11,104,032

ConocoPhillips

   
65,000
     
3,869,450

Devon Energy Corporation

   
75,000
     
4,736,250

Exxon Mobil Corporation

   
277,604
     
18,627,228
           




42,369,320
Petroleum -- Services - 0.40%              

Halliburton Company

   
49,100
   


1,396,895
               
Railroad - 1.75%              

Union Pacific Corporation

   
69,400
   


6,107,200
               
Real Estate Investment Trust - 1.04%              

Duke Realty Corporation

   
97,000
   


3,622,950
               
Restaurants - 1.77%              

McDonald's Corporation

   
158,000
   


6,180,960
               
Retail -- General Merchandise - 2.66%              

Dollar General Corporation

   
221,400
     
3,017,682

Family Dollar Stores, Inc.

   
125,800
     
3,678,392

J. C. Penney Company, Inc. (A)

   
37,500
     
2,564,625
           




9,260,699
Security and Commodity Brokers - 8.37%              

Bear Stearns Companies Inc. (The)

   
29,000
     
4,062,900

CIT Group Inc.

   
81,800
     
3,977,934

Morgan (J.P.) Chase & Co.

   
294,288
     
13,819,765

Morgan Stanley

   
100,500
     
7,327,455
           




29,188,054
Utilities -- Electric - 4.16%              

Energy East Corporation

   
217,000
     
5,147,240

Exelon Corporation

   
36,300
     
2,197,602

NRG Energy, Inc.*

   
74,800
     
3,388,440

PPL Corporation

   
114,200
     
3,757,180
           




14,490,462
Utilities -- Telephone - 3.17%              

AT&T Inc.

   
214,700
     
6,990,632

Verizon Communications Inc.

   
109,700
     
4,073,161
           




11,063,793
               
TOTAL COMMON STOCKS - 98.24%          
$
342,456,195

(Cost: $288,270,223)

             
               
               
PREFERRED STOCK - 0.22%              

               
Finance Companies              

Federal National Mortgage Association, 5.375% Convertible

   
8
   
$
770,180
(Cost: $800,000)

             
               
SHORT-TERM SECURITY - 1.54%  
Principal
Amount in
Thousands
     

               
Aluminum              

Alcoa Incorporated,

             
      5.4%, 10-2-06  
$
5,377
   
$
5,376,193
(Cost: $5,376,193)

               
TOTAL INVESTMENT SECURITIES - 100.00%          
$
348,602,568

(Cost: $294,446,416)

             
               
               
Notes to Schedule of Investments
                   

Certain acronyms may be used within the body of the Portfolio's holdings. The definitions of these acronyms are as follows: ADR - American Depositary Receipts; CMO - Collateralized Mortgage Obligation; GDR - Global Depositary Receipts and REMIC - Real Estate Mortgage Investment Conduit.

                   

*No income dividends were paid during the preceding 12 months.

                   

(A)Securities serve as cover for the following written options outstanding at September 30, 2006.

                   

Underlying
Security

Contracts
Subject
to Call

 

Expiration Month/
Exercise Price

Premium
Received

 

Market
Value


Adobe Systems Incorporated

868
 

November/42.5

 
$
36,021
 
$
23,870

Boston Scientific Corporation

672
 

October/19

 
 
16,800
 
 
656

Boston Scientific Corporation

672
 

November/19

 
 
33,869
 
 
2,098

Boston Scientific Corporation

623
 

December/19

 
 
24,297
 
 
5,474

Cisco Systems, Inc.

641
 

October/22.5

 
 
21,877
 
 
51,280

General Dynamics Corporation

127
 

November/72.5

 
 
16,255
 
 
21,590

Hewlett-Packard Company

715
 

November/40

 
 
33,246
 
 
42,900

J. C. Penney Company, Inc.

565
 

November/73

 
 
41,867
 
 
66,924

Lockheed Martin Corporation

100
 

November/90

 
 
10,302
 
 
12,700

News Corporation Limited,
      Class A

441
 

October/20

 
 
17,198
 
 
6,615

Waste Management, Inc.

243
 

October/37.5

 
 
10,692
 
 
9,720


         
$
262,424
 
$
243,827


         
 
 
 
 
 

Underlying
Security

Contracts
Subject
to Put

 

Expiration Month/
Exercise Price

Premium
Received

 

Market
Value


American Axle & Manufacturing
      Holdings, Inc.

1,030
 

October/12.5

 
$
49,438
 
$
5,150

American Axle & Manufacturing
      Holdings, Inc.

880
 

November/12.5

 
 
24,860
 
 
22,000

American Axle & Manufacturing
      Holdings, Inc.

880
 

November/15

 
 
80,212
 
 
61,600

Da Vita Inc.

223
 

October/45

 
 
9,812
 
 
1,672

Everest Re Group, Ltd.

185
 

October/85

 
 
18,869
 
 
463

J. C. Penney Company, Inc.

159
 

November/55

 
 
10,017
 
 
3,180

Loews Corporation, Carolina
      Group

150
 

October/55

 
 
13,459
 
 
13,500


         
$
206,667
 
$
107,565


         
 
 
 
 
 





ITEM 2. CONTROLS AND PROCEDURES.

   

(a)

The Registrant's Principal Executive Officer and Principal Financial Officer, or persons performing similar functions, based on their evaluation of the Registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, have concluded that such controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended) are effective and adequately designed to ensure that information required to be disclosed by the Registrant in its reports that it files or submits is accumulated and communicated to the Registrant's management, including the Principal Executive Officer and Principal Financial Officer, or persons performing similar functions, as appropriate, to allow timely decisions regarding required disclosure.

   

(b)

There were no significant changes in the registrant's internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940, as amended) that occurred during the registrant's last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting.

   

ITEM 3. EXHIBITS.

   
 

A separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)).

   

Attached hereto as Exhibit 99.CERT.

   

 

SIGNATURES

 
 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

W&R Target Funds, Inc.

(Registrant)

 
 

By     /s/Kristen A. Richards

         Kristen A. Richards, Vice President and Assistant Secretary

 

Date: November 28, 2006

 
 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By     /s/Henry J. Herrmann

         Henry J. Herrmann, Principal Executive Officer

 

Date: November 28, 2006

 
 

By     /s/Theodore W. Howard

         Theodore W. Howard, Principal Financial Officer

 

Date: November 28, 2006

 

 

EX-99.CERT 2 tgt_certnq11-06.htm CERTIFICATION

                                                                                                   Exhibit 99.CERT

CERTIFICATION

I, Henry J. Herrmann, certify that:

1.         I have reviewed this report on Form N-Q of W&R Target Funds, Inc.;

2         Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.         Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

4.         The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

         a)         Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that the material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

         b)         Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

         c)         Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

         d)         Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5.         The registrant's other certifying officer and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing equivalent functions):

         a)         All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

         b)         Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

   
Date: November 28, 2006 /s/Henry J. Herrmann
  Henry J. Herrmann, Principal Executive Officer

 

 

 

CERTIFICATION

I, Theodore W. Howard, certify that:

1.         I have reviewed this report on Form N-Q of W&R Target Funds, Inc.;

2         Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.         Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

4.         The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

         a)         Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that the material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

         b)         Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

         c)         Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

         d)         Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5.         The registrant's other certifying officer and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing equivalent functions):

         a)         All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

         b)         Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

   
Date: November 28, 2006 /s/Theodore W. Howard
  Theodore W. Howard, Principal Financial Officer

-----END PRIVACY-ENHANCED MESSAGE-----