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

                                    Form 13F

                               Form 13F COVER PAGE

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

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

Institutional Investment Manager Filing this Report:

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

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

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

Person Signing this Report on Behalf of Reporting Manager:

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

Signature, Place, and Date of Signing:

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

Report Type (Check only one.):

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

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

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


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

          Form 13F File Number       Name

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



                                    FORM 13F
                                  SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                    2

Form 13F Information Table Entry Total:             291

Form 13F Information Table Value Total:      $1,496,113
                                            (thousands)


List of Other Included Managers:


Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

          No.   Form 13F File Number   Name

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

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

                           FORM 13F INFORMATION TABLE




COLUMN 1                      COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5            COLUMN 6    COLUMN 7        COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                 VALUE        SHRS OR   SH/   PUT/  INVESTMENT   OTHER     VOTING AUTHORITY
 ISSUER                        CLASS        CUSIP     [x$1000]      PRN AMT   PRN   CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ABER DIAMOND CORP             COM         002893105     4,179      109,000     SH          Sole                     109,000
ABRAXAS PETROLEUM CORP        COM         003830106     4,512    1,005,000     SH          Sole                   1,005,000
ACTIVISION INC                COM         004930202     1,120       60,000     SH          Sole                      60,000
ACTUANT CORP CLASS A          CL A NEW    00508X203       473        7,500     SH          Sole                       7,500
AGNICO EAGLE MINES LTD        COM         008474108     2,920       80,000     SH          Sole                      80,000
AGNICO EAGLE MINES            *W EXP
  WT 11/14/07                 11/07/2007  008474108    30,294    1,692,420     SH          Sole                   1,692,420
AGRIUM INC COM                COM         008916108     3,281       75,000     SH          Sole                      75,000
AIR PRODUCTS & CHEMICALS      COM         009158106       305        3,800     SH          Defined       1                     3,800
AKAMAI TECHNOLOGIES           COM         00971T101     1,605       33,000     SH          Sole                      33,000
ALCON INC                     COM         H01301102       472        3,500     SH          Sole                       3,500
ALLSCRIPTS
  HEALTHCARE SOLUTION         COM         01988P108       382       15,000     SH          Sole                      15,000
ALTRIA GROUP INC              COM         02209S103       281        4,000     SH          Sole                       4,000
ALUMINUM CORP OF CHINA        SPON ADR
                              H SHS       022276109     1,688    1,000,000     SH          Sole                   1,000,000
AMEREN CORP                   COM         023608102    12,253      250,000     SH          Sole                     250,000
AMERICAN EXPRESS COMPANY      COM         025816109       324        5,300     SH          Defined       1                     5,300
ANGICO-EAGLE                  PUT         008474959       217       70,000     SH    PUT   Sole                      70,000
ANGICO-EAGLE                  PUT         008474958       108       80,000     SH    PUT   Sole                      80,000
ANOORAQ RESOURCES CORP        COM         03633E108     7,690    3,088,400     SH          Sole                   3,088,400
APPLE INC                     COM         037833100     1,281       10,500     SH          Sole                      10,500
ARCH COAL INC                 COM         039380100     6,264      180,000     SH          Sole                     180,000
ARIZONA STAR RES CORP         COM         04059G106     7,416      679,100     SH          Sole                     679,100
ASSURANT INC                  COM         04621X108       206        3,500     SH          Sole                       3,500
AT&T INC                      COM         00206R102       247        5,962     SH          Sole                       5,962
AURIZON MINES LTD             COM         05155P106     1,341      407,100     SH          Sole                     407,100
B J SERVICE CO                COM         055482103    11,376      400,000     SH          Sole                     400,000
BAKER HUGHES INC              COM         057224107       597        7,100     SH          Defined       1                     7,100
BARRICK GOLD                  CALL        067901908     1,263      134,400     SH    CALL  Sole                     134,400
BARRICK GOLD                  CALL        067901909     1,219      114,500     SH    CALL  Sole                     114,500
BARRICK GOLD                  CALL        067901910       811      115,900     SH    CALL  Sole                     115,900
BARRICK GOLD                  CALL        067901911       739      105,600     SH    CALL  Sole                     105,600
BARRICK GOLD                  CALL        067901912       678       72,100     SH    CALL  Sole                      72,100
BARRICK GOLD                  CALL        067901913       590      111,400     SH    CALL  Sole                     111,400
BARRICK GOLD                  CALL        067901914       350       66,100     SH    CALL  Sole                      66,100
BARRICK GOLD CORP COM         COM         067901108     3,547      122,003     SH          Sole                     122,003
BARRICK GOLD CORP COM         COM         067901108       160        5,500     SH          Defined       1                     5,500
BAYTEX ENERGY TRUST           TRUST UNIT  073176109       373       17,500     SH          Sole                               17,500
BE AEROSPACE INC              COM         073302101       310        7,500     SH          Sole                       7,500
BERKSHIRE HATHAWAY
  INC CL B                    CL B        084670207       631          175     SH          Defined       1                       175
BHP BILLITON LIMITED ADR      SPON ADR    88606108        221        3,700     SH          Defined       1                     3,700
BIG LOTS INC                  SPON ADR    089302103     1,177       40,000     SH          Sole                      40,000
BOEING CO                     COM         097023105     1,106       11,500     SH          Sole                      11,500
BUNGE LIMITED                 COM         G16962105       634        7,500     SH          Sole                       7,500
BURLINGTON NORTHN
  SANTA FE                    COM         12189T104     1,277       15,000     SH          Sole                      15,000
BURLINGTON NORTHN
  SANTA FE                    COM         12189T104       298        3,500     SH          Defined       1                     3,500
CAMERON INTERNATIONAL CORP    COM         13342B105    16,438      230,000     SH          Sole                     230,000
CANETIC RESOURCES TRUST       COM         137513107       554       32,000     SH          Sole                               32,000
CATERPILLAR INC               COM         149123101       470        6,000     SH          Sole                       6,000
CELGENE CORP                  COM         151020104       573       10,000     SH          Sole                      10,000
CENTRAL EUROPEAN
  DISTR CORP                  COM         153435102    27,821      803,618     SH          Defined       2                   803,618
CENTRAL EUROPEAN
  MEDIA CL A                  CL A        G20045202    16,172      165,728     SH          Defined       2                   165,728
CENTRAL EUROPEAN
  MEDIA CL A                  CL A        G20045202       195        2,000     SH          Sole                       2,000





COLUMN 1                      COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5            COLUMN 6    COLUMN 7        COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                 VALUE        SHRS OR   SH/   PUT/  INVESTMENT   OTHER     VOTING AUTHORITY
 ISSUER                        CLASS        CUSIP     [x$1000]      PRN AMT   PRN   CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                
CISCO SYSTEMS INC             COM         17275R102     1,532       55,000     SH          Sole                      55,000
CISCO SYSTEMS INC             COM         17275R102       306       11,000     SH          Defined       1                    11,000
CNOOC LTD ADR                 SPON ADR    126132109    22,738      200,000     SH          Sole                     200,000
COACH INC                     SPON ADR    189754104       948       20,000     SH          Sole                      20,000
COCA-COLA CO                  COM         191216100       403        7,700     SH          Defined       1                     7,700
COMTECH GROUP INC             COM         205821200       413       25,000     SH          Sole                      25,000
CONOCOPHILLIPS                COM         20825C104    28,888      368,000     SH          Sole                     368,000
CONSOL ENERGY INC             COM         20854P109     3,846       83,400     SH          Sole                      83,400
CONSOLIDATED EDISON INC       COM         209115104    13,536      300,000     SH          Sole                     300,000
CORE LABORATORIES N V         COM         N22717107       508        5,000     SH          Sole                       5,000
CORNING INC                   COM         219350105       409       16,000     SH          Defined       1                    16,000
CORRECTIONS
  CORP OF AMERICA             COM         22025Y407       442        7,000     SH          Sole                       7,000
CREDICORP LTD                 COM         G2519Y108       459        7,500     SH          Sole                       7,500
CROCS INC                     COM         227046109       430       10,000     SH          Sole                      10,000
CRYSTALLEX INTL CORP          CALL        22942F901       670      788,100     SH    CALL  Sole                              788,100
CRYSTALLEX INTL CORP          CALL        22942F901       566      297,700     SH    CALL  Sole                     297,700
CRYSTALLEX INTL CORP          CALL        22942F901       532      226,400     SH    CALL  Sole                     226,400
CRYSTALLEX INTL CORP          CALL        22942F901       526      276,900     SH    CALL  Sole                     276,900
CRYSTALLEX INTL CORP          CALL        22942F901       477      203,100     SH    CALL  Sole                     203,100
CRYSTALLEX INTL CORP          CALL        22942F901       122       64,400     SH    CALL  Sole                      64,400
CRYSTALLEX INTL CORP          CALL        22942F901        23       27,300     SH    CALL  Sole                      27,300
CRYSTALLEX INTL CORP          CALL        22942F901        11        4,500     SH    CALL  Sole                       4,500
CRYSTALLEX INTL CORP          CALL        22942F901         2        2,700     SH    CALL  Sole                       2,700
CRYSTALLEX INTL CORP          COM         22942F101     3,959      953,935     SH          Sole                     953,935
CSX CORP                      COM         126408103       338        7,500     SH          Sole                       7,500
CURRENCYSH CAN                PUT         23129X955     2,384    1,093,400     SH    PUT   Sole                   1,093,400
CURRENCYSH CAN                PUT         23129X955         4        2,000     SH    PUT   Sole                                2,000
CURRENCYSH CAN                PUT         23129X955         6        2,600     SH    PUT   Sole                                2,600
CURRENCYSH CAN                PUT         23129X955         4        2,000     SH    PUT   Sole                                2,000
CVS CAREMARK CORPORATION_     COM         126650100       372       10,200     SH          Defined       1                    10,200
CYTYC CORPORATION             COM         232946103       647       15,000     SH          Sole                      15,000
DEERE & CO                    COM         244199105       338        2,800     SH          Defined       1                     2,800
DELTA PETE CP                 CALL        247907907     1,365      390,000     SH    CALL  Sole                     390,000
DIAMOND OFFSHORE
  DRILLING INC                COM         25271C102    11,172      110,000     SH          Sole                     110,000
DIAMONDS TRUST UNIT SER 1     UNIT SER 1  252787106       336        2,500     SH          Sole                       2,500
DIGENE CORP                   COM         253752109       751       12,500     SH          Sole                      12,500
DOLBY LABORATORIES
  INC-CL A                    COM         25659T107       212        6,000     SH          Sole                       6,000
DRDGOLD LIMITED
  SPONSORED ADR               SPON ADR    26152H103        91      125,000     SH          Sole                     125,000
DRYSHIPS INC                  COM         Y2109Q101    27,113      634,000     SH          Sole                     634,000
ELDORADO GOLD CORP            COM         284902103     4,047      694,100     SH          Sole                     694,100
ENSCO INTERNATIONAL INC       COM         26874Q100     1,495       24,500     SH          Sole                      24,500
ENSCO INTERNATIONAL INC       CALL        26874Q900     2,050      200,000     SH    CALL  Sole                     200,000
EXELON CORPORATION            COM         30161N101       399        5,500     SH          Defined       1                     5,500
F P L GROUP INC               COM         302571104       567       10,000     SH          Defined       1                    10,000
FIRST SOLAR INC               COM         336433107       330        3,700     SH          Defined       1                     3,700
FOCUS MEDIA HOLDING ADS       SPON ADR    34415V109     2,273       45,000     SH          Sole                      45,000
FRANKLIN RESOURCES INC        COM         354613101       729        5,500     SH          Sole                       5,500
FREEPORT-MCMORAN
  C & G COMMON                COM         35671D857    14,494      175,000     SH          Sole                     175,000
FRONTIER OIL CORP             COM         35914P105    14,937      341,250     SH          Sole                     341,250
GAMESTOP CORP CLASS A         CL A        36467W109       391       10,000     SH          Sole                      10,000
GARMIN LTD /USD/              COM         G37260109       740       10,000     SH          Sole                      10,000
GENERAL CABLE CORP            COM         369300108     1,970       26,000     SH          Sole                      26,000
GENERAL ELECTRIC CO           COM         369604103       689       18,000     SH          Defined       1                    18,000
GFI GROUP INC                 COM         361652209       399        5,500     SH          Sole                       5,500




COLUMN 1                      COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5            COLUMN 6    COLUMN 7        COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                 VALUE        SHRS OR   SH/   PUT/  INVESTMENT   OTHER     VOTING AUTHORITY
 ISSUER                        CLASS        CUSIP     [x$1000]      PRN AMT   PRN   CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                
GLENCAIRN GOLD CORP           COM         377903109     2,106    4,129,500     SH          Sole                   4,129,500
GLOBAL SANTAFE CO             CALL        G3930E901     3,270      300,000     SH    CALL  Sole                     300,000
GLOBALSANTAFE CORP            COM         G3930E101       939       13,000     SH          Sole                      13,000
GOLD FIELDS LTD               CALL        38059T906       722      291,500     SH    CALL  Sole                     291,500
GOLD FIELDS LTD SPON ADR      SPON ADR    38059T106    16,830    1,071,980     SH          Sole                   1,071,980
GOLD FIELDS LTD SPON ADR      SPON ADR    38059T106     6,714      427,620     SH          Sole                     427,620
GOLD FIELDS LTD SPON ADR      SPON ADR    38059T106       942       60,000     SH          Sole                      60,000
GOLDCORP INC                  CALL        380956909       390      169,500     SH    CALL  Sole                     169,500
GOLDCORP INC                  CALL        380956909        13        5,800     SH    CALL  Sole                                5,800
GOLDCORP INC                  CALL        380956909       846      305,500     SH    CALL  Sole                     305,500
GOLDCORP INC                  CALL        380956909     2,239      497,500     SH    CALL  Sole                     497,500
GOLDCORP INC                  CALL        380956909       146       32,500     SH    CALL  Sole                               32,500
GOLDCORP INC                  CALL        380956909       450       88,300     SH    CALL  Sole                      88,300
GOLDCORP INC                  CALL        380956909        14        2,800     SH    CALL  Sole                                2,800
GOLDCORP INC                  CALL        380956909     1,195      513,500     SH    CALL  Sole                     513,500
GOLDCORP INC                  CALL        380956909       224       32,500     SH    CALL  Sole                               32,500
GOLDCORP INC CW11             W EXP       380956177    37,779    4,093,118     SH          Sole                   4,093,118
                              06/09/201
GOLDCORP INC                  COM         380956409     1,348       56,901     SH          Sole                      56,901
GOLDCORP INC CW11             W EXP       380956177     1,900      205,862     SH          Sole                              205,862
                              06/09/201
GOLDMAN SACHS GROUP INC       COM         38141G104       542        2,500     SH          Defined       1                     2,500
GOLDMAN SACHS GROUP INC       COM         38141G104       542        2,500     SH          Sole                       2,500
GOODRICH PETROLEUM CORP       COM         382410405    12,626      364,600     SH          Sole                     364,600
GOOGLE INC CLASS A            CL A        38259P508       994        1,900     SH          Sole                       1,900
GOOGLE INC CLASS A            CL A        38259P508       353          675     SH          Defined       1                       675
GRANT PRIDECO INC             COM         38821G101    15,019      279,000     SH          Sole                     279,000
GREAT BASIN GOLD LTD          COM         390124105     5,438    2,141,000     SH          Sole                   2,141,000
GUESS INC                     COM         401617105       216        4,500     SH          Sole                       4,500
GULFMARK OFFSHORE INC         COM         402629109       768       15,000     SH          Sole                      15,000
GYMBOREE CORP                 COM         403777105       394       10,000     SH          Sole                      10,000
HAIN CELESTIAL GROUP INC      COM         405217100       679       25,000     SH          Sole                      25,000
HARMONY GOLD                  CALL        413216900       713      261,100     SH    CALL  Sole                     261,100
HARMONY GOLD                  CALL        413216900       205      316,000     SH    CALL  Sole                     316,000
HARMONY GOLD MINING
  SPND ADR                    SPON ADR    413216300     4,959      347,500     SH          Sole                     347,500
HARVEST ENERGY TRUST          TRUST UNIT  41752X101       643       23,000     SH          Sole                               23,000
HARVEST ENERGY TRUST          TRUST UNIT  41752X101     7,317      261,700     SH          Sole                     261,700
HELMERICH & PAYNE INC         COM         423452101       620       17,500     SH          Sole                      17,500
HESS CORP                     COM         42809H107       401        6,800     SH          Defined       1                     6,800
HOLLY CORP                    COM         435758305    17,880      241,000     SH          Sole                     241,000
HUB GROUP INC CL A            CL A        443320106       264        7,500     SH          Sole                       7,500
IMMUCOR INC                   COM         452526106       559       20,000     SH          Sole                      20,000
INFINITY BIO ENERGY LTD       COM         G4770S101     3,523      687,400     SH          Sole                     687,400
INTEL CORP                    COM         458140100       349       14,700     SH          Defined       1                    14,700
INTERCONTINENTALEXCHANGE
  INC                         COM         45865V100     1,035        7,000     SH          Sole                       7,000
INTERNATIONAL ROYALTY CORP    COM         460277106    11,862    1,839,100     SH          Sole                   1,839,100
INTERNATIONAL ROYALTY CORP    COM         460277106        52        8,000     SH          Sole                                8,000
ISHARES SILVER TRUST          I SHARES    46428Q109     5,187       42,000     SH          Sole                      42,000
ITT CORP                      COM         450911102       376        5,500     SH          Defined       1                     5,500
IVANHOE MINES LTD             COM         46579N103    33,594    2,359,100     SH          Sole                   2,359,100
JACK IN THE BOX INC           COM         466367109       355        5,000     SH          Sole                       5,000
JOHNSON & JOHNSON             COM         478160104       314        5,100     SH          Defined       1                     5,100
JOY GLOBAL INC                COM         481165108    13,591      233,000     SH          Sole                     233,000
KINROSS GOLD CORP             COM         496902404       993       85,000     SH          Sole                      85,000
KLA TENCOR CORP               COM         482480100       604       11,000     SH          Sole                      11,000
KOOKMIN BANK SP ADR           SPON ADR    50049M109       560        6,381     SH          Defined       2                     6,381







COLUMN 1                      COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5            COLUMN 6    COLUMN 7        COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAME OF                       TITLE OF                 VALUE        SHRS OR   SH/   PUT/  INVESTMENT   OTHER     VOTING AUTHORITY
 ISSUER                        CLASS        CUSIP     [x$1000]      PRN AMT   PRN   CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                
LIHIR GOLD LTD SPON ADR       SPON ADR    532349107     1,104       43,000     SH          Sole                      43,000
LILLY /ELI/ & CO              COM         532457108       525        9,400     SH          Defined       1                     9,400
LUNDIN MINING CORP            COM         550372106    10,279      846,720     SH          Sole                     846,720
MARATHON OIL CORP             COM         565849106    35,376      590,000     SH          Sole                     590,000
MARKET VECTORS GOLD           GOLD
  MINERS ETF                  MINER ETF   57060U100     1,211       32,000     SH          Sole                      32,000
MASTERCARD INC                COM         57636Q104       663        4,000     SH          Sole                       4,000
MC DONALDS CORP               COM         580135101       203        4,000     SH          Sole                       4,000
MCDERMOTT INTL INC            COM         580037109    48,002      590,000     SH          Sole                     590,000
MEMC ELECTRONIC
  MATERIALS INC               COM         552715104       978       16,000     SH          Sole                      16,000
MENS WEARHOUSE INC            COM         587118100       766       15,000     SH          Sole                      15,000
MERIDIAN BIOSCIENCE INC       COM         589584101       650       30,000     SH          Sole                      30,000
MERIDIAN GOLD INC             COM         589975101    35,884    1,301,100     SH          Sole                   1,301,100
METALLICA RES INC             COM         59125J104     3,397      749,900     SH          Sole                     749,900
MICROSOFT CORP                COM         594918104       442       15,000     SH          Defined       1                    15,000
MICROSOFT CORP                COM         594918104       295       10,000     SH          Sole                      10,000
MINEFINDERS LTD               COM         602900102    14,678    1,277,500     SH          Sole                   1,277,500
MINES MANAGEMENT INC          COM         603432105     6,578    1,951,830     SH          Sole                   1,951,830
MINES MANAGEMENT INC          COM         603432105       657      195,000     SH          Sole                              195,000
MIRANT CORP NEW               COM         60467R100    10,449      245,000     SH          Sole                     245,000
MOBILE TELESYSTEMS /USD/      SPON ADR    607409109    37,020    3,769,891     SH          Defined       2                 3,769,891
MOBILE TELESYSTEMS SPON ADR   SPON ADR    607409109    57,293      945,902     SH          Defined       2                   945,902
MORGAN STANLEY                COM         617446448       503        6,000     SH          Sole                       6,000
MOSAIC COMPANY                COM         61945A107     1,190       30,500     SH          Sole                      30,500
MUELLER WATER PRODUCTS
  INC B                       SER B       624758207       248       16,524     SH          Sole                      16,524
NABORS INDUSTRIES LTD         COM         G6359F103       327        9,800     SH          Defined       1                     9,800
NABORS INDUSTRIES LTD         COM         G6359F103       167        5,000     SH          Sole                       5,000
NATIONAL OILWELL VARCO INC    COM         637071101       417        4,000     SH          Defined       1                     4,000
NEVSUN RES LTD                COM         64156L101       250      100,000     SH          Sole                     100,000
NEWMONT MINING                CALL        651639906       409      138,500     SH    CALL  Sole                     138,500
NEWMONT MINING                CALL        651639906       193      386,000     SH    CALL  Sole                     386,000
NEWMONT MINING                CALL        651639906        33      413,000     SH    CALL  Sole                     413,000
NEWMONT MINING CORP           COM         651639106     6,054      155,000     SH          Sole                     155,000
NEWMONT MINING CORP           COM         651639106       137        3,500     SH          Defined       1                     3,500
NII HOLDINGS INC CL B         CL B        62913F201     1,211       15,000     SH          Sole                      15,000
NOBLE CORP                    COM         G65422100    43,153      442,500     SH          Sole                     442,500
NOBLE ENERGY INC              COM         655044105    28,225      452,400     SH          Sole                     452,400
NORTHERN DYNASTY MINERALS     COM         66510M204    25,149    2,142,150     SH          Sole                   2,142,150
NORTHERN ORION RESOURCES      COM         665575106    56,507    9,930,900     SH          Sole                   9,930,900
NORTHERN ORION RESOURCES      COM         665575106     1,453      255,400     SH          Sole                              255,400
NORTHGATE EXPLORATION LTD     COM         666416102       223       76,900     SH          Sole                      76,900
NORTHGATE MINERALS CORP       COM         666416102       163       56,150     SH          Sole                      56,150
NORTHROP GRUMMAN CORP         COM         666807102       304        3,900     SH          Defined       1                     3,900
NOVA USIMINAS PNA /BRL/       COM         P9632E117       405        7,100     SH          Defined       2                     7,100
NOVAGOLD RES CALL
  WRT 10/1/08                 CALL        66987E906     1,889   21,530,000     SH    CALL  Sole                  21,530,000
NOVARTIS AG SPON ADR          SPON ADR    66987V109       460        8,200     SH          Defined       1                     8,200
NOVO-NORDISK A S ADR          SPON ADR    670100205       326        3,000     SH          Sole                       3,000
NVIDIA CORP                   COM         67066G104       723       17,500     SH          Sole                      17,500
OCCIDENTAL PETROLEUM          COM         674599105    27,493      475,000     SH          Sole                     475,000
OIL SVC HOLDRS                PUT         678002956     1,520      400,000     SH    PUT   Sole                     400,000
OM GROUP INC                  COM         670872100    11,431      216,000     SH          Sole                     216,000
ORACLE CORP                   COM         68389X105       641       32,500     SH          Sole                      32,500
PACCAR INC                    COM         693718108       261        3,000     SH          Sole                       3,000
PACIFIC RIM MINING CORP       COM         694915208     5,481    5,122,600     SH          Sole                   5,122,600
PEABODY ENERGY CORP           COM         704549104     9,434      195,000     SH          Sole                     195,000




COLUMN 1                      COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5            COLUMN 6    COLUMN 7        COLUMN 8
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NAME OF                       TITLE OF                 VALUE        SHRS OR   SH/   PUT/  INVESTMENT   OTHER     VOTING AUTHORITY
 ISSUER                        CLASS        CUSIP     [x$1000]      PRN AMT   PRN   CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
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PENN WEST ENERGY TRUST        TRUST UNIT  707885109       641       18,000     SH          Sole                               18,000
PETROCHINA CO LTD ADR         SPON ADR    71646E900    31,996      215,200     SH          Sole                     215,200
PETROLEO BRASILEIRO
  SPON ADR                    SPON ADR    71654V101    28,804      270,000     SH          Sole                     270,000
PETROLEO BRASILEIRO
  SPON ADR                    SPON ADR    71654V101       445        4,172     SH          Defined       2                     4,172
PETROLEUM GEO
  SERVICES ASA ADR            SPON ADR    716599105       987       40,000     SH          Sole                      40,000
PHARMACEUTICAL                DEPOSITRY
  HOLDRS TRUST                RCPT        71712A206       898       11,000     SH          Sole                      11,000
PHASE FORWARD INC             COM         71721R406       589       35,000     SH
PIER 1 IMPORTS INC            COM         720279108       467       55,000     SH          Sole                      55,000
POLYCOM INC                   COM         73172K104       756       22,500     SH          Sole                      22,500
POSCO SPONSORED ADR           SPON ADR    693483109     7,200       60,000     SH          Sole                      60,000
POSCO SPONSORED ADR           SPON ADR    693483109       384        3,199     SH          Defined       2                     3,199
POTASH CORP SASKATCHEWAN      COM         73755L107     6,160       79,000     SH          Sole                      79,000
PRECISION CASTPARTS CORP      COM         740189105     1,820       15,000     SH          Sole                      15,000
PRICELINE.COM INC             COM         741503403       928       13,500     SH          Sole                      13,500
PROCTER & GAMBLE              COM         742718109       367        6,000     SH          Defined       1                     6,000
PROGRESS ENERGY INC           COM         743263105    12,765      280,000     SH          Sole                     280,000
PROSHARES ULTRASHORT
  OIL AND GAS                 COM         74347R586       221        4,500     SH          Sole                                4,500
QUANTA SERVICES INC           COM         74762E102       767       25,000     SH          Sole                      25,000
RANGOLD RESOURCES LTD ADR     SPON ADR    752344309    34,719    1,564,634     SH          Sole                   1,564,634
RAYTHEON COMPANY              COM         755111507       318        5,900     SH          Defined       1                     5,900
REGAL ENTERTAIMENT GROUP-A    COM         758766109       351       16,000     SH          Sole                      16,000
RELIANT ENERGY INC            COM         75952B105    13,071      485,000     SH          Sole                     485,000
RESEARCH IN MOTION            COM         760975102       300        1,500     SH          Sole                       1,500
RIO TINTO PLC
  SPONSORED ADR               SPON ADR    767204100       214          700     SH          Defined       1                       700
ROGERS COMMUNICATIONS         COM         775109200       765       18,000     SH          Sole                      18,000
ROYAL GOLD INC                COM         780287108    15,878      668,000     SH          Sole                     668,000
SAN JUAN BASIN RTY TR UBI     COM         798241105     6,871      216,000     SH          Sole                     216,000
SAN JUAN BASIN RTY TR UBI     COM         798241105       509       16,000     SH          Sole                               16,000
SCHEIN/HENRY/INC              COM         806407102       534       10,000     SH          Sole                      10,000
SCHLUMBERGER LTD              COM         806857108    43,744      515,000     SH          Sole                     515,000
SCHLUMBERGER LTD              COM         806857108       697        8,200     SH          Defined       1                     8,200
SCHWAB /CHARLES/ CORP         COM         808513105       821       40,000     SH          Sole                      40,000
SECTOR SPDR-EN                PUT         81369Y506       525      750,000     SH    PUT   Sole                     750,000
SILICON MOTION TECH /ADR/     SPON ADR    82706C108     1,242       50,000     SH          Sole                      50,000
SILVER WHEATON CORP           COM         828336107       468       40,000     SH          Sole                      40,000
SINA CORPORATION              COM         G81477104       419       10,000     SH          Sole                      10,000
SIRF TECHNOLOGY HOLDINGS INC  COM         82967H101       415       20,000     SH          Sole                      20,000
SMITH & WESSON HOLDING CORP   COM         831756101       503       30,000     SH          Sole                      30,000
SOLITARIO RESOURCES CORP      COM         83422R106     4,122      858,700     SH          Sole                     858,700
SOUTHERN CO                   COM         842587107    13,030      380,000     SH          Sole                     380,000
STREETTRACKS GOLD TRUST       GOLD SHS    863307104    32,212      501,200     SH          Sole                     501,200
STREETTRACKS GOLD TRUST       GOLD SHS    863307104       193        3,000     SH          Defined       1                     3,000
STRYKER CORP                  COM         863667101       852       13,500     SH          Sole                      13,500
SUNCOR ENERGY                 CALL        867229906     4,797      243,500     SH    CALL  Sole                     243,500
SUNCOR ENERGY                 CALL        867229906     2,251      144,500     SH    CALL  Sole                     144,500
SUNCOR ENERGY INC             COM         867229106    19,782      220,000     SH          Sole                     220,000
SUNOCO INC                    COM         86764P109    13,944      175,000     SH          Sole                     175,000
SUPERIOR ENERGY
  SERVICES INC                COM         868157108       699       17,500     SH          Sole                      17,500
TAIWAN SEMICONDUCTOR
  SPON ADR                    SPON ADR    874039100       681       61,142     SH          Defined       2                    61,142
TASEKO MINES LTD              COM         876511106     3,700    1,000,000     SH          Sole                   1,000,000
TEREX CORP                    COM         880779103       772        9,500     SH          Sole                       9,500
TERRA INDS INC                COM         880915103     2,923      115,000     SH          Sole                     115,000







COLUMN 1                      COLUMN 2    COLUMN 3    COLUMN 4        COLUMN 5            COLUMN 6    COLUMN 7        COLUMN 8
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NAME OF                       TITLE OF                 VALUE        SHRS OR   SH/   PUT/  INVESTMENT   OTHER     VOTING AUTHORITY
 ISSUER                        CLASS        CUSIP     [x$1000]      PRN AMT   PRN   CALL  DISCRETION  MANAGERS SOLE  SHARED    NONE
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TERRA NITROGEN CO L P
 COM UNIT                     COM UNIT    881005201       318        2,500     SH          Sole                       2,500
TESCO CORP                    COM         88157K101       284        9,000     SH          Sole                       9,000
TESORO CORP                   COM         881609101    11,601      203,000     SH          Sole                     203,000
TESSERA TECHNOLOGIES INC      COM         88164L100       649       16,000     SH          Sole                      16,000
THERMO FISHER
  SCIENTIFIC INC              COM         883556102       517       10,000     SH          Sole                      10,000
TOYOTA MOTOR CORP ADR         SPON ADR    892331307       378        3,000     SH          Defined       1                     3,000
TRANSOCEAN INC                COM         G90078109       212        2,000     SH          Defined       1                     2,000
U S GOLD CORP                 COM         912023207     7,823    1,422,406     SH          Sole                   1,422,406
U S GOLD CORP                 COM         912023207       127       23,000     SH          Sole                               23,000
UBS AG                        COM         H89231338       420        7,000     SH          Defined       1                     7,000
UNITED PARCEL SERVICE CL B    CL B        911312106       292        4,000     SH          Defined       1                     4,000
UNITED TECHNOLOGIES CORP      COM         913017109       319        4,500     SH          Defined       1                     4,500
UNITEDHEALTH GROUP INC        COM         91324P102       307        6,000     SH          Sole                       6,000
UNIVERSAL ELECTRONICS INC     COM         913483103       218        6,000     SH          Sole                       6,000
VALERO ENERGY CORP            COM         91913Y100    12,741      172,500     SH          Sole                     172,500
VERIFONE HOLDING INC          COM         92342Y109       705       20,000     SH          Sole                      20,000
VIMPEL COMMUNICATIONS
  SPON ADR                    SPON ADR    68370R109    40,628      385,612     SH          Defined       2                   385,612
VOCUS INC                     COM         92858J108       628       25,000     SH          Sole                      25,000
VOLCOM INC                    COM         92864N101       677       13,500     SH          Sole                      13,500
WALTER INDUSTRIES INC         COM         93317Q105       290       10,000     SH          Sole                      10,000
WELLCARE HEALTH PLANS INC     COM         94946T106     1,086       12,000     SH          Sole                      12,000
WELLS FARGO & COMPANY         COM         949746101       605       17,200     SH          Defined       1                    17,200
WIMM-BILL-DANN FOODS          COM         97263M109    26,733      356,434     SH          Defined       2                   356,434
WOORI FINANCE
  HOLDINGS /KRW/              COM         Y9695X119       285       11,260     SH          Defined       2                    11,260
WYETH                         COM         983024100       831       14,500     SH          Sole                      14,500
YAMANA GOLD                   COM         98462Y100     3,670      330,000     SH          Sole                     330,000

                              GRAND
                              TOTAL:                1,496,113  109,128,254