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

                                   Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2012

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

Signature, Place, and Date of Signing:

     /s/ Susan Mcgee           San Antonio, TX              08/14/2012
 ------------------------  ------------------------  ------------------------
       [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:



Form 13F Information Table Entry Total (not including options)         417

Form 13F Information Table Total Value (x1000)                     883,759



                          FORM 13F INFORMATION TABLE



COLUMN 1                COLUMN 2      COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7      COLUMN 8
--------              --------------- --------- -------- -----------------------------  ----------  -------- -------------------
                                                                                                              VOTING AUTHORITY
                                                 VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   -------------------
NAME OF ISSUER        TITLE OF CLASS   CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE SHARED   NONE
--------------        --------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- ------- ------
                                                                                         
ABBOTT LABS           COM             002824100      64        1,000       SH             Sole                             1,000
ABERDEEN ASIA
 PACIFIC INCOM        COM             003009107      76       10,000       SH             Sole                            10,000
AES CORP COM          COM             00130H105     282       22,000       SH             Sole                     22,000
AETNA INC NEW COM     COM             00817Y108     155        4,000       SH             Sole                      4,000
AGNICO EAGLE MINES
 LTD COM              COM             008474108   6,069      150,000       SH             Sole                    150,000
AGNICO EAGLE MINES
 LTD COM              COM             008474108  14,161      350,000       SH             Sole                    350,000
AGNICO EAGLE MINES
 LTD COM              COM             008474108   9,500        2,348       SH     CALL    Sole                      2,348
AGNICO EAGLE MINES
 LTD COM              COM             008474108  27,683        6,842       SH     CALL    Sole                      6,842
AGNICO EAGLE MINES
 LTD COM              COM             008474108   2,169          536       SH     CALL    Sole                        536
AGNICO EAGLE MINES
 LTD COM              COM             008474108   4,345        1,074       SH     CALL    Sole                      1,074
AIRGAS INC COM        COM             009363102     176        2,100       SH             Sole                      2,100
AKORN INC COM         COM             009728106     394       25,000       SH             Sole                     25,000
ALERIAN MLP ETF       ALERIAN MLP     00162Q866      48        3,000       SH             Sole                             3,000
ALEXCO RESOURCE
 CORP COM             COM             01535P106     882      200,000       SH             Sole                    200,000
ALEXCO RESOURCE
 CORP COM             COM             01535P106   1,544      350,000       SH             Sole                    350,000
ALEXION
 PHARMACEUTICALS
 INC COM              COM             015351109     149        1,500       SH             Sole                      1,500
ALEXION
 PHARMACEUTICALS
 INC COM              COM             015351109     993       10,000       SH             Sole                     10,000
ALLIED NEVADA GOLD
 CORP COM             COM             019344100   1,703       60,000       SH             Sole                     60,000
ALLIED NEVADA GOLD
 CORP COM             COM             019344100   1,845          650       SH     CALL    Sole                        650
ALMADEN MINERALS
 LTD COM              COM             020283107   1,198      570,000       SH             Sole                    570,000
ALMADEN MINERALS
 LTD COM /CAD/        COM             020283107      54       25,000       SH             Sole                            25,000
ALTRIA GROUP INC
 COM                  COM             02209S103     132        3,835       SH             Sole                      3,835
AMERICAN TOWER
 CORP NEW COM         COM             03027X100     210        3,000       SH             Sole                      3,000
AMERIPRISE FINL INC
 COM                  COM             03076C106     178        3,400       SH             Sole                      3,400
AMGEN INC COM         COM             031162100     183        2,500       SH             Sole                      2,500
ANADARKO PETE CORP
 COM                  COM             032511107   9,728      146,950       SH             Sole                    146,950
ANGLOGOLD ASHANTI
 LTD SPONSORED ADR    ADR             035128206   2,919       85,000       SH             Sole                     85,000
ANGLOGOLD ASHANTI
 LTD SPONSORED ADR    ADR             035128206   1,717       50,000       SH             Sole                     50,000
ANGLOGOLD ASHANTI
 LTD SPONSORED ADR    ADR             035128206   6,968        2,029       SH     CALL    Sole                      2,029
ANHEUSER BUSCH
 INBEV SA/NV
 SPONSORED ADR        ADR             03524A108     143        1,800       SH             Sole                      1,800
APPLE INC COM         COM             037833100     584        1,000       SH             Sole                      1,000
APPLE INC COM         COM             037833100   1,460        2,500       SH             Sole                      2,500
ASIA ENTN &
 RESOURCES LTD SHS    SHS             G0539K108      65       16,000       SH             Sole                     16,000
ASSURANT INC COM      COM             04621X108     174        5,000       SH             Sole                      5,000
AT&T INC COM          COM             00206R102     178        5,000       SH             Sole                      5,000
AT&T INC COM          COM             00206R102     269        7,535       SH             Sole                      7,535
ATLAS ENERGY LP
 COM UNITS LP         COM UNITS LP    04930A104     142        4,640       SH             Sole                      4,640
AURICO GOLD INC COM   COM             05155C105   4,646      580,000       SH             Sole                    580,000
AURICO GOLD INC COM   COM             05155C105   2,523      315,000       SH             Sole                    315,000
AURICO GOLD INC COM   COM             05155C105     626          781       SH     CALL    Sole                        781
AURICO GOLD INC COM   COM             05155C105   1,713        2,139       SH     CALL    Sole                      2,139
BAIDU INC SPON ADR
 REP A                SPON ADR REP A  056752108     970        8,436       SH             Sole                      8,436
BALL CORP COM         COM             058498106     168        4,100       SH             Sole                      4,100
BALLY TECHNOLOGIES
 INC COM              COM             05874B107     280        6,000       SH             Sole                      6,000
BALLY TECHNOLOGIES
 INC COM              COM             05874B107     840       18,000       SH             Sole                     18,000
BANK MONTREAL QUE     COM             063671101      83        1,500       SH             Sole                             1,500
BARRICK GOLD CORP
 COM                  COM             067901108   1,879       50,000       SH             Sole                     50,000
BARRICK GOLD CORP
 COM                  COM             067901108   1,879       50,000       SH             Sole                     50,000
BARRICK GOLD CORP
 COM                  COM             067901108   2,303          613       SH     CALL    Sole                        613
BARRICK GOLD CORP
 COM                  COM             067901108  14,040        3,737       SH     CALL    Sole                      3,737
BCE INC               COM NEW         05534B760     140        3,400       SH             Sole                             3,400
BECTON DICKINSON &
 CO COM               COM             075887109     172        2,300       SH             Sole                      2,300
BEMIS INC COM         COM             081437105     179        5,700       SH             Sole                      5,700
BEST BUY INC COM      COM             086516101     149        7,100       SH             Sole                      7,100
BLACKROCK INC COM     COM             09247X101     170        1,000       SH             Sole                      1,000
BLOCK H & R INC       COM             093671105      80        5,000       SH             Sole                             5,000
BRF-BRASIL FOODS S A
 SPONSORED ADR        SPONSORED ADR   10552T107   8,582      565,000       SH             Sole                    565,000
BRF-BRASIL FOODS S A
 SPONSORED ADR        SPONSORED ADR   10552T107     441          290       SH     CALL    Sole                        290
BROWN FORMAN CORP
 CL B                 CL B            115637209     136        1,400       SH             Sole                      1,400






COLUMN 1              COLUMN 2      COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7       COLUMN 8
--------           ---------------- --------- -------- -----------------------------  ----------  -------- --------------------
                                                                                                             VOTING AUTHORITY
                                               VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   --------------------
NAME OF ISSUER     TITLE OF CLASS    CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE  SHARED   NONE
--------------     ---------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- --------- -----
                                                                                         
BUNGE LIMITED
 COM               COM              G16962105   9,787       156,000      SH             Sole                      156,000
CARDTRONICS INC
 COM               COM              14161H108     906        30,000      SH             Sole                       30,000
CENOVUS ENERGY
 INC COM           COM              15135U109  10,240       322,000      SH             Sole                      322,000
CENOVUS ENERGY
 INC COM           COM              15135U109     954           300      SH     CALL    Sole                          300
CENTURYLINK INC
 COM               COM              156700106     215         5,445      SH             Sole                        5,445
CF INDS HLDGS INC
 COM               COM              125269100  11,450        59,100      SH             Sole                       59,100
CF INDS HLDGS INC
 COM               COM              125269100     581         3,000      SH             Sole                        3,000
CHART INDS INC
 COM PAR $0.01     COM PAR $0.01    16115Q308     860        12,500      SH             Sole                       12,500
CHEVRON CORP
 NEW COM           COM              166764100     179         1,700      SH             Sole                        1,700
CHINA DIGITAL TV
 HLDG CO LTD
 SPONSORED ADR     ADR              16938G107      72        24,500      SH             Sole                       24,500
CHINA MOBILE
 LIMITED
 SPONSORED ADR     ADR              16941M109     213         3,900      SH             Sole                        3,900
CHINA PETE & CHEM
 CORP SPON ADR H
 SHS               SPON ADR H SHS   16941R108     262         2,933      SH             Sole                        2,933
CINTAS CORP COM    COM              172908105     174         4,500      SH             Sole                        4,500
CIRRUS LOGIC INC
 COM               COM              172755100     598        20,000      SH             Sole                       20,000
CLAUDE RES INC
 COM               COM              182873109     638     1,000,000      SH             Sole                    1,000,000
CLAUDE RES INC
 COM               COM              182873109     958     1,500,000      SH             Sole                    1,500,000
CLIFFS NATURAL
 RESOURCES INC
 COM               COM              18683K101   9,612       195,000      SH             Sole                      195,000
CLIFFS NATURAL
 RESOURCES INC
 COM               COM              18683K101     986           200      SH     CALL    Sole                          200
CNOOC LTD
 SPONSORED ADR     SPONSORED ADR    126132109     503         2,500      SH             Sole                        2,500
COCA COLA CO COM   COM              191216100     219         2,800      SH             Sole                        2,800
COCA COLA
 ENTERPRISES INC
 NE COM            COM              19122T109     168         6,000      SH             Sole                        6,000
COEUR D ALENE
 MINES CORP IDA
 COM NEW           COM NEW          192108504   2,283       130,000      SH             Sole                      130,000
COEUR D ALENE
 MINES CORP IDA
 COM NEW           COM NEW          192108504   5,005       285,000      SH             Sole                      285,000
COMCAST CORP
 NEW               CL A             20030N101     115         3,600      SH             Sole                              3,600
COMPANHIA
 ENERGETICA DE
 MINA SP ADR N-V
 PFD               SP ADR N-V PFD   204409601     225        12,200      SH             Sole                       12,200
COMPANIA DE
 MINAS
 BUENAVENTU
 SPONSORED ADR     SPONSORED ADR    204448104   3,798       100,000      SH             Sole                      100,000
COMPASS
 MINERALS INTL
 INC COM           COM              20451N101  11,595       152,000      SH             Sole                      152,000
COMPASS
 MINERALS INTL
 INC COM           COM              20451N101     610            80      SH     CALL    Sole                           80
COMSTOCK MNG
 INC COM           COM              205750102   1,853       750,000      SH             Sole                      750,000
CONOCOPHILLIPS
 COM               COM              20825C104     140         2,500      SH             Sole                        2,500
CONOCOPHILLIPS
 COM               COM              20825C104      61         1,100      SH             Sole                              1,100
CONSTELLATION
 BRANDS INC CL A   CL A             21036P108     230         8,500      SH             Sole                        8,500
CORE
 LABORATORIES N
 V COM             COM              N22717107     580         5,000      SH             Sole                        5,000
CROWN CASTLE
 INTL CORP COM     COM              228227104     199         3,400      SH             Sole                        3,400
CROWN CASTLE
 INTL CORP COM     COM              228227104     214         3,650      SH             Sole                        3,650
CVS CAREMARK
 CORPORATION       COM              126650100     112         2,400      SH             Sole                              2,400
CYBERONICS INC
 COM               COM              23251P102     899        20,000      SH             Sole                       20,000
D R HORTON INC
 COM               COM              23331A109     239        13,000      SH             Sole                       13,000
D R HORTON INC
 COM               COM              23331A109     515        28,000      SH             Sole                       28,000
DEAN FOODS CO
 NEW COM           COM              242370104     136         8,000      SH             Sole                        8,000
DEVON ENERGY
 CORP NEW COM      COM              25179M103     128         2,200      SH             Sole                        2,200
DIAMOND
 OFFSHORE
 DRILLING IN COM   COM              25271C102     148         2,500      SH             Sole                        2,500
DIAMOND
 OFFSHORE
 DRILLING IN COM   COM              25271C102      89         1,500      SH             Sole                              1,500
DIRECT MKTS
 HLDGS CORP COM
 ADDED             COM              25456U109       4        10,000      SH             Sole                       10,000
DIRECTV COM CL A   CL A             25490A101     181         3,700      SH             Sole                        3,700
DOMINION RES INC
 VA NEW COM        COM              25746U109     189         3,500      SH             Sole                        3,500
DONNELLEY R R &
 SONS CO COM       COM              257867101     165        14,000      SH             Sole                       14,000
DRDGOLD LIMITED
 SPON ADR REPSTG   SPON ADR REPSTG  26152H301   1,310       200,000      SH             Sole                      200,000
DUKE ENERGY CORP
 NEW COM           COM              26441C105     212         9,200      SH             Sole                        9,200
DUNKIN BRANDS
 GROUP INC COM     COM              265504100     275         8,000      SH             Sole                        8,000
DUNKIN BRANDS
 GROUP INC COM     COM              265504100     962        28,000      SH             Sole                       28,000
ELDORADO GOLD
 CORP NEW COM      COM              284902103  10,361       841,000      SH             Sole                      841,000
ELDORADO GOLD
 CORP NEW COM      COM              284902103   1,848       150,000      SH             Sole                      150,000
ELDORADO GOLD
 CORP NEW COM      COM              284902103   3,080       250,000      SH             Sole                      250,000
ELDORADO GOLD
 CORP NEW COM      COM              284902103   2,190         1,778      SH     CALL    Sole                        1,778
ELDORADO GOLD
 CORP NEW COM      COM              284902103   3,834         3,112      SH     CALL    Sole                        3,112
EMERSON ELEC CO
 COM               COM              291011104     163         3,500      SH             Sole                        3,500
ENSCO PLC SHS
 CLASS A ADDED     SHS CLASS A      G3157S106   9,817       209,000      SH             Sole                      209,000
ENTERGY CORP
 NEW COM           COM              29364G103     183         2,700      SH             Sole                        2,700






COLUMN 1             COLUMN 2      COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7       COLUMN 8
--------           --------------- --------- -------- -----------------------------  ----------  -------- ---------------------
                                                                                                            VOTING AUTHORITY
                                              VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   ---------------------
NAME OF ISSUER     TITLE OF CLASS   CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
--------------     --------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- --------- ------
                                                                                        
ENTERGY CORP
 NEW COM           COM             29364G103     170         2,500      SH             Sole                               2,500
ENTERPRISE PRODS
 PARTNERS L COM    COM             293792107  11,478       224,000      SH             Sole                      224,000
ENTERPRISE PRODS
 PARTNERS L COM    COM             293792107     216         4,225      SH             Sole                        4,225
ENTREE GOLD INC
 COM               COM             29383G100   1,819     2,940,000      SH             Sole                    2,940,000
ETFS PALLADIUM
 TR SH BEN INT     SH BEN INT      26923A106     115         2,000      SH             Sole                        2,000
ETFS PALLADIUM
 TR SH BEN INT     SH BEN INT      26923A106     287         5,000      SH             Sole                        5,000
ETFS PALLADIUM
 TR SH BEN INT     SH BEN INT      26923A106     187         3,270      SH             Sole                               3,270
ETFS PALLADIUM
 TR SH BEN INT     SH BEN INT      26923A106      99         1,730      SH             Sole                               1,730
ETFS PLATINUM TR
 SH BEN INT        SH BEN INT      26922V101   1,427        10,000      SH             Sole                       10,000
ETFS PLATINUM TR
 SH BEN INT        SH BEN INT      26922V101      98           688      SH             Sole                                 688
ETFS PLATINUM TR
 SH BEN INT        SH BEN INT      26922V101      52           362      SH             Sole                                 362
EXELON CORP COM    COM             30161N101     143         3,800      SH             Sole                        3,800
EXELON CORP COM    COM             30161N101     271         7,200      SH             Sole                        7,200
EXELON CORP COM    COM             30161N101     113         3,000      SH             Sole                               3,000
FAMILY DLR
 STORES INC COM    COM             307000109     168         2,525      SH             Sole                        2,525
FIRST MAJESTIC
 SILVER CORP COM   COM             32076V103  10,433       722,000      SH             Sole                      722,000
FIRST MAJESTIC
 SILVER CORP COM   COM             32076V103   1,879       130,000      SH             Sole                      130,000
FIRST MAJESTIC
 SILVER CORP COM   COM             32076V103   2,095       145,000      SH             Sole                      145,000
FIRST MAJESTIC
 SILVER CORP COM   COM             32076V103     217        15,000      SH             Sole                       15,000
FIRST MAJESTIC
 SILVER CORP COM   COM             32076V103     434        30,000      SH             Sole                       30,000
FOMENTO
 ECONOMICO
 MEXICANO S
 SPON ADR UNITS    SPON ADR UNITS  344419106     134         1,500      SH             Sole                        1,500
FRANCO NEVADA
 CORP COM          COM             351858105   4,975       110,000      SH             Sole                      110,000
FRANCO NEVADA
 CORP COM          COM             351858105   4,672       103,300      SH             Sole                      103,300
FRANCO NEVADA
 CORP COM /CAD/    COM             351858105       6        29,000      SH     WTS     Sole                              29,000
FRANCO NEVADA
 CORP COM /CAD/    COM             351858105      27         4,600      SH     WTS     Sole                               4,600
FREEPORT-
 MCMORAN
 COPPER & GO
 COM               COM             35671D857  10,047       294,890      SH             Sole                      294,890
FREEPORT-
 MCMORAN
 COPPER & GO
 COM               COM             35671D857   5,111       150,000      SH             Sole                      150,000
FREEPORT-
 MCMORAN
 COPPER & GO
 COM               COM             35671D857   7,666       225,000      SH             Sole                      225,000
FREEPORT-
 MCMORAN
 COPPER & GO
 COM               COM             35671D857     511           150      SH     CALL    Sole                          150
FREEPORT-
 MCMORAN
 COPPER & GO
 COM               COM             35671D857   5,111         1,500      SH     PUT     Sole                        1,500
FREEPORT-
 MCMORAN
 COPPER & GO
 COM               COM             35671D857   7,666         2,250      SH     PUT     Sole                        2,250
FRESH MKT INC
 COM               COM             35804H106     322         6,000      SH             Sole                        6,000
FRESH MKT INC
 COM               COM             35804H106     912        17,000      SH             Sole                       17,000
FRONTIER
 COMMUNICATIONS
 CORP COM          COM             35906A108     115        30,000      SH             Sole                       30,000
FX ENERGY INC      COM             302695101     118        19,900      SH             Sole                              19,900
GAP INC DEL COM    COM             364760108     164         6,000      SH             Sole                        6,000
GIANT INTERACTIVE
 GROUP INC ADR     ADR             374511103      83        17,100      SH             Sole                       17,100
GLOBAL X COPPER
 MINES ETF         COPPER MNR ETF  37950E861     184        16,500      SH             Sole                              16,500
GLOBAL X COPPER
 MINES ETF         COPPER MNR ETF  37950E861      99         8,850      SH             Sole                               8,850
GOLD FIELDS LTD
 NEW SPONSORED
 ADR               ADR             38059T106     100            78      SH     CALL    Sole                           78
GOLD FIELDS LTD
 NEW SPONSORED
 ADR               ADR             38059T106   3,666         2,862      SH     CALL    Sole                        2,862
GOLD STD
 VENTURES CORP
 COM ADDED         COM             380738104     495       250,000      SH             Sole                      250,000
GOLD STD
 VENTURES CORP
 COM ADDED         COM             380738104   1,011       525,000      SH             Sole                      525,000
GOLDCORP INC NEW
 COM               COM             380956409   3,758       100,000      SH             Sole                      100,000
GOLDCORP INC NEW
 COM               COM             380956409   5,637       150,000      SH             Sole                      150,000
GOLDCORP INC NEW
 COM               COM             380956409   6,415         1,707      SH     CALL    Sole                        1,707
GOLDCORP INC NEW
 COM               COM             380956409  14,874         3,958      SH     CALL    Sole                        3,958
GOLDCORP INC NEW
 COM               COM             380956409   2,443           650      SH     CALL    Sole                          650
GOLDCORP INC NEW
 COM               COM             380956409   5,036         1,340      SH     CALL    Sole                        1,340
GOLDEN MINERALS
 COMPANY /CAD/     COM             381119106      11         2,500      SH             Sole                               2,500
GOLDEN STAR RES
 LTD CDA COM       COM             38119T104     319       275,000      SH             Sole                      275,000
GOLDEN STAR RES
 LTD CDA COM       COM             38119T104     638       550,000      SH             Sole                      550,000
GOOGLE INC CL A    CL A            38259P508     232           400      SH             Sole                          400
GRAN TIERRA
 ENERGY INC COM    COM             38500T101   7,120     1,450,000      SH             Sole                    1,450,000
GREAT BASIN GOLD
 LTD COM           COM             390124105     237       350,000      SH             Sole                      350,000
GREAT BASIN GOLD
 LTD COM           COM             390124105     678     1,000,000      SH             Sole                    1,000,000
HARBINGER GROUP
 INC               COM             41146A106      39         5,050      SH             Sole                               5,050
HARMONY GOLD
 MNG LTD
 SPONSORED ADR     ADR             413216300   8,131       865,000      SH             Sole                      865,000
HARMONY GOLD
 MNG LTD
 SPONSORED ADR     ADR             413216300   9,823     1,045,000      SH             Sole                    1,045,000
HARRIS CORP DEL
 COM               COM             413875105     167         4,000      SH             Sole                        4,000






COLUMN 1            COLUMN 2      COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7       COLUMN 8
--------         ---------------- --------- -------- -----------------------------  ----------  -------- ---------------------
                                                                                                           VOTING AUTHORITY
                                             VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   ---------------------
NAME OF ISSUER   TITLE OF CLASS    CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
--------------   ---------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- --------- ------
                                                                                       
HCP INC          COM              40414L109      53         1,200      SH             Sole                               1,200
HEALTH CARE
 REIT INC        COM              42217K106      58         1,000      SH             Sole                               1,000
HECLA MNG CO
 COM             COM              422704106     629         1,324      SH     CALL    Sole                        1,324
HECLA MNG CO
 COM             COM              422704106   1,286         2,708      SH     CALL    Sole                        2,708
HERSHEY CO
 COM             COM              427866108     137         1,900      SH             Sole                        1,900
HEWLETT
 PACKARD CO
 COM             COM              428236103     141         7,000      SH             Sole                        7,000
HILLSHIRE
 BRANDS CO
 COM ADDED       COM              432589109      53         1,840      SH             Sole                        1,840
HOLLYFRONTIER
 CORP COM        COM              436106108  14,066       397,000      SH             Sole                      397,000
HOLLYFRONTIER
 CORP COM        COM              436106108      71         2,000      SH             Sole                               2,000
IAMGOLD CORP
 COM             COM              450913108   1,475       125,000      SH             Sole                      125,000
IAMGOLD CORP
 COM             COM              450913108   1,770       150,000      SH             Sole                      150,000
IAMGOLD CORP
 COM             COM              450913108     242           205      SH     CALL    Sole                          205
IAMGOLD CORP
 COM             COM              450913108     242           205      SH     CALL    Sole                          205
IAMGOLD CORP
 COM             COM              450913108   2,804         2,376      SH     CALL    Sole                        2,376
IAMGOLD CORP
 COM             COM              450913108   3,002         2,544      SH     CALL    Sole                        2,544
IMPERIAL OIL
 LTD COM NEW     COM NEW          453038408  10,534       252,500      SH             Sole                      252,500
IMPERIAL OIL
 LTD COM NEW     COM NEW          453038408     542           130      SH     CALL    Sole                          130
ING ASIA PAC
 HGH DIVID EQ
 IN              COM              44983J107      78         5,000      SH             Sole                               5,000
INTEL CORP COM   COM              458140100     453        17,000      SH             Sole                       17,000
INTEL CORP COM   COM              458140100   1,039        39,000      SH             Sole                       39,000
INTEL CORP COM   COM              458140100      53         2,000      SH             Sole                               2,000
INTL PAPER CO
 COM             COM              460146103   9,665       334,300      SH             Sole                      334,300
INTEROIL CORP    COM              460951106     183         2,626      SH             Sole                               2,626
INTUITIVE
 SURGICAL INC
 COM NEW         COM NEW          46120E602     831         1,500      SH             Sole                        1,500
IRON MTN INC
 COM             COM              462846106     198         6,000      SH             Sole                        6,000
ISHARES INC
 MSCI MEX
 INVEST          MSCI MEX INVEST  464286822      40           650      SH             Sole                          650
ISHARES SILVER
 TRUST
 ISHARES         ISHARES          46428Q109      13           500      SH             Sole                          500
ISHARES SILVER
 TRUST
 ISHARES         ISHARES          46428Q109      27         1,000      SH             Sole                        1,000
ISHARES SILVER
 TRUST
 ISHARES         ISHARES          46428Q109      40         1,500      SH             Sole                               1,500
IVANHOE
 ENERGY INC
 COM             COM              465790103     197       414,100      SH             Sole                      414,100
IVANHOE
 ENERGY INC /
 CAD/            COM              465790103       9        19,550      SH             Sole                              19,550
JOHNSON &
 JOHNSON         COM              478160104     182         2,700      SH             Sole                               2,700
JPMORGAN
 ALERIAN MLP
 INDEX           ALERIAN ML ETN   46625H365     210         5,415      SH             Sole                               5,415
JPMORGAN
 ALERIAN MLP
 INDEX           ALERIAN ML ETN   46625H365     112         2,885      SH             Sole                               2,885
KIMBER RES INC
 COM             COM              49435N101   1,103     1,500,000      SH             Sole                    1,500,000
KIMBER RES INC
 COM             COM              49435N101      37        50,000      SH             Sole                              50,000
KIMBERLY
 CLARK CORP
 COM             COM              494368103     134         1,600      SH             Sole                        1,600
KINDER MORGAN
 INC DEL COM     COM              49456B101   9,299       288,600      SH             Sole                      288,600
KINDER MORGAN
 INC DEL COM     COM              49456B101     483           150      SH     CALL    Sole                          150
KINROSS GOLD
 CORP COM NO
 PAR             COM NO PAR       496902404  11,003     1,350,000      SH             Sole                    1,350,000
KINROSS GOLD
 CORP COM NO
 PAR             COM NO PAR       496902404       0             1      SH             Sole                            1
KINROSS GOLD
 CORP COM NO
 PAR             COM NO PAR       496902404   3,023         3,709      SH     CALL    Sole                        3,709
KINROSS GOLD
 CORP COM NO
 PAR             COM NO PAR       496902404   6,227         7,641      SH     CALL    Sole                        7,641
KINROSS GOLD
 CORP COM NO
 PAR             COM NO PAR       496902404   1,027         1,260      SH     CALL    Sole                        1,260
KINROSS GOLD
 CORP COM NO
 PAR             COM NO PAR       496902404   1,398         1,715      SH     CALL    Sole                        1,715
L-3
 COMMUNICATIONS
 HLDGS INC
 COM             COM              502424104     170         2,300      SH             Sole                        2,300
LAKE SHORE
 GOLD CORP
 COM             COM              510728108     894     1,000,000      SH             Sole                    1,000,000
LAM RESEARCH
 CORP COM        COM              512807108     170         4,500      SH             Sole                        4,500
LAS VEGAS
 SANDS CORP
 COM             COM              517834107     435        10,000      SH             Sole                       10,000
LAS VEGAS
 SANDS CORP
 COM             COM              517834107     957        22,000      SH             Sole                       22,000
LAS VEGAS
 SANDS CORP
 COM             COM              517834107     435           100      SH     PUT     Sole                          100
LAS VEGAS
 SANDS CORP
 COM             COM              517834107     957           220      SH     PUT     Sole                          220
LEXMARK INTL
 NEW CL A        CL A             529771107     159         6,000      SH             Sole                        6,000
LILLY ELI & CO   COM              532457108     107         2,500      SH             Sole                               2,500
LIMITED BRANDS
 INC COM         COM              532716107     153         3,600      SH             Sole                        3,600
LINKEDIN CORP
 COM CL A        CL A             53578A108     744         7,000      SH             Sole                        7,000
LORILLARD INC
 COM             COM              544147101     224         1,700      SH             Sole                        1,700
LYONDELLBASELL
 INDUSTRIES N    SHS-A-           N53745100     101         2,500      SH             Sole                               2,500
MAG SILVER
 CORP COM        COM              55903Q104   6,434       731,000      SH             Sole                      731,000
MAG SILVER
 CORPORATION
 /CAD/           COM              55903Q104      81         9,000      SH             Sole                               9,000






COLUMN 1             COLUMN 2       COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7      COLUMN 8
--------          ----------------- --------- -------- -----------------------------  ----------  -------- -------------------
                                                                                                            VOTING AUTHORITY
                                               VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   -------------------
NAME OF ISSUER     TITLE OF CLASS    CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE SHARED   NONE
--------------    ----------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- ------- ------
                                                                                       
MARATHON PETE
 CORP COM         COM               56585A102  12,353      275,000       SH             Sole                    275,000
MARKET VECTORS
 ETF TR AGRIBUS
 ETF              AGRIBUS ETF       57060U605     545          110       SH     CALL    Sole                        110
MARKET VECTORS
 ETF TR GOLD
 MINER ETF        GOLD MINER ETF    57060U100       1           20       SH             Sole                         20
MARKET VECTORS
 ETF TR GOLD
 MINER ETF        GOLD MINER ETF    57060U100       1           20       SH             Sole                         20
MARKET VECTORS
 ETF TR GOLD
 MINER ETF        GOLD MINER ETF    57060U100     931          208       SH     PUT     Sole                        208
MARKET VECTORS
 ETF TR GOLD
 MINER ETF        GOLD MINER ETF    57060U100   2,127          475       SH     PUT     Sole                        475
MARKET VECTORS
 ETF TR GOLD
 MINER ETF        GOLD MINER ETF    57060U100      25          520       SH     PUT     Sole                               520
MARKET VECTORS
 ETF TR
 INDONESIA ETF    INDONESIA ETF     57060U753      70        2,555       SH             Sole                      2,555
MARKET VECTORS
 ETF TR
 INDONESIA ETF    INDONESIA ETF     57060U753      41        1,495       SH             Sole                      1,495
MARKET VECTORS
 ETF TR JR GOLD
 MINERS E         JR GOLD MINERS E  57060U589       1           35       SH             Sole                         35
MARKET VECTORS
 ETF TR JR GOLD
 MINERS E         JR GOLD MINERS E  57060U589       1           35       SH             Sole                         35
MARKET VECTORS
 ETF TR OIL SVCS
 ETF              OIL SVCS ETF      57060U191   3,564        1,000       SH     PUT     Sole                      1,000
MARKET VECTORS
 ETF TR OIL SVCS
 ETF              OIL SVCS ETF      57060U191      19        1,000       SH     PUT     Sole                             1,000
MASTERCARD INC
 CL A             CL A              57636Q104     645        1,500       SH             Sole                      1,500
MASTERCARD INC
 CL A             CL A              57636Q104   1,161        2,700       SH             Sole                      2,700
MCEWEN MNG INC
 COM              COM               58039P107     903      300,000       SH             Sole                    300,000
MEAD JOHNSON
 NUTRITION CO
 COM              COM               582839106     223        2,770       SH             Sole                      2,770
MERCK & CO INC
 COM              COM               58933Y105     125        3,000       SH             Sole                             3,000
MICROCHIP
 TECHNOLOGY INC
 COM              COM               595017104      99        3,000       SH             Sole                             3,000
MIDWAY GOLD
 CORP COM         COM               598153104     369      265,800       SH             Sole                    265,800
MINES MGMT INC
 COM              COM               603432105     473      350,000       SH             Sole                    350,000
MONSANTO CO NEW
 COM              COM               61166W101  11,838      143,000       SH             Sole                    143,000
MONSTER
 BEVERAGE CORP
 COM              COM               611740101     285        4,000       SH             Sole                      4,000
MONSTER
 BEVERAGE CORP
 COM              COM               611740101     570        8,000       SH             Sole                      8,000
MOSAIC CO NEW
 COM              COM               61945C103     192        3,500       SH             Sole                      3,500
NABORS
 INDUSTRIES LTD
 SHS              SHS               G6359F103   1,440      100,000       SH             Sole                    100,000
NATIONAL OILWELL
 VARCO INC COM    COM               637071101   9,022      140,000       SH             Sole                    140,000
NATIONAL OILWELL
 VARCO INC COM    COM               637071101   1,289          200       SH     CALL    Sole                        200
NEVSUN RES LTD
 COM              COM               64156L101     648      200,000       SH             Sole                    200,000
NEW GOLD INC CDA
 COM              COM               644535106   1,663      175,000       SH             Sole                    175,000
NEW GOLD INC CDA
 COM              COM               644535106     238       25,000       SH             Sole                     25,000
NEWMONT MINING
 CORP COM         COM               651639106  18,686        3,852       SH     CALL    Sole                      3,852
NEWMONT MINING
 CORP COM         COM               651639106  37,440        7,718       SH     CALL    Sole                      7,718
NEWMONT MINING
 CORP COM         COM               651639106      58        1,200       SH             Sole                             1,200
NEXTERA ENERGY
 INC COM          COM               65339F101     213        3,100       SH             Sole                      3,100
NGP CAP RES CO
 COM              COM               62912R107     142       20,000       SH             Sole                            20,000
NGP CAP RES CO
 COM              COM               62912R107     142       20,000       SH             Sole                            20,000
NORTHROP
 GRUMMAN CORP
 COM              COM               666807102     191        3,000       SH             Sole                      3,000
NUSTAR ENERGY LP
 UNIT COM         COM               67058H102     291        5,400       SH             Sole                      5,400
NUSTAR ENERGY LP
 UNIT COM         COM               67058H102     162        3,000       SH             Sole                             3,000
OCEANEERING INTL
 INC COM          COM               675232102  11,008      230,000       SH             Sole                    230,000
OIL STS INTL INC
 COM              COM               678026105   9,566      144,500       SH             Sole                    144,500
OIL STS INTL INC
 COM              COM               678026105   1,986          300       SH     CALL    Sole                        300
P T
 TELEKOMUNIKASI
 INDONESIA
 SPONSORED ADR    SPONSORED ADR     715684106     213        6,120       SH             Sole                      6,120
PAN AMERICAN
 SILVER CORP COM  COM               697900108   3,378      200,000       SH             Sole                    200,000
PAN AMERICAN
 SILVER CORP COM  COM               697900108     375          222       SH     CALL    Sole                        222
PAN AMERICAN
 SILVER CORP COM  COM               697900108   4,675        2,768       SH     CALL    Sole                      2,768
PATTERSON
 COMPANIES INC
 COM              COM               703395103     193        5,600       SH             Sole                      5,600
PAYCHEX INC       COM               704326107      94        3,000       SH             Sole                             3,000
PEABODY ENERGY
 CORP COM         COM               704549104   9,416      384,000       SH             Sole                    384,000
PEABODY ENERGY
 CORP COM         COM               704549104   1,226          500       SH     CALL    Sole                        500
PEABODY ENERGY
 CORP COM         COM               704549104      49        2,000       SH             Sole                             2,000
PEPCO HOLDINGS
 INC COM          COM               713291102     186        9,500       SH             Sole                      9,500
PERFECT WORLD CO
 LTD SPON ADR
 REP B            SPON ADR REP B    71372U104      75        7,500       SH             Sole                      7,500
PERRIGO CO COM    COM               714290103     590        5,000       SH             Sole                      5,000
PETROCHINA CO
 LTD SPONSORED
 ADR              SPONSORED ADR     71646E100     646        5,000       SH             Sole                      5,000
PFIZER INC COM    COM               717081103     115        5,000       SH             Sole                             5,000
PHILIPPINE LONG
 DISTANCE TEL
 SPONSORED ADR    SPONSORED ADR     718252604     208        3,270       SH             Sole                      3,270
PHILLIPS 66 COM
 ADDED            COM               718546104      42        1,250       SH             Sole                      1,250
PIMCO ETF TR      0-5 HIGH YIELD    72201R783     110        1,100       SH             Sole                             1,100
PIONEER NAT RES
 CO COM           COM               723787107   9,403      106,600       SH             Sole                    106,600






COLUMN 1             COLUMN 2       COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7       COLUMN 8
--------          ----------------- --------- -------- -----------------------------  ----------  -------- ---------------------
                                                                                                             VOTING AUTHORITY
                                               VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   ---------------------
NAME OF ISSUER     TITLE OF CLASS    CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
--------------    ----------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- --------- ------
                                                                                         
PIONEER NAT
 RES CO COM       COM               723787107     882           100      SH     CALL    Sole                          100
PITNEY BOWES
 INC COM          COM               724479100      97         6,500      SH             Sole                               6,500
PLAINS ALL
 AMERN
 PIPELINE L
 UNIT LTD
 PARTN            UNIT LTD PARTN    726503105     137         1,700      SH             Sole                        1,700
PLATINUM
 GROUP
 METALS LTD
 COM NEW          COM NEW           72765Q205   1,891     2,265,000      SH             Sole                    2,265,000
PLATINUM
 GROUP
 METALS /CAD/     COM               72765Q205      64        75,000      SH             Sole                              75,000
PLUM CREEK
 TIMBER CO INC
 COM              COM               729251108  10,719       270,000      SH             Sole                      270,000
POLARIS INDS
 INC COM          COM               731068102   1,072        15,000      SH             Sole                       15,000
POTASH CORP
 SASK INC COM     COM               73755L107  11,102       254,100      SH             Sole                      254,100
POTASH CORP
 SASK INC COM     COM               73755L107     109         2,500      SH             Sole                               2,500
POWERSHARES
 DB GOLD FUND     DB GOLD FUND      73936B606     163         2,946      SH             Sole                               2,946
POWERSHARES
 DB GOLD FUND     DB GOLD FUND      73936B606      88         1,594      SH             Sole                               1,594
POWERSHARES
 DB SILVER
 FUND             DB SILVER FUND    73936B309      92         1,935      SH             Sole                               1,935
POWERSHARES
 DB SILVER
 FUND             DB SILVER FUND    73936B309      48         1,015      SH             Sole                               1,015
POWERSHARES
 DB
 AGRICULTURE
 FUND             DB AGRICUL FUND   73936B408     102         3,625      SH             Sole                               3,625
POWERSHARES
 DB
 AGRICULTURE
 FUND             DB AGRICUL FUND   73936B408      57         2,025      SH             Sole                               2,025
PPG INDS INC
 COM              COM               693506107     212         2,000      SH             Sole                        2,000
PPL CORP COM      COM               69351T106     267         9,600      SH             Sole                        9,600
PROGRESS
 ENERGY INC
 COM              COM               743263105     212         3,520      SH             Sole                        3,520
PROGRESSIVE
 CORP OHIO
 COM              COM               743315103     177         8,500      SH             Sole                        8,500
PROSHARES TR
 FTSE CHINA 25    FTSE CHINA 25     74347X658      66         1,495      SH             Sole                        1,495
PROSHARES TR
 FTSE CHINA 25    FTSE CHINA 25     74347X658      37           835      SH             Sole                          835
PROSHARES TR
 PSHS ULTSHRT
 QQQ              PSHS ULTSHRT QQQ  74347X237     162         5,000      SH             Sole                        5,000
PROSHARES TR
 PSHS ULTSHRT
 QQQ              PSHS ULTSHRT QQQ  74347X237     113         3,500      SH             Sole                        3,500
PROSHARES TR
 PSHS ULTSHRT
 QQQ              PSHS ULTSHRT QQQ  74347X237     324        10,000      SH             Sole                       10,000
PROSHARES TR
 PSHS ULTSHRT
 QQQ              PSHS ULTSHRT QQQ  74347X237      49         1,500      SH             Sole                               1,500
QUEST
 DIAGNOSTICS
 INC COM          COM               74834L100     180         3,000      SH             Sole                        3,000
QUESTCOR
 PHARMACEUTICALS
 INC COM          COM               74835Y101     426         8,000      SH             Sole                        8,000
QUESTCOR
 PHARMACEUTICALS
 INC COM          COM               74835Y101     958        18,000      SH             Sole                       18,000
RANDGOLD RES
 LTD ADR          ADR               752344309   6,058           673      SH     CALL    Sole                          673
RANDGOLD RES
 LTD ADR          ADR               752344309  12,799         1,422      SH     CALL    Sole                        1,422
REVETT
 MINERALS INC
 COM NEW          COM NEW           761505205   1,578       481,000      SH             Sole                      481,000
REYNOLDS
 AMERICAN INC     COM               761713106      67         1,500      SH             Sole                               1,500
RICHMONT
 MINES INC
 COM              COM               76547T106   1,111       240,000      SH             Sole                      240,000
RICHMONT
 MINES INC
 COM              COM               76547T106   2,477       535,000      SH             Sole                      535,000
ROSS STORES INC
 COM              COM               778296103     329         5,270      SH             Sole                        5,270
ROYAL GOLD INC
 COM              COM               780287108   5,880        75,000      SH             Sole                       75,000
RUBICON
 MINERALS
 CORP COM         COM               780911103   4,582     1,500,000      SH             Sole                    1,500,000
SAFEWAY INC
 COM NEW          COM NEW           786514208     156         8,600      SH             Sole                        8,600
SANDRIDGE
 MISSISSIPPIAN
 TR I SH BEN INT
 ADDED            SH BEN INT        80007V106   8,089       428,000      SH             Sole                      428,000
SEAGATE
 TECHNOLOGY
 PLC SHS          SHS               G7945M107     148         6,000      SH             Sole                        6,000
SEAGATE
 TECHNOLOGY
 PLC SHS          SHS               G7945M107     309        12,500      SH             Sole                       12,500
SELECT SECTOR
 SPDR TR SBI
 MATERIALS        SBI MATERIALS     81369Y900      40         2,000      SH     PUT     Sole                               2,000
SEMPRA ENERGY
 COM              COM               816851109     207         3,000      SH             Sole                        3,000
SHANDA GAMES
 LTD SP ADR
 REPTG A          SP ADR REPTG A    81941U105      70        17,500      SH             Sole                       17,500
SILVER STD RES
 INC COM          COM               82823L106   1,871         1,665      SH     CALL    Sole                        1,665
SILVER STD RES
 INC COM          COM               82823L106   4,148         3,690      SH     CALL    Sole                        3,690
SILVER
 WHEATON
 CORP COM         COM               828336107   2,416        90,000      SH             Sole                       90,000
SILVER
 WHEATON
 CORP COM         COM               828336107   4,831       180,000      SH             Sole                      180,000
SILVERCORP
 METALS INC
 COM              COM               82835P103     830       150,000      SH             Sole                      150,000
SIMON PPTY
 GROUP INC
 NEW COM          COM               828806109     140           900      SH             Sole                          900
SINA CORP ORD     ORD               G81477104     777        15,000      SH             Sole                       15,000
SM ENERGY CO
 COM              COM               78454L100     295            60      SH     CALL    Sole                           60
SMITHFIELD
 FOODS INC
 COM              COM               832248108   4,650       215,000      SH             Sole                      215,000
SOCIEDAD
 QUIMICA
 MINERA DE C
 SPON ADR SER
 B                SPON ADR SER B    833635105  10,533       189,200      SH             Sole                      189,200
SOCIEDAD
 QUIMICA
 MINERA DE C
 SPON ADR SER
 B                SPON ADR SER B    833635105     501            90      SH     CALL    Sole                           90
SOLITARIO EXPL
 & RTY CORP
 COM              COM               8342EP107   1,194       950,000      SH             Sole                      950,000
SOUTHERN CO
 COM              COM               842587107     310         6,700      SH             Sole                        6,700
SOUTHERN
 COPPER CORP
 COM              COM               84265V105  11,155       354,012      SH             Sole                      354,012
SPDR GOLD
 TRUST GOLD
 SHS              GOLD SHS          78463V107   1,940        12,500      SH             Sole                       12,500
SPDR GOLD
 TRUST GOLD
 SHS              GOLD SHS          78463V107   4,656        30,000      SH             Sole                       30,000
SPDR GOLD
 TRUST GOLD
 SHS              GOLD SHS          78463V107      31           200      SH             Sole                          200






COLUMN 1           COLUMN 2      COLUMN 3  COLUMN 4           COLUMN 5             COLUMN 6    COLUMN 7      COLUMN 8
--------         --------------- --------- -------- -----------------------------  ----------  -------- -------------------
                                                                                                         VOTING AUTHORITY
                                            VALUE      SHARES OR             PUT/  INVESTMENT   OTHER   -------------------
NAME OF ISSUER   TITLE OF CLASS   CUSIP    (X$1000) PRINCIPAL AMOUNT SH/PRN  CALL  DISCRETION  MANAGERS SOLE SHARED   NONE
--------------   --------------- --------- -------- ---------------- ------  ----- ----------  -------- ---- ------- ------
                                                                                    
SPDR GOLD
 TRUST GOLD
 SHS             GOLD SHS        78463V107     341          2,200     SH             Sole                      2,200
SPDR GOLD
 TRUST GOLD
 SHS             GOLD SHS        78463V107      47            300     SH             Sole                        300
SPDR GOLD
 TRUST GOLD
 SHS             GOLD SHS        78463V107     528             34     SH     CALL    Sole                         34
SPDR GOLD
 TRUST GOLD
 SHS             GOLD SHS        78463V107     388          2,500     SH             Sole                             2,500
SPDR GOLD
 TRUST GOLD
 SHS             GOLD SHS        78463V107     248          1,600     SH             Sole                             1,600
SPDR SERIES
 TRUST S&P
 OILGAS EXP      S&P OILGAS EXP  78464A730   5,040          1,000     SH     PUT     Sole                      1,000
SPDR SERIES
 TRUST S&P
 OILGAS EXP      S&P OILGAS EXP  78464A730      37          1,000     SH     PUT     Sole                             1,000
SPREADTRUM
 COMMUNICATIONS
 IN ADR          ADR             849415203     180         10,185     SH             Sole                     10,185
SPREADTRUM
 COMMUNICATIONS
 IN ADR          ADR             849415203      88          4,976     SH             Sole                      4,976
SPRINT NEXTEL
 CORP COM SER
 1               COM SER 1       852061100     222         68,000     SH             Sole                     68,000
STARBUCKS
 CORP COM        COM             855244109     320          6,000     SH             Sole                      6,000
STARBUCKS
 CORP COM        COM             855244109     800         15,000     SH             Sole                     15,000
SUNOCO INC
 COM             COM             86764P109     200          4,200     SH             Sole                      4,200
TAHOE RES INC
 COM ADDED       COM             873868103   2,073        150,000     SH             Sole                    150,000
TANGOE INC
 COM             COM             87582Y108     320         15,000     SH             Sole                     15,000
TANGOE INC
 COM             COM             87582Y108     959         45,000     SH             Sole                     45,000
TC PIPELINES LP
 UT COM LTD
 PRT             UT COM LTD PRT  87233Q108     108          2,500     SH             Sole                             2,500
TECO ENERGY
 INC COM         COM             872375100     184         10,200     SH             Sole                     10,200
TELECOM CORP
 NEW ZEALAND
 LTD
 SPONSORED
 ADR             SPONSORED ADR   879278208     267         28,295     SH             Sole                     28,295
TELECOM CORP
 NEW ZEALAND
 LTD
 SPONSORED
 ADR             SPONSORED ADR   879278208     217         23,000     SH             Sole                     23,000
TERADATA CORP
 DEL COM         COM             88076W103     216          3,000     SH             Sole                      3,000
TERADATA CORP
 DEL COM         COM             88076W103     432          6,000     SH             Sole                      6,000
TJX COS INC NEW
 COM             COM             872540109     339          7,900     SH             Sole                      7,900
TRANSDIGM
 GROUP INC
 COM             COM             893641100     940          7,000     SH             Sole                      7,000
TRAVELERS
 COMPANIES
 INC COM         COM             89417E109     192          3,000     SH             Sole                      3,000
TURKCELL
 ILETISIM
 HIZMETLERI
 SPON ADR NEW    SPON ADR NEW    900111204   1,004         80,000     SH             Sole                     80,000
TYSON FOODS
 INC CL A        CL A            902494103  14,691        780,200     SH             Sole                    780,200
TYSON FOODS
 INC CL A        CL A            902494103     584            310     SH     CALL    Sole                        310
UNION PAC CORP   COM             907818108      60            500     SH             Sole                               500
UNITED RENTALS
 INC COM         COM             911363109     511         15,000     SH             Sole                     15,000
URANIUM
 ENERGY CORP     COM             916896103     125         54,500     SH             Sole                            54,500
VALERO ENERGY
 CORP COM        COM             91913Y100      24          1,000     SH             Sole                             1,000
VANGUARD
 NATURAL
 RESOURCES
 LLC             COM UNIT        92205F106     154          5,950     SH             Sole                             5,950
VENTAS INC       COM             92276F100      63          1,000     SH             Sole                             1,000
VERISIGN INC
 COM             COM             92343E102     205          4,700     SH             Sole                      4,700
VERIZON
 COMMUNICATIONS
 INC COM         COM             92343V104     200          4,500     SH             Sole                      4,500
VERIZON
 COMMUNICATIONS
 INC COM         COM             92343V104     267          6,000     SH             Sole                      6,000
VODAFONE
 GROUP PLC
 NEW SPONS
 ADR NEW         SPONS ADR NEW   92857W209     218          7,730     SH             Sole                      7,730
WAL-MART
 STORES INC
 COM             COM             931142103     132          1,900     SH             Sole                      1,900
WALTER ENERGY
 INC COM         COM             93317Q105   7,816        177,000     SH             Sole                    177,000
WALTER ENERGY
 INC COM         COM             93317Q105   1,104            250     SH     CALL    Sole                        250
WEB COM GROUP
 INC COM         COM             94733A104     824         45,000     SH             Sole                     45,000
WESTERN GAS
 PARTNERS LP
 COM UNIT LP
 IN              COM UNIT LP IN  958254104  10,777        247,000     SH             Sole                    247,000
WESTERN REFNG
 INC COM         COM             959319104     779         35,000     SH             Sole                     35,000
WEYERHAEUSER
 CO COM          COM             962166104  11,775        526,600     SH             Sole                    526,600
WEYERHAEUSER
 CO COM          COM             962166104     112          5,000     SH             Sole                             5,000
WHITING USA TR
 II              TR UNIT         966388100      92          4,800     SH             Sole                             4,800
WHOLE FOODS
 MKT INC COM     COM             966837106     133          1,400     SH             Sole                      1,400
WINDSTREAM
 CORP COM        COM             97381W104     135         14,000     SH             Sole                     14,000
WISCONSIN
 ENERGY CORP
 COM             COM             976657106     214          5,400     SH             Sole                      5,400
WYNDHAM
 WORLDWIDE
 CORP COM        COM             98310W108     190          3,600     SH             Sole                      3,600
XINYUAN REAL
 ESTATE CO LTD
 SPONS ADR       SPONS ADR       98417P105      79         26,000     SH             Sole                     26,000
YAMANA GOLD
 INC COM         COM             98462Y100  11,596        753,000     SH             Sole                    753,000
YAMANA GOLD
 INC COM         COM             98462Y100   5,082        330,000     SH             Sole                    330,000
YAMANA GOLD
 INC COM         COM             98462Y100  10,164        660,000     SH             Sole                    660,000
YANDEX N V SHS
 CLASS A         SHS CLASS A     N97284108   3,359        176,300     SH             Sole                    176,300
ZIMMER HLDGS
 INC COM         COM             98956P102     193          3,000     SH             Sole                      3,000

                 GRAND TOTAL               883,759     45,170,817