UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

                   Report for the Quarter Ended: September 30, 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
            ------------------
            Susan B. McGee, President
            San Antonio, TX
            November 11, 2005

Report Type (Check only one.):

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

List of Other Managers Reporting for this Manager: None



                        FORM 13F SUMMARY PAGE

                           REPORT SUMMARY:

Number of Other Included Managers:      2
Form 13F Information Table Entry Total: 335
Form 13F Information Table Value Total: $792,907 (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  MGRS  SOLE  SHARED       NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          

CENTRAL EUROPEAN
 MEDIA CL A               CL A         G20045202      211         4,000   SH            Sole                      4,000
CENTRAL EUROPEAN
 MEDIA CL A               CL A         G20045202    7,805       147,794   SH            Defined   2                          147,794
CENTRAL EUROPEAN
 MEDIA CL A               CL A         G20045202      396         7,500   SH            Sole                      7,500
GLOBALSANTAFE CORP        SHS          G3930E101    6,159       135,000   SH            Sole                    135,000
NABORS INDUSTRIES INC     SHS          G6359F103    7,183       100,000   SH            Sole                    100,000
NABORS INDUSTRIES INC     SHS          G6359F103      108         1,500   SH            Sole                      1,500
NABORS INDUSTRIES INC     SHS          G6359F103      359         5,000   SH            Defined   1                            5,000
NABORS INDUSTRIES INC     SHS          G6359F103      718        10,000   SH            Sole                     10,000
NOBLE DRILLING CORP       SHS          G65422100    3,081        45,000   SH            Sole                     45,000
NOBLE DRILLING CORP       SHS          G65422100      274         4,000   SH            Defined   1                            4,000
TRANSOCEAN INC            ORD          G90078109      123         2,000   SH            Sole                      2,000
TRANSOCEAN INC            ORD          G90078109      374         6,100   SH            Defined   1                            6,100
TRANSOCEAN INC            ORD          G90078109      613        10,000   SH            Sole                     10,000
WEATHERFORD INTL LTD      COM          G95089101    6,866       100,000   SH            Sole                    100,000
ACCURIDE CORPORATION      COM          004398103      621        45,000   SH            Sole                     45,000
AIR PRODUCTS
 & CHEMICAL               COM          009158106      232         4,200   SH            Defined   1                            4,200
ALERIS INTERNA-
 TIONAL INC               COM          014477103      549        20,000   SH            Sole                     20,000
ALLERGAN INC              COM          018490102      275         3,000   SH            Defined   1                            3,000
ALLSCRIPTS HEALTH-
 CARE SOLUTION            COM          01988P108      901        50,000   SH            Sole                     50,000
ALPHA NATURAL RESOUR      COM          02076X102    4,957       165,000   SH            Sole                    165,000
ALTRIA GROUP INC          COM          02209S103      369         5,000   SH            Sole                      5,000
AMAZON.COM INC            COM          023135106      317         7,000   SH            Defined   1                            7,000
AMERICAN EXPRESS          COM          025816109      477         8,300   SH            Defined   1                            8,300
AMERITRADE HOLDING
 CORP                     COM          03074K100      644        30,000   SH            Sole                     30,000
AMYLIN PHARMACEU-
 TICALS INC               COM          032346108      348        10,000   SH            Defined   1                           10,000
APPLE COMPUTER INC        COM          037833100      268         5,000   SH            Sole                      5,000
APPLE COMPUTER INC        COM          037833100    1,072        20,000   SH            Sole                     20,000
ARCH COAL INC             COM          039380100    5,738        85,000   SH            Sole                     85,000
ASSET ACCEPTANCE CAP      COM          04543P100      749        25,000   SH            Sole                     25,000
ATWOOD OCEANICS           COM          050095108   10,526       125,000   SH            Sole                    125,000
AUTODESK INC              COM          052769106    1,161        25,000   SH            Sole                     25,000
AVIALL INC                COM          05366B102      203         6,000   SH            Sole                      6,000
BAKER HUGHES              COM          057224107    3,581        60,000   SH            Sole                     60,000
BARRICK GOLD
 CORPORATION              COM          067901108      581        20,000   SH            Sole                     20,000
BARRICK GOLD
 CORPORATION              COM          067901108    1,453        50,000   SH            Sole                     50,000
C/O BARRICK GOLD
   JAN 0030.00            CALL OPTN    0679015AF      113           750   SH     CALL   Sole                        750
C/O BARRICK GOLD
   JAN 0030.00            CALL OPTN    0679015AF      338         2,250   SH     CALL   Sole                      2,250
BAXTER INTL INC           COM          071813109      797        20,000   SH            Sole                     20,000
BEACON ROOFING
 SUPPLY INC               COM          073685109      490        15,000   SH            Sole                     15,000
BERKLEY /W R/ CORP        COM          084423102      790        20,000   SH            Sole                     20,000
BERKSHIRE HATHAWAY
 INC CL B                 CL B         084670207      642           235   SH            Defined   1                              235
BIOGEN IDEC INC           COM          09062X103      790        20,000   SH            Sole                     20,000
BIOMED REALTY
 TRUST INC                COM          09063H107      744        30,000   SH            Sole                     30,000
BIOTECH HOLDERS           DEPOSTRY
 TR DEP RCPTS             RCPTS        09067D201      381         2,000   SH            Sole                      2,000
BLUE COAT SYSTEMS INC     COM NEW      09534T508      435        10,000   SH            Sole                     10,000
BOEING CO                 COM          097023105      204         3,000   SH            Sole                      3,000
BORG WARNER
 AUTOMOTIVE INC           COM          099724106      565        10,000   SH            Sole                     10,000
BRIGHTPOINT INC           COM NEW      109473405    1,005        52,500   SH            Sole                     52,500
BROADCOM CORP             CL A         111320107      281         6,000   SH            Sole                      6,000
BURLINGTON NORTH
 SANTA FE CORP            COM          12189T104      179         3,000   SH            Sole                      3,000
BURLINGTON RES INC        COM          122014103    8,132       100,000   SH            Sole                    100,000
C/O BURLINGTON RES
 JAN 0070.00              CALL OPTN    1220149AN      203           150   SH     CALL   Sole                        150
CNOOC LTD ADR             SPON ADR     126132109    4,331        60,000   SH            Sole                     60,000
CNOOC LTD ADR             SPON ADR     126132109      866        12,000   SH            Sole                     12,000
CNET NETWORKS INC         COM          12613R104      611        45,000   SH            Sole                     45,000
CVS CORP                  COM          126650100      116         4,000   SH            Sole                      4,000
CVS CORP                  COM          126650100      580        20,000   SH            Sole                     20,000
CACI INTNATL INC CL A     CL A         127190304      333         5,500   SH            Defined   1                            5,500
CAMBIOR INC               COM          13201L103      256       120,400   SH            Sole                    120,400
CAMBIOR INC               COM          13201L103      373       175,000   SH            Sole                    175,000
CARDINAL HEALTH           COM          14149Y108      222         3,500   SH            Sole                      3,500
CARRIZO OIL
 & GAS INC                COM          144577103    6,007       205,000   SH            Sole                    205,000
CATERPILLAR INC DEL       COM          149123101      353         6,000   SH            Sole                      6,000
CENTRAL EUROPEAN
 DISTR CORP               COM          153435102       60         1,410   SH            Defined   2                            1,410
CENTRAL EUROPEAN
 DISTR CORP               COM          153435102        4            97   SH            Defined   2                               97
CERNER CORP               COM          156782104      652         7,500   SH            Sole                      7,500
CHESAPEAKE ENERGY
 CORP                     COM          165167107    7,650       200,000   SH            Sole                    200,000
CHESAPEAKE ENERGY
 CORP                     COM          165167107      230         6,000   SH            Sole                      6,000
CHICAGO BRIDGE            NY REGIS-
 & IRON ADR               TRY SH       167250109      466        15,000   SH            Sole                     15,000
CHINA PETROLEUM
 & CHEMICAL ADR           SPON ADR     16941R108      226         5,000   SH            Sole                      5,000
CHUNGHWA TELECOM ADR      SPON ADR     17133Q205      120         6,466   SH            Defined   2                            6,466
CITIGROUP INC             COM          172967101      341         7,500   SH            Defined   1                            7,500
COCA COLA CO COM          COM          191216100      419         9,700   SH            Defined   1                            9,700
COLDWATER CREEK INC       COM          193068103      504        20,000   SH            Sole                     20,000
COMPUCREDIT CORP          COM          20478N100      444        10,000   SH            Sole                     10,000
AGNICO EAGLE              *W EXP
 MINES LTD WT/CAD/        11/07/2007   2064952         21        10,000   SH            Sole                     10,000
AGNICO EAGLE              *W EXP
 MINES LTD WT/CAD/        11/07/2007   2064952        464       221,100   SH            Sole                    221,100
AGNICO EAGLE              *W EXP
 MINES LTD WT/CAD/        11/07/2007   2064952      1,293       615,900   SH            Sole                    615,900
CONOCOPHILLIPS            COM          20825C104    7,690       110,000   SH            Sole                    110,000
CONOCOPHILLIPS            COM          20825C104      210         3,000   SH            Sole                      3,000
CONSOL ENERGY INC         COM          20854P109    5,339        70,000   SH            Sole                     70,000
COOPER COMPANIES INC      COM          216648402      575         7,500   SH            Sole                      7,500
CORNING INCORPORATED      COM          219350105       87         4,500   SH            Sole                      4,500
COVANCE INC               COM          222816100      720        15,000   SH            Sole                     15,000
CTRIP.COM
 INTERNATIONAL LTD        ADR          22943F100      320         5,000   SH            Sole                      5,000
DIGITAL INSIGHT           COM          25385P106      235         9,000   SH            Sole                      9,000
DIGITAL RIVER INC         COM          25388B104      244         7,000   SH            Sole                      7,000
DUNE ENERGY INC           COM NEW      265338202       41        20,000   SH            Sole                     20,000
EOG RESOURCES             COM          26875P101    7,490       100,000   SH            Sole                    100,000
C/O EOG RESOURCES
  JAN 0065.00             CALL OPTN    26875P9AM      194           150   SH     CALL   Sole                        150
EAGLE MATERIALS INC       COM          26969P108    4,248        35,000   SH            Sole                     35,000
EBAY INC                  COM          278642103      247         6,000   SH            Defined   1                            6,000
EDISON INTERNATIONAL      COM          281020107      213         4,500   SH            Sole                      4,500
ELECTRONIC ARTS INC       COM          285512109      535         9,400   SH            Defined   1                            9,400
ENCANA CORP               COM          292505104      379         6,500   SH            Defined   1                            6,500
ENDO PHARMACEU-
 TICALS HLDGS INC         COM          29264F205      533        20,000   SH            Sole                     20,000
ENERGEN CORP              COM          29265N108      260         6,000   SH            Sole                      6,000
ENERGEN CORP              COM          29265N108      865        20,000   SH            Sole                     20,000
ENERPLUS RESOURCES
 FUND                     UNIT TR      29274D604    1,416        30,000   SH            Sole                     30,000
ENERPLUS RESOURCES
 FUND                     UNIT TR      29274D604      189         4,000   SH            Sole                      4,000
ENERPLUS RESOURCES
 FUND                     UNIT TR      29274D604      708        15,000   SH            Sole                     15,000
EURONET WORLDWIDE INC     COM          298736109      148         5,000   SH            Sole                      5,000
EXELON CORPORATION        COM          30161N101      267         5,000   SH            Sole                      5,000
EXELON CORPORATION        COM          30161N101      214         4,000   SH            Defined   1                            4,000
EXPRESS SCRIPTS
 INC COMMON               COM          302182100      280         4,500   SH            Sole                      4,500
FPL GROUP                 COM          302571104      381         8,000   SH            Defined   1                            8,000
FLORIDA ROCK
 INDUSTRIES               COM          341140101      673        10,500   SH            Sole                     10,500
FORDING CANADIAN
 COAL TRUST               UNIT TR      345425102    4,044        95,000   SH            Sole                     95,000
FRANKLIN RESOURCES INC    COM          354613101      252         3,000   SH            Sole                      3,000
C/O FREEPORT MCMOR
 JAN 0040.00              CALL OPTN    35671D5AH      138           145   SH     CALL   Sole                        145
C/O FREEPORT MCMOR
 JAN 0040.00              CALL OPTN    35671D5AH      337           355   SH     CALL   Sole                        355
FREEPORT MCMORAN
 COPPER & GOLD B          CL B         35671D857    4,859       100,000   SH            Sole                    100,000
FREEPORT MCMORAN
 COPPER & GOLD B          CL B         35671D857    3,460        71,200   SH            Sole                     71,200
FRONTIER OIL CORP         COM          35914P105      887        20,000   SH            Sole                     20,000
GENENTECH INC             COM          368710406      379         4,500   SH            Sole                      4,500
GENENTECH INC             COM          368710406      278         3,300   SH            Defined   1                            3,300
GENERAL ELECTRIC CO       COM          369604103      168         5,000   SH            Defined   1                            5,000
GENESIS MICROCHIP INC     COM          37184C103      659        30,000   SH            Sole                     30,000
GLAMIS GOLD LTD           COM          376775102      442        20,000   SH            Sole                     20,000
GLOBAL INDUSTRIES LTD     COM          379336100    5,896       400,000   SH            Sole                    400,000
GOLD FIELDS LTD SPON ADR  SPON ADR     38059T106    2,339       161,000   SH            Sole                    161,000
GOLD FIELDS LTD SPON ADR  SPON ADR     38059T106    2,412       166,000   SH            Sole                    166,000
GOLDCORP INC              COM          380956409      401        20,000   SH            Sole                     20,000
GOLDCORP INC              COM          380956409    2,004       100,000   SH            Sole                    100,000
GOLDCORP INC              COM          380956409    4,369       218,000   SH            Sole                    218,000
GOODRICH CORP             COM          382388106      222         5,000   SH            Sole                      5,000
GOODRICH CORP             COM          382388106      887        20,000   SH            Sole                     20,000
GOODRICH PETROLEUM CORP   COM NEW      382410405    7,041       300,000   SH            Sole                    300,000
GOOGLE INC CLASS A        CL A         38259P508      316         1,000   SH            Sole                      1,000
GOOGLE INC CLASS A        CL A         38259P508      316         1,000   SH            Defined   1                            1,000
GRANT PRIDECO INC         COM          38821G101   10,163       250,000   SH            Sole                    250,000
GULFMARK OFFSHORE INC     COM          402629109    4,518       140,000   SH            Sole                    140,000
GULFMARK OFFSHORE INC     COM          402629109      113         3,500   SH            Sole                      3,500
GULFMARK OFFSHORE INC     COM          402629109      645        20,000   SH            Sole                     20,000
HCC INS HLDGS INC         COM          404132102      713        25,000   SH            Sole                     25,000
HAEMONETICS CORP MASS     COM          405024100      475        10,000   SH            Sole                     10,000
HALLIBURTON CO            COM          406216101    6,167        90,000   SH            Sole                     90,000
HALLIBURTON CO            COM          406216101      171         2,500   SH            Sole                      2,500
HALLIBURTON CO            COM          406216101      685        10,000   SH            Sole                     10,000
HARRIS CORP               COM          413875105      314         7,500   SH            Sole                      7,500
HEALTHEXTRAS.COM          COM          422211102      214        10,000   SH            Sole                     10,000
HECLA MINING              COM          422704106      394        90,000   SH            Sole                     90,000
HECLA MINING              COM          422704106    1,226       280,000   SH            Sole                    280,000
HELMERICH & PAYNE         COM          423452101  157,054     2,565,000   SH            Sole                  2,565,000
HELMERICH & PAYNE         COM          423452101      906        15,000   SH            Sole                     15,000
HEWLETT PACKARD CO        COM          428236103      117         4,000   SH            Sole                      4,000
HOLOGIC INC               COM          436440101      231         4,000   SH            Sole                      4,000
HORNBECK OFFSHORE SV      COM          440543106    7,736       211,200   SH            Sole                    211,200
HORNBECK OFFSHORE SV      COM          440543106      256         7,000   SH            Sole                      7,000
HORNBECK OFFSHORE SV      COM          440543106      733        20,000   SH            Sole                     20,000
HUMANA INC                COM          444859102      383         8,000   SH            Sole                      8,000
ITT INDUSTRIES            COM          450911102      852         7,500   SH            Sole                      7,500
INTEL CORP                COM          458140100      283        11,500   SH            Defined   1                           11,500
INTEROIL CORP             COM          460951106    2,913       125,000   SH            Sole                    125,000
INTEROIL CORP             COM          460951106      117         5,000   SH            Sole                      5,000
INTUITIVE SURGICAL INC    COM NEW      46120E602      257         3,500   SH            Sole                      3,500
ISHARES MSCI              MSCI
 SINGAPORE FREE           SINGAPORE    464286673      160        20,000   SH            Sole                     20,000
ISHARES MSCI              MSCI
 SOUTH KOREA INDEX        S KOREA      464286772      395        10,000   SH            Sole                     10,000
ISHARES MSCI              MSCI
 JAPAN IDEX FD            JAPAN        464286848      183        15,000   SH            Sole                     15,000
ISHARES MSCI              MSCI
 JAPAN IDEX FD            JAPAN        464286848      122        10,000   SH            Sole                     10,000
I SHARES MSCI             MSCI
 HONG KONG INDEX          HONG KONG    464286871      272        20,000   SH            Sole                     20,000
ISHARES FTSE/XINHUA       FTSE
 CHINA 25                 XNHUA IDX    464287184      257         4,000   SH            Sole                      4,000
ISHARES TRUST             RUSSELL
 RUSSELL 200I             2000         464287655      100         1,500   SH            Sole                      1,500
JACOBS ENGINEERING
 GROUP INC                COM          469814107      674        10,000   SH            Sole                     10,000
JARDEN CORP               COM          471109108      616        15,000   SH            Sole                     15,000
JOY GLOBAL INC            COM          481165108    6,308       125,000   SH            Sole                    125,000
JOY GLOBAL INC            COM          481165108      252         5,000   SH            Sole                      5,000
KT CORP SPONS ADR_        SPON ADR     48268K101      169         7,500   SH            Sole                      7,500
KENDLE INTERNATIONAL INC  COM          48880L107      844        30,000   SH            Sole                     30,000
KOOKMIN BANK SP
 ADR 1 ADR RP 1SH         SPON ADR     50049M109    1,481        25,000   SH            Sole                     25,000
KOOKMIN BANK SP
 ADR 1 ADR RP 1SH         SPON ADR     50049M109      383         6,467   SH            Defined   2                            6,467
KROGER CO                 COM          501044101      515        25,000   SH            Sole                     25,000
LEHMAN BROTHERS
 HLDGS INC                COM          524908100      175         1,500   SH            Sole                      1,500
LEHMAN BROTHERS
 HLDGS INC                COM          524908100      582         5,000   SH            Sole                      5,000
LENNOX INTER-
 NATIONAL INC             COM          526107107      548        20,000   SH            Sole                     20,000
LO JACK CORP              COM          539451104      634        30,000   SH            Sole                     30,000
LOEWS CORP                COM          540424108      416         4,500   SH            Sole                      4,500
LOGITECH INTL
 S A SPON ADR             SPON ADR     541419107      815        20,000   SH            Sole                     20,000
LONE STAR
 TECHNOLOGIES INC         COM          542312103      111         2,000   SH            Sole                      2,000
LONE STAR
 TECHNOLOGIES INC         COM          542312103      556        10,000   SH            Sole                     10,000
MARATHON OIL CORP         COM          565849106    7,582       110,000   SH            Sole                    110,000
MARATHON OIL CORP         COM          565849106      345         5,000   SH            Defined   1                            5,000
MARTIN MARIETTA
 MATERIALS                COM          573284106    5,885        75,000   SH            Sole                     75,000
MCDERMOTT INTNATL INC     COM          580037109    7,322       200,000   SH            Sole                    200,000
MERIDIAN BIOSCIENCE INC   COM          589584101      466        22,500   SH            Sole                     22,500
MERIDIAN GOLD INC         COM          589975101    4,141       189,000   SH            Sole                    189,000
MERIDIAN GOLD INC         COM          589975101    7,384       337,000   SH            Sole                    337,000
MICROSOFT CORP            COM          594918104      566        22,000   SH            Defined   1                           22,000
MITSUBISHI UFJ
 FINANCIAL GROUP          SPON ADR     606816106      261        20,000   SH            Sole                     20,000
MOBILE TELE-
 SYSTEMS SPON ADR         SPON ADR     607409109   42,020     1,032,934   SH            Defined   2                        1,032,934
MOBILE MINI INC           COM          60740F105      650        15,000   SH            Sole                     15,000
MOTOROLA INC              COM          620076109      353        16,000   SH            Sole                     16,000
MOTOROLA INC              COM          620076109      884        40,000   SH            Sole                     40,000
NS GROUP INC              COM          628916108    5,103       130,000   SH            Sole                    130,000
NASDAQ 100 SHARES         UNIT SER 1   631100104       99         2,500   SH            Sole                      2,500
NATIONAL FINANCIAL
 PARTNERS                 COM          63607P208       90         2,000   SH            Sole                      2,000
NATIONAL FINANCIAL
 PARTNERS                 COM          63607P208      451        10,000   SH            Sole                     10,000
NATIONAL
 OILWELL VARCO INC        COM          637071101    6,580       100,000   SH            Sole                    100,000
NETEASE.COM
 INC ADR                  SPON ADR     64110W102      675         7,500   SH            Sole                      7,500
NETGEAR INC               COM          64111Q104       96         4,000   SH            Sole                      4,000
NEWMONT MINING CORP       COM          651639106    2,594        55,000   SH            Sole                     55,000
NEWMONT MINING CORP       COM          651639106    4,717       100,000   SH            Sole                    100,000
NEWMONT MINING CORP       COM          651639106      307         6,500   SH            Defined   1                            6,500
C/O NEWMONT
 MINING JAN0040.00        CALL OPTN    6516392AH       41            50   SH     CALL   Sole                         50
C/O NEWMONT MINING
 JAN0040.00               CALL OPTN    6516392AH      122           150   SH     CALL   Sole                        150
NOBLE AFFILIATES INC      COM          655044105      657        14,000   SH            Sole                     14,000
NORDSTROM INC             COM          655664100      172         5,000   SH            Sole                      5,000
NORTHROP GRUNMAN CORP     COM          666807102      435         8,000   SH            Defined   1                            8,000
NOVARTIS AG SPON ADR      SPON ADR     66987V109      342         6,700   SH            Defined   1                            6,700
NVIDIA CORP               COM          67066G104      857        25,000   SH            Sole                     25,000
NUVEEN INVESTMENTS        CL A         67090F106      591        15,000   SH            Sole                     15,000
OIL STATES
 INTERNATIONAL INC        COM          678026105    4,902       135,000   SH            Sole                    135,000
OIL STATES
 INTERNATIONAL INC        COM          678026105      726        20,000   SH            Sole                     20,000
OMNICARE INC              COM          681904108       84         1,500   SH            Sole                      1,500
VIMPEL COMMUNICATIONS
 SPON ADR                 SPON ADR     68370R109   43,822       986,101   SH            Defined   2                          986,101
POSCO SPONSORED ADR       SPON ADR     693483109       96         1,705   SH            Defined   2                            1,705
PSS WORLD MEDICAL INC     COM          69366A100      334        25,000   SH            Sole                     25,000
PACIFIC RIM MNG
 CORP_/CANADIAN/          COM          694915208       87       100,000   SH            Sole                    100,000
PACIFIC RIM MNG
 CORP_/CANADIAN/          COM          694915208      268       308,187   SH            Sole                    308,187
PAN AMERICAN
 SILVER CORP              COM          697900108      177        10,000   SH            Sole                     10,000
PARLUX FRAGRANCES INC     COM          701645103      437        15,000   SH            Sole                     15,000
PARTNERS TRUST
 FINANCIAL GRP            COM          70213F102      346        30,000   SH            Sole                     30,000
PATTERSON UTI
 ENERGY INC               COM          703481101    4,330       120,000   SH            Sole                    120,000
PATTERSON UTI
 ENERGY INC               COM          703481101      253         7,000   SH            Sole                      7,000
PATTERSON UTI
 ENERGY INC               COM          703481101      902        25,000   SH            Sole                     25,000
PEABODY ENERGY            COM          704549104    4,218        50,000   SH            Sole                     50,000
PEPSICO INC               COM          713448108      170         3,000   SH            Sole                      3,000
PETRO CANADA              COM          71644E102    7,929       190,000   SH            Sole                    190,000
PETRO CANADA              COM          71644E102      309         7,400   SH            Defined   1                            7,400
PETROCHINA CO
 LTD ADR                  SPON ADR     71646E100    7,086        85,000   SH            Sole                     85,000
PETROCHINA CO
 LTD ADR                  SPON ADR     71646E100    1,000        12,000   SH            Sole                     12,000
PETROBRAS SPON-
 SORED ADR                SPON ADR     71654V101   19,125       300,000   SH            Sole                    300,000
PETROBRAS SPON-
 SORED ADR                SPON ADR     71654V101      819        12,843   SH            Defined   2                           12,843
PLACER DOME INC           COM          725906101      429        25,000   SH            Sole                     25,000
PLACER DOME INC           COM          725906101    3,884       226,500   SH            Sole                    226,500
C/O PLACER DOME
    JAN 0017.50           CALL OPTN    7259062AW       15            50   SH     CALL   Sole                         50
C/O PLACER DOME
    JAN 0017.50           CALL OPTN    7259062AW       60           200   SH     CALL   Sole                        200
C/O PLACER DOME
 JAN 08                   CALL OPTN    7259069AE        9           700   SH     CALL   Sole                        700
C/O PLACER DOME
 JAN 08                   CALL OPTN    7259069AE        6           500   SH     CALL   Sole                        500
C/O PLACER DOME
 JAN 08                   CALL OPTN    7259069AE       45         3,610   SH     CALL   Sole                      3,610
PRECISION CAST PARTS      COM          740189105      319         6,000   SH            Sole                      6,000
PROASSURANCE
 CORPORATION              COM          74267C106      210         4,500   SH            Sole                      4,500
PROASSURANCE
 CORPORATION              COM          74267C106      467        10,000   SH            Sole                     10,000
PROCTOR & GAMBLE CO       COM          742718109      434         7,300   SH            Defined   1                            7,300
PROGRESS SOFTWARE CORP    COM          743312100      222         7,000   SH            Sole                      7,000
QUALITY SYSTEMS INC       COM          747582104      242         3,500   SH            Sole                      3,500
QUESTAR CORP              COM          748356102    8,812       100,000   SH            Sole                    100,000
QUESTAR CORP              COM          748356102      397         4,500   SH            Sole                      4,500
QUESTAR CORP              COM          748356102      881        10,000   SH            Sole                     10,000
RADIATION THERAPY
 SERVICES INC             COM          750323206      637        20,000   SH            Sole                     20,000
RANGOLD RESOURCES
 LTD ADR                  SPON ADR     752344309      314        20,000   SH            Sole                     20,000
RANGOLD RESOURCES
 LTD ADR                  SPON ADR     752344309    3,688       234,630   SH            Sole                    234,630
RANGOLD RESOURCES
 LTD ADR                  SPON ADR     752344309    7,692       489,325   SH            Sole                    489,325
RAYONIER INC              COM          754907103      230         4,000   SH            Sole                      4,000
REGAL BELOIT CORP         COM          758750103      649        20,000   SH            Sole                     20,000
RESMED INC                COM          761152107      119         1,500   SH            Sole                      1,500
RESMED INC                COM          761152107      597         7,500   SH            Sole                      7,500
RESPIRONICS INC           COM          761230101      190         4,500   SH            Sole                      4,500
RESPIRONICS INC           COM          761230101      422        10,000   SH            Sole                     10,000
ROWAN COMPANIES           COM          779382100    7,453       210,000   SH            Sole                    210,000
ROYAL GOLD INC            COM          780287108    2,929       109,000   SH            Sole                    109,000
ROYAL GOLD INC            COM          780287108      134         5,000   SH            Sole                      5,000
SK TELECOM LTD
 SPONSORED ADR            SPON ADR     78440P108       64         2,934   SH            Defined   2                            2,934
S & P 500
 DEPOSITARY RECEIPTS      UNIT SER 1   78462F103      123         1,000   SH            Sole                      1,000
SPSS INC                  COM          78462K102      480        20,000   SH            Sole                     20,000
SAN JUAN BASIN
 RTY TR UBI               UNIT TR      798241105    8,296       170,000   SH            Sole                    170,000
SAN JUAN BASIN
 RTY TR UBI               UNIT TR      798241105      195         4,000   SH            Sole                      4,000
SANDISK CORP              COM          80004C101      386         8,000   SH            Sole                      8,000
SANOFI-AVENTIS ADR        SPON ADR     80105N105      312         7,500   SH            Defined   1                            7,500
SASOL LTD SPONS ADR       SPON ADR     803866300    3,869       100,000   SH            Sole                    100,000
SASOL LTD SPONS ADR       SPON ADR     803866300      314         8,105   SH            Defined   2                            8,105
SCHLUMBERGER LTD          COM          806857108    3,797        45,000   SH            Sole                     45,000
SCHLUMBERGER LTD          COM          806857108      338         4,000   SH            Defined   1                            4,000
SCHWAB /CHARLES/ CORP     COM          808513105      202        14,000   SH            Sole                     14,000
SCHWAB /CHARLES/ CORP     COM          808513105      505        35,000   SH            Sole                     35,000
SCIENTIFIC ATLANTA INC    COM          808655104      375        10,000   SH            Sole                     10,000
P/O ENERGY SELECT
 40 JAN07                 PUT OPTION   8159258MN      253         2,300   SH     PUT    Sole                      2,300
SIMON PROPERTY
 GROUP INC                COM          828806109      111         1,500   SH            Sole                      1,500
SIMON PROPERTY
 GROUP INC                COM          828806109      741        10,000   SH            Sole                     10,000
SOUTHWESTERN ENERGY CO    COM          845467109   12,111       165,000   SH            Sole                    165,000
STONE ENERGY CORP         COM          861642106      916        15,000   SH            Sole                     15,000
STREETTRACKS
 GOLD TRUST               GOLD SHS     863307104    1,401        30,000   SH            Sole                     30,000
STREETTRACKS
 GOLD TRUST               GOLD SHS     863307104      234         5,000   SH            Sole                      5,000
STREETTRACKS
 GOLD TRUST               GOLD SHS     863307104      701        15,000   SH            Sole                     15,000
SUNCOR ENERGY INC         COM          867229106   10,290       170,000   SH            Sole                    170,000
SUNCOR ENERGY INC         COM          867229106      412         6,800   SH            Defined   1                            6,800
SUNOCO INC                COM          86764P109   15,640       200,000   SH            Sole                    200,000
SYBASE INC                COM          871130100    1,054        45,000   SH            Sole                     45,000
SYMBION INC               COM          871507109      517        20,000   SH            Sole                     20,000
TXU CORPORATION           COM          873168108      226         2,000   SH            Sole                      2,000
TXU CORPORATION           COM          873168108      847         7,500   SH            Sole                      7,500
TAIWAN SEMICONDUCTOR
 SPON ADR                 SPON ADR     874039100      121        14,774   SH            Defined   2                           14,774
TECHNE CORP               COM          878377100      712        12,500   SH            Sole                     12,500
TELEFLEX INC              COM          879369106      353         5,000   SH            Sole                      5,000
TELEFLEX INC              COM          879369106    1,058        15,000   SH            Sole                     15,000
TESORO CORP               COM          881609101   13,448       200,000   SH            Sole                    200,000
P/O TESORO CORP
    OCT 0060.00           PUT OPTION   8816099VL       18           400   SH     PUT    Sole                        400
TEVA PHARMACEUTICAL
 IND SPON ADR             SPON ADR     881624209      434        13,000   SH            Defined   1                           13,000
TEXAS INDUSTRIES          COM          882491103    4,352        80,000   SH            Sole                     80,000
TEXAS INDUSTRIES          COM          882491103      408         7,500   SH            Sole                      7,500
TEXAS INSTUMENTS INC      COM          882508104      339        10,000   SH            Sole                     10,000
TEXAS INSTUMENTS INC      COM          882508104      319         9,400   SH            Defined   1                            9,400
TODCO CLASS A             CL A         88889T107    9,416       225,750   SH            Sole                    225,750
TOYOTA MOTOR CORP ADR     SP ADR
                          REP2COM      892331307      277         3,000   SH            Sole                      3,000
TOYOTA MOTOR CORP ADR     SP ADR
                          REP2COM      892331307      323         3,500   SH            Defined   1                            3,500
TRAMMELL CROW CO          COM          89288R106      494        20,000   SH            Sole                     20,000
TRINITY INDUSTRIES INC    COM          896522109      243         6,000   SH            Sole                      6,000
TRIZETTO GROUP INC        COM          896882107       99         7,000   SH            Sole                      7,000
ULTIMATE SOFTWARE
 GROUP INC                COM          90385D107      368        20,000   SH            Sole                     20,000
UNITED AUTO GROUP INC     COM          909440109      330        10,000   SH            Sole                     10,000
UNITED NATURAL FOODS      COM          911163103      159         4,500   SH            Sole                      4,500
U STORE IT TRUST          COM          91274F104      152         7,500   SH            Sole                      7,500
UNITED THERAPEUTICS
 CORP DEL                 COM          91307C102      698        10,000   SH            Sole                     10,000
UNITEDHEALTH GROUP INC    COM          91324P102      337         6,000   SH            Sole                      6,000
UNITEDHEALTH GROUP INC    COM          91324P102      337         6,000   SH            Defined   1                            6,000
VALERO REFNG &
 MARKETING CO             COM          91913Y100   18,090       160,000   SH            Sole                    160,000
VALERO REFNG
 & MARKETING CO           COM          91913Y100      396         3,500   SH            Sole                      3,500
P/O VALERO ENERGY
  OCT 0100.00             PUT OPTION   91913Y9VT       24           600   SH     PUT    Sole                        600
VERITAS DGC INC           COM          92343P107    5,859       160,000   SH            Sole                    160,000
VIASYS HEALTHCARE INC     COM          92553Q209      625        25,000   SH            Sole                     25,000
VINTAGE PETROLEUM INC     COM          927460105    6,169       135,100   SH            Sole                    135,100
WARREN RESOURCES INC      COM          93564A100    3,350       200,000   SH            Sole                    200,000
WASHINGTON POST CO CL B   CL B         939640108      389           485   SH            Defined   1                              485
WEBSIDESTORY              COM          947685103      354        20,000   SH            Sole                     20,000
WEBMD CORP                COM          94769M105      222        20,000   SH            Sole                     20,000
WEBMD CORP                COM          94769M105      332        30,000   SH            Sole                     30,000
WELLCHOICE INC            COM          949475107      759        10,000   SH            Sole                     10,000
WELLS FARGO & COMPANY     COM          949746101      539         9,200   SH            Defined   1                            9,200
WEST CORPORATION          COM          952355105      374        10,000   SH            Sole                     10,000
WESTERN GAS RESOURCE      COM          958259103    5,891       115,000   SH            Sole                    115,000
WYETH                     COM          983024100      139         3,000   SH            Sole                      3,000
XTO ENERGY INC            COM          98385X106    4,759       105,000   SH            Sole                    105,000
XTO ENERGY INC            COM          98385X106      227         5,000   SH            Sole                      5,000
YAHOO INC                 COM          984332106      355        10,500   SH            Defined   1                           10,500
ZIONS BANCORP             COM          989701107      534         7,500   SH            Sole                      7,500