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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2011

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:    The Toronto-Dominion Bank
Address: Toronto Dominion Bank Tower
         Toronto-Dominion Centre
         P.O. Box 1
         Toronto, Ontario M5K 1A2, Canada

Form 13F File Number: 28-11527

This 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:    Norie Campbell
Title:   Executive Vice President
Phone:

Signature, Place, and Date of Signing:


                                              
          /S/ Norie Campbell    Toronto, Ontario    February 10, 2012
             [Signature]         [City, State]           [Date]


Report Type (Check only one):

[_] 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).)

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

List of Other Managers Reporting for this Manager:

Form 13F File Number           Name
28-05929                       TD Asset Management USA Inc.
28-05987                       TD Asset Management Inc.
28-11451                       TD Securities (USA) LLC



                             FORM 13F SUMMARY PAGE

Report summary:

Number of Other Included Managers:      2

Form 13F Information Table Entry Total: 1193

Form 13F Information Table Value Total (x$1000): $20,903,779

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.

    No.    Form 13F File Number         Name

    1      28-11512                     TD Securities Inc.
    2      28-11579                     TD Global Finance



Form 13F-HR

             Name of reporting Manager The Toronto--Dominion Bank



Item 1:            Item 2:  Item 3:   Item 4:   Item 5:         Item 6:                      Item 7:           Item 8:
-------            ------- --------- --------- ----------      ----------                    -------- -------------------------
                                                                                                      Voting Authority (Shares)
                    Title              Fair    Shares or       Investment    (b)       (c)   Managers -------------------------
                     of      CUSIP    Market   Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer      Class   Number     Value    Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------     ------- --------- --------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                       
3M COMPANY          COM    88579Y101     8,438    101,673   SH SOLE                                      101,673
ABBOTT
 LABORATORIES       COM    002824100       129      2,300   SH            SH_DEF                2                    2,300
ABBOTT
 LABORATORIES
 INC                COM    002824100     4,120     72,157   SH SOLE                                       72,157
ABITIBIBOWATER
 INC                COM    003687209       148     10,000   SH SOLE                                       10,000
ACTUANT CORP CL
 A                  COM    00508X203        93      4,045   SH SOLE                                        4,045
ADVANTAGE OIL &
 GAS LTD            COM    00765F101         3        800   SH            SH_DEF                1                      800
ADVANTAGE OIL &
 GAS LTD            COM    00765F101       147     35,300   SH SOLE                                       35,300
ADVANTAGE OIL &
 GAS LTD            COM    00765F101         5      1,106   SH SOLE                                        1,106
AFLAC INC           COM    001055102       170      3,865   SH SOLE                                        3,865
AGILENT
 TECHNOLOGIES
 INC                COM    00846U101        --          0   SH            SH_DEF                2                        0
AGILENT
 TECHNOLOGIES
 INC                COM    00846U101         4        100   SH SOLE                                          100
AGNICO-EAGLE
 MINES             CALL    008474108     5,417    148,700 CALL            SH_DEF                1                  148,700
AGNICO-EAGLE
 MINES              COM    008474108     8,981    246,513   SH            SH_DEF                1                  246,513
AGNICO-EAGLE
 MINES              COM    008474108    63,756  1,750,066   SH SOLE                                    1,750,066
AGNICO-EAGLE
 MINES              PUT    008474108     6,558    180,000  PUT            SH_DEF                1                  180,000
AGNICO-EAGLE
 MINES LTD         CALL    008474108     1,453     40,000 CALL            SH_DEF                1                   40,000
AGNICO-EAGLE
 MINES LTD         CALL    008474108     1,816     50,000 CALL SOLE                                       50,000
AGNICO-EAGLE
 MINES LTD          COM    008474108     1,942     53,480   SH SOLE                                       53,480
AGNICO-EAGLE
 MINES LTD          COM    008474108       186      5,021   SH SOLE                                        5,021
AGNICO-EAGLE
 MINES LTD          COM    008474108       185      5,100   SH            SH_DEF                1                    5,100
AGNICO-EAGLE
 MINES LTD          PUT    008474108     1,271     35,000  PUT            SH_DEF                1                   35,000
AGNICO-EAGLE
 MINES LTD          PUT    008474108     1,816     50,000  PUT SOLE                                       50,000
AGRIUM INC         CALL    008916108    18,497    275,100 CALL            SH_DEF                1                  275,100
AGRIUM INC         CALL    008916108     1,040     15,500 CALL SOLE                                       15,500
AGRIUM INC          COM    008916108     9,231    137,292   SH            SH_DEF                1                  137,292
AGRIUM INC          COM    008916108   115,156  1,712,684   SH SOLE                                    1,712,684
AGRIUM INC          COM    008916108     4,008     58,771   SH SOLE                                       58,771
AGRIUM INC          COM    008916108       584      8,700   SH            SH_DEF                1                    8,700
AGRIUM INC          PUT    008916108    14,792    220,000  PUT            SH_DEF                1                  220,000
AIR PRODUCTS AND
 CHEMICALS INC      COM    009158106        17        200   SH SOLE                                          200
AKAMAI
 TECHNOLOGIES
 INC                COM    00971T101         4        125   SH SOLE                                          125
ALCATEL LUCENT
 ADR                COM    013904305         0         47   SH SOLE                                           47
ALCOA INC           COM    013817101       186     21,195   SH SOLE                                       21,195
ALEXCO RESOURCE
 CORP              CALL    01535P106         7      1,000 CALL            SH_DEF                1                    1,000
ALEXCO RESOURCE
 CORP               COM    01535P106         1        200   SH            SH_DEF                1                      200
ALLEGHENY
 TECHNOLOGIES
 INC                COM    01741R102        12        240   SH SOLE                                          240
ALLIED NEVADA
 GOLD CORP         CALL    019344100     1,038     34,100 CALL            SH_DEF                1                   34,100
ALLIED NEVADA
 GOLD CORP          COM    019344100        45      1,500   SH SOLE                                        1,500
ALLIED NEVADA
 GOLD CORP          PUT    019344100       648     21,300  PUT            SH_DEF                1                   21,300
ALTRIA GROUP INC    COM    02209S103       896     29,747   SH SOLE                                       29,747
ALUMINA LIMITED
 SPON ADR           COM    022205108         2        500   SH SOLE                                          500
AMAZON.COM INC      COM    023135106       156        900   SH SOLE                                          900
AMERICAN CAPITAL
 AGENCY CORP        COM    02503X105       228      8,000   SH SOLE                                        8,000
AMERICAN EAGLE
 OUTFITTERS INC     COM    02553E106        11        705   SH SOLE                                          705
AMERICAN EXPRESS
 CO                 COM    025816109         5        107   SH            SH_DEF                1                      107
AMERICAN EXPRESS
 CO                 COM    025816109        47      1,000   SH SOLE                                        1,000
AMERICAN EXPRESS
 COMPANY            COM    025816109       417      8,705   SH SOLE                                        8,705
AMERISOURCEBERGEN
 CORP               COM    03073E105         6        160   SH SOLE                                          160
AMETEK INC          COM    031100100       336      7,870   SH SOLE                                        7,870
AMGEN INC           COM    031162100       609      9,345   SH SOLE                                        9,345
AMTRUST
 FINANCIAL
 SERVICES INC       COM    032359309        93      3,865   SH SOLE                                        3,865
ANGLOGOLD
 ASHANTI-SPON
 ADR                COM    035128206        66      1,550   SH SOLE                                        1,550
ANHEUSER-BUSCH
 INBEV SPN ADR      COM    03524A108       372      6,011   SH SOLE                                        6,011
ANNALY CAPITAL
 MANAGEMENT
 INC                COM    035710409       486     30,000   SH SOLE                                       30,000
ANTARES PHARMA
 INC                COM    036642106       438    196,200   SH SOLE                                      196,200
AOL INC             COM    00184X105         0         11   SH SOLE                                           11
AON CORPORATION     COM    037389103        81      1,700   SH SOLE                                        1,700
APACHE
 CORPORATION        COM    037411105       456      4,960   SH SOLE                                        4,960
APPLE INC           COM    037833100     2,786      6,880   SH SOLE                                        6,880
APPLE INC           COM    037833100   720,373  1,778,700   SH            SH_DEF                2                1,778,700
APPLE INC           COM    037833100       122        300   SH            SH_DEF                2                      300
APPLE INC           COM    037833100     2,530      6,153   SH SOLE                                        6,153
APPLIED
 MATERIALS INC      COM    038222105        13      1,170   SH SOLE                                        1,170
ARCELORMITTAL
 NY REGISTERED      COM    03938L104        31      1,700   SH SOLE                                        1,700
ARCH COAL INC       COM    039380100        44      3,000   SH SOLE                                        3,000
ARCHER DANIELS
 MIDLAND
 COMPANY            COM    039483102        58      2,000   SH SOLE                                        2,000
ARENA
 PHARMACEUTICALS
 INC                COM    040047102       613    322,600   SH SOLE                                      322,600
ASPEN INSURANCE
 HOLDINGS LTD       COM    G05384105       374     13,890   SH SOLE                                       13,890
ASSURANT INC        COM    04621X108        21        500   SH SOLE                                          500
ASTRAZENECA PLC     COM    046353108     7,709    166,792   SH            SH_DEF                2                  166,792
ASTRAZENECA PLC
 SPONSORED ADR      COM    046353108     1,004     21,350   SH SOLE                                       21,350
AT&T INC            COM    00206R102         6        200   SH SOLE                                          200
AT&T INC            COM    00206R102     5,105    166,244   SH SOLE                                      166,244
ATLANTIC POWER
 CORP              CALL    04878Q863       367     25,700 CALL            SH_DEF                1                   25,700
ATLANTIC POWER
 CORP               COM    04878Q863        56      3,900   SH            SH_DEF                1                    3,900
ATLANTIC POWER
 CORP               COM    04878Q863    11,914    834,480   SH SOLE                                      834,480
ATLANTIC POWER
 CORPORATION
 NEW                COM    04878Q863       213     14,696   SH SOLE                                       14,696
ATRION
 CORPORATION        COM    049904105        52        212   SH SOLE                                          212
AURICO GOLD INC    CALL    05155C105        38      4,700 CALL            SH_DEF                1                    4,700
AURICO GOLD INC     COM    05155C105       203     25,200   SH            SH_DEF                1                   25,200
AURICO GOLD INC     COM    05155C105       484     60,146   SH SOLE                                       60,146
AURICO GOLD INC     COM    05155C105       209     25,600   SH SOLE                                       25,600
AURICO GOLD INC     COM    05155C105        16      2,000   SH            SH_DEF                1                    2,000
AURICO GOLD INC     PUT    05155C105       155     19,200  PUT            SH_DEF                1                   19,200
AURIZON MINES
 LTD                COM    05155P106       235     47,900   SH SOLE                                       47,900
AUTOMATIC DATA
 PROCESSING INC     COM    053015103     1,418     25,850   SH SOLE                                       25,850
AVALON RARE
 METALS INC        CALL    053470100        28     12,000 CALL            SH_DEF                1                   12,000
AVIVA PLC           COM    05382A104     1,807    386,637   SH            SH_DEF                2                  386,637
AVON PRODUCTS
 INC                COM    054303102        85      4,800   SH SOLE                                        4,800
BAKER HUGHES INC    COM    057224107       209      4,240   SH SOLE                                        4,240
BALLARD POWER
 SYSTEMS INC        COM    058586108        54     49,555   SH SOLE                                       49,555
BALLARD POWER
 SYSTEMS INC        COM    058586108       165    150,000   SH SOLE                                      150,000
BANCO BILBAO
 VIZCAYA
 ARGENTARIA S.A.    COM    05946K101        17      1,939   SH SOLE                                        1,939
BANCO SANTANDER
 S.A. ADR           COM    05964H105        53      7,004   SH SOLE                                        7,004
BANK OF AMERICA
 CORP              CALL    060505104    36,140  6,500,000 CALL SOLE                                    6,500,000
BANK OF AMERICA
 CORP               COM    060505104         1        107   SH            SH_DEF                1                      107
BANK OF AMERICA
 CORP               COM    060505104        53      9,600   SH SOLE                                        9,600
BANK OF AMERICA
 CORPORATION        COM    060505104       724    128,217   SH SOLE                                      128,217
BANK OF
 MONTREAL          CALL    063671101    71,067  1,293,400 CALL            SH_DEF                1                1,293,400
BANK OF
 MONTREAL          CALL    063671101    10,011    182,200 CALL SOLE                                      182,200
BANK OF
 MONTREAL           COM    063671101    45,139    821,512   SH            SH_DEF                1                  821,512
BANK OF
 MONTREAL           COM    063671101 1,390,197 25,305,405   SH SOLE                                   25,305,405
BANK OF
 MONTREAL           COM    063671101         9        168   SH SOLE                                          168
BANK OF
 MONTREAL           COM    063671101        55      1,000   SH            SH_DEF                2                    1,000
BANK OF
 MONTREAL           COM    063671101    51,676    927,355   SH SOLE                                      927,355
BANK OF
 MONTREAL           COM    063671101        55      1,000   SH            SH_DEF                1                    1,000
BANK OF
 MONTREAL           COM    063671101        82      1,491   SH            SH_DEF                1                    1,491
BANK OF
 MONTREAL           COM    063671101     1,036     18,874   SH            SH_DEF                1                   18,874
BANK OF
 MONTREAL           PUT    063671101    59,578  1,084,300  PUT            SH_DEF                1                1,084,300
BANK OF
 MONTREAL           PUT    063671101    10,649    193,800  PUT SOLE                                      193,800
BANK OF NEW YORK
 MELLON CORP        COM    064058100     1,351     66,805   SH SOLE                                       66,805
BANK OF NOVA
 SCOTIA            CALL    064149107    59,282  1,186,100 CALL            SH_DEF                1                1,186,100
BANK OF NOVA
 SCOTIA            CALL    064149107    16,653    333,200 CALL SOLE                                      333,200
BANK OF NOVA
 SCOTIA             COM    064149107    32,808    656,415   SH            SH_DEF                1                  656,415
BANK OF NOVA
 SCOTIA             COM    064149107 2,276,768 45,553,272   SH SOLE                                   45,553,272
BANK OF NOVA
 SCOTIA             COM    064149107       125      2,500   SH            SH_DEF                2                    2,500
BANK OF NOVA
 SCOTIA             COM    064149107    99,586  1,964,692   SH SOLE                                    1,964,692
BANK OF NOVA
 SCOTIA             COM    064149107        35        700   SH            SH_DEF                1                      700
BANK OF NOVA
 SCOTIA             COM    064149107        60      1,200   SH            SH_DEF                1                    1,200
BANK OF NOVA
 SCOTIA             COM    064149107     1,559     31,255   SH            SH_DEF                1                   31,255






Item 1:            Item 2:  Item 3:   Item 4:   Item 5:         Item 6:                      Item 7:           Item 8:
-------            ------- --------- --------- ----------      ----------                    -------- -------------------------
                                                                                                      Voting Authority (Shares)
                    Title              Fair    Shares or       Investment    (b)       (c)   Managers -------------------------
                     of      CUSIP    Market   Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer      Class   Number     Value    Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------     ------- --------- --------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                       
BANK OF NOVA
 SCOTIA             PUT    064149107    39,355    787,400  PUT            SH_DEF                1                  787,400
BANK OF NOVA
 SCOTIA             PUT    064149107     6,088    121,800  PUT SOLE                                      121,800
BANRO
 CORPORATION        COM    066800103       397    106,800   SH SOLE                                      106,800
BARCLAYS BANK
 PLC                COM    06739H776       619     31,300   SH SOLE                                       31,300
BARCLAYS PLC        COM    06738E204     4,427  1,618,735   SH            SH_DEF                2                1,618,735
BARCLAYS PLC
 SPONSORED ADR      COM    06738E204        27      2,423   SH SOLE                                        2,423
BARCLAYS PLC-
 SPONS ADR          COM    06738E204       624     34,030   SH SOLE                                       34,030
BARRICK GOLD
 CORP              CALL    067901108    42,710    941,200 CALL            SH_DEF                1                  941,200
BARRICK GOLD
 CORP              CALL    067901108       520     11,500 CALL            SH_DEF                1                   11,500
BARRICK GOLD
 CORP              CALL    067901108     2,262     50,000 CALL SOLE                                       50,000
BARRICK GOLD
 CORP               COM    067901108    25,910    570,984   SH            SH_DEF                1                  570,984
BARRICK GOLD
 CORP               COM    067901108   478,052 10,534,763   SH SOLE                                   10,534,763
BARRICK GOLD
 CORP               COM    067901108     3,961     87,543   SH SOLE                                       87,543
BARRICK GOLD
 CORP               COM    067901108     7,610    165,366   SH SOLE                                      165,366
BARRICK GOLD
 CORP               COM    067901108        91      2,000   SH            SH_DEF                1                    2,000
BARRICK GOLD
 CORP               COM    067901108       308      6,800   SH            SH_DEF                1                    6,800
BARRICK GOLD
 CORP               PUT    067901108    37,560    827,700  PUT            SH_DEF                1                  827,700
BARRICK GOLD
 CORP               PUT    067901108     1,421     31,400  PUT            SH_DEF                1                   31,400
BARRICK GOLD
 CORP               PUT    067901108    13,942    308,100  PUT SOLE                                      308,100
BAXTER
 INTERNATIONAL
 INC                COM    071813109       291      5,800   SH SOLE                                        5,800
BAYTEX ENERGY
 CORP              CALL    07317Q105     8,515    152,000 CALL            SH_DEF                1                  152,000
BAYTEX ENERGY
 CORP               COM    07317Q105       448      8,000   SH            SH_DEF                1                    8,000
BAYTEX ENERGY
 CORP               COM    07317Q105     2,106     37,600   SH SOLE                                       37,600
BAYTEX ENERGY
 CORP               COM    07317Q105        63      1,132   SH SOLE                                        1,132
BAYTEX ENERGY
 CORP               COM    07317Q105     5,728    100,834   SH SOLE                                      100,834
BAYTEX ENERGY
 CORP               PUT    07317Q105     1,765     31,500  PUT            SH_DEF                1                   31,500
BCE INC            CALL    05534B760    18,278    437,700 CALL            SH_DEF                1                  437,700
BCE INC             COM    05534B760    16,514    395,459   SH            SH_DEF                1                  395,459
BCE INC             COM    05534B760   388,863  9,311,840   SH SOLE                                    9,311,840
BCE INC             COM    05534B760        --         63   SH            SH_DEF                2                       63
BCE INC             COM    05534B760       209      5,000   SH            SH_DEF                1                    5,000
BCE INC             PUT    05534B760    35,893    859,500  PUT            SH_DEF                1                  859,500
BCE INC NEW         COM    05534B760    39,054    922,137   SH SOLE                                      922,137
BEACON POWER
 CORP NEW           COM    073677205         1     30,000   SH SOLE                                       30,000
BECTON, DICKINSON
 & CO               COM    075887109     2,720     35,853   SH SOLE                                       35,853
BERKSHIRE
 HATHAWAY INC
 CL A               COM    084670108    14,689        125   SH SOLE                                          125
BERKSHIRE
 HATHAWAY INC
 CLASS B NEW        COM    084670702     2,194     28,320   SH SOLE                                       28,320
BERKSHIRE
 HATHAWAY INC-
 CL B               COM    084670702        23        300   SH SOLE                                          300
BHP BILLITON LTD
 SPONSORED ADR      COM    088606108     2,053     28,625   SH SOLE                                       28,625
BHP BILLITON PLC    COM    05545E209     7,884    270,291   SH            SH_DEF                2                  270,291
BIOCRYST
 PHARMACEUTICALS    COM    09058V103       228     90,800   SH SOLE                                       90,800
BIOSANTE PHARMA
 INC                COM    09065V203         0        127   SH SOLE                                          127
BOEING CO/THE       COM    097023105         8        107   SH            SH_DEF                1                      107
BOEING COMPANY      COM    097023105       222      2,984   SH SOLE                                        2,984
BP PLC              COM    055622104    17,270  2,414,101   SH            SH_DEF                2                2,414,101
BP PLC SPONSORED
 ADR                COM    055622104       284      6,554   SH SOLE                                        6,554
BP PRUDHOE BAY
 ROYALTY TRUST      COM    055630107       231      2,000   SH SOLE                                        2,000
BRISTOL-MYERS
 SQUIBB COMPANY     COM    110122108       505     14,109   SH SOLE                                       14,109
BRITISH AMERICAN
 TOBACCO-SPON
 ADR                COM    110448107       617      6,400   SH SOLE                                        6,400
BROOKFIELD ASSET
 MANAGE-CL A       CALL    112585104     2,049     74,300 CALL            SH_DEF                1                   74,300
BROOKFIELD ASSET
 MANAGE-CL A        COM    112585104     9,721    352,578   SH            SH_DEF                1                  352,578
BROOKFIELD ASSET
 MANAGE-CL A        COM    112585104   278,989 10,118,827   SH SOLE                                   10,118,827
BROOKFIELD ASSET
 MANAGE-CL A        PUT    112585104       761     27,600  PUT            SH_DEF                1                   27,600
BROOKFIELD ASSET
 MGMT INC CL A
 LVS                COM    112585104    10,378    371,151   SH SOLE                                      371,151
BROOKFIELD ASSET
 MGT-A LV           COM    112585104       885     32,200   SH            SH_DEF                1                   32,200
BROOKFIELD ASSET
 MGT-A LV           COM    112585104       462     16,800   SH            SH_DEF                1                   16,800
BROOKFIELD INFRA
 PARTNER LPU        COM    G16252101       326     11,585   SH SOLE                                       11,585
BROOKFIELD OFFICE
 PROPERTIES INC     COM    112900105     1,047     65,753   SH SOLE                                       65,753
BROOKFIELD
 PROPERTIES CORP   CALL    112900105     1,390     88,500 CALL            SH_DEF                1                   88,500
BROOKFIELD
 PROPERTIES CORP    COM    112900105       444     28,300   SH            SH_DEF                1                   28,300
BROOKFIELD
 PROPERTIES CORP    COM    112900105     5,695    362,676   SH SOLE                                      362,676
BROOKFIELD
 PROPERTIES CORP    PUT    112900105       311     19,800  PUT            SH_DEF                1                   19,800
BROOKFIELD
 RESIDENTIAL
 PPTYS INC          COM    11283W104         2        211   SH SOLE                                          211
BROWN & BROWN
 INC                COM    115236101        60      2,600   SH SOLE                                        2,600
BROWN-FORMAN
 CORP CL A          COM    115637100       113      1,400   SH SOLE                                        1,400
BT GROUP PLC        COM    05577E101     2,935    989,634   SH            SH_DEF                2                  989,634
BURCON
 NUTRASCIENCE
 CORP               COM    120831102       281     39,700   SH SOLE                                       39,700
C.R. BARD INC       COM    067383109        87      1,000   SH SOLE                                        1,000
CAE INC            CALL    124765108       314     32,300 CALL            SH_DEF                1                   32,300
CAE INC             COM    124765108       500     51,400   SH SOLE                                       51,400
CAE INC             COM    124765108         1        100   SH            SH_DEF                2                      100
CAE INC             COM    124765108       579     58,700   SH SOLE                                       58,700
CAE INC             COM    124765108     6,586    680,000   SH            SH_DEF                1                  680,000
CAE INC             PUT    124765108        29      3,000  PUT            SH_DEF                1                    3,000
CAMECO CORP        CALL    13321L108     3,009    166,200 CALL            SH_DEF                1                  166,200
CAMECO CORP        CALL    13321L108       135      7,500 CALL SOLE                                        7,500
CAMECO CORP         COM    13321L108     6,668    368,372   SH            SH_DEF                1                  368,372
CAMECO CORP         COM    13321L108    75,359  4,162,958   SH SOLE                                    4,162,958
CAMECO CORP         COM    13321L108     1,312     71,450   SH SOLE                                       71,450
CAMECO CORP         COM    13321L108        90      5,000   SH            SH_DEF                1                    5,000
CAMECO CORP         COM    13321L108       699     38,800   SH            SH_DEF                1                   38,800
CAMECO CORP         PUT    13321L108     4,746    262,200  PUT            SH_DEF                1                  262,200
CAMECO CORP         PUT    13321L108     4,975    275,600  PUT SOLE                                      275,600
CAMPBELL SOUP CO    COM    134429109         3        100   SH SOLE                                          100
CAN IMPERIAL BK
 OF COMMERCE       CALL    136069101    52,342    721,400 CALL            SH_DEF                1                  721,400
CAN IMPERIAL BK
 OF COMMERCE       CALL    136069101     6,458     89,000 CALL SOLE                                       89,000
CAN IMPERIAL BK
 OF COMMERCE        COM    136069101    28,950    398,995   SH            SH_DEF                1                  398,995
CAN IMPERIAL BK
 OF COMMERCE        COM    136069101 1,274,957 17,571,905   SH SOLE                                   17,571,905
CAN IMPERIAL BK
 OF COMMERCE        COM    136069101        61        845   SH SOLE                                          845
CAN IMPERIAL BK
 OF COMMERCE        PUT    136069101    40,545    558,800  PUT            SH_DEF                1                  558,800
CAN IMPERIAL BK
 OF COMMERCE        PUT    136069101     4,738     65,300  PUT SOLE                                       65,300
CANADIAN
 IMPERIAL BANK
 OF COMMERCE        COM    136069101    53,705    729,852   SH SOLE                                      729,852
CANADIAN
 NATIONAL
 RAILWAY            COM    136375102        79      1,000   SH            SH_DEF                1                    1,000
CANADIAN
 NATIONAL
 RAILWAY            COM    136375102       567      7,200   SH            SH_DEF                1                    7,200
CANADIAN
 NATIONAL
 RAILWAY CO         COM    136375102    28,034    350,749   SH SOLE                                      350,749
CANADIAN NATL
 RAILWAY CO        CALL    136375102    23,935    303,700 CALL            SH_DEF                1                  303,700
CANADIAN NATL
 RAILWAY CO        CALL    136375102     3,135     39,900 CALL SOLE                                       39,900
CANADIAN NATL
 RAILWAY CO         COM    136375102    17,586    223,147   SH            SH_DEF                1                  223,147
CANADIAN NATL
 RAILWAY CO         COM    136375102   389,760  4,945,554   SH SOLE                                    4,945,554
CANADIAN NATL
 RAILWAY CO         PUT    136375102    13,705    173,900  PUT            SH_DEF                1                  173,900
CANADIAN
 NATURAL
 RESOURCES         CALL    136385101    43,942  1,171,400 CALL            SH_DEF                1                1,171,400
CANADIAN
 NATURAL
 RESOURCES         CALL    136385101     5,927    158,600 CALL SOLE                                      158,600
CANADIAN
 NATURAL
 RESOURCES          COM    136385101    54,042  1,440,656   SH            SH_DEF                1                1,440,656
CANADIAN
 NATURAL
 RESOURCES          COM    136385101   430,344 11,472,082   SH SOLE                                   11,472,082
CANADIAN
 NATURAL
 RESOURCES          PUT    136385101    24,462    652,100  PUT            SH_DEF                1                  652,100
CANADIAN
 NATURAL
 RESOURCES          PUT    136385101    13,405    358,700  PUT SOLE                                      358,700
CANADIAN
 NATURAL
 RESOURCES LTD      COM    136385101    16,823    442,193   SH SOLE                                      442,193
CANADIAN PACIFIC
 RAILWAY LTD       CALL    13645T100     9,269    136,600 CALL            SH_DEF                1                  136,600
CANADIAN PACIFIC
 RAILWAY LTD        COM    13645T100     5,528     81,473   SH            SH_DEF                1                   81,473
CANADIAN PACIFIC
 RAILWAY LTD        COM    13645T100   150,492  2,217,799   SH SOLE                                    2,217,799
CANADIAN PACIFIC
 RAILWAY LTD        COM    13645T100    13,887    201,793   SH SOLE                                      201,793
CANADIAN PACIFIC
 RAILWAY LTD        PUT    13645T100    10,348    152,500  PUT            SH_DEF                1                  152,500
CANON INC ADR       COM    138006309       379      8,475   SH SOLE                                        8,475
CARDIOME PHARMA
 CORP               COM    14159U202        25     10,400   SH            SH_DEF                1                   10,400
CARNIVAL PLC        COM    14365C103       907     27,476   SH            SH_DEF                2                   27,476
CATERPILLAR INC     COM    149123101        10        107   SH            SH_DEF                1                      107
CATERPILLAR INC     COM    149123101        27        300   SH SOLE                                          300
CATERPILLAR INC     COM    149123101     1,822     19,805   SH SOLE                                       19,805
CDN IMPERIAL BK
 COMMERCE           COM    136069101       103      1,427   SH            SH_DEF                1                    1,427
CDN IMPERIAL BK
 COMMERCE           COM    136069101     1,540     21,242   SH            SH_DEF                1                   21,242
CDN NATURAL
 RESOURCES LTD      COM    136385101       261      7,000   SH            SH_DEF                1                    7,000
CDN NATURAL
 RESOURCES LTD      COM    136385101       272      7,300   SH            SH_DEF                1                    7,300
CELESTICA INC      CALL    15101Q108       370     50,200 CALL            SH_DEF                1                   50,200
CELESTICA INC       COM    15101Q108        16      2,200   SH            SH_DEF                1                    2,200
CELESTICA INC       COM    15101Q108     2,275    308,943   SH SOLE                                      308,943
CELESTICA INC       PUT    15101Q108       179     24,300  PUT            SH_DEF                1                   24,300
CELESTICA INC SV    COM    15101Q108       321     43,000   SH SOLE                                       43,000
CEMEX S.A.B. DE
 C.V.               COM    151290889        14      2,600   SH SOLE                                        2,600






Item 1:                Item 2:  Item 3:  Item 4:  Item 5:         Item 6:                      Item 7:          Item 8:
-------                ------- --------- ------- ----------      ----------                    -------- -----------------------
                                                                                                        Voting Authority (Shares)
                        Title             Fair   Shares or       Investment    (b)       (c)   Managers -----------------------
                         of      CUSIP   Market  Principal       Discretion  Shared-   Shared-   See       (a)        (b)    (c)
Name of Issuer          Class   Number    Value   Amount          (a) Sole  As Defined  other  Instr. V    Sole      Shared  None
--------------         ------- --------- ------- ---------- ---- ---------- ---------- ------- -------- ----------   ------- ----
                                                                                         
CENOVUS ENERGY
 INC                   CALL    15135U109  14,114    424,300 CALL            SH_DEF                1                  424,300
CENOVUS ENERGY
 INC                   COM     15135U109   8,551    257,059 SH              SH_DEF                1                  257,059
CENOVUS ENERGY
 INC                   COM     15135U109 260,517  7,831,676 SH   SOLE                                    7,831,676
CENOVUS ENERGY
 INC                   COM     15135U109  32,903    975,308 SH   SOLE                                      975,308
CENOVUS ENERGY
 INC                   COM     15135U109     199      6,000 SH              SH_DEF                1                    6,000
CENOVUS ENERGY
 INC                   PUT     15135U109   5,016    150,800 PUT             SH_DEF                1                  150,800
CENTRAL EUROPE &
 RUSSIA FUND           COM     153436100     699     24,112 SH   SOLE                                       24,112
CENTRAL FUND OF
 CDA LTD CL A
 NVS                   COM     153501101      20      1,000 SH   SOLE                                        1,000
CENTRAL
 GOLDTRUST T/U         COM     153546106       0          3 SH              SH_DEF                1                        3
CGI GROUP INC - CL
 A                     CALL    39945C109     160      8,500 CALL            SH_DEF                1                    8,500
CGI GROUP INC - CL
 A                     COM     39945C109      64      3,400 SH              SH_DEF                1                    3,400
CGI GROUP INC - CL
 A                     COM     39945C109     904     47,900 SH   SOLE                                       47,900
CGI GROUP INC - CL
 A                     PUT     39945C109      83      4,400 PUT             SH_DEF                1                    4,400
CGI GROUP INC CL A
 SVS                   COM     39945C109     783     40,900 SH   SOLE                                       40,900
CHESAPEAKE
 ENERGY CORP           COM     165167107      56      2,500 SH   SOLE                                        2,500
CHEVRON CORP           COM     166764100      53        500 SH              SH_DEF                2                      500
CHEVRON
 CORPORATION           COM     166764100  12,283    113,694 SH   SOLE                                      113,694
Chicago Board Options
 Exchange              COM     12503M108  12,413    480,000 SH   SOLE                                      480,000
CHINA CERAMICS
 CO LTD                COM     G2113X100     153     54,000 SH   SOLE                                       54,000
CHINA MOBILE
 LIMITED ADR           COM     16941M109     260      5,274 SH   SOLE                                        5,274
CHINACAST
 EDUCATION CORP        COM     16946T109     812    130,600 SH   SOLE                                      130,600
CHYRON CORP            COM     171605306      --          0 SH              SH_DEF                2                        0
CIA DE MINAS
 BUENAVENTUR-
 ADR                   COM     204448104      54      1,400 SH   SOLE                                        1,400
CIA PARANAENSE
 DE ENERGIA SP
 ADR                   COM     20441B407     279     13,100 SH   SOLE                                       13,100
CIA SANEAMENTO
 BASICO ADR            COM     20441A102     322      5,700 SH   SOLE                                        5,700
CISCO SYSTEMS INC      COM     17275R102   4,917    267,850 SH   SOLE                                      267,850
CISCO SYSTEMS INC      PUT     17275R102     542     30,000 PUT  SOLE                                       30,000
CITIGROUP INC NEW      COM     172967424     994     37,203 SH   SOLE                                       37,203
CLEAN HARBORS
 INC                   COM     184496107       7        115 SH   SOLE                                          115
CME GROUP INC          COM     12572Q105     141        570 SH   SOLE                                          570
CNOOC LIMITED
 ADR                   COM     126132109     274      1,546 SH   SOLE                                        1,546
COACH INC              COM     189754104      88      1,415 SH   SOLE                                        1,415
COCA-COLA CO/THE       COM     191216100      14        200 SH   SOLE                                          200
COCA-COLA
 COMPANY               COM     191216100   3,009     42,345 SH   SOLE                                       42,345
COCA-COLA
 ENTERPRISES INC       COM     19122T109       8        300 SH   SOLE                                          300
COEUR D'ALENE
 MINES-NEW             COM     192108504       1         56 SH              SH_DEF                1                       56
COLGATE-
 PALMOLIVE
 COMPANY               COM     194162103   3,926     41,844 SH   SOLE                                       41,844
COMCAST CORP CL
 A                     COM     20030N101   1,704     70,785 SH   SOLE                                       70,785
COMCAST CORP CL
 A SPL                 COM     20030N200   2,675    111,835 SH   SOLE                                      111,835
CONAGRA FOODS
 INC                   COM     205887102     134      5,000 SH   SOLE                                        5,000
CONOCOPHILLIPS         COM     20825C104   3,282     44,351 SH   SOLE                                       44,351
COPART INC             COM     217204106     401      8,240 SH   SOLE                                        8,240
CORN PRODUCTS
 INTERNATIONAL
 INC                   COM     219023108       4         70 SH   SOLE                                           70
CORNING INC            COM     219350105      52      3,910 SH   SOLE                                        3,910
COSTCO
 WHOLESALE CORP        COM     22160K105     287      3,390 SH   SOLE                                        3,390
COTT CORPORATION       COM     22163N106     949    150,752 SH   SOLE                                      150,752
COWEN GROUP INC
 CLASS A               COM     223622101      98     37,100 SH   SOLE                                       37,100
CSX CORPORATION        COM     126408103     630     29,455 SH   SOLE                                       29,455
CUMMINS INC            COM     231021106     476      5,324 SH   SOLE                                        5,324
CURTISS-WRIGHT
 CORPORATION           COM     231561101      75      2,100 SH   SOLE                                        2,100
CVS CAREMARK
 CORPORATION           COM     126650100   4,621    111,605 SH   SOLE                                      111,605
DANAHER CORP           COM     235851102     115      2,400 SH   SOLE                                        2,400
DEERE & COMPANY        COM     244199105     645      8,210 SH   SOLE                                        8,210
DEJOUR ENERGY
 INC                   COM     24486R103       0        525 SH              SH_DEF                1                      525
DELUXE CORP            COM     248019101      27      1,200 SH   SOLE                                        1,200
DELUXE CORP            COM     248019101       1         28 SH   SOLE                                           28
DENBURY
 RESOURCES INC         COM     247916208     181     11,784 SH   SOLE                                       11,784
DENISON MINES
 CORP                  COM     248356107      81     64,900 SH   SOLE                                       64,900
DENISON MINES
 CORP                  COM     248356107      49     38,500 SH   SOLE                                       38,500
DENISON MINES
 CORP                  COM     248356107       0         17 SH              SH_DEF                1                       17
DENISON MINES
 CORP                  COM     248356107       0        100 SH              SH_DEF                1                      100
DENTSPLY
 INTERNATIONAL
 INC                   COM     249030107     239      6,715 SH   SOLE                                        6,715
DESCARTES
 SYSTEMS GROUP         COM     249906108       0         54 SH              SH_DEF                1                       54
DESCARTES
 SYSTEMS GROUP
 INC                   COM     249906108     496     68,205 SH   SOLE                                       68,205
DEVON ENERGY
 CORPORATION           COM     25179M103     382      6,060 SH   SOLE                                        6,060
DIAGEO PLC
 SPONSORED ADR         COM     25243Q205   2,078     23,409 SH   SOLE                                       23,409
DIAMOND
 OFFSHORE
 DRILLING              COM     25271C102     221      3,935 SH   SOLE                                        3,935
DIREXION DAILY
 FIN BULL 3X           COM     25459Y694      45        700 SH   SOLE                                          700
DIREXION DLY SM
 CAP BULL 3X           COM     25459W847     112      2,500 SH   SOLE                                        2,500
DISNEY,WALT
 COMPANY               COM     254687106   2,560     67,221 SH   SOLE                                       67,221
DOLLAR GENERAL
 CORP                  COM     256677105     839     20,090 SH   SOLE                                       20,090
DOLLAR TREE INC        COM     256746108     420      4,972 SH   SOLE                                        4,972
DOMINION
 RESOURCES INC         COM     25746U109      43        800 SH   SOLE                                          800
DOMTAR CORP            COM     257559203   1,279     16,000 SH   SOLE                                       16,000
DOMTAR CORP            PUT     257559203   1,279     16,000 PUT  SOLE                                       16,000
DOMTAR CORP-NEW        COM     257559203       7         89 SH              SH_DEF                1                       89
DOMTAR
 CORPORATION           COM     257559203     142      1,750 SH   SOLE                                        1,750
DONALDSON
 COMPANY INC           COM     257651109     261      3,775 SH   SOLE                                        3,775
DONNELLEY (R.R.) &
 SONS CO               COM     257867101      19      1,283 SH   SOLE                                        1,283
DOVER
 CORPORATION           COM     260003108      73      1,245 SH   SOLE                                        1,245
DRAGONWAVE INC         COM     26144M103       2        600 SH              SH_DEF                1                      600
DRAGONWAVE INC         COM     26144M103      10      2,800 SH   SOLE                                        2,800
DRAGONWAVE INC         COM     26144M103     173     49,500 SH   SOLE                                       49,500
DRAGONWAVE INC         PUT     26144M103      17      5,000 PUT             SH_DEF                1                    5,000
DU PONT (E.I.) DE
 NEMOURS               COM     263534109       9        200 SH   SOLE                                          200
DUKE ENERGY CORP       COM     26441C105      --          1 SH              SH_DEF                2                        1
DUKE ENERGY
 HOLDING CORP          COM     26441C105     182      8,158 SH   SOLE                                        8,158
DUPONT E.I. DE
 NEMOURS & CO          COM     263534109     372      7,992 SH   SOLE                                        7,992
EAGLE MATERIALS
 INC                   CALL    26969P108     321     12,500 CALL SOLE                                       12,500
EAGLE MATERIALS
 INC                   COM     26969P108      18        700 SH   SOLE                                          700
EASTERN
 AMERICAN
 NATURAL GAS TR        COM     276217106     809     34,000 SH   SOLE                                       34,000
EASTMAN
 CHEMICAL
 COMPANY               COM     277432100     371      9,360 SH   SOLE                                        9,360
EASTMAN KODAK
 COMPANY               COM     277461109       1      1,000 SH   SOLE                                        1,000
EATON
 CORPORATION           COM     278058102   1,178     26,650 SH   SOLE                                       26,650
ECOLAB INC             COM     278865100     244      4,150 SH   SOLE                                        4,150
ELDORADO GOLD
 CORP                  CALL    284902103   4,264    309,300 CALL            SH_DEF                1                  309,300
ELDORADO GOLD
 CORP                  CALL    284902103     565     41,200 CALL SOLE                                       41,200
ELDORADO GOLD
 CORP                  COM     284902103   5,584    405,088 SH              SH_DEF                1                  405,088
ELDORADO GOLD
 CORP                  COM     284902103  77,604  5,629,350 SH   SOLE                                    5,629,350
ELDORADO GOLD
 CORP                  COM     284902103      39      2,800 SH              SH_DEF                2                    2,800
ELDORADO GOLD
 CORP                  COM     284902103      42      3,000 SH   SOLE                                        3,000
ELDORADO GOLD
 CORP                  PUT     284902103   2,592    188,000 PUT             SH_DEF                1                  188,000
ELDORADO GOLD
 CRP                   COM     284902103     888     64,800 SH              SH_DEF                1                   64,800
EMERSON ELECTRIC
 CO                    COM     291011104   6,040    127,671 SH   SOLE                                      127,671
ENBRIDGE INC           CALL    29250N105  34,453    919,900 CALL            SH_DEF                1                  919,900
ENBRIDGE INC           COM     29250N105  15,062    402,145 SH              SH_DEF                1                  402,145
ENBRIDGE INC           COM     29250N105 539,215 14,397,000 SH   SOLE                                   14,397,000
ENBRIDGE INC           COM     29250N105  83,086  2,187,415 SH   SOLE                                    2,187,415
ENBRIDGE INC           COM     29250N105      80      2,148 SH              SH_DEF                1                    2,148
ENBRIDGE INC           COM     29250N105     217      5,800 SH              SH_DEF                1                    5,800
ENBRIDGE INC           PUT     29250N105   7,775    207,600 PUT             SH_DEF                1                  207,600
ENCANA CORP            CALL    292505104   6,012    323,700 CALL            SH_DEF                1                  323,700
ENCANA CORP            CALL    292505104     754     40,700 CALL SOLE                                       40,700
ENCANA CORP            COM     292505104   8,059    433,896 SH              SH_DEF                1                  433,896
ENCANA CORP            COM     292505104 147,256  7,927,972 SH   SOLE                                    7,927,972
ENCANA CORP            COM     292505104      45      2,400 SH              SH_DEF                2                    2,400
ENCANA CORP            COM     292505104      56      3,000 SH              SH_DEF                1                    3,000
ENCANA CORP            PUT     292505104   8,711    469,000 PUT             SH_DEF                1                  469,000
ENCANA
 CORPORATION           COM     292505104  15,089    801,004 SH   SOLE                                      801,004
ENDEAVOUR SILVER
 CORP                  CALL    29258Y103      29      3,000 CALL            SH_DEF                1                    3,000
ENDEAVOUR SILVER
 CORP                  COM     29258Y103      26      2,700 SH              SH_DEF                1                    2,700
ENDEAVOUR SILVER
 CORP                  COM     29258Y103     157     16,100 SH   SOLE                                       16,100
ENERGY SELECT
 SECTOR SPDR           COM     81369Y506     774     11,199 SH   SOLE                                       11,199
ENERGY SELECT
 SECTOR SPDR
 FUND                  COM     81369Y506      35        500 SH   SOLE                                          500
ENERGY TRANSFER
 PARTNERS LPU          COM     29273R109      93      2,000 SH   SOLE                                        2,000
ENERGY XXI
 BERMUDA               COM     G10082140      65      2,000 SH   SOLE                                        2,000
ENERGYSOLUTIONS
 INC                   COM     292756202     250     79,600 SH   SOLE                                       79,600
ENERPLUS CORP          CALL    292766102   1,401     55,100 CALL            SH_DEF                1                   55,100






Item 1:             Item 2:  Item 3:  Item 4:  Item 5:        Item 6:                      Item 7:          Item 8:
-------             ------- --------- ------- ---------      ----------                    -------- ------------------------
                                                                                                    Voting Authority (Shares)
                     Title             Fair   Shares or      Investment    (b)       (c)   Managers ------------------------
                      of      CUSIP   Market  Principal      Discretion  Shared-   Shared-   See      (a)        (b)     (c)
Name of Issuer       Class   Number    Value   Amount         (a) Sole  As Defined  other  Instr. V   Sole      Shared   None
--------------      ------- --------- ------- --------- ---- ---------- ---------- ------- -------- ---------  --------- ----
                                                                                     
ENERPLUS CORP        COM    292766102   1,769    69,579   SH            SH_DEF                1                   69,579
ENERPLUS CORP        COM    292766102  50,033 1,968,428   SH SOLE                                   1,968,428
ENERPLUS CORP        COM    292766102   1,371    53,166   SH SOLE                                      53,166
ENERPLUS CORP        COM    292766102     111     4,400   SH            SH_DEF                1                    4,400
ENERPLUS CORP        PUT    292766102     811    31,900  PUT            SH_DEF                1                   31,900
ENI S P A ADR        COM    26874R108       7       165   SH SOLE                                         165
EOG RESOURCES
 INC                 COM    26875P101     150     1,500   SH SOLE                                       1,500
ERICSSON (LM) TEL
 SPON ADR            COM    294821608     935    90,943   SH SOLE                                      90,943
EUROPEAN EQUITY
 FUND INC            COM    298768102     754   125,000   SH SOLE                                     125,000
EVERGREEN
 ENERGY INC          COM    30024B203       4    72,000   SH SOLE                                      72,000
EXCEED COMPANY
 LTD                 COM    G32335104     285    56,800   SH SOLE                                      56,800
EXELON
 CORPORATION         COM    30161N101       9       200   SH SOLE                                         200
EXTORRE GOLD
 MINES LTD           COM    30227B109       1       200   SH            SH_DEF                1                      200
EXTORRE GOLD
 MINES LTD           COM    30227B109     127    17,100   SH SOLE                                      17,100
EXTORRE GOLD
 MINES LTD           COM    30227B109     188    25,000   SH SOLE                                      25,000
EXXON MOBIL CORP     COM    30231G102      --       100   SH            SH_DEF                2                      100
EXXON MOBIL
 CORPORATION         COM    30231G102  17,944   208,490   SH SOLE                                     208,490
FEDEX
 CORPORATION         COM    31428X106      81       950   SH SOLE                                         950
FIRST MAJESTIC
 SILVER CORP        CALL    32076V103     593    35,100 CALL            SH_DEF                1                   35,100
FIRST MAJESTIC
 SILVER CORP         COM    32076V103      17     1,000   SH            SH_DEF                1                    1,000
FIRST MAJESTIC
 SILVER CORP         COM    32076V103     334    19,800   SH SOLE                                      19,800
FIRST MAJESTIC
 SILVER CORP         COM    32076V103     171    10,000   SH SOLE                                      10,000
FIRST MAJESTIC
 SILVER CORP         PUT    32076V103     105     6,200  PUT            SH_DEF                1                    6,200
FIRST MAJESTIC
 SILVER CRP          COM    32076V103      17     1,000   SH            SH_DEF                1                    1,000
FIRST SOLAR INC      COM    336433107     195     5,685   SH SOLE                                       5,685
FIRSTSERVICE CORP    COM    33761N109     957    36,100   SH SOLE                                      36,100
FIRSTSERVICE CORP
 SVS                 COM    33761N109     243     9,030   SH SOLE                                       9,030
FISERV INC           COM    337738108     795    13,335   SH SOLE                                      13,335
FLOWSERVE
 CORPORATION         COM    34354P105     135     1,340   SH SOLE                                       1,340
FORBES ENERGY
 SERVICES LTD        COM    345143101      24     3,937   SH SOLE                                       3,937
FORD MOTOR
 COMPANY             COM    345370860     121    11,065   SH SOLE                                      11,065
FORTUNA SILVER
 MINES INC           COM    349915108     561   102,000   SH SOLE                                     102,000
FORTUNA SILVER
 MINES INC           COM    349915108      38     7,000   SH            SH_DEF                1                    7,000
FRANCE TELECOM
 SA SPON ADR         COM    35177Q105      32     2,000   SH SOLE                                       2,000
FRANCO-NEVADA
 CORP               CALL    351858105   8,278   217,100 CALL            SH_DEF                1                  217,100
FRANCO-NEVADA
 CORP                COM    351858105   1,171    30,700   SH            SH_DEF                1                   30,700
FRANCO-NEVADA
 CORP                COM    351858105   1,697    44,500   SH SOLE                                      44,500
FRANCO-NEVADA
 CORP                COM    351858105   1,919    49,615   SH SOLE                                      49,615
FRANCO-NEVADA
 CORP                PUT    351858105   1,842    48,300  PUT            SH_DEF                1                   48,300
FRANKLIN
 RESOURCES INC       COM    354613101     131     1,340   SH SOLE                                       1,340
FREEPORT
 MCMORAN
 COPPER & GOLD
 INC                 COM    35671D857   1,933    51,757   SH SOLE                                      51,757
FREEPORT-
 MCMORAN
 COPPER              COM    35671D857     158     4,300   SH SOLE                                       4,300
FREEPORT-
 MCMORAN
 COPPER              COM    35671D857      37     1,000   SH            SH_DEF                2                    1,000
FRESENIUS
 MEDICAL CARE
 AG & CO KGAA        COM    358029106     736    10,668   SH SOLE                                      10,668
FRESH DEL MONTE
 PRODUCE INC         COM    G36738105     597    23,500   SH SOLE                                      23,500
FRONTIER
 COMMUNICATIONS
 CORP                COM    35906A108       2       354   SH SOLE                                         354
FROZEN FOOD
 EXPRESS
 INDUSTRIES INC      COM    359360104       8     6,400   SH SOLE                                       6,400
FRSTSVC CV U$ 6.5%
 31DC14             Bond    33761NAA7   3,345 3,062,000  PRN            SH_DEF                1                3,062,000
GAMESTOP
 CORPORATION CL
 A NEW               COM    36467W109       1        54   SH SOLE                                          54
GAP INC              COM    364760108       2       120   SH SOLE                                         120
GENERAL CABLE
 CORP                COM    369300108     122     4,800   SH SOLE                                       4,800
GENERAL
 DYNAMICS
 CORPORATION         COM    369550108      27       400   SH SOLE                                         400
GENERAL ELECTRIC
 CO                  COM    369604103       2       107   SH            SH_DEF                1                      107
GENERAL ELECTRIC
 CO                  COM    369604103       5       300   SH SOLE                                         300
GENERAL ELECTRIC
 CO                  COM    369604103     113     6,300   SH            SH_DEF                2                    6,300
GENERAL ELECTRIC
 COMPANY             COM    369604103  13,428   738,373   SH SOLE                                     738,373
GENERAL MILLS INC    COM    370334104       8       200   SH SOLE                                         200
GENERAL MOTORS
 CO                  COM    37045V100      24     1,180   SH SOLE                                       1,180
GENERAL MOTORS
 CONV SER B PFD      COM    37045V209     403    11,600   SH SOLE                                      11,600
GENESCO INC          COM    371532102      36       571   SH SOLE                                         571
GERON CORP           COM    374163103     276   183,700   SH SOLE                                     183,700
GILDAN
 ACTIVEWEAR INC     CALL    375916103      38     2,000 CALL            SH_DEF                1                    2,000
GILDAN
 ACTIVEWEAR INC      COM    375916103   4,415   234,354   SH            SH_DEF                1                  234,354
GILDAN
 ACTIVEWEAR INC      COM    375916103  20,709 1,099,242   SH SOLE                                   1,099,242
GILDAN
 ACTIVEWEAR INC      COM    375916103      32     1,700   SH            SH_DEF                1                    1,700
GILDAN
 ACTIVEWEAR INC      PUT    375916103      38     2,000  PUT            SH_DEF                1                    2,000
GILDAN
 ACTIVEWEAR INC
 CL A SVS            COM    375916103     123     6,440   SH SOLE                                       6,440
GILEAD SCIENCES
 INC                 COM    375558103      31       755   SH SOLE                                         755
GLAXOSMITHKLINE
 PLC                 COM    37733W105  14,867   650,357   SH            SH_DEF                2                  650,357
GLAXOSMITHKLINE
 PLC ADR             COM    37733W105     522    11,270   SH SOLE                                      11,270
GOLD FIELDS LTD-
 SPONS ADR           COM    38059T106      47     3,110   SH SOLE                                       3,110
GOLDCORP INC        CALL    380956409  34,803   782,900 CALL            SH_DEF                1                  782,900
GOLDCORP INC        CALL    380956409   4,217    95,300 CALL SOLE                                      95,300
GOLDCORP INC         COM    380956409  37,232   837,532   SH            SH_DEF                1                  837,532
GOLDCORP INC         COM    380956409 373,061 8,392,018   SH SOLE                                   8,392,018
GOLDCORP INC         COM    380956409      92     2,082   SH SOLE                                       2,082
GOLDCORP INC         COM    380956409  16,768   371,920   SH SOLE                                     371,920
GOLDCORP INC         COM    380956409     678    15,300   SH            SH_DEF                1                   15,300
GOLDCORP INC         PUT    380956409  28,655   644,600  PUT            SH_DEF                1                  644,600
GOLDCORP INC         PUT    380956409   3,810    86,100  PUT SOLE                                      86,100
GOLDEN STAR
 RESOURCES LTD       COM    38119T104       2     1,200   SH            SH_DEF                1                    1,200
GOLDEN STAR
 RESOURCES LTD       COM    38119T104      82    49,800   SH SOLE                                      49,800
GOLDEN STAR
 RESOURCES LTD       PUT    38119T104       3     2,000  PUT            SH_DEF                1                    2,000
GOLDMAN SACHS
 GROUP INC           COM    38141G104     642     6,993   SH SOLE                                       6,993
GOODYEAR TIRE &
 RUBBER CO           COM    382550101     532    37,000   SH SOLE                                      37,000
GOOGLE INC CLASS
 A                   COM    38259P508   1,962     2,991   SH SOLE                                       2,991
GOOGLE INC-CL A      COM    38259P508 513,062   794,336   SH            SH_DEF                2                  794,336
GRACO INC            COM    384109104     391     9,425   SH SOLE                                       9,425
GRAN TIERRA
 ENERGY INC         CALL    38500T101     868   179,500 CALL            SH_DEF                1                  179,500
GRAN TIERRA
 ENERGY INC          COM    38500T101      20     4,200   SH            SH_DEF                1                    4,200
GRAN TIERRA
 ENERGY INC          COM    38500T101     103    21,200   SH SOLE                                      21,200
GRAN TIERRA
 ENERGY INC          PUT    38500T101      39     8,000  PUT            SH_DEF                1                    8,000
GREAT BASIN GOLD
 LTD                 COM    390124105      83    89,300   SH SOLE                                      89,300
GREAT PANTHER
 SILVER LIMITED      COM    39115V101     311   156,500   SH SOLE                                     156,500
HALLIBURTON CO       COM    406216101      28       800   SH SOLE                                         800
HALLIBURTON CO.      COM    406216101     582    16,604   SH SOLE                                      16,604
HARMONY GOLD
 MNG-SPON ADR        COM    413216300      23     1,980   SH SOLE                                       1,980
HARRY WINSTON
 DIAMOND CORP       CALL    41587B100     560    52,400 CALL            SH_DEF                1                   52,400
HARRY WINSTON
 DIAMOND CORP        COM    41587B100      53     5,000   SH            SH_DEF                1                    5,000
HARRY WINSTON
 DIAMOND CORP        COM    41587B100     178    16,700   SH SOLE                                      16,700
HARRY WINSTON
 DIAMOND CORP        COM    41587B100      43     4,000   SH SOLE                                       4,000
HARRY WINSTON
 DIAMOND CORP        PUT    41587B100      21     2,000  PUT            SH_DEF                1                    2,000
HARTFORD
 FINANCIAL SVCS
 GROUP INC           COM    416515104     111     6,739   SH SOLE                                       6,739
HASBRO INC           COM    418056107      64     2,000   SH            SH_DEF                1                    2,000
HEALTH CARE
 SELECT SECTOR
 SPDR                COM    81369Y209      11       300   SH SOLE                                         300
HECKMANN
 CORPORATION         COM    422680108     236    35,000   SH SOLE                                      35,000
HEINZ (H.J.)
 COMPANY             COM    423074103      66     1,195   SH SOLE                                       1,195
HERTZ GLOBAL
 HOLDINGS INC        COM    42805T105   1,126    96,097   SH SOLE                                      96,097
HERTZ GLOBAL
 HOLDINGS INC        PUT    42805T105   1,875   160,000  PUT SOLE                                     160,000
HESS CORPORATION     COM    42809H107     159     2,755   SH SOLE                                       2,755
HEWLETT-PACKARD
 CO                  COM    428236103       3       107   SH            SH_DEF                1                      107
HEWLETT-PACKARD
 COMPANY             COM    428236103   1,031    39,424   SH SOLE                                      39,424
HOLLYFRONTIER
 CORPORATION         COM    436106108      46     1,924   SH SOLE                                       1,924
HOME DEPOT INC       COM    437076102       4       107   SH            SH_DEF                1                      107
HOME DEPOT INC       COM    437076102     733    17,180   SH SOLE                                      17,180
HONDA MOTOR CO
 LTD SPONSORED
 ADR                 COM    438128308     282     9,075   SH SOLE                                       9,075
HONEYWELL
 INTERNATIONAL
 INC                 COM    438516106     205     3,715   SH SOLE                                       3,715
HORSEHEAD
 HOLDING
 CORPORATION         COM    440694305       3       350   SH SOLE                                         350
HOSPIRA INC          COM    441060100      12       392   SH SOLE                                         392
HSBC HOLDINGS
 PLC 6.2% SER A
 PFD                 COM    404280604      33     1,350   SH SOLE                                       1,350
HSBC HOLDINGS
 PLC SPONS ADR       COM    404280406     335     8,657   SH SOLE                                       8,657
HSBC HOLDINGS
 PLC-SPONS ADR       COM    404280406     892    37,332   SH SOLE                                      37,332
HUDBAY MINERALS
 INC                CALL    443628102     510    51,200 CALL            SH_DEF                1                   51,200
HUDBAY MINERALS
 INC                 COM    443628102      72     7,200   SH            SH_DEF                1                    7,200
HUDBAY MINERALS
 INC                 COM    443628102     672    67,400   SH SOLE                                      67,400
HUDBAY MINERALS
 INC                 COM    443628102     410    40,530   SH SOLE                                      40,530
HUDBAY MINERALS
 INC                 PUT    443628102     547    54,900  PUT            SH_DEF                1                   54,900
HUMANA INC           COM    444859102      27       300   SH SOLE                                         300






Item 1:            Item 2:  Item 3:  Item 4:  Item 5:         Item 6:                      Item 7:           Item 8:
-------            ------- --------- ------- ----------      ----------                    -------- -------------------------
                                                                                                    Voting Authority (Shares)
                    Title             Fair   Shares or       Investment    (b)       (c)   Managers -------------------------
                     of      CUSIP   Market  Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer      Class   Number    Value   Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------     ------- --------- ------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                     
IAMGOLD CORP       CALL    450913108   2,294    144,200 CALL            SH_DEF                1                  144,200
IAMGOLD CORP       COM     450913108  13,191    829,114 SH              SH_DEF                1                  829,114
IAMGOLD CORP       COM     450913108  50,903  3,199,550 SH   SOLE                                    3,199,550
IAMGOLD CORP       COM     450913108      79      5,000 SH              SH_DEF                1                    5,000
IAMGOLD CORP       COM     450913108      54      3,400 SH              SH_DEF                1                    3,400
IAMGOLD CORP       PUT     450913108   1,311     82,400 PUT             SH_DEF                1                   82,400
IAMGOLD
 CORPORATION       COM     450913108       6        355 SH   SOLE                                          355
IHS INC CLASS A    COM     451734107      96      1,100 SH   SOLE                                        1,100
ILLINOIS TOOL
 WORKS INC         COM     452308109     303      6,395 SH   SOLE                                        6,395
IMPERIAL OIL LTD   CALL    453038408   8,766    196,400 CALL            SH_DEF                1                  196,400
IMPERIAL OIL LTD   COM     453038408   6,374    142,825 SH              SH_DEF                1                  142,825
IMPERIAL OIL LTD   COM     453038408 117,327  2,628,805 SH   SOLE                                    2,628,805
IMPERIAL OIL LTD   COM     453038408  43,567    962,534 SH   SOLE                                      962,534
IMPERIAL OIL LTD   COM     453038408       4         96 SH              SH_DEF                1                       96
IMPERIAL OIL LTD   PUT     453038408   2,138     47,900 PUT             SH_DEF                1                   47,900
INDIA FUND INC     COM     454089103     193     10,000 SH   SOLE                                       10,000
ING GROEP
 SPONSORED ADR     COM     456837103      28      3,910 SH   SOLE                                        3,910
INTEL
 CORPORATION       COM     458140100   6,130    248,929 SH   SOLE                                      248,929
INTERNATIONAL
 BUSINESS
 MACHINES CORP     COM     459200101  22,200    118,899 SH   SOLE                                      118,899
INTERNATIONAL
 FLAVORS &
 FRAGRANCES        COM     459506101      53      1,000 SH   SOLE                                        1,000
INTERNATIONAL
 PAPER COMPANY     COM     460146103      69      2,285 SH   SOLE                                        2,285
INTL BUSINESS
 MACHINES CORP     COM     459200101      20        107 SH              SH_DEF                1                      107
INTUIT INC         COM     461202103      97      1,825 SH   SOLE                                        1,825
INVESCO LIMITED    COM     G491BT108   1,184     58,056 SH   SOLE                                       58,056
IRON MOUNTAIN
 INC               COM     462846106       9        280 SH   SOLE                                          280
ISHARES BARC 20+
 YEAR TR           COM     464287432      25        200 SH   SOLE                                          200
ISHARES BARC
 SHORT TREASURY
 BOND FD           COM     464288679      28        250 SH   SOLE                                          250
ISHARES BARCLAYS
 INTERMEDIATE CR
 BD                COM     464288638      52        475 SH   SOLE                                          475
ISHARES BARCLAYS
 TIPS BOND FUND    COM     464287176      36        300 SH   SOLE                                          300
ISHARES DJ INTL
 SEL DIV FD        COM     464288448      13        435 SH   SOLE                                          435
ISHARES DJ U.S.
 TECH SECTOR IDX
 FUND              COM     464287721      13        200 SH   SOLE                                          200
ISHARES DJ US
 FINANCIAL SECT    COM     464287788     202      4,060 SH   SOLE                                        4,060
ISHARES FTSE
 CHINA 25 INDEX    COM     464287184      35        985 SH   SOLE                                          985
ISHARES IBOXX $ H/
 YLD CORP BOND
 FD                COM     464288513     133      1,460 SH   SOLE                                        1,460
ISHARES INC MSCI
 SINGAPORE IDX
 FD                COM     464286673      66      6,000 SH   SOLE                                        6,000
ISHARES MSCI
 AUSTRALIA         COM     464286103       9        400 SH   SOLE                                          400
ISHARES MSCI
 BRAZIL INDEX
 FUND ETF          COM     464286400      17        300 SH   SOLE                                          300
ISHARES MSCI EAFE
 INDEX FUND        COM     464287465     269      5,355 SH   SOLE                                        5,355
ISHARES MSCI
 EMERGING MKTS
 INDEX             COM     464287234      57      1,475 SH   SOLE                                        1,475
ISHARES MSCI
 EUROPE FINL
 SECT              COM     464289180     405     26,295 SH   SOLE                                       26,295
ISHARES MSCI HONG
 KONG INDEX
 FUND              COM     464286871      94      6,000 SH   SOLE                                        6,000
ISHARES MSCI
 JAPAN INDEX
 FUND              COM     464286848      32      3,500 SH   SOLE                                        3,500
ISHARES NASDAQ
 BIOTECH INDEX
 FUND              COM     464287556      13        125 SH   SOLE                                          125
ISHARES S&P 100
 INDEX FUND        COM     464287101      52        900 SH   SOLE                                          900
ISHARES S&P 500
 INDEX FUND        COM     464287200     113        880 SH   SOLE                                          880
ISHARES S&P ASIA
 50 ETF            COM     464288430      40      1,000 SH   SOLE                                        1,000
ISHARES S&P EMERG
 MKTS INFRAS       COM     464288216     107      3,670 SH   SOLE                                        3,670
ISHARES S&P LATIN
 AMERICAN 40 IDX
 FD                COM     464287390      35        800 SH   SOLE                                          800
ISHARES S&P
 MIDCAP 400 ETF    COM     464287507     111      1,250 SH   SOLE                                        1,250
ISHARES SILVER
 TRUST             COM     46428Q109      78      2,900 SH   SOLE                                        2,900
ISHARES TR RUSSEL
 2000 INDEX FUND   COM     464287655      58        775 SH   SOLE                                          775
ISHARES TRUST DJ
 SEL DIV           COM     464287168   1,908     34,950 SH   SOLE                                       34,950
IVANHOE ENERGY
 INC               COM     465790103       6      5,000 SH              SH_DEF                1                    5,000
IVANHOE MINES
 LTD               CALL    46579N103   1,247     70,100 CALL            SH_DEF                1                   70,100
IVANHOE MINES
 LTD               COM     46579N103       9        500 SH              SH_DEF                1                      500
IVANHOE MINES
 LTD               COM     46579N103   1,469     82,600 SH   SOLE                                       82,600
IVANHOE MINES
 LTD               COM     46579N103      69      3,900 SH   SOLE                                        3,900
IVANHOE MINES
 LTD               PUT     46579N103   1,334     75,000 PUT             SH_DEF                1                   75,000
JAGUAR MINING INC  CALL    47009M103      51      8,000 CALL            SH_DEF                1                    8,000
JAGUAR MINING INC  COM     47009M103      27      4,200 SH              SH_DEF                1                    4,200
JAGUAR MINING INC  COM     47009M103     104     16,300 SH   SOLE                                       16,300
JAGUAR MINING INC  COM     47009M103       0         39 SH              SH_DEF                1                       39
JAGUAR MINING INC  PUT     47009M103      11      1,700 PUT             SH_DEF                1                    1,700
JOHNSON &
 JOHNSON           COM     478160104     197      3,000 SH              SH_DEF                2                    3,000
JOHNSON &
 JOHNSON           COM     478160104  26,768    401,980 SH   SOLE                                      401,980
JOHNSON
 CONTROLS INC      COM     478366107      34      1,075 SH   SOLE                                        1,075
JOS A BANK
 CLOTHIERS INC     COM     480838101      54      1,100 SH   SOLE                                        1,100
JOY GLOBAL INC     COM     481165108       5         61 SH              SH_DEF                1                       61
JPMORGAN CHASE &
 CO                COM     46625H100       4        107 SH              SH_DEF                1                      107
JPMORGAN CHASE &
 CO                COM     46625H100  16,394    493,060 SH   SOLE                                      493,060
JPMORGAN CHASE &
 CO                COM     46625H100   4,954    146,718 SH   SOLE                                      146,718
KANSAS CITY
 SOUTHERN          COM     485170302     138      2,000 SH   SOLE                                        2,000
KAPSTONE
 PAPER&PACKAGING   COM     48562P103       0         30 SH              SH_DEF                1                       30
KB FINANCIAL
 GROUP INC ADR     COM     48241A105      16        500 SH   SOLE                                          500
KELLOGG COMPANY    COM     487836108      26        500 SH   SOLE                                          500
KIMBERLY-CLARK
 CORPORATION       COM     494368103   1,334     17,865 SH   SOLE                                       17,865
KINDER MORGAN
 ENERGY
 PARTNERS LPU      COM     494550106      17        200 SH   SOLE                                          200
KINDER MORGAN
 MANAGEMENT
 LLC               COM     49455U100     180      2,258 SH   SOLE                                        2,258
KINGSWAY
 FINANCIAL SVCS    COM     496904103       0        244 SH              SH_DEF                1                      244
KINROSS GOLD
 CORP              CALL    496902404   3,226    282,100 CALL            SH_DEF                1                  282,100
KINROSS GOLD
 CORP              CALL    496902404   4,468    391,900 CALL SOLE                                      391,900
KINROSS GOLD
 CORP              COM     496902404  15,807  1,382,240 SH              SH_DEF                1                1,382,240
KINROSS GOLD
 CORP              COM     496902404 125,479 10,972,636 SH   SOLE                                   10,972,636
KINROSS GOLD
 CORP              COM     496902404     780     68,390 SH   SOLE                                       68,390
KINROSS GOLD
 CORP              COM     496902404     568     49,800 SH              SH_DEF                1                   49,800
KINROSS GOLD
 CORP              PUT     496902404   4,692    410,300 PUT             SH_DEF                1                  410,300
KINROSS GOLD
 CORP              PUT     496902404   2,900    254,400 PUT  SOLE                                      254,400
KINROSS GOLD
 CORPORATION NO
 PAR               COM     496902404     632     54,456 SH   SOLE                                       54,456
KLA-TENCOR
 CORPORATION       COM     482480100      11        225 SH   SOLE                                          225
KOBEX MINERALS
 INC               COM     49989C105       0        320 SH              SH_DEF                1                      320
KOHL'S CORP        COM     500255104     758     15,135 SH   SOLE                                       15,135
KONINKLIJKE
 PHILIPS
 ELECTRONICS       COM     500472303       8        356 SH   SOLE                                          356
KOREA EQUITY
 FUND INC          COM     50063B104     721     77,900 SH   SOLE                                       77,900
KRAFT FOODS INC
 CL A              COM     50075N104   1,862     49,092 SH   SOLE                                       49,092
KRAFT FOODS INC-
 CLASS A           COM     50075N104       4        107 SH              SH_DEF                1                      107
KRAFT FOODS INC-
 CLASS A           COM     50075N104     112      3,000 SH              SH_DEF                2                    3,000
KROGER CO          COM     501044101     330     13,400 SH   SOLE                                       13,400
LABORATORY CORP
 OF AMER
 HOLDINGS          COM     50540R409       9        100 SH   SOLE                                          100
LAKE SHORE GOLD
 CORP              COM     510728108     365    289,900 SH   SOLE                                      289,900
LAKE SHORE GOLD
 CORP              COM     510728108   1,144    896,500 SH   SOLE                                      896,500
LAKE SHORE GOLD
 CORP              COM     510728108       4      3,000 SH              SH_DEF                1                    3,000
LANDAUER INC       COM     51476K103      16        300 SH   SOLE                                          300
LAS VEGAS SANDS
 INC               COM     517834107     694     16,000 SH   SOLE                                       16,000
LEGG MASON INC     COM     524901105      11        437 SH              SH_DEF                2                      437
LEXMARK
 INTERNATIONAL
 INC               COM     529771107     517     15,400 SH   SOLE                                       15,400
LIFEPOINT
 HOSPITALS INC     COM     53219L109   1,030     27,300 SH   SOLE                                       27,300
LILLY (ELI) &
 COMPANY           COM     532457108     537     12,736 SH   SOLE                                       12,736
LINDSAY
 CORPORATION       COM     535555106       6        100 SH   SOLE                                          100
LKQ CORPORATION    COM     501889208       7        225 SH   SOLE                                          225
LLOYDS BANKING
 GROUP PLC         COM     539439109   2,068  5,138,030 SH              SH_DEF                2                5,138,030
LOUISIANA-PACIFIC
 CORPORATION       COM     546347105      16      2,000 SH   SOLE                                        2,000
LOWE'S COMPANIES   COM     548661107     551     21,365 SH   SOLE                                       21,365
LPL INVESTMENT
 HOLDINGS INC      COM     50213H100     559     18,013 SH   SOLE                                       18,013
LULULEMON
 ATHLETICA INC     CALL    550021109   1,248     26,700 CALL            SH_DEF                1                   26,700
LULULEMON
 ATHLETICA INC     COM     550021109       9        200 SH              SH_DEF                1                      200
LULULEMON
 ATHLETICA INC     COM     550021109      37        800 SH   SOLE                                          800
LULULEMON
 ATHLETICA INC     PUT     550021109     935     20,000 PUT             SH_DEF                1                   20,000
LUMINEX CORP       COM     55027E102       1         24 SH   SOLE                                           24
LUXOTTICA GROUP
 S P A SPON ADR    COM     55068R202       6        200 SH   SOLE                                          200
M & T BANK CORP    COM     55261F104   1,337     17,250 SH   SOLE                                       17,250
MAD CATZ
 INTERACTIVE       COM     556162105       5     10,000 SH              SH_DEF                1                   10,000
MAG SILVER CORP    COM     55903Q104       3        500 SH   SOLE                                          500
MAG SILVER CORP    COM     55903Q104      13      2,000 SH              SH_DEF                1                    2,000
MAGNA
 INTERNATIONAL
 INC               CALL    559222401   3,213     96,100 CALL            SH_DEF                1                   96,100
MAGNA
 INTERNATIONAL
 INC               COM     559222401   4,418    132,143 SH              SH_DEF                1                  132,143
MAGNA
 INTERNATIONAL
 INC               COM     559222401  83,160  2,487,450 SH   SOLE                                    2,487,450
MAGNA
 INTERNATIONAL
 INC               COM     559222401   1,903     56,136 SH   SOLE                                       56,136
MAGNA
 INTERNATIONAL
 INC               PUT     559222401   1,514     45,300 PUT             SH_DEF                1                   45,300






Item 1:            Item 2:  Item 3:  Item 4:  Item 5:         Item 6:                      Item 7:           Item 8:
-------            ------- --------- ------- ----------      ----------                    -------- -------------------------
                                                                                                    Voting Authority (Shares)
                    Title             Fair   Shares or       Investment    (b)       (c)   Managers -------------------------
                     of      CUSIP   Market  Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer      Class   Number    Value   Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------     ------- --------- ------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                     
MAGNA
 INTERNATIONAL
 INC-CL A          CALL    559222401   1,942     58,300 CALL SOLE                                       58,300
MAGNA INTL INC     COM     559222401      67      2,000 SH              SH_DEF                1                    2,000
MAIDEN HOLDINGS
 LTD               COM     G5753U112     178     20,000 SH   SOLE                                       20,000
MANULIFE
 FINANCIAL CORP    CALL    56501R106   5,204    487,800 CALL            SH_DEF                1                  487,800
MANULIFE
 FINANCIAL CORP    CALL    56501R106   3,582    337,300 CALL SOLE                                      337,300
MANULIFE
 FINANCIAL CORP    COM     56501R106  42,097  3,945,862 SH              SH_DEF                1                3,945,862
MANULIFE
 FINANCIAL CORP    COM     56501R106 324,192 30,392,482 SH   SOLE                                   30,392,482
MANULIFE
 FINANCIAL CORP    COM     56501R106      --        100 SH              SH_DEF                2                      100
MANULIFE
 FINANCIAL CORP    COM     56501R106   9,400    868,831 SH   SOLE                                      868,831
MANULIFE
 FINANCIAL CORP    COM     56501R106     106     10,000 SH              SH_DEF                1                   10,000
MANULIFE
 FINANCIAL CORP    COM     56501R106   7,090    665,800 SH              SH_DEF                1                  665,800
MANULIFE
 FINANCIAL CORP    COM     56501R106       9        800 SH              SH_DEF                1                      800
MANULIFE
 FINANCIAL CORP    COM     56501R106      25      2,311 SH              SH_DEF                1                    2,311
MANULIFE
 FINANCIAL CORP    PUT     56501R106  10,035    940,600 PUT             SH_DEF                1                  940,600
MANULIFE
 FINANCIAL CORP    PUT     56501R106     738     69,500 PUT  SOLE                                       69,500
MARATHON OIL
 CORP              COM     565849106      34      1,145 SH   SOLE                                        1,145
MARATHON OIL
 CORPORATION       COM     565849106   1,123     37,775 SH   SOLE                                       37,775
MARATHON
 PETROLEUM CORP    COM     56585A102     638     18,887 SH   SOLE                                       18,887
MARKET VECTORS
 GOLD MINERS       COM     57060U100     134      2,600 SH   SOLE                                        2,600
MARRIOTT
 INTERNATIONAL
 INC CLASS A       COM     571903202      11        360 SH   SOLE                                          360
MARSH &
 MCLENNAN
 COMPANIES INC     COM     571748102     610     19,005 SH   SOLE                                       19,005
MASTERCARD INC
 CLASS A           COM     57636Q104     170        450 SH   SOLE                                          450
MATERIALS SELECT
 SECTOR SPDR       COM     81369Y100     417     12,439 SH   SOLE                                       12,439
MCCORMICK & CO
 INC NVS           COM     579780206      72      1,400 SH   SOLE                                        1,400
MCDONALDS CORP     COM     580135101      70        700 SH   SOLE                                          700
MCDONALD'S
 CORPORATION       COM     580135101   5,415     53,155 SH   SOLE                                       53,155
MCGRAW-HILL
 COMPANIES INC     COM     580645109     323      7,080 SH   SOLE                                        7,080
MEDCO HEALTH
 SOLUTIONS INC     COM     58405U102      96      1,684 SH   SOLE                                        1,684
MEDTRONIC INC      COM     585055106     275      7,090 SH   SOLE                                        7,090
MELCO CROWN
 ENTERTAINMENT
 LTD ADR           COM     585464100      98     10,000 SH   SOLE                                       10,000
MEMC ELECTRONIC
 MATERIALS         COM     552715104       2        400 SH   SOLE                                          400
MERCK & CO INC     COM     58933Y105   5,086    132,850 SH   SOLE                                      132,850
MERCK & CO. INC.   COM     58933Y105       4        107 SH              SH_DEF                1                      107
METHANEX CORP      CALL    59151K108     447     19,500 CALL            SH_DEF                1                   19,500
METHANEX CORP      COM     59151K108     385     16,800 SH              SH_DEF                1                   16,800
METHANEX CORP      COM     59151K108   1,190     51,900 SH   SOLE                                       51,900
METHANEX CORP      COM     59151K108     224      9,650 SH   SOLE                                        9,650
METHANEX CORP      PUT     59151K108     367     16,000 PUT             SH_DEF                1                   16,000
METLIFE INC        COM     59156R108   3,532    111,558 SH   SOLE                                      111,558
MGM RESORTS
 INTERNATIONAL     COM     552953101     417     40,000 SH   SOLE                                       40,000
MI DEVELOPMENTS
 INC               COM     55304X104   9,285    290,000 SH              SH_DEF                1                  290,000
MI DEVELOPMENTS
 INC               COM     55304X104     432     13,497 SH              SH_DEF                1                   13,497
MI DEVELOPMENTS
 INC CL A SVS      COM     55304X104      79      2,440 SH   SOLE                                        2,440
MICROCHIP
 TECHNOLOGY INC    COM     595017104      58      1,550 SH   SOLE                                        1,550
MICROSOFT CORP     COM     594918104      10        400 SH              SH_DEF                2                      400
MICROSOFT
 CORPORATION       COM     594918104   6,597    250,260 SH   SOLE                                      250,260
MIDAS INC          COM     595626102     186     21,300 SH   SOLE                                       21,300
MIDDLEBY CORP      COM     596278101      86        900 SH   SOLE                                          900
MIDWAY GOLD
 CORP              COM     598153104       0          9 SH              SH_DEF                1                        9
MINEFINDERS CORP   CALL    602900102      38      3,600 CALL            SH_DEF                1                    3,600
MINEFINDERS CORP   COM     602900102     162     15,200 SH   SOLE                                       15,200
MINEFINDERS CORP   PUT     602900102       5        500 PUT             SH_DEF                1                      500
MINEFINDERS
 CORPORATION
 LTD               COM     602900102      54      5,000 SH   SOLE                                        5,000
MINES
 MANAGEMENT
 INC               COM     603432105      22     11,200 SH              SH_DEF                1                   11,200
MOLEX INC          COM     608554101       7        300 SH   SOLE                                          300
MOLSON COORS
 BREWING
 COMPANY CL B      COM     60871R209     398      9,000 SH   SOLE                                        9,000
MONEYGRAM
 INTERNATIONAL
 INC*              COM     60935Y109       2        700 SH   SOLE                                          700
MONSANTO
 COMPANY           COM     61166W101     256      3,600 SH   SOLE                                        3,600
MOODY'S
 CORPORATION       COM     615369105     157      4,600 SH   SOLE                                        4,600
MORGAN STANLEY     COM     617446448      24      1,580 SH   SOLE                                        1,580
MOSAIC COMPANY     COM     61945C103      56      1,100 SH   SOLE                                        1,100
MOTOROLA
 MOBILITY
 HOLDINGS INC      COM     620097105      44      1,123 SH   SOLE                                        1,123
MOTOROLA
 SOLUTIONS INC     COM     620076307      60      1,283 SH   SOLE                                        1,283
MOUNTAIN
 PROVINCE
 DIAMOND           COM     62426E402       0         28 SH              SH_DEF                1                       28
MSCI INC CLASS A   COM     55354G100      53      1,600 SH   SOLE                                        1,600
NABORS
 INDUSTRIES LTD    COM     G6359F103     173      9,850 SH   SOLE                                        9,850
NATIONAL GRID PLC  COM     636274300   4,420    455,271 SH              SH_DEF                2                  455,271
NATIONAL GRID PLC
 SP ADR            COM     636274300     118      2,400 SH   SOLE                                        2,400
NATIONAL OILWELL
 VARCO INC NEW     COM     637071101       7        100 SH   SOLE                                          100
NAVISTAR INTL
 CORP              COM     63934E108      23        600 SH   SOLE                                          600
NEVSUN
 RESOURCES LTD     CALL    64156L101      17      3,000 CALL            SH_DEF                1                    3,000
NEVSUN
 RESOURCES LTD     COM     64156L101      95     17,000 SH              SH_DEF                1                   17,000
NEVSUN
 RESOURCES LTD     COM     64156L101     218     39,200 SH   SOLE                                       39,200
NEVSUN
 RESOURCES LTD     PUT     64156L101     150     27,000 PUT             SH_DEF                1                   27,000
NEW GERMANY
 FUND INC          COM     644465106     570     45,700 SH   SOLE                                       45,700
NEW GOLD INC       CALL    644535106   2,537    251,000 CALL            SH_DEF                1                  251,000
NEW GOLD INC       CALL    644535106      37      3,700 CALL SOLE                                        3,700
NEW GOLD INC       COM     644535106     440     43,500 SH              SH_DEF                1                   43,500
NEW GOLD INC       COM     644535106   1,098    108,600 SH   SOLE                                      108,600
NEW GOLD INC       COM     644535106     953     92,920 SH   SOLE                                       92,920
NEW GOLD INC       COM     644535106       0          3 SH              SH_DEF                1                        3
NEW GOLD INC       PUT     644535106     781     77,300 PUT             SH_DEF                1                   77,300
NEW YORK &
 COMPANY INC       COM     649295102      58     21,300 SH   SOLE                                       21,300
NEWMONT MINING
 CORP              CALL    651639106   7,165    119,400 CALL SOLE                                      119,400
NEWMONT MINING
 CORP              COM     651639106     125      2,075 SH   SOLE                                        2,075
NEWMONT MINING
 CORP-HOLDING
 COMPANY           COM     651639106   1,381     22,670 SH   SOLE                                       22,670
NEWS
 CORPORATION
 CLASS A           COM     65248E104       1         54 SH   SOLE                                           54
NEXEN INC          CALL    65334H102  18,494  1,160,300 CALL            SH_DEF                1                1,160,300
NEXEN INC          COM     65334H102   2,752    172,666 SH              SH_DEF                1                  172,666
NEXEN INC          COM     65334H102  89,836  5,636,208 SH   SOLE                                    5,636,208
NEXEN INC          COM     65334H102      13        814 SH   SOLE                                          814
NEXEN INC          COM     65334H102   3,438    212,690 SH   SOLE                                      212,690
NEXEN INC          PUT     65334H102   2,420    151,800 PUT             SH_DEF                1                  151,800
NEXTERA ENERGY
 INC               COM     65339F101     322      5,205 SH   SOLE                                        5,205
NIDEC
 CORPORATION
 ADR               COM     654090109       7        340 SH   SOLE                                          340
NIKE INC CL B      COM     654106103   2,880     29,428 SH   SOLE                                       29,428
NIKE INC -CL B     COM     654106103      --        700 SH              SH_DEF                2                      700
NOKIA CORP ADR     COM     654902204       4        910 SH   SOLE                                          910
NORDION INC        COM     65563C105      79      9,400 SH              SH_DEF                1                    9,400
NORDION INC        COM     65563C105     108     12,900 SH   SOLE                                       12,900
NORDION INC        COM     65563C105       8        908 SH              SH_DEF                2                      908
NORDION INC        COM     65563C105      25      3,000 SH   SOLE                                        3,000
NORDION INC        COM     65563C105      79      9,400 SH              SH_DEF                1                    9,400
NORTH AMER
 PALLADIUM LTD     CALL    656912102       5      2,000 CALL            SH_DEF                1                    2,000
NORTH AMER
 PALLADIUM LTD     COM     656912102       5      1,800 SH              SH_DEF                1                    1,800
NORTH AMER
 PALLADIUM LTD     COM     656912102      69     27,000 SH   SOLE                                       27,000
NORTHERN
 DYNASTY
 MINERALS          COM     66510M204      89     14,700 SH   SOLE                                       14,700
NORTHERN
 DYNASTY
 MINERALS          PUT     66510M204      18      3,000 PUT             SH_DEF                1                    3,000
NORTHERN TRUST
 CORPORATION       COM     665859104     448     11,120 SH   SOLE                                       11,120
NORTHWEST PIPE
 COMPANY           COM     667746101     302     13,000 SH   SOLE                                       13,000
NOVAGOLD RES INC   COM     66987E206      42      5,000 SH              SH_DEF                1                    5,000
NOVAGOLD
 RESOURCES INC     COM     66987E206     312     36,600 SH   SOLE                                       36,600
NOVAGOLD
 RESOURCES INC     PUT     66987E206      17      2,000 PUT             SH_DEF                1                    2,000
NOVARTIS AG
 SPONSORED ADR     COM     66987V109     726     12,500 SH   SOLE                                       12,500
NOVO-NORDISK A/S
 ADR               COM     670100205     468      4,000 SH   SOLE                                        4,000
NUCOR
 CORPORATION       COM     670346105      43      1,060 SH   SOLE                                        1,060
OCCIDENTAL
 PETROLEUM CORP    COM     674599105   1,145     12,032 SH   SOLE                                       12,032
OIL SERVICE
 HOLDERS TRUST     COM     678002106      23        200 SH   SOLE                                          200
OMNICOM GROUP
 INC               COM     681919106     881     19,465 SH   SOLE                                       19,465
ONCOLYTICS
 BIOTECH INC       COM     682310107       8      2,000 SH   SOLE                                        2,000
OPEN TEXT CORP     CALL    683715106     308      6,000 CALL            SH_DEF                1                    6,000
OPEN TEXT CORP     COM     683715106   1,659     32,300 SH              SH_DEF                1                   32,300
OPEN TEXT CORP     COM     683715106     585     11,400 SH   SOLE                                       11,400
OPEN TEXT CORP     COM     683715106  61,786  1,203,067 SH              SH_DEF                2                1,203,067
OPEN TEXT CORP     PUT     683715106   2,927     57,000 PUT             SH_DEF                1                   57,000
OPEN TEXT
 CORPORATION       COM     683715106     310      5,950 SH   SOLE                                        5,950
ORACLE CORP        COM     68389X105     141      5,500 SH   SOLE                                        5,500
ORACLE
 CORPORATION       COM     68389X105   1,954     75,035 SH   SOLE                                       75,035






Item 1:              Item 2:  Item 3:   Item 4:   Item 5:         Item 6:                      Item 7:           Item 8:
-------              ------- --------- --------- ----------      ----------                    -------- -------------------------
                                                                                                        Voting Authority (Shares)
                      Title              Fair    Shares or       Investment    (b)       (c)   Managers -------------------------
                       of      CUSIP    Market   Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer        Class   Number     Value    Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------       ------- --------- --------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                         
ORIENT-EXPRESS
 HOTELS LTD A        COM     G67743107       190     25,000 SH   SOLE                                       25,000
PACCAR INC           COM     693718108        28        742 SH   SOLE                                          742
PAN AMERICAN
 SILVER CORP         CALL    697900108     4,627    211,200 CALL            SH_DEF                1                  211,200
PAN AMERICAN
 SILVER CORP         CALL    697900108       654     30,000 CALL            SH_DEF                1                   30,000
PAN AMERICAN
 SILVER CORP         COM     697900108       434     19,800 SH              SH_DEF                1                   19,800
PAN AMERICAN
 SILVER CORP         COM     697900108       892     40,700 SH   SOLE                                       40,700
PAN AMERICAN
 SILVER CORP         COM     697900108         9        390 SH   SOLE                                          390
PAN AMERICAN
 SILVER CORP         COM     697900108        22      1,000 SH   SOLE                                        1,000
PAN AMERICAN
 SILVER CORP         PUT     697900108     1,382     63,100 PUT             SH_DEF                1                   63,100
PARKER DRILLING
 CO                  COM     701081101        25      3,500 SH   SOLE                                        3,500
PARKER HANNIFIN
 CORP                COM     701094104        10        135 SH   SOLE                                          135
PARTNERRE LTD        COM     G6852T105        42        650 SH   SOLE                                          650
PATRIOT COAL
 CORP                COM     70336T104         0         40 SH   SOLE                                           40
PATTERSON
 COMPANIES INC       COM     703395103       316     10,530 SH   SOLE                                       10,530
PAYCHEX INC          COM     704326107       316     10,320 SH   SOLE                                       10,320
PEABODY ENERGY
 CORP                COM     704549104        10        300 SH   SOLE                                          300
PEARSON PLC          COM     705015105     1,956    104,041 SH              SH_DEF                2                  104,041
PENGROWTH
 ENERGY CORP         CALL    70706P104        15      1,400 CALL            SH_DEF                1                    1,400
PENGROWTH
 ENERGY CORP         COM     70706P104         1        100 SH              SH_DEF                1                      100
PENGROWTH
 ENERGY CORP         COM     70706P104     1,660    156,900 SH   SOLE                                      156,900
PENGROWTH
 ENERGY CORP         COM     70706P104     1,694    157,910 SH   SOLE                                      157,910
PENGROWTH
 ENERGY CORP         PUT     70706P104        11      1,000 PUT             SH_DEF                1                    1,000
PENN WEST
 PETROLEUM LTD       CALL    707887105     2,871    144,600 CALL            SH_DEF                1                  144,600
PENN WEST
 PETROLEUM LTD       COM     707887105     3,043    153,287 SH              SH_DEF                1                  153,287
PENN WEST
 PETROLEUM LTD       COM     707887105    96,054  4,838,400 SH   SOLE                                    4,838,400
PENN WEST
 PETROLEUM LTD       COM     707887105     4,646    230,746 SH   SOLE                                      230,746
PENN WEST
 PETROLEUM LTD       PUT     707887105       770     38,800 PUT             SH_DEF                1                   38,800
PEPSICO INC          COM     713448108    13,471    199,954 SH   SOLE                                      199,954
PETROLEO
 BRASILEIRO S.A.
 ADR                 COM     71654V101       620     26,005 SH   SOLE                                       26,005
PETROLEO
 BRASILEIRO SA
 ADR                 COM     71654V408       310     12,270 SH   SOLE                                       12,270
PFIZER INC           COM     717081103         2        107 SH              SH_DEF                1                      107
PFIZER INC           COM     717081103         2        100 SH   SOLE                                          100
PFIZER INC           COM     717081103         5        250 SH              SH_DEF                2                      250
PFIZER INC           COM     717081103     6,764    307,826 SH   SOLE                                      307,826
PG & E
 CORPORATION         COM     69331C108       382      9,136 SH   SOLE                                        9,136
PHILIP MORRIS
 INTERNATIONAL       COM     718172109     4,429     55,578 SH   SOLE                                       55,578
PHOTRONICS INC       COM     719405102       185     30,025 SH   SOLE                                       30,025
PLUM CREEK
 TIMBER COMPANY
 INC                 COM     729251108        37      1,000 SH   SOLE                                        1,000
POLYMET MINING
 CORP                COM     731916102       164    156,300 SH   SOLE                                      156,300
POSCO SPONSORED
 ADR                 COM     693483109       391      4,685 SH   SOLE                                        4,685
POTASH CORP OF
 SASK INC            COM     73755L107       124      3,000 SH              SH_DEF                1                    3,000
POTASH CORP OF
 SASKATCHEWAN        CALL    73755L107     5,652    136,500 CALL            SH_DEF                1                  136,500
POTASH CORP OF
 SASKATCHEWAN        CALL    73755L107     5,887    142,600 CALL SOLE                                      142,600
POTASH CORP OF
 SASKATCHEWAN        COM     73755L107    17,759    428,895 SH              SH_DEF                1                  428,895
POTASH CORP OF
 SASKATCHEWAN        COM     73755L107   368,087  8,889,692 SH   SOLE                                    8,889,692
POTASH CORP OF
 SASKATCHEWAN        PUT     73755L107     7,478    180,600 PUT             SH_DEF                1                  180,600
POTASH
 CORPORATION OF
 SASKATCHEWAN        COM     73755L107     6,618    157,610 SH   SOLE                                      157,610
POWERSHARES
 EXCH INTL DIV
 ACHIEVERS           COM     73935X716         3        200 SH   SOLE                                          200
POWERSHARES QQQ
 TRUST SERIES 1      COM     73935A104        94      1,665 SH   SOLE                                        1,665
PRAXAIR INC          COM     74005P104       113      1,045 SH   SOLE                                        1,045
PRECISION
 DRILLING CORP       COM     74022D308        51      5,000 SH              SH_DEF                1                    5,000
PRECISION
 DRILLING
 CORPORATION         COM     74022D308       345     32,975 SH   SOLE                                       32,975
PRIMUS
 TELECOMMUNICATIONS
 GROUP INC           COM     741929301       283     22,000 SH   SOLE                                       22,000
PROCTER & GAMBLE
 CO                  COM     742718109        33        500 SH              SH_DEF                2                      500
PROCTER & GAMBLE
 COMPANY             COM     742718109    21,535    317,919 SH   SOLE                                      317,919
PROGRESS ENERGY
 INC                 COM     743263105        52        920 SH   SOLE                                          920
PROGRESSIVE CORP
 OHIO                COM     743315103        36      1,800 SH   SOLE                                        1,800
PROGRESSIVE
 WASTE SOLS LT       COM     74339G101        76      3,900 SH              SH_DEF                1                    3,900
PROGRESSIVE
 WASTE
 SOLUTIONS LTD       COM     74339G101       659     33,160 SH   SOLE                                       33,160
PROSHARES SHORT
 S&P500              COM     74347R503        41      1,000 SH   SOLE                                        1,000
PROSHARES
 ULTRASHORT
 EURO                COM     74347W882       103      5,000 SH   SOLE                                        5,000
PROSHARES
 ULTRASHORT
 LEHMAN 20+YR        COM     74347R297        55      3,000 SH   SOLE                                        3,000
PROSHRS ULTRASRT
 LEH20+YR            COM     74347R297        72      4,000 SH              SH_DEF                1                    4,000
PROVIDENT ENERGY
 LTD                 COM     74386V100         6        600 SH              SH_DEF                1                      600
PROVIDENT ENERGY
 LTD                 COM     74386V100     1,894    195,502 SH   SOLE                                      195,502
PROVIDENT ENERGY
 LTD NEW             COM     74386V100        67      6,800 SH   SOLE                                        6,800
PRUDENTIAL PLC       COM     74435K204     3,203    322,866 SH              SH_DEF                2                  322,866
PRUDENTIAL PLC
 ADR                 COM     74435K204        12        600 SH   SOLE                                          600
PRUDENTIAL PLC-
 ADR                 COM     74435K204       775     30,577 SH   SOLE                                       30,577
PUBLIC STORAGE       COM     74460D109       787     30,902 SH   SOLE                                       30,902
QLT INC              COM     746927102        15      2,000 SH   SOLE                                        2,000
QUALCOMM INC         COM     747525103       461      8,295 SH   SOLE                                        8,295
QUALITY SYSTEMS
 INC                 COM     747582104        60      1,600 SH   SOLE                                        1,600
RANDGOLD
 RESOURCES
 LIMITED ADR         COM     752344309       426      4,107 SH   SOLE                                        4,107
RANDGOLD
 RESOURCES LTD-
 ADR                 COM     752344309        31        300 SH   SOLE                                          300
RARE ELEMENT
 RESOURCES LTD       COM     75381M102        49     15,000 SH   SOLE                                       15,000
RAYONIER INC         COM     754907103        27        600 SH   SOLE                                          600
RAYTHEON
 COMPANY             COM     755111507       309      6,300 SH   SOLE                                        6,300
RESEARCH IN
 MOTION              CALL    760975102     1,358     93,300 CALL            SH_DEF                1                   93,300
RESEARCH IN
 MOTION              CALL    760975102    34,814  2,401,000 CALL SOLE                                    2,401,000
RESEARCH IN
 MOTION              COM     760975102    10,137    696,548 SH              SH_DEF                1                  696,548
RESEARCH IN
 MOTION              COM     760975102    70,292  4,830,183 SH   SOLE                                    4,830,183
RESEARCH IN
 MOTION              COM     760975102    10,587    727,499 SH              SH_DEF                2                  727,499
RESEARCH IN
 MOTION              PUT     760975102     1,708    117,400 PUT             SH_DEF                1                  117,400
RESEARCH IN
 MOTION              PUT     760975102     1,011     69,700 PUT  SOLE                                       69,700
RESEARCH IN
 MOTION LTD          COM     760975102     1,142     77,353 SH   SOLE                                       77,353
RESEARCH IN
 MOTION LTD          COM     760975102         7        500 SH              SH_DEF                1                      500
REVETT MINERALS
 INC-NEW             COM     761505205         0         13 SH              SH_DEF                1                       13
RIO TINTO PLC        COM     767204100     9,348    192,548 SH              SH_DEF                2                  192,548
RIO TINTO PLC
 SPONSORED ADR       COM     767204100       225      4,525 SH   SOLE                                        4,525
RIO TINTO PLC-SPON
 ADR                 COM     767204100       157      3,200 SH   SOLE                                        3,200
RITCHIE BROS
 AUCTIONEERS         COM     767744105       449     20,400 SH   SOLE                                       20,400
RITCHIE BROS.
 AUCTIONEERS         COM     767744105         4        200 SH   SOLE                                          200
ROCHESTER
 MEDICAL CORP        COM     771497104       404     48,000 SH   SOLE                                       48,000
ROCKWELL
 AUTOMATION INC      COM     773903109       198      2,660 SH   SOLE                                        2,660
ROGERS
 COMMUNICATION-
 B NV                COM     775109200         1         21 SH              SH_DEF                1                       21
ROGERS
 COMMUNICATION-
 B NV                COM     775109200       220      5,700 SH              SH_DEF                1                    5,700
ROGERS
 COMMUNICATIONS
 -CL B               CALL    775109200    12,126    314,200 CALL            SH_DEF                1                  314,200
ROGERS
 COMMUNICATIONS
 -CL B               COM     775109200     8,447    218,861 SH              SH_DEF                1                  218,861
ROGERS
 COMMUNICATIONS
 -CL B               COM     775109200   177,247  4,592,612 SH   SOLE                                    4,592,612
ROGERS
 COMMUNICATIONS
 -CL B               PUT     775109200    11,841    306,800 PUT             SH_DEF                1                  306,800
ROGERS
 COMMUNICATIONS
 INC CL B NVS        COM     775109200    14,612    373,333 SH   SOLE                                      373,333
ROYAL BANK OF
 CANADA              CALL    780087102    78,895  1,543,600 CALL            SH_DEF                1                1,543,600
ROYAL BANK OF
 CANADA              CALL    780087102    12,681    248,100 CALL SOLE                                      248,100
ROYAL BANK OF
 CANADA              COM     780087102    80,254  1,570,179 SH              SH_DEF                1                1,570,179
ROYAL BANK OF
 CANADA              COM     780087102 2,791,485 54,625,117 SH   SOLE                                   54,625,117
ROYAL BANK OF
 CANADA              COM     780087102        77      1,500 SH              SH_DEF                2                    1,500
ROYAL BANK OF
 CANADA              COM     780087102   114,664  2,212,101 SH   SOLE                                    2,212,101
ROYAL BANK OF
 CANADA              COM     780087102       153      3,000 SH              SH_DEF                1                    3,000
ROYAL BANK OF
 CANADA              COM     780087102        60      1,183 SH              SH_DEF                1                    1,183
ROYAL BANK OF
 CANADA              COM     780087102       810     15,870 SH              SH_DEF                1                   15,870
ROYAL BANK OF
 CANADA              PUT     780087102    69,123  1,352,400 PUT             SH_DEF                1                1,352,400
ROYAL BANK OF
 CANADA              PUT     780087102     9,456    185,000 PUT  SOLE                                      185,000
ROYAL BANK OF
 CANADA              PUT     780087102     1,447     28,400 PUT  SOLE                                       28,400
ROYAL BK SCOT
 5.75% SER-L ADR
 PFD                 COM     780097788        11        740 SH   SOLE                                          740
ROYAL BK
 SCOTLAND ADS
 SER F PFD           COM     780097804        17      1,000 SH   SOLE                                        1,000
ROYAL DUTCH
 SHELL PLC ADR
 CL A                COM     780259206     3,134     42,226 SH   SOLE                                       42,226
ROYAL DUTCH
 SHELL PLC SPON
 ADR B               COM     780259107        77      1,000 SH   SOLE                                        1,000
ROYAL DUTCH
 SHELL PLC-A SHS     COM     780259107        --      2,103 SH              SH_DEF                2                    2,103
ROYAL DUTCH
 SHELL PLC-A SHS     COM     780259107    17,156    465,782 SH              SH_DEF                2                  465,782
ROYAL DUTCH
 SHELL PLC-B SHS     COM     780259107    13,103    343,696 SH              SH_DEF                2                  343,696
ROYAL GOLD INC       COM     780287108         6         93 SH   SOLE                                           93
ROYAL GOLD INC       COM     780287108       162      2,400 SH   SOLE                                        2,400
ROYAL GOLD INC       COM     780287108        49        710 SH   SOLE                                          710
ROYCE VALUE
 TRUST               COM     780910105        54      4,333 SH   SOLE                                        4,333
RPM
 INTERNATIONAL
 INC                 COM     749685103        56      2,250 SH   SOLE                                        2,250
RUBICON MINERALS
 CORP                CALL    780911103         4      1,000 CALL            SH_DEF                1                    1,000
RUBICON MINERALS
 CORP                COM     780911103        16      4,300 SH              SH_DEF                1                    4,300






Item 1:             Item 2:  Item 3:  Item 4:  Item 5:         Item 6:                      Item 7:           Item 8:
-------             ------- --------- ------- ----------      ----------                    -------- -------------------------
                                                                                                     Voting Authority (Shares)
                     Title             Fair   Shares or       Investment    (b)       (c)   Managers -------------------------
                      of      CUSIP   Market  Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer       Class   Number    Value   Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------      ------- --------- ------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                      
RUBICON MINERALS
 CORP               COM     780911103     570    149,900 SH   SOLE                                      149,900
RUBICON MINERALS
 CORP               PUT     780911103      11      3,000 PUT             SH_DEF                1                    3,000
S&P 500 INDEX       CALL    464287900  50,794    403,900 CALL SOLE                                      403,900
S&P 500 INDEX       PUT     464287900  28,610    227,500 PUT  SOLE                                      227,500
SANOFI              COM     80105N105     341      9,190 SH   SOLE                                        9,190
SAP AG              COM     803054204   1,154     21,465 SH   SOLE                                       21,465
SASOL LIMITED
 SPONSORED ADR      COM     803866300     429      8,905 SH   SOLE                                        8,905
SCANSOURCE INC      COM     806037107      57      1,550 SH   SOLE                                        1,550
SCHLUMBERGER
 LTD                COM     806857108      20        300 SH   SOLE                                          300
SCHLUMBERGER
 LTD                COM     806857108   1,198     17,275 SH   SOLE                                       17,275
SCHWAB, CHARLES
 CORP               COM     808513105       8        675 SH   SOLE                                          675
SEADRILL LTD        COM     G7945E105     101      3,000 SH   SOLE                                        3,000
SEASPAN CORP        COM     Y75638109     208     15,000 SH   SOLE                                       15,000
SECTOR SPDR TR-
 UTILITIES          COM     81369Y886      58      1,585 SH   SOLE                                        1,585
SEMICONDUCTOR
 MFG INTL CORP
 ADR                COM     81663N206     235     98,300 SH   SOLE                                       98,300
SEMPRA ENERGY       COM     816851109      91      1,630 SH   SOLE                                        1,630
SERVICE
 CORPORATION
 INTERNATIONAL      COM     817565104      54      5,000 SH   SOLE                                        5,000
SERVICESOURCE
 INTERNATIONAL      CALL    81763U100   1,458     92,900 CALL SOLE                                       92,900
SHAW
 COMMUNICATION-
 B NV               COM     82028K200     159      8,000 SH              SH_DEF                1                    8,000
SHAW
 COMMUNICATION-
 B NV               COM     82028K200     143      7,200 SH              SH_DEF                1                    7,200
SHAW
 COMMUNICATIONS
 INC CL B NVS       COM     82028K200  13,293    658,300 SH   SOLE                                      658,300
SHAW
 COMMUNICATIONS
 INC-B              CALL    82028K200   3,869    194,300 CALL            SH_DEF                1                  194,300
SHAW
 COMMUNICATIONS
 INC-B              COM     82028K200   3,665    184,045 SH              SH_DEF                1                  184,045
SHAW
 COMMUNICATIONS
 INC-B              COM     82028K200 139,406  7,001,256 SH   SOLE                                    7,001,256
SHAW
 COMMUNICATIONS
 INC-B              COM     82028K200      --  6,053,236 SH              SH_DEF                2                6,053,236
SHAW
 COMMUNICATIONS
 INC-B              PUT     82028K200     378     19,000 PUT             SH_DEF                1                   19,000
SHERWIN-WILLIAMS
 COMPANY (THE)      COM     824348106     170      1,880 SH   SOLE                                        1,880
SHIRE PLC           COM     82481R106   2,493     71,546 SH              SH_DEF                2                   71,546
SIEMENS AG
 SPONSORED ADR      COM     826197501     738      7,604 SH   SOLE                                        7,604
SIEMENS AG-SPONS
 ADR                COM     826197501      67        700 SH   SOLE                                          700
SIGMA-ALDRICH
 CORP               COM     826552101      70      1,100 SH   SOLE                                        1,100
SILVER BULL
 RESOURCES INC      COM     827458100       0        200 SH              SH_DEF                1                      200
SILVER STANDARD
 RES INC            COM     82823L106       1         57 SH              SH_DEF                1                       57
SILVER STANDARD
 RESOURCES          CALL    82823L106     614     44,300 CALL            SH_DEF                1                   44,300
SILVER STANDARD
 RESOURCES          COM     82823L106     680     49,077 SH              SH_DEF                1                   49,077
SILVER STANDARD
 RESOURCES          COM     82823L106     373     26,900 SH   SOLE                                       26,900
SILVER STANDARD
 RESOURCES          COM     82823L106      18      1,300 SH   SOLE                                        1,300
SILVER STANDARD
 RESOURCES          PUT     82823L106   1,637    118,100 PUT             SH_DEF                1                  118,100
SILVER STANDARD
 RESOURCES INC      COM     82823L106       0         11 SH   SOLE                                           11
SILVER WHEATON
 CORP               CALL    828336107   4,879    168,200 CALL            SH_DEF                1                  168,200
SILVER WHEATON
 CORP               CALL    828336107   1,781     61,500 CALL SOLE                                       61,500
SILVER WHEATON
 CORP               COM     828336107  22,497    775,575 SH              SH_DEF                1                  775,575
SILVER WHEATON
 CORP               COM     828336107  89,565  3,087,700 SH   SOLE                                    3,087,700
SILVER WHEATON
 CORP               COM     828336107      38      1,325 SH   SOLE                                        1,325
SILVER WHEATON
 CORP               COM     828336107     640     21,750 SH   SOLE                                       21,750
SILVER WHEATON
 CORP               COM     828336107     945     32,600 SH              SH_DEF                1                   32,600
SILVER WHEATON
 CORP               PUT     828336107   3,452    119,000 PUT             SH_DEF                1                  119,000
SILVER WHEATON
 CORP               PUT     828336107      17        600 PUT  SOLE                                          600
SILVERCORP
 METALS INC         CALL    82835P103     129     20,100 CALL            SH_DEF                1                   20,100
SILVERCORP
 METALS INC         COM     82835P103     100     15,600 SH              SH_DEF                1                   15,600
SILVERCORP
 METALS INC         COM     82835P103     237     36,900 SH   SOLE                                       36,900
SILVERCORP
 METALS INC         PUT     82835P103     217     33,700 PUT             SH_DEF                1                   33,700
SMART
 TECHNOLOGIES
 INC CL A SVS       COM     83172R108       4      1,000 SH   SOLE                                        1,000
SMITH & NEPHEW
 PLC                COM     83175M205   1,103    113,521 SH              SH_DEF                2                  113,521
SMITH & NEPHEW
 PLC SPONSORED
 ADR                COM     83175M205     131      2,680 SH   SOLE                                        2,680
SMITHFIELD FOODS
 INC                COM     832248108      44      1,800 SH   SOLE                                        1,800
SMUCKER (J.M.) CO   COM     832696405       7         87 SH   SOLE                                           87
SOLERA HOLDINGS
 INC                COM     83421A104      64      1,425 SH   SOLE                                        1,425
SOUTHERN
 COMPANY            COM     842587107     542     11,537 SH   SOLE                                       11,537
SOUTHWEST
 AIRLINES CO        COM     844741108       2        270 SH   SOLE                                          270
SPDR BARCLAYS
 CAPITAL HI YLD
 BD ETF             COM     78464A417     433     11,100 SH   SOLE                                       11,100
SPDR DJIA ETF       COM     78467X109      80        645 SH   SOLE                                          645
SPDR FTSE/
 MACQUARIE GLB
 INFR 100 ETF       COM     78463X855     289      7,200 SH   SOLE                                        7,200
SPDR GOLD TRUST     COM     78463V107     201      1,325 SH   SOLE                                        1,325
SPDR GOLD TRUST     COM     78463V107  13,369     86,626 SH   SOLE                                       86,626
SPDR GOLD TRUST
 ETF                COM     78463V107     304      2,000 SH              SH_DEF                1                    2,000
SPDR S&P 500 ETF
 TRUST              COM     78462F103     848      6,652 SH   SOLE                                        6,652
SPDR S&P BIOTECH
 ETF                COM     78464A870      13        200 SH   SOLE                                          200
SPDR S&P DIVIDEND
 ETF                COM     78464A763      68      1,250 SH   SOLE                                        1,250
SPDR S&P MIDCAP
 400 ETF TRUST      COM     78467Y107      20        125 SH   SOLE                                          125
SPDR TRUST SERIES
 1                  PUT     78462F103  28,296    225,000 PUT  SOLE                                      225,000
SPECTRA ENERGY
 CORP               COM     847560109     284      9,099 SH   SOLE                                        9,099
SPX CORP            COM     784635104      --          1 SH              SH_DEF                2                        1
SPX CORPORATION     COM     784635104      21        350 SH   SOLE                                          350
STANTEC INC         COM     85472N109     239      8,800 SH   SOLE                                        8,800
STANTEC INC         COM     85472N109     355     12,895 SH   SOLE                                       12,895
STAPLES INC         COM     855030102      25      1,800 SH   SOLE                                        1,800
STARBUCKS
 CORPORATION        COM     855244109      75      1,600 SH   SOLE                                        1,600
STATE STREET CORP   COM     857477103   1,108     27,060 SH   SOLE                                       27,060
STATOIL ASA SPON
 ADR                COM     85771P102     158      6,061 SH   SOLE                                        6,061
STEIN MART INC      COM     858375108     271     39,200 SH   SOLE                                       39,200
STRYKER
 CORPORATION        COM     863667101      59      1,170 SH   SOLE                                        1,170
SUN LIFE FINANCIAL
 INC                CALL    866796105   3,819    205,500 CALL            SH_DEF                1                  205,500
SUN LIFE FINANCIAL
 INC                COM     866796105  11,272    606,535 SH              SH_DEF                1                  606,535
SUN LIFE FINANCIAL
 INC                COM     866796105 177,485  9,550,409 SH   SOLE                                    9,550,409
SUN LIFE FINANCIAL
 INC                COM     866796105   6,328    335,751 SH   SOLE                                      335,751
SUN LIFE FINANCIAL
 INC                COM     866796105      16        836 SH              SH_DEF                1                      836
SUN LIFE FINANCIAL
 INC                COM     866796105     845     45,481 SH              SH_DEF                1                   45,481
SUN LIFE FINANCIAL
 INC                PUT     866796105   7,413    398,900 PUT             SH_DEF                1                  398,900
SUNCOR ENERGY
 INC                COM     867224107      23        784 SH              SH_DEF                2                      784
SUNCOR ENERGY
 INC (NEW)          COM     867224107  23,880    815,065 SH   SOLE                                      815,065
SUNCOR ENERGY
 INC NEW            COM     867224107     347     12,000 SH              SH_DEF                1                   12,000
SUNCOR ENERGY
 INC NEW            COM     867224107     728     25,208 SH              SH_DEF                1                   25,208
SUNTECH POWER
 HOLDINGS ADR       COM     86800C104       0        150 SH   SOLE                                          150
SWISHER HYGIENE
 INC                COM     870808102      46     12,000 SH   SOLE                                       12,000
SXC HEALTH
 SOLUTIONS CORP     COM     78505P100     338      6,000 SH              SH_DEF                1                    6,000
SXC HEALTH
 SOLUTIONS CORP     COM     78505P100     693     12,300 SH   SOLE                                       12,300
SXC HEALTH
 SOLUTIONS CORP     COM     78505P100     885     15,500 SH   SOLE                                       15,500
SYSCO
 CORPORATION        COM     871829107     527     17,705 SH   SOLE                                       17,705
T ROWE PRICE
 GROUP INC          COM     74144T108     248      4,280 SH   SOLE                                        4,280
TAIWAN
 SEMICONDUCTOR
 MFTG SP ADR        COM     874039100       7        500 SH   SOLE                                          500
TALISMAN ENERGY
 INC                CALL    87425E103   5,553    435,100 CALL            SH_DEF                1                  435,100
TALISMAN ENERGY
 INC                CALL    87425E103     437     34,300 CALL SOLE                                       34,300
TALISMAN ENERGY
 INC                COM     87425E103   8,720    683,198 SH              SH_DEF                1                  683,198
TALISMAN ENERGY
 INC                COM     87425E103 135,939 10,650,997 SH   SOLE                                   10,650,997
TALISMAN ENERGY
 INC                COM     87425E103      10        800 SH              SH_DEF                2                      800
TALISMAN ENERGY
 INC                COM     87425E103   5,031    388,653 SH   SOLE                                      388,653
TALISMAN ENERGY
 INC                COM     87425E103      64      5,000 SH              SH_DEF                1                    5,000
TALISMAN ENERGY
 INC                COM     87425E103       1         87 SH              SH_DEF                1                       87
TALISMAN ENERGY
 INC                PUT     87425E103   5,440    426,200 PUT             SH_DEF                1                  426,200
TARGET CORP         COM     87612E106   2,153     41,401 SH   SOLE                                       41,401
TASEKO MINES LTD    CALL    876511106      84     30,700 CALL            SH_DEF                1                   30,700
TASEKO MINES LTD    COM     876511106       4      1,600 SH              SH_DEF                1                    1,600
TASEKO MINES LTD    COM     876511106     100     36,500 SH   SOLE                                       36,500
TASEKO MINES LTD    PUT     876511106      14      5,200 PUT             SH_DEF                1                    5,200
TECHNOLOGY
 SELECT SECTOR
 SPDR FUND          COM     81369Y803     336     13,000 SH   SOLE                                       13,000
TECK COMINCO
 LTD-CL B           CALL    878742204  39,928  1,130,800 CALL            SH_DEF                1                1,130,800
TECK COMINCO
 LTD-CL B           CALL    878742204   2,643     75,100 CALL SOLE                                       75,100
TECK COMINCO
 LTD-CL B           COM     878742204  20,183    571,607 SH              SH_DEF                1                  571,607
TECK COMINCO
 LTD-CL B           COM     878742204 176,044  4,985,719 SH   SOLE                                    4,985,719
TECK COMINCO
 LTD-CL B           COM     878742204   2,520     71,600 SH   SOLE                                       71,600
TECK COMINCO
 LTD-CL B           PUT     878742204  18,933    536,200 PUT             SH_DEF                1                  536,200
TECK COMINCO
 LTD-CL B           PUT     878742204     345      9,800 PUT             SH_DEF                1                    9,800
TECK COMINCO
 LTD-CL B           PUT     878742204   3,991    113,400 PUT  SOLE                                      113,400
TECK RESOURCES
 LTD -B- SV         COM     878742204     176      5,000 SH              SH_DEF                1                    5,000
TECK RESOURCES
 LTD -B- SV         COM     878742204      35        990 SH              SH_DEF                1                      990
TECK RESOURCES
 LTD -B- SV         COM     878742204     162      4,600 SH              SH_DEF                1                    4,600
TECK RESOURCES
 LTD CL B SVS       COM     878742204   7,909    220,872 SH   SOLE                                      220,872






Item 1:            Item 2:  Item 3:  Item 4:  Item 5:         Item 6:                      Item 7:           Item 8:
-------            ------- --------- ------- ----------      ----------                    -------- -------------------------
                                                                                                    Voting Authority (Shares)
                    Title             Fair   Shares or       Investment    (b)       (c)   Managers -------------------------
                     of      CUSIP   Market  Principal       Discretion  Shared-   Shared-   See       (a)       (b)     (c)
Name of Issuer      Class   Number    Value   Amount          (a) Sole  As Defined  other  Instr. V    Sole     Shared   None
--------------     ------- --------- ------- ---------- ---- ---------- ---------- ------- -------- ---------- --------- ----
                                                                                     
TEEKAY
 CORPORATION       COM     Y8564W103     204      7,500 SH   SOLE                                        7,500
TELEFLEX
 INCORPORATED      COM     879369106      93      1,500 SH   SOLE                                        1,500
TELEFONICA S.A.
 SPONSORED ADR     COM     879382208     141      8,095 SH   SOLE                                        8,095
TELSA MOTORS INC   COM     88160R101       1         50 SH   SOLE                                           50
TELUS CORP - NV    COM     87971M202   6,701    124,900 SH              SH_DEF                1                  124,900
TELUS
 CORPORATION -
 NON VOTE          COM     87971M202     183      3,400 SH              SH_DEF                1                    3,400
TELUS
 CORPORATION -
 NON VOTE          COM     87971M202 131,812  2,453,387 SH   SOLE                                    2,453,387
TELUS
 CORPORATION NV    COM     87971M202   5,168     94,840 SH   SOLE                                       94,840
TEMPLETON
 DRAGON FUND       COM     88018T101     584     22,600 SH   SOLE                                       22,600
TENARIS S.A. ADR   COM     88031M109     224      5,935 SH   SOLE                                        5,935
TERADYNE INC       COM     880770102       4        294 SH   SOLE                                          294
TESCO CORP         COM     88157K101      46      3,600 SH   SOLE                                        3,600
TESORO CORP        COM     881609101       1         37 SH   SOLE                                           37
TEVA
 PHARMACEUTICAL
 INDUSTRIES ADR    COM     881624209     532     12,970 SH   SOLE                                       12,970
TEXAS
 INSTRUMENTS INC   COM     882508104      74      2,512 SH   SOLE                                        2,512
THERATECHNOLOGIES
 INC               COM     88338H100       0         43 SH              SH_DEF                1                       43
THERMO FISHER
 SCIENTIFIC        COM     883556102      82      1,800 SH   SOLE                                        1,800
THOMPSON CREEK
 METALS CO         COM     884768102     101     14,500 SH              SH_DEF                1                   14,500
THOMPSON CREEK
 METALS CO INC     CALL    884768102     189     27,000 CALL            SH_DEF                1                   27,000
THOMPSON CREEK
 METALS CO INC     COM     884768102     133     19,000 SH              SH_DEF                1                   19,000
THOMPSON CREEK
 METALS CO INC     COM     884768102     284     40,500 SH   SOLE                                       40,500
THOMPSON CREEK
 METALS CO INC     PUT     884768102     375     53,500 PUT             SH_DEF                1                   53,500
THOMPSON CREEK
 METALS
 COMPANY           COM     884768102     184     25,955 SH   SOLE                                       25,955
THOMSON REUTERS
 CORP              CALL    884903105   1,360     50,800 CALL            SH_DEF                1                   50,800
THOMSON REUTERS
 CORP              COM     884903105  20,149    752,520 SH              SH_DEF                1                  752,520
THOMSON REUTERS
 CORP              COM     884903105 114,996  4,294,939 SH   SOLE                                    4,294,939
THOMSON REUTERS
 CORP              COM     884903105      66      2,476 SH   SOLE                                        2,476
THOMSON REUTERS
 CORP              COM     884903105     267     10,000 SH              SH_DEF                1                   10,000
THOMSON REUTERS
 CORP              COM     884903105     549     20,541 SH              SH_DEF                1                   20,541
THOMSON REUTERS
 CORP              PUT     884903105  14,959    558,700 PUT             SH_DEF                1                  558,700
THOMSON REUTERS
 CORPORATION       COM     884903105  12,115    446,150 SH   SOLE                                      446,150
THOR INDUSTRIES
 INC               COM     885160101     266     15,300 SH   SOLE                                       15,300
TIM HORTONS INC    CALL    88706M103   5,261    108,400 CALL            SH_DEF                1                  108,400
TIM HORTONS INC    COM     88706M103   4,016     82,752 SH              SH_DEF                1                   82,752
TIM HORTONS INC    COM     88706M103  82,890  1,707,850 SH   SOLE                                    1,707,850
TIM HORTONS INC    COM     88706M103       5        100 SH   SOLE                                          100
TIM HORTONS INC    COM     88706M103   9,909    201,307 SH   SOLE                                      201,307
TIM HORTONS INC    COM     88706M103   8,036    165,664 SH              SH_DEF                1                  165,664
TIM HORTONS INC    PUT     88706M103   5,101    105,100 PUT             SH_DEF                1                  105,100
TIMBERLINE
 RESOURCES CORP    COM     887133106       0        285 SH              SH_DEF                1                      285
TIME WARNER
 CABLE INC         COM     88732J207     565      8,755 SH   SOLE                                        8,755
TIME WARNER INC    COM     887317303      71      1,927 SH   SOLE                                        1,927
TJX COMPANIES INC  COM     872540109     149      2,275 SH   SOLE                                        2,275
TOLL BROTHERS INC  COM     889478103      41      2,000 SH   SOLE                                        2,000
TORONTO
 DOMINION BANK     COM     891160509      75      1,000 SH              SH_DEF                1                    1,000
TORONTO
 DOMINION BANK     COM     891160509       7         97 SH              SH_DEF                1                       97
TORONTO
 DOMINION BANK     COM     891160509   8,629    115,113 SH              SH_DEF                1                  115,113
TORONTO
 DOMINION BANK     COM     891160509   3,925     52,361 SH              SH_DEF                1                   52,361
TORONTO-
 DOMINION BANK     CALL    891160509  65,075    867,500 CALL            SH_DEF                1                  867,500
TORONTO-
 DOMINION BANK     COM     891160509 301,003  4,012,589 SH              SH_DEF                1                4,012,589
TORONTO-
 DOMINION BANK     COM     891160509  99,917  1,331,963 SH              SH_DEF                2                1,331,963
TORONTO-
 DOMINION BANK     COM     891160509  83,954  1,103,541 SH   SOLE                                    1,103,541
TORONTO-
 DOMINION BANK     PUT     891160509  70,649    941,800 PUT             SH_DEF                1                  941,800
TORONTO-
 DOMINION BANK     PUT     891160509       8        100 PUT  SOLE                                          100
TOTAL S.A.
 SPONSORED ADR     COM     89151E109   2,093     40,325 SH   SOLE                                       40,325
TOWERSTREAM
 CORPORATION       COM     892000100     696    326,400 SH   SOLE                                      326,400
TOYOTA MOTOR
 CORP ADR          COM     892331307     417      6,204 SH   SOLE                                        6,204
TRACTOR SUPPLY
 COMPANY           COM     892356106      71      1,000 SH   SOLE                                        1,000
TRANSALTA CORP     CALL    89346D107   3,348    162,000 CALL            SH_DEF                1                  162,000
TRANSALTA CORP     COM     89346D107   2,528    122,322 SH              SH_DEF                1                  122,322
TRANSALTA CORP     COM     89346D107 141,548  6,848,465 SH   SOLE                                    6,848,465
TRANSALTA CORP     COM     89346D107      21      1,025 SH              SH_DEF                1                    1,025
TRANSALTA CORP     COM     89346D107     180      8,700 SH              SH_DEF                1                    8,700
TRANSALTA CORP     PUT     89346D107   2,019     97,700 PUT             SH_DEF                1                   97,700
TRANSALTA CORP     PUT     89346D107     632     30,600 PUT  SOLE                                       30,600
TRANSALTA
 CORPORATION       COM     89346D107   8,573    409,009 SH   SOLE                                      409,009
TRANSCANADA
 CORP              CALL    89353D107  30,720    701,600 CALL            SH_DEF                1                  701,600
TRANSCANADA
 CORP              COM     89353D107  14,812    338,286 SH              SH_DEF                1                  338,286
TRANSCANADA
 CORP              COM     89353D107 488,581 11,158,466 SH   SOLE                                   11,158,466
TRANSCANADA
 CORP              COM     89353D107       2         36 SH   SOLE                                           36
TRANSCANADA
 CORP              COM     89353D107      51      1,175 SH              SH_DEF                1                    1,175
TRANSCANADA
 CORP              COM     89353D107     179      4,100 SH              SH_DEF                1                    4,100
TRANSCANADA
 CORP              PUT     89353D107  15,202    347,200 PUT             SH_DEF                1                  347,200
TRANSCANADA
 CORPORATION       COM     89353D107  45,418  1,022,807 SH   SOLE                                    1,022,807
TRANSGLOBE
 ENERGY CORP       CALL    893662106       8      1,000 CALL            SH_DEF                1                    1,000
TRANSGLOBE
 ENERGY CORP       COM     893662106       2        200 SH              SH_DEF                1                      200
TRANSGLOBE
 ENERGY CORP       COM     893662106     125     15,700 SH   SOLE                                       15,700
TRANSGLOBE
 ENERGY CORP       PUT     893662106       4        500 PUT             SH_DEF                1                      500
TRANSITION
 THERAPEUT         COM     893716209       0         47 SH              SH_DEF                1                       47
TRAVELERS
 COMPANIES INC     COM     89417E109     234      3,891 SH   SOLE                                        3,891
TRAVELERS COS
 INC/THE           COM     89417E109       9        160 SH              SH_DEF                1                      160
TRAVELERS COS
 INC/THE           COM     89417E109      --          1 SH              SH_DEF                2                        1
TRW AUTOMOTIVE
 HOLDINGS CORP     COM     87264S106     561     16,940 SH   SOLE                                       16,940
TSAKOS ENERGY
 NAVIGATION LTD    COM     G9108L108     260     53,600 SH   SOLE                                       53,600
TUPPERWARE
 BRANDS CORP       COM     899896104     126      2,225 SH   SOLE                                        2,225
U.S. BANCORP       COM     902973304     332     12,100 SH   SOLE                                       12,100
U.S. GEOTHERMAL
 INC               COM     90338S102     151    414,500 SH   SOLE                                      414,500
UFP TECHNOLOGIES
 INC               COM     902673102      53      3,545 SH   SOLE                                        3,545
ULTRA PETROLEUM
 CORP              COM     903914109      44      1,460 SH   SOLE                                        1,460
UNILEVER N.V. NEW
 YORK SHARES       COM     904784709     274      7,838 SH   SOLE                                        7,838
UNILEVER PLC       COM     904767704   5,635    167,687 SH              SH_DEF                2                  167,687
UNILEVER PLC SPON
 ADR               COM     904767704     975     28,645 SH   SOLE                                       28,645
UNION PACIFIC
 CORPORATION       COM     907818108     893      8,306 SH   SOLE                                        8,306
UNITED PARCEL
 SERVICE INC CL B  COM     911312106      52        700 SH   SOLE                                          700
UNITED
 TECHNOLOGIES
 CORP              COM     913017109       8        107 SH              SH_DEF                1                      107
UNITED
 TECHNOLOGIES
 CORPORATION       COM     913017109   6,987     94,148 SH   SOLE                                       94,148
UNITEDHEALTH
 GROUP INC         COM     91324P102     393      7,640 SH   SOLE                                        7,640
UNUM GROUP         COM     91529Y106     944     44,100 SH   SOLE                                       44,100
UR ENERGY INC      COM     91688R108     204    235,500 SH   SOLE                                      235,500
URS CORPORATION    COM     903236107      63      1,760 SH   SOLE                                        1,760
US BANCORP         COM     902973304     218      8,073 SH   SOLE                                        8,073
US ECOLOGY INC     COM     91732J102       5        240 SH   SOLE                                          240
VALE S.A SPON ADR  COM     91912E105     825     37,900 SH   SOLE                                       37,900
VALE S.A. CLASS
 PFD ADR           COM     91912E204     201      9,600 SH   SOLE                                        9,600
VALE SA-SP ADR     COM     91912E105      62      2,900 SH   SOLE                                        2,900
VALEANT
 PHARMACEUTICALS
 INTE              CALL    91911K102   1,682     35,900 CALL            SH_DEF                1                   35,900
VALEANT
 PHARMACEUTICALS
 INTE              COM     91911K102   8,335    177,860 SH              SH_DEF                1                  177,860
VALEANT
 PHARMACEUTICALS
 INTE              COM     91911K102 149,550  3,191,188 SH   SOLE                                    3,191,188
VALEANT
 PHARMACEUTICALS
 INTE              PUT     91911K102     272      5,800 PUT             SH_DEF                1                    5,800
VALEANT
 PHARMACEUTICALS
 INTL INC          COM     91911K102     482     10,146 SH   SOLE                                       10,146
VALERO ENERGY
 CORP              COM     91913Y100       1         26 SH   SOLE                                           26
VALERO ENERGY
 CORP              COM     91913Y100     135      6,300 SH   SOLE                                        6,300
VANCEINFO
 TECHNOLOGIES
 INC ADR           COM     921564100     349     37,890 SH   SOLE                                       37,890
VANGUARD
 EMERGING
 MARKETS ETF       COM     922042858     221      5,700 SH   SOLE                                        5,700
VANGUARD
 EUROPEAN ETF      COM     922042874       8        200 SH   SOLE                                          200
VANGUARD MSCI
 EAFE ETF          COM     921943858     212      6,805 SH   SOLE                                        6,805
VANGUARD TOTAL
 STOCK MARKET
 ETF               COM     922908769      55        850 SH   SOLE                                          850
VARIAN MEDICAL
 SYSTEMS INC       COM     92220P105     159      2,335 SH   SOLE                                        2,335
VCA ANTECH INC     COM     918194101      86      4,265 SH   SOLE                                        4,265
VEECO
 INSTRUMENTS INC   COM     922417100       2        110 SH   SOLE                                          110
VEOLIA
 ENVIRONNEMENT
 SPON ADR          COM     92334N103       1         75 SH   SOLE                                           75
VERISK ANALYTICS
 INC CLASS A       COM     92345Y106     122      3,000 SH   SOLE                                        3,000
VERIZON
 COMMUNICATIONS
 INC               COM     92343V104       4        107 SH              SH_DEF                1                      107
VERIZON
 COMMUNICATIONS
 INC               COM     92343V104       8        200 SH   SOLE                                          200
VERIZON
 COMMUNICATIONS
 INC               COM     92343V104      60      1,500 SH              SH_DEF                2                    1,500
VERIZON
 COMMUNICATIONS
 INC               COM     92343V104   2,538     62,290 SH   SOLE                                       62,290
VERTEX
 PHARMACEUTICALS
 INC               COM     92532F100     353     10,475 SH   SOLE                                       10,475
VISA INC- CLASS A
 SHARES            COM     92826C839     204      1,975 SH   SOLE                                        1,975






Item 1:           Item 2:  Item 3:  Item 4:  Item 5:         Item 6:                      Item 7:           Item 8:
-------           ------- --------- ------- ----------      ----------                    -------- -------------------------
                                                                                                   Voting Authority (Shares)
                   Title             Fair   Shares or       Investment    (b)       (c)   Managers -------------------------
                    of      CUSIP   Market  Principal       Discretion  Shared-   Shared-   See      (a)        (b)     (c)
Name of Issuer     Class   Number    Value   Amount          (a) Sole  As Defined  other  Instr. V   Sole      Shared   None
--------------    ------- --------- ------- ---------- ---- ---------- ---------- ------- -------- --------- ---------- ----
                                                                                    
TEEKAY
 CORPORATION      COM     Y8564W103     204      7,500 SH   SOLE                                       7,500
VISIONCHINA
 MEDIA INC        COM     92833U103     114     90,900 SH   SOLE                                      90,900
VISTA GOLD CORP
 REORG SHS        COM     927926303     446    143,000 SH   SOLE                                     143,000
VISTEON
 CORPORATION      COM     92839U206       0          5 SH   SOLE                                           5
VODAFONE GROUP
 PLC              COM     92857W209  97,824 35,198,534 SH              SH_DEF                2               35,198,534
VODAFONE GROUP
 PLC              COM     92857W209   6,204    217,984 SH   SOLE                                     217,984
VULCAN
 MATERIALS
 COMPANY          COM     929160109     113      2,835 SH   SOLE                                       2,835
WALGREEN CO       COM     931422109   1,533     45,660 SH   SOLE                                      45,660
WAL-MART STORES
 INC              COM     931142103   5,843     96,298 SH   SOLE                                      96,298
WALTER ENERGY
 INC              COM     93317Q105     123      2,000 SH   SOLE                                       2,000
WASTE
 MANAGEMENT
 INC              COM     94106L109     688     20,715 SH   SOLE                                      20,715
WELLCARE HEALTH
 PLANS INC        COM     94946T106      16        300 SH   SOLE                                         300
WELLPOINT INC     COM     94973V107   1,630     24,225 SH   SOLE                                      24,225
WELLS FARGO & CO  COM     949746101       4        159 SH              SH_DEF                2                      159
WELLS FARGO & CO  COM     949746101   5,329    190,417 SH   SOLE                                     190,417
WESTERN UNION CO  COM     959802109   1,037     55,930 SH   SOLE                                      55,930
WESTPORT
 INNOVATIONS INC  CALL    960908309      33      1,000 CALL            SH_DEF                1                    1,000
WESTPORT
 INNOVATIONS INC  COM     960908309     186      5,600 SH              SH_DEF                1                    5,600
WESTPORT
 INNOVATIONS INC  COM     960908309     319      9,600 SH   SOLE                                       9,600
WESTPORT
 INNOVATIONS INC  COM     960908309   1,859     55,976 SH              SH_DEF                2                   55,976
WESTPORT
 INNOVATIONS INC  PUT     960908309   1,860     56,000 PUT             SH_DEF                1                   56,000
WESTPORT
 INNOVATIONS INC
 NEW              COM     960908309      67      2,000 SH   SOLE                                       2,000
WEYERHAEUSER CO   COM     962166104       4        228 SH   SOLE                                         228
WI-LAN INC        CALL    928972108      43      7,500 CALL            SH_DEF                1                    7,500
WI-LAN INC        COM     928972108     756    131,000 SH   SOLE                                     131,000
WI-LAN INC        COM     928972108      23      4,000 SH              SH_DEF                1                    4,000
WINNEBAGO
 INDUSTRIES INC   COM     974637100       9      1,200 SH   SOLE                                       1,200
WINTHROP REALTY
 TRUST            COM     976391300      52      5,000 SH   SOLE                                       5,000
WISDOMTREE INDIA
 EARNINGS FUND    COM     97717W422     678     42,800 SH   SOLE                                      42,800
WPP PLC           COM     92933H101   1,690    161,051 SH              SH_DEF                2                  161,051
WPP PLC -
 SPONSORED ADR    COM     92933H101      25        465 SH   SOLE                                         465
WRIGHT EXPRESS
 CORP             COM     98233Q105     306      5,545 SH   SOLE                                       5,545
WYNN RESORTS LTD  COM     983134107     168      1,500 SH   SOLE                                       1,500
XEROX
 CORPORATION      COM     984121103      46      5,725 SH   SOLE                                       5,725
YAHOO INC         COM     984332106     242     14,800 SH   SOLE                                      14,800
YAHOO! INC        COM     984332106      13        800 SH   SOLE                                         800
YAMANA GOLD INC   CALL    98462Y100   5,032    340,700 CALL            SH_DEF                1                  340,700
YAMANA GOLD INC   CALL    98462Y100   2,803    190,800 CALL SOLE                                     190,800
YAMANA GOLD INC   COM     98462Y100   6,753    457,244 SH              SH_DEF                1                  457,244
YAMANA GOLD INC   COM     98462Y100 113,007  7,651,650 SH   SOLE                                   7,651,650
YAMANA GOLD INC   COM     98462Y100     554     37,742 SH   SOLE                                      37,742
YAMANA GOLD INC   COM     98462Y100   1,429     95,439 SH   SOLE                                      95,439
YAMANA GOLD INC   COM     98462Y100       0         17 SH              SH_DEF                1                       17
YAMANA GOLD INC   COM     98462Y100     595     40,400 SH              SH_DEF                1                   40,400
YAMANA GOLD INC   PUT     98462Y100   4,188    283,600 PUT             SH_DEF                1                  283,600
YAMANA GOLD INC   PUT     98462Y100     889     60,500 PUT  SOLE                                      60,500
YUM! BRANDS INC   COM     988498101     256      4,270 SH   SOLE                                       4,270
ZALICUS INC       COM     98887C105     227    184,500 SH   SOLE                                     184,500
ZHONGPIN INC      COM     98952K107     598     69,100 SH   SOLE                                      69,100
ZIMMER HOLDINGS
 INC              COM     98956P102     254      4,690 SH   SOLE                                       4,690