UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

                   Report for the Quarter Ended: June 30, 2005

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

Institutional Investment Manager Filing this Report:
    Name:    U.S. Global Investors, Inc.
    Address: 7900 Callaghan Road
             San Antonio, TX 78229

13F File Number:  028-02220

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

    Name:   Susan B. McGee
    Title:  President, General Counsel
    Phone:  210-308-1234


            /s/ Susan B. McGee
            ------------------
            Susan B. McGee, President
            San Antonio, TX
            August 11, 2005

Report Type (Check only one.):

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

List of Other Managers Reporting for this Manager: None



                        FORM 13F SUMMARY PAGE

                           REPORT SUMMARY:

Number of Other Included Managers:      2
Form 13F Information Table Entry Total: 344
Form 13F Information Table Value Total: $425,084 (thousands)

List of Other Included Managers:

     NO. 13F FILE NUMBER: NAME:
     ---       ---------------       ---------------------------
      1        Unknown               Leeb Capital Management, Inc.
      2        Unknown               Charlemagne Capital (IOM) Limited




                                                     FORM 13F INFORMATION TABLE


        COLUMN 1          COLUMN 2    COLUMN 3    COLUMN 4         COLUMN 5          COLUMN 6   COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                            SHARES                                            VOTING AUTHORITY
                          TITLE OF                 VALUE       OR              PUT/  INVESTMT    OTHER    --------------------------
     NAME OF ISSUER        CLASS       CUSIP      (x$1000)  PRN AMT    SH/PRN  CALL  DISCRETN   MANAGERS  SOLE  SHARED      NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         

CENTRAL EUROPEAN
 MEDIA CL A                CL A       G20045202    13,133      271,460   SH           Defined     2                          271,460
CENTRAL EUROPEAN
 MEDIA CL A                CL A       G20045202       210        4,347   SH           Defined     2                            4,347
GLOBALSANTAFE CORP         SHS        G3930E101     3,672       90,000   SH           Sole                         90,000
NABORS INDUSTRIES INC      SHS        G6359F103     6,062      100,000   SH           Sole                        100,000
NABORS INDUSTRIES INC      SHS        G6359F103       152        2,500   SH           Sole                          2,500
NABORS INDUSTRIES INC      SHS        G6359F103       303        5,000   SH           Defined     1                            5,000
NABORS INDUSTRIES INC      SHS        G6359F103       606       10,000   SH           Sole                         10,000
NOBLE DRILLING CORP        SHS        G65422100       246        4,000   SH           Defined     1                            4,000
SEAGATE TECHNOLOGY         SHS        G7945J104       351       20,000   SH           Sole                         20,000
TRANSOCEAN INC             ORD        G90078109     3,508       65,000   SH           Sole                         65,000
TRANSOCEAN INC             ORD        G90078109       108        2,000   SH           Sole                          2,000
TRANSOCEAN INC             ORD        G90078109       491        9,100   SH           Defined     1                            9,100

GENERALE MARITIME
  CORP                     SHS        Y2692M103     1,484       35,000   SH           Sole                         35,000

ADC TELECOMMUNICA-
 TIONS INC                 COM        000886309       544       25,000   SH           Sole                         25,000

ABBOTT LABORATORIES        COM        002824100       196        4,000   SH           Sole                          4,000
AETNA US HEALTHCARE        COM        00817Y108       248        3,000   SH           Sole                          3,000
AFFILIATED MANAGERS
 GROUP INC                 COM        008252108       683       10,000   SH           Sole                         10,000
AGNICO EAGLE MINES WT      *W EXP
 11/14/07                  11/07/2007 008474132        10        5,000   SH           Sole                          5,000
AGNICO EAGLE MINES WT      *W EXP
 11/14/07                  11/07/2007 2064952       1,067      600,900   SH           Sole                        600,900
AGNICO EAGLE MINES WT      *W EXP
 11/14/07                  11/07/2007 2064952          18       10,000   SH           Sole                         10,000
AGNICO EAGLE MINES WT      *W EXP
 11/14/07                  11/07/2007 2064952         392      221,100   SH           Sole                        221,100
AIR PRODUCTS &
 CHEMICAL                  COM        009158106       253        4,200   SH           Defined      1                           4,200
ALLEGHENY TECHNOLO-
 GIES INC                  COM        01741R102     2,206      100,000   SH           Sole                        100,000
ALLERGAN INC               COM        018490102       256        3,000   SH           Defined      1                           3,000
ALLSCRIPTS HEALTH-
 CARE SOLUTION             COM        01988P108       664       40,000   SH           Sole                         40,000
ALLTEL CORP                COM        020039103       623       10,000   SH           Sole                         10,000
ALTRIA GROUP INC           COM        02209S103       323        5,000   SH           Sole                          5,000
ALUMINUM CORP OF           SPON ADR
 CHINA ADR                 H SHRS     022276109       825       15,000   SH           Sole                         15,000
AMERICAN EXPRESS           COM        025816109       442        8,300   SH           Defined      1                           8,300
AMERICAN INTERNA-
 TIONAL GROUP              COM        026874107       174        3,000   SH           Sole                          3,000
AMERICAN MEDICAL
 SYS HLDGS                 COM        02744M108       103        5,000   SH           Sole                          5,000
AMERICAN RETIREMENT
 CORP                      COM        028913101       512       35,000   SH           Sole                         35,000
AMETEK INC                 COM        031100100       628       15,000   SH           Sole                         15,000
AMYLIN PHARMACEUTI-
 CALS INC                  COM        032346108       419       20,000   SH           Defined      1                          20,000
ANADARKO PETE CORP         COM        032511107     4,108       50,000   SH           Sole                         50,000
ARCH COAL INC              COM        039380100     4,630       85,000   SH           Sole                         85,000
ARGON ST INC               COM        040149106       355       10,000   SH           Sole                         10,000
ASSET ACCEPT-
 ANCE CAP                  COM        04543P100       648       25,000   SH           Sole                         25,000
ATWOOD OCEANICS            COM        050095108     6,464      105,000   SH           Sole                        105,000
AUTONATION INC             COM        05329W102        92        4,500   SH           Sole                          4,500
BAKER HUGHES               COM        057224107     4,349       85,000   SH           Sole                         85,000
BARRICK GOLD
 CORPORATION               COM        067901108       501       20,000   SH           Sole                         20,000
BARRICK GOLD
 CORPORATION               COM        067901108     1,252       50,000   SH           Sole                         50,000
C/O BARRICK GOLD
   JAN 0030.00             CALL OPTN  0679015AF        38          750   SH    CALL   Sole                            750
C/O BARRICK GOLD
   JAN 0030.00             CALL OPTN  0679015AF       113        2,250   SH    CALL   Sole                          2,250
BAXTER INTL INC            COM        071813109       742       20,000   SH           Sole                         20,000
BEACON ROOFING
 SUPPLY INC                COM        073685109       395       15,000   SH           Sole                         15,000
BEAR STEARNS
 CO INC                    COM        073902108       312        3,000   SH           Sole                          3,000
BELLSOUTH CORP             COM        079860102       106        4,000   SH           Sole                          4,000
BEMA GOLD CORP             COM        08135F107       142       60,000   SH           Sole                         60,000
BEMA GOLD CORP             COM        08135F107       772      325,000   SH           Sole                        325,000
BERKSHIRE HATHA-
 WAY INC CL B              CL B       084670207       654          235   SH           Defined      1                             235
BIOMED REALTY
 TRUST INC                 COM        09063H107       358       15,000   SH           Sole                         15,000
BIOTECH HOLDERS            DEPOSITRY
 TR DEP RCPTS              RCPTS      09067D201       335        2,000   SH           Sole                          2,000
BLACK & DECKER CORP        COM        091797100       449        5,000   SH           Sole                          5,000
BOYD GAMING CORP           COM        103304101     1,023       20,000   SH           Sole                         20,000
BRIGHT HORIZONS
 FAMILY SOLUTNS            COM        109195107       814       20,000   SH           Sole                         20,000
BUCYRUS INTL INC A         CL A       118759109     3,228       85,000   SH           Sole                         85,000
BURLINGTON COAT
 FACTORY WHSE              COM        121579106       426       10,000   SH           Sole                         10,000
BURLINGTON NORTH
 SANTA FE CORP             COM        12189T104        71        1,500   SH           Sole                          1,500
BURLINGTON NORTH
 SANTA FE CORP             COM        12189T104       706       15,000   SH           Sole                         15,000
CNOOC LTD ADR              SPON ADR   126132109     3,559       60,000   SH           Sole                         60,000
CNOOC LTD ADR              SPON ADR   126132109       890       15,000   SH           Sole                         15,000
CVS CORP                   COM        126650100       116        4,000   SH           Sole                          4,000
CVS CORP                   COM        126650100       581       20,000   SH           Sole                         20,000
CACI INTNATL
 INC CL A                  CL A       127190304       347        5,500   SH           Defined      1                           5,500
CAMBIOR INC                COM        13201L103       262      120,400   SH           Sole                        120,400
CAMBIOR INC                COM        13201L103       382      175,000   SH           Sole                        175,000
CENTRAL EUROPEAN
 DISTR CORP                COM        153435102     5,753      154,099   SH           Defined      2                         154,099
CENTRAL EUROPEAN
 DISTR CORP                COM        153435102       560       15,000   SH           Sole                         15,000
CENTURY ALUMI-
 NUM CO                    COM        156431108     1,530       75,000   SH           Sole                         75,000
CERNER CORP                COM        156782104       680       10,000   SH           Sole                         10,000
CHESAPEAKE
 ENERGY CORP               COM        165167107     2,280      100,000   SH           Sole                        100,000
CHILDRENS PLACE            COM        168905107       112        2,400   SH           Sole                          2,400
CHINA PETROLEUM
 & CHEMICAL ADR            SPON ADR   16941R108       109        2,799   SH           Defined      2                           2,799
CHOICE HOTELS
 INTL INC                  COM        169905106       197        3,000   SH           Sole                          3,000
CHIQUITA BRANDS
 INTL                      COM        170032809       412       15,000   SH           Sole                         15,000
CISCO SYSTEMS INC          COM        17275R102       287       15,000   SH           Sole                         15,000
CITIGROUP INC              COM        172967101       347        7,500   SH           Sole                          7,500
CITIGROUP INC              COM        172967101       347        7,500   SH           Defined      1                           7,500
COACH INC                  COM        189754104       403       12,000   SH           Sole                         12,000
COCA COLA CO COM           COM        191216100       405        9,700   SH           Defined      1                           9,700
COLDWATER
 CREEK INC                 COM        193068103       498       20,000   SH           Sole                         20,000
COMCAST COPR
 CL A                      CL A       20030N101        92        3,000   SH           Sole                          3,000
COMCAST COPR
 CL A                      CL A       20030N101       307       10,000   SH           Defined      1                          10,000
COMMUNITY HEALTH
 SYS INC                   COM        203668108       756       20,000   SH           Sole                         20,000
COMPUCREDIT CORP           COM        20478N100       343       10,000   SH           Sole                         10,000
COMTECH TELECOM-
 MUNICATIONS               COM        205826209       408       12,500   SH           Sole                         12,500
COMVERSE
 TECHNOLOGY INC            COM        205862402       591       25,000   SH           Sole                         25,000
CONOCOPHILLIPS             COM        20825C104       115        2,000   SH           Sole                          2,000
CONSOL ENERGY INC          COM        20854P109     2,679       50,000   SH           Sole                         50,000
CONSOL ENERGY INC          COM        20854P109       161        3,000   SH           Sole                          3,000
CONSOL ENERGY INC          COM        20854P109       536       10,000   SH           Sole                         10,000
COOPER COMPAN-
 IES INC                   COM        216648402       456        7,500   SH           Sole                          7,500
CORPORATE EXECU-
 TIVE BOARD CO             COM        21988R102       783       10,000   SH           Sole                         10,000
COVANCE INC                COM        222816100       673       15,000   SH           Sole                         15,000
DR HORTON INC              COM        23331A109       564       15,000   SH           Sole                         15,000
DAVE & BUSTERS INC         COM        23833N104       277       15,000   SH           Sole                         15,000
DENBURY RESOURCES          COM        247916208     1,790       45,000   SH           Sole                         45,000
DIAGEO PLC
 SPONSORED ADR             SPON ADR   25243Q205       119        2,000   SH           Sole                          2,000
DOMINOS PIZZA              COM        25754A201       557       25,000   SH           Sole                         25,000
DOW CHEMICAL CO            COM        260543103       249        5,600   SH           Defined      1                           5,600
ECI TELECOM                COM        268258100       166       20,000   SH           Sole                         20,000
EBAY INC                   COM        278642103       165        5,000   SH           Sole                          5,000
EBAY INC                   COM        278642103       198        6,000   SH           Defined      1                           6,000
EDISON INTERNA-
 TIONAL                    COM        281020107       182        4,500   SH           Sole                          4,500
EDISON INTERNA-
 TIONAL                    COM        281020107       811       20,000   SH           Sole                         20,000
ELECTRONIC ARTS INC        COM        285512109       532        9,400   SH           Defined      1                           9,400
ENERPLUS RESOURCES
 FUND                      UNIT TR    29274D604       764       20,000   SH           Sole                         20,000
ENERPLUS RESOURCES
 FUND                      UNIT TR    29274D604       153        4,000   SH           Sole                          4,000
ENTERGY CORP               COM        29364G103       227        3,000   SH           Sole                          3,000
EXELON CORPOR-
 ATION                     COM        30161N101       257        5,000   SH           Sole                          5,000
EXELON CORPORA-
 TION                      COM        30161N101       205        4,000   SH           Defined      1                           4,000
FPL GROUP                  COM        302571104       336        8,000   SH           Defined      1                           8,000
F5 NETWORKS INC            COM        315616102       283        6,000   SH           Sole                          6,000
F5 NETWORKS INC            COM        315616102       472       10,000   SH           Sole                         10,000
FIRST HORIZON
 NATIONAL CORP             COM        320517105       148        3,500   SH           Sole                          3,500
FLORIDA ROCK
 INDUSTRIES                COM        341140101       513        7,000   SH           Sole                          7,000
FLUOR CORP
 (NEW) WI                  COM        343412102       288        5,000   SH           Sole                          5,000
FORDING CANADIAN
 COAL TRUST                UNIT TR    345425102     4,610       50,000   SH           Sole                         50,000
FRANKLIN RE-
 SOURCES INC               COM        354613101       231        3,000   SH           Sole                          3,000
C/O FREEPORT MCMOR
 JAN 0040.00               CALL OPTN  35671D5AH        37          145   SH    CALL   Sole                            145
C/O FREEPORT MCMOR
 JAN 0040.00               CALL OPTN  35671D5AH        91          355   SH    CALL   Sole                            355
FREEPORT MCMORAN
 COPPER & GOLD B           CL B       35671D857     3,744      100,000   SH           Sole                        100,000
FREEPORT MCMORAN
 COPPER & GOLD B           CL B       35671D857     2,666       71,200   SH           Sole                         71,200
GENENTECH INC              COM        368710406       241        3,000   SH           Sole                          3,000
GENERAL ELECTRIC CO        COM        369604103       277        8,000   SH           Sole                          8,000
GENERAL ELECTRIC CO        COM        369604103       173        5,000   SH           Defined      1                           5,000
GENERAL GROWTH
 PROPERTIES                COM        370021107       411       10,000   SH           Sole                         10,000
GILEAD SCIENCES
 INC                       COM        375558103       396        9,000   SH           Sole                          9,000
GOLD FIELDS LTD
 SPON ADR                  SPON ADR   38059T106     2,111      186,000   SH           Sole                        186,000
GOLD FIELDS LTD
 SPON ADR                  SPON ADR   38059T106     1,884      166,000   SH           Sole                        166,000
GOLDCORP INC               COM        380956409     1,854      117,500   SH           Sole                        117,500
GOLDCORP INC               COM        380956409     3,203      203,000   SH           Sole                        203,000
GOODRICH CORP              COM        382388106       102        2,500   SH           Sole                          2,500
GOOGLE INC
 CLASS A                   CL A       38259P508       147          500   SH           Sole                            500
GRANT PRIDECO INC          COM        38821G101     6,084      230,000   SH           Sole                        230,000
GRUPO AEROPORTUARIO        SPON ADR
 SPON ADR                  SER B      40051E202       330       10,360   SH           Defined      2                          10,360
HCA INC                    COM        404119109       142        2,500   SH           Sole                          2,500
HCC INS HLDGS INC          COM        404132102       379       10,000   SH           Sole                         10,000
HNI CORPORATION            COM        404251100       384        7,500   SH           Sole                          7,500
HSBC HLDGS PLC SPONS ADR   SPON ADR   404280406       199        2,500   SH           Sole                          2,500
HALLIBURTON CO             COM        406216101     4,782      100,000   SH           Sole                        100,000
HALLIBURTON CO             COM        406216101       143        3,000   SH           Sole                          3,000
HARLAND /JOHN H/ CO        COM        412693103       570       15,000   SH           Sole                         15,000
HARRIS CORP                COM        413875105       234        7,500   SH           Sole                          7,500
HARTFORD FINL
 SVCS GROUP INC            COM        416515104       299        4,000   SH           Sole                          4,000
HARVEST NATURAL
 RESOURCE                  COM        41754V103     2,459      225,000   SH           Sole                        225,000
HECLA MINING               COM        422704106       410       90,000   SH           Sole                         90,000
HECLA MINING               COM        422704106     1,277      280,000   SH           Sole                        280,000
HELMERICH &
 PAYNE                     COM        423452101     3,050       65,000   SH           Sole                         65,000
HELMERICH &
 PAYNE                     COM        423452101       938       20,000   SH           Sole                         20,000
HERITAGE PROPERTY
 INVESTMENT                COM        42725M107       105        3,000   SH           Sole                          3,000
HERITAGE PROPERTY
 INVESTMENT                COM        42725M107       525       15,000   SH           Sole                         15,000
HOSPITALITY  PROPERTIES    COM SH
 TR SBI                    BEN INT    44106M102       441       10,000   SH           Sole                         10,000
HOVNANIAN ENTER-
 PRISES INC CL A           CL A       442487203       978       15,000   SH           Sole                         15,000
HUMANA INC                 COM        444859102       596       15,000   SH           Sole                         15,000
HUTCHINSON TECH-
 NOLOGY INC                COM        448407106       385       10,000   SH           Sole                         10,000
ITT INDUSTRIES             COM        450911102       976       10,000   SH           Sole                         10,000
INFOSPACE INC              COM        45678T201       148        4,500   SH           Sole                          4,500
INTEL CORP                 COM        458140100       313       12,000   SH           Sole                         12,000
INTEL CORP                 COM        458140100       469       18,000   SH           Defined      1                          18,000
I SHARES MSCI SINGAPORE    MSCI
 FREE                      SINGAPORE  464286673       151       20,000   SH           Sole                         20,000
I SHARES TAIWAN WEBS       MSCI
 INDEX                     TAIWAN     464286731       303       25,000   SH           Sole                         25,000
I SHARES MSCI SOUTH KOREA  MSCI
 INDEX                     KOREA      464286772       320       10,000   SH           Sole                         10,000
I SHARES MSCI HONG KONG    MSCI
 INDEX                     HONG KONG  464286871       124       10,000   SH           Sole                         10,000
JABIL CIRCUIT INC          COM        466313103       307       10,000   SH           Sole                         10,000
JOHNSON & JOHNSON          COM        478160104       195        3,000   SH           Sole                          3,000
JOHNSON CTLS INC           COM        478366107       422        7,500   SH           Sole                          7,500
JOS A BANK
 CLOTHIERS INC             COM        480838101       433       10,000   SH           Sole                         10,000
JOY GLOBAL INC             COM        481165108     3,359      100,000   SH           Sole                        100,000
JOY GLOBAL INC             COM        481165108        84        2,500   SH           Sole                          2,500
KT CORP SPONS
 ADR_                      SPON ADR   48268K101       538       25,000   SH           Sole                         25,000
KOOKMIN BANK
 SP ADR 1 ADR RP 1SH       SPON ADR   50049M109     1,003       22,000   SH           Sole                         22,000
KOOKMIN BANK
 SP ADR 1 ADR RP 1SH       SPON ADR   50049M109       295        6,467   SH           Defined      2                           6,467
KOREA ELECT POWER
 SPON ADR/RP1/2            SPON ADR   500631106       784       50,000   SH           Sole                         50,000
LABOR READY INC            COM        505401208       466       20,000   SH           Sole                         20,000
LIONS GATE
 ENTMNT CORP               COM        535919203       185       18,000   SH           Sole                         18,000
LO JACK CORP               COM        539451104       351       20,000   SH           Sole                         20,000
LOCKHEED MARTIN
 CORP                      COM        539830109       195        3,000   SH           Sole                          3,000
LOEWS CORP                 COM        540424108        93        1,200   SH           Sole                          1,200
LOUISIANA
 PACIFIC CORP              COM        546347105     2,212       90,000   SH           Sole                         90,000
LUXOTTICA
 GROUP SPONS ADR           SPON ADR   55068R202        62        3,000   SH           Sole                          3,000
LUXOTTICA
 GROUP SPONS ADR           SPON ADR   55068R202       309       15,000   SH           Sole                         15,000
MBNA CORP                  COM        55262L100       196        7,500   SH           Sole                          7,500
MTC TECHNOL-
 OGIES INC                 COM        55377A106       645       17,500   SH           Sole                         17,500
MAGYAR TAVKOZLESI
 RT (MATAV) ADR            SPON ADR   559776109     5,118      239,149   SH           Defined      2                         239,149
MARATHON OIL CORP          COM        565849106       267        5,000   SH           Defined      1                           5,000
MARRIOTT INTL
 CL A                      CL A       571903202       512        7,500   SH           Sole                          7,500
MARTIN MARIETTA
 MATERIALS                 COM        573284106     2,074       30,000   SH           Sole                         30,000
MARTIN MARIETTA
 MATERIALS                 COM        573284106       691       10,000   SH           Sole                         10,000
MCGRATH RENT               COM        580589109       356       15,000   SH           Sole                         15,000
MENS WEARHOUSE
 INC                       COM        587118100       258        7,500   SH           Sole                          7,500
MERIDIAN GOLD
 INC                       COM        589975101     2,592      144,000   SH           Sole                        144,000
MERIDIAN GOLD
 INC                       COM        589975101     3,456      192,000   SH           Sole                        192,000
MICROS SYSTEMS
 INC                       COM        594901100       671       15,000   SH           Sole                         15,000
MICROSOFT CORP             COM        594918104       472       19,000   SH           Defined      1                          19,000
MILLER /
 HERMAN/ INC               COM        600544100       617       20,000   SH           Sole                         20,000
MOBILE TELE-
 SYSTEMS SPON ADR          SPON ADR   607409109    42,882    1,274,364   SH           Defined      2                       1,274,364
MOBILE MINI INC            COM        60740F105       517       15,000   SH           Sole                         15,000
MONSANTO CO                COM        61166W101     2,829       45,000   SH           Sole                         45,000
MONSANTO CO                COM        61166W101       314        5,000   SH           Sole                          5,000
MORGAN STANLEY
 INDIA INVESTMENT          COM        61745C105       224        6,992   SH           Defined      2                           6,992
MOTOROLA INC               COM        620076109       438       24,000   SH           Sole                         24,000
MURPHY OIL CORP            COM        626717102     1,045       20,000   SH           Sole                         20,000
NS GROUP INC               COM        628916108     2,926       90,000   SH           Sole                         90,000
NATIONAL OILWELL
 VARCO INC                 COM        637071101     2,472       52,000   SH           Sole                         52,000
NAUTILUS INC               COM        63910B102       570       20,000   SH           Sole                         20,000
NETEASE.COM
 INC ADR                   SPON ADR   64110W102       343        6,000   SH           Sole                          6,000
NETWORK APPLI-
 ANCE INC                  COM        64120L104       339       12,000   SH           Sole                         12,000
NEWMONT MINING
 CORP                      COM        651639106     2,147       55,000   SH           Sole                         55,000
NEWMONT MINING
 CORP                      COM        651639106     3,903      100,000   SH           Sole                        100,000
NEWMONT MINING
 CORP                      COM        651639106       254        6,500   SH           Defined      1                           6,500
C/O NEWMONT MINING
 JAN0040.00                CALL OPTN  6516392AH        15           50   SH    CALL   Sole                             50
C/O NEWMONT MINING
 JAN0040.00                CALL OPTN  6516392AH        45          150   SH    CALL   Sole                            150
NICE SYS LTD
 SPONSORED ADR             SPON ADR   653656108       395       10,000   SH           Sole                         10,000
NOBLE AFFILIATES
 INC                       COM        655044105       757       10,000   SH           Sole                         10,000
NORDSTROM INC              COM        655664100       238        3,500   SH           Sole                          3,500
NORTHROP
 GRUNMAN CORP              COM        666807102       442        8,000   SH           Defined     1                            8,000
NOVARTIS AG
 SPON ADR                  SPON ADR   66987V109       318        6,700   SH           Defined     1                            6,700
NVIDIA CORP                COM        67066G104       534       20,000   SH           Sole                         20,000
OIL STATES
 INTERNATIONAL INC         COM        678026105     3,398      135,000   SH           Sole                        135,000
OIL STATES
 INTERNATIONAL INC         COM        678026105       755       30,000   SH           Sole                         30,000
VIMPEL COMMUNICA-
 TIONS SPON ADR            SPON ADR   68370R109    48,513    1,425,596   SH           Defined     2                        1,425,596
VIMPEL COMMUNICA-
 TIONS SPON ADR            SPON ADR   68370R109       393       11,561   SH           Defined     2                           11,561
ORACLE SYSTEMS CORP        COM        68389X105       330       25,000   SH           Sole                         25,000
O'REILLY AUTO-
 MOTIVE INC                COM        686091109       745        25,000   SH          Sole                         25,000
PNC FINANCIAL SERV-
 ICES                      COM        693475105       218         4,000   SH          Sole                          4,000
POSCO SPONSORED ADR        SPON ADR   693483109       132         3,000   SH          Sole                          3,000
PSS WORLD MEDICAL
 INC                       COM        69366A100       311        25,000   SH          Sole                         25,000
PACIFIC RIM
 MNG CORP_/CANADIAN/       COM        694915208        59       100,000   SH          Sole                        100,000
PACIFIC RIM
 MNG CORP_/CANADIAN/       COM        694915208       241       408,187   SH          Sole                        408,187
PATTERSON UTI
 ENERGY INC                COM        703481101     4,731       170,000   SH          Sole                        170,000
PATTERSON UTI
 ENERGY INC                COM        703481101       390        14,000   SH          Sole                         14,000
PATTERSON UTI
 ENERGY INC                COM        703481101     1,113        40,000   SH          Sole                         40,000
PEABODY ENERGY             COM        704549104     2,602        50,000   SH          Sole                         50,000
PEPSI-
 AMERICAS INC              COM        71343P200       513        20,000   SH          Sole                         20,000
PEPSICO INC                COM        713448108       324         6,000   SH          Sole                          6,000
PER SE
 TECHNOLOGIES INC          COM        713569309       631        30,000   SH          Sole                         30,000
PETRO CANADA               COM        71644E102     5,211        80,000   SH          Sole                         80,000
PETROCHINA
 CO LTD ADR                SPON ADR   71646E100     5,142        70,000   SH          Sole                         70,000
PETROCHINA
 CO LTD ADR                SPON ADR   71646E100       735        10,000   SH          Sole                         10,000
PETROCHINA
 CO LTD ADR                SPON ADR   71646E100       610         8,300   SH          Defined     1                            8,300
PETROBRAS
 SPONSORED ADR             SPON ADR   71654V101     9,438       205,000   SH          Sole                        205,000
PETROBRAS
 SPONSORED ADR             SPON ADR   71654V101       195         4,229   SH          Defined     2                            4,229
PFIZER INC                 COM        717081103       165         6,000   SH          Sole                          6,000
PHARMACEUTICAL
 PROD DEV INC              COM        717124101       469        10,000   SH          Sole                         10,000
PHILADELPHIA
 CONS HOLDING CORP         COM        717528103       381         4,500   SH          Sole                          4,500
PHILLIPS VAN
 HEUSEN CORP               COM        718592108       654        20,000   SH          Sole                         20,000
PLACER DOME INC            COM        725906101     3,484       226,500   SH          Sole                        226,500
C/O PLACER DOME
 JAN 0017.50               CALL OPTN  7259062AW        11            50   SH   CALL   Sole                             50
C/O PLACER DOME
 JAN 0017.50               CALL OPTN  7259062AW        44           200   SH   CALL   Sole                            200
C/O PLACER DOME
 JAN 06                    CALL OPTN  7259069AE        11           700   SH   CALL   Sole                            700
C/O PLACER DOME
 JAN 06                    CALL OPTN  7259069AE         8           500   SH   CALL   Sole                            500
C/O PLACER DOME
 JAN 06                    CALL OPTN  7259069AE        54         3,610   SH   CALL   Sole                          3,610
POTASH CORP
 SASCKATCHEWAN             COM        73755L107     4,779        50,000   SH          Sole                         50,000
POTASH CORP
 SASCKATCHEWAN             COM        73755L107       143         1,500   SH          Sole                          1,500
POTASH CORP
 SASCKATCHEWAN             COM        73755L107       717         7,500   SH          Sole                          7,500
PRAXAIR                    COM        74005P104        93         2,000   SH          Sole                          2,000
PRECISION
 DRILLING CORP             COM        74022D100     3,158        80,000   SH          Sole                         80,000
PREMIERE GLOBAL
 SERVICES                  COM        740585104       135        12,000   SH          Sole                         12,000
PRIDE INTER-
 NATIONAL INC              COM        74153Q102     1,799        70,000   SH          Sole                         70,000
PROASSURANCE
 CORPORATION               COM        74267C106       188         4,500   SH          Sole                          4,500
PROCTOR &
 GAMBLE CO                 COM        742718109       385         7,300   SH          Defined     1                            7,300
PROGRESS
 SOFTWARE CORP             COM        743312100       211         7,000   SH          Sole                          7,000
PRUDENTIAL
 FINANCIAL INC             COM        744320102       105         1,600   SH          Sole                          1,600
PRUDENTIAL
 FINANCIAL INC             COM        744320102       657        10,000   SH          Sole                         10,000
PUBLIC SVC
 ENTERPRISE GROUP          COM        744573106       608        10,000   SH          Sole                         10,000
RC2 CORP                   COM        749388104       564        15,000   SH          Sole                         15,000
RANGOLD RE-
 SOURCES LTD ADR           SPON ADR   752344309     3,656       260,000   SH          Sole                        260,000
RANGOLD RE-
 SOURCES LTD ADR           SPON ADR   752344309     7,712       548,500   SH          Sole                        548,500
RAYONIER INC               COM        754907103       212         4,000   SH          Sole                          4,000
RED ROBIN
 GOURMET BURGERS           COM        75689M101       310         5,000   SH          Sole                          5,000
RINKER GROUP
 LTD ADR                   SPON ADR   76687M101       531        10,000   SH          Sole                         10,000
ROHM & HAAS CO.            COM        775371107     2,317        50,000   SH          Sole                         50,000
ROYAL GOLD INC             COM        780287108        80         4,000   SH          Sole                          4,000
SK TELECOM LTD
 SPONSORED ADR             SPON ADR   78440P108       122         6,000   SH          Sole                          6,000
S & P 500
 DEPOSITARY RECEIPTS       UNIT SER 1 78462F103       179         1,500   SH          Sole                          1,500
ST MARY LAND &
 EXPL CO                   COM        792228108       580        20,000   SH          Sole                         20,000
ST PAUL TRAVELERS
 COS INC                   COM        792860108       138         3,500   SH          Sole                          3,500
SAN JUAN BASIN
 RTY TR UBI                UNIT TR    798241105     2,098        50,000   SH          Sole                         50,000
SAN JUAN BASIN
 RTY TR UBI                UNIT TR    798241105       168         4,000   SH          Sole                          4,000
SANOFI-AVENTIS ADR         SPON ADR   80105N105       307         7,500   SH          Defined     1                            7,500
SASOL LTD
 SPONS ADR                 SPON ADR   803866300     2,158        80,000   SH          Sole                         80,000
SASOL LTD
 SPONS ADR                 SPON ADR   803866300       219         8,105   SH          Defined     2                            8,105
SCHLUMBERGER LTD           COM        806857108     3,417        45,000   SH          Sole                         45,000
SCHLUMBERGER LTD           COM        806857108       304         4,000   SH          Defined     1                            4,000
7-ELEVEN INC               COM        817826209       181         6,000   SH          Sole                          6,000
SHAW GROUP INC             COM        820280105       108         5,000   SH          Sole                          5,000
SIMON PROPERTY
 GROUP INC                 COM        828806109       109         1,500   SH          Sole                          1,500
SIMON PROPERTY GROUP INC   COM        828806109       362         5,000   SH          Sole                          5,000
SOUTHWESTERN
 ENERGY CO                 COM        845467109     4,698       100,000   SH          Sole                        100,000
STATION CASINOS INC        COM        857689103       266         4,000   SH          Sole                          4,000
STREETTRACKS
 GOLD TRUST                GOLD SHS   863307104       348         8,000   SH          Sole                          8,000
STRYKER CORP               COM        863667101       476        10,000   SH          Sole                         10,000
SUNCOR ENERGY INC          COM        867229106       322         6,800   SH          Defined     1                            6,800
SURMODICS INC              COM        868873100       434        10,000   SH          Sole                         10,000
TECO ENERGY INC            COM        872375100       567        30,000   SH          Sole                         30,000
TAIWAN SEMI-
 CONDUCTOR SPON ADR        SPON ADR   874039100       935       102,499   SH          Sole                        102,499
TAIWAN SEMI-
 CONDUCTOR SPON ADR        SPON ADR   874039100       135        14,774   SH          Defined      2                          14,774
TECHNE CORP                COM        878377100       574        12,500   SH          Sole                         12,500
TEVA PHARMACEUTICAL
 IND SPON ADR              SPON ADR   881624209       140         4,500   SH          Sole                          4,500
TEVA PHARMACEUTICAL
 IND SPON ADR              SPON ADR   881624209       405        13,000   SH          Defined      1                          13,000
TETRA TECHNOLOGIES
 INC DEL                   COM        88162F105     1,911        60,000   SH          Sole                         60,000
TEXAS INDUSTRIES           COM        882491103     1,125        20,000   SH          Sole                         20,000
TEXAS INSTUMENTS INC       COM        882508104       393        14,000   SH          Sole                         14,000
TEXAS INSTUMENTS INC       COM        882508104       441        15,700   SH          Defined      1                          15,700
TEXTRON INC                COM        883203101       228         3,000   SH          Sole                          3,000
TOLL BROTHERS INC          COM        889478103       457         4,500   SH          Sole                          4,500
TOYOTA MOTOR CORP ADR      SP ADR     892331307       250         3,500   SH          Defined      1                           3,500
                                                                         REP2COM
TRIMBLE NAVIGATON LTD      COM        896239100      390        10,000   SH           Sole                         10,000
URS CORP                   COM        903236107      374        10,000   SH           Sole                         10,000
ULTIMATE SOFTWARE
GROUP INC                  COM        90385D107      328        20,000   SH           Sole                         20,000

UNIBANCO GDR               GDR REP
                           PFD UT     90458E107      386        10,000   SH           Sole                         10,000
UNITED NATURAL
 FOODS                     COM        911163103      137         4,500   SH           Sole                          4,500
U STORE IT TRUST           COM        91274F104       95         5,000   SH           Sole                          5,000
UNITED THERAPEU-
 TICS CORP DEL             COM        91307C102      723        15,000   SH           Sole                         15,000
UNITEDHEALTH
 GROUP INC                 COM        91324P102      469         9,000   SH           Sole                          9,000
UNITEDHEALTH
 GROUP INC                 COM        91324P102      313         6,000   SH           Defined      1                           6,000
UNIVERSAL AMER
 FINANCIAL CORP            COM        913377107      566        25,000   SH           Sole                         25,000
URBAN OUTFITTERS
 INC                       COM        917047102      170         3,000   SH           Sole                          3,000
URBAN OUTFITTERS
 INC                       COM        917047102      850        15,000   SH           Sole                         15,000
VALERO REFNG
 & MARKETING CO            COM        91913Y100    1,978        25,000   SH           Sole                         25,000
VENTANA
 MEDICAL INC               COM        92276H106      805        20,000   SH           Sole                         20,000
VERISIGN INC               COM        92343E102      129         4,500   SH           Sole                          4,500
VERISIGN INC               COM        92343E102      575        20,000   SH           Sole                         20,000
VIASYS HEALTH-
 CARE INC                  COM        92553Q209      565        25,000   SH           Sole                         25,000
VINTAGE PETRO-
 LEUM INC                  COM        927460105    5,335       175,100   SH           Sole                        175,100
WALGREEN
 CO                        COM        931422109       92         2,000   SH           Sole                          2,000
WALGREEN
 CO                        COM        931422109      460        10,000   SH           Sole                         10,000
WALTER INDUS-
 TRIES INC                 COM        93317Q105      804        20,000   SH           Sole                         20,000
WASHINGTON
 POST CO CL B              CL B       939640108      405           485   SH           Defined      1                             485
WASTE CONNEC-
 TIONS INC                 COM        941053100      746        20,000   SH           Sole                         20,000
WEBSIDESTORY               COM        947685103      293        20,000   SH           Sole                         20,000
WELLCHOICE INC             COM        949475107      695        10,000   SH           Sole                         10,000
WELLS FARGO
 & COMPANY                 COM        949746101      739        12,000   SH           Defined      1                          12,000
WESTERN DIGITAL
 CORP                      COM        958102105      470        35,000   SH           Sole                         35,000
WESTERN GAS
 RESOURCE                  COM        958259103    4,014       115,000   SH           Sole                        115,000
WILLBROS GROUP INC         COM        969199108    1,432       100,000   SH           Sole                        100,000
WITNESS SYSTEMS INC        COM        977424100      137         7,500   SH           Sole                          7,500
WYETH                      COM        983024100      134         3,000   SH           Sole                          3,000
XTO ENERGY INC             COM        98385X106       85         2,500   SH           Sole                          2,500
ZENITH NATIONAL
 INSURANCE CORP            COM        989390109      848        12,500   SH           Sole                         12,500
ZIONS BANCORP              COM        989701107      551         7,500   SH           Sole                          7,500