UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

                Report for the Quarter Ended: December 31, 2004

Check here if Amendment: [] Amendment Number:
    This Amendment (Check only one.):
    [ ] is a restatement.
    [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
    Name:    U.S. Global Investors, Inc.
    Address: 7900 Callaghan Road
             San Antonio, TX 78229

13F File Number:  028-02220

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

Person Signing this Report on Behalf of Reporting Manager:

    Name:   Susan B. McGee
    Title:  President, General Counsel
    Phone:  210-308-1234


            /S/ Susan B. McGee
            ------------------
            San Antonio, TX
            February 11, 2005

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager: None



                        FORM 13F SUMMARY PAGE

                           REPORT SUMMARY:

Number of Other Included Managers:      2
Form 13F Information Table Entry Total: 300
Form 13F Information Table Value Total: $304,496 (thousands)

List of Other Included Managers:

     NO. 13F FILE NUMBER: NAME:
     ---       ---------------       ---------------------------
      1        Unknown               Leeb Capital Management, Inc.
      2        Unknown               Charlemagne Capital (IOM) Limited





                                                     FORM 13F INFORMATION TABLE


        COLUMN 1          COLUMN 2      COLUMN 3    COLUMN 4         COLUMN 5          COLUMN 6   COLUMN 7          COLUMN 8
------------------------  --------      ---------   --------  ------------------------ --------  ----------  -----------------------
                                                              SHARES                                            VOTING AUTHORITY
                          TITLE OF                   VALUE       OR              PUT/  INVESTMT    OTHER    ------------------------
     NAME OF ISSUER        CLASS         CUSIP      (x$1000)  PRN AMT    SH/PRN  CALL  DISCRETN   MANAGERS  SOLE  SHARED      NONE
------------------------  --------     ----------   --------  -------  ---------  ---- ---------  -------- -----  ------     ------
                                                                                           

APEX SILVER MINES LTD      ORD             G04074103     344      20,000    SH            Defined     1                       20,000
NABORS INDUSTRIES INC      SHS             G6359F103   2,565      50,000    SH            Sole                     50,000
NABORS INDUSTRIES INC      SHS             G6359F103     103       2,000    SH            Sole                      2,000
NABORS INDUSTRIES INC      SHS             G6359F103     256       5,000    SH            Defined     1                        5,000
NOBLE DRILLING CORP        SHS             G65422100     373       7,500    SH            Defined     1                        7,500
TRANSOCEAN INC             ORD             G90078109   2,331      55,000    SH            Sole                     55,000
TRANSOCEAN INC             ORD             G90078109     509      12,000    SH            Sole                     12,000
TRANSOCEAN INC             ORD             G90078109     386       9,100    SH            Defined     1                        9,100
SYNERON MEDICAL LTD        ORD SHS         M87245102     459      15,000    SH            Sole                     15,000
TOP TANKERS INC            COM             Y8897Y107   2,275     140,000    SH            Sole                    140,000
AFLAC INC                  COM             001055102     239       6,000    SH            Defined     1                        6,000
ACUITY BRANDS INC          COM             00508Y102     318      10,000    SH            Sole                     10,000
AGNICO EAGLE MINES
 WT 11/14/07               WTS             008474132      28      10,000    SH            Sole                     10,000
AGNICO EAGLE MINES
 WT 11/14/07               WTS             008474132     610     221,100    SH            Sole                    221,100
AGNICO EAGLE MINES
 WT 11/14/07               WTS             008474132   1,658     600,900    SH            Sole                    600,900
AIR PRODUCTS &
 CHEMICAL                  COM             009158106   1,449      25,000    SH            Sole                     25,000
AIRGAS INC                 COM             009363102     795      30,000    SH            Sole                     30,000
ALCAN INC                  COM             013716105   1,471      30,000    SH            Sole                     30,000
ALCAN INC                  COM             013716105      98       2,000    SH            Sole                      2,000
ALLERGAN INC               COM             018490102     243       3,000    SH            Defined     1                        3,000
AMERICAN EAGLE
 OUTFITTERS                COM             02553E106     424       9,000    SH            Sole                      9,000
AMERICAN EAGLE
 OUTFITTERS                COM             02553E106   1,884      40,000    SH            Sole                     40,000
AMERICAN EXPRESS           COM             025816109     259       4,600    SH            Sole                      4,600
AMERICAN EXPRESS           COM             025816109     271       4,800    SH            Defined     1                        4,800
AMERICAN
 INTERNATIONAL GROUP       COM             026874107     197       3,000    SH            Defined     1                        3,000
AMERIGROUP
 CORPORATION               COM             03073T102     378       5,000    SH            Sole                      5,000
AMERIGROUP
 CORPORATION               COM             03073T102     757      10,000    SH            Sole                     10,000
AMETEK INC                 COM             031100100     535      15,000    SH            Sole                     15,000
AMYLIN PHARMACEU-
 TICALS INC                COM             032346108     234      10,000    SH            Defined     1                       10,000
ANIXTER INTL INC           COM             035290105     900      25,000    SH            Sole                     25,000
APPLE COMPUTER INC         COM             037833100     193       3,000    SH            Sole                      3,000
ARACRUZ CELULOSE SA
 SPON ADR                  SPON ADR PFD B  038496204   1,131      30,000    SH            Sole                     30,000
ARMOR HOLDINGS INC         COM             042260109     470      10,000    SH            Sole                     10,000
ARTHROCARE CORP            COM             043136100     481      15,000    SH            Sole                     15,000
AUDIBLE INC                COM             05069A302     521      20,000    SH            Sole                     20,000
BJ SERVICES CO             COM             055482103   3,025      65,000    SH            Sole                     65,000
BP PRUDHOE BAY
 RTY TR UNIT BEN I         UNIT TR         055630107     773      16,000    SH            Sole                     16,000
BANK OF AMERICA CORP       COM             060505104     658      14,000    SH            Sole                     14,000
BARD CORP                  COM             067383109     960      15,000    SH            Sole                     15,000
BARRICK GOLD
 CORPORATION               COM             067901108     484      20,000    SH            Sole                     20,000
BARRICK GOLD
 CORPORATION               COM             067901108   1,211      50,000    SH            Sole                     50,000
C/O BARRICK GOLD
   JAN 0030.00             CALL OPTN       0679015AF     101         750    SH     CALL   Sole                        750
C/O BARRICK GOLD
   JAN 0030.00             CALL OPTN       0679015AF     304       2,250    SH     CALL   Sole                      2,250
BEAR STEARNS
 CO INC                    COM             073902108     512       5,000    SH            Sole                      5,000
BEMA GOLD CORP             COM             08135F107     183      60,000    SH            Sole                     60,000
BEMA GOLD CORP             COM             08135F107     351     115,000    SH            Sole                    115,000
BEMA GOLD CORP             COM             08135F107   1,236     405,000    SH            Sole                    405,000
BERKSHIRE HATHAWAY
 INC CL B                  CL B            084670207     690         235    SH            Defined     1                          235
BHP BILLITON LTD ADR       SPON ADR        088606108     120       5,000    SH            Sole                      5,000
BIOTECH HOLDERS TR
 DEP RCPTS                 DEP RCPTS       09067D201     459       3,000    SH            Sole                      3,000
BIOSITE INC                COM             090945106     615      10,000    SH            Sole                     10,000
BONE CARE INTL INC         COM             098072101     418      15,000    SH            Sole                     15,000
BOYD GAMING CORP           COM             103304101     625      15,000    SH            Sole                     15,000
BRIGHT HORIZONS
 FAMILY SOLUTNS            COM             109195107     324       5,000    SH            Sole                      5,000
BRINKS CO                  COM             109696104     395      10,000    SH            Sole                     10,000
BUILD A BEAR
 WORKSHOP INC              COM             120076104     352      10,000    SH            Sole                     10,000
BURLINGTON NORTH
 SANTA FE CORP             COM             12189T104     662      14,000    SH            Sole                     14,000
CNOOC LTD ADR              SPON ADR        126132109   1,084      20,000    SH            Sole                     20,000
CNOOC LTD ADR              SPON ADR        126132109   1,084      20,000    SH            Sole                     20,000
CACI INTNATL
 INC CL A                  CL A            127190304     375       5,500    SH            Defined     1                        5,500
CAL DIVE INTL INC          COM             127914109     408      10,000    SH            Sole                     10,000
CAMBIOR INC                COM             13201L103     321     120,400    SH            Sole                    120,400
CAMBIOR INC                COM             13201L103     467     175,000    SH            Sole                    175,000
CAMECO CORP                COM             13321L108     210       2,000    SH            Sole                      2,000
CAPITAL ONE
 FINANCIAL CORP            COM             14040H105     160       1,900    SH            Sole                      1,900
CATAPULT COMMUNI-
 CATIONS CORP              COM             149016107     242      10,000    SH            Sole                     10,000
CATERPILLAR INC DEL        COM             149123101     293       3,000    SH            Sole                      3,000
CENTENE CORP               COM             15135B101     851      30,000    SH            Sole                     30,000
CENTRAL EUROPEAN
 DISTR CORP                COM             153435102   5,064     171,431    SH            Defined     2                      171,431
CENTRAL EUROPEAN
 DISTR CORP                COM             153435102     295      10,000    SH            Sole                     10,000
CERADYNE INC CALIF         COM             156710105   1,430      25,000    SH            Sole                     25,000
CHARLES RIVER
 ASSOCIATES INC            COM             159852102     468      10,000    SH            Sole                     10,000
CHESAPEAKE ENERGY
 CORP                      COM             165167107   1,568      95,000    SH            Sole                     95,000
CHESAPEAKE ENERGY
 CORP                      COM             165167107      99       6,000    SH            Sole                      6,000
CHEVRON CORP               COM             166764100     210       4,000    SH            Defined     1                        4,000
CHINA PETROLEUM &
 CHEMICAL ADR              SPON ADR        16941R108     820      20,000    SH            Sole                     20,000
CIMAREX ENERGY CO          COM             171798101     379      10,000    SH            Sole                     10,000
CITIGROUP INC              COM             172967101     361       7,500    SH            Defined     1                        7,500
CLARCOR INC                COM             179895107     548      10,000    SH            Sole                     10,000
COCA COLA CO COM           COM             191216100     404       9,700    SH            Defined     1                        9,700
COGENT INC                 COM             19239Y108     660      20,000    SH            Sole                     20,000
COINSTAR INC               COM             19259P300     402      15,000    SH            Sole                     15,000
COLDWATER CREEK INC        COM             193068103     463      15,000    SH            Sole                     15,000
COMCAST COPR CL A          CL A            20030N101     333      10,000    SH            Defined     1                       10,000
COMMERCIAL
 METALS CO                 COM             201723103     506      10,000    SH            Sole                     10,000
COMPANHIA SIDERURGICA
 NAC ADR                   SPON ADR        20440W105   3,346     175,000    SH            Sole                    175,000
COMPAHNIA VALE DO
 RIO DOCE ADR              SPON ADR        204412209   3,046     105,000    SH            Sole                    105,000
COMPAHNIA VALE
 DO RIO DOCE ADR           SPON ADR        204412209     116       4,000    SH            Sole                      4,000
COMVERSE TECH-
 NOLOGY INC                COM             205862402     367      15,000    SH            Sole                     15,000
CONOCOPHILLIPS             COM             20825C104     217       2,500    SH            Defined     1                        2,500
CONSOL ENERGY INC          COM             20854P109   1,232      30,000    SH            Sole                     30,000
CONSOL ENERGY INC          COM             20854P109     164       4,000    SH            Sole                      4,000
CORPORATE EXECUTIVE
 BOARD CO                  COM             21988R102     669      10,000    SH            Sole                     10,000
COSTCO WHOLESALE
 CORP                      COM             22160K105     218       4,500    SH            Sole                      4,500
COVANCE INC                COM             222816100     969      25,000    SH            Sole                     25,000
CREE INC                   COM             225447101   1,804      45,000    SH            Sole                     45,000
CYTYC CORPORATION          COM             232946103     551      20,000    SH            Sole                     20,000
DHB INDUSTRIES INC         COM             23321E103     381      20,000    SH            Sole                     20,000
DECKERS OUTDOOR CORP       COM             243537107     470      10,000    SH            Sole                     10,000
DIGITAL RIVER INC          COM             25388B104     499      12,000    SH            Sole                     12,000
DOMINOS PIZZA              COM             25754A201     534      30,000    SH            Sole                     30,000
DOW CHEMICAL CO            COM             260543103   1,980      40,000    SH            Sole                     40,000
DOW CHEMICAL CO            COM             260543103     173       3,500    SH            Sole                      3,500
DRDGOLD LIMITED
 SPONSORED ADR             SPON ADR        26152H103     154     100,000    SH            Sole                    100,000
EGL INC                    COM             268484102     299      10,000    SH            Sole                     10,000
EOG RESOURCES              COM             26875P101     714      10,000    SH            Sole                     10,000
E TRADE FINANCIAL
 CORPORATION               COM             269246104     224      15,000    SH            Sole                     15,000
EAGLE MATERIALS INC        COM             26969P108     432       5,000    SH            Sole                      5,000
EATON CORP                 COM             278058102   1,085      15,000    SH            Sole                     15,000
EBAY INC                   COM             278642103     698       6,000    SH            Sole                      6,000
EBAY INC                   COM             278642103     349       3,000    SH            Defined     1                        3,000
ELECTRONIC ARTS INC        COM             285512109     580       9,400    SH            Defined     1                        9,400
ENERGEN CORP               COM             29265N108     590      10,000    SH            Sole                     10,000
ENERPLUS RESOURCES
 FUND                      UNIT TR         29274D604   1,053      29,000    SH            Sole                     29,000
ENERPLUS RESOURCES
 FUND                      UNIT TR         29274D604     218       6,000    SH            Sole                      6,000
ENTERGY CORP               COM             29364G103     162       2,400    SH            Defined     1                        2,400
EXELON CORPORATION         COM             30161N101     176       4,000    SH            Sole                      4,000
FMC CORP                   COM             302491303   1,932      40,000    SH            Sole                     40,000
FPL GROUP                  COM             302571104     299       4,000    SH            Defined     1                        4,000
FACTSET RESH SYS INC       COM             303075105     877      15,000    SH            Sole                     15,000
FEDEX CORPORATION          COM             31428X106     492       5,000    SH            Sole                      5,000
FIFTH THIRD BANCORP        COM             316773100     378       8,000    SH            Defined     1                        8,000
FIRST DATA CORP            COM             319963104     319       7,500    SH            Defined     1                        7,500
FORDING CANADIAN
 COAL TRUST                UNIT TR         345425102   4,243      55,000    SH            Sole                     55,000
FORWARD AIR
 CORPORATION               COM             349853101     671      15,000    SH            Sole                     15,000
FOSSIL INC                 COM             349882100     513      20,000    SH            Sole                     20,000
C/O FREEPORT MCMOR
 JAN 0040.00               CALL OPTN       35671D5AH      68         145    SH     CALL   Sole                        145
C/O FREEPORT MCMOR
 JAN 0040.00               CALL OPTN       35671D5AH     167         355    SH     CALL   Sole                        355
FREEPORT MCMORAN
 COPPER & GOLD B           CL B            35671D857   3,058      80,000    SH            Sole                     80,000
FREEPORT MCMORAN
 COPPER & GOLD B           CL B            35671D857   2,103      55,000    SH            Sole                     55,000
GENERAL ELECTRIC CO        COM             369604103     438      12,000    SH            Sole                     12,000
GENERAL ELECTRIC CO        COM             369604103     183       5,000    SH            Defined     1                        5,000
GENZYME CORP-
 GENERAL DIVISION          COM             372917104     163       2,800    SH            Defined     1                        2,800
GOLD FIELDS LTD
 SPON ADR                  SPON ADR        38059T106   2,321     186,000    SH            Sole                    186,000
GOLD FIELDS LTD
 SPON ADR                  SPON ADR        38059T106   2,072     166,000    SH            Sole                    166,000
GOLDCORP INC               COM             380956409   1,842     122,500    SH            Sole                    122,500
GOLDCORP INC               COM             380956409   2,339     155,500    SH            Sole                    155,500
GOOGLE INC
 CLASS A                   CL A            38259P508      97         500    SH            Sole                        500
HSBC HLDGS PLC
 SPONS ADR                 SPON ADR        404280406     851      10,000    SH            Sole                     10,000
HALLIBURTON CO             COM             406216101     392      10,000    SH            Sole                     10,000
HARRAHS ENTER-
 TAINMENT INC              COM             413619107     669      10,000    SH            Sole                     10,000
HEADWATERS INC             COM             42210P102     285      10,000    SH            Sole                     10,000
HECLA MINING               COM             422704106     525      90,000    SH            Sole                     90,000
HECLA MINING               COM             422704106   1,632     280,000    SH            Sole                    280,000
HERCULES INC               COM             427056106   1,559     105,000    SH            Sole                    105,000
HERCULES INC               COM             427056106     149      10,000    SH            Sole                     10,000
HEXCEL CORP                COM             428291108     290      20,000    SH            Sole                     20,000
HYDRIL                     COM             448774109     683      15,000    SH            Sole                     15,000
IDX SYSTEMS CORP           COM             449491109     345      10,000    SH            Sole                     10,000
IDEX CORP                  COM             45167R104     911      22,500    SH            Sole                     22,500
IMMUCOR INC                COM             452526106     353      15,000    SH            Sole                     15,000
INFOSYS TECHNOLO-
 GIES SPON ADR             SPON ADR        456788108     139       2,000    SH            Sole                      2,000
INNKEEPERS USA TRUST       COM             4576J0104     710      50,000    SH            Sole                     50,000
INTEL CORP                 COM             458140100      94       4,000    SH            Sole                      4,000
INTEL CORP                 COM             458140100     421      18,000    SH            Defined     1                       18,000
INTERNET SECURITY
 SYSTEMS                   COM             46060X107     465      20,000    SH            Sole                     20,000
ISHARES TRUST
 RUSSELL 200I              RUSSELL 2000    464287655     389       3,000    SH            Sole                      3,000
JABIL CIRCUIT INC          COM             466313103     102       4,000    SH            Sole                      4,000
JOHNSON & JOHNSON          COM             478160104     381       6,000    SH            Sole                      6,000
JOY GLOBAL INC             COM             481165108     326       7,500    SH            Sole                      7,500
JUNIPER NET-
 WORKS INC                 COM             48203R104     165       6,074    SH            Sole                      6,074
KLA TENCOR CORP            COM             482480100     419       9,000    SH            Sole                      9,000
KLA TENCOR CORP            COM             482480100   1,165      25,000    SH            Sole                     25,000
KIRBY CORP                 COM             497266106     222       5,000    SH            Sole                      5,000
KNIGHT TRANSN INC          COM             499064103     744      30,000    SH            Sole                     30,000
KRONOS INC                 COM             501052104   1,023      20,000    SH            Sole                     20,000
LANDSTAR SYSTEM INC        COM             515098101     736      10,000    SH            Sole                     10,000
LINCOLN ELECTRIC
 HOLDINGS                  COM             533900106     518      15,000    SH            Sole                     15,000
LYONDELL PETRO-
 CHEMICAL CO               COM             552078107   1,591      55,000    SH            Sole                     55,000
LYONDELL PETRO-
 CHEMICAL CO               COM             552078107     145       5,000    SH            Sole                      5,000
LYONDELL PETRO-
 CHEMICAL CO               COM             552078107     578      20,000    SH            Sole                     20,000
MASCO CORP                 COM             574599106     219       6,000    SH            Sole                      6,000
MERCURY INTERACTIVE
 CORP                      COM             589405109     182       4,000    SH            Sole                      4,000
MERIDIAN GOLD INC          COM             589975101   1,299      68,500    SH            Sole                     68,500
MERIDIAN GOLD INC          COM             589975101   2,931     154,500    SH            Sole                    154,500
METHANEX CORP              COM             59151K108   1,278      70,000    SH            Sole                     70,000
MICROSOFT CORP             COM             594918104     134       5,000    SH            Sole                      5,000
MINE SAFETY
 APPLIANCES CO             COM             602720104     406       8,000    SH            Sole                      8,000
MOBILE TELESYSTEMS
 SPON ADR                  SPON ADR        607409109  39,933     288,301    SH            Defined     2                      288,301
MOBILE MINI INC            COM             60740F105     330      10,000    SH            Sole                     10,000
MOOG INC CL A              CL A            615394202     680      15,000    SH            Sole                     15,000
MOTOROLA INC               COM             620076109     206      12,000    SH            Sole                     12,000
NASDAQ 100 SHARES          MTL FND         631100104     239       6,000    SH            Sole                      6,000
NATIONAL OILWELL
 INC                       COM             637071101   1,059      30,000    SH            Sole                     30,000
NAVIGANT
 CONSULTING INC            COM             63935N107     798      30,000    SH            Sole                     30,000
NETIQ CORP                 COM             64115P102     549      45,000    SH            Sole                     45,000
NETWORK APPLIANCE
 INC                       COM             64120L104     399      12,000    SH            Sole                     12,000
NEWMONT MINING
 CORP                      COM             651639106   1,998      45,000    SH            Sole                     45,000
NEWMONT MINING
 CORP                      COM             651639106   4,441     100,000    SH            Sole                    100,000
NEWMONT MINING
 CORP                      COM             651639106     444      10,000    SH            Defined     1                       10,000
C/O NEWMONT MINING
 JAN0040.00                CALL OPTN       6516392AH      42          50    SH     CALL   Sole                         50
C/O NEWMONT MINING
 JAN0040.00                CALL OPTN       6516392AH     126         150    SH     CALL   Sole                        150
C/O NEWMONT MINING
 JAN 0050.00               CALL OPTN       6516399AJ       0          20    SH     CALL   Sole                         20
C/O NEWMONT MINING
 JAN 0050.00               CALL OPTN       6516399AJ       1          80    SH     CALL   Sole                         80
NIKE INC CL B              CL B            654106103     272       3,000    SH            Sole                      3,000
NORFOLK SOUTHERN
 CORP                      COM             655844108   1,448      40,000    SH            Sole                     40,000
NORTHROP GRUNMAN
 CORP                      COM             666807102     544      10,000    SH            Defined     1                       10,000
NOVA CHEMICALS
 CORP                      COM             66977W109     473      10,000    SH            Sole                     10,000
NOVA CHEMICALS
 CORP                      COM             66977W109     378       8,000    SH            Sole                      8,000
NOVARTIS AG
 SPON ADR                  SPON ADR        66987V109     339       6,700    SH            Defined     1                        6,700
NUCOR CORP                 COM             670346105     785      15,000    SH            Sole                     15,000
OIL STATES
 INTERNATIONAL INC         COM             678026105     868      45,000    SH            Sole                     45,000
VIMPEL COMMUNICA-
 TIONS SPON ADR            SPON ADR        68370R109  23,807     658,756    SH            Defined     2                      658,756
OPENWAVE SYSTEMS INC       COM             683718308     464      30,000    SH            Sole                     30,000
OVERNITE CORP              COM             690322102     186       5,000    SH            Sole                      5,000
POSCO SPONSORED ADR        SPON ADR        693483109   1,336      30,000    SH            Sole                     30,000
PPG INDUSTRIES INC         COM             693506107   2,386      35,000    SH            Sole                     35,000
PACIFIC RIM MNG
 CORP_/CANADIAN/           COM             694915208      11      18,187    SH            Sole                     18,187
PACIFIC RIM MNG
 CORP_/CANADIAN/           COM             694915208     197     340,000    SH            Sole                    340,000
PATTERSON UTI
 ENERGY INC                COM             703481101   1,945     100,000    SH            Sole                    100,000
PETROCHINA CO
 LTD ADS                   SPON ADR        71646E100   1,074      20,000    SH            Sole                     20,000
PETROCHINA CO
 LTD ADS                   SPON ADR        71646E100     446       8,300    SH            Defined     1                        8,300
PETROKAZAKHSTAN
 INC CL A                  CL A            71649P102     928      25,000    SH            Sole                     25,000
PETROKAZAKHSTAN
 INC CL A                  CL A            71649P102     371      10,000    SH            Sole                     10,000
PETROLEO BRASILEIRO
 SA ADR                    SPON ADR        71654V408   4,774     120,000    SH            Sole                    120,000
PHELPS DODGE CORP          COM             717265102     198       2,000    SH            Sole                      2,000
PIONEER DRILLING CO        COM             723655106     713      70,700    SH            Sole                     70,700
PLACER DOME INC            COM             725906101     377      20,000    SH            Sole                     20,000
PLACER DOME INC            COM             725906101   1,509      80,000    SH            Sole                     80,000
PLACER DOME INC            COM             725906101   9,600     509,000    SH            Sole                    509,000
C/O PLACER DOME
 JAN 06                    CALL OPTN       7259069AE      82         700    SH     CALL   Sole                        700
C/O PLACER DOME
 JAN 06                    CALL OPTN       7259069AE      59         500    SH     CALL   Sole                        500
C/O PLACER DOME
 JAN 06                    CALL OPTN       7259069AE     424       3,610    SH     CALL   Sole                      3,610
POTASH CORP
 SASCKATCHEWAN             COM             73755L107   1,661      20,000    SH            Sole                     20,000
POTASH CORP
 SASCKATCHEWAN             COM             73755L107     415       5,000    SH            Sole                      5,000
PRECISION CAST
 PARTS                     COM             740189105     328       5,000    SH            Sole                      5,000
PRECISION DRILLING
 CORP                      COM             74022D100   3,140      50,000    SH            Sole                     50,000
PRIMEWEST ENERGY
 TRUST                     UNIT TR         741930309     333      15,000    SH            Sole                     15,000
PROASSURANCE
 CORPORATION               COM             74267C106     176       4,500    SH            Sole                      4,500
PROCTOR & GAMBLE CO        COM             742718109     402       7,300    SH            Defined     1                        7,300
PRIVATEBANCORP INC         COM             742962103     322      10,000    SH            Sole                     10,000
RALCORP HOLDINGS
 INC                       COM             751028101     629      15,000    SH            Sole                     15,000
RANGOLD RESOURCES
 LTD ADR                   SPON ADR        752344309   2,850     250,000    SH            Sole                    250,000
RANGOLD RESOURCES
 LTD ADR                   SPON ADR        752344309   4,264     374,000    SH            Sole                    374,000
RAYONIER INC               COM             754907103     196       4,000    SH            Sole                      4,000
RED ROBIN GOURMET
 BURGERS                   COM             75689M101     535      10,000    SH            Sole                     10,000
REDWOOD TRUST INC          COM             758075402     310       5,000    SH            Sole                      5,000
ROCKWELL INTER-
 NATIONAL CORP             COM             773903109     248       5,000    SH            Sole                      5,000
ROCKWELL INTER-
 NATIONAL CORP             COM             773903109   1,239      25,000    SH            Sole                     25,000
ROSTELECOM LNG
 DST&INTL TL ADR           SPON ADR        778529107   2,557     233,758    SH            Defined     2                      233,758
SRA INTERNATIONAL
 INC CLASS A               CL A            78464R105     321       5,000    SH            Sole                      5,000
SAFENET INC                COM             78645R107     367      10,000    SH            Sole                     10,000
SAN JUAN BASIN
 RTY TR UBI                UNIT TR         798241105   2,856      97,000    SH            Sole                     97,000
SAN JUAN BASIN
 RTY TR UBI                UNIT TR         798241105     206       7,000    SH            Sole                      7,000
SCHLUMBERGER LTD           COM             806857108     268       4,000    SH            Defined     1                        4,000
HEALTH CARE SELECT
 SECTOR FUND               SBI             81369Y209     211       7,000    SH            Sole                      7,000
SHANDA INTERACTIVE
 ENTER-ADR                 SPON ADR        81941Q203     425      10,000    SH            Sole                     10,000
SHAW GROUP INC             COM             820280105   1,428      80,000    SH            Sole                     80,000
SONIC CORP COM             COM             835451105   1,220      40,000    SH            Sole                     40,000
SOUTHWESTERN
 ENERGY CO                 COM             845467109   2,535      50,000    SH            Sole                     50,000
SOUTHWESTERN
 ENERGY CO                 COM             845467109   1,267      25,000    SH            Sole                     25,000
STARBUCKS CORP             COM             855244109     499       8,000    SH            Sole                      8,000
STARBUCKS CORP             COM             855244109   1,871      30,000    SH            Sole                     30,000
STEEL DYNAMICS INC         COM             858119100     379      10,000    SH            Sole                     10,000
STREETTRACKS GOLD
 TRUST                     GOLD SHS        863307104      50       1,150    SH            Sole                      1,150
STREETTRACKS GOLD
 TRUST                     GOLD SHS        863307104   1,145      26,150    SH            Sole                     26,150
SUPERIOR ENERGY
 SERVICES INC              COM             868157108     616      40,000    SH            Sole                     40,000
SYMANTEC CORP              COM             871503108     206       8,000    SH            Sole                      8,000
TEVA PHARMACEUTICAL
 IND SPON ADR              SPON ADR        881624209     388      13,000    SH            Defined     1                       13,000
TETRA TECHNOLOGIES
 INC DEL                   COM             88162F105   1,698      60,000    SH            Sole                     60,000
TEXAS INSTUMENTS
 INC                       COM             882508104     387      15,700    SH            Defined     1                       15,700
TEXTRON INC                COM             883203101     517       7,000    SH            Sole                      7,000
TEXTRON INC                COM             883203101   1,328      18,000    SH            Sole                     18,000
TIFFANY & CO               COM             886547108     240       7,500    SH            Sole                      7,500
TIFFANY & CO               COM             886547108     719      22,500    SH            Sole                     22,500
TIFFANY & CO               COM             886547108     272       8,500    SH            Defined     1                        8,500
TOLL BROTHERS INC          COM             889478103     137       2,000    SH            Sole                      2,000
TYCO INTL LTD              COM             902124106     357      10,000    SH            Defined     1                       10,000
UNIONBANCAL
 CORPORATION               COM             908906100     258       4,000    SH            Sole                      4,000
UNIT CORP                  COM             909218109   3,439      90,000    SH            Sole                     90,000
UNIT CORP                  COM             909218109     764      20,000    SH            Sole                     20,000
UNITED INDUSTRIAL          COM             910671106     194       5,000    SH            Sole                      5,000
UNITED INDUSTRIAL          COM             910671106     387      10,000    SH            Sole                     10,000
UNITED NATURAL
 FOODS                     COM             911163103     746      24,000    SH            Sole                     24,000
UNITED STATES
 STEEL CORP                COM             912909108     154       3,000    SH            Sole                      3,000
UNITED THERAPEUTICS
 CORP DEL                  COM             91307C102     452      10,000    SH            Sole                     10,000
UNITEDHEALTH
 GROUP INC                 COM             91324P102     616       7,000    SH            Sole                      7,000
URBAN OUTFITTERS
 INC                       COM             917047102     266       6,000    SH            Sole                      6,000
URBAN OUTFITTERS
 INC                       COM             917047102     888      20,000    SH            Sole                     20,000
VALERO REFNG &
 MARKETING CO              COM             91913Y100   3,632      80,000    SH            Sole                     80,000
VALERO REFNG &
 MARKETING CO              COM             91913Y100     272       6,000    SH            Sole                      6,000
VALERO REFNG &
 MARKETING CO              COM             91913Y100     454      10,000    SH            Sole                     10,000
VARCO INTERNA-
 TIONAL INC                COM             922122106     204       7,000    SH            Sole                      7,000
VARCO INTERNA-
 TIONAL INC                COM             922122106     437      15,000    SH            Sole                     15,000
VENTANA MEDICAL INC        COM             92276H106     960      15,000    SH            Sole                     15,000
VERISIGN INC               COM             92343E102   1,006      30,000    SH            Sole                     30,000
VERIZON COMMUNICA-
 TIONS                     COM             92343V104     203       5,000    SH            Sole                      5,000
WMC RESOURCES
 LTD SP ADR                SPON ADR        92928R106      41       1,800    SH            Sole                      1,800
WALTER INDUSTRIES INC      COM             93317Q105     675      20,000    SH            Sole                     20,000
WASHINGTON POST
 CO CL B                   CL B            939640108     477         485    SH            Defined     1                          485
WEBSENSE INC               COM             947684106   1,014      20,000    SH            Sole                     20,000
WELLCARE HEALTH
 PLANS INC                 COM             94946T106     650      20,000    SH            Sole                     20,000
WELLS FARGO &
 COMPANY                   COM             949746101     746      12,000    SH            Defined     1                       12,000
WESTLAKE CHEMICAL
 CORP                      COM             960413102   1,336      40,000    SH            Sole                     40,000
WESTLAKE CHEMICAL
 CORP                      COM             960413102     501      15,000    SH            Sole                     15,000
WYETH                      COM             983024100     213       5,000    SH            Sole                      5,000
YAHOO INC                  COM             984332106     339       9,000    SH            Sole                      9,000
YAHOO INC                  COM             984332106     942      25,000    SH            Sole                     25,000
YELLOW ROADWAY
 CORP                      COM             985577105     557      10,000    SH            Sole                     10,000
ZIMMER HOLDINGS
 INC                       COM             98956P102     337       4,200    SH            Defined     1                        4,200