UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

                   Report for the Quarter Ended: December 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
            ------------------
            Susan B. McGee, President
            San Antonio, TX
            February 13, 2006

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: 384
Form 13F Information Table Value Total: $646,428 (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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            

ADOBE SYS INC                    COM               00724F101    739      20,000  SH           Sole                    20,000
ADVANCED MICRO DEVICES           COM               007903107    367      12,000  SH           Sole                    12,000
ADVANCED MICRO DEVICES           COM               007903107    459      15,000  SH           Sole                    15,000
AETNA US HEALTHCARE              COM               00817Y108    472       5,000  SH           Sole                     5,000
AFFILIATED MANAGERS GROUP INC    COM               008252108    602       7,500  SH           Sole                     7,500
AGNICO EAGLE MINES LTD WT        *W EXP 11/07/2007 2064952       66      15,000  SH           Sole                    15,000
AGNICO EAGLE MINES LTD WT        *W EXP 11/07/2007 2064952      975     221,100  SH           Sole                   221,100
AGNICO EAGLE MINES LTD WT        *W EXP 11/07/2007 2064952    2,716     615,900  SH           Sole                   615,900
AGNICO EAGLE MINES WT 11/14/07   *W EXP 11/07/2007 08474132      28       6,200  SH           Sole                     6,200
AIR PRODUCTS & CHEMICAL          COM               009158106    249       4,200  SH           Defined   1                      4,200
ALCAN INC                        COM               013716105  8,190     200,000  SH           Sole                   200,000
ALCOA INC                        COM               013817101  5,914     200,000  SH           Sole                   200,000
ALERIS INTERNATIONAL INC         COM               014477103    645      20,000  SH           Sole                    20,000
ALKERMES INC                     COM               01642T108    860      45,000  SH           Sole                    45,000
ALLERGAN INC                     COM               018490102    324       3,000  SH           Defined   1                      3,000
AMAZON.COM INC                   COM               023135106    330       7,000  SH           Defined   1                      7,000
AMERICAN EXPRESS                 COM               025816109    427       8,300  SH           Defined   1                      8,300
AMERICAN INTERNATIONAL GROUP     COM               026874107    225       3,300  SH           Defined   1                      3,300
AMERICAN RETIREMENT CORP         COM               028913101    188       7,500  SH           Sole                     7,500
AMYLIN PHARMACEUTICALS INC       COM               032346108    180       4,500  SH           Sole                     4,500
AMYLIN PHARMACEUTICALS INC       COM               032346108    399      10,000  SH           Defined        1                10,000
ANNTAYLOR STORES CORP            COM               036115103    690      20,000  SH           Sole                    20,000
AON CORP                         COM               037389103    539      15,000  SH           Sole                    15,000
APPLE COMPUTER INC               COM               037833100    431       6,000  SH           Sole                     6,000
AQUANTIVE INC                    COM               03839G105    303      12,000  SH           Sole                    12,000
ARCH COAL INC                    COM               039380100  8,745     110,000  SH           Sole                   110,000
ARENA RESOURCES INC              COM               040049108    483      17,500  SH           Sole                    17,500
ASA BERMUDA LTD                  COM               G3156P103  6,326     115,000  SH           Sole                   115,000
ASA BERMUDA LTD                  COM               G3156P103     55       1,000  SH           Sole                     1,000
ASPECT MEDICAL SYSTEMS INC       COM               045235108    515      15,000  SH           Sole                    15,000
ATLAS AMERICA INC                COM               049167109     90       1,500  SH           Sole                     1,500
AU OPTRONICS CORP ADR SPON       ADR               002255107    751      50,000  SH           Sole                    50,000
BARR PHARMACEUTICALS INC         COM               068306109     623     10,000  SH           Sole                    10,000
BARRICK GOLD CORPORATION         COM               067901108     557     20,000  SH           Sole                    20,000
BARRICK GOLD CORPORATION         COM               067901108   1,394     50,000  SH           Sole                    50,000
BASIC ENERGY SERVICES INC        COM               06985P100     200     10,000  SH           Sole                    10,000
BASIC ENERGY SERVICES INC        COM               06985P100     100      5,000  SH           Sole                     5,000
BERKLEY /W R/ CORP               COM               084423102     476     10,000  SH           Sole                    10,000
BERKSHIRE HATHAWAY INC CL B      CL B              084670207     690        235  SH           Defined        1                   235
BIOTECH HOLDERS TR DEP RCPTS     DEP RCPTS         09067D201     201      1,000  SH           Sole                     1,000
BLUE COAT SYSTEMS INC            COM               09534T508     686     15,000  SH           Sole                    15,000
BLUE NILE INC                    COM               09578R103     181      4,500  SH           Sole                     4,500
BORG WARNER AUTOMOTIVE INC       COM               099724106     606     10,000  SH           Sole                    10,000
BRIGHTPOINT INC                  COM               109473405     832     30,000  SH           Sole                    30,000
BROADCOM CORP                    CL A              111320107     236      5,000  SH           Sole                     5,000
BROWN & BROWN INC                COM               115236101     183      6,000  SH           Sole                     6,000
BROWN SHOE COMPANY INC           COM               115736100     170      4,000  SH           Sole                     4,000
BURLINGTON NORTH SANTA FE CORP   COM               12189T104     425      6,000  SH           Sole                     6,000
C/O DOW CHEM CO    JAN 0045.00   CALL              2605432AI     410      1,000  SH     CALL  Sole                     1,000
C/O FREEPORT MCMOR JAN 0040.00   CALL              35671D5AH     145        100  SH     CALL  Sole                       100
C/O FREEPORT MCMOR JAN 0040.00   CALL              35671D5AH     290        200  SH     CALL  Sole                       200
C/O HARMONY GOLD JAN 08 17.5     CALL              4132169AW     130        500  SH     CALL  Sole                       500
C/O INCO LTD       JAN 0050.00   CALL              4532582AJ     217        571  SH     CALL  Sole                       571
C/O LYONDELL CHEM  JAN 0030.00   CALL              5520782AF     203      1,500  SH     CALL  Sole                     1,500
C/O OIL SVC HOLDER JAN 0110.00   CALL              6780022AB   4,658      1,563  SH     CALL  Sole                     1,563
C/O PEABODY ENERGY JAN 0070.00   CALL              7045492AN   2,280      1,000  SH     CALL  Sole                     1,000
C/O PLACER DOME    JAN 0017.50   CALL              7259062AW      29         50  SH     CALL  Sole                        50
C/O PLACER DOME    JAN 0017.50   CALL              7259062AW     116        200  SH     CALL  Sole                       200
C/O PLACER DOME IN JUN 0015.00   CALL              7259069FC     398        500  SH     CALL  Sole                       500
C/O PLACER DOME IN JUN 0015.00   CALL              7259069FC   1,113      1,400  SH     CALL  Sole                     1,400
C/O PLACER DOME JAN 08           CALL              7259069AE       3        500  SH     CALL  Sole                       500
C/O PLACER DOME JAN 08           CALL              7259069AE      18      3,610  SH     CALL  Sole                     3,610
C/O SECTOR SPDR-EN JAN 0045.00   CALL              81369Y0AS     570      1,000  SH     CALL  Sole                     1,000
C/O TESORO CORP LG JAN 0050.00   CALL              8816095AJ   1,088        500  SH     CALL  Sole                       500
C/O TRANSOCEAN 60.00 JAN 2008    CALL              G900789AL   2,070      1,000  SH     CALL  Sole                     1,000
CACI INTNATL INC CL A            CL A              127190304     316      5,500  SH           Defined        1                 5,500
CAL DIVE INTL INC                COM               127914109   2,871     80,000  SH           Sole                    80,000
CAL DIVE INTL INC                COM               127914109     179      5,000  SH           Sole                     5,000
CAL DIVE INTL INC                COM               127914109     718     20,000  SH           Sole                    20,000
CAMBIOR INC                      COM               13201L103     337    120,400  SH           Sole                   120,400
CAMBIOR INC                      COM               13201L103     490    175,000  SH           Sole                   175,000
CANON INC ADR                    ADR               138006309     265      4,500  SH           Sole                     4,500
CARDINAL HEALTH                  COM               14149Y108     344      5,000  SH           Sole                     5,000
CARRIZO OIL & GAS INC            COM               144577103   4,638    187,700  SH           Sole                   187,700
CELADON GROUP INC                COM               150838100     576     20,000  SH           Sole                    20,000
CENTRAL EUROPEAN DISTR CORP      COM               153435102     203      5,057  SH           Defined        2                 5,057
CENTRAL EUROPEAN DISTR CORP      COM               153435102      76      1,901  SH           Defined        2                 1,901
CERNER CORP                      COM               156782104     227      2,500  SH           Defined        1                 2,500
CHARLES & COLVARD LTD            COM               159765106     202     10,000  SH           Sole                    10,000
CHEVRON CORP                     COM               166764100     312      5,500  SH           Defined        1                 5,500
CHICO FAS INC                    COM               168615102     549     12,500  SH           Sole                    12,500
CHOICE HOTELS INTL INC           COM               169905106     251      6,000  SH           Sole                     6,000
CIRCUIT CITY STORES INC          COM               172737108     452     20,000  SH           Sole                    20,000
CITI TRENDS INC                  COM               17306X102     640     15,000  SH           Sole                    15,000
CITIGROUP INC                    COM               172967101     315      6,500  SH           Defined        1                 6,500
CLAIRES STORES INC               COM               179584107     511     17,500  SH           Sole                    17,500
CLEVELAND CLIFFS INC             COM               185896107     177      2,000  SH           Sole                     2,000
CNOOC LTD ADR                    SPON ADR          126132109     510      7,500  SH           Sole                     7,500
COCA COLA CO COM                 COM               191216100     391      9,700  SH           Defined        1                 9,700
COEUR D ALENE MINES CORP         COM               192108108     400    100,000  SH           Sole                   100,000
COEUR D ALENE MINES CORP         COM               192108108     600    150,000  SH           Sole                   150,000
CONOCOPHILLIPS                   COM               20825C104   8,727    150,000  SH           Sole                   150,000
CONSOL ENERGY INC                COM               20854P109   8,473    130,000  SH           Sole                   130,000
CONSOL ENERGY INC                COM               20854P109      42        640  SH           Sole                       640
CPFL ENERGIA SA ADR              SPON ADR          126153105     523     15,000  SH           Sole                    15,000
CVS CORP                         COM               126650100     272     10,300  SH           Defined        1                10,300
DIAMOND OFFSHORE DRILLING INC    COM               25271C102   6,956    100,000  SH           Sole                   100,000
DIGITAL INSIGHT                  COM               25385P106     288      9,000  SH           Sole                     9,000
DIGITAL INSIGHT                  COM               25385P106     961     30,000  SH           Sole                    30,000
DR HORTON INC                    COM               23331A109     536     15,000  SH           Sole                    15,000
DRDGOLD LIMITED SPONSORED ADR    SPON ADR          26152H103     144    100,000  SH           Sole                   100,000
DRESS BARN INC                   COM               261570105     154      4,000  SH           Sole                     4,000
DRESS BARN INC                   COM               261570105     386     10,000  SH           Sole                    10,000
DU PONT (EI) DE NEMOURS          COM               263534109   3,188     75,000  SH           Sole                    75,000
E M C CORP MASS                  COM               268648102     204     15,000  SH           Sole                    15,000
E TRADE FINANCIAL CORPORATION    COM               269246104     313     15,000  SH           Sole                    15,000
E TRADE FINANCIAL CORPORATION    COM               269246104     939     45,000  SH           Sole                    45,000
EBAY INC                         COM               278642103     260      6,000  SH           Defined        1                 6,000
EDGE PETROLEUM CORP              COM               279862106     623     25,000  SH           Sole                    25,000
EDISON INTERNATIONAL             COM               281020107     196      4,500  SH           Sole                     4,500
ELECTRONIC ARTS INC              COM               285512109     492      9,400  SH           Defined        1                 9,400
ELECTRONICS FOR IMAGING INC      COM               286082102     532     20,000  SH           Sole                    20,000
ENCANA CORP                      COM               292505104   6,322    140,000  SH           Sole                   140,000
ENCANA CORP                      COM               292505104     294      6,500  SH           Defined        1                 6,500
ENDO PHARMACEUTICALS HLDGS INC   COM               29264F205     605     20,000  SH           Sole                    20,000
ENERPLUS RESOURCES FUND          UNIT TR G         29274D604   3,838     80,000  SH           Sole                    80,000
ENSCO INTERNATIONAL INC          COM               26874Q100      89      2,000  SH           Sole                     2,000
EXELON CORPORATION               COM               30161N101     213      4,000  SH           Defined        1                 4,000
EXPRESS SCRIPTS INC COMMON       COM               302182100     168      2,000  SH           Sole                     2,000
FEDERATED INVESTORS INC CL B     CL B              314211103     556     15,000  SH           Sole                    15,000
FLORIDA ROCK INDUSTRIES          COM               341140101     981     20,000  SH           Sole                    20,000
FLORIDA ROCK INDUSTRIES          COM               341140101     515     10,500  SH           Sole                    10,500
FOCUS MEDIA HOLDING ADS          SPON ADR          34415V109     507     15,000  SH           Sole                    15,000
FOCUS MEDIA HOLDING ADS          SPON ADR          34415V109     675     20,000  SH           Sole                    20,000
FORDING CANADIAN COAL TRUST      TR UNIT           345425102   2,420     70,000  SH           Sole                    70,000
FORWARD AIR CORPORATION          COM               349853101     733     20,000  SH           Sole                    20,000
FPL GROUP                        COM               302571104     457     11,000  SH           Defined        1                11,000
FRANKLIN RESOURCES INC           COM               354613101     376      4,000  SH           Sole                     4,000
FREEPORT MCMORAN COPPER & GOLD B CL B              35671D857   5,380    100,000  SH           Sole                   100,000
FREEPORT MCMORAN COPPER & GOLD B CL B              35671D857   3,831     71,200  SH           Sole                    71,200
FTI CONSULTING INC               COM               302941109     549     20,000  SH           Sole                    20,000
GENENTECH INC                    COM               368710406     305      3,300  SH           Defined        1                 3,300
GENERAL ELECTRIC CO              COM               369604103     245      7,000  SH           Sole                     7,000
GENERAL ELECTRIC CO              COM               369604103     315      9,000  SH           Defined        1                 9,000
GENESEE & WYOMING INC CL A       CL A              371559105     939     25,000  SH           Sole                    25,000
GILDAN ACTIVEWEAR SUB VTG CL A   COM               375916103     214      5,000  SH           Sole                     5,000
GLAMIS GOLD LTD                  COM               376775102     412     15,000  SH           Sole                    15,000
GLAMIS GOLD LTD                  COM               376775102     687     25,000  SH           Sole                    25,000
GLOBAL INDUSTRIES LTD            COM               379336100   3,405    300,000  SH           Sole                   300,000
GLOBAL PAYMENTS INC              COM               37940X102     210      4,500  SH           Sole                     4,500
GLOBALSANTAFE CORP               SHS               G3930E101   4,093     85,000  SH           Sole                    85,000
GOLD FIELDS LTD SPON ADR         SPON ADR          38059T106   1,058     60,000  SH           Sole                    60,000
GOLD FIELDS LTD SPON ADR         SPON ADR          38059T106   3,984    226,000  SH           Sole                   226,000
GOLD FIELDS LTD SPON ADR         SPON ADR          38059T106   5,483    311,000  SH           Sole                   311,000
GOLD RESERVE INC CL A            CL A              38068N108      87     30,000  SH           Sole                    30,000
GOLDCORP INC                     COM               380956409     446     20,000  SH           Sole                    20,000
GOODRICH PETROLEUM CORP          COM               382410405   9,557    380,000  SH           Sole                   380,000
GOOGLE INC CLASS A               CL A              38259P508     415      1,000  SH           Sole                     1,000
GOOGLE INC CLASS A               CL A              38259P508     290        700  SH           Defined        1                   700
GRANT PRIDECO INC                COM               38821G101  11,912    270,000  SH           Sole                    270,000
GREAT BASIN GOLD LTD             COM               390124105      31     19,700  SH           Sole                     19,700
GREENHILL & CO INC               COM               395259104     562     10,000  SH           Sole                     10,000
GRUPO TELEVISA SA DE ADR         SPON ADR          40049J206     604      7,500  SH           Sole                      7,500
GULFMARK OFFSHORE INC            COM               402629109   4,147    140,000  SH           Sole                    140,000
HAEMONETICS CORP MASS            COM               405024100     733     15,000  SH           Sole                     15,000
HALLIBURTON CO                   COM               406216101   7,435    120,000  SH           Sole                    120,000
HALLIBURTON CO                   COM               406216101     211      3,400  SH           Defined        1                 3,400
HARMONY GOLD MINING SPON ADR     ADR               413216300   1,827    140,000  SH           Sole                    140,000
HARVEST ENERGY                   TRUST UNIT        41752X101      45      1,200  SH           Sole                              1200
HARVEST ENERGY                   TRUST UNIT        41752X101      45      1,200  SH           Sole                      1,200
HECLA MINING                     COM               422704106     365     90,000  SH           Sole                     90,000
HECLA MINING                     COM               422704106   1,137    280,000  SH           Sole                    280,000
HELMERICH & PAYNE                COM               423452101   4,024     65,000  SH           Sole                     65,000
HEWLETT PACKARD CO               COM               428236103     115      4,000  SH           Sole                      4,000
HOLOGIC INC                      COM               436440101     379     10,000  SH           Sole                     10,000
HORNBECK OFFSHORE SV             COM               440543106   7,521    230,000  SH           Sole                    230,000
I SHARES DJ US ENERGY TRUST      DJ US ENERGY      464287796      26        300  SH           Sole                               300
I SHARES MSCI JAPAN IDEX FD      MSCI JAPAN        464286848     338     25,000  SH           Sole                     25,000
I SHARES MSCI JAPAN IDEX FD      MSCI JAPAN        464286848     203     15,000  SH           Sole                     15,000
I SHARES MSCI JAPAN IDEX FD      MSCI JAPAN        464286848     473     35,000  SH           Sole                     35,000
I SHARES MSCI SINGAPORE FREE     MSCI SINGAPORE    464286673     158     20,000  SH           Sole                     20,000
I SHARES MSCI SOUTH KOREA INDEX  MSCI S KOREA      464286772     448     10,000  SH           Sole                     10,000
I SHARES TAIWAN WEBS INDEX       MSCI TAIWAN       464286731     437     35,000  SH           Sole                     35,000
IMATION CORPORATION              COM               45245A107     691     15,000  SH           Sole                     15,000
INTEL CORP                       COM               458140100     287     11,500  SH           Defined        1         11,500
INTERGRAPH CORP                  COM               458683109     299      6,000  SH           Sole                      6,000
INTERSIL CORPORATION             CL A              46069S109     498     20,000  SH           Sole                     20,000
INTUITIVE SURGICAL INC           COM               46120E602     410      3,500  SH           Sole                      3,500
IRON MOUNTAIN INC                COM               462846106     211      5,000  SH           Sole                      5,000
IVANHOE MINES LTD                COM               46579N103     537     75,000  SH           Sole                     75,000
JABIL CIRCUIT INC                COM               466313103     278      7,500  SH           Sole                      7,500
JACOBS ENGINEERING GROUP INC     COM               469814107     679     10,000  SH           Sole                     10,000
JLG INDS INC                     COM               466210101     342      7,500  SH           Sole                      7,500
JOY GLOBAL INC                   COM               481165108   6,800    170,000  SH           Sole                    170,000
JPMORGAN CHASE & CO              COM               46625H100     298      7,500  SH           Sole                      7,500
KENDLE INTERNATIONAL INC         COM               48880L107     772     30,000  SH           Sole                     30,000
KENEXA CORP                      COM               488879107     422     20,000  SH           Sole                     20,000
KOOKMIN BANK SP ADR 1 ADR RP 1SH SPON ADR          50049M109   1,494     20,000  SH           Sole                     20,000
KUBOTA CORP SPONSORED ADR        ADR               501173207     255      6,000  SH           Sole                      6,000
LAMSON & SESSIONS CO             COM               513696104     626     25,000  SH           Sole                     25,000
LENNOX INTERNATIONAL INC         COM               526107107     564     20,000  SH           Sole                     20,000
LIFE TIMES FITNESS INC           COM               53217R207     571     15,000  SH           Sole                     15,000
LOEWS CORP                       COM               540424108     285      3,000  SH           Sole                      3,000
LOGITECH INTL S A SPON ADR       SPON ADR          541419107     935     20,000  SH           Sole                     20,000
MARTHA STEWART LIVING OMNI INC   CL A              573083102      87      5,000  SH           Sole                      5,000
MCDERMOTT INTNATL INC            COM               580037109  11,376    255,000  SH           Sole                    255,000
MCDERMOTT INTNATL INC            COM               580037109     201      4,500  SH           Sole                      4,500
MCDERMOTT INTNATL INC            COM               580037109     669     15,000  SH           Sole                     15,000
MERGE TECHNOLOGIES INC           COM               589981109     376     15,000  SH           Sole                     15,000
MERIDIAN GOLD INC                COM               589975101   4,133    189,000  SH           Sole                    189,000
MERIDIAN GOLD INC                COM               589975101   7,370    337,000  SH           Sole                    337,000
MICROSOFT CORP                   COM               594918104     575     22,000  SH           Defined        1                22,000
MITCHAM INDS INC                 COM               606501104     105      6,000  SH           Sole                      6,000
MITSUBISHI TOKYO FINAN ADR       SPON ADR          606822104     342     25,000  SH           Sole                     25,000
MOBILE TELESYSTEMS SPON ADR      SPON ADR          607409109  40,996  1,171,321  SH           Defined        2             1,171,321
MOTOROLA INC                     COM               620076109     361     16,000  SH           Sole                     16,000
MOTOROLA INC                     COM               620076109     904     40,000  SH           Sole                     40,000
M-SYSTEMS FLASH DISK PIONEERS    ORD               M7061C100     580     17,500  SH           Sole                     17,500
NABORS INDUSTRIES INC            SHS               G6359F103   6,060     80,000  SH           Sole                     80,000
NABORS INDUSTRIES INC            SHS               G6359F103     379      5,000  SH           Defined        1                 5,000
NASDAQ 100 SHARES                UNIT SER 1        631100104     162      4,000  SH           Sole                      4,000
NATIONAL FINANCIAL PARTNERS      COM               63607P208     105      2,000  SH           Sole                      2,000
NATIONAL FINANCIAL PARTNERS      COM               63607P208     526     10,000  SH           Sole                     10,000
NATIONAL OILWELL VARCO INC       COM               637071101  15,989    255,000  SH           Sole                    255,000
NATIONAL OILWELL VARCO INC       COM               637071101      38        600  SH           Sole                        600
NEWMONT MINING CORP              COM               651639106   2,937     55,000  SH           Sole                     55,000
NEWMONT MINING CORP              COM               651639106   5,340    100,000  SH           Sole                    100,000
NEWMONT MINING CORP              COM               651639106     347      6,500  SH           Defined        1                 6,500
NICE SYS LTD SPONSORED ADR       SPON ADR          653656108     482     10,000  SH           Sole                     10,000
NII HOLDINGS INC CL B            CL B              62913F201     655     15,000  SH           Sole                     15,000
NOBLE DRILLING CORP              SHS               G65422100     705     10,000  SH           Sole                     10,000
NOBLE DRILLING CORP              SHS               G65422100     282      4,000  SH           Defined        1                 4,000
NORTHERN ORION RESOURCES         COM               665575106     192     59,000  SH           Sole                     59,000
NORTHERN ORION RESOURCES         COM               665575106     362    111,400  SH           Sole                    111,400
NORTHERN ORION RESOURCES         COM               665575106     675    207,500  SH           Sole                    207,500
NORTHERN TRUST CORP              COM               665859104     518     10,000  SH           Sole                     10,000
NORTHROP GRUMMAN CORP            COM               666807102     481      8,000  SH           Defined        1                 8,000
NOVA CHEMICALS CORP              COM               66977W109   5,805    173,800  SH           Sole                    173,800
NOVARTIS AG SPON ADR             SPON ADR          66987V109     352      6,700  SH           Defined        1                 6,700
NUVEEN INVESTMENTS               CL A              67090F106     639     15,000  SH           Sole                     15,000
OIL STATES INTERNATIONAL INC     COM               678026105   5,861    185,000  SH           Sole                    185,000
OIL SVC HOLDRS TR                DEPOSTRY RCPT     678002106      39        600  SH           Sole                        600
OMNICARE INC                     COM               681904108   1,001     17,500  SH           Sole                     17,500
OMNICARE INC                     COM               681904108   1,001     17,500  SH           Sole                     17,500
ONEOK IN C                       COM               682680103   3,995    150,000  SH           Sole                    150,000
ONEOK IN C                       COM               682680103      40      1,500  SH           Sole                      1,500
OPEN TEXT CORP                   COM               683715106      95      6,700  SH           Sole                      6,700
OPTIONSXPRESS HOLDINGS INC       COM               684010101     123      5,000  SH           Sole                      5,000
P/O ENERGY SELECT 40 JAN07       PUT               8159258MN     118      1,000  SH     PUT   Sole                      1,000
P/O FREEPORT MCMOR FEB 0045.00   PUT               35671D8NI      25        500  SH     PUT   Sole                        500
P/O FREEPORT MCMOR FEB 0045.00   PUT               35671D8NI      38        750  SH     PUT   Sole                        750
P/O FREEPORT MCMOR JAN 0050.00   PUT               35671D8MJ      17        300  SH     PUT   Sole                        300
P/O FREEPORT MCMOR JAN 0050.00   PUT               35671D8MJ      19        350  SH     PUT   Sole                        350
P/O GLAMIS GOLD LT FEB 0020.00   PUT               3767759ND       6        400  SH     PUT   Sole                        400
P/O GOLD FIELDS APR 06 15_       PUT               38059T9PC      88      1,750  SH     PUT   Sole                      1,750
P/O GOLD FIELDS APR 06 15_       PUT               38059T9PC      38        750  SH     PUT   Sole                        750
P/O GOLDCORP INC   APR 0020.00   PUT               3809569PD      15        190  SH     PUT   Sole                        190
P/O GOLDCORP INC   APR 0020.00   PUT               3809569PD      32        400  SH     PUT   Sole                        400
P/O HARMONY GOLD FEB06 12.5      PUT               4132169NV      68      1,000  SH     PUT   Sole                      1,000
P/O MERIDIAN GOLD  APR 0017.50   PUT               5899759PW      19        500  SH     PUT   Sole                        500
P/O MERIDIAN GOLD  APR 0020.00   PUT               5899759PD      50        500  SH     PUT   Sole                        500
P/O NEWMONT MINING JUN 0045.00   PUT               6516399RI      50        500  SH     PUT   Sole                        500
P/O NEWMONT MINING JUN 0045.00   PUT               6516399RI      50        500  SH     PUT   Sole                        500
PACIFIC RIM MNG CORP_/CANADIAN/  COM               694915208      75    100,000  SH           Sole                    100,000
PACIFIC RIM MNG CORP_/CANADIAN/  COM               694915208     232    308,787  SH           Sole                    308,787
PAN AMERICAN SILVER CORP         COM               697900108     188     10,000  SH           Sole                     10,000
PANTRY INC                       COM               698657103     282      6,000  SH           Sole                      6,000
PANTRY INC                       COM               698657103     705     15,000  SH           Sole                     15,000
PARALLEL PETROLEUM CORP          COM               699157103     595     35,000  SH           Sole                     35,000
PAYLESS SHOESOURCE INC           COM               704379106     276     11,000  SH           Sole                     11,000
PEABODY ENERGY                   COM               704549104   9,066    110,000  SH           Sole                    110,000
PEPSICO INC                      COM               713448108     177      3,000  SH           Sole                      3,000
PETRO CANADA                     COM               71644E102   7,617    190,000  SH           Sole                    190,000
PETROBRAS SPONSORED ADR          SPON ADR          71654V101  21,242    330,000  SH           Sole                    330,000
PETROBRAS SPONSORED ADR          SPON ADR          71654V101     827     12,843  SH           Defined        2                12,843
PETROCHINA CO LTD ADR            SPON ADR          71646E100   6,967     85,000  SH           Sole                     85,000
PETROCHINA CO LTD ADR            SPON ADR          71646E100     615      7,500  SH           Sole                      7,500
PETROHAWK ENERGY CORP            COM               716495106     106      8,000  SH           Sole                      8,000
PHILADELPHIA CONS HOLDING CORP   COM               717528103     145      1,500  SH           Sole                      1,500
PLACER DOME INC                  COM               725906101   1,376     60,000  SH           Sole                     60,000
PLEXUS CORP                      COM               729132100   1,023     45,000  SH           Sole                     45,000
PNC FINANCIAL SERVICES           COM               693475105     155      2,500  SH           Sole                      2,500
PORTALPLAYER INC                 COM               736187204     354     12,500  SH           Sole                     12,500
PORTALPLAYER INC                 COM               736187204     708     25,000  SH           Sole                     25,000
POSCO SPONSORED ADR              SPON ADR          693483109     162      3,282  SH           Defined        2                 3,282
POTASH CORP SASCKATCHEWAN        COM               73755L107   3,209     40,000  SH           Sole                     40,000
PRAXAIR                          COM               74005P104   1,324     25,000  SH           Sole                     25,000
PRIDE INTERNATIONAL INC          COM               74153Q102     615     20,000  SH           Sole                     20,000
PROASSURANCE CORPORATION         COM               74267C106     219      4,500  SH           Sole                      4,500
PROASSURANCE CORPORATION         COM               74267C106     486     10,000  SH           Sole                     10,000
PROCTOR & GAMBLE CO              COM               742718109     561      9,700  SH           Defined        1                 9,700
QUALITY SYSTEMS INC              COM               747582104     230      3,000  SH           Sole                      3,000
QUALITY SYSTEMS INC              COM               747582104     576      7,500  SH           Sole                      7,500
QUANTA SERVICES INC              COM               74762E102     198     15,000  SH           Sole                     15,000
RADIATION THERAPY SERVICES INC   COM               750323206     706     20,000  SH           Sole                     20,000
RANGOLD RESOURCES LTD ADR        ADR               752344309     323     20,000  SH           Sole                     20,000
RANGOLD RESOURCES LTD ADR        ADR               752344309   3,946    244,630  SH           Sole                    244,630
RANGOLD RESOURCES LTD ADR        ADR               752344309  13,377    829,325  SH           Sole                    829,325
RED HAT INC                      COM               756577102     272     10,000  SH           Sole                     10,000
RED HAT INC                      COM               756577102     545     20,000  SH           Sole                     20,000
RESMED INC                       COM               761152107     575     15,000  SH           Sole                     15,000
ROWAN COMPANIES                  COM               779382100   8,197    230,000  SH           Sole                    230,000
ROYAL GOLD INC                   COM               780287108   2,778     80,000  SH           Sole                     80,000
ROYAL GOLD INC                   COM               780287108     174      5,000  SH           Sole                      5,000
RPC INC                          COM               749660106     132      5,000  SH           Sole                      5,000
RUTH'S CHRIS STEAK HOUSE         COM               783332109     181     10,000  SH           Sole                     10,000
S & P 500 DEPOSITARY RECEIPTS    UNIT SER 1        78462F103     125      1,000  SH           Sole                      1,000
SAN JUAN BASIN RTY TR UBI        UNIT BEN INT      798241105   5,988    137,400  SH           Sole                    137,400
SAN JUAN BASIN RTY TR UBI        UNIT BEN INT      798241105      48      1,100  SH           Sole                      1,100
SANDISK CORP                     COM               80004C101     251      4,000  SH           Sole                      4,000
SASOL LTD SPONS ADR              SPON ADR          803866300     289      8,105  SH           Defined        2                 8,105
SCHLUMBERGER LTD                 COM               806857108     389      4,000  SH           Defined        1                 4,000
SCHWAB /CHARLES/ CORP            COM               808513105     103      7,000  SH           Sole                      7,000
SCHWAB /CHARLES/ CORP            COM               808513105     734     50,000  SH           Sole                     50,000
SCOTTISH POWER PLC SPONSORED ADR ADR               81013T705     299      8,000  SH           Defined        1                 8,000
SELECTIVE INSURANCE GROUP INC    COM               816300107     319      6,000  SH           Sole                      6,000
SIGMA DESIGN                     COM               826565103     615     40,000  SH           Sole                     40,000
SILVER WHEATON CORP              COM               828336107     473     35,000  SH           Sole                     35,000
SILVER WHEATON CORP              COM               828336107     135     10,000  SH           Sole                             10000
SKYWEST INC COM                  COM               830879102     134      5,000  SH           Sole                      5,000
SOUTHWESTERN ENERGY CO           COM               845467109   9,344    260,000  SH           Sole                    260,000
SOUTHWESTERN ENERGY CO           COM               845467109      14        400  SH           Sole                        400
STANDARD MICROSYSTEMS CORP       COM               853626109     430     15,000  SH           Sole                     15,000
STATE STREET CORP                COM               857477103     166      3,000  SH           Sole                      3,000
STOCKGROUP INFORMATION SYSTEMS   COM               861273100      33    110,000  SH           Sole                    110,000
STOCKGROUP INFORMATION SYSTEMS   COM               861273100     315  1,050,000  SH           Sole                  1,050,000
STOCKGROUP INFORMATION SYSTEMS   COM               861273100      33    110,000  SH           Sole                    110,000
STREETTRACKS GOLD TRUST          SHS               863307104   4,513     87,500  SH           Sole                     87,500
STREETTRACKS GOLD TRUST          SHS               863307104     903     17,500  SH           Sole                     17,500
STREETTRACKS GOLD TRUST          SHS               863307104   2,321     45,000  SH           Sole                     45,000
SUNCOR ENERGY INC                COM               867229106  10,732    170,000  SH           Sole                    170,000
SUNOCO INC                       COM               86764P109  15,676    200,000  SH           Sole                    200,000
SUPERTEX INC                     COM               868532102     443     10,000  SH           Sole                     10,000
SYNERON MEDICAL LTD              ORD               M87245102     254      8,000  SH           Sole                      8,000
SYNERON MEDICAL LTD              ORD SHS           M87245102     635     20,000  SH           Sole                     20,000
SYNIVERSE HOLDINGS INC           COM               87163F106     627     30,000  SH           Sole                     30,000
TAIWAN SEMICONDUCTOR SPON ADR    SPON ADR          874039100     991    100,000  SH           Sole                    100,000
TAIWAN SEMICONDUCTOR SPON ADR    SPON ADR          874039100     146     14,774  SH           Defined        2                14,774
TESORO PETROLEUM CORP            COM               881609101      46        750  SH           Sole                               750
TESORO PETROLEUM CORP            COM               881609101      29        475  SH           Sole                        475
TEVA PHARMACEUTICAL IND SPON ADR ADR               881624209     559     13,000  SH           Defined        1                13,000
THOR INDUSTRIES INC              COM               885160101     601     15,000  SH           Sole                     15,000
TIDEWATER INC                    COM               886423102   4,446    100,000  SH           Sole                    100,000
TODCO CLASS A                    CL A              88889T107   7,641    200,750  SH           Sole                    200,750
TODCO CLASS A                    CL A              88889T107      76      2,000  SH           Sole                      2,000
TOM ONLINE INC ADR               ADR REG S         889728200     248     12,500  SH           Sole                     12,500
TOM ONLINE INC ADR               ADR REG S         889728200     496     25,000  SH           Sole                     25,000
TOWER GROUP INC                  COM               891777104     659     30,000  SH           Sole                     30,000
TOYOTA MOTOR CORP ADR            SP ADR REP2COM    892331307     314      3,000  SH           Sole                      3,000
TOYOTA MOTOR CORP ADR            SP ADR REP2COM    892331307     366      3,500  SH           Defined        1                 3,500
TRANSOCEAN INC                   ORD               G90078109   3,485     50,000  SH           Sole                     50,000
TRANSOCEAN INC                   ORD               G90078109     139      2,000  SH           Sole                      2,000
TRANSOCEAN INC                   ORD               G90078109     425      6,100  SH           Defined        1                 6,100
TRANSOCEAN INC                   ORD               G90078109     941     13,500  SH           Sole                    13,500
TRIDENT MICROSYSTEMS INC         COM               895919108     630     35,000  SH           Sole                    35,000
TRINITY INDUSTRIES INC           COM               896522109     331      7,500  SH           Sole                     7,500
U STORE IT TRUST                 COM               91274F104     158      7,500  SH           Sole                     7,500
UBS AG ORD                       NAMEN AKT         H8920M855     447      4,700  SH           Defined        1                 4,700
ULTIMATE SOFTWARE GROUP INC      COM               90385D107     572     30,000  SH           Sole                     30,000
ULTRA PETROLEUM                  COM               903914109     140      2,500  SH           Sole                      2,500
ULTRA PETROLEUM                  COM               903914109     558     10,000  SH           Sole                     10,000
UNITED PARCEL SERVICE CL B       CL B              911312106     316      4,200  SH           Defined        1                 4,200
UNITED THERAPEUTICS CORP DEL     COM               91307C102     691     10,000  SH           Sole                     10,000
UNITEDHEALTH GROUP INC           COM               91324P102     466      7,500  SH           Sole                      7,500
UNITEDHEALTH GROUP INC           COM               91324P102     373      6,000  SH           Defined        1                 6,000
USEC INC                         COM               90333E108     215     18,000  SH           Sole                     18,000
UTI WORLDWIDE F                  ORD               G87210103     139      1,500  SH           Sole                      1,500
VALERO ENERGY CORP               COM               91913Y100      41        800  SH           Sole                               800
VALERO REFNG & MARKETING CO      COM               91913Y100  20,124    390,000  SH           Sole                    390,000
VALERO REFNG & MARKETING CO      COM               91913Y100      31        600  SH           Sole                        600
VALERO REFNG & MARKETING CO      COM               91913Y100     206      4,000  SH           Sole                      4,000
VALERO REFNG & MARKETING CO      COM               91913Y100     516     10,000  SH           Sole                     10,000
VALUECLICK INC                   COM               92046N102     543     30,000  SH           Sole                     30,000
VIASAT INC                       COM               92552V100     802     30,000  SH           Sole                     30,000
VIASYS HEALTHCARE INC            COM               92553Q209     643     25,000  SH           Sole                     25,000
VIGNETTE CORPORATION             COM               926734401     489     30,000  SH           Sole                     30,000
VIMPEL COMMUNICATIONS SPON ADR   SPON ADR          68370R109  46,267  1,046,060  SH           Defined        2             1,046,060
WAL MART STORES INC              COM               931142103     140      3,000  SH           Sole                      3,000
WARREN RESOURCES INC             COM               93564A100   6,170    390,000  SH           Sole                    390,000
WARREN RESOURCES INC             COM               93564A100     158     10,000  SH           Sole                     10,000
WASHINGTON POST CO CL B          CL B              939640108     371        485  SH           Defined        1                   485
WATSCO INC                       COM               942622200     239      4,000  SH           Sole                      4,000
WEATHERFORD INTL LTD             COM               G95089101   8,904    245,958  SH           Sole                    245,958
WEBSIDESTORY                     COM               947685103     725     40,000  SH           Sole                     40,000
WELLS FARGO & COMPANY            COM               949746101     327      5,200  SH           Defined        1                 5,200
WESCO INTERNATIONAL INC          COM               95082P105     534     12,500  SH           Sole                     12,500
WESTERN GAS RESOURCE             COM               958259103   5,415    115,000  SH           Sole                    115,000
WESTMORELAND COAL CO             COM               960878106      23      1,000  SH           Sole                      1,000
W-H ENERGY SERVICES              COM               92925E108   3,308    100,000  SH           Sole                    100,000
W-H ENERGY SERVICES              COM               92925E108      33      1,000  SH           Sole                      1,000
WHITINIG PETROLEUM CORP          COM               966387102   6,000    150,000  SH           Sole                    150,000
WIND RIV SYS INC                 COM               973149107     517     35,000  SH           Sole                     35,000
XTO ENERGY INC                   COM               98385X106   8,788    200,000  SH           Sole                    200,000
YAHOO INC                        COM               984332106    294       7,500  SH           Defined        1                 7,500