UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

                Report for the Quarter Ended: March 31, 2005

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
            May 12, 2005

Report Type (Check only one.):

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

List of Other Managers Reporting for this Manager: None



                        FORM 13F SUMMARY PAGE

                           REPORT SUMMARY:

Number of Other Included Managers:      2
Form 13F Information Table Entry Total: 354
Form 13F Information Table Value Total: $457,111 (thousands)

List of Other Included Managers:

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




                                                     FORM 13F INFORMATION TABLE


        COLUMN 1          COLUMN 2    COLUMN 3    COLUMN 4         COLUMN 5          COLUMN 6   COLUMN 7          COLUMN 8
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                                                            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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FRONTLINE LTD              ORD        G3682E127     1,470       30,000   SH           Sole                        30,000
FRONTLINE LTD              ORD        G3682E127        98        2,000   SH           Sole                         2,000
GLOBALSANTAFE CORP         SHS        G3930E101     4,074      110,000   SH           Sole                       110,000
NABORS INDUSTRIES INC      SHS        G6359F103     4,140       70,000   SH           Sole                        70,000
NABORS INDUSTRIES INC      SHS        G6359F103       266        4,500   SH           Sole                         4,500
NABORS INDUSTRIES INC      SHS        G6359F103       296        5,000   SH           Defined     1                            5,000
NOBLE DRILLING CORP        SHS        G65422100       225        4,000   SH           Defined     1                            4,000
NOBLE DRILLING CORP        SHS        G65422100       562       10,000   SH           Sole                        10,000
SEAGATE TECHNOLOGY         SHS        G7945J104       196       10,000   SH           Sole                        10,000
SHIP FINANCE INTL LTD      SHS        G81075106        20        1,000   SH           Sole                         1,000
SHIP FINANCE INTL LTD      SHS        G81075106         4          200   SH           Sole                           200
TRANSOCEAN INC             ORD        G90078109     3,860       75,000   SH           Sole                        75,000
TRANSOCEAN INC             ORD        G90078109       206        4,000   SH           Sole                         4,000
TRANSOCEAN INC             ORD        G90078109       468        9,100   SH           Defined     1                            9,100
WEATHERFORD INTL LTD       COM        G95089101       869       15,000   SH           Sole                        15,000
GENERALE MARITIME CORP     SHS        Y2692M103     1,695       35,000   SH           Sole                        35,000
OMI CORP                   COM        Y6476W104       383       20,000   SH           Sole                        20,000
AFLAC INC                  COM        001055102       224        6,000   SH           Defined     1                            6,000
AGL RES INC                COM        001204106       349       10,000   SH           Sole                        10,000
ACTIVISION INC             COM        004930202       197       13,333   SH           Sole                        13,333
AETNA US HEALTHCARE        COM        00817Y108       150        2,000   SH           Sole                         2,000
AFFILIATED MANAGERS
 GROUP INC                 COM        008252108       620       10,000   SH           Sole                        10,000
AIR PRODUCTS &
 CHEMICAL                  COM        009158106     1,582       25,000   SH           Sole                        25,000
AIR PRODUCTS &
 CHEMICAL                  COM        009158106       266        4,200   SH           Defined     1                            4,200
ALCAN INC                  COM        013716105     2,275       60,000   SH           Sole                        60,000
ALCAN INC                  COM        013716105       152        4,000   SH           Sole                         4,000
ALLERGAN INC               COM        018490102       208        3,000   SH           Defined     1                            3,000
ALLIANT TECH-
 SYSTEMS INC               COM        018804104       357        5,000   SH           Sole                         5,000
ALTRIA GROUP INC           COM        02209S103       458        7,000   SH           Sole                         7,000
ALUMINUM CORP OF           SPON ADR
 CHINA ADR                 H SHRS     022276109       878       15,000   SH           Sole                        15,000
AMERICAN EAGLE
 OUTFITTERS                COM        02553E106       296       10,000   SH           Sole                        10,000
AMERICAN EAGLE
 OUTFITTERS                COM        02553E106     1,182       40,000   SH           Sole                        40,000
AMERICAN EXPRESS           COM        025816109       247        4,800   SH           Defined     1                            4,800
AMERICAN INTERNA-
 TIONAL GROUP              COM        026874107       166        3,000   SH           Defined     1                            3,000
AMERICAN RETIREMENT
 CORP                      COM        028913101       509       35,000   SH           Sole                        35,000
AMETEK INC                 COM        031100100       604       15,000   SH           Sole                        15,000
AMYLIN PHARMACEUTI-
 CALS INC                  COM        032346108       175       10,000   SH           Defined     1                           10,000
ANADARKO PETE CORP         COM        032511107     4,566       60,000   SH           Sole                        60,000
ANGLOGOLD ASHANTI
 LTD SPON ADR              SPON ADR   035128206       172        5,000   SH           Sole                         5,000
ANGLOGOLD ASHANTI
 LTD SPON ADR              SPON ADR   035128206       689       20,000   SH           Sole                        20,000
ANIXTER INTL INC           COM        035290105       542       15,000   SH           Sole                        15,000
ANSYS INC                  COM        03662Q105       342       10,000   SH           Sole                        10,000
APPLE COMPUTER INC         COM        037833100       375        9,000   SH           Sole                         9,000
APPLE COMPUTER INC         COM        037833100       417       10,000   SH           Sole                        10,000
ARACRUZ CELULOSE           SPON ADR
 SA SPON ADR               PFD B      038496204     1,074       30,000   SH           Sole                        30,000
ARCH COAL INC              COM        039380100     2,151       50,000   SH           Sole                        50,000
ARGON ST INC               COM        040149106       330       10,000   SH           Sole                        10,000
AUTONATION INC             COM        05329W102        85        4,500   SH           Sole                         4,500
AUTONATION INC             COM        05329W102       568       30,000   SH           Sole                        30,000
AUTOZONE INC               COM        053332102       171        2,000   SH           Sole                         2,000
BJ SERVICES CO             COM        055482103     4,669       90,000   SH           Sole                        90,000
BAKER HUGHES               COM        057224107     3,337       75,000   SH           Sole                        75,000
BANCO SANTANDER
 CENTRAL SPON ADR          ADR        05964H105        97        8,000   SH           Sole                         8,000
BANK OF AMERICA CORP       COM        060505104       265        6,000   SH           Sole                         6,000
BARRICK GOLD
 CORPORATION               COM        067901108       479       20,000   SH           Sole                        20,000
BARRICK GOLD
 CORPORATION               COM        067901108     1,198       50,000   SH           Sole                        50,000
C/O BARRICK GOLD
   JAN 0030.00             CALL OPTN  0679015AF        51          750   SH    CALL   Sole                           750
C/O BARRICK GOLD
   JAN 0030.00             CALL OPTN  0679015AF       152        2,250   SH    CALL   Sole                         2,250
BEMA GOLD CORP             COM        08135F107       161       60,000   SH           Sole                        60,000
BEMA GOLD CORP             COM        08135F107       871      325,000   SH           Sole                       325,000
BERKSHIRE HATHAWAY
 INC CL B                  CL B       084670207       671          235   SH           Defined     1                              235
BONE CARE INTL INC         COM        098072101       389       15,000   SH           Sole                        15,000
BOYD GAMING CORP           COM        103304101       782       15,000   SH           Sole                        15,000
BRIGHT HORIZONS
 FAMILY SOLUTNS            COM        109195107       337       10,000   SH           Sole                        10,000
BROWN SHOE COMPANY INC     COM        115736100       514       15,000   SH           Sole                        15,000
BUCYRUS INTL INC A         CL A       118759109     2,539       65,000   SH           Sole                        65,000
BURLINGTON NORTH
 SANTA FE CORP             COM        12189T104       647       12,000   SH           Sole                        12,000
BURLINGTON NORTH
 SANTA FE CORP             COM        12189T104       809       15,000   SH           Sole                        15,000
CBRL GROUP INC             COM        12489V106       620       15,000   SH           Sole                        15,000
CNOOC LTD ADR              SPON ADR   126132109     2,188       40,000   SH           Sole                        40,000
CNOOC LTD ADR              SPON ADR   126132109     1,094       20,000   SH           Sole                        20,000
CACI INTNATL INC
 CL A                      CL A       127190304       304        5,500   SH           Defined     1                            5,500
CADENCE DESIGN
 SYSTEM INC                COM        127387108       105        7,000   SH           Sole                         7,000
CAMBIOR INC                COM        13201L103       261      120,400   SH           Sole                       120,400
CAMBIOR INC                COM        13201L103       380      175,000   SH           Sole                       175,000
CAMECO CORP                COM        13321L108       265        6,000   SH           Sole                         6,000
CANADIAN NATURAL
 RESOURCES                 COM        136385101       568       10,000   SH           Sole                        10,000
CAREMARK RX INC            COM        141705103       239        6,000   SH           Sole                         6,000
CARTER HOLDINGS            COM        146229109       398       10,000   SH           Sole                        10,000
CATAPULT COMMUNICA-
 TIONS CORP                COM        149016107       320       15,000   SH           Sole                        15,000
CATERPILLAR INC DEL        COM        149123101       274        3,000   SH           Sole                         3,000
CENTRAL EUROPEAN
 DISTR CORP                COM        153435102     5,653      169,797   SH           Defined     2                          169,797
CENTRAL EUROPEAN
 DISTR CORP                COM        153435102       499       15,000   SH           Sole                        15,000
CENTURY ALUMINUM CO        COM        156431108     1,513       50,000   SH           Sole                        50,000
CENTURY ALUMINUM CO        COM        156431108       303       10,000   SH           Sole                        10,000
CHARLES RIVER
 ASSOCIATES INC            COM        159852102       494       10,000   SH           Sole                        10,000
CHATTEM INC                COM        162456107       889       20,000   SH           Sole                        20,000
CHESAPEAKE ENERGY
 CORP                      COM        165167107     2,194      100,000   SH           Sole                       100,000
CHESAPEAKE ENERGY
 CORP                      COM        165167107       132        6,000   SH           Sole                         6,000
CHEVRON CORP               COM        166764100       437        7,500   SH           Sole                         7,500
CHINA PETROLEUM
 & CHEMICAL ADR            SPON ADR   16941R108       612       15,000   SH           Sole                        15,000
CHINA PETROLEUM
 & CHEMICAL ADR            SPON ADR   16941R108       114        2,799   SH           Defined     2                            2,799
CHOICE HOTELS
 INTL INC                  COM        169905106       186        3,000   SH           Sole                         3,000
CITIGROUP INC              COM        172967101       225        5,000   SH           Sole                         5,000
CITIGROUP INC              COM        172967101       337        7,500   SH           Defined     1                            7,500
CLOROX COMPANY             COM        189054109       189        3,000   SH           Sole                         3,000
CLOROX COMPANY             COM        189054109       756       12,000   SH           Sole                        12,000
COCA COLA CO COM           COM        191216100       404        9,700   SH           Defined     1                            9,700
COGNIZANT TECH
 SOLUTIONS CLASS A         CL A       192446102       185        4,000   SH           Sole                         4,000
COGNIZANT TECH
 SOLUTIONS CLASS A         CL A       192446102       462       10,000   SH           Sole                        10,000
COMCAST COPR CL A          CL A       20030N101       101        3,000   SH           Sole                         3,000
COMCAST COPR CL A          CL A       20030N101       338       10,000   SH           Defined     1                           10,000
COMPANHIA SIDE-
 RURGICA NAC ADR           SPON ADR   20440W105     4,218      175,000   SH           Sole                       175,000
COMPAHNIA VALE DO
 RIO DOCE ADR              SPON ADR   204412209     1,581       50,000   SH           Sole                        50,000
COMPUCREDIT CORP           COM        20478N100       266       10,000   SH           Sole                        10,000
COMTECH TELECOM-
 MUNICATIONS               COM        205826209       261        5,000   SH           Sole                         5,000
COMVERSE TECH-
 NOLOGY INC                COM        205862402       378       15,000   SH           Sole                        15,000
AGNICO EAGLE MINES
 LTD WT/CAD/               WTS        2064952          24       10,000   SH           Sole                        10,000
AGNICO EAGLE MINES
 LTD WT/CAD/               WTS        2064952         528      221,100   SH           Sole                       221,100
AGNICO EAGLE MINES
 LTD WT/CAD/               WTS        2064952       1,448      605,900   SH           Sole                       605,900
CONSOL ENERGY INC          COM        20854P109     2,351       50,000   SH           Sole                        50,000
CONSOL ENERGY INC          COM        20854P109       188        4,000   SH           Sole                         4,000
CONSOL ENERGY INC          COM        20854P109       353        7,500   SH           Sole                         7,500
CORPORATE EXECUTIVE
 BOARD CO                  COM        21988R102       640       10,000   SH           Sole                        10,000
COVANCE INC                COM        222816100       714       15,000   SH           Sole                        15,000
DENBURY RESOURCES          COM        247916208     1,585       45,000   SH           Sole                        45,000
DIAGEO PLC
 SPONSORED ADR             SPON ADR   25243Q205       114        2,000   SH           Sole                         2,000
DIGI INTERNA-
 TIONAL INC                COM        253798102       274       20,000   SH           Sole                        20,000
DOMINOS PIZZA              COM        25754A201       561       30,000   SH           Sole                        30,000
DOW CHEMICAL CO            COM        260543103     3,739       75,000   SH           Sole                        75,000
DOW CHEMICAL CO            COM        260543103       174        3,500   SH           Sole                         3,500
DOW CHEMICAL CO            COM        260543103       279        5,600   SH           Defined     1                            5,600
DU PONT (EI)
 DE NEMOURS                COM        263534109     1,537       30,000   SH           Sole                        30,000
DUKE ENERGY CO             COM        264399106       168        6,000   SH           Sole                         6,000
EBAY INC                   COM        278642103       224        6,000   SH           Defined     1                            6,000
EDISON INTERNA-
 TIONAL                    COM        281020107       694       20,000   SH           Sole                        20,000
ELECTRONIC ARTS INC        COM        285512109       487        9,400   SH           Defined     1                            9,400
ENCANA CORP                COM        292505104     1,408       20,000   SH           Sole                        20,000
ENERGEN CORP               COM        29265N108       666       10,000   SH           Sole                        10,000
ENERGY PARTNERS LTD        COM        29270U105       390       15,000   SH           Sole                        15,000
ENERPLUS RESOURCES
 FUND                      UNIT TR    29274D604     1,450       40,000   SH           Sole                        40,000
ENERPLUS RESOURCES
 FUND                      UNIT TR    29274D604       218        6,000   SH           Sole                         6,000
ENTERGY CORP               COM        29364G103       212        3,000   SH           Sole                         3,000
ENTERGY CORP               COM        29364G103       707       10,000   SH           Sole                        10,000
EXELON CORPORATION         COM        30161N101       229        5,000   SH           Sole                         5,000
EXELON CORPORATION         COM        30161N101       184        4,000   SH           Defined     1                            4,000
FMC CORP                   COM        302491303     2,138       40,000   SH           Sole                        40,000
FMC TECHNOLOGIES
 INC                       COM        30249U101       830       25,000   SH           Sole                        25,000
FPL GROUP                  COM        302571104       321        8,000   SH           Defined     1                            8,000
FEDEX CORPORATION          COM        31428X106       235        2,500   SH           Sole                         2,500
FIRST HORIZON
 NATIONAL CORP             COM        320517105       102        2,500   SH           Sole                         2,500
FLANDERS CORPO
 RATION                    COM        338494107       338       30,000   SH           Sole                        30,000
FLORIDA ROCK
 INDUSTRIES                COM        341140101       412        7,000   SH           Sole                         7,000
FOOT LOCKER INC            COM        344849104       176        6,000   SH           Sole                         6,000
FOOT LOCKER INC            COM        344849104       586       20,000   SH           Sole                        20,000
FORDING CANADIAN
 COAL TRUST                UNIT TR    345425102     4,824       52,500   SH           Sole                        52,500
FORDING CANADIAN
 COAL TRUST                UNIT TR    345425102       184        2,000   SH           Sole                         2,000
FRANKLIN RE-
 SOURCES INC               COM        354613101       206        3,000   SH           Sole                         3,000
C/O FREEPORT MCMOR
 JAN 0040.00               CALL OPTN  35671D5AH        65          145   SH    CALL   Sole                           145
C/O FREEPORT MCMOR
 JAN 0040.00               CALL OPTN  35671D5AH       160          355   SH    CALL   Sole                           355
FREEPORT MCMORAN
 COPPER & GOLD B           CL B       35671D857     3,565       90,000   SH           Sole                        90,000
FREEPORT MCMORAN
 COPPER & GOLD B           CL B       35671D857     2,820       71,200   SH           Sole                        71,200
FREEPORT MCMORAN
 COPPER & GOLD B           CL B       35671D857       396       10,000   SH           Sole                        10,000
GENERAL ELECTRIC CO        COM        369604103       433       12,000   SH           Sole                        12,000
GENERAL ELECTRIC CO        COM        369604103       180        5,000   SH           Defined     1                            5,000
GENERAL GROWTH
 PROPERTIES                COM        370021107       341       10,000   SH           Sole                        10,000
GOLD FIELDS LTD
 SPON ADR                  SPON ADR   38059T106     2,137      186,000   SH           Sole                       186,000
GOLD FIELDS LTD
 SPON ADR                  SPON ADR   38059T106     1,907      166,000   SH           Sole                       166,000
GOLDCORP INC               COM        380956409       266       18,750   SH           Sole                        18,750
GOLDCORP INC               COM        380956409     1,457      102,500   SH           Sole                       102,500
GOLDCORP INC               COM        380956409     2,885      203,000   SH           Sole                       203,000
GOLDEN WEST FI-
 NANCIAL CORP              COM        381317106       151        2,500   SH           Sole                         2,500
GOODRICH CORP              COM        382388106        96        2,500   SH           Sole                         2,500
GOODRICH CORP              COM        382388106       383       10,000   SH           Sole                        10,000
GOOGLE INC CLASS A         CL A       38259P508        90          500   SH           Sole                           500
GRANT PRIDECO INC          COM        38821G101     4,107      170,000   SH           Sole                       170,000
GRUPO AEROPORTUARIO        SPON ADR
 SPON ADR                  SER B      40051E202       291       10,360   SH           Defined     2                           10,360
HCC INS HLDGS INC          COM        404132102       362       10,000   SH           Sole                        10,000
HSBC HLDGS PLC
 SPONS ADR                 SPON ADR   404280406       397        5,000   SH           Sole                         5,000
HAIN CELESTIAL
 GROUP INC                 COM        405217100       373       20,000   SH           Sole                        20,000
HALLIBURTON CO             COM        406216101     4,325      100,000   SH           Sole                       100,000
HALLIBURTON CO             COM        406216101       260        6,000   SH           Sole                         6,000
HARRAHS ENTERTAIN-
 MENT INC                  COM        413619107       646       10,000   SH           Sole                        10,000
HARTFORD FINL SVCS
 GROUP INC                 COM        416515104       274        4,000   SH           Sole                         4,000
HARVEST NATURAL
 RESOURCE                  COM        41754V103     3,270      275,000   SH           Sole                       275,000
HECLA MINING               COM        422704106       493       90,000   SH           Sole                        90,000
HECLA MINING               COM        422704106     1,534      280,000   SH           Sole                       280,000
HERCULES INC               COM        427056106     1,521      105,000   SH           Sole                       105,000
HOVNANIAN ENTER-
 PRISES INC CL A           CL A       442487203       765       15,000   SH           Sole                        15,000
IXIA                       COM        45071R109       445       25,000   SH           Sole                        25,000
ITT INDUSTRIES             COM        450911102       902       10,000   SH           Sole                        10,000
IDEX CORP                  COM        45167R104       908       22,500   SH           Sole                        22,500
INDEPENDENT BANK
 CORP MICH                 COM        453838104       288       10,000   SH           Sole                        10,000
INTEL CORP                 COM        458140100       139        6,000   SH           Sole                         6,000
INTEL CORP                 COM        458140100       418       18,000   SH           Defined     1                           18,000
INTERNATIONAL
 BUSINESS MACHINES         COM        459200101       274        3,000   SH           Defined     1                            3,000
ISHARES MSCI               MSCI
 SINGAPORE FREE            SINGAPORE  464286673       145       20,000   SH           Sole                        20,000
ISHARES TRUST              RUSSELL
 RUSSELL 200I              2000       464287655       183        1,500   SH           Sole                         1,500
JOHNSON & JOHNSON          COM        478160104       403        6,000   SH           Sole                         6,000
JOY GLOBAL INC             COM        481165108     2,630       75,000   SH           Sole                        75,000
JOY GLOBAL INC             COM        481165108       175        5,000   SH           Sole                         5,000
KT CORP SPONS ADR_         SPON ADR   48268K101       426       20,000   SH           Sole                        20,000
KERR MCGEE CORP            COM        492386107       157        2,000   SH           Sole                         2,000
KNIGHT TRANSN INC          COM        499064103       740       30,000   SH           Sole                        30,000
KOOKMIN BANK SP
 ADR 1 ADR RP 1SH          SPON ADR   50049M109       893       20,000   SH           Sole                        20,000
KOOKMIN BANK SP
 ADR 1 ADR RP 1SH          SPON ADR   50049M109       229        5,123   SH           Defined     2                            5,123
KOREA ELECT POWER
 SPON ADR/RP1/2            SPON ADR   500631106       538       40,000   SH           Sole                        40,000
KRONOS INC                 COM        501052104       511       10,000   SH           Sole                        10,000
LG PHILIPS LCD
 CO LTD /USD/              SPON
                           ADR REP    50186V102       216       10,000   SH           Sole                        10,000
LANDSTAR SYSTEM INC        COM        515098101       655       20,000   SH           Sole                        20,000
LEGG MASON INC             COM        524901105       781       10,000   SH           Sole                        10,000
LEHMAN BROTHERS
 HLDGS INC                 COM        524908100       141        1,500   SH           Sole                         1,500
LEHMAN BROTHERS
 HLDGS INC                 COM        524908100       471        5,000   SH           Sole                         5,000
LUXOTTICA GROUP
 SPONS ADR                 SPON ADR   55068R202        61        3,000   SH           Sole                         3,000
LUXOTTICA GROUP
 SPONS ADR                 SPON ADR   55068R202       306       15,000   SH           Sole                        15,000
LYONDELL PETRO-
 CHEMICAL CO               COM        552078107     3,630      130,000   SH           Sole                       130,000
LYONDELL PETRO-
 CHEMICAL CO               COM        552078107       698       25,000   SH           Sole                        25,000
M D C HLDGS INC
 /DELAWARE/                COM        552676108       697       10,000   SH           Sole                        10,000
MAGYAR TAVKOZLESI
 RT (MATAV) ADR            SPON ADR   559776109     5,632      239,149   SH           Defined     2                          239,149
MARATHON OIL CORP          COM        565849106       235        5,000   SH           Defined     1                            5,000
MARINEMAX INC              COM        567908108       468       15,000   SH           Sole                        15,000
MARTHA STEWART
 LIVING OMNI INC           CL A       573083102       113        5,000   SH           Sole                         5,000
MERIDIAN GOLD INC          COM        589975101     2,130      126,500   SH           Sole                       126,500
MERIDIAN GOLD INC          COM        589975101     3,107      184,500   SH           Sole                       184,500
METTLER TOLEDO INTL        COM        592688105       143        3,000   SH           Sole                         3,000
MICROSOFT CORP             COM        594918104       459       19,000   SH           Defined     1                           19,000
MILLER /HERMAN/ INC        COM        600544100       602       20,000   SH           Sole                        20,000
MOBILE TELESYSTEMS
 SPON ADR                  SPON ADR   607409109    59,285    1,684,700   SH           Defined     2                        1,684,700
MOBILE MINI INC            COM        60740F105       606       15,000   SH           Sole                        15,000
MONSANTO CO                COM        61166W101       323        5,000   SH           Sole                         5,000
NDS GROUP PLC
 SPONSORED ADR             SPON ADR   628891103       347       10,000   SH           Sole                        10,000
NS GROUP INC               COM        628916108     1,413       45,000   SH           Sole                        45,000
NALCO HOLDINGS             COM        62985Q101       377       20,000   SH           Sole                        20,000
NASDAQ 100 SHARES          MTL FND    631100104       366       10,000   SH           Sole                        10,000
NATIONAL OILWELL
 VARCO INC                 COM        637071101     2,428       52,000   SH           Sole                        52,000
NAVIGANT CONSULT-
 ING INC                   COM        63935N107       817       30,000   SH           Sole                        30,000
NETEASE.COM INC ADR        SPON ADR   64110W102       217        4,500   SH           Sole                         4,500
NETWORK APPLI-
 ANCE INC                  COM        64120L104       166        6,000   SH           Sole                         6,000
NEWMONT MINING CORP        COM        651639106     1,901       45,000   SH           Sole                        45,000
NEWMONT MINING CORP        COM        651639106     4,225      100,000   SH           Sole                       100,000
NEWMONT MINING CORP        COM        651639106       275        6,500   SH           Defined     1                            6,500
C/O NEWMONT MINING
 JAN0040.00                CALL OPTN  6516392AH        29           50   SH    CALL   Sole                            50
C/O NEWMONT MINING
 JAN0040.00                CALL OPTN  6516392AH        87          150   SH    CALL   Sole                           150
NORTHROP GRUNMAN
 CORP                      COM        666807102       432        8,000   SH           Defined     1                            8,000
NOVA CHEMICALS CORP        COM        66977W109     2,148       50,000   SH           Sole                        50,000
NOVA CHEMICALS CORP        COM        66977W109       430       10,000   SH           Sole                        10,000
NOVARTIS AG SPON ADR       SPON ADR   66987V109       313        6,700   SH           Defined     1                            6,700
NUCOR CORP                 COM        670346105       576       10,000   SH           Sole                        10,000
OIL STATES INTER-
 NATIONAL INC              COM        678026105     2,363      115,000   SH           Sole                       115,000
OIL STATES INTER-
 NATIONAL INC              COM        678026105       719       35,000   SH           Sole                        35,000
ONEOK IN C                 COM        682680103     2,466       80,000   SH           Sole                        80,000
VIMPEL COMMUNICA-
 TIONS SPON ADR            SPON ADR   68370R109    57,778    1,678,628   SH           Defined     2                        1,678,628
VIMPEL COMMUNICA-
 TIONS SPON ADR            SPON ADR   68370R109       320        9,294   SH           Defined     2                            9,294
O'REILLY AUTOMO-
 TIVE INC                  COM        686091109       495       10,000   SH           Sole                        10,000
PNC FINANCIAL
 SERVICES                  COM        693475105       154        3,000   SH           Sole                         3,000
POSCO SPONSORED ADR        SPON ADR   693483109     1,974       40,000   SH           Sole                        40,000
PPG INDUSTRIES INC         COM        693506107     2,503       35,000   SH           Sole                        35,000
PACIFIC RIM MNG
 CORP_/CANADIAN/           COM        694915208        67      100,000   SH           Sole                       100,000
PACIFIC RIM MNG
 CORP_/CANADIAN/           COM        694915208       273      408,187   SH           Sole                       408,187
PATTERSON COMPAN-
 IES INC                   COM        703395103       500       10,000   SH           Sole                        10,000
PATTERSON UTI
 ENERGY INC                COM        703481101     3,378      135,000   SH           Sole                       135,000
PATTERSON UTI
 ENERGY INC                COM        703481101       375       15,000   SH           Sole                        15,000
PEPSICO INC                COM        713448108       265        5,000   SH           Sole                         5,000
PETRO CANADA               COM        71644E102     4,629       80,000   SH           Sole                        80,000
PETROCHINA CO
 LTD ADS                   SPON ADR   71646E100     3,793       60,000   SH           Sole                        60,000
PETROCHINA CO
 LTD ADS                   SPON ADR   71646E100     1,138       18,000   SH           Sole                        18,000
PETROCHINA CO
 LTD ADS                   SPON ADR   71646E100       525        8,300   SH           Defined     1                            8,300
PETROBRAS SPONSORED
 ADR                       SPON ADR   71654V101     1,731       45,000   SH           Sole                        45,000
PETROBRAS SPONSORED
 ADR                       SPON ADR   71654V101       163        4,229   SH           Defined     2                            4,229
PETROLEO BRASILEIRO
 SA ADR                    SPON ADR   71654V408     4,418      100,000   SH           Sole                       100,000
PETROQUEST ENERGY
 INC                       COM        716748108       717      108,000   SH           Sole                       108,000
PHARMACEUTICAL             DEPOSITORY
 HOLDRS TR                 RECEIPT    71712A206       216        3,000   SH           Sole                         3,000
PHELPS DODGE
 CORP                      COM        717265102       102        1,000   SH           Sole                         1,000
PHILLIPS VAN HUESEN CORP   COM        718592108       400       15,000   SH           Sole                        15,000
PIONEER DRILLING CO        COM        723655106     2,351      170,700   SH           Sole                       170,700
PLACER DOME INC            COM        725906101       487       30,000   SH           Sole                        30,000
PLACER DOME INC            COM        725906101     8,256      509,000   SH           Sole                       509,000
C/O PLACER DOME
 JAN 06                    CALL OPTN  7259069AE        28          700   SH    CALL   Sole                           700
C/O PLACER DOME
 JAN 06                    CALL OPTN  7259069AE        20          500   SH    CALL   Sole                           500
C/O PLACER DOME
 JAN 06                    CALL OPTN  7259069AE       144        3,610   SH    CALL   Sole                         3,610
POTASH CORP
 SASCKATCHEWAN             COM        73755L107     2,625       30,000   SH           Sole                        30,000
POTASH CORP
 SASCKATCHEWAN             COM        73755L107       131        1,500   SH           Sole                         1,500
POTASH CORP
 SASCKATCHEWAN             COM        73755L107       438        5,000   SH           Sole                         5,000
PRECISION CAST
 PARTS                     COM        740189105       385        5,000   SH           Sole                         5,000
PRECISION DRILLING
 CORP                      COM        74022D100     3,733       50,000   SH           Sole                        50,000
PRECISION DRILLING
 CORP                      COM        74022D100       112        1,500   SH           Sole                         1,500
PREMCOR INC                COM        74045Q104     2,984       50,000   SH           Sole                        50,000
PRIMEWEST ENERGY
 TRUST                     UNIT TR    741930309       359       15,000   SH           Sole                        15,000
PROASSURANCE
 CORPORATION               COM        74267C106       178        4,500   SH           Sole                         4,500
PROCTOR & GAMBLE CO        COM        742718109       387        7,300   SH           Defined     1                            7,300
PSYCHIATRIC
 SOLUTIONS INC             COM        74439H108       460       10,000   SH           Sole                        10,000
QLOGIC CORP                COM        747277101       608       15,000   SH           Sole                        15,000
QUESTAR CORP               COM        748356102     1,778       30,000   SH           Sole                        30,000
RANGOLD RESOURCES
 LTD ADR                   SPON ADR   752344309       116        9,400   SH           Sole                         9,400
RANGOLD RESOURCES
 LTD ADR                   SPON ADR   752344309     3,090      250,000   SH           Sole                       250,000
RANGOLD RESOURCES
 LTD ADR                   SPON ADR   752344309     6,532      528,500   SH           Sole                       528,500
RAYONIER INC               COM        754907103       198        4,000   SH           Sole                         4,000
REYNOLDS AMERICAN
 INC                       COM        761713106       403        5,000   SH           Sole                         5,000
ROCKWELL INTERNA-
 TIONAL CORP               COM        773903109       227        4,000   SH           Sole                         4,000
ROCKWELL INTERNA-
 TIONAL CORP               COM        773903109     1,133       20,000   SH           Sole                        20,000
SK TELECOM LTD
 SPONSORED ADR             SPON ADR   78440P108       118        6,000   SH           Sole                         6,000
SRA INTERNATIONAL
 INC CLASS A               CL A       78464R105       301        5,000   SH           Sole                         5,000
SAN JUAN BASIN
 RTY TR UBI                UNIT TR    798241105     2,883       80,000   SH           Sole                        80,000
SAN JUAN BASIN
 RTY TR UBI                UNIT TR    798241105       252        7,000   SH           Sole                         7,000
SASOL LTD SPONS ADR        SPON ADR   803866300       193        8,105   SH           Defined     2                            8,105
SCHLUMBERGER LTD           COM        806857108       282        4,000   SH           Defined     1                            4,000
SEMICONDUCTOR
 HOLDERS TRUST             DEPOSITORY
                           RECEIPT    816636203       325       10,000   SH           Sole                        10,000
7-ELEVEN INC               COM        817826209       144        6,000   SH           Sole                         6,000
7-ELEVEN INC               COM        817826209       480       20,000   SH           Sole                        20,000
SIGMATEL INCOR-
 PORATED                   COM        82661W107       374       10,000   SH           Sole                        10,000
SONIC CORP COM             COM        835451105     1,002       30,000   SH           Sole                        30,000
SOUTHWESTERN
 ENERGY CO                 COM        845467109     4,257       75,000   SH           Sole                        75,000
SOUTHWESTERN
 ENERGY CO                 COM        845467109       851       15,000   SH           Sole                        15,000
STARBUCKS CORP             COM        855244109       103        2,000   SH           Sole                         2,000
STATION CASINOS
 INC                       COM        857689103       338        5,000   SH           Sole                         5,000
STATOIL ASA
 SPON ADR                  SPON ADR   85771P102       343       20,000   SH           Sole                        20,000
STREETTRACKS
 GOLD TRUST                GOLD SHS   863307104     2,141       50,000   SH           Sole                        50,000
STREETTRACKS
 GOLD TRUST                GOLD SHS   863307104       285        6,650   SH           Sole                         6,650
STREETTRACKS
 GOLD TRUST                GOLD SHS   863307104     1,655       38,650   SH           Sole                        38,650
SUPERIOR ENERGY
 SERVICES INC              COM        868157108       688       40,000   SH           Sole                        40,000
TBC CORP                   COM        872183108       279       10,000   SH           Sole                        10,000
TAIWAN SEMICONDUCTOR
 SPON ADR                  SPON ADR   874039100       254       30,000   SH           Sole                        30,000
TAIWAN SEMICONDUCTOR
 SPON ADR                  SPON ADR   874039100        71        8,409   SH           Defined     2                            8,409
TELEFONICA SA
 SPONSORED ADR             SPON ADR   879382208       156        3,000   SH           Sole                         3,000
TEVA PHARMACEUTICAL
 IND SPON ADR              SPON ADR   881624209       403       13,000   SH           Defined     1                           13,000
TETRA TECHNOLOGIES
 INC DEL                   COM        88162F105     3,128      110,000   SH           Sole                       110,000
TEXAS CAPITAL
 BANCSHARES INC            COM        88224Q107       525       25,000   SH           Sole                        25,000
TEXAS INSTUMENTS INC       COM        882508104       400       15,700   SH           Defined     1                           15,700
TEXTRON INC                COM        883203101       224        3,000   SH           Sole                         3,000
TIFFANY & CO               COM        886547108       259        7,500   SH           Sole                         7,500
TIFFANY & CO               COM        886547108       777       22,500   SH           Sole                        22,500
TIME WARNER INC            COM        887317105       132        7,500   SH           Sole                         7,500
TOLL BROTHERS INC          COM        889478103       237        3,000   SH           Sole                         3,000
TORO CO                    COM        891092108       620        7,000   SH           Sole                         7,000
TYCO INTL LTD              COM        902124106       338       10,000   SH           Defined     1                           10,000
UNIT CORP                  COM        909218109     5,420      120,000   SH           Sole                       120,000
UNIT CORP                  COM        909218109       903       20,000   SH           Sole                        20,000
UNITED THERAPEUTICS
 CORP DEL                  COM        91307C102       685       15,000   SH           Sole                        15,000
UNITEDHEALTH
 GROUP INC                 COM        91324P102       668        7,000   SH           Sole                         7,000
UNITEDHEALTH
 GROUP INC                 COM        91324P102       286        3,000   SH           Defined     1                            3,000
UNOCAL CORP                COM        915289102       247        4,000   SH           Defined     1                            4,000
URBAN OUT-
 FITTERS INC               COM        917047102       144        3,000   SH           Sole                         3,000
URBAN OUT-
 FITTERS INC               COM        917047102       480       10,000   SH           Sole                        10,000
VALERO REFNG &
 MARKETING CO              COM        91913Y100     5,495       75,000   SH           Sole                        75,000
VALERO REFNG &
 MARKETING CO              COM        91913Y100       220        3,000   SH           Sole                         3,000
VALERO REFNG &
 MARKETING CO              COM        91913Y100       513        7,000   SH           Sole                         7,000
VENTANA MEDICAL
 INC                       COM        92276H106     1,124       30,000   SH           Sole                        30,000
VINTAGE PETRO-
 LEUM INC                  COM        927460105     6,607      210,000   SH           Sole                       210,000
WMC RESOURCES
 LTD SP ADR                SPON ADR   92928R106        44        1,800   SH           Sole                         1,800
WALTER INDUSTRIES
 INC                       COM        93317Q105     2,340       55,000   SH           Sole                        55,000
WALTER INDUSTRIES
 INC                       COM        93317Q105       426       10,000   SH           Sole                        10,000
WASHINGTON POST
 CO CL B                   CL B       939640108       434          485   SH           Defined     1                              485
WATERS CORPORATION         COM        941848103       358       10,000   SH           Sole                        10,000
WEBSENSE INC               COM        947684106     1,076       20,000   SH           Sole                        20,000
WELLS FARGO &
 COMPANY                   COM        949746101        90        1,500   SH           Sole                         1,500
WELLS FARGO &
 COMPANY                   COM        949746101       718       12,000   SH           Defined     1                           12,000
WESTERN GAS
 RESOURCE                  COM        958259103     5,340      155,000   SH           Sole                       155,000
WILLBROS GROUP INC         COM        969199108     1,818       90,000   SH           Sole                        90,000
WORLD FUEL
 SERVICES CORP             COM        981475106       630       20,000   SH           Sole                        20,000
XTO ENERGY INC             COM        98385X106     1,314       40,000   SH           Sole                        40,000
XTO ENERGY INC             COM        98385X106       120        3,666   SH           Sole                         3,666
YELLOW ROADWAY
 CORP                      COM        985577105       585       10,000   SH           Sole                        10,000
ZENITH NATIONAL
 INSURANCE CORP            COM        989390109       778       15,000   SH           Sole                        15,000
ZIMMER HOLDINGS INC        COM        98956P102       327        4,200   SH           Defined     1                            4,200