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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2007

Check here if Amendment [   ]; Amendment Number:
                                                 --------
This Amendment (Check only one.):   [  ] is a restatement.
                                    [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:       U.S. Global Investors Inc.
Address:    7900 Callaghan Road
            San Antonio, Texas 78278-1234

 Form 13F File Number: 28-
                          -------------

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 McGee
Title:    President
Phone:    (210) 308-1234

Signature, Place, and Date of Signing:

/s/ Susan McGee        San Antonio, TX                         November 14, 2007
---------------------  --------------------------------------   ---------------
[Signature]                      [City, State]                   [Date]

Report Type (Check only one.):

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

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

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


 List of Other Managers Reporting for this Manager:
 [If there are no entries in this list, omit this section.]

          Form 13F File Number       Name

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



                                    FORM 13F
                                  SUMMARY PAGE




                                                                    
Report Summary:

Number of Other Included Managers                                              2

Form 13F Information Table Entry Total                                       427

Form 13F Information Table Total Value (x1000)                         2,023,977



List of Other Included Managers

1                                    Leeb Capital Mgmt., Inc.
                                     500 5th Avenue 57th floor
                                     NY, NY 10110

2                                    Charlemagne Capital (IOM) Limited
                                     Regent House
                                     16-18 Ridgeway Street
                                     Douglas, Isle of Man IM1 1EN
                                     United Kingdom




                           FORM 13F INFORMATION TABLE




COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
ABB LTD SPON ADR     SPON ADR           000375204       262     10,000    SH          Defined        1                        10,000
ABER DIAMOND
 CORP /CAD/          COM                002893105       862     22,000    SH          Sole                         22,000
ABER DIAMOND
 CORP /CAD/          COM                002893105     3,410     87,000    SH          Sole                         87,000
ABRAXAS PETROLEUM
 CORP                COM                003830106     3,916  1,025,000    SH          Sole                      1,025,000
ACTIVISION INC       COM                004930202       216     10,000    SH          Sole                         10,000
ACTIVISION INC       COM                004930202       648     30,000    SH          Sole                         30,000
ACTUANT CORP
 CLASS A             CL A NEW           00508X203       487      7,500    SH          Sole                          7,500
AGNICO EAGLE MINES
 LTD /USD/           COM                008474108     1,494     30,000    SH          Sole                         30,000
AGNICO EAGLE MINES
 LTD /USD/           COM                008474108     2,490     50,000    SH          Sole                         50,000
AGNICO EAGLE MINES
 WT 11/14/07         *W EXP 11/07/2007  008474132        34      1,100    SH          Sole                          1,100
AGNICO EAGLE MINES
 WT 11/14/07         *W EXP 11/07/2007  008474132     5,461    177,600    SH          Sole                        177,600
AGNICO EAGLE MINES
 WT 11/14/07         *W EXP 11/07/2007  008474132     9,790    318,380    SH          Sole                        318,380
AGNICO EAGLE MINES
 WT 11/14/07         *W EXP 11/07/2007  008474132    31,193  1,014,420    SH          Sole                      1,014,420
AGNICO EAGLE MINES
 WT 11/14/07 NASDAQ  *W EXP 11/07/2007  008474132       273      8,900    SH          Sole                          8,900
AGRIUM INC COM       COM                008916108    14,139    260,000    SH          Sole                        260,000
AIR PRODUCTS &
 CHEMICALS           COM                009158106       371      3,800    SH          Defined        1                         3,800
ALCON INC            COM                H01301102       504      3,500    SH          Sole                          3,500
ALKERMES INC         COM                01642T108       184     10,000    SH          Defined        1                        10,000
ALUMINUM CORP        CALL               022276909    14,006    200,000    SH    CALL  Sole                        200,000
ALUMINUM CORP OF
 CHINA/HKD/-H        COM                Y0094N109       574    200,000    SH          Sole                        200,000
ALVARION LTD    SHS  SHS                M0861T100       145     10,000    SH          Sole                         10,000
AMERICAN EXPRESS
 COMPANY             COM                25816109        315      5,300    SH          Defined        1                         5,300
ANGICO-EAGLE         PUT                008474958     1,327     14,000    SH    PUT   Sole                         14,000
ANGICO-EAGLE         PUT                008474958     1,517     16,000    SH    PUT   Sole                         16,000
ANGICO-EAGLE         PUT                008474958     5,309     56,000    SH    PUT   Sole                         56,000
ANGICO-EAGLE         PUT                008474958     6,068     64,000    SH    PUT   Sole                         64,000
ANGLOGOLD ASAN       CALL               035128906       844     18,000    SH    CALL  Sole                         18,000








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
ANGLOGOLD ASHANTI
 LTD SPON ADR        SPON ADR           35128206        844     18,000    SH          Sole                         18,000
ANOORAQ RESOURCES
 CORP                COM                03633E108       648    208,400    SH          Sole                        208,400
ANOORAQ RESOURCES
 CORP /CAD/          COM                03633E108     1,201    389,000    SH          Sole                        389,000
ANOORAQ RESOURCES
 CORP /CAD/          COM                03633E108     7,411  2,401,000    SH          Sole                      2,401,000
APPLE INC            COM                037833100       844      5,500    SH          Sole                          5,500
APPLE INC            COM                037833100     1,535     10,000    SH          Sole                         10,000
ARIZONA STAR RES
 CORP /CAD/          COM                04059G106     9,565    691,900    SH          Sole                        691,900
AURIZON MINES
 LTD /CAD/           COM                05155P106     1,662    407,100    SH          Sole                        407,100
BAIDU COM INC        COM                056752108       261        900    SH          Sole                            900
BAIDU COM INC        COM                056752108       811      2,800    SH          Sole                          2,800
BAKER HUGHES INC     COM                057224107       343      3,800    SH          Defined        1                         3,800
BARRICK GOLD         CALL               067901908     3,424     85,000    SH    CALL  Sole                         85,000
BARRICK GOLD         CALL               067901908     3,424     85,000    SH    CALL  Sole                         85,000
BARRICK GOLD         CALL               067901908     8,560    212,500    SH    CALL  Sole                        212,500
BARRICK GOLD         CALL               067901908     8,560    212,500    SH    CALL  Sole                        212,500
BARRICK GOLD         CALL               067901908    13,695    340,000    SH    CALL  Sole                        340,000
BARRICK GOLD         CALL               067901908    17,925    445,000    SH    CALL  Sole                        445,000
BARRICK GOLD CORP
 COM                 COM                067901108       222      5,500    SH          Defined        1                         5,500
BARRICK GOLD CORP
 COM                 COM                067901108     1,105     27,429    SH          Sole                         27,429
BARRICK GOLD CORP
 COM                 COM                067901108     3,809     94,574    SH          Sole                         94,574
BAYTEX ENERGY TRUST  TRUST UNIT         073176109       152      7,500    SH          Sole                                     7,500
BAYTEX ENERGY TRUST  TRUST UNIT         073176109       386     19,000    SH          Sole                                    19,000
BE AEROSPACE INC     COM                073302101       311      7,500    SH          Sole                          7,500
BERKSHIRE HATHAWAY
 INC CL B            CL B               084670207       632        160    SH          Defined        1                           160
BHP BILLITON
 LIMITED ADR         SPON ADR           088606108       291      3,700    SH          Defined        1                         3,700
BOEING CO            COM                097023105       315      3,000    SH          Sole                          3,000
BOEING CO            COM                097023105       787      7,500    SH          Sole                          7,500
BUNGE LIMITED        COM                G16962105     1,075     10,000    SH          Sole                         10,000
BURLINGTON NORTHN
 SANTA FE            COM                12189T104       284      3,500    SH          Defined        1                         3,500
BURLINGTON NORTHN
 SANTA FE            COM                12189T104     1,218     15,000    SH          Sole                         15,000








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
CAMERON
 INTERNATIONAL
 CORP     COM        COM                13342B105       923     10,000    SH          Sole                         10,000
CAMERON
 INTERNATIONAL
 CORP     COM        COM                13342B105    23,073    250,000    SH          Sole                        250,000
CANETIC RESOURCES
 TRUST               COM                137513107       490     32,000    SH          Sole                                    32,000
CANO PETE
 INC      COM        COM                137801106        37      5,000    SH          Sole                                     5,000
CANO PETE
 INC      COM        COM                137801106       126     15,000    SH          Sole                                    15,000
CANO PETE
 INC      COM        COM                137801106     3,710    500,000    SH          Sole                        500,000
CELGENE CORP         COM                151020104       713     10,000    SH          Sole                         10,000
CENTRAL EUROPEAN
 DISTR CORP          COM                153435102    14,013    292,481    SH          Defined        2                       292,481
CENTRAL EUROPEAN
 MEDIA CL A          CL A               G20045202     7,237     78,916    SH          Defined        2                        78,916
CHESAPEAKE GOLD
 CORP /CAD/          COM                165184102     3,268    500,000    SH          Sole                        500,000
CHESAPEAKE GOLD
 CORP /CAD/          COM                165184102     7,028  1,075,449    SH          Sole                      1,075,449
CHICAGO BRIDGE &
 IRON ADR            SPON ADR           167250109    14,210    330,000    SH          Sole                        330,000
CHINA LIFE INS
 CO LTD              SPON ADR REP
                      HSPON ADR         16939P106       517      6,000    SH          Sole                          6,000
CHINA MOBILE LTD
 SPON ADR            SPON ADR           16941M109       492      6,000    SH          Sole                          6,000
CIENA CORP           COM                171779309       381     10,000    SH          Sole                         10,000
CIENA CORP           COM                171779309       762     20,000    SH          Sole                         20,000
CISCO SYSTEMS INC    COM                17275R102       464     14,000    SH          Defined        1                        14,000
CISCO SYSTEMS INC    COM                17275R102       497     15,000    SH          Sole                         15,000
CISCO SYSTEMS INC    COM                17275R102     1,324     40,000    SH          Sole                         40,000
CITIGROUP INC        COM                172967101       364      7,800    SH          Defined        1                         7,800
CME GROUP INC        COM                12572Q105       411        700    SH          Sole                            700
CNOOC LTD ADR        SPON ADR           126132109    12,482     75,000    SH          Sole                         75,000
COACH INC            COM                189754104       473     10,000    SH          Sole                         10,000
COMMSCOPE INC        COM                203372107       402      8,000    SH          Sole                          8,000
CONOCOPHILLIPS       COM                20825C104    16,676    190,000    SH          Sole                        190,000
CORE LABORATORIES
 N V                 COM                N22717107       382      3,000    SH          Sole                          3,000








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
CORE LABORATORIES
 N V                 COM                N22717107       955      7,500    SH          Sole                          7,500
CORE LABORATORIES
 N V                 COM                N22717107    21,019    165,000    SH          Sole                        165,000
CORNING INC          COM                219350105       434     17,600    SH          Defined        1                        17,600
CORRIENTE RESOURCES
 INC /CAD/           COM                22027E409     2,980    594,000    SH          Sole                        594,000
CREDICORP LTD        COM                G2519Y108       508      7,500    SH          Sole                          7,500
CROCS INC            COM                227046109       538      8,000    SH          Sole                          8,000
CRYSTALLEX INTL
 CORP                CALL               22942F112         9      2,700    SH    CALL  Sole                          2,700
CRYSTALLEX INTL
 CORP                CALL               22942F108        14      4,500    SH    CALL  Sole                          4,500
CRYSTALLEX INTL
 CORP                CALL               22942F113        87     27,300    SH    CALL  Sole                         27,300
CRYSTALLEX INTL
 CORP                COM                22942F104        91     28,750    SH          Sole                         28,750
CRYSTALLEX INTL
 CORP                COM                22942F102       145     45,815    SH          Sole                         45,815
CRYSTALLEX INTL
 CORP                CALL               22942F109       204     64,400    SH    CALL  Sole                         64,400
CRYSTALLEX INTL
 CORP                COM                22942F105       239     75,250    SH          Sole                         75,250
CRYSTALLEX INTL
 CORP                COM                22942F101       491    155,000    SH          Sole                        155,000
CRYSTALLEX INTL
 CORP                CALL               22942F106       644    203,100    SH    CALL  Sole                        203,100
CRYSTALLEX INTL
 CORP                CALL               22942F110       718    226,400    SH    CALL  Sole                        226,400
CRYSTALLEX INTL
 CORP                CALL               22942F107       878    276,900    SH    CALL  Sole                        276,900
CRYSTALLEX INTL
 CORP                CALL               22942F111       944    297,700    SH    CALL  Sole                        297,700
CRYSTALLEX INTL
 CORP                COM                22942F103     2,429    766,185    SH          Sole                        766,185
CRYSTALLEX INTL
 CORP                CALL               22942F114     2,498    788,100    SH    CALL  Sole                                   788,100
CURRENCYSHARES CAN
 TRUST               PUT                23129X955       202      2,000    SH    PUT   Sole                                     2,000
CURRENCYSHARES CAN
 TRUST               PUT                23129X955       202      2,000    SH    PUT   Sole                                     2,000
CURRENCYSHARES CAN
 TRUST               PUT                23129X955       262      2,600    SH    PUT   Sole                                     2,600








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
CURRENCYSHARES CAN
 TRUST               PUT                23129X955     6,682     66,200    SH    PUT   Sole                         66,200
CURRENCYSHARES CAN
 TRUST               PUT                23129X955    40,114    397,400    SH    PUT   Sole                        397,400
CURRENCYSHARES CAN
 TRUST               PUT                23129X955    63,572    629,800    SH    PUT   Sole                        629,800
CVS CAREMARK
 CORPORATION         COM                126650100       159      4,000    SH          Sole                          4,000
CVS CAREMARK
 CORPORATION         COM                126650100       404     10,200    SH          Defined        1                        10,200
DANAHER CORP         COM                235851102       430      5,200    SH          Defined        1                         5,200
DEERE & CO           COM                244199105       148      1,000    SH          Sole                          1,000
DEERE & CO           COM                244199105       416      2,800    SH          Defined        1                         2,800
DENBURY RESOURCES
 INC                 COM                247916208       206      4,600    SH          Defined        1                         4,600
DENBURY RESOURCES
 INC                 COM                247916208     7,821    175,000    SH          Sole                        175,000
DENTSPLY INTL INC    COM                249030107       208      5,000    SH          Sole                          5,000
DIAMOND OFFSHORE
 DRILLING INC        COM                25271C102       340      3,000    SH          Sole                          3,000
DIAMOND OFFSHORE
 DRILLING INC        COM                25271C102       566      5,000    SH          Sole                          5,000
DIAMOND OFFSHORE
 DRILLING INC        COM                25271C102    16,427    145,000    SH          Sole                        145,000
DOLLAR FINANCIAL
 CORP                COM                256664103       428     15,000    SH          Sole                         15,000
DRDGOLD LTD
 SPONSORED ADR       SPON ADR           26152H301        20      2,500    SH          Sole                          2,500
DRDGOLD LTD
 SPONSORED ADR       SPON ADR           26152H301        80     10,000    SH          Sole                         10,000
DRYSHIPS             CALL               Y2109Q901     1,817     20,000    SH    CALL  Sole                         20,000
DRYSHIPS INC         COM                Y2109Q101       545      6,000    SH          Sole                          6,000
DRYSHIPS INC         COM                Y2109Q101       818      9,000    SH          Sole                          9,000
DRYSHIPS INC         COM                Y2109Q101    51,330    565,000    SH          Sole                        565,000
ELDORADO GOLD
 CORP /CAD/          COM                284902103     1,007    163,100    SH          Sole                        163,100
ELDORADO GOLD
 CORP /CAD/          COM                284902103     2,000    324,000    SH          Sole                        324,000
EMC CORP MASS        COM                268648102       187      9,000    SH          Sole                          9,000
EMC CORP MASS        COM                268648102       478     23,000    SH          Sole                         23,000
ENTREE GOLD INC
 /CAD/               COM                29383G100     2,514  1,000,000    SH          Sole                      1,000,000
EXELON CORPORATION   COM                30161N101       414      5,500    SH          Defined        1                         5,500








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
FIRST PACIFIC CORP
 /HKD/               COM                G34804107       372    500,000    SH          Sole                        500,000
FIRST SOLAR INC      COM                336433107       341      2,900    SH          Defined        1                         2,900
FLOTEK INDUSTRIES
 INC                 COM                343389102       530     12,000    SH          Sole                         12,000
FMC TECHNOLOGIES
 INC                 COM                30249U101       173      3,000    SH          Sole                          3,000
FMC TECHNOLOGIES
 INC                 COM                30249U101       490      8,500    SH          Sole                          8,500
FOCUS MEDIA HOLDING
 ADS                 SPON ADR           34415V109     1,160     20,000    SH          Sole                         20,000
FREEPORT-MCMORAN
 C & G COMMON        COM                35671D857       472      4,500    SH          Sole                          4,500
FREEPORT-MCMORAN
 C & G COMMON        COM                35671D857       524      5,000    SH          Sole                          5,000
FREEPORT-MCMORAN
 C & G COMMON        COM                35671D857     8,129     77,500    SH          Sole                         77,500
FREEPORT-MCMORAN
 C & G COMMON        COM                35671D857    15,996    152,500    SH          Sole                        152,500
FREEPORT-MCMORAN
 C & G COMMON        COM                35671D857    31,467    300,000    SH          Sole                        300,000
FRONTEER
 DEVELOPMENT
 GROUP INC           COM                35903Q106     7,597    730,000    SH          Sole                        730,000
FRONTIER OIL CORP    COM                35914P105       625     15,000    SH          Sole                         15,000
GAMESTOP CORP
 CLASS A             CL A               36467W109       564     10,000    SH          Sole                         10,000
GAMESTOP CORP
 CLASS A             CL A               36467W109     1,409     25,000    SH          Sole                         25,000
GAMMON GOLD          PUT                36467T956       118     10,000    SH    PUT   Sole                                     1,000
GAMMON GOLD          PUT                36467T956     1,184    100,000    SH    PUT   Sole                        100,000
GARMIN LTD /USD/     COM                G37260109       836      7,000    SH          Sole                          7,000
GENENTECH INC        COM                368710406       234      3,000    SH          Sole                          3,000
GENERAL CABLE CORP   COM                369300108       201      3,000    SH          Sole                          3,000
GENERAL CABLE CORP   COM                369300108     1,342     20,000    SH          Sole                         20,000
GENERAL ELECTRIC CO  COM                369604103       696     16,800    SH          Defined        1                        16,800
GFI GROUP INC        COM                361652209       258      3,000    SH          Sole                          3,000
GFI GROUP INC        COM                361652209       646      7,500    SH          Sole                          7,500
GILEAD SCIENCES INC  COM                375558103       245      6,000    SH          Sole                          6,000
GLENCAIRN GOLD CORP
 /CAD/               COM                377903109        23    100,000    SH          Sole                        100,000
GLENCAIRN GOLD CORP
 /CAD/               COM                377903109       745  3,223,000    SH          Sole                      3,223,000








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
GLENCAIRN GOLD CORP
 /REST//CAD          COM                377903109        41    177,000    SH          Sole                        177,000
GLENCAIRN GOLD CORP
 /REST//CAD          COM                377903109       139    600,000    SH          Sole                        600,000
GLOBALSANTAFE CORP   COM                G3930E101       228      3,000    SH          Sole                          3,000
GLOBALSANTAFE CORP   COM                G3930E101       760     10,000    SH          Sole                         10,000
GOLD FIELDS LTD      CALL               38059T906       724     40,000    SH    CALL  Sole                         40,000
GOLD FIELDS LTD      CALL               38059T906     1,111     61,400    SH    CALL  Sole                         61,400
GOLD FIELDS LTD      CALL               38059T906     3,457    191,100    SH    CALL  Sole                        191,100
GOLD FIELDS LTD
 /ZAR/               COM                S31755101     1,712     95,000    SH          Sole                         95,000
GOLD FIELDS LTD
 /ZAR/               COM                S31755101     4,325    240,000    SH          Sole                        240,000
GOLD FIELDS LTD
 /ZAR/               COM                S31755101     4,775    265,000    SH          Sole                        265,000
GOLD FIELDS LTD
 SPON ADR            SPON ADR           38059T106     1,085     60,000    SH          Sole                         60,000
GOLD FIELDS LTD
 SPON ADR            SPON ADR           38059T106     7,736    427,620    SH          Sole                        427,620
GOLD FIELDS LTD
 SPON ADR            SPON ADR           38059T106    19,392  1,071,980    SH          Sole                      1,071,980
GOLDCORP INC         CALL               380956177        39      8,500    SH    CALL  Sole                          8,500
GOLDCORP INC         CALL               380956177        54      8,000    SH    CALL  Sole                          8,000
GOLDCORP INC         CALL               380956177        97     14,500    SH    CALL  Sole                         14,500
GOLDCORP INC         CALL               380956177        69     15,000    SH    CALL  Sole                         15,000
GOLDCORP INC         CALL               380956177       915     29,000    SH    CALL  Sole                                    29,000
GOLDCORP INC         CALL               380956177       937     29,700    SH    CALL  Sole                                    29,700
GOLDCORP INC         CALL               380956177       374     81,200    SH    CALL  Sole                         81,200
GOLDCORP INC         CALL               380956177     1,032    154,000    SH    CALL  Sole                        154,000
GOLDCORP INC         CALL               380956177       721    156,800    SH    CALL  Sole                        156,800
GOLDCORP INC         CALL               380956177     1,072    160,000    SH    CALL  Sole                        160,000
GOLDCORP INC         CALL               380956177       972    211,300    SH    CALL  Sole                        211,300
GOLDCORP INC         CALL               380956177     2,968    443,000    SH    CALL  Sole                        443,000
GOLDCORP INC         COM                380956409         1         23    SH          Sole                             23
GOLDCORP INC         COM                380956409        64      2,101    SH          Sole                          2,101
GOLDCORP INC         COM                380956409       168      5,500    SH          Sole                          5,500
GOLDCORP INC         W EXP 06/09/199    380956177        31      1,000    SH          Sole                          1,000
GOLDCORP INC         W EXP 06/09/200    380956177     1,492     48,826    SH          Sole                         48,826
GOLDCORP INC         W EXP 06/09/201    380956177         9        302    SH          Sole                                       302
GOLDCORP INC         W EXP 06/09/201    380956177       331     10,836    SH          Sole                                    10,836
GOLDCORP INC         W EXP 06/09/201    380956177     5,951    194,724    SH          Sole                                   194,724
GOLDCORP INC         W EXP 06/09/201    380956177    32,557  1,065,334    SH          Sole                      1,065,334
GOLDCORP INC         W EXP 06/09/201    380956177    44,702  1,462,766    SH          Sole                      1,462,766
GOLDCORP INC         W EXP 06/09/201    380956177   128,873  4,217,042    SH          Sole                      4,217,042








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
GOLDMAN SACHS
 GROUP INC           COM                38141G104       433      2,000    SH          Defined        1                         2,000
GOLDMAN SACHS
 GROUP INC           COM                38141G104       433      2,000    SH          Sole                          2,000
GOODRICH PETROLEUM
 CORP                COM                382410405    12,509    394,600    SH          Sole                        394,600
GOOGLE INC CLASS A   CL A               38259P508       227        400    SH          Sole                            400
GOOGLE INC CLASS A   CL A               38259P508       383        675    SH          Defined        1                           675
GOOGLE INC CLASS A   CL A               38259P508       851      1,500    SH          Sole                          1,500
GRANT PRIDECO INC    COM                38821G101       218      4,000    SH          Sole                          4,000
GRANT PRIDECO INC    COM                38821G101       818     15,000    SH          Sole                         15,000
GREAT BASIN GOLD
 LTD /CAD/           COM                390124105     6,616  2,186,000    SH          Sole                      2,186,000
GULFMARK OFFSHORE
 INC                 COM                402629109       146      3,000    SH          Sole                          3,000
GULFMARK OFFSHORE
 INC                 COM                402629109       584     12,000    SH          Sole                         12,000
HARMONY GOLD         CALL               413216900     1,197    100,500    SH    CALL  Sole                        100,500
HARMONY GOLD         CALL               413216900     1,491    125,200    SH    CALL  Sole                        125,200
HARMONY GOLD         CALL               413216900     1,925    161,600    SH    CALL  Sole                        161,600
HARMONY GOLD         CALL               413216900     2,654    222,800    SH    CALL  Sole                        222,800
HARMONY GOLD MINING
 SPND ADR            SPON ADR           413216300     1,547    129,900    SH          Sole                        129,900
HARMONY GOLD MINING
 SPND ADR            SPON ADR           413216300     2,592    217,600    SH          Sole                        217,600
HARVEST ENERGY
 TRUST-UNITS         TRUST UNIT         41752X101        40      1,500    SH          Sole                                     1,500
HARVEST ENERGY
 TRUST-UNITS         TRUST UNIT         41752X101        67      2,500    SH          Sole                                     2,500
HARVEST ENERGY
 TRUST-UNITS         TRUST UNIT         41752X101       539     20,000    SH          Sole                                    20,000
HARVEST ENERGY
 TRUST-UNITS         TRUST UNIT         41752X101     6,199    230,000    SH          Sole                        230,000
HECLA MINING         COM                422704106       806     90,000    SH          Sole                         90,000
HECLA MNG CO         CALL               422704906        40      4,500    SH    CALL  Sole                          4,500
HECLA MNG CO         CALL               422704906     2,148    240,000    SH    CALL  Sole                        240,000
HELMERICH & PAYNE
 INC                 COM                423452101       575     17,500    SH          Sole                         17,500
HERBALIFE LTD        COM                G4412G101       205      4,500    SH          Sole                          4,500
HESS CORP            COM                42809H107       379      5,700    SH          Defined        1                         5,700
HEWLETT PACKARD      COM                428236103       224      4,500    SH          Sole                          4,500
HOLLY CORP           COM                435758305       598     10,000    SH          Sole                         10,000
IAMGOLD CORPORATION  COM                450913108         0          1    SH          Sole                              1








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
IAMGOLD CORPORATION
 /CAD/               COM                450913108     1,609    185,000    SH          Sole                        185,000
IMMUCOR INC          COM                452526106       715     20,000    SH          Sole                         20,000
INFINITY BIO ENERGY
 LTD                 COM                G4770S101     3,501    682,400    SH          Sole                        682,400
INTEL CORP           COM                458140100       380     14,700    SH          Defined        1                        14,700
INTERCONTINENTAL-
 EXCHANGE INC        COM                45865V100     1,063      7,000    SH          Sole                          7,000
INTERNATIONAL
 MINERALS /CAD/      COM                459875100       830    144,100    SH          Sole                        144,100
INTERNATIONAL
 MINERALS /CAD/      COM                459875100     5,877  1,020,100    SH          Sole                      1,020,100
INTERNATIONAL
 ROYALTY CORP        COM                460277107        54      8,000    SH          Sole                                     8,000
INTERNATIONAL
 ROYALTY CORP        COM                460277106     4,269    631,450    SH          Sole                        631,450
INTERNATIONAL
 ROYALTY CORP        COM                460277106     8,290  1,226,350    SH          Sole                      1,226,350
ISHARES SILVER
 TRUST               I SHARES           46428Q109         7         50    SH          Sole                                        50
ISHARES SILVER
 TRUST               I SHARES           46428Q109        34        250    SH          Sole                                       250
ISHARES SILVER
 TRUST               I SHARES           46428Q109        79        575    SH          Sole                                       575
ISHARES SILVER
 TRUST               I SHARES           46428Q109       137      1,000    SH          Sole                          1,000
ISHARES SILVER
 TRUST               I SHARES           46428Q109       430      3,150    SH          Sole                                     3,150
ISHARES SILVER
 TRUST               I SHARES           46428Q109       519      3,800    SH          Sole                          3,800
ISHARES SILVER
 TRUST               I SHARES           46428Q109    10,965     80,300    SH          Sole                         80,300
ISHARES SILVER
 TRUST               I SHARES           46428Q109    13,648     99,950    SH          Sole                         99,950
ITT CORP             COM                450911102       374      5,500    SH          Defined        1                         5,500
IVANHOE MINES LTD
 /CAD/               COM                46579N103     1,742    134,100    SH          Sole                        134,100
IVANHOE MINES LTD
 /CAD/               COM                46579N103     3,965    305,200    SH          Sole                        305,200
IVANHOE MINES LTD
 /CAD/               COM                46579N103     9,572    736,900    SH          Sole                        736,900
JAGUAR MINING INC
 /CAD/               COM                47009M103     1,936    217,300    SH          Sole                        217,300








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
JAGUAR MINING INC
 /CAD/               COM                47009M103    10,930  1,227,000    SH          Sole                      1,227,000
JOHNSON & JOHNSON    COM                478160104       335      5,100    SH          Defined        1                         5,100
JUNIPER NETWORKS
 INC                 COM                48203R104       366     10,000    SH          Sole                         10,000
KINROSS GOLD CORP
 /CAD/               COM                496902404        13        875    SH          Sole                            875
KINROSS GOLD CORP
 /CAD/               COM                496902404       118      7,875    SH          Sole                          7,875
KINROSS GOLD CORP
 /CAD/               COM                496902404     1,139     76,250    SH          Sole                         76,250
KLA TENCOR CORP      COM                482480100       446      8,000    SH          Sole                          8,000
KOOKMIN BANK SP ADR  SPON ADR           50049M109       523      6,381    SH          Defined        2                         6,381
LIHIR GOLD LTD SPON
 ADR                 SPON ADR           532349107       396     11,000    SH          Sole                         11,000
LIHIR GOLD LTD SPON
 ADR                 SPON ADR           532349107     1,153     32,000    SH          Sole                         32,000
LILLY /ELI/ & CO     COM                532457108       535      9,400    SH          Defined        1                         9,400
LULULEMON ATHLETICA
 INC                 COM                550021109       315      7,500    SH          Sole                          7,500
LULULEMON ATHLETICA
 INC                 COM                550021109       525     12,500    SH          Sole                         12,500
LUNDIN MINING CORP
 /CAD/               COM                550372106       394     30,860    SH          Sole                         30,860
LUNDIN MINING CORP
 /CAD/               COM                550372106     3,455    270,375    SH          Sole                        270,375
LUNDIN MINING CORP
 /CAD/               COM                550372106     6,960    544,625    SH          Sole                        544,625
LUNDIN MINING CORP
 /REST/              COM                550372106       197     15,430    SH          Sole                         15,430
MANITOWOC CO INC     COM                563571108       531     12,000    SH          Sole                         12,000
MARATHON OIL         CALL               565849906     2,851     50,000    SH    CALL  Sole                         50,000
MARATHON OIL CORP    COM                565849106       456      8,000    SH          Sole                          8,000
MARATHON OIL CORP    COM                565849106    32,501    570,000    SH          Sole                        570,000
MARKET VECTORS GOLD
 MINERS ETF          GOLD MINER ETF     57060U100       426      9,400    SH          Sole                          9,400
MARKET VECTORS GOLD
 MINERS ETF          GOLD MINER ETF     57060U100     1,751     38,600    SH          Sole                         38,600
MASTERCARD INC       COM                57636Q104       296      2,000    SH          Sole                          2,000
MC DONALDS CORP      COM                580135101       218      4,000    SH          Sole                          4,000
MCDERMOTT INTL INC   COM                580037109     1,352     25,000    SH          Sole                         25,000
MCDERMOTT INTL INC   COM                580037109    52,458    970,000    SH          Sole                        970,000
MEMC ELECTRONIC
 MATERIALS INC       COM                552715104       353      6,000    SH          Sole                          6,000








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
MEMC ELECTRONIC
 MATERIALS INC       COM                552715104       589     10,000    SH          Sole                         10,000
MENS WEARHOUSE INC   COM                587118100       758     15,000    SH          Sole                         15,000
MERIDIAN
 BIOSCIENCE INC      COM                589584101       227      7,500    SH          Sole                          7,500
MERIDIAN
 BIOSCIENCE INC      COM                589584101       682     22,500    SH          Sole                         22,500
MERIDIAN GOLD INC    COM                589975101     6,962    210,320    SH          Sole                        210,320
MERIDIAN GOLD INC    COM                589975101    29,551    892,780    SH          Sole                        892,780
MERIDIAN GOLD INC
 /CAD/               COM                589975101     1,283     38,600    SH          Sole                         38,600
MERIDIAN GOLD INC
 /CAD/               COM                589975101     3,109     93,500    SH          Sole                         93,500
METALLICA RES INC
 /CAD/ /REST/        COM                59125J104     1,106    250,000    SH          Sole                        250,000
METALLICA RESOURCES
 INC /CAD/           COM                59125J104     2,212    499,900    SH          Sole                        499,900
MINEFINDERS LTD
 /CAD/               COM                602900102     4,331    404,134    SH          Sole                        404,134
MINEFINDERS LTD
 /CAD/               COM                602900102     9,215    859,766    SH          Sole                        859,766
MINES MANAGEMENT
 INC                 COM                603432105        18      5,000    SH          Sole                                     5,000
MINES MANAGEMENT
 INC                 COM                603432105        55     15,000    SH          Sole                         15,000
MINES MANAGEMENT
 INC                 COM                603432105        66     18,000    SH          Sole                         18,000
MINES MANAGEMENT
 INC                 COM                603432105        92     25,000    SH          Sole                                    25,000
MINES MANAGEMENT
 INC                 COM                603432105       622    170,000    SH          Sole                                   170,000
MINES MANAGEMENT
 INC                 COM                603432105       962    262,970    SH          Sole                        262,970
MINES MANAGEMENT
 INC                 COM                603432105     3,063    836,930    SH          Sole                        836,930
MIRANT CORP NEW      COM                60467R100    10,373    255,000    SH          Sole                        255,000
MOBILE TELESYSTEMS
 SPON ADR            SPON ADR           607409109    72,221  1,042,002    SH          Defined        2                     1,042,002
MONSANTO CO          COM                61166W101       472      5,500    SH          Sole                          5,500
MONSANTO CO          COM                61166W101    13,976    163,000    SH          Sole                        163,000
MOODYS CORPORATION   COM                615369105       302      6,000    SH          Defined        1                         6,000
MOSAIC COMPANY       COM                61945A107       408      7,625    SH          Sole                          7,625
MOSAIC COMPANY       COM                61945A107     1,224     22,875    SH          Sole                         22,875







COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
NATIONAL OILWELL
 VARCO INC           COM                637071101       506      3,500    SH          Defined        1                         3,500
NEVSUN RES LTD
 /CAD/               COM                64156L101       175    100,000    SH          Sole                        100,000
NEWMONT MINING       CALL               651639906     6,222    139,100    SH    CALL  Sole                        139,100
NEWMONT MINING       CALL               651639906    13,526    302,400    SH    CALL  Sole                        302,400
NEWMONT MINING CORP
 /USD/               COM                651639106     2,907     65,000    SH          Sole                         65,000
NEWMONT MINING CORP
 /USD/               COM                651639106     4,473    100,000    SH          Sole                        100,000
NII HOLDINGS INC
 CL B                CL B               62913F201       822     10,000    SH          Sole                         10,000
NOBLE CORP           COM                G65422100        98      2,000    SH          Sole                          2,000
NOBLE CORP           COM                G65422100       687     14,000    SH          Sole                         14,000
NOBLE CORP           COM                G65422100    13,489    275,000    SH          Sole                        275,000
NOBLE ENERGY INC     COM                655044105       168      2,400    SH          Sole                          2,400
NOBLE ENERGY INC     COM                655044105    25,214    360,000    SH          Sole                        360,000
NORTHERN DYNASTY
 MINERALS/CAD/       COM                66510M204     9,666    866,150    SH          Sole                        866,150
NORTHERN DYNASTY
 MINERALS/CAD/       COM                66510M204    13,560  1,215,000    SH          Sole                      1,215,000
NORTHERN ORION
 RESOURCES INC       COM                665575106         2        500    SH          Sole                                       500
NORTHERN ORION
 RESOURCES INC       COM                665575106       763    161,000    SH          Sole                        161,000
NORTHERN ORION
 RESOURCES INC       COM                665575106     1,030    217,400    SH          Sole                                   217,400
NORTHERN ORION
 RESOURCES INC       COM                665575106     7,062  1,489,895    SH          Sole                      1,489,895
NORTHERN ORION
 RESOURCES INC       COM                665575106     7,568  1,596,645    SH          Sole                      1,596,645
NORTHERN ORION
 RESOURCES INC       COM                665575106    28,809  6,077,760    SH          Sole                      6,077,760
NOVARTIS AG SPON
 ADR                 SPON ADR           66987V109       451      8,200    SH          Defined        1                         8,200
NOVO-NORDISK A S
 ADR                 SPON ADR           670100205       242      2,000    SH          Sole                          2,000
NUCOR CORP           COM                670346105    14,868    250,000    SH          Sole                        250,000
NUSTAR ENERGY LP     UNIT               67058H102        89      1,500    SH          Sole                                     1,500
NUSTAR ENERGY LP     UNIT               67058H102       238      4,000    SH          Sole                                     4,000
NVIDIA CORP          COM                67066G104       435     12,000    SH          Sole                         12,000
NVIDIA CORP          COM                67066G104       815     22,500    SH          Sole                         22,500
OCCIDENTAL
 PETROLEUM           COM                674599105    36,526    570,000    SH          Sole                        570,000
OCEANEERING INTNATL
 INC                 COM                675232102       265      3,500    SH          Sole                          3,500
OCEANEERING INTNATL
 INC                 COM                675232102    22,361    295,000    SH          Sole                        295,000






COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
ODYSSEY RESOURCES
 LTD /CAD/           COM                P73515101       213  2,819,000    SH          Sole                      2,819,000
ORACLE CORP          COM                68389X105       162      7,500    SH          Sole                          7,500
ORACLE CORP          COM                68389X105       541     25,000    SH          Sole                         25,000
PACIFIC RIM MINING
 CORP                COM                694915208     5,891  5,122,600    SH          Sole                      5,122,600
PACIFIC RIM MINING
 CORP /CAD/          COM                694915208        23     20,000    SH          Sole                         20,000
PENN WEST ENERGY
 TRUST               TR UNIT            707885109        31      1,000    SH          Sole                                     1,000
PENN WEST ENERGY
 TRUST               TR UNIT            707885109       233      7,500    SH          Sole                                     7,500
PENN WEST ENERGY
 TRUST               TR UNIT            707885109       590     19,000    SH          Sole                                    19,000
PERMIAN BASIN
 ROYALTY TRUST       UNIT BEN INT       714236106        38      2,500    SH          Sole                                     2,500
PERMIAN BASIN
 ROYALTY TRUST       UNIT BEN INT       714236107       152     10,000    SH          Sole                                    10,000
PETROCHINA CO LTD
 ADR                 SPON ADR           71646E100       500      2,700    SH          Defined        1                         2,700
PETROCHINA CO LTD
 ADR                 SPON ADR           71646E100       574      3,100    SH          Defined        2                         3,100
PETROCHINA CO LTD
 ADR                 SPON ADR           71646E100     2,129     11,500    SH          Sole                         11,500
PETROCHINA CO LTD
 ADR                 SPON ADR           71646E100    33,320    180,000    SH          Sole                        180,000
PETROLEO BRASILEIRO
 SPON ADR            SPON ADR           71654V101     1,103     17,044    SH          Defined        2                        17,044
PETROLEO BRASILEIRO
 SPON ADR            SPON ADR           71654V101    38,497    595,000    SH          Sole                        595,000
PHASE FORWARD INC    COM                71721R406       700     35,000    SH          Sole                         35,000
PLATINUM GROUP
 METALS /CAD/        COM                72765Q205       976    242,700    SH          Sole                        242,700
PLATINUM GROUP
 METALS /CAD/        COM                72765Q205     1,948    484,400    SH          Sole                        484,400
POSCO SPONSORED ADR  SPON ADR           693483109       778      4,351    SH          Defined        2                         4,351
POSCO SPONSORED ADR  SPON ADR           693483109    14,302     80,000    SH          Sole                         80,000
POTASH CORP
 SASKATCHEWAN /USD/  COM                73755L107       370      3,500    SH          Sole                          3,500
POTASH CORP
 SASKATCHEWAN /USD/  COM                73755L107       951      9,000    SH          Sole                          9,000
POTASH CORP
 SASKATCHEWAN /USD/  COM                73755L107    15,855    150,000    SH          Sole                        150,000








COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
PRECISION CASTPARTS
 CORP                COM                740189105     1,850     12,500    SH          Sole                         12,500
PRICELINE.COM INC    COM                741503403       311      3,500    SH          Sole                          3,500
PRICELINE.COM INC    COM                741503403       888     10,000    SH          Sole                         10,000
PROCTER & GAMBLE     COM                742718109       422      6,000    SH          Defined        1                         6,000
RAYTHEON COMPANY     COM                755111507       377      5,900    SH          Defined        1                         5,900
RELIANT ENERGY INC   COM                75952B105    13,312    520,000    SH          Sole                        520,000
RESEARCH IN MOTION   COM                760975102       690      7,000    SH          Sole                          7,000
RESEARCH IN MOTION   COM                760975102       739      7,500    SH          Sole                          7,500
RIO TINTO PLC
 SPONSORED ADR       SPON ADR           767204100    34,340    100,000    SH          Sole                        100,000
ROGERS
 COMMUNICATIONS
 /USD/               COM                775109200       820     18,000    SH          Sole                         18,000
ROYAL GOLD INC       COM                780287108     4,176    127,500    SH          Sole                        127,500
ROYAL GOLD INC       COM                780287108     7,876    240,500    SH          Sole                        240,500
RUBICON MINERALS
 /CAD//REST/         COM                780911103       300    169,600    SH          Sole                        169,600
SAN JUAN BASIN RTY
 TR UBI              UNIT BEN INT       798241105       541     16,000    SH          Sole                         16,000
SAN JUAN BASIN RTY
 TR UBI              UNIT BEN INT       798241105       541     16,000    SH          Sole                                    16,000
SAN JUAN BASIN RTY
 TR UBI              UNIT BEN INT       798241105     6,760    200,000    SH          Sole                        200,000
SANDISK CORP         COM                80004C101       413      7,500    SH          Sole                          7,500
SCHEIN/HENRY/INC     COM                806407102       608     10,000    SH          Sole                         10,000
SCHERING PLOUGH      COM                806605101       237      7,500    SH          Sole                          7,500
SCHERING PLOUGH      COM                806605101       443     14,000    SH          Sole                         14,000
SCHLUMBERGER         CALL               806857908     2,625     25,000    SH    CALL  Sole                         25,000
SCHLUMBERGER LTD     COM                806857108       861      8,200    SH          Defined        1                         8,200
SCHLUMBERGER LTD     COM                806857108    54,075    515,000    SH          Sole                        515,000
SCHWAB /CHARLES/
 CORP                COM                808513105       432     20,000    SH          Sole                         20,000
SECTOR SPDR-EN       CALL               81369Y906    74,800  1,000,000    SH    CALL  Sole                      1,000,000
SHINHAN FINANCIAL
 GROUP/KWR/          COM                Y7749X101       464      7,097    SH          Defined        2                         7,097
SILICONWARE
 PRECISION IND/TWD/  COM                Y7934R109     1,312    582,472    SH          Defined        2                       582,472
SILVER WHEATON
 CORP        COM     COM                828336107       491     35,000    SH          Sole                         35,000
SILVER WHEATON
 CORP /CAD/REST/     COM                828336107       558     40,000    SH          Sole                         40,000
SINA CORPORATION     COM                G81477104       957     20,000    SH          Sole                         20,000







COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
SMITH & WESSON
 HOLDING CORP        COM                831756101       573     30,000    SH          Sole                         30,000
SOLITARIO RESOURCES
 CORP /CAD/          COM                83422R106     4,282    870,900    SH          Sole                        870,900
STRYKER CORP         COM                863667101       275      4,000    SH          Sole                          4,000
STRYKER CORP         COM                863667101       516      7,500    SH          Sole                          7,500
SUNCOR ENERGY        CALL               867229906    12,325    130,000    SH    CALL  Sole                        130,000
SUNCOR ENERGY        CALL               867229906    23,086    243,500    SH    CALL  Sole                        243,500
SUNCOR ENERGY INC    COM                867229106    25,599    270,000    SH          Sole                        270,000
SUNOCO INC           COM                86764P109    10,971    155,000    SH          Sole                        155,000
TAIWAN
 SEMICONDUCTOR
 SPON ADR            SPON ADR           874039100       619     61,142    SH          Defined        2                        61,142
TASEKO MINES LTD
 /CAD/               COM                876511106     1,914    366,000    SH          Sole                        366,000
TASEKO MINES LTD
 /CAD/               COM                876511106     3,210    614,000    SH          Sole                        614,000
TASER INTERNATIONAL
 UTS                 COM                87651B104       157     10,000    SH          Sole                         10,000
TEMPUR-PEDIC
 INTERNATIONAL INC   COM                88023U101       536     15,000    SH          Sole                         15,000
TENARIS SA ADR       SPON ADR           88031M109     8,945    170,000    SH          Sole                        170,000
TEREX CORP           COM                880779103       401      4,500    SH          Sole                          4,500
TEREX CORP           COM                880779103       890     10,000    SH          Sole                         10,000
TERRA INDS INC       COM                880915103       782     25,000    SH          Sole                         25,000
THERMO FISHER
 SCIENTIFIC INC      COM                883556102       577     10,000    SH          Sole                         10,000
TOYOTA MOTOR CORP
 ADR                 SPON ADR           892331307       351      3,000    SH          Defined        1                         3,000
TRANSOCEAN INC       COM                G90078109       226      2,000    SH          Defined        1                         2,000
U S GOLD CORP        COM                912023207       144     23,000    SH          Sole                                    23,000
U S GOLD CORP        COM                912023207       314     50,000    SH          Sole                         50,000
U S GOLD CORP /CAD/  COM                912023207     9,013  1,437,406    SH          Sole                      1,437,406
UNDER ARMOUR INC
 CL A                CL A               904311107       299      5,000    SH          Sole                          5,000
VALERO ENERGY CORP   COM                91913Y100       269      4,000    SH          Sole                          4,000
VALERO ENERGY CORP   COM                91913Y100     9,741    145,000    SH          Sole                        145,000
VERIFONE HOLDING
 INC                 COM                92342Y109       887     20,000    SH          Sole                         20,000
VIMPEL
 COMMUNICATIONS
 SPON ADR            SPON ADR           68370R109       541     20,000    SH          Sole                         20,000
VIMPEL
 COMMUNICATIONS
 SPON ADR            SPON ADR           68370R109    42,920  1,587,260    SH          Defined        2                     1,587,260
VOCUS INC            COM                92858J108       731     25,000    SH          Sole                         25,000
VOLCOM INC           COM                92864N101       638     15,000    SH          Sole                         15,000






COLUMN 1             COLUMN 2           COLUMN 3   COLUMN 4           COLUMN 5        COLUMN 6    COLUMN 7         COLUMN 8
--------------------------------------  ---------  --------  -----------------------  ----------  -------- -------------------------
                                                             SHARES OR                                         VOTING AUTHORITY
                                                    VALUE    PRINCIPAL          PUT/  INVESTMENT   OTHER   -------------------------
NAME OF ISSUER       TITLE OF CLASS       CUSIP    (X$1000)    AMOUNT   SH/PRN  CALL  DISCRETION  MANAGERS SOLE   SHARED      NONE
--------------------------------------  ---------  --------  ---------  ------  ----  ----------  -------- ---- ---------  ---------
                                                                                          
WEATHERFORD
 INTERNATIONAL LTD   COM                G95089101       605      9,000    SH          Sole                          9,000
WELLCARE HEALTH
 PLANS INC           COM                94946T106       211      2,000    SH          Sole                          2,000
WELLCARE HEALTH
 PLANS INC           COM                94946T106     1,054     10,000    SH          Sole                         10,000
WIMM-BILL-DANN
 FOODS               COM                X98383106    19,945    241,972    SH          Defined        2                       241,972
WRIGHT EXPRESS CORP  COM                98233Q105       456     12,500    SH          Sole                         12,500
YANZHOU COAL MNG
 SPONS ADR H         SPON ADR           984846105       204      2,000    SH          Sole                          2,000
YANZHOU COAL MNG
 SPONS ADR H         SPON ADR           984846105       511      5,000    SH          Sole                          5,000
YANZHOU COAL MNG
 SPONS ADR H         SPON ADR           984846105     4,089     40,000    SH          Sole                         40,000
ZOLTEK COS INC       COM                98975W104       218      5,000    SH          Sole                          5,000

                     GRAND
                     TOTAL:                       2,023,977 91,457,981