UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

                Report for the Quarter Ended: September 30, 2003

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
            November 12, 2003

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:      3
Form 13F Information Table Entry Total: 326
Form 13F Information Table Value Total: $154,999 (thousands)

List of Other Included Managers:

     NO.       13F FILE NUMBER:      NAME:
     ---       ---------------       ---------------------------
      1        Unknown               Bonnel, Inc.
      2        Unknown               Leeb Capital Management, Inc.
      3        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
------------------------  --------  ----------   --------  -------  ---------  ----  ---------- --------    ------  ------    ------
                                                                                             

ACCENTURE LTD
BERMUDA                    CMN STK   G1150G111     94       4,200      SH             Sole                           4,200
ACE LTD                    CMN STK   G0070K103    132       4,000      SH             Sole                           4,000
ADVANCED NEUROMODULATION
SYS                        CMN STK   00757T101    798      20,000      SH             Defined       1                         20,000
AEROPOSTALE INC            CMN STK   007865108    162       6,000      SH             Sole                           6,000
AFFILIATED COMPUTER
SVCS A                     CMN STK   008190100    268       5,500      SH             Sole                           5,500
AFLAC INC                  WTS       001055102    194       6,000      SH             Defined       2                          6,000
AGCO CORP                  WTS       001084102     51       3,000      SH             Sole                           3,000
AGNICO EAGLE MINES LTD     WTS       008474108    247      20,000      SH             Sole                          20,000
AGNICO EAGLE MINES LTD     CMN STK   008474108    494      40,000      SH             Sole                          40,000
AGNICO EAGLE MINES WT
11/14/07                   CMN STK   008474132     36      10,000      SH             Sole                          10,000
AGNICO EAGLE MINES WT
11/14/07                   CMN STK   008474132    363     100,000      SH             Sole                         100,000
AGNICO EAGLE MINES WT
11/14/07                   CMN STK   008474132    834     230,000      SH             Sole                         230,000
ALARIS MEDICAL INC         CMN STK   011637105     93       5,600      SH             Sole                           5,600
ALCOA INC                  CMN STK   013817101    118       4,500      SH             Sole                           4,500
ALCOA INC                  CMN STK   013817101     89       3,400      SH             Sole                           3,400
ALLIANCE DATA SYSTEMS CORP CMN STK   018581108    528      20,000      SH             Defined       1                         20,000
AMERICAN EXPRESS           CMN STK   025816109    207       4,600      SH             Sole                           4,600
AMERICAN INTERNATIONAL
GROUP                      CMN STK   026874107    127       2,200      SH             Sole                           2,200
AMERICAN STANDARD
COMPANIES INC              CMN STK   029712106  1,685      20,000      SH             Defined       1                         20,000
AMERISOURCEBERGEN CORP
CLASS A                    CMN STK   03073E105    216       4,000      SH             Sole                           4,000
AMERITRADE HOLDING CORP    CMN STK   03074K100  1,688     150,000      SH             Defined       1                        150,000
AMETEK INC                 CMN STK   031100100    857      20,000      SH             Defined       1                         20,000
AMGEN INC                  CMN STK   031162100    284       4,400      SH             Sole                           4,400
ANALOG DEVICES INC         CMN STK   032654105     95       2,500      SH             Sole                           2,500
ANHEUSER BUSCH INC         CMN STK   035229103    197       4,000      SH             Sole                           4,000
AOL TIME WARNER            CMN STK   00184A105    340      22,500      SH             Defined       2                         22,500
APACHE CORP                CMN STK   037411105    139       2,000      SH             Defined       2                          2,000
APEX SILVER MINES LTD      CMN STK   G04074103    335      25,000      SH             Defined       2                         25,000
APOLLO GROUP INC CL A      CMN STK   037604105    119       1,800      SH             Sole                            1,800
APPLEBEES INTL INC         CMN STK   037899101    126       4,000      SH             Sole                            4,000
APPLEBEES INTL INC         CMN STK   037899101    315      10,000      SH             Defined       1                         10,000
ARACRUZ CELULOSE SA SPON
ADR                        CMN STK   038496204    137       5,000      SH             Sole                            5,000
ASHANTI GOLDFIELDS GDR     CMN STK   043743202    366      35,000      SH             Sole                           35,000
ASHANTI GOLDFIELDS GDR     CMN STK   043743202    679      65,000      SH             Sole                           65,000
ATRIX LABS INC             CMN STK   04962L101    412      20,000      SH             Defined       1                         20,000
AU OPTRONICS CORP ADR SPON CMN STK   002255107    119       9,300      SH             Sole                            9,300
AUTOLIV INC                CMN STK   052800109    603      20,000      SH             Defined       1                         20,000
AVON PRODS INC             CMN STK   054303102    129       2,000      SH             Sole                            2,000
AVON PRODS INC             CMN STK   054303102  1,937      30,000      SH             Defined       1                         30,000
BANK OF AMERICA CORP       CMN STK   060505104    328       4,200      SH             Sole                            4,200
BANK OF NEW YORK CO INC    CMN STK   064057102    335      11,500      SH             Defined       2                         11,500
BARRICK GOLD CORPORATION   CMN STK   067901108    264      14,000      SH             Defined       2                         14,000
BENCHMARK ELECTRS INC      CMN STK   08160H101    845      20,000      SH             Defined       1                         20,000
BENTLEY PHARMACEUTICALS
INC                        CMN STK   082657107    163      10,000      SH             Defined       1                         10,000
BERKSHIRE HATHAWAY
INC CL B                   CMN STK   084670207    587         235      SH             Defined       2                            235
BEST BUY INC               CMN STK   086516101    124       2,600      SH             Sole                            2,600
BHP BILLITON LTD ADR       CMN STK   088606108    128       9,000      SH             Sole                            9,000
BJ SERVICES CO             CMN STK   055482103    239       7,000      SH             Sole                            7,000
BRADLEY PHARMACEUTICALS
INC                        CMN STK   104576103    273      10,000      SH             Defined       1                         10,000
BRIGHTPOINT INC            CMN STK   109473405  1,476      45,000      SH             Defined       1                         45,000
BROWN & BROWN INC          CMN STK   115236101    148       4,800      SH             Sole                            4,800
C/O BARRICK GOLD JAN 20    CALL OPTN 0679014AD    137       1,300      SH             Sole                            1,300
C/O BARRICK GOLD JAN 20    CALL OPTN 0679014AD    284       2,700      SH             Sole                            2,700
C/O BARRICK GOLD JAN 25    CALL OPTN 0679012AE    161       1,400      SH             Sole                            1,400
C/O BARRICK GOLD JAN 25    CALL OPTN 0679012AE    299       2,600      SH             Sole                            2,600
C/O PLACER DOME    JAN
0015.00                    CALL OPTN 7259062AC    308       1,400      SH             Sole                            1,400
C/O PLACER DOME    JAN
0015.00                    CALL OPTN 7259062AC    572       2,600      SH             Sole                            2,600
C/O PLACER DOME    JAN
0015.00                    CALL OPTN 7259065AC     15         200      SH             Sole                              200
C/O PLACER DOME    JAN
0015.00                    CALL OPTN 7259065AC    297       4,100      SH             Sole                            4,100
C/O PLACER DOME    JAN
0015.00                    CALL OPTN 7259065AC    500       6,900      SH             Sole                            6,900
CACI INTNATL INC CL A      CMN STK   127190304    257       6,000      SH             Defined       2                          6,000
CALPINE CORP               CMN STK   131347106     49      10,000      SH             Sole                           10,000
CANYON RESOURCES CORP      CMN STK   138869300    708     400,000      SH             Sole                          400,000
CAPITAL ONE FINANCIAL CORP CMN STK   14040H105    108       1,900      SH             Sole                            1,900
CARDINAL HEALTH            CMN STK   14149Y108    175       3,000      SH             Sole                            3,000
CARDINAL HEALTH            CMN STK   14149Y108    234       4,000      SH             Defined       2                          4,000
CATERPILLAR INC DEL        CMN STK   149123101     41         600      SH             Sole                              600
CELGENE CORP               CMN STK   151020104    867      20,000      SH             Defined       1                         20,000
CENTRAL EUROPEAN
MEDIA CL A                 CMN STK   G20045202    684      26,839      SH             Defined       3                         26,839
CERADYNE INC CALIF         CMN STK   156710105    517      20,000      SH             Defined       1                         20,000
CHECKPOINT SYSTEMS INC     CMN STK   162825103    158      10,000      SH             Defined       1                         10,000
CHICAGO BRIDGE & IRON ADR  CMN STK   167250109     95       3,500      SH             Sole                            3,500
CHINA MOBILE HONG KONG ADR CMN STK   16941M109    228      17,500      SH             Sole                           17,500
CHUBB CORP                 CMN STK   171232101    156       2,400      SH             Sole                            2,400
CISCO SYSTEMS INC          CMN STK   17275R102    404      20,700      SH             Sole                           20,700
CITIGROUP INC              CMN STK   172967101    387       8,500      SH             Sole                            8,500
CITIGROUP INC              CMN STK   172967101    341       7,500      SH             Defined       2                          7,500
CLAIRES STORES INC         CMN STK   179584107    261       7,800      SH             Sole                            7,800
CNOOC LTD ADR              CMN STK   126132109    137       4,000      SH             Sole                            4,000
CNOOC LTD ADR              CMN STK   126132109    168       4,900      SH             Sole                            4,900
COMMUNITY HEALTH SYS INC   CMN STK   203668108    868      40,000      SH             Defined       1                         40,000
CONOCOPHILLIPS             CMN STK   20825C104    329       6,000      SH             Defined       2                          6,000
COOPER COMPANIES INC       CMN STK   216648402  1,223      30,000      SH             Defined       1                         30,000
COSTCO WHOLESALE CORP      CMN STK   22160K105     93       3,000      SH             Sole                            3,000
COUNTRYWIDE FINANCIAL CORP CMN STK   222372104    117       1,500      SH             Sole                            1,500
CVS CORP                   CMN STK   126650100    621      20,000      SH             Defined       1                         20,000
DELL INC                   CMN STK   24702R101     75       2,240      SH             Sole                            2,240
DEVON ENERGY CORP          CMN STK   25179M103    289       6,000      SH             Defined       2                          6,000
DIGITAL INSIGHT            CMN STK   25385P106    109       5,500      SH             Sole                            5,500
DIONEX CORP                CMN STK   254546104  1,181      30,000      SH             Defined       1                         30,000
DOW CHEMICAL CO            CMN STK   260543103    205       6,300      SH             Sole                            6,300
DOW CHEMICAL CO            CMN STK   260543103     91       2,800      SH             Sole                            2,800
DR HORTON INC              CMN STK   23331A109    654      20,000      SH             Defined       1                         20,000
DU PONT (EI) DE NEMOURS    CMN STK   263534109    212       5,300      SH             Sole                            5,300
DU PONT (EI) DE NEMOURS    CMN STK   263534109     92       2,300      SH             Sole                            2,300
EASTMAN CHEMICAL           CMN STK   277432100    208       6,200      SH             Sole                            6,200
ECOLAB INC                 CMN STK   278865100    758      30,000      SH             Defined       1                         30,000
EDUCATION MANAGEMENT CORP  CMN STK   28139T101    577      10,000      SH             Defined       1                         10,000
ELECTRONIC ARTS INC        CMN STK   285512109    922      10,000      SH             Defined       1                         10,000
EMULEX CORP                CMN STK   292475209    255      10,000      SH             Defined       1                         10,000
ENCANA CORP                CMN STK   292505104    167       4,600      SH             Defined       2                          4,600
ENERPLUS RESOURCES FUND    CMN STK   29274D604    701      26,900      SH             Sole                           26,900
ENERPLUS RESOURCES FUND    CMN STK   29274D604    339      13,000      SH             Sole                           13,000
ENSCO INTERNATIONAL INC    CMN STK   26874Q100    215       8,000      SH             Sole                            8,000
EPIQ SYSTEMS INC           CMN STK   26882D109    339      20,000      SH             Defined       1                         20,000
EXXON MOBIL CORP           CMN STK   30231G102    732      20,000      SH             Defined       1                         20,000
FINISH LINE INC CL A       CMN STK   317923100    155       5,900      SH             Sole                            5,900
FIRST DATA CORP            CMN STK   319963104    240       6,000      SH             Sole                            6,000
FIRST DATA CORP            WTS       319963104    300       7,500      SH             Defined       2                          7,500
FMC CORP                   WTS       302491303    176       7,000      SH             Sole                            7,000
FMC TECHNOLOGIES INC       WTS       30249U101    643      30,000      SH             Defined       1                         30,000
FORWARD AIR CORPORATION    WTS       349853101     72       2,600      SH             Sole                            2,600
FREEPORT MCMORAN COPPER &
GOLD B                     WTS       35671D857    331      10,000      SH             Sole                           10,000
FREEPORT MCMORAN COPPER &
GOLD B                     CMN STK   35671D857    662      20,000      SH             Sole                           20,000
FREEPORT MCMORAN COPPER &
GOLD B                     CMN STK   35671D857  1,821      55,000      SH             Sole                           55,000
FREEPORT MCMORAN COPPER &
GOLD B                     CMN STK   35671D857    182       5,500      SH             Sole                            5,500
FREEPORT MCMORAN COPPER &
GOLD B                     CMN STK   35671D857     99       3,000      SH             Sole                            3,000
FREEPORT-MC COP CONV
PFD 7%                     PFD STK   35671D501    708      25,000      SH             Sole                           25,000
FREEPORT-MC COP CONV
PFD 7%                     PFD STK   35671D501  1,275      45,000      SH             Sole                           45,000
FREEPORT-MC COP CONV
PFD 7%                     PFD STK   35671D501    283      10,000      SH             Sole                           10,000
FREEPORT-MC COPP SER II C
PFD                        PFD STK   35671D881    160       4,000      SH             Sole                            4,000
FREEPORT-MC COPP SER II C
PFD                        PFD STK   35671D881    501      12,500      SH             Sole                           12,500
FREEPORT-MC COPP SER II C
PFD                        PFD STK   35671D881  1,063      26,500      SH             Sole                           26,500
FREEPORT-MC COPP SER II C
PFD                        PFD STK   35671D881    201       5,000      SH             Sole                            5,000
GENERAL DYNAMICS           CMN STK   369550108    312       4,000      SH             Defined       2                          4,000
GENERAL ELECTRIC CO        CMN STK   369604103    388      13,000      SH             Sole                           13,000
GENERAL ELECTRIC CO        CMN STK   369604103    298      10,000      SH             Defined       2                         10,000
GENZYME CORP-GENERAL
DIVISION                   CMN STK   372917104    352       7,600      SH             Defined       2                          7,600
GENZYME CORP-GENERAL
DIVISION                   CMN STK   372917104  2,313      50,000      SH             Defined       1                         50,000
GEORGIA GULF CORP          CMN STK   373200203    210       9,000      SH             Sole                            9,000
GEORGIA PACIFIC CORP       CMN STK   373298108     97       4,000      SH             Sole                            4,000
GEORGIA PACIFIC CORP       CMN STK   373298108    121       5,000      SH             Sole                            5,000
GLAMIS GOLD LTD            CMN STK   376775102    132      10,000      SH             Sole                           10,000
GOLD FIELDS LTD SPON ADR   CMN STK   38059T106  2,126     150,000      SH             Sole                          150,000
GOLDCORP INC WR 5/13/09    CMN STK   380956136  1,359      83,500      SH             Sole                           83,500
GOLDCORP INC WR 5/13/09    CMN STK   380956136  2,172     133,500      SH             Sole                          133,500
GOLDCORP INC WT 4/30/07    CMN STK   380956508     45       5,000      SH             Sole                            5,000
GOLDCORP INC WT 4/30/07    CMN STK   380956508    189      21,000      SH             Sole                           21,000
GOLDCORP INC WT 4/30/07    CMN STK   380956508    360      40,000      SH             Sole                           40,000
GRACO INC                  CMN STK   384109104  1,127      30,000      SH             Defined       1                         30,000
GRIFFON CORPORATION        CMN STK   398433102    180      10,000      SH             Defined       1                         10,000
HARLEY-DAVIDSON            CMN STK   412822108  1,446      30,000      SH             Defined       1                         30,000
HARMAN INTL INDUSTRIES INC CMN STK   413086109    295       3,000      SH             Defined       2                          3,000
HARMAN INTL INDUSTRIES INC CMN STK   413086109    984      10,000      SH             Defined       1                         10,000
HARMONY GOLD MINING SPON
ADR                        CMN STK   413216300  2,174     150,000      SH             Sole                          150,000
HCA INC                    CMN STK   404119109    103       2,800      SH             Sole                            2,800
HCA INC                    CMN STK   404119109  1,106      30,000      SH             Defined       1                         30,000
HECLA MINING               CMN STK   422704106    393      75,000      SH             Sole                           75,000
HECLA MINING               CMN STK   422704106    786     150,000      SH             Sole                          150,000
HERCULES INC               CMN STK   427056106    227      20,000      SH             Sole                           20,000
HILLENBRAND INDS INC       CMN STK   431573104  1,128      20,000      SH             Defined       1                         20,000
HUANENG POWER INTL ADR     CMN STK   443304100    306       5,600      SH             Sole                            5,600
I SHARES MSCI HONG KONG
INDEX                      MTL FND   464286871    152      16,000      SH             Sole                           16,000
I SHARES TAIWAN WEBS INDEX MTL FND   464286731    209      19,000      SH             Sole                           19,000
IDEC PHARMACEUTICALS CORP. CMN STK   449370105    149       4,500      SH             Defined       2                          4,500
ILLINOIS TOOL WORKS        CMN STK   452308109     93       1,400      SH             Sole                            1,400
IMPERIAL CHEM INDS PLC ADR CMN STK   452704505    198      17,800      SH             Sole                           17,800
INCO LTD                   CMN STK   453258402    347      12,500      SH             Sole                           12,500
INFORMATICA CORP           CMN STK   45666Q102  1,118     150,000      SH             Defined       1                        150,000
INTEL CORP                 CMN STK   458140100    280      10,160      SH             Sole                           10,160
INTEL CORP                 CMN STK   458140100    413      15,000      SH             Defined       2                         15,000
INTERNATIONAL BUSINESS
MACHINES                   CMN STK   459200101    125       1,420      SH             Sole                            1,420
INTERPORE INTNATL INC      CMN STK   46062W107     77       5,000      SH             Sole                            5,000
INTUIT                     CMN STK   461202103    338       7,000      SH             Defined       2                          7,000
ISHARES MSCI AUSTRALIA
INDEX                      MTL FND   464286103     66       5,600      SH             Sole                            5,600
ISHARES MSCI JAPAN IDEX FD MTL FND   464286848     88      10,000      SH             Sole                           10,000
ISHARES MSCI MALAYSIA
/FREE/                     MTL FND   464286830    218      37,000      SH             Sole                           37,000
ISHARES MSCI SINGAPORE
FREE                       MTL FND   464286673    179      32,000      SH             Sole                           32,000
ISHARES MSCI SOUTH KOREA
INDEX                      MTL FND   464286772    215      10,000      SH             Sole                           10,000
ISHARES TECHNOLOGY SECTOR  MTL FND   464287721    272       6,300      SH             Sole                            6,300
ISHARES TRUST DJ US
UTILITIES                  MTL FND   464287697     86       1,600      SH             Sole                            1,600
JABIL CIRCUIT INC          CMN STK   466313103     89       3,400      SH             Sole                            3,400
JETBLUE AIRWAYS CORP       CMN STK   477143101  1,829      30,000      SH             Defined       1                         30,000
JOHNSON & JOHNSON          CMN STK   478160104    183       3,700      SH             Sole                            3,700
JONES APPAREL GROUP INC    CMN STK   480074103     96       3,200      SH             Sole                            3,200
JP MORGAN CHASE            CMN STK   46625H100    120       3,500      SH             Sole                            3,500
KEY ENERGY SVCS INC        CMN STK   492914106    290      30,000      SH             Sole                           30,000
KEY ENERGY SVCS INC        CMN STK   492914106    135      14,000      SH             Sole                           14,000
KINDER MORGAN ENERGY PARTN
LP                         CMN STK   494550106     43       1,000      SH             Sole                            1,000
KINDER MORGAN ENERGY PARTN
LP                         CMN STK   494550106    107       2,500      SH             Sole                            2,500
KOOKMIN BANK SP ADR 1 ADR
RP 1SH                     CMN STK   50049M109    165       5,000      SH             Sole                            5,000
K-SWISS CLASS A            CMN STK   482686102     58       1,600      SH             Sole                            1,600
K-SWISS CLASS A            CMN STK   482686102    720      20,000      SH             Defined       1                         20,000
LAUDER ESTEE COS INC CL A  CMN STK   518439104     58       1,700      SH             Sole                            1,700
LEAPFROG ENTERPRISES INC   CMN STK   52186N106    258       6,800      SH             Sole                            6,800
LEAR CORP                  CMN STK   521865105  1,579      30,000      SH             Defined       1                         30,000
LEGG MASON INC             CMN STK   524901105  2,166      30,000      SH             Defined       1                         30,000
LEHMAN BROTHERS HLDGS INC  CMN STK   524908100    138       2,000      SH             Sole                            2,000
LINCARE HOLDINGS INC       CMN STK   532791100  1,466      40,000      SH             Defined       1                         40,000
LOCKHEED MARTIN CORP       CMN STK   539830109     74       1,600      SH             Sole                            1,600
LOUISIANA PACIFIC CORP     CMN STK   546347105     79       5,700      SH             Sole                            5,700
LOUISIANA PACIFIC CORP     CMN STK   546347105    138      10,000      SH             Sole                           10,000
LUCENT TECHNOLOGIES INC    CMN STK   549463107  1,296     600,000      SH             Defined       1                        600,000
M D C HLDGS INC /DELAWARE/ CMN STK   552676108  1,080      20,000      SH             Defined       1                         20,000
MAGYAR TAVKOZLESI RT
(MATAV) ADR                CMN STK   559776109    773      41,248      SH             Defined       3                         41,248
MANHATTAN ASSOCS INC       CMN STK   562750109    777      30,000      SH             Defined       1                         30,000
MARVEL ENTERPRISES INC     CMN STK   57383M108    223      10,000      SH             Defined       1                         10,000
MASCO CORP                 CMN STK   574599106     93       3,800      SH             Sole                            3,800
MAVERICK TUBE CORP         CMN STK   577914104    202      13,000      SH             Sole                           13,000
MCKESSON CORP              CMN STK   58155Q103    666      20,000      SH             Defined       1                         20,000
MEDTRONIC INC              CMN STK   585055106    131       2,800      SH             Sole                            2,800
METHANEX CORP              CMN STK   59151K108    468      50,000      SH             Defined       1                         50,000
MICRON TECH                CMN STK   595112103    188      14,000      SH             Defined       2                         14,000
MICROSOFT CORP             CMN STK   594918104    422      15,200      SH             Sole                           15,200
MILLENNIUM CHEMICALS INC   CMN STK   599903101    172      18,000      SH             Sole                           18,000
MILLENNIUM CHEMICALS INC   CMN STK   599903101    110      11,500      SH             Sole                           11,500
MINAS BUENAVENTURA
SP ADR B                   CMN STK   204448104    297       7,500      SH             Sole                            7,500
MINAS BUENAVENTURA
SP ADR B                   CMN STK   204448104    792      20,000      SH             Sole                           20,000
MOBILE TELESYSTEMS
SPON ADR                   CMN STK   607409109  3,196      43,455      SH             Defined       3                         43,455
MORGAN STANLEY             CMN STK   617446448     76       1,500      SH             Sole                            1,500
MULTIMEDIA GAMES INC       CMN STK   625453105    364      10,000      SH             Defined       1                         10,000
NABORS INDUSTRIES INC      CMN STK   G6359F103    373      10,000      SH             Sole                           10,000
NABORS INDUSTRIES INC      CMN STK   G6359F103    149       4,000      SH             Sole                            4,000
NABORS INDUSTRIES INC      CMN STK   G6359F103    186       5,000      SH             Defined       2                          5,000
NAM TAI ELECTRONICS INC    CMN STK   629865205    814      30,000      SH             Defined       1                         30,000
NCE PETROFUND-UNITS        CMN STK   62885E406    214      18,000      SH             Sole                           18,000
NETEASE.COM INC ADR        CMN STK   64110W102    112       2,000      SH             Sole                            2,000
NETSCREEN TECHNOLOGIES INC CMN STK   64117V107    225      10,100      SH             Sole                           10,100
NEW YORK COMMUNITY BANCORP CMN STK   649445103    193       6,133      SH             Sole                            6,133
NEWMONT MINING CORP        CMN STK   651639106  2,345      60,000      SH             Sole                           60,000
NEWMONT MINING CORP        CMN STK   651639106  5,864     150,000      SH             Sole                          150,000
NEWMONT MINING CORP        CMN STK   651639106    332       8,500      SH             Defined       2                          8,500
NOBLE DRILLING CORP        CMN STK   G65422100    170       5,000      SH             Defined       2                          5,000
NORTHROP GRUNMAN CORP      CMN STK   666807102    172       2,000      SH             Sole                            2,000
NORTHROP GRUNMAN CORP      CMN STK   666807102    431       5,000      SH             Defined       2                          5,000
NOVELLUS SYSTEMS INC       CMN STK   670008101     81       2,400      SH             Sole                            2,400
OCCIDENTAL PETROLEUM CORP  CMN STK   674599105     35       1,000      SH             Sole                            1,000
OMI CORP                   CMN STK   Y6476W104    662     100,000      SH             Defined       1                        100,000
OMNICOM GROUP INC          CMN STK   681919106    165       2,300      SH             Sole                            2,300
P/O NEWMONT MINING DEC
0027.50                    PUT OPTN  6516399XY      4         250      SH             Sole                              250
P/O NEWMONT MINING DEC
0027.50                    PUT OPTN  6516399XY     11         750      SH             Sole                              750
PACIFIC RIM MNG
CORP_/CANADIAN/            CMN STK   694915208    354     498,187      SH             Sole                          498,187
PACIFIC RIM MNG                                                                                                    1,760,00
CORP_/CANADIAN/            CMN STK   694915208  1,250   1,760,000      SH             Sole                                0
PACIFIC SUNWEAR CALIF INC  CMN STK   694873100    304      14,700      SH             Sole          1                14,700
PACIFIC SUNWEAR CALIF INC  CMN STK   694873100    620      30,000      SH             Defined       1                         30,000
PALL CORP COM              CMN STK   696429307     85       3,800      SH             Sole                            3,800
PATINA OIL & GAS CORP      CMN STK   703224105    562      15,500      SH             Defined       2                         15,500
PATTERSON UTI ENERGY INC   CMN STK   703481101    273      10,100      SH             Sole                           10,100
PATTERSON UTI ENERGY INC   CMN STK   703481101    135       5,000      SH             Sole                            5,000
PENN NATL GAMING INC       CMN STK   707569109    853      40,000      SH             Defined       1                         40,000
PEPSICO INC                CMN STK   713448108    275       6,000      SH             Sole                            6,000
PETRO CANADA               CMN STK   71644E102    175       4,500      SH             Defined       2                          4,500
PETROCHINA CO LTD ADS      CMN STK   71646E100     94       2,800      SH             Sole                            2,800
PETROCHINA CO LTD ADS      CMN STK   71646E100     67       2,000      SH             Sole                            2,000
PETROCHINA CO LTD ADS      CMN STK   71646E100    440      13,100      SH             Defined       2                         13,100
PFIZER INC                 CMN STK   717081103    458      15,075      SH             Sole                           15,075
PFIZER INC                 CMN STK   717081103    392      12,900      SH             Defined       2                         12,900
PHELPS DODGE CORP          CMN STK   717265102     47       1,000      SH             Sole                            1,000
PHELPS DODGE CORP          CMN STK   717265102     51       1,100      SH             Sole                            1,100
PHILIPPINE LONG DIST TEL
SPN ADR                    CMN STK   718252604    142      12,000      SH             Sole                           12,000
PITNEY BOWES               CMN STK   724479100  1,533      40,000      SH             Defined       1                         40,000
PLACER DOME INC            CMN STK   725906101    275      20,000      SH             Sole                           20,000
POGO PRODUCING CO          CMN STK   730448107  1,358      30,000      SH             Defined       1                         30,000
POSCO SPONSORED ADR        CMN STK   693483109    154       5,400      SH             Sole                            5,400
POTLATCH CORP              CMN STK   737628107    594      20,000      SH             Defined       1                         20,000
PRECISION DRILLING CORP    CMN STK   74022D100    151       4,000      SH             Sole                            4,000
PRECISION DRILLING CORP    CMN STK   74022D100     75       2,000      SH             Sole                            2,000
PROASSURANCE CORPORATION   CMN STK   74267C106     77       3,000      SH             Sole                            3,000
PULTE HOMES INC            CMN STK   745867101    680      10,000      SH             Defined       1                         10,000
QLOGIC CORP                CMN STK   747277101    940      20,000      SH             Defined       1                         20,000
RANGOLD RESOURCES LTD ADR  CMN STK   752344309    368      16,000      SH             Sole                           16,000
RANGOLD RESOURCES LTD ADR  CMN STK   752344309  1,438      62,500      SH             Sole                           62,500
RANGOLD RESOURCES LTD ADR  CMN STK   752344309  3,048     132,500      SH             Sole                          132,500
RESMED INC                 CMN STK   761152107    440      10,000      SH             Defined       1                         10,000
ROCKWELL INTERNATIONAL
CORP                       CMN STK   773903109  1,313      50,000      SH             Defined       1                         50,000
ROYAL GOLD INC             CMN STK   780287108     37       2,000      SH             Sole                            2,000
SANDISK CORP               CMN STK   80004C101  1,912      30,000      SH             Defined       1                         30,000
SAPPI LTD SPONSORED ADR    CMN STK   803069202    135      10,000      SH             Sole                           10,000
SAPPI LTD SPONSORED ADR    CMN STK   803069202     95       7,000      SH             Sole                            7,000
SCHLUMBERGER LTD           CMN STK   806857108    290       6,000      SH             Sole                            6,000
SCHWAB /CHARLES/ CORP      CMN STK   808513105    181      15,200      SH             Sole                           15,200
SCP POOL CORP              CMN STK   784028102    417      15,000      SH             Defined       1                         15,000
SECTOR SPDR TR SHS BEN INT
TCH                        MTL FND   81369Y803    252      13,800      SH             Sole                           13,800
SHUFFLE MASTER INC         CMN STK   825549108     76       2,800      SH             Sole                            2,800
SIERRA HEALTH SERVICES     CMN STK   826322109    411      20,000      SH             Defined       1                         20,000
SILICON LABORATORIES INC   CMN STK   826919102    135       3,000      SH             Sole                            3,000
SK TELECOM LTD SPONSORED
ADR                        CMN STK   78440P108    121       6,800      SH             Sole                            6,800
SONIC SOLUTIONS            CMN STK   835460106    697      50,000      SH             Defined       1                         50,000
SONY CORP ADR              CMN STK   835699307    418      12,000      SH             Defined       2                         12,000
STARBUCKS CORP             CMN STK   855244109     35       1,200      SH             Sole                            1,200
STERIS CORP                CMN STK   859152100    460      20,000      SH             Defined       1                         20,000
STMICROELECTRONICS NV NY
SHS                        CMN STK   861012102     96       4,000      SH             Sole                            4,000
SUNGARD DATA               CMN STK   867363103    789      30,000      SH             Defined       1                         30,000
SURMODICS INC              CMN STK   868873100    805      30,000      SH             Defined       1                         30,000
SYBRON DENTAL SPECIALTIES  CMN STK   871142105    501      20,000      SH             Defined       1                         20,000
SYSCO CORP                 CMN STK   871829107    196       6,000      SH             Sole                            6,000
TAIWAN SEMICONDUCTOR SPON
ADR                        CMN STK   874039100    297      27,380      SH             Sole                           27,380
TARO PHARMACEUTICALS INDS
LTD                        CMN STK   M8737E108  1,691      30,000      SH             Defined       1                         30,000
TECHNE CORP                CMN STK   878377100    636      20,000      SH             Defined       1                         20,000
TEEKAY SHIPPING CORP       CMN STK   Y8564W103    423      10,000      SH             Defined       1                         10,000
TELECOM HOLDRS TRUST       CMN STK   87927P200    169       6,900      SH             Sole                            6,900
TETRA TECH INC             CMN STK   88162G103    143       7,200      SH             Sole                            7,200
TEXAS INSTUMENTS INC       CMN STK   882508104    331      14,500      SH             Sole                           14,500
TIFFANY & CO               CMN STK   886547108    112       3,000      SH             Sole                            3,000
TIFFANY & CO               CMN STK   886547108    261       7,000      SH             Sole                            7,000
TIFFANY & CO               CMN STK   886547108    560      15,000      SH             Defined       2                         15,000
TRACTOR SUPPLY CO          CMN STK   892356106    154       4,700      SH             Sole                            4,700
TUESDAY MORNING CORP       CMN STK   899035505  1,392      50,000      SH             Defined       1                         50,000
TYCO INTL LTD              CMN STK   902124106    329      16,100      SH             Defined       2                         16,100
UCBH HOLDINGS INC          CMN STK   90262T308    302      10,000      SH             Sole                           10,000
UNION PACIFIC CORP         CMN STK   907818108    116       2,000      SH             Sole                            2,000
UNITED MICROELECTRONICS
ADR                        CMN STK   910873207    113      25,000      SH             Sole                           25,000
UNITED PARCEL SERVICE CL B CMN STK   911312106  1,276      20,000      SH             Defined       1                         20,000
UNITED STATES STEEL CORP   CMN STK   912909108    110       6,000      SH             Sole                            6,000
UNITED STATES STEEL CORP   CMN STK   912909108     64       3,500      SH             Sole                            3,500
UNITEDHEALTH GROUP INC     CMN STK   91324P102    141       2,800      SH             Sole                            2,800
UNITEDHEALTH GROUP INC     CMN STK   91324P102  1,510      30,000      SH             Defined       1                         30,000
UNIVERSAL HEALTH SVCS INC
CL B                       CMN STK   913903100  1,484      30,000      SH             Defined       1                         30,000
USANA HEALTH SCIENCES INC  CMN STK   90328M107    724      15,000      SH             Defined       1                         15,000
VALERO REFNG &
MARKETING CO               CMN STK   91913Y100     38       1,000      SH             Sole                            1,000
VALERO REFNG &
MARKETING CO               CMN STK   91913Y100     57       1,500      SH             Sole                            1,500
VCA ANTECH INC             CMN STK   918194101    165       7,000      SH             Sole                            7,000
VERITAS SOFTWARE CORP      CMN STK   923436109    942      30,000      SH             Defined       1                         30,000
VIACOM INC CL B            CMN STK   925524308    153       4,000      SH             Sole                            4,000
VIMPEL COMMUNICATIONS SPON
ADR                        CMN STK   68370R109  1,988      32,657      SH             Defined       3                         32,657
WAL MART STORES INC        CMN STK   931142103    367       6,580      SH             Sole                            6,580
WALGREEN CO                CMN STK   931422109    343      11,200      SH             Defined       2                         11,200
WATERS CORPORATION         CMN STK   941848103    137       5,000      SH             Defined       2                          5,000
WEATHERFORD INTL LTD       CMN STK   G95089101    264       7,000      SH             Sole                            7,000
WEIGHT WATCHERS INTL INC   CMN STK   948626106    183       4,400      SH             Defined       2                          4,400
WELLPOINT HEALTH NETWORKS
INC                        CMN STK   94973H108    220       2,850      SH             Sole                            2,850
WELLS FARGO & COMPANY      CMN STK   949746101    206       4,000      SH             Sole                            4,000
WELLS FARGO & COMPANY      CMN STK   949746101    361       7,000      SH             Defined       2                          7,000
WMC RESOURCES LTD SP ADR   CMN STK   92928R106    131      11,000      SH             Sole                           11,000
WYETH                      CMN STK   983024100    157       3,400      SH             Sole                            3,400
ZEBRA TECHNOLOGIES CORP CL
A                          CMN STK   989207105  1,547      30,000      SH             Defined       1                         30,000

                           GRAND
                           TOTAL:             154,999   9,053,359