SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549



                                  SCHEDULE 13G



                    Under the Securities Exchange Act of 1934
                                (Amendment # 3)*

                                 Stellent, Inc.
                                (Name of Issuer)


                                  Common Stock
                         (Title of Class of Securities)


                                    85856W105
                                 (CUSIP Number)
      August 2, 2004 (Date of Event Which Requires Filing of this Statement)
 Check the appropriate box to designate the rule pursuant to which this schedule
 is filed:
                                (X) Rule 13d-1(b)
                                ( ) Rule 13d-1(c)
                                ( ) Rule 13d-1(d)

* The remainder of this cover page shall be filled out for a reporting person's
initial filing on this form with respect to the subject class of securities, and
for any subsequent amendment containing information which would alter the
disclosures provided in a prior cover page.

The information required in the remainder of this cover page shall not be deemed
to be "filed" for the purpose of Section 18 of the Securities Exchange Act of
1934 ("Act") or otherwise subject to the liabilities of that section of the Act
but shall be subject to all other provisions of the Act (however, see the
Notes).

                        (Continued on following page(s))






---------------------------------------------------------------
 1)      Name of Reporting Person              Symetra Asset Management Company,
         S.S. or I.R.S. Identifica-            formerly Safeco Asset Management
         tion No. of Above Person              Company
---------------------------------------------------------------
2) Check the Appropriate Box                  (a)
         if a Member of a Group                ___________________________
         (See Instructions)                   (b)
---------------------------------------------------------------
3) SEC Use Only
---------------------------------------------------------------
4)       Citizenship or Place of Organization   State of Washington

---------------------------------------------------------------
Number of       (5) Sole Voting
Shares Bene-         Power                     0
ficially           ___________________________________________________
Owned by        (6) Shared Voting
Reporting              Power                   0
Person With       ___________________________________________________
                (7) Sole Disposi-
                      tive Power               0
                  ---------------------------------------------------
                (8) Shared
                    Dispositive Power          0
---------------------------------------------------------------
9)       Aggregate Amount Beneficially         0
         Owned by Reporting Person
---------------------------------------------------------------
10)      Check if the Aggregate
         Amount in Row (9) Excludes
         Certain Shares (See Instructions)
---------------------------------------------------------------
11)      Percent of Class Represented
         by Amount in Row 9                    0%
---------------------------------------------------------------
12)      Type of Reporting Person IA (See Instructions)

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





Item 1(a).        Name of Issuer:  See front cover

Item 1(b).        Address of Issuer Principal Executive Offices:

                  7777 Golden Triangle Drive, Eden Prairie, MN  55344-3736

Item 2(a).        Name of Person(s) Filing:  See Item 1 on cover page (page 2).

Item 2(b).        Address of Principal Business Office or, If None, Residence:

                  Symetra Asset Management Company: 601 Union Street,
                  Suite 2500, Seattle, WA 98101

Item 2(c).        Citizenship:   See Item 4 on cover page (page 2).

Item 2(d).        Title of Class of Securities:   See front cover page.

Item 2(e).        CUSIP Number:   See front cover page.

Item 3.           If this statement is filed pursuant to Rules 13d-1(b) or
                  13d-2(b) or (c), check whether the persons filing are:

     (a) ( )Broker or Dealer registered under Section 15 of the Act.
     (b) ( )Bank as defined in Section 3(a)(6) of the Act.
     (c) ( )Insurance Company as defined in Section 3(a)(19) of the Act.
     (d) ( )Investment  Company  registered  under Section 8 of the  Investment
            Company Act of 1940.
     (e) (X)Investment  Adviser  registered under Section 203 of the Investment
             Advisers Act of 1940.
     (f) ( )Employee  Benefit Plan, Pension Fund which is subject to provisions
             of Employee  Retirement  Income Security Act of 1974 or Endowment
             Fund; see Rule 13d-1(b)(1)(ii)(F).
     (g) ( )Parent Holding Company in accordance with Rule 13d-1(b)(ii)(G).
     (h) ( ) Savings  Association  as  defined in  Section  3(b) of the  Federal
             Deposit Insurance Act.
     (i) ( ) Church Plan that is excluded  from the  definition of an investment
             company under Section 3(c)(14) of the Investment Company Act
             of 1940.
     (j) ( )Group, in accordance with Rule 13d-1(b)(1)(ii)(H).







Item 4.  Ownership:

                  Items (a) through (c): See items 1 and 5-11 of the cover page
       (page 2).

               Symetra  Asset  Management  Company  expressly  declares that the
               filing of this  statement  on Schedule 13G shall not be construed
               as an admission that it was, for the purposes of Section 13(d) or
               13(g) of the  Securities and Exchange Act of 1934, the beneficial
               owner of the securities covered by this statement. The company is
               filing  this  statement  because it was  considered  an  indirect
               beneficial  owner of such  securities  based on its  ownership or
               control of one or more investment  companies which directly owned
               such shares.

Item 5.  Ownership of 5% or Less of a Class:

               As of August 2,  2004,  Symetra  Asset  Management  Company is no
               longer the investment  adviser to the  investment  companies that
               own the  securities  covered by this  statement and has therefore
               ceased to be a reporting  person for purposes of Section 13(d) or
               13(g) of the Exchange Act of 1934.


Item 6.  Ownership of More than 5% on Behalf of Another Person:  Not applicable.

Item 7.  Identification  and  Classification  of the  Subsidiary  Which
                  Acquired the Security Being Reported on by the Parent Holding
                  Company. Not applicable.





Item 8.  Identification and Classification of Members of the Group.
                  Not applicable.

Item 9.  Notice of Dissolution of Group.  Not applicable.

Item 10. Certification.

               By signing  below I certify that, to the best of my knowledge and
               belief,  the securities  referred to above were acquired and were
               held in the ordinary course of business and were not acquired and
               were not held for the  purpose of or with the effect of  changing
               or influencing  the control of the issuer of such  securities and
               were not  acquired and were not held in  connection  with or as a
               participant in any transaction having that purpose or effect.











Signature.

                  After reasonable inquiry and to the best of my knowledge and
                  belief, I certify that the information set forth in this
                  statement is true, complete and correct.



Date: September 14, 2004                     Symetra  Asset  Management  Company


                                                     By /s/ David H. Longhurst
                                                    ----------------------------
                                                            David H. Longhurst
                                           Vice President, Treasurer, Controller