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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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 78229-2327

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 B. McGee         San Antonio, TX              02/14/2013
------------------------  ------------------------  ------------------------
      [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)        442

   Form 13F Information Table Total Value (x1000)                  1,037,909




                          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
--------------     -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- ------- -----
                                                                                  
ACE LTD SHS         SHS           H0023R105     227        2,850        SH           Sole                    2,850
AETNA INC NEW
  COM               COM           00817Y108     185        4,000        SH           Sole                    4,000
AGNICO EAGLE
  MINES LTD COM     COM           89V99M946   3,373          643        SH   CALL    Sole                      643
AGNICO EAGLE
  MINES LTD COM     COM           2ZL99U251   4,118          785        SH   CALL    Sole                      785
AGNICO EAGLE
  MINES LTD COM     COM           89V99M946   6,752        1,287        SH   CALL    Sole                    1,287
AGNICO EAGLE
  MINES LTD COM     COM           008474108   7,869      150,000        SH           Sole                  150,000
AGNICO EAGLE
  MINES LTD COM     COM           2ZL99U251  12,354        2,355        SH   CALL    Sole                    2,355
AGNICO EAGLE
  MINES LTD COM     COM           008474108  18,361      350,000        SH           Sole                  350,000
AIRGAS INC COM      COM           009363102     210        2,300        SH           Sole                    2,300
ALERIAN MLP ETF     ALERIAN MLP   00162Q866      48        3,000        SH           Sole                          3,000
ALERIAN MLP ETF     ALERIAN MLP   00162Q866     104        6,550        SH           Sole                          6,550
ALEXION
  PHARMACEUTICALS
  INC COM           COM           015351109     188        2,000        SH           Sole                    2,000
ALEXION
  PHARMACEUTICALS
  INC COM           COM           015351109     750        8,000        SH           Sole                    8,000
ALLSTATE CORP
  COM               COM           020002101     225        5,600        SH           Sole                    5,600
ALLSTATE CORP
  COM               COM           020002101     108        2,700        SH           Sole                          2,700
ALMADEN
  MINERALS LTD
  COM               COM           020283107   1,858      580,000        SH           Sole                  580,000
ALTISOURCE
  PORTFOLIO
  SOLNS S REG SHS   REG SHS       L0175J104     607        7,000        SH           Sole                    7,000
ALTISOURCE
  RESIDENTIAL
  CORP CL B
  ADDED             CL B          02153W100      18        1,166        SH           Sole                    1,166
ALTRIA GROUP INC
  COM               COM           02209S103     101        3,200        SH           Sole                          3,200
AMEREN CORP COM     COM           023608102     172        5,600        SH           Sole                    5,600
AMERICAN INTL
  GROUP INC COM
  NEW               COM NEW       026874784     177        5,000        SH           Sole                    5,000
AMERICAN TOWER
  CORP NEW COM      COM           03027X100     232        3,000        SH           Sole                    3,000
AMERIPRISE FINL
  INC COM           COM           03076C106     213        3,400        SH           Sole                    3,400
AMGEN INC COM       COM           031162100     216        2,500        SH           Sole                    2,500
AMIRA NATURE
  FOODS LTD SHS
  ADDED             SHS           G0335L102     127       16,000        SH           Sole                   16,000
AMIRA NATURE
  FOODS LTD SHS
  ADDED             SHS           G0335L102     278       35,000        SH           Sole                   35,000
AMIRA NATURE
  FOODS LTD SHS
  ADDED             SHS           G0335L102   3,617      455,000        SH           Sole                  455,000
ANADARKO PETE
  CORP COM          COM           032511107     743       10,000        SH           Sole                   10,000
ANALOG DEVICES
  INC COM           COM           032654105      84        2,000        SH           Sole                    2,000
ANALOG DEVICES
  INC COM           COM           032654105     210        5,000        SH           Sole                    5,000
ANGLOGOLD
  ASHANTI LTD       SPONSORED
  SPONSORED ADR     ADR           9T199W959   1,437          458        SH   CALL    Sole                      458
ANGLOGOLD
  ASHANTI LTD       SPONSORED
  SPONSORED ADR     ADR           9T199W959   3,253        1,037        SH   CALL    Sole                    1,037
ANGLOGOLD
  ASHANTI LTD       SPONSORED
  SPONSORED ADR     ADR           9T199W934   6,412        2,044        SH   CALL    Sole                    2,044
AON PLC SHS CL A    SHS CL A      G0408V102     222        4,000        SH           Sole                    4,000
APPLE INC COM       COM           037833100     959        1,800        SH           Sole                    1,800
APPLE INC COM       COM           037833100   2,345        4,400        SH           Sole                    4,400
APPLE INC COM       COM           037833100     106          200        SH           Sole                          3,200
ASSURANT INC COM    COM           04621X108     174        5,000        SH           Sole                    5,000
AT&T INC COM        COM           00206R102     101        3,000        SH           Sole                          3,000
ATLAS ENERGY LP     COM UNITS
  COM UNITS LP      LP            04930A104   1,911       55,000        SH           Sole                   55,000
AURICO GOLD INC
  COM               COM           2WK993838   1,126        1,377        SH   CALL    Sole                    1,377
AURICO GOLD INC
  COM               COM           2WK993838   2,452        2,998        SH   CALL    Sole                    2,998
AUTONATION INC
  COM               COM           05329W102     179        4,500        SH           Sole                    4,500
AVIS BUDGET
  GROUP COM         COM           053774105     496       25,000        SH           Sole                   25,000
BALL CORP COM       COM           058498106     183        4,100        SH           Sole                    4,100
BALL CORP COM       COM           058498106     206        4,600        SH           Sole                    4,600
BANK OF AMERICA
  CORPORATION
  COM               COM           060505104     267       23,000        SH           Sole                   23,000
BARRICK GOLD
  CORP COM          COM           067901108   1,751       50,000        SH           Sole                   50,000
BARRICK GOLD
  CORP COM          COM           067901108   1,751       50,000        SH           Sole                   50,000






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
--------------  -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- --------- -----
                                                                                 
BARRICK GOLD
 CORP COM         COM          93W99V293   2,174           621       SH   CALL    Sole                        621
BARRICK GOLD
 CORP COM         COM          93W99V285  11,700         3,342       SH   CALL    Sole                      3,342
BARRICK GOLD
 CORP COM         COM          93W99V293  13,265         3,789       SH   CALL    Sole                      3,789
BARRICK GOLD
 CORP COM         COM          93W99V285  21,664         6,188       SH   CALL    Sole                      6,188
BAXTER
 INTERNATIONAL
 INC              COM          071813109     100         1,500       SH           Sole                            1,500
BEST BUY INC
 COM              COM          086516101      84         7,100       SH           Sole                      7,100
BHP BILLITON
 LTD
 SPONSORED        SPONSORED
 ADR              ADR          088606108     212         2,700       SH           Sole                      2,700
BHP BILLITON
 LTD
 SPONSORED        SPONSORED
 ADR              ADR          088606108  10,825       138,000       SH           Sole                    138,000
BIG LOTS INC
 COM              COM          089302103     171         6,000       SH           Sole                      6,000
BLACKROCK
 CREDIT ALL
 INC TR           COM          092508100     104         7,580       SH           Sole                            7,580
BRF-BRASIL
 FOODS S A
 SPONSORED        SPONSORED
 ADR              ADR          10552T107   6,966       330,000       SH           Sole                    330,000
BRISTOL MYERS
 SQUIBB CO        COM          110122108     103         3,150       SH           Sole                            3,150
BUNGE LIMITED
 COM              COM          G16962105   9,813       135,000       SH           Sole                    135,000
CAPITAL ONE
 FINL CORP
 COM              COM          14040H105     232         4,000       SH           Sole                      4,000
CARDTRONICS
 INC COM          COM          14161H108     356        15,000       SH           Sole                     15,000
CELGENE CORP
 COM              COM          151020104     394         5,000       SH           Sole                      5,000
CELGENE CORP
 COM              COM          151020104     866        11,000       SH           Sole                     11,000
CENTURYLINK
 INC COM          COM          156700106     156         4,000       SH           Sole                      4,000
CF INDS HLDGS
 INC COM          COM          125269100     609         3,000       SH           Sole                      3,000
CF INDS HLDGS
 INC COM          COM          125269100   6,196        30,500       SH           Sole                     30,500
CHART INDS INC    COM PAR
 COM PAR $0.01    $0.01        16115Q308     400         6,000       SH           Sole                      6,000
CHEVRON CORP
 NEW COM          COM          166764100     173         1,600       SH           Sole                      1,600
CHUYS HLDGS
 INC COM          COM          171604101     112         5,000       SH           Sole                      5,000
CHUYS HLDGS
 INC COM          COM          171604101     447        20,000       SH           Sole                     20,000
CIRRUS LOGIC
 INC COM          COM          172755100     435        15,000       SH           Sole                     15,000
CLAUDE RES INC
 COM              COM          182873109     304       549,500       SH           Sole                    549,500
CLAUDE RES INC
 COM              COM          182873109     449       810,500       SH           Sole                    810,500
CLAYMORE
 EXCHANGE         GUGG
 TRD FD TR        TIMBER ETF   18383Q879     100         4,900       SH           Sole                            4,900
CLAYMORE
 EXCHANGE         GUGG
 TRD FD TR        TIMBER ETF   18383Q879      57         2,800       SH           Sole                            2,800
CLIFFS NATURAL
 RESOURCES
 INC COM          COM          18683K101     231         6,000       SH           Sole                      6,000
COCA COLA CO
 COM              COM          191216100     102         2,800       SH           Sole                            2,800
COCA COLA
 ENTERPRISES
 INC NE COM       COM          19122T109     190         6,000       SH           Sole                      6,000
COEUR D ALENE
 MINES CORP
 IDA COM NEW      COM NEW      192108504   2,639       107,271       SH           Sole                    107,271
COEUR D ALENE
 MINES CORP
 IDA COM NEW      COM NEW      57N993217   4,721         1,919       SH   CALL    Sole                      1,919
COEUR D ALENE
 MINES CORP
 IDA COM NEW      COM NEW      192108504   5,946       241,700       SH           Sole                    241,700
COEUR D ALENE
 MINES CORP
 IDA COM NEW      COM NEW      57N993217   7,136         2,901       SH   CALL    Sole                      2,901
COHEN & STEERS
 CLOSED END
 OP               COM          19248P106     101         8,150       SH           Sole                            8,150
COMMVAULT
 SYSTEMS INC
 COM              COM          204166102     976        14,000       SH           Sole                     14,000
COMPANIA DE
 MINAS
 BUENAVENTU
 SPONSORED        SPONSORED
 ADR              ADR          204448104   1,438        40,000       SH           Sole                     40,000
COMPASS
 MINERALS
 INTL INC COM     COM          20451N101   3,736        50,000       SH           Sole                     50,000
COMSTOCK MNG
 INC COM          COM          205750102   1,197       525,000       SH           Sole                    525,000
COMSTOCK MNG
 INC COM          COM          205750102   2,337     1,025,000       SH           Sole                  1,025,000
CONCHO RES INC
 COM              COM          20605P101   8,056       100,000       SH           Sole                    100,000
CONOCOPHILLIPS
 COM              COM          20825C104     145         2,500       SH           Sole                      2,500
CONOCOPHILLIPS
 COM              COM          20825C104     110         1,900       SH           Sole                            1,900
CONSOL ENERGY
 INC COM          COM          20854P109  11,396       355,000       SH           Sole                    355,000
CONSTELLATION
 BRANDS INC
 CL A             CL A         21036P108     202         5,700       SH           Sole                      5,700
CORE
 LABORATORIES
 N V COM          COM          N22717107     547         5,000       SH           Sole                      5,000
COVENTRY
 HEALTH CARE
 INC COM          COM          222862104     170         3,800       SH           Sole                      3,800
CVS CAREMARK
 CORPORATION      COM          126650100     106         2,200       SH           Sole                            2,200
CYBERONICS INC
 COM              COM          23251P102     525        10,000       SH           Sole                     10,000
D R HORTON INC
 COM              COM          23331A109     253        12,800       SH           Sole                     12,800
D R HORTON INC
 COM              COM          23331A109     316        16,000       SH           Sole                     16,000
D R HORTON INC
 COM              COM          23331A109     692        35,000       SH           Sole                     35,000






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
--------------    -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- --------- ------
                                                                                   
DAVITA
 HEALTHCARE
 PARTNERS I COM     COM          23918K108     221         2,000       SH           Sole                      2,000
DAVITA
 HEALTHCARE
 PARTNERS I COM     COM          23918K108     774         7,000       SH           Sole                      7,000
DEVON ENERGY
 CORP NEW COM       COM          25179M103     651        12,500       SH           Sole                     12,500
DIAMOND
 OFFSHORE
 DRILLING IN
 COM                COM          25271C102     170         2,500       SH           Sole                      2,500
DIRECT MKTS
 HLDGS CORP
 COM DELETED        COM          25456U109       0        10,000       SH           Sole                     10,000
DIRECTV COM         COM          25490A309     171         3,400       SH           Sole                      3,400
DISCOVER FINL
 SVCS COM           COM          254709108     212         5,500       SH           Sole                      5,500
DISCOVERY
 COMMUNICATNS
 NEW COM SER A      COM SER A    25470F104     254         4,000       SH           Sole                      4,000
DOLBY
 LABORATORIES
 INC                COM          25659T107      47         1,600       SH           Sole                             1,600
DONNELLEY R R &
 SONS CO COM        COM          257867101     153        17,000       SH           Sole                     17,000
DRDGOLD LIMITED
 SPON ADR           SPON ADR
 REPSTG             REPSTG       26152H301     887       110,000       SH           Sole                    110,000
DXP ENTERPRISES
 INC NEW COM
 NEW                COM NEW      233377407     736        15,000       SH           Sole                     15,000
EATON VANCE TX
 MNG BY WRT OP      COM          27828Y108      50         4,030       SH           Sole                             4,030
EBAY INC COM        COM          278642103     306         6,000       SH           Sole                      6,000
EBAY INC COM        COM          278642103     867        17,000       SH           Sole                     17,000
ECOLAB INC COM      COM          278865100     209         2,900       SH           Sole                      2,900
ELDORADO GOLD
 CORP NEW COM       COM          284902103   2,576       200,000       SH           Sole                    200,000
ELDORADO GOLD
 CORP NEW COM       COM          284902103   4,250       330,000       SH           Sole                    330,000
EMERSON ELEC CO
 COM                COM          291011104     185         3,500       SH           Sole                      3,500
ENERPLUS CORP       COM          292766102     104         8,046       SH           Sole                             8,046
ENTERPRISE
 PRODS
 PARTNERS L
 COM                COM          293792107  10,767       215,000       SH           Sole                    215,000
ENTREE GOLD INC
 COM                COM          29383G100     680     1,500,000       SH           Sole                  1,500,000
ETFS PALLADIUM
 TR SH BEN INT      SH BEN INT   26923A106     208         3,000       SH           Sole                      3,000
ETFS PLATINUM TR
 SH BEN INT         SH BEN INT   26922V101   1,514        10,000       SH           Sole                     10,000
EXPRESS SCRIPTS
 HLDG CO COM        COM          30219G108     162         3,000       SH           Sole                      3,000
EXPRESS SCRIPTS
 HLDG CO COM        COM          30219G108     432         8,000       SH           Sole                      8,000
EXXON MOBIL
 CORP COM           COM          30231G102     173         2,000       SH           Sole                      2,000
EXXON MOBIL
 CORP COM           COM          30231G102     104         1,200       SH           Sole                             1,200
F M C CORP COM
 NEW                COM NEW      302491303     205         3,500       SH           Sole                      3,500
FIRST MAJESTIC
 SILVER CORP
 COM                COM          32076V103   2,625       130,000       SH           Sole                    130,000
FIRST MAJESTIC
 SILVER CORP
 COM                COM          32076V103   3,230       160,000       SH           Sole                    160,000
FIRST MAJESTIC
 SILVER CORP
 COM                COM          32076V103   4,947       245,000       SH           Sole                    245,000
FIRSTENERGY
 CORP COM           COM          337932107     167         4,000       SH           Sole                      4,000
FORTINET INC
 COM                COM          34959E109     316        15,000       SH           Sole                     15,000
FRANCO NEVADA
 CORP COM           COM          351858105   3,047        53,300       SH           Sole                     53,300
FRANCO NEVADA
 CORP COM           COM          351858105   5,145        90,000       SH           Sole                     90,000
FRANCO NEVADA
 CORP COM /CAD/     COM          351858105      11        29,000       SH    WTS    Sole                            29,000
FRANCO NEVADA
 CORP COM /CAD/     COM          351858105      44         4,948       SH    WTS    Sole                             4,948
FRONTIER
 COMMUNICATIONS
 CORP COM           COM          35906A108     128        30,000       SH           Sole                     30,000
GARTNER INC COM     COM          366651107     322         7,000       SH           Sole                      7,000
GARTNER INC COM     COM          366651107     644        14,000       SH           Sole                     14,000
GIANT
 INTERACTIVE
 GROUP INC ADR      ADR          374511103      93        17,100       SH           Sole                     17,100
GLOBAL X FDS        GLB X
                    URANIUM      37950E754     105        16,175       SH           Sole                            16,175
GLOBAL X FDS        GLB X
                    URANIUM      37950E754      59         9,025       SH           Sole                             9,025
GLOBAL X FDS
 FTSE               FTSE
 COLOMBIA20         COLOMBIA20   37950E200      49         2,200       SH           Sole                      2,200
GOLD FIELDS LTD
 NEW                SPONSORED
 SPONSORED ADR      ADR          5MY99Q542      97            78       SH   CALL    Sole                         78
GOLD FIELDS LTD
 NEW                SPONSORED
 SPONSORED ADR      ADR          5MY99Q518   2,429         1,945       SH   CALL    Sole                      1,945
GOLD FIELDS LTD
 NEW                SPONSORED
 SPONSORED ADR      ADR          5MY99Q542   3,575         2,862       SH   CALL    Sole                      2,862
GOLD FIELDS LTD
 NEW                SPONSORED
 SPONSORED ADR      ADR          5MY99Q518   6,070         4,860       SH   CALL    Sole                      4,860
GOLD STD
 VENTURES CORP
 COM                COM          380738104   1,162       880,000       SH           Sole                    880,000
GOLDCORP INC
 NEW COM            COM          380956409     330         9,000       SH           Sole                      9,000
GOLDCORP INC
 NEW COM            COM          6UN994635   2,393           652       SH   CALL    Sole                        652
GOLDCORP INC
 NEW COM            COM          3Z7992944   2,598           708       SH   CALL    Sole                        708
GOLDCORP INC
 NEW COM            COM          8AY99W591   3,670         1,000       SH   CALL    Sole                      1,000






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
--------------      -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- --------- -----
                                                                                     
GOLDCORP INC NEW
 COM                COM            8AY99W591   3,670         1,000       SH   CALL    Sole                      1,000
GOLDCORP INC NEW
 COM                COM            6UN994635   5,112         1,393       SH   CALL    Sole                      1,393
GOLDCORP INC NEW
 COM                COM            3Z7992944   5,358         1,460       SH   CALL    Sole                      1,460
GOLDCORP INC NEW
 COM                COM            8AY99W823   6,338         1,727       SH   CALL    Sole                      1,727
GOLDCORP INC NEW
 COM                COM            8AY99W823  14,691         4,003       SH   CALL    Sole                      4,003
GOLDEN MINERALS
 CO COM             COM            5NQ991718   1,441         3,140       SH   CALL    Sole                      3,140
GOLDEN STAR RES
 LTD CDA COM        COM            38119T104     506       275,000       SH           Sole                    275,000
GOLDEN STAR RES
 LTD CDA COM        COM            38119T104   1,012       550,000       SH           Sole                    550,000
GOOGLE INC CL A     CL A           38259P508     284           400       SH           Sole                        400
GRAN TIERRA
 ENERGY INC COM     COM            38500T101   6,860     1,245,000       SH           Sole                  1,245,000
GULFPORT ENERGY
 CORP COM NEW       COM NEW        402635304     917        24,000       SH           Sole                     24,000
HARBINGER GROUP
 INC                COM            41146A106      38         4,900       SH           Sole                            4,900
HARMONY GOLD
 MNG LTD
 SPONSORED ADR      SPONSORED ADR  413216300   4,032       450,000       SH           Sole                    450,000
HARMONY GOLD
 MNG LTD
 SPONSORED ADR      SPONSORED ADR  9XL994273   4,498         5,020       SH   CALL    Sole                      5,020
HARMONY GOLD
 MNG LTD
 SPONSORED ADR      SPONSORED ADR  413216300   5,376       600,000       SH           Sole                    600,000
HARMONY GOLD
 MNG LTD
 SPONSORED ADR      SPONSORED ADR  9XL994273   5,492         6,130       SH   CALL    Sole                      6,130
HCA HOLDINGS INC
 COM                COM            40412C101     603        20,000       SH           Sole                     20,000
HCA HOLDINGS INC
 COM                COM            40412C101     100         3,300       SH           Sole                            3,300
HEWLETT PACKARD
 CO COM             COM            428236103     185        13,000       SH           Sole                     13,000
HEWLETT PACKARD
 CO COM             COM            428236103      90         6,300       SH           Sole                            6,300
HOLLYFRONTIER
 CORP COM           COM            436106108   8,146       175,000       SH           Sole                    175,000
HORNBECK
 OFFSHORE SVCS
 INC N COM          COM            440543106     172         5,000       SH           Sole                      5,000
HORNBECK
 OFFSHORE SVCS
 INC N COM          COM            440543106     412        12,000       SH           Sole                     12,000
HORNBECK
 OFFSHORE SVCS
 INC N COM          COM            440543106   8,242       240,000       SH           Sole                    240,000
HUDSON CITY
 BANCORP COM        COM            443683107     229        28,200       SH           Sole                     28,200
IAMGOLD CORP
 COM                COM            7WJ99V304     266           232       SH   CALL    Sole                        232
IAMGOLD CORP
 COM                COM            7WJ99V304     267           233       SH   CALL    Sole                        233
IAMGOLD CORP
 COM                COM            7WJ99V312   2,881         2,512       SH   CALL    Sole                      2,512
IAMGOLD CORP
 COM                COM            7WJ99V312   3,083         2,688       SH   CALL    Sole                      2,688
IAMGOLD CORP
 COM                COM            7WJ99V296   3,301         2,878       SH   CALL    Sole                      2,878
IAMGOLD CORP
 COM                COM            7WJ99V296   6,334         5,522       SH   CALL    Sole                      5,522
ICICI BK LTD ADR    ADR            45104G104     240         5,500       SH           Sole                      5,500
INTEGRYS ENERGY
 GROUP INC COM      COM            45822P105     162         3,100       SH           Sole                      3,100
INTEL CORP          COM            458140100     103         5,000       SH           Sole                            5,000
INTERCONTINENTAL
 HTLS GRP PL SPON
 ADR NEW 12         SPON ADR NEW
 ADDED              12             45857P400     256         9,200       SH           Sole                      9,200
INTERNATIONAL
 BUSINESS MACHS
 COM                COM            459200101     172           900       SH           Sole                        900
INTERNATIONAL
 BUSINESS MACHS
 COM                COM            459200101      96           500       SH           Sole                              500
INTERNATIONAL
 FLAVORS&FRAGRA
 COM                COM            459506101     206         3,100       SH           Sole                      3,100
INTEROIL CORP       COM            460951106     146         2,626       SH           Sole                            2,626
INTL PAPER CO COM   COM            460146103     207         5,200       SH           Sole                      5,200
INTL PAPER CO COM   COM            460146103  10,757       270,000       SH           Sole                    270,000
IRON MTN INC COM    COM            462846106     203         6,532       SH           Sole                      6,532
ISHARES INC MSCI
 BRAZIL             MSCI BRAZIL    464286400      42           750       SH           Sole                        750
ISHARES INC MSCI    MSCI CHILE
 CHILE INVES        INVES          464286640      44           700       SH           Sole                        700
ISHARES INC MSCI    MSCI HONG
 HONG KONG          KONG           464286871      40         2,040       SH           Sole                      2,040
ISHARES INC MSCI    MSCI HONG
 HONG KONG          KONG           464286871     143         7,360       SH           Sole                      7,360
ISHARES INC MSCI
 MALAYSIA           MSCI MALAYSIA  464286830      33         2,200       SH           Sole                      2,200
ISHARES INC MSCI
 MALAYSIA           MSCI MALAYSIA  464286830     144         9,500       SH           Sole                      9,500
ISHARES INC MSCI S
 KOREA              MSCI S KOREA   464286772      41           640       SH           Sole                        640
ISHARES INC MSCI S
 KOREA              MSCI S KOREA   464286772     153         2,410       SH           Sole                      2,410
ISHARES INC MSCI
 SINGAPORE          MSCI SINGAPORE 464286673     157        11,500       SH           Sole                     11,500
ISHARES INC MSCI
 TAIWAN             MSCI TAIWAN    464286731      34         2,500       SH           Sole                      2,500
ISHARES INC MSCI
 TAIWAN             MSCI TAIWAN    464286731     147        10,800       SH           Sole                     10,800
ISHARES INC MSCI
 THAILAND           MSCI THAILAND  464286624      41           500       SH           Sole                        500






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
--------------    -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- --------- ------
                                                                                   
ISHARES INC MSCI    MSCI
 THAILAND           THAILAND     464286624     153         1,850       SH           Sole                      1,850
ISHARES INC MSCI    MSCI
 TURKEY FD          TURKEY
                    FD           464286715      40           600       SH           Sole                        600
ISHARES SILVER
 TRUST ISHARES      ISHARES      46428Q109      44         1,500       SH           Sole                             1,500
ISHARES TR FTSE     FTSE
 CHINA25 IDX        CHINA25
                    IDX          5QQ995597      81            20       SH   CALL    Sole                         20
ISHARES TR FTSE     FTSE
 CHINA25 IDX        CHINA25
                    IDX          5QQ995613      81            20       SH   CALL    Sole                         20
ISHARES TR FTSE     FTSE
 CHINA25 IDX        CHINA25
                    IDX          464287184     166         4,100       SH           Sole                      4,100
ISHARES TR FTSE     FTSE
 CHINA25 IDX        CHINA25
                    IDX          5QQ995688     202            50       SH   CALL    Sole                         50
ISHARES TR FTSE     FTSE
 CHINA25 IDX        CHINA25
                    IDX          5QQ995720   1,214           300       SH   CALL    Sole                        300
ISHARES TR MSCI     MSCI
 PERU CAP           PERU CAP     464289842      35           770       SH           Sole                        770
ISHARES TR US       US PFD
 PFD STK IDX        STK IDX      464288687      55         1,400       SH           Sole                             1,400
IVANHOE ENERGY
 INC COM            COM          465790103     296       414,100       SH           Sole                    414,100
IVANHOE ENERGY
 INC /CAD/          COM          465790103      13        19,550       SH           Sole                            19,550
KIMBER RES INC
 COM                COM          49435N101     570     1,500,000       SH           Sole                  1,500,000
KINDER MORGAN
 INC DEL COM        COM          49456B101  11,609       328,600       SH           Sole                    328,600
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          496902404       0             1       SH           Sole                          1
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          496902404   1,118       115,000       SH           Sole                    115,000
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          6W4992297   1,366         1,404       SH   CALL    Sole                      1,404
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          6W4992297   1,850         1,901       SH   CALL    Sole                      1,901
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          4XP99U219   2,597         2,669       SH   CALL    Sole                      2,669
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          496902404   2,673       275,000       SH           Sole                    275,000
KINROSS GOLD
 CORP COM NO        COM NO
 PAR                PAR          4XP99U219   5,199         5,342       SH   CALL    Sole                      5,342
KROGER CO COM       COM          501044101     169         6,500       SH           Sole                      6,500
LAS VEGAS SANDS
 CORP COM           COM          517834107     231         5,000       SH           Sole                      5,000
LAS VEGAS SANDS
 CORP COM           COM          517834107     508        11,000       SH           Sole                     11,000
LENNAR CORP CL
 A                  CL A         526057104     232         6,000       SH           Sole                      6,000
LILLY ELI & CO      COM          532457108      99         2,000       SH           Sole                             2,000
LINKEDIN CORP
 COM CL A           COM CL A     53578A108     804         7,000       SH           Sole                      7,000
LOCKHEED
 MARTIN CORP        COM          539830109     111         1,200       SH           Sole                             1,200
LORILLARD INC
 COM                COM          544147101     198         1,700       SH           Sole                      1,700
LYONDELLBASELL
 INDUSTRIES N
 SHS - A -          SHS - A -    N53745100     154         2,700       SH           Sole                      2,700
LYONDELLBASELL
 INDUSTRIES N
 SHS - A -          SHS - A -    N53745100     183         3,200       SH           Sole                      3,200
LYONDELLBASELL
 INDUSTRIES N
 SHS - A -          SHS - A -    N53745100   5,709       100,000       SH           Sole                    100,000
M/I HOMES INC
 COM                COM          55305B101     265        10,000       SH           Sole                     10,000
MAG SILVER CORP
 COM                COM          55903Q104   7,786       760,000       SH           Sole                    760,000
MARATHON PETE
 CORP COM           COM          56585A102     214         3,400       SH           Sole                      3,400
MARATHON PETE
 CORP COM           COM          56585A102   7,875       125,000       SH           Sole                    125,000
MARKET VECTORS
 ETF TR COAL
 ETF                COAL ETF     57060U837     106         4,200       SH           Sole                             4,200
MARKET VECTORS
 ETF TR COAL
 ETF                COAL ETF     57060U837      58         2,300       SH           Sole                             2,300
MARKET VECTORS      GOLD
 ETF TR GOLD        MINER
 MINER ETF          ETF          57060U100       1            20       SH           Sole                         20
MARKET VECTORS      GOLD
 ETF TR GOLD        MINER
 MINER ETF          ETF          57060U100       1            20       SH           Sole                         20
MARKET VECTORS      GOLD
 ETF TR GOLD        MINER
 MINER ETF          ETF          04B993576   9,116         1,965       SH   CALL    Sole                      1,965
MARKET VECTORS      GOLD
 ETF TR GOLD        MINER
 MINER ETF          ETF          04B993576   9,116         1,965       SH   CALL    Sole                      1,965
MARKET VECTORS      GOLD
 ETF TR GOLD        MINER
 MINER ETF          ETF          04B993600   9,222         1,988       SH   CALL    Sole                      1,988
MARKET VECTORS      GOLD
 ETF TR GOLD        MINER
 MINER ETF          ETF          04B993600  18,449         3,977       SH   CALL    Sole                      3,977
MARKET VECTORS
 ETF TR JR GOLD     JR GOLD
 MINERS E           MINERS E     57060U589       1            35       SH           Sole                         35
MARKET VECTORS
 ETF TR JR GOLD     JR GOLD
 MINERS E           MINERS E     57060U589       1            35       SH           Sole                         35
MARKET VECTORS
 ETF TR JR GOLD     JR GOLD
 MINERS E           MINERS E     999991755   5,792         2,925       SH   CALL    Sole                      2,925
MARKET VECTORS
 ETF TR JR GOLD     JR GOLD
 MINERS E           MINERS E     999991755   5,891         2,975       SH   CALL    Sole                      2,975
MARKET VECTORS
 ETF TR JR GOLD     JR GOLD
 MINERS E           MINERS E     6YH990467   9,799         4,949       SH   CALL    Sole                      4,949
MARKET VECTORS
 ETF TR JR GOLD     JR GOLD
 MINERS E           MINERS E     6YH990467  17,664         8,921       SH   CALL    Sole                      8,921
MARKET VECTORS
 ETF TR RUSSIA      RUSSIA
 ETF                ETF          57060U506      42         1,390       SH           Sole                      1,390
MARKET VECTORS
 ETF TR RUSSIA      RUSSIA
 ETF                ETF          7QG996164  14,985         5,000       SH   CALL    Sole                      5,000
MARKET VECTORS
 ETF TR RUSSIA      RUSSIA
 ETF                ETF          7QG996172  15,785         5,267       SH   CALL    Sole                      5,267
MARTIN
 MARIETTA
 MATLS INC COM      COM          573284106  11,493       121,900       SH           Sole                    121,900






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
--------------    -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- ------- -----
                                                                                 
MASTERCARD
 INC CL A           CL A         57636Q104     737        1,500        SH           Sole                    1,500
MASTERCARD
 INC CL A           CL A         57636Q104   1,326        2,700        SH           Sole                    2,700
MAXIM
 INTEGRATED
 PRODS INC
 COM                COM          57772K101     118        4,000        SH           Sole                    4,000
MAXIM
 INTEGRATED
 PRODS INC
 COM                COM          57772K101     176        6,000        SH           Sole                    6,000
MAXIM
 INTEGRATED
 PRODS INC
 COM                COM          57772K101     412       14,000        SH           Sole                   14,000
MCDONALDS
 CORP               COM          580135101     115        1,300        SH           Sole                          1,300
MCEWEN MNG
 INC COM            COM          58039P107   1,149      300,000        SH           Sole                  300,000
MCKESSON CORP
 COM                COM          58155Q103     271        2,800        SH           Sole                    2,800
MEADWESTVACO
 CORP COM           COM          583334107     207        6,500        SH           Sole                    6,500
MERCK & CO INC
 NEW COM            COM          58933Y105     250        6,100        SH           Sole                    6,100
MICHAEL KORS
 HLDGS LTD SHS      SHS          G60754101     612       12,000        SH           Sole                   12,000
MIDWAY GOLD
 CORP COM           COM          598153104     795      571,863        SH           Sole                  571,863
MONSANTO CO
 NEW COM            COM          61166W101     208        2,200        SH           Sole                    2,200
MONSANTO CO
 NEW COM            COM          61166W101  10,459      110,500        SH           Sole                  110,500
MOSAIC CO NEW
 COM                COM          61945C103     181        3,200        SH           Sole                    3,200
MOTOROLA
 SOLUTIONS INC
 COM NEW            COM NEW      620076307     195        3,500        SH           Sole                    3,500
MYLAN INC COM       COM          628530107     330       12,000        SH           Sole                   12,000
NATIONAL
 OILWELL
 VARCO INC
 COM                COM          637071101  10,936      160,000        SH           Sole                  160,000
NATIONAL
 OILWELL
 VARCO INC
 COM                COM          637071101      68        1,000        SH           Sole                          1,000
NETEASE INC
 SPONSORED          SPONSORED
 ADR                ADR          64110W102     170        4,000        SH           Sole                    4,000
NEVSUN RES LTD
 COM                COM          64156L101   1,605      375,000        SH           Sole                  375,000
NEW GOLD INC
 CDA COM            COM          644535106   2,206      200,000        SH           Sole                  200,000
NEWFIELD EXPL
 CO COM             COM          651290108   3,883      145,000        SH           Sole                  145,000
NEWMONT
 MINING CORP
 COM                COM          4X299W020   4,653        1,002        SH   CALL    Sole                    1,002
NEWMONT
 MINING CORP
 COM                COM          4X299W020   9,302        2,003        SH   CALL    Sole                    2,003
NEWMONT
 MINING CORP
 COM                COM          08N99V721  13,361        2,877        SH   CALL    Sole                    2,877
NEWMONT
 MINING CORP
 COM                COM          08N99V721  26,717        5,753        SH   CALL    Sole                    5,753
NEWS CORP CL A      CL A         65248E104     255       10,000        SH           Sole                   10,000
NORFOLK
 SOUTHERN
 CORP COM           COM          655844108     173        2,800        SH           Sole                    2,800
NORTHROP
 GRUMMAN
 CORP COM           COM          666807102     203        3,000        SH           Sole                    3,000
NRG ENERGY INC
 COM NEW            COM NEW      629377508     186        8,100        SH           Sole                    8,100
NUCOR CORP
 COM                COM          670346105     207        4,800        SH           Sole                    4,800
NUVEEN PFD
 INCOME
 OPPRTNY FD         COM          67073B106      52        5,375        SH           Sole                          5,375
NUVEEN CR
 STRATEGIES
 INCM FD            COM SHS      67073D102      53        5,500        SH           Sole                          5,500
OCCIDENTAL
 PETROLEUM
 CORP               COM          674599105      77        1,000        SH           Sole                          1,000
OI S.A. SPN ADR     SPN ADR
 REP PFD            REP PFD      670851203      88       22,000        SH           Sole                   22,000
OIL STS INTL INC
 COM                COM          678026105  11,089      155,000        SH           Sole                  155,000
OLD DOMINION
 FGHT LINES
 INC COM            COM          679580100     686       20,000        SH           Sole                   20,000
PAN AMERICAN
 SILVER CORP
 COM                COM          97K99V214     431          230        SH   CALL    Sole                      230
PAN AMERICAN
 SILVER CORP
 COM                COM          697900108     937       50,000        SH           Sole                   50,000
PAN AMERICAN
 SILVER CORP
 COM                COM          697900108   4,683      250,000        SH           Sole                  250,000
PAN AMERICAN
 SILVER CORP
 COM                COM          97K99V214   5,376        2,870        SH   CALL    Sole                    2,870
PATTERSON
 COMPANIES
 INC COM            COM          703395103     171        5,000        SH           Sole                    5,000
PEOPLES UNITED
 FINANCIAL INC
 COM                COM          712704105     166       13,700        SH           Sole                   13,700
PEPCO HOLDINGS
 INC COM            COM          713291102     173        8,800        SH           Sole                    8,800
PEREGRINE
 SEMICONDUCTOR
 CORP COM           COM          71366R703     536       35,000        SH           Sole                   35,000
PERFECT WORLD
 CO LTD SPON        SPON ADR
 ADR REP B          REP B        71372U104      95        8,900        SH           Sole                    8,900
PERRIGO CO COM      COM          714290103     416        4,000        SH           Sole                    4,000
PHILIP MORRIS
 INTERNATIONAL
 INC                COM          718172109     100        1,200        SH           Sole                          1,200
PHILLIPS 66 COM     COM          718546104     133        2,500        SH           Sole                    2,500
PHILLIPS 66 COM     COM          718546104   7,965      150,000        SH           Sole                  150,000
PIMCO ETF TR        0-5 HIGH
                    YIELD        72201R783     114        1,100        SH           Sole                          1,100
PIONEER ENERGY
 SVCS CORP
 COM                COM          723664108   6,534      900,000        SH           Sole                  900,000
PIONEER NAT RES
 CO COM             COM          723787107  11,362      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
--------------      -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- --------- ------
                                                                                     
PLATINUM GROUP
 METALS LTD COM
 NEW                COM NEW        72765Q205   1,848     2,265,000       SH           Sole                  2,265,000
PLATINUM GROUP
 METALS /CAD/       COM            72765Q205      61        75,000       SH           Sole                            75,000
PLUM CREEK
 TIMBER CO INC
 COM                COM            729251108  10,871       245,000       SH           Sole                    245,000
POLARIS INDS INC
 COM                COM            731068102     842        10,000       SH           Sole                     10,000
POTASH CORP SASK
 INC COM            COM            73755L107   9,200       226,100       SH           Sole                    226,100
POWERSHARES DB
 MULTI SECT
 COMM               DB OIL FUND    73936B507      97         3,730       SH           Sole                             3,730
POWERSHARES DB
 MULTI SECT
 COMM               DB OIL FUND    73936B507      56         2,170       SH           Sole                             2,170
POWERSHARES ETF
 TRUST              FINL PFD PTFL  73935X229      53         2,900       SH           Sole                             2,900
POWERSHARES
 INDIA ETF TR
 INDIA PORT         INDIA PORT     73935L100      34         1,850       SH           Sole                      1,850
PRETIUM RES INC
 COM                COM            74139C102   2,972       225,000       SH           Sole                    225,000
PRUDENTIAL PLC
 ADR                ADR            74435K204     223         7,820       SH           Sole                      7,820
PULTE GROUP INC
 COM                COM            745867101     254        14,000       SH           Sole                     14,000
QEP RES INC COM     COM            74733V100     757        25,000       SH           Sole                     25,000
QIHOO 360
 TECHNOLOGY CO
 LTD ADS            ADS            74734M109     208         7,000       SH           Sole                      7,000
QUEST
 DIAGNOSTICS INC
 COM                COM            74834L100     175         3,000       SH           Sole                      3,000
RANDGOLD RES LTD
 ADR                ADR            752344309     199         2,000       SH           Sole                      2,000
RANDGOLD RES LTD
 ADR                ADR            752344309     248         2,500       SH           Sole                      2,500
RANDGOLD RES LTD
 ADR                ADR            44L990114   2,114           213       SH   CALL    Sole                        213
RANDGOLD RES LTD
 ADR                ADR            44L990114   4,933           497       SH   CALL    Sole                        497
RANDGOLD RES LTD
 ADR                ADR            0ZR99S443   5,568           561       SH   CALL    Sole                        561
RANDGOLD RES LTD
 ADR                ADR            752344309   9,925       100,000       SH           Sole                    100,000
RANDGOLD RES LTD
 ADR                ADR            752344309      50           500       SH           Sole                               500
RANDGOLD RES LTD
 ADR                ADR            0ZR99S443  13,984         1,409       SH   CALL    Sole                      1,409
RAYTHEON CO         COM            755111507     109         1,900       SH           Sole                             1,900
RDA
 MICROELECTRONICS
 INC SPONSORED
 ADR                SPONSORED ADR  749394102      82         7,600       SH           Sole                      7,600
RELIANCE STEEL &
 ALUMINUM CO
 COM                COM            759509102   7,949       128,000       SH           Sole                    128,000
REVETT MINERALS
 INC COM NEW        COM NEW        761505205     703       250,000       SH           Sole                    250,000
RICHMONT MINES
 INC COM            COM            76547T106     151        50,000       SH           Sole                     50,000
RICHMONT MINES
 INC COM            COM            76547T106     632       210,000       SH           Sole                    210,000
RIO TINTO PLC
 SPONSORED ADR      SPONSORED ADR  767204100     209         3,600       SH           Sole                      3,600
ROYAL BK
 SCOTLAND GROUP
 PLC SPONS ADR 20   SPONS ADR 20
 ORD                ORD            780097689     259        24,000       SH           Sole                     24,000
ROYAL GOLD INC
 COM                COM            780287108   3,252        40,000       SH           Sole                     40,000
RUBICON MINERALS
 CORP COM           COM            780911103   1,927       750,000       SH           Sole                    750,000
SAFEWAY INC COM
 NEW                COM NEW        786514208     217        12,000       SH           Sole                     12,000
SANDSTORM GOLD
 LTD COM NEW        COM NEW        80013R206   4,833       410,000       SH           Sole                    410,000
SANDSTORM GOLD
 LTD COM /CAD/      COM            80013R206     175        15,000       SH           Sole                            15,000
SEAGATE
 TECHNOLOGY PLC
 SHS                SHS            G7945M107     201         6,600       SH           Sole                      6,600
SHANDA GAMES
 LTD SP ADR
 REPTG A            SP ADR REPTG A 81941U105      53        17,500       SH           Sole                     17,500
SILVER BULL RES
 INC COM            COM            827458100     453     1,054,400       SH           Sole                  1,054,400
SILVER STD RES INC
 COM                COM            78D99V261   1,622         1,089       SH   CALL    Sole                      1,089
SILVER STD RES INC
 COM                COM            78D99V261   3,091         2,076       SH   CALL    Sole                      2,076
SILVER WHEATON
 CORP COM           COM            55C993924   1,811           502       SH   CALL    Sole                        502
SILVER WHEATON
 CORP COM           COM            55C993924   3,637         1,008       SH   CALL    Sole                      1,008
SILVER WHEATON
 CORP COM           COM            828336107   7,216       200,000       SH           Sole                    200,000
SILVER WHEATON
 CORP COM           COM            828336107   9,922       275,000       SH           Sole                    275,000
SILVERCREST MINES
 INC COM            COM            828365106     384       150,000       SH           Sole                    150,000
SILVERCREST MINES
 INC COM            COM            828365106     832       325,000       SH           Sole                    325,000
SINA CORP ORD       ORD            6YJ992834     151            30       SH   CALL    Sole                         30
SLM CORP COM        COM            78442P106     188        11,000       SH           Sole                     11,000
SM ENERGY CO COM    COM            78454L100   1,305        25,000       SH           Sole                     25,000
SMITHFIELD FOODS
 INC COM            COM            832248108  10,785       500,000       SH           Sole                    500,000
SOCIEDAD QUIMICA
 MINERA DE C
 SPON ADR SER B     SPON ADR SER B 833635105  14,698       255,000       SH           Sole                    255,000
SOLITARIO EXPL &
 RTY CORP COM       COM            8342EP107   1,623       966,200       SH           Sole                    966,200
SOUTHERN COPPER
 CORP COM           COM            84265V105  10,601       280,000       SH           Sole                    280,000






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
--------------     -------------- --------- -------- ---------------- ------ ---- ---------- -------- ---- ------- ------
                                                                                  
SOUTHWESTERN
 ENERGY CO COM      COM           845467109   7,016      210,000        SH           Sole                  210,000
SPDR GOLD TRUST
 GOLD SHS           GOLD SHS      8SS99W128     486           30        SH   CALL    Sole                       30
SPDR GOLD TRUST
 GOLD SHS           GOLD SHS      1TH996791     486           30        SH   CALL    Sole                       30
SPDR GOLD TRUST
 GOLD SHS           GOLD SHS      78463V107   4,455       27,500        SH           Sole                   27,500
SPDR GOLD TRUST
 GOLD SHS           GOLD SHS      78463V107   5,265       32,500        SH           Sole                   32,500
SPDR GOLD TRUST
 GOLD SHS           GOLD SHS      78463V107     405        2,500        SH           Sole                           2,500
SPDR GOLD TRUST
 GOLD SHS           GOLD SHS      78463V107     259        1,600        SH           Sole                           1,600
SPDR SERIES TRUST
 S&P BK ETF         S&P BK ETF    78464A797     191        8,000        SH           Sole                    8,000
SPDR SERIES TRUST
 S&P BK ETF         S&P BK ETF    78464A797     357       15,000        SH           Sole                   15,000
SPDR SERIES TRUST
 S&P REGL BKG       S&P REGL BKG  78464A698     280       10,000        SH           Sole                   10,000
SPDR SERIES TRUST
 S&P REGL BKG       S&P REGL BKG  78464A698     559       20,000        SH           Sole                   20,000
SPREADTRUM
 COMMUNICATIONS
 IN ADR             ADR           849415203      63        3,600        SH           Sole                    3,600
SPROTT PHYSICAL
 SILVER TR TR
 UNIT               TR UNIT       85207K107   1,204      100,000        SH           Sole                  100,000
SPROTT RESOURCE
 LENDING CORP
 COM                COM           85207J100     853      550,000        SH           Sole                  550,000
SUSSER PETE
 PARTNERS LP        COM U REP LP  869239103      25        1,000        SH           Sole                           1,000
SYNOVUS FINL
 CORP COM           COM           87161C105     230       94,000        SH           Sole                   94,000
TAHOE RES INC
 COM                COM           873868103   5,496      300,000        SH           Sole                  300,000
TARGET CORP         COM           87612E106     107        1,800        SH           Sole                           1,800
TESORO CORP COM     COM           881609101     132        3,000        SH           Sole                    3,000
TIMMINS GOLD
 CORP COM           COM           88741P103     678      225,000        SH           Sole                  225,000
TIMMINS GOLD
 CORP COM           COM           88741P103   1,551      515,000        SH           Sole                  515,000
TJX COS INC NEW
 COM                COM           872540109     233        5,500        SH           Sole                    5,500
TOYOTA MOTOR
 CORP SP ADR        SP ADR
 REP2COM            REP2COM       892331307     280        3,000        SH           Sole                    3,000
TURKCELL ILETISIM
 HIZMETLERI         SPON ADR
 SPON ADR NEW       NEW           900111204   2,771      171,700        SH           Sole                  171,700
TYSON FOODS INC
 CL A               CL A          902494103  10,592      546,000        SH           Sole                  546,000
ULTA SALON
 COSMETCS &
 FRAG I COM         COM           90384S303     197        2,000        SH           Sole                    2,000
ULTA SALON
 COSMETCS &
 FRAG I COM         COM           90384S303     688        7,000        SH           Sole                    7,000
UNION PAC CORP
 COM                COM           907818108     377        3,000        SH           Sole                    3,000
UNION PAC CORP
 COM                COM           907818108     754        6,000        SH           Sole                    6,000
UNITED RENTALS
 INC COM            COM           911363109     137        3,000        SH           Sole                    3,000
UNITED RENTALS
 INC COM            COM           911363109     228        5,000        SH           Sole                    5,000
UNITED RENTALS
 INC COM            COM           911363109   1,001       22,000        SH           Sole                   22,000
UNITED STATES       UNIT PAR
 NATL GAS FUND      $0.001        912318201      82        4,355        SH           Sole                           4,355
UNITED STATES       UNIT PAR
 NATL GAS FUND      $0.001        912318201      48        2,545        SH           Sole                           2,545
UNITED STATES STL
 CORP NEW COM       COM           912909108     208        8,700        SH           Sole                    8,700
URANIUM ENERGY
 CORP               COM           916896103     140       54,500        SH           Sole                          54,500
V F CORP COM        COM           918204108     268        1,775        SH           Sole                    1,775
VALERO ENERGY
 CORP NEW COM       COM           91913Y100     171        5,000        SH           Sole                    5,000
VALERO ENERGY
 CORP NEW COM       COM           91913Y100     341       10,000        SH           Sole                   10,000
VALERO ENERGY
 CORP NEW COM       COM           91913Y100   6,824      200,000        SH           Sole                  200,000
VALERO ENERGY
 CORP COM           COM           91913Y100     205        6,000        SH           Sole                           6,000
VALERO ENERGY
 CORP COM           COM           91913Y100     102        3,000        SH           Sole                           3,000
VALERO ENERGY
 CORP COM           COM           91913Y100      34        1,000        SH           Sole                           1,000
VANGUARD
 NATURAL
 RESOURCES LLC      COM UNIT      92205F106     155        5,950        SH           Sole                           5,950
VERIZON
 COMMUNICATIONS
 INC COM            COM           92343V104     195        4,500        SH           Sole                    4,500
WABTEC CORP COM     COM           929740108     438        5,000        SH           Sole                    5,000
WABTEC CORP COM     COM           929740108   1,050       12,000        SH           Sole                   12,000
WALGREEN CO         COM           931422109     111        3,000        SH           Sole                           3,000
WATSON
 PHARMACEUTICALS
 INC COM            COM           942683103     344        4,000        SH           Sole                    4,000
WATSON
 PHARMACEUTICALS
 INC COM            COM           942683103     946       11,000        SH           Sole                   11,000
WEATHERFORD
 INTERNATIONAL
 LT REG SHS         REG SHS       H27013103   9,512      850,000        SH           Sole                  850,000
WEATHERFORD
 INTERNATIONAL
 LT REG SHS         REG SHS       H27013103     112       10,000        SH           Sole                          10,000
WELLPOINT INC
 COM                COM           94973V107     146        2,400        SH           Sole                    2,400






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
--------------          -------------- --------- --------- ---------------- ------ ---- ---------- -------- ---- ------- -----
                                                                                        
WELLS FARGO & CO NEW
 COM                     COM           949746101       239         7,000      SH           Sole                    7,000
WELLS FARGO & CO NEW
 COM                     COM           949746101       109         3,200      SH           Sole                          3,200
WESTERN ASSET GLOBAL
 CP DEFI                 COM           95790C107        56         2,700      SH           Sole                          2,700
WESTERN GAS PARTNERS     COM UNIT LP
 LP COM UNIT LP IN       IN            958254104    10,431       219,000      SH           Sole                  219,000
WESTLAKE CHEM CORP
 COM                     COM           960413102     5,551        70,000      SH           Sole                   70,000
WEYERHAEUSER CO COM      COM           962166104    10,293       370,000      SH           Sole                  370,000
WILLIAMS COS INC DEL
 COM                     COM           969457100    10,018       306,000      SH           Sole                  306,000
WYNDHAM WORLDWIDE
 CORP COM                COM           98310W108       250         4,700      SH           Sole                    4,700
WYNN RESORTS LTD COM     COM           983134107       202         1,800      SH           Sole                    1,800
XEROX CORP COM           COM           984121103       164        24,000      SH           Sole                   24,000
YAMANA GOLD INC COM      COM           36L992892     5,008         2,910      SH   CALL    Sole                    2,910
YAMANA GOLD INC COM      COM           98462Y100     6,024       350,000      SH           Sole                  350,000
YAMANA GOLD INC COM      COM           98462Y100     6,024       350,000      SH           Sole                  350,000
YAMANA GOLD INC COM      COM           98462Y100     7,745       450,000      SH           Sole                  450,000
YAMANA GOLD INC COM      COM           36L992892    11,686         6,790      SH   CALL    Sole                    6,790
YANDEX N V SHS CLASS A   SHS CLASS A   N97284108     3,035       140,700      SH           Sole                  140,700
                         GRAND TOTAL             1,037,909    38,145,008