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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2013

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, Texas 78229-2327

Form 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
Phone: 210-308-1234

Signature, Place, and Date of Signing:

/s/ Susan B. McGee                 San Antonio, TX              May 15, 2013
---------------------           ----------------------      --------------------
[Signature]                         [City, State]                  [Date]

Report Type (Check only one.):

[X]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
     are reported in this report.)

[ ]  13F NOTICE. (Check here if no holdings reported are in this report, and
     all holdings are reported by other reporting manager(s).)

[ ]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager: None
[If there are no entries in this list, omit this section.]

    Form 13F File Number       Name

    28-
       -------------          -------------------------------
    [Repeat as necessary.]

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                           FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       None

Form 13F Information Table Entry Total:  420

Form 13F Information Table Value Total:  698,004 (thousands)

List of Other Included Managers:         None

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]



                           FORM 13F INFORMATION TABLE



COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
ACE LTD SHS                SHS                  H0023R105      254      2,850 SH          Sole                         2,850
ACTAVIS INC COM ADDED      COM                  00507K103      184      2,000 SH          Sole                         2,000
ACTAVIS INC COM ADDED      COM                  00507K103      461      5,000 SH          Sole                         5,000
AES CORP COM               COM                  00130H105      182     14,500 SH          Sole                        14,500
AGNICO EAGLE MINES LTD
  COM                      COM                  1KY99W604      772        188 SH     CALL Sole                           188
AGNICO EAGLE MINES LTD
  COM                      COM                  1KY99W604    1,486        362 SH     CALL Sole                           362
AGNICO EAGLE MINES LTD
  COM                      COM                  008474108    4,104    100,000 SH          Sole                       100,000
AGNICO EAGLE MINES LTD
  COM                      COM                  008474108    8,208    200,000 SH          Sole                       200,000
ALAMOS GOLD INC COM ADDED  COM                  011527108    2,747    200,000 SH          Sole                       200,000
ALAMOS GOLD INC COM ADDED  COM                  011527108    4,807    350,000 SH          Sole                       350,000
ALAMOS GOLD INC COM ADDED  COM                  011527108    5,013    365,000 SH          Sole                       365,000
ALERIAN MLP ETF            ALERIAN MLP          00162Q866       53      3,000 SH          Sole                                3,000
ALERIAN MLP ETF            ALERIAN MLP          00162Q866      116      6,550 SH          Sole                                6,550
ALLSTATE CORP COM          COM                  020002101      275      5,600 SH          Sole                         5,600
ALMADEN MINERALS LTD COM   COM                  020283107    1,222    580,000 SH          Sole                       580,000
ALTRIA GROUP INC COM       COM                  02209S103      110      3,200 SH          Sole                                3,200
AMERICAN INTL GROUP INC
  COM NEW                  COM NEW              026874784      214      5,500 SH          Sole                         5,500
AMERICAN TOWER CORP NEW
  COM                      COM                  03027X100      231      3,000 SH          Sole                         3,000
AMERIPRISE FINL INC COM    COM                  03076C106      250      3,400 SH          Sole                         3,400
AMERISOURCEBERGEN CORP
  COM                      COM                  03073E105      190      3,700 SH          Sole                         3,700
AMGEN INC COM              COM                  031162100      256      2,500 SH          Sole                         2,500
AMGEN INC COM              COM                  031162100      256      2,500 SH          Sole                         2,500
AMIRA NATURE FOODS LTD
  SHS                      SHS                  G0335L102    3,604    455,000 SH          Sole                       455,000
ANADARKO PETE CORP COM     COM                  032511107      875     10,000 SH          Sole                        10,000
ANADARKO PETE CORP COM     COM                  032511107   10,494    120,000 SH          Sole                       120,000
ANALOG DEVICES INC COM     COM                  032654105      232      5,000 SH          Sole                         5,000
ANALOG DEVICES INC COM     COM                  032654105      604     13,000 SH          Sole                        13,000
ANGLOGOLD ASHANTI LTD
  SPONSORED ADR            SPONSORED ADR        5HQ990713      707        300 SH     CALL Sole                           300
ANGLOGOLD ASHANTI LTD
  SPONSORED ADR            SPONSORED ADR        5HQ990713    1,413        600 SH     CALL Sole                           600
APPLE INC COM              COM                  037833100      443      1,000 SH          Sole                         1,000
APPLE INC COM              COM                  037833100    1,062      2,400 SH          Sole                         2,400
APPLIED MATLS INC COM      COM                  038222105      171     12,700 SH          Sole                        12,700
ASSURANT INC COM           COM                  04621X108      225      5,000 SH          Sole                         5,000
AT&T INC COM               COM                  00206R102      264      7,200 SH          Sole                         7,200
AT&T INC COM               COM                  00206R102      110      3,000 SH          Sole                                3,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
ATLAS ENERGY LP COM
  UNITS LP                 COM UNITS LP         04930A104    2,422     55,000 SH          Sole                        55,000
AURICO GOLD INC COM        COM                  05155C105    1,258    200,000 SH          Sole                       200,000
AURICO GOLD INC COM        COM                  05155C105    1,573    250,000 SH          Sole                       250,000
AVIS BUDGET GROUP COM      COM                  053774105      557     20,000 SH          Sole                        20,000
AXIALL CORP COM ADDED      COM                  05463D100       62      1,000 SH          Sole                         1,000
BALL CORP COM              COM                  058498106      195      4,100 SH          Sole                         4,100
BANK OF AMERICA
  CORPORATION COM          COM                  060505104      250     20,500 SH          Sole                        20,500
BANK OF AMERICA
  CORPORATION COM          COM                  060505104      365     30,000 SH          Sole                        30,000
BANK OF AMERICA
  CORPORATION COM          COM                  060505104      853     70,000 SH          Sole                        70,000
BANRO CORP COM             COM                  1UJ99W773      344      1,979 SH     CALL Sole                         1,979
BARRICK GOLD CORP COM      COM                  3NQ995109      147         50 SH     CALL Sole                            50
BARRICK GOLD CORP COM      COM                  067901108    1,470     50,000 SH          Sole                        50,000
BARRICK GOLD CORP COM      COM                  067901108    1,470     50,000 SH          Sole                        50,000
BARRICK GOLD CORP COM      COM                  2HP993505    1,473        501 SH     CALL Sole                           501
BARRICK GOLD CORP COM      COM                  2HP993505    2,573        875 SH     CALL Sole                           875
BARRICK GOLD CORP COM      COM                  61E9954R5    2,940      1,000 SH     CALL Sole                         1,000
BARRICK GOLD CORP COM      COM                  3NQ995109    4,410      1,500 SH     CALL Sole                         1,500
BARRICK GOLD CORP COM      COM                  61E9954R5    4,410      1,500 SH     CALL Sole                         1,500
BARRICK GOLD CORP COM      COM                  067901108   10,584    360,000 SH          Sole                       360,000
BARRICK GOLD CORP COM      COM                  067901108       59      2,000 SH          Sole                                2,000
BARRICK GOLD CORP COM      COM                  067901908        6         25 SH     CALL Sole                                   25
BECTON DICKINSON & CO COM  COM                  075887109      191      2,000 SH          Sole                         2,000
BEST BUY INC COM           COM                  086516101      157      7,100 SH          Sole                         7,100
BHP BILLITON LTD
  SPONSORED ADR            SPONSORED ADR        088606108    9,443    138,000 SH          Sole                       138,000
BLACKROCK BUILD AMER BD
  TR                       SHS                  09248X100      113      5,000 SH          Sole                                5,000
BLACKROCK CREDIT ALL INC
  TR                       COM                  092508100      106      7,580 SH          Sole                                7,580
BMC SOFTWARE INC COM       COM                  055921100      190      4,100 SH          Sole                         4,100
BP PRUDHOE BAY RTY TR
  UNIT BEN INT             UNIT BEN INT         055630107       25        300 SH          Sole                           300
BP PRUDHOE BAY RTY TR
  UNIT BEN INT             UNIT BEN INT         055630107      184      2,200 SH          Sole                         2,200
BP PRUDHOE BAY RTY TR
  UNIT BEN INT             UNIT BEN INT         055630107      376      4,500 SH          Sole                         4,500
BP PRUDHOE BAY RTY TR
  UNIT BEN INT             UNIT BEN INT         055630107      835     10,000 SH          Sole                        10,000
BP PRUDHOE BAY RTY TR
  UNIT BEN INT             UNIT BEN INT         055630107       83      1,000 SH          Sole                                1,000
BP PRUDHOE BAY RTY TR
  UNIT BEN INT             UNIT BEN INT         055630107       58        700 SH          Sole                                  700







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
BRF-BRASIL FOODS S A
  SPONSORED ADR            SPONSORED ADR        10552T107    6,854    310,000 SH          Sole                       310,000
BRISTOL MYERS SQUIBB CO
  COM                      COM                  110122108      247      6,000 SH          Sole                         6,000
BUNGE LIMITED COM          COM                  G16962105   10,705    145,000 SH          Sole                       145,000
CA INC COM                 COM                  12673P105      201      8,000 SH          Sole                         8,000
CELGENE CORP COM           COM                  151020104      406      3,500 SH          Sole                         3,500
CELGENE CORP COM           COM                  151020104      927      8,000 SH          Sole                         8,000
CF INDS HLDGS INC COM      COM                  125269100      190      1,000 SH          Sole                         1,000
CF INDS HLDGS INC COM      COM                  125269100      571      3,000 SH          Sole                         3,000
CF INDS HLDGS INC COM      COM                  125269100    5,806     30,500 SH          Sole                        30,500
CHANGYOU COM LTD ADS REP
  CL A                     ADS REP CL A         15911M107      168      5,800 SH          Sole                         5,800
CHART INDS INC COM PAR
  $0.01                    COM PAR $0.01        16115Q308      480      6,000 SH          Sole                         6,000
CHUYS HLDGS INC COM        COM                  171604101      652     20,000 SH          Sole                        20,000
CITIGROUP INC COM NEW      COM NEW              172967424      221      5,000 SH          Sole                         5,000
CLAUDE RES INC COM         COM                  182873109      116    250,000 SH          Sole                       250,000
CLAUDE RES INC COM         COM                  182873109      174    375,000 SH          Sole                       375,000
CLIFFS NAT RES INC COM     COM                  18683K101      114      6,000 SH          Sole                         6,000
COCA COLA ENTERPRISES
  INC NE COM               COM                  19122T109      222      6,000 SH          Sole                         6,000
COEUR D ALENE MINES CORP
  IDA COM NEW              COM NEW              192108504      628     33,300 SH          Sole                        33,300
COEUR D ALENE MINES CORP
  IDA COM NEW              COM NEW              192108504    1,258     66,700 SH          Sole                        66,700
COHEN & STEERS CLOSED
  END OP                   COM                  19248P106      109      8,150 SH          Sole                                8,150
COMCAST CORP NEW CL A      CL A                 20030N101      231      5,500 SH          Sole                         5,500
COMMVAULT SYSTEMS INC COM  COM                  204166102    1,148     14,000 SH          Sole                        14,000
COMPANIA DE MINAS
  BUENAVENTU SPONSORED
  ADR                      SPONSORED ADR        1UL996389      389        150 SH     CALL Sole                           150
COMPANIA DE MINAS
  BUENAVENTU SPONSORED
  ADR                      SPONSORED ADR        204448104    1,038     40,000 SH          Sole                        40,000
COMSTOCK MNG INC COM       COM                  205750102    2,082  1,035,908 SH          Sole                     1,035,908
COMSTOCK MNG INC COM       COM                  205750102    2,099  1,044,092 SH          Sole                     1,044,092
CONOCOPHILLIPS COM         COM                  20825C104      150      2,500 SH          Sole                         2,500
CONOCOPHILLIPS COM         COM                  20825C104      114      1,900 SH          Sole                                1,900
CONSTELLATION BRANDS INC
  CL A                     CL A                 21036P108      252      5,300 SH          Sole                         5,300
CONTINENTAL RESOURCES
  INC COM                  COM                  212015101   10,432    120,000 SH          Sole                       120,000
CORE LABORATORIES N V COM  COM                  N22717107      552      4,000 SH          Sole                         4,000
D R HORTON INC COM         COM                  23331A109      243     10,000 SH          Sole                        10,000
D R HORTON INC COM         COM                  23331A109      389     16,000 SH          Sole                        16,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
D R HORTON INC COM         COM                  23331A109      851     35,000 SH          Sole                        35,000
DAVITA HEALTHCARE
  PARTNERS I COM           COM                  23918K108      237      2,000 SH          Sole                         2,000
DAVITA HEALTHCARE
  PARTNERS I COM           COM                  23918K108      237      2,000 SH          Sole                         2,000
DAVITA HEALTHCARE
  PARTNERS I COM           COM                  23918K108      830      7,000 SH          Sole                         7,000
DEVON ENERGY CORP NEW COM  COM                  25179M103      181      3,200 SH          Sole                         3,200
DEVON ENERGY CORP NEW COM  COM                  25179M103      705     12,500 SH          Sole                        12,500
DIAMOND OFFSHORE
  DRILLING IN COM          COM                  25271C102      174      2,500 SH          Sole                         2,500
DISCOVER FINL SVCS COM     COM                  254709108      247      5,500 SH          Sole                         5,500
DISCOVERY COMMUNICATNS
  NEW COM SER A            COM SER A            25470F104      236      3,000 SH          Sole                         3,000
DRDGOLD LIMITED SPON ADR
  REPSTG                   SPON ADR REPSTG      26152H301      978    125,000 SH          Sole                       125,000
DRESSER-RAND GROUP INC
  COM                      COM                  261608103    1,850     30,000 SH          Sole                        30,000
DRIL-QUIP INC COM          COM                  262037104      262      3,000 SH          Sole                         3,000
DRIL-QUIP INC COM          COM                  262037104      610      7,000 SH          Sole                         7,000
DXP ENTERPRISES INC NEW
  COM NEW                  COM NEW              233377407      672      9,000 SH          Sole                         9,000
EATON VANCE TX MNG BY
  WRT OP                   COM                  27828Y108       53      4,030 SH          Sole                                4,030
EBAY INC COM               COM                  278642103      380      7,000 SH          Sole                         7,000
EBAY INC COM               COM                  278642103    1,084     20,000 SH          Sole                        20,000
ELDORADO GOLD CORP NEW
  COM                      COM                  99G993563      608        626 SH     CALL Sole                           626
ELDORADO GOLD CORP NEW
  COM                      COM                  99G993563      719        740 SH     CALL Sole                           740
ELDORADO GOLD CORP NEW
  COM                      COM                  99G993555    1,889      1,945 SH     CALL Sole                         1,945
ELDORADO GOLD CORP NEW
  COM                      COM                  99G993555    3,112      3,205 SH     CALL Sole                         3,205
ELDORADO GOLD CORP NEW
  COM                      COM                  284902903        8        154 SH     CALL Sole                                  154
ENSCO PLC SHS CLASS A      SHS CLASS A          G3157S106      300      5,000 SH          Sole                         5,000
ENSCO PLC SHS CLASS A      SHS CLASS A          G3157S106      780     13,000 SH          Sole                        13,000
ENTERGY CORP NEW COM       COM                  29364G103      164      2,600 SH          Sole                         2,600
ENTERPRISE PRODS
 PARTNERS L COM            COM                  293792107   12,781    212,000 SH          Sole                       212,000
ENTREE GOLD INC COM        COM                  29383G100      546  1,500,000 SH          Sole                     1,500,000
ETFS PALLADIUM TR SH BEN
  INT                      SH BEN INT           26923A106      227      3,000 SH          Sole                         3,000
ETFS PLATINUM TR SH BEN
  INT                      SH BEN INT           26922V101    1,542     10,000 SH          Sole                        10,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
EXPRESS SCRIPTS HLDG CO
  COM                      COM                  30219G108      231      4,000 SH          Sole                         4,000
FIRST MAJESTIC SILVER
  CORP COM                 COM                  32076V103    2,102    130,000 SH          Sole                       130,000
FIRST MAJESTIC SILVER
  CORP COM                 COM                  32076V103    2,587    160,000 SH          Sole                       160,000
FIRST MAJESTIC SILVER
  CORP COM                 COM                  1MZ994346    3,260      2,016 SH     CALL Sole                         2,016
FIRST MAJESTIC SILVER
  CORP COM                 COM                  32076V103    4,851    300,000 SH          Sole                       300,000
FIRST MAJESTIC SILVER
  CORP COM                 COM                  1MZ994346    8,132      5,029 SH     CALL Sole                         5,029
FLOTEK INDS INC DEL COM    COM                  343389102      294     18,000 SH          Sole                        18,000
FORD MTR CO DEL COM PAR
  $0.01                    COM PAR $0.01        345370860      224     17,000 SH          Sole                        17,000
FORTINET INC COM           COM                  34959E109      710     30,000 SH          Sole                        30,000
FRANCO NEVADA CORP COM     COM                  351858105    2,430     53,300 SH          Sole                        53,300
FRANCO NEVADA CORP COM     COM                  351858105    4,103     90,000 SH          Sole                        90,000
FRANCO NEVADA CORP COM
  /CAD/                    COM                  351858105        1     29,000 SH     WTS  Sole                               29,000
FRANCO NEVADA CORP COM
  /CAD/                    COM                  351858105       34      4,948 SH     WTS  Sole                                4,948
FREEPORT-MCMORAN COPPER
  & GO COM                 COM                  35671D857    9,930    300,000 SH          Sole                       300,000
FRONTIER COMMUNICATIONS
  CORP COM                 COM                  35906A108      119     30,000 SH          Sole                        30,000
GAMESTOP CORP NEW CL A     CL A                 36467W109      173      6,200 SH          Sole                         6,200
GARTNER INC COM            COM                  366651107      381      7,000 SH          Sole                         7,000
GARTNER INC COM            COM                  366651107      762     14,000 SH          Sole                        14,000
GIANT INTERACTIVE GROUP
  INC ADR                  ADR                  374511103      183     28,200 SH          Sole                        28,200
GILEAD SCIENCES INC COM    COM                  375558103      196      4,000 SH          Sole                         4,000
GILEAD SCIENCES INC COM    COM                  375558103      269      5,500 SH          Sole                         5,500
GLOBAL X FDS               GLB X CDA PFD        37950E481       72      5,000 SH          Sole                                5,000
GLOBAL X FDS               GLB X COPPER MNR ETF 37950E861      123     10,770 SH          Sole                               10,770
GLOBAL X FDS               GLB X COPPER MNR ETF 37950E861       64      5,630 SH          Sole                                5,630
GLOBAL X FDS               GLB X URANIUM        37950E754       91     14,100 SH          Sole                               14,100
GLOBAL X FDS               GLB X URANIUM        37950E754       44      6,900 SH          Sole                                6,900
GNC HLDGS INC COM CL A     COM CL A             36191G107      589     15,000 SH          Sole                        15,000
GOLD FIELDS LTD NEW
  SPONSORED ADR            SPONSORED ADR        25Z993047      388        500 SH     CALL Sole                           500
GOLD FIELDS LTD NEW
  SPONSORED ADR            SPONSORED ADR        25Z993047      446        575 SH     CALL Sole                           575
GOLD STD VENTURES CORP
  COM                      COM                  380738104      968    880,000 SH          Sole                       880,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
GOLDCORP INC NEW COM       COM                  380956409      841     25,000 SH          Sole                        25,000
GOLDCORP INC NEW COM       COM                  3Z7992993      844        251 SH     CALL Sole                           251
GOLDCORP INC NEW COM       COM                  380956409    1,177     35,000 SH          Sole                        35,000
GOLDCORP INC NEW COM       COM                  3Z7992993    1,426        424 SH     CALL Sole                           424
GOLDCORP INC NEW COM       COM                  17E9953J6    1,702        506 SH     CALL Sole                           506
GOLDCORP INC NEW COM       COM                  58Y993700    2,267        674 SH     CALL Sole                           674
GOLDCORP INC NEW COM       COM                  3Z7992944    2,381        708 SH     CALL Sole                           708
GOLDCORP INC NEW COM       COM                  58Y993700    2,727        811 SH     CALL Sole                           811
GOLDCORP INC NEW COM       COM                  17E9953J6    3,097        921 SH     CALL Sole                           921
GOLDCORP INC NEW COM       COM                  3Z7992944    4,910      1,460 SH     CALL Sole                         1,460
GOLDCORP INC NEW COM       COM                  380956909       19         35 SH     CALL Sole                                   35
GOLDEN STAR RES LTD CDA
  COM                      COM                  38119T104      440    275,000 SH          Sole                       275,000
GOLDEN STAR RES LTD CDA
  COM                      COM                  38119T104      880    550,000 SH          Sole                       550,000
GOOGLE INC CL A            CL A                 38259P508      318        400 SH          Sole                           400
GRAN TIERRA ENERGY INC
  COM                      COM                  38500T101    7,321  1,245,000 SH          Sole                     1,245,000
GULFPORT ENERGY CORP COM
  NEW                      COM NEW              402635304      550     12,000 SH          Sole                        12,000
HARBINGER GROUP INC        COM                  41146A106       40      4,900 SH          Sole                                4,900
HARMONY GOLD MNG LTD
  SPONSORED ADR            SPONSORED ADR        2VT996222      678      1,057 SH     CALL Sole                         1,057
HARMONY GOLD MNG LTD
  SPONSORED ADR            SPONSORED ADR        2VT996222      844      1,317 SH     CALL Sole                         1,317
HARMONY GOLD MNG LTD
  SPONSORED ADR            SPONSORED ADR        413216300    2,885    450,000 SH          Sole                       450,000
HARMONY GOLD MNG LTD
  SPONSORED ADR            SPONSORED ADR        413216300    3,846    600,000 SH          Sole                       600,000
HCA HOLDINGS INC COM       COM                  40412C101      813     20,000 SH          Sole                        20,000
HOLLYFRONTIER CORP COM     COM                  436106108    9,261    180,000 SH          Sole                       180,000
HOME DEPOT INC COM         COM                  437076102      223      3,200 SH          Sole                         3,200
HOMEAWAY INC COM           COM                  43739Q100      390     12,000 SH          Sole                        12,000
HORNBECK OFFSHORE SVCS
  INC N COM                COM                  440543106      232      5,000 SH          Sole                         5,000
HORNBECK OFFSHORE SVCS
  INC N COM                COM                  440543106      558     12,000 SH          Sole                        12,000
HORNBECK OFFSHORE SVCS
  INC N COM                COM                  440543106   12,312    265,000 SH          Sole                       265,000
IAMGOLD CORP COM           COM                  5M3997043        3          4 SH     CALL Sole                             4
IAMGOLD CORP COM           COM                  5M3997043        4          6 SH     CALL Sole                             6
IAMGOLD CORP COM           COM                  78N993981      653        907 SH     CALL Sole                           907
IAMGOLD CORP COM           COM                  78N993981      981      1,363 SH     CALL Sole                         1,363
IAMGOLD CORP COM           COM                  450913108    6,480    900,000 SH          Sole                       900,000
ICON PLC SHS ADDED         SHS                  G4705A100      242      7,500 SH          Sole                         7,500







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
INTEGRYS ENERGY GROUP
  INC COM                  COM                  45822P105      180      3,100 SH          Sole                         3,100
INTEL CORP                 COM                  458140100      109      5,000 SH          Sole                                5,000
INTERCONTINENTAL
  HTLS GRP PL SPON ADR
  NEW 12                   SPON ADR NEW 12      45857P400      237      7,800 SH          Sole                         7,800
INTEROIL CORP              COM                  460951106      200      2,626 SH          Sole                                2,626
INTL PAPER CO COM          COM                  460146103      466     10,000 SH          Sole                        10,000
IRON MTN INC COM           COM                  462846106      237      6,532 SH          Sole                         6,532
ISHARES INC MSCI           ISHARES INC MSCI
  BRAZIL CAPP              BRAZIL               464286400       37        670 SH          Sole                           670
ISHARES INC MSCI
  MEXICO CAP               MSCI MEXICO CAP      464286822       39        520 SH          Sole                           520
ISHARES SILVER TRUST
  ISHARES                  ISHARES              46428Q109       41      1,500 SH          Sole                                1,500
ISHARES TR                 IBOXX INV CPBD       464287242      180      1,500 SH          Sole                                1,500
ISHARES TR FTSE CHINA25
  IDX                      FTSE CHINA25 IDX     5QQ995597       74         20 SH     CALL Sole                            20
ISHARES TR FTSE CHINA25
  IDX                      FTSE CHINA25 IDX     5QQ995613       74         20 SH     CALL Sole                            20
ISHARES TR FTSE CHINA25
  IDX                      FTSE CHINA25 IDX     5QQ995688      185         50 SH     CALL Sole                            50
ISHARES TR FTSE CHINA25
  IDX                      FTSE CHINA25 IDX     5QQ995720    1,108        300 SH     CALL Sole                           300
ISHARES TR US
  PFD STK IDX              US PFD STK IDX       464288687       57      1,400 SH          Sole                                1,400
IVANHOE ENERGY INC COM     COM                  465790103      273    414,100 SH          Sole                       414,100
IVANHOE ENERGY INC /CAD/   COM                  465790103       13     19,550 SH          Sole                               19,550
JOHNSON & JOHNSON COM      COM                  478160104      245      3,000 SH          Sole                         3,000
JPMORGAN CHASE & CO COM    COM                  46625H100      214      4,500 SH          Sole                         4,500
KIMBER RES INC COM         COM                  49435N101      190  1,000,000 SH          Sole                     1,000,000
KINDER MORGAN INC
  DEL COM                  COM                  49456B101   12,710    328,600 SH          Sole                       328,600
KINROSS GOLD CORP COM NO
  PAR                      COM NO PAR           496902404        0          1 SH          Sole                             1
KINROSS GOLD CORP COM NO
  PAR                      COM NO PAR           496902404      912    115,000 SH          Sole                       115,000
KINROSS GOLD CORP COM NO
  PAR                      COM NO PAR           6W4992297    1,140      1,438 SH     CALL Sole                         1,438
KINROSS GOLD CORP COM NO
  PAR                      COM NO PAR           6W4992297    1,536      1,937 SH     CALL Sole                         1,937
KINROSS GOLD CORP COM NO
  PAR                      COM NO PAR           496902404    2,181    275,000 SH          Sole                       275,000
KOHLS CORP COM             COM                  500255104      171      3,700 SH          Sole                         3,700
KROGER CO COM              COM                  501044101      215      6,500 SH          Sole                         6,500







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
L-3 COMMUNICATIONS HLDGS
  INC COM                  COM                  502424104      186      2,300 SH          Sole                         2,300
LAKE SHORE GOLD CORP COM   COM                  510728108      300    500,000 SH          Sole                       500,000
LAS VEGAS SANDS CORP COM   COM                  517834107      282      5,000 SH          Sole                         5,000
LAS VEGAS SANDS CORP COM   COM                  517834107      620     11,000 SH          Sole                        11,000
LEGG MASON BW GLB INC
  OPP FD                   COM                  52469B100      121      6,000 SH          Sole                                6,000
LENNAR CORP CL A           CL A                 526057104      249      6,000 SH          Sole                         6,000
LINCOLN NATL CORP
  IND COM                  COM                  534187109      189      5,800 SH          Sole                         5,800
LINKEDIN CORP COM CL A     COM CL A             53578A108    1,056      6,000 SH          Sole                         6,000
LITHIA MTRS INC CL A       CL A                 536797103      475     10,000 SH          Sole                        10,000
LOCKHEED MARTIN CORP       COM                  539830109      116      1,200 SH          Sole                                1,200
LORILLARD INC COM          COM                  544147101      206      5,100 SH          Sole                         5,100
LYONDELLBASELL
  INDUSTRIES N SHS
  - A -                    SHS - A -            N53745100      203      3,200 SH          Sole                         3,200
LYONDELLBASELL
  INDUSTRIES N SHS
  - A -                    SHS - A -            N53745100    6,329    100,000 SH          Sole                       100,000
M/I HOMES INC COM          COM                  55305B101      611     25,000 SH          Sole                        25,000
MAG SILVER CORP COM        COM                  55903Q104    7,251    764,000 SH          Sole                       764,000
MARATHON PETE CORP COM     COM                  56585A102      305      3,400 SH          Sole                         3,400
MARATHON PETE CORP COM     COM                  56585A102   10,752    120,000 SH          Sole                       120,000
MARKET VECTORS ETF TR
  GOLD MINER ETF           GOLD MINER ETF       57060U100        1         20 SH          Sole                            20
MARKET VECTORS ETF TR
  GOLD MINER ETF           GOLD MINER ETF       57060U100        1         20 SH          Sole                            20
MARKET VECTORS ETF TR
  GOLD MINER ETF           GOLD MINER ETF       08L996JW9    2,449        647 SH     CALL Sole                           647
MARKET VECTORS ETF TR
  GOLD MINER ETF           GOLD MINER ETF       08L996JW9    4,050      1,070 SH     CALL Sole                         1,070
MARKET VECTORS ETF TR
  GOLD MINER ETF           GOLD MINER ETF       57060U900       30        100 SH     CALL Sole                                  100
MARKET VECTORS ETF TR JR
  GOLD MINERS E            JR GOLD MINERS E     57060U589        1         35 SH          Sole                            35
MARKET VECTORS ETF TR JR
  GOLD MINERS E            JR GOLD MINERS E     57060U589        1         35 SH          Sole                            35
MARKET VECTORS ETF TR JR
  GOLD MINERS E            JR GOLD MINERS E     6NR993936      661        395 SH     CALL Sole                           395
MARKET VECTORS ETF TR JR
  GOLD MINERS E            JR GOLD MINERS E     6NR993936    1,222        730 SH     CALL Sole                           730
MARKET VECTORS ETF TR JR
  GOLD MINERS E            JR GOLD MINERS E     57060U909        6         25 SH     CALL Sole                                   25
MARTIN MARIETTA MATLS
  INC COM                  COM                  573284106   11,222    110,000 SH          Sole                       110,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
MASTERCARD INC CL A        CL A                 57636Q104      812      1,500 SH          Sole                         1,500
MASTERCARD INC CL A        CL A                 57636Q104    1,461      2,700 SH          Sole                         2,700
MAXIM INTEGRATED PRODS
  INC COM                  COM                  57772K101      196      6,000 SH          Sole                         6,000
MAXIM INTEGRATED PRODS
  INC COM                  COM                  57772K101      457     14,000 SH          Sole                        14,000
MCEWEN MNG INC COM         COM                  58039P107      858    300,000 SH          Sole                       300,000
MCKESSON CORP COM          COM                  58155Q103      227      2,100 SH          Sole                         2,100
MERCK & CO INC NEW COM     COM                  58933Y105      221      5,000 SH          Sole                         5,000
MICHAEL KORS HLDGS LTD
  SHS                      SHS                  G60754101      994     17,500 SH          Sole                        17,500
MIDWAY GOLD CORP COM       COM                  598153104      698    571,863 SH          Sole                       571,863
MONSANTO CO NEW COM        COM                  61166W101   11,355    107,500 SH          Sole                       107,500
MORGAN STANLEY COM NEW     COM NEW              617446448      214      9,750 SH          Sole                         9,750
MOSAIC CO NEW COM          COM                  61945C103      191      3,200 SH          Sole                         3,200
MOSAIC CO NEW COM          COM                  61945C103    9,538    160,000 SH          Sole                       160,000
MOTOROLA SOLUTIONS INC
  COM NEW                  COM NEW              620076307      224      3,500 SH          Sole                         3,500
MYLAN INC COM              COM                  628530107      217      7,500 SH          Sole                         7,500
MYLAN INC COM              COM                  628530107      521     18,000 SH          Sole                        18,000
NETEASE INC SPONSORED ADR  SPONSORED ADR        64110W102      219      4,000 SH          Sole                         4,000
NEVSUN RES LTD COM         COM                  64156L101    1,053    275,000 SH          Sole                       275,000
NEW GOLD INC CDA COM       COM                  644535106    1,820    200,000 SH          Sole                       200,000
NEWMONT MINING CORP COM    COM                  2ZU993178    2,258        539 SH     CALL Sole                           539
NEWMONT MINING CORP COM    COM                  2ZU993178    4,269      1,019 SH     CALL Sole                         1,019
NEWMONT MINING CORP COM    COM                  651639106   11,101    265,000 SH          Sole                       265,000
NEWMONT MINING CORP COM    COM                  651639106       63      1,500 SH          Sole                                1,500
NEWS CORP CL A             CL A                 65248E104      262      8,600 SH          Sole                         8,600
NORTHROP GRUMMAN CORP COM  COM                  666807102      210      3,000 SH          Sole                         3,000
OASIS PETE INC NEW COM     COM                  674215108      571     15,000 SH          Sole                        15,000
OCWEN FINL CORP COM NEW    COM NEW              675746309      228      6,000 SH          Sole                         6,000
OI S.A. SPN ADR REP PFD    SPN ADR REP PFD      670851203      116     38,100 SH          Sole                        38,100
OIL STS INTL INC COM       COM                  678026105   12,643    155,000 SH          Sole                       155,000
OLD DOMINION FGHT LINES
  INC COM                  COM                  679580100       57      1,500 SH          Sole                         1,500
OLD DOMINION FGHT LINES
  INC COM                  COM                  679580100      955     25,000 SH          Sole                        25,000
ONEOK INC NEW COM          COM                  682680103      181      3,800 SH          Sole                         3,800
OPENTABLE INC COM          COM                  68372A104      756     12,000 SH          Sole                        12,000
PAN AMERICAN SILVER CORP
  COM                      COM                  37X994687      216        132 SH     CALL Sole                           132
PAN AMERICAN SILVER CORP
  COM                      COM                  37X994687      439        268 SH     CALL Sole                           268
PAN AMERICAN SILVER CORP
  COM                      COM                  697900108      819     50,000 SH          Sole                        50,000
PAN AMERICAN SILVER CORP
  COM                      COM                  697900108    4,095    250,000 SH          Sole                       250,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
PAN AMERICAN SILVER CORP
  COM                      COM                  697900908        7         27 SH     CALL Sole                                   27
PENTAIR LTD SHS            SHS                  H6169Q108      174      3,300 SH          Sole                         3,300
PFIZER INC COM             COM                  717081103      231      8,000 SH          Sole                         8,000
PFIZER INC COM             COM                  717081103      101      3,500 SH          Sole                                3,500
PHILLIPS 66 COM            COM                  718546104    9,096    130,000 SH          Sole                       130,000
PIMCO ETF TR               0-5 HIGH YIELD       72201R783      115      1,100 SH          Sole                                1,100
PIONEER ENERGY SVCS CORP
  COM                      COM                  723664108    6,023    730,000 SH          Sole                       730,000
PIONEER NAT RES CO COM     COM                  723787107    7,306     58,800 SH          Sole                        58,800
PLATINUM GROUP METALS
  LTD COM NEW              COM NEW              72765Q205    1,760  1,250,000 SH          Sole                     1,250,000
PLATINUM GROUP METALS
  /CAD/                    COM                  72765Q205       57     40,000 SH          Sole                               40,000
PLUM CREEK TIMBER CO INC
  COM                      COM                  729251108    1,305     25,000 SH          Sole                        25,000
POLARIS INDS INC COM       COM                  731068102      925     10,000 SH          Sole                        10,000
POWERSHARES DB MULTI
  SECT COMM                DB GOLD FUND         73936B606       95      1,740 SH          Sole                                1,740
POWERSHARES DB MULTI
  SECT COMM                DB GOLD FUND         73936B606      183      3,360 SH          Sole                                3,360
POWERSHARES DB MULTI
  SECT COMM                DB OIL FUND          73936B507      100      3,700 SH          Sole                                3,700
POWERSHARES DB MULTI
  SECT COMM                DB OIL FUND          73936B507       57      2,100 SH          Sole                                2,100
POWERSHARES DB MULTI
  SECT COMM                DB SILVER FUND       73936B309      179      3,685 SH          Sole                                3,685
POWERSHARES DB MULTI
  SECT COMM                DB SILVER FUND       73936B309       93      1,915 SH          Sole                                1,915
POWERSHARES DB MULTI
  SECT COMM                PS DB AGRICUL FD     73936B408      126      4,860 SH          Sole                                4,860
POWERSHARES DB MULTI
  SECT COMM                PS DB AGRICUL FD     73936B408       68      2,640 SH          Sole                                2,640
POWERSHARES ETF TRUST      FINL PFD PTFL        73935X229       54      2,900 SH          Sole                                2,900
PRETIUM RES INC COM        COM                  74139C102    1,825    230,000 SH          Sole                       230,000
PRICELINE COM INC COM NEW  COM NEW              741503403      275        400 SH          Sole                           400
PRICELINE COM INC COM NEW  COM NEW              741503403      550        800 SH          Sole                           800
PROTO LABS INC COM         COM                  743713109      491     10,000 SH          Sole                        10,000
PRUDENTIAL PLC ADR         ADR                  74435K204      227      7,000 SH          Sole                         7,000
PULTE GROUP INC COM        COM                  745867101      243     12,000 SH          Sole                        12,000
QEP RES INC COM            COM                  74733V100      796     25,000 SH          Sole                        25,000
RANDGOLD RES LTD ADR       ADR                  752344309      172      2,000 SH          Sole                         2,000
RANDGOLD RES LTD ADR       ADR                  752344309      215      2,500 SH          Sole                         2,500
RANDGOLD RES LTD ADR       ADR                  85C993038    1,376        160 SH     CALL Sole                           160
RANDGOLD RES LTD ADR       ADR                  519996565    2,141        249 SH     CALL Sole                           249
RANDGOLD RES LTD ADR       ADR                  85C993038    2,640        307 SH     CALL Sole                           307
RANDGOLD RES LTD ADR       ADR                  519996565    5,425        631 SH     CALL Sole                           631







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
RANDGOLD RES LTD ADR       ADR                  752344309    5,589     65,000 SH          Sole                        65,000
RELIANCE STEEL &
  ALUMINUM CO COM          COM                  759509102    7,829    110,000 SH          Sole                       110,000
REVETT MINERALS INC COM
  NEW                      COM NEW              761505205      556    250,000 SH          Sole                       250,000
RICHMONT MINES INC COM     COM                  76547T106      275    100,000 SH          Sole                       100,000
RICHMONT MINES INC COM     COM                  76547T106      578    210,000 SH          Sole                       210,000
RIO ALTO MNG LTD NEW COM
  ADDED                    COM                  76689T104    2,759    600,000 SH          Sole                       600,000
RIO ALTO MNG LTD NEW COM
  ADDED                    COM                  76689T104    3,453    751,000 SH          Sole                       751,000
ROYAL GOLD INC COM         COM                  780287108    2,841     40,000 SH          Sole                        40,000
SAFEWAY INC COM NEW        COM NEW              786514208      211      8,000 SH          Sole                         8,000
SAN JUAN BASIN RTY TR      UNIT BEN INT         798241105       30      2,000 SH          Sole                                2,000
SAN JUAN BASIN RTY TR      UNIT BEN INT         798241105       26      1,700 SH          Sole                                1,700
SANDSTORM GOLD LTD COM
  NEW                      COM NEW              80013R206    3,315    350,000 SH          Sole                       350,000
SANDSTORM GOLD LTD COM
  /CAD/                    COM                  80013R206       96     10,000 SH          Sole                               10,000
SEAGATE TECHNOLOGY PLC
  SHS                      SHS                  G7945M107      241      6,600 SH          Sole                         6,600
SELECT SECTOR SPDR TR
  SBI CONS DISCR           SBI CONS DISCR       81369Y407      212      4,000 SH          Sole                         4,000
SELECT SECTOR SPDR TR
  SBI HEALTHCARE           SBI HEALTHCARE       81369Y209      230      5,000 SH          Sole                         5,000
SELECT SECTOR SPDR TR
  SBI INT-FINL             SBI INT-FINL         81369Y605      218     12,000 SH          Sole                        12,000
SILVER BULL RES INC COM    COM                  827458100      920  2,077,426 SH          Sole                     2,077,426
SILVER WHEATON CORP COM    COM                  83W992041      803        256 SH     CALL Sole                           256
SILVER WHEATON CORP COM    COM                  83W992041      984        314 SH     CALL Sole                           314
SILVER WHEATON CORP COM    COM                  828336107    6,270    200,000 SH          Sole                       200,000
SILVER WHEATON CORP COM    COM                  828336107    8,621    275,000 SH          Sole                       275,000
SILVERCREST MINES INC COM  COM                  828365106      347    150,000 SH          Sole                       150,000
SILVERCREST MINES INC COM  COM                  828365106      752    325,000 SH          Sole                       325,000
SLM CORP COM               COM                  78442P106      178      8,700 SH          Sole                         8,700
SM ENERGY CO COM           COM                  78454L100    1,481     25,000 SH          Sole                        25,000
SMITHFIELD FOODS INC COM   COM                  832248108   11,122    420,000 SH          Sole                       420,000
SOCIEDAD QUIMICA MINERA
  DE C SPON ADR SER B      SPON ADR SER B       833635105   12,199    220,000 SH          Sole                       220,000
SOLITARIO EXPL & RTY
  CORP COM                 COM                  8342EP107    1,552    970,000 SH          Sole                       970,000
SOUTHERN COPPER CORP COM   COM                  84265V105   10,520    280,000 SH          Sole                       280,000
SPDR GOLD TRUST GOLD SHS   GOLD SHS             78463V107    4,247     27,500 SH          Sole                        27,500
SPDR GOLD TRUST GOLD SHS   GOLD SHS             78463V107    4,634     30,000 SH          Sole                        30,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
SPDR GOLD TRUST GOLD SHS   GOLD SHS             78463V107      417      2,700 SH          Sole                                2,700
SPDR GOLD TRUST GOLD SHS   GOLD SHS             78463V107      263      1,700 SH          Sole                                1,700
SPDR S&P 500 ETF TR TR
  UNIT                     TR UNIT              4ZV995PV1      392         25 SH     PUT  Sole                            25
SPDR SERIES TRUST S&P BK
  ETF                      S&P BK ETF           78464A797      215      8,000 SH          Sole                         8,000
SPDR SERIES TRUST S&P BK
  ETF                      S&P BK ETF           78464A797      404     15,000 SH          Sole                        15,000
SPDR SERIES TRUST S&P
  REGL BKG                 S&P REGL BKG         78464A698      318     10,000 SH          Sole                        10,000
SPDR SERIES TRUST S&P
  REGL BKG                 S&P REGL BKG         78464A698      636     20,000 SH          Sole                        20,000
SPLUNK INC COM             COM                  848637104      400     10,000 SH          Sole                        10,000
SPROTT PHYSICAL PLAT
  PALLAD UNIT ADDED        UNIT                 85207Q104      841     85,000 SH          Sole                        85,000
SPROTT PHYSICAL PLAT
  PALLAD UNIT ADDED        UNIT                 85207Q104      989    100,000 SH          Sole                       100,000
SPROTT PHYSICAL PLAT
  PALLAD UNIT ADDED        UNIT                 85207Q104    1,027    103,804 SH          Sole                       103,804
SPROTT PHYSICAL PLAT
  PALLAD UNIT ADDED        UNIT                 85207Q104    1,978    200,000 SH          Sole                       200,000
SPROTT PHYSICAL PLAT
  PALLAD UNIT ADDED        UNIT                 85207Q104      148     15,000 SH          Sole                               15,000
SPROTT PHYSICAL SILVER
  TR TR UNIT               TR UNIT              85207K107    1,121    100,000 SH          Sole                       100,000
SPROTT RESOURCE LENDING
  CORP COM                 COM                  85207J100      758    550,000 SH          Sole                       550,000
STARBUCKS CORP COM         COM                  855244109      228      4,000 SH          Sole                         4,000
STARBUCKS CORP COM         COM                  855244109      427      7,500 SH          Sole                         7,500
STARBUCKS CORP COM         COM                  855244109      854     15,000 SH          Sole                        15,000
STILLWATER MNG CO COM      COM                  9UA996060      679        525 SH     CALL Sole                           525
STILLWATER MNG CO COM      COM                  9UA996060    1,362      1,053 SH     CALL Sole                         1,053
SUPERIOR ENERGY SVCS INC
  COM                      COM                  868157108    8,440    325,000 SH          Sole                       325,000
SYNOVUS FINL CORP COM      COM                  87161C105      235     85,000 SH          Sole                        85,000
TECK RESOURCES LTD CL B    CL B                 96Q995159    2,816      1,000 SH     CALL Sole                         1,000
TECO ENERGY INC COM        COM                  872375100      178     10,000 SH          Sole                        10,000
TEUCRIUM COMMODITY TR      CORN FD SHS          88166A102       70      1,700 SH          Sole                                1,700
TEUCRIUM COMMODITY TR      CORN FD SHS          88166A102      127      3,100 SH          Sole                                3,100
TEVA PHARMACEUTICAL INDS
  LTD ADR                  ADR                  881624209      238      6,000 SH          Sole                         6,000
THOR INDS INC COM          COM                  885160101      206      5,600 SH          Sole                         5,600
TIMMINS GOLD CORP COM      COM                  88741P103      579    200,000 SH          Sole                       200,000
TIMMINS GOLD CORP COM      COM                  88741P103    1,302    450,000 SH          Sole                       450,000
TJX COS INC NEW COM        COM                  872540109       94      2,000 SH          Sole                         2,000







COLUMN 1                         COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5         COLUMN 6  COLUMN 7       COLUMN 8
-------------------------- -------------------- --------- -------- ---------------------- ---------- -------- ---------------------
                                                                   SHARES OR                                    VOTING AUTHORITY
                                                           VALUE   PRINCIPAL         PUT/ INVESTMENT  OTHER   ---------------------
NAME OF ISSUER                TITLE OF CLASS      CUSIP   (X$1000)  AMOUNT    SH/PRN CALL DISCRETION MANAGERS SOLE  SHARED    NONE
-------------------------- -------------------- --------- -------- ---------- ------ ---- ---------- -------- ---- --------- ------
                                                                                            
TJX COS INC NEW COM        COM                  872540109      187      4,000 SH          Sole                         4,000
TORCHMARK CORP COM         COM                  891027104      179      3,000 SH          Sole                         3,000
TURKCELL ILETISIM
  HIZMETLERI SPON ADR NEW  SPON ADR NEW         900111204    2,857    171,700 SH          Sole                       171,700
TYSON FOODS INC CL A       CL A                 902494103   12,410    500,000 SH          Sole                       500,000
UNION PAC CORP COM         COM                  907818108      427      3,000 SH          Sole                         3,000
UNION PAC CORP COM         COM                  907818108      854      6,000 SH          Sole                         6,000
UNITED RENTALS INC COM     COM                  911363109      275      5,000 SH          Sole                         5,000
UNITED RENTALS INC COM     COM                  911363109    1,099     20,000 SH          Sole                        20,000
URANIUM ENERGY CORP        COM                  916896103      120     54,500 SH          Sole                               54,500
VALERO ENERGY CORP NEW
  COM                      COM                  91913Y100      164      3,600 SH          Sole                         3,600
VALERO ENERGY CORP NEW
  COM                      COM                  91913Y100    6,596    145,000 SH          Sole                       145,000
VANGUARD BD INDEX FD INC   TOTAL BND MRKT       921937835      167      2,000 SH          Sole                                2,000
VANGUARD NATURAL
  RESOURCES LLC            COM UNIT             92205F106      169      5,950 SH          Sole                                5,950
VERIZON COMMUNICATIONS
  INC COM                  COM                  92343V104      221      4,500 SH          Sole                         4,500
VERIZON COMMUNICATIONS
  INC COM                  COM                  92343V104       98      2,000 SH          Sole                                2,000
VIMPELCOM LTD SPONSORED
  ADR                      SPONSORED ADR        92719A106    2,760    232,100 SH          Sole                       232,100
VIRTUS GLOBAL MULTI-SEC
  INC                      COM                  92829B101      116      6,000 SH          Sole                                6,000
VULCAN MATLS CO COM        COM                  929160109    9,048    175,000 SH          Sole                       175,000
WABTEC CORP COM            COM                  929740108      459      4,500 SH          Sole                         4,500
WABTEC CORP COM            COM                  929740108    1,123     11,000 SH          Sole                        11,000
WEATHERFORD
  INTERNATIONAL LT REG
  SHS                      REG SHS              H27013103    1,518    125,000 SH          Sole                       125,000
WELLPOINT INC COM          COM                  94973V107      179      2,700 SH          Sole                         2,700
WELLS FARGO & CO NEW COM   COM                  949746101      222      6,000 SH          Sole                         6,000
WELLS FARGO & CO NEW COM   COM                  949746101      118      3,200 SH          Sole                                3,200
WESTERN ASSET GLOBAL CP
  DEFI                     COM                  95790C107       80      4,000 SH          Sole                                4,000
WESTERN GAS PARTNERS LP
  COM UNIT LP IN           COM UNIT LP IN       958254104   12,417    209,000 SH          Sole                       209,000
WEYERHAEUSER CO COM        COM                  962166104   10,826    345,000 SH          Sole                       345,000
WILLIAMS COS INC DEL COM   COM                  969457100   11,575    309,000 SH          Sole                       309,000
WYNDHAM WORLDWIDE CORP
  COM                      COM                  98310W108      226      3,500 SH          Sole                         3,500
WYNN RESORTS LTD COM       COM                  983134107      225      1,800 SH          Sole                         1,800
YAMANA GOLD INC COM        COM                  5ZG991050      516        336 SH     CALL Sole                           336
YAMANA GOLD INC COM        COM                  5ZG991050    1,065        694 SH     CALL Sole                           694
YAMANA GOLD INC COM        COM                  98462Y100    5,373    350,000 SH          Sole                       350,000
YAMANA GOLD INC COM        COM                  98462Y100    5,373    350,000 SH          Sole                       350,000
YAMANA GOLD INC COM        COM                  98462Y900       20        100 SH     CALL Sole                                  100
YANDEX N V SHS CLASS A     SHS CLASS A          N97284108    3,947    170,700 SH          Sole                       170,700
                           GRAND TOTAL                     698,004 38,349,741