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

                                    FORM 13F
                               FORM 13F COVER PAGE

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

Check here if Amendment [X]: Amendment Number: 1

This Amendment (Check only one): [X] 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         December 17, 2012
------------------        ----------------         -----------------
   [Signature]             [City, State]                [Date]

This amendment restates the Form 13F for the quarter ended on September 30,
2012, in its entirety. Due to a clerical error certain positions were reported
in ASTRAZENECA PLC (46353108); AVIVA PLC (05382A104); BARCLAYS PLC (06738E204);
BHP BILLITON PLC (05545E209); BP PLC (055622104); BT GROUP PLC (05577E101);
CARNIVAL PLC (14365C103); GLAXOSMITHKLINE PLC (37733W105); LLOYDS BANKING GROUP
PLC (539439109); NATIONAL GRID PLC (636274300); PEARSON PLC (705015105);
PRUDENTIAL PLC (74435K204); RIO TINTO PLC (767204100); ROYAL DUTCH SHELL PLC
(780259107); SHIRE PLC (82481R106); SMITH & NEPHEW PLC (83175M205); UNILEVER PLC
(904767704); VODAFONE GROUP PLC (92857W209); and WPP PLC (92933H101) when no
such positions were held.

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:          1158

Form 13F Information Table Value Total (x$1000): $25,536,407

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


                                                                               Item6:
                                                                      Investment Discretion
                                         Item 4:    Item 5:                 (b)              Item 7:
                    Item 2:    Item 3:    Fair     Shares or               Shared-   (c)    Managers             Item 8:
Item 1:             Title of   CUSIP     Market    Principal          (a)    As    Shared-    See      Voting Authority (Shares)
Name of Issuer        Class    Number     Value      Amount           Sole Defined  other   Instr. V  (a) Sole  (b) Shared (c) None
------------------- -------- --------- ----------- ---------- ------- ---- ------- -------- -------- ---------- ---------- --------
                                                                                       
3M COMPANY          COM      88579Y101       8,297     89,711 SH      SOLE                               89,711
ABB LTD SPONSORED
 ADR                COM      000375204          23      1,250 SH      SOLE                                1,250
ABBOTT LABORATORIES COM      002824100         158      2,300 SH           SH_DEF                  2                 2,300
ABBOTT LABORATORIES
 INC                COM      002824100       3,988     58,130 SH      SOLE                               58,130
ACTUANT CORP CL A   COM      00508X203         299     10,430 SH      SOLE                               10,430
ADVANCED MICRO
 DEVICES IN         COM      007903107          17      5,000 SH           SH_DEF                  1                 5,000
ADVANTAGE OIL & GAS
 LTD                COM      00765F101           2        500 SH CALL      SH_DEF                  1                   500
ADVANTAGE OIL & GAS
 LTD                COM      00765F101           9      2,500 SH PUT       SH_DEF                  1                 2,500
ADVANTAGE OIL & GAS
 LTD                COM      00765F101           4      1,106 SH      SOLE                                1,106
ADVANTAGE OIL & GAS
 LTD                COM      00765F101         122     32,700 SH      SOLE                               32,700
ADVANTAGE OIL & GAS
 LTD                COM      00765F101          17      4,600 SH           SH_DEF                  1                 4,600
AFLAC INC           COM      001055102         372      7,760 SH      SOLE                                7,760
AGILENT
 TECHNOLOGIES INC   COM      00846U101          27        700 SH      SOLE                                  700
AGNICO-EAGLE MINES  COM      008474108       5,664    109,200 SH CALL      SH_DEF                  1               109,200
AGNICO-EAGLE MINES  COM      008474108       7,106    137,000 SH PUT       SH_DEF                  1               137,000
AGNICO-EAGLE MINES  COM      008474108          78      1,500 SH           SH_DEF                  2                 1,500
AGNICO-EAGLE MINES  COM      008474108      94,601  1,823,766 SH      SOLE                            1,823,766
AGNICO-EAGLE MINES  COM      008474108      10,877    209,690 SH           SH_DEF                  1               209,690
AGNICO-EAGLE MINES
 LTD                COM      008474108       3,528     68,000 SH CALL SOLE                               68,000
AGNICO-EAGLE MINES
 LTD                COM      008474108       3,217     62,000 SH PUT  SOLE                               62,000
AGNICO-EAGLE MINES
 LTD                COM      008474108         178      3,426 SH      SOLE                                3,426
AGNICO-EAGLE MINES
 LTD                COM      008474108          88      1,700 SH           SH_DEF                  1                 1,700
AGNICO-EAGLE MINES
 LTD                COM      008474108          41        800 SH           SH_DEF                  1                   800






                                                                                       
AGNICO-EAGLE MINES
 LTD                COM      008474108         603     11,621 SH      SOLE                               11,621
AGRIUM INC          COM      008916108       9,829     95,000 SH CALL SOLE                               95,000
AGRIUM INC          COM      008916108      37,150    358,100 SH CALL      SH_DEF                  1               358,100
AGRIUM INC          COM      008916108       5,245     50,700 SH PUT  SOLE                               50,700
AGRIUM INC          COM      008916108      10,354     99,800 SH PUT       SH_DEF                  1                99,800
AGRIUM INC          COM      008916108       4,284     41,298 SH      SOLE                               41,298
AGRIUM INC          COM      008916108         155      1,500 SH           SH_DEF                  1                 1,500
AGRIUM INC          COM      008916108         269      2,600 SH           SH_DEF                  1                 2,600
AGRIUM INC          COM      008916108     182,773  1,761,784 SH      SOLE                            1,761,784
AGRIUM INC          COM      008916108      14,689    141,595 SH           SH_DEF                  1               141,595
ALCATEL LUCENT ADR  COM      013904305           0         47 SH      SOLE                                   47
ALCOA INC           COM      013817101         174     19,605 SH      SOLE                               19,605
ALCOA INC           COM      013817101          44      5,000 SH           SH_DEF                  2                 5,000
ALCOA INC           COM      013817101         115     13,000 SH      SOLE                               13,000
ALEXCO RESOURCE
 CORP               COM      01535P106           4      1,000 SH CALL      SH_DEF                  1                 1,000
ALLIED NEVADA GOLD
 CORP               COM      019344100       1,295     33,000 SH CALL      SH_DEF                  1                33,000
ALLIED NEVADA GOLD
 CORP               COM      019344100       2,930     74,700 SH PUT       SH_DEF                  1                74,700
ALLIED NEVADA GOLD
 CORP               COM      019344100          12        300 SH           SH_DEF                  1                   300
ALLIED NEVADA GOLD
 CORP               COM      019344100          59      1,500 SH      SOLE                                1,500
ALLSTATE
 CORPORATION        COM      020002101         234      5,900 SH      SOLE                                5,900
ALTRIA GROUP INC    COM      02209S103         768     22,970 SH      SOLE                               22,970
ALUMINA LIMITED
 SPON ADR           COM      022205108           2        500 SH      SOLE                                  500
AMAZON.COM INC      COM      023135106       1,907      7,500 SH PUT  SOLE                                7,500
AMAZON.COM INC      COM      023135106   1,083,454  4,260,200 SH           SH_DEF                  2             4,260,200
AMAZON.COM INC      COM      023135106          25        100 SH      SOLE                                  100
AMERICAN CAPITAL
 AGENCY CORP        COM      02503X105         277      8,000 SH      SOLE                                8,000
AMERICAN CAPITAL
 AGENCY CORP        COM      02503X105     116,376  3,363,475 SH      SOLE                            3,363,475
AMERICAN CAPITAL
 MORTGAGE IN        COM      02504A104       1,256     50,000 SH      SOLE                               50,000
AMERICAN EXPRESS
 COMPANY            COM      025816109         365      6,415 SH      SOLE                                6,415
AMERICAN
 INTERNATIONAL
 GROUP INC          COM      026874784         536     16,325 SH      SOLE                               16,325
AMERICAN INTL
 GROUP-NEW          COM      026874784     131.360      4,000 SH           SH_DEF                  1                 4,000
AMETEK INC          COM      031100100         645     18,175 SH      SOLE                               18,175
AMGEN INC           COM      031162100         509      6,030 SH      SOLE                                6,030






                                                                                       
AMTRUST FINANCIAL
 SERVICES INC       COM      032359309         405     15,815 SH      SOLE                               15,815
ANADARKO PETROLEUM
 CORP               COM      032511107          42        600 SH      SOLE                                  600
ANGLOGOLD ASHANTI-
 SPON ADR           COM      035128206          16        450 SH      SOLE                                  450
ANHEUSER-BUSCH
 INBEV SPN ADR      COM      03524A108         828      9,635 SH      SOLE                                9,635
ANNALY CAPITAL
 MANAGEMENT INC     COM      035710409         253     15,000 SH      SOLE                               15,000
AOL INC             COM      00184X105           0         11 SH      SOLE                                   11
APACHE CORPORATION  COM      037411105         304      3,510 SH      SOLE                                3,510
APPLE INC           COM      037833100          67        100 SH CALL SOLE                                  100
APPLE INC           COM      037833100       1,134      1,700 SH PUT  SOLE                                1,700
APPLE INC           COM      037833100       4,684      7,015 SH      SOLE                                7,015
APPLE INC           COM      037833100          67        100 SH           SH_DEF                  1                   100
APPLE INC           COM      037833100          67        100 SH      SOLE                                  100
ARCELORMITTAL NY
 REGISTERED         COM      03938L104          46      3,200 SH      SOLE                                3,200
ARCELORMITTAL-NY
 REGISTERED         COM      03938L104          30      2,050 SH      SOLE                                2,050
ARCHER DANIELS
 MIDLAND COMPANY    COM      039483102         403     14,800 SH      SOLE                               14,800
ASPEN INSURANCE
 HOLDINGS LTD       COM      G05384105         614     20,110 SH      SOLE                               20,110
ASSURANT INC        COM      04621X108          19        500 SH      SOLE                                  500
ASTRAZENECA PLC
 SPONSORED ADR      COM      046353108       1,023     21,350 SH      SOLE                               21,350
AT&T INC            COM      00206R102       6,328    167,728 SH      SOLE                              167,728
AT&T INC            COM      00206R102         392     10,400 SH      SOLE                               10,400
ATLANTIC POWER CORP COM      04878Q863       2,571    171,700 SH CALL      SH_DEF                  1               171,700
ATLANTIC POWER CORP COM      04878Q863         374     25,000 SH PUT       SH_DEF                  1                25,000
ATLANTIC POWER CORP COM      04878Q863      13,764    919,369 SH      SOLE                              919,369
ATLANTIC POWER CORP COM      04878Q863       2,852    190,500 SH           SH_DEF                  1               190,500
ATLANTIC POWER
 CORPORATION NEW    COM      04878Q863         250     16,676 SH      SOLE                               16,676
AURICO GOLD INC     COM      05155C105         164     23,300 SH CALL      SH_DEF                  1                23,300
AURICO GOLD INC     COM      05155C105          14      2,000 SH PUT       SH_DEF                  1                 2,000
AURICO GOLD INC     COM      05155C105          27      3,800 SH           SH_DEF                  1                 3,800
AURICO GOLD INC     COM      05155C105         367     52,246 SH      SOLE                               52,246
AURICO GOLD INC     COM      05155C105           1        200 SH           SH_DEF                  1                   200
AURIZON MINES LTD   COM      05155P106           1        200 SH CALL      SH_DEF                  1                   200
AURIZON MINES LTD   COM      05155P106         161     30,700 SH      SOLE                               30,700
AUTOMATIC DATA
 PROCESSING INC     COM      053015103       1,576     26,850 SH      SOLE                               26,850
AVALON RARE METALS
 INC                COM      053470100          12      5,900 SH           SH_DEF                  1                 5,900
AVON PRODUCTS INC   COM      054303102          71      4,440 SH      SOLE                                4,440






                                                                                       
BAKER HUGHES INC    COM      057224107         163      3,600 SH      SOLE                                3,600
BALLARD POWER
 SYSTEMS            COM      058586108           5      7,000 SH           SH_DEF                  1                 7,000
BANCO SANTANDER
 S.A. ADR           COM      05964H105           3        363 SH      SOLE                                  363
BANK OF AMERICA
 CORP               COM      060505104          54      6,100 SH      SOLE                                6,100
BANK OF AMERICA
 CORPORATION        COM      060505104         974    110,255 SH      SOLE                              110,255
BANK OF MONTREAL    COM      063671101      18,100    306,300 SH CALL SOLE                              306,300
BANK OF MONTREAL    COM      063671101     100,340  1,698,000 SH CALL      SH_DEF                  1             1,698,000
BANK OF MONTREAL    COM      063671101      20,316    343,800 SH PUT  SOLE                              343,800
BANK OF MONTREAL    COM      063671101         372      6,300 SH PUT  SOLE                                6,300
BANK OF MONTREAL    COM      063671101      31,975    541,100 SH PUT       SH_DEF                  1               541,100
BANK OF MONTREAL    COM      063671101      54,160    916,521 SH      SOLE                              916,521
BANK OF MONTREAL    COM      063671101         295      5,000 SH           SH_DEF                  1                 5,000
BANK OF MONTREAL    COM      063671101           9        158 SH           SH_DEF                  1                   158
BANK OF MONTREAL    COM      063671101          88      1,491 SH           SH_DEF                  1                 1,491
BANK OF MONTREAL    COM      063671101       1,113     18,874 SH           SH_DEF                  1                18,874
BANK OF MONTREAL    COM      063671101          59      1,000 SH           SH_DEF                  2                 1,000
BANK OF MONTREAL    COM      063671101   1,572,425 26,609,439 SH      SOLE                           26,609,439
BANK OF MONTREAL    COM      063671101      29,581    500,581 SH           SH_DEF                  1               500,581
BANK OF NEW YORK
 MELLON CORP        COM      064058100       1,396     61,690 SH      SOLE                               61,690
BANK OF NOVA SCOTIA COM      064149107      10,711    195,300 SH CALL SOLE                              195,300
BANK OF NOVA SCOTIA COM      064149107     143,026  2,608,000 SH CALL      SH_DEF                  1             2,608,000
BANK OF NOVA SCOTIA COM      064149107      11,215    204,500 SH PUT  SOLE                              204,500
BANK OF NOVA SCOTIA COM      064149107      70,734  1,289,800 SH PUT       SH_DEF                  1             1,289,800
BANK OF NOVA SCOTIA COM      064149107     107,199  1,954,703 SH      SOLE                            1,954,703
BANK OF NOVA SCOTIA COM      064149107          11        200 SH           SH_DEF                  1                   200
BANK OF NOVA SCOTIA COM      064149107          66      1,200 SH           SH_DEF                  1                 1,200
BANK OF NOVA SCOTIA COM      064149107       1,712     31,255 SH           SH_DEF                  1                31,255
BANK OF NOVA SCOTIA COM      064149107         104      1,900 SH           SH_DEF                  2                 1,900
BANK OF NOVA SCOTIA COM      064149107   2,477,620 45,177,971 SH      SOLE                           45,177,971
BANK OF NOVA SCOTIA COM      064149107      54,493    993,641 SH           SH_DEF                  1               993,641
BANRO CORPORATION   COM      066800103         169     36,300 SH      SOLE                               36,300
BARCLAYS PLC
 SPONSORED ADR      COM      06738E204          21      1,500 SH      SOLE                                1,500
BARRICK GOLD CORP   COM      067901108          25        600 SH CALL SOLE                                  600
BARRICK GOLD CORP   COM      067901108      35,442    848,700 SH CALL SOLE                              848,700
BARRICK GOLD CORP   COM      067901108      21,944    525,200 SH CALL      SH_DEF                  1               525,200
BARRICK GOLD CORP   COM      067901108      25,920    620,700 SH PUT  SOLE                              620,700
BARRICK GOLD CORP   COM      067901108      37,232    891,100 SH PUT       SH_DEF                  1               891,100
BARRICK GOLD CORP   COM      067901108         292      7,000 SH PUT       SH_DEF                  1                 7,000
BARRICK GOLD CORP   COM      067901108       6,318    151,209 SH      SOLE                              151,209
BARRICK GOLD CORP   COM      067901108         472     11,300 SH           SH_DEF                  1                11,300
BARRICK GOLD CORP   COM      067901108          32        779 SH           SH_DEF                  2                   779
BARRICK GOLD CORP   COM      067901108     463,342 11,089,534 SH      SOLE                           11,089,534






                                                                                       
BARRICK GOLD CORP   COM      067901108         146      3,486 SH      SOLE                                3,486
BARRICK GOLD CORP   COM      067901108      40,573    971,057 SH           SH_DEF                  1               971,057
BAXTER
INTERNATIONAL INC   COM      071813109         223      3,700 SH      SOLE                                3,700
BAYTEX ENERGY CORP  COM      07317Q105       6,401    134,700 SH CALL      SH_DEF                  1               134,700
BAYTEX ENERGY CORP  COM      07317Q105       5,488    115,500 SH PUT       SH_DEF                  1               115,500
BAYTEX ENERGY CORP  COM      07317Q105       4,532     95,384 SH      SOLE                               95,384
BAYTEX ENERGY CORP  COM      07317Q105          95      2,000 SH           SH_DEF                  1                 2,000
BAYTEX ENERGY CORP  COM      07317Q105           3         54 SH           SH_DEF                  1                    54
BAYTEX ENERGY CORP  COM      07317Q105       2,290     48,300 SH           SH_DEF                  1                48,300
BAYTEX ENERGY CORP  COM      07317Q105       1,597     33,600 SH      SOLE                               33,600
BCE INC             COM      05534B760          48      1,100 SH CALL SOLE                                1,100
BCE INC             COM      05534B760      37,668    856,300 SH CALL      SH_DEF                  1               856,300
BCE INC             COM      05534B760         862     19,600 SH PUT  SOLE                               19,600
BCE INC             COM      05534B760      21,458    487,800 SH PUT       SH_DEF                  1               487,800
BCE INC             COM      05534B760          44      1,000 SH           SH_DEF                  1                 1,000
BCE INC             COM      05534B760         220      5,000 SH           SH_DEF                  1                 5,000
BCE INC             COM      05534B760     463,426 10,535,040 SH      SOLE                           10,535,040
BCE INC             COM      05534B760      36,087    820,365 SH           SH_DEF                  1               820,365
BCE INC NEW         COM      05534B760      38,628    878,127 SH      SOLE                              878,127
BECTON, DICKINSON &
 CO                 COM      075887109       3,337     42,448 SH      SOLE                               42,448
BED BATH AND BEYOND
 INC                COM      075896100          63      1,000 SH      SOLE                                1,000
BERKSHIRE HATHAWAY
 INC CL A           COM      084670108      16,565        125 SH      SOLE                                  125
BERKSHIRE HATHAWAY
 INC CLASS B NEW    COM      084670702       1,730     19,595 SH      SOLE                               19,595
BHP BILLITON LTD
 SPONSORED ADR      COM      088606108       2,173     31,649 SH      SOLE                               31,649
BIG LOTS INC        COM      089302103         139      4,705 SH      SOLE                                4,705
BIODELIVERY
 SCIENCES INTL      COM      09060J106         119     18,900 SH PUT       SH_DEF                  1                18,900
BIOSANTE
 PHARMACEUTICALS
 INC                COM      09065V302           0         21 SH      SOLE                                   21
BLACKROCK INC       COM      09247X101          54        300 SH      SOLE                                  300
BOEING COMPANY      COM      097023105         203      2,909 SH      SOLE                                2,909
BP PLC SPONSORED
 ADR                COM      055622104         320      7,554 SH      SOLE                                7,554
BP PRUDHOE BAY
 ROYALTY TRUST      COM      055630107         188      2,000 SH      SOLE                                2,000
BRISTOL-MYERS
 SQUIBB COMPANY     COM      110122108         477     14,120 SH      SOLE                               14,120
BRITISH AMERICAN
 TOBACCO-SPON ADR   COM      110448107         164      1,600 SH      SOLE                                1,600
BROOKFIELD ASSET
 MANAGE-CL A        COM      112585104       3,286     95,200 SH CALL      SH_DEF                  1                95,200






                                                                                       
BROOKFIELD ASSET
 MANAGE-CL A        COM      112585104         708     20,500 SH PUT       SH_DEF                  1                20,500
BROOKFIELD ASSET
 MANAGE-CL A        COM      112585104     366,498 10,617,002 SH      SOLE                           10,617,002
BROOKFIELD ASSET
 MANAGE-CL A        COM      112585104      19,025    551,126 SH           SH_DEF                  1               551,126
BROOKFIELD ASSET
 MGMT INC CL A LVS  COM      112585104      11,898    344,666 SH      SOLE                              344,666
BROOKFIELD ASSET
 MGT-A LV           COM      112585104         469     13,600 SH           SH_DEF                  1                13,600
BROOKFIELD CDA
 OFFICE PPTYS T/U   COM      112823109          53      1,820 SH      SOLE                                1,820
BROOKFIELD INFRA
 PARTNER LPU        COM      G16252101         712     20,026 SH      SOLE                               20,026
BROOKFIELD
 INFRASTRUCTURE PA  COM      G16252101           1         33 SH      SOLE                                   33
BROOKFIELD OFFICE
 PROPERTIES INC     COM      112900105       1,278     76,917 SH      SOLE                               76,917
BROOKFIELD
 PROPERTIES CORP    COM      112900105         519     31,200 SH CALL      SH_DEF                  1                31,200
BROOKFIELD
 PROPERTIES CORP    COM      112900105         171     10,300 SH PUT       SH_DEF                  1                10,300
BROOKFIELD
 PROPERTIES CORP    COM      112900105       6,428    386,776 SH      SOLE                              386,776
BROOKFIELD
 PROPERTIES CORP    COM      112900105         169     10,155 SH           SH_DEF                  1                10,155
BROWN & BROWN INC   COM      115236101          10        400 SH      SOLE                                  400
BROWN-FORMAN CORP
 CL A               COM      115637100          94      1,500 SH      SOLE                                1,500
CAE INC             COM      124765108          10        900 SH CALL      SH_DEF                  1                   900
CAE INC             COM      124765108         103      9,600 SH PUT       SH_DEF                  1                 9,600
CAE INC             COM      124765108         394     36,800 SH      SOLE                               36,800
CAE INC             COM      124765108       2,782    260,000 SH           SH_DEF                  1               260,000
CAE INC             COM      124765108          32      3,000 SH           SH_DEF                  1                 3,000
CAE INC             COM      124765108           1        100 SH           SH_DEF                  2                   100
CAE INC             COM      124765108         514     48,000 SH      SOLE                               48,000
CAE INC             COM      124765108          61      5,685 SH           SH_DEF                  1                 5,685
CAMECO CORP         COM      13321L108       1,750     90,000 SH CALL SOLE                               90,000
CAMECO CORP         COM      13321L108       7,366    378,200 SH CALL      SH_DEF                  1               378,200
CAMECO CORP         COM      13321L108      10,814    555,200 SH PUT       SH_DEF                  1               555,200
CAMECO CORP         COM      13321L108       1,255     64,455 SH      SOLE                               64,455
CAMECO CORP         COM      13321L108          58      3,000 SH           SH_DEF                  1                 3,000
CAMECO CORP         COM      13321L108         580     29,900 SH           SH_DEF                  1                29,900
CAMECO CORP         COM      13321L108      85,657  4,397,808 SH      SOLE                            4,397,808
CAMECO CORP         COM      13321L108      15,720    807,087 SH           SH_DEF                  1               807,087
CAMPBELL SOUP CO    COM      134429109           3        100 SH      SOLE                                  100
CAN IMPERIAL BK OF
 COMMERCE           COM      136069101       9,689    123,800 SH CALL SOLE                              123,800






                                                                                       
CAN IMPERIAL BK OF
 COMMERCE           COM      136069101      45,221    577,800 SH CALL      SH_DEF                  1               577,800
CAN IMPERIAL BK OF
 COMMERCE           COM      136069101      18,932    241,900 SH PUT  SOLE                              241,900
CAN IMPERIAL BK OF
 COMMERCE           COM      136069101      48,055    614,000 SH PUT       SH_DEF                  1               614,000
CAN IMPERIAL BK OF
 COMMERCE           COM      136069101   1,260,777 16,109,105 SH      SOLE                           16,109,105
CAN IMPERIAL BK OF
 COMMERCE           COM      136069101      41,343    528,244 SH           SH_DEF                  1               528,244
CANADIAN IMPERIAL
 BANK OF COMMERCE   COM      136069101      54,624    697,934 SH      SOLE                              697,934
CANADIAN NATIONAL
 RAILWAY            COM      136375102         176      2,000 SH           SH_DEF                  1                 2,000
CANADIAN NATIONAL
 RAILWAY CO         COM      136375102      29,974    338,776 SH      SOLE                              338,776
CANADIAN NATL
 RAILWAY CO         COM      136375102       2,567     29,100 SH CALL SOLE                               29,100
CANADIAN NATL
 RAILWAY CO         COM      136375102      13,528    152,900 SH CALL      SH_DEF                  1               152,900
CANADIAN NATL
 RAILWAY CO         COM      136375102       6,353     72,000 SH PUT  SOLE                               72,000
CANADIAN NATL
 RAILWAY CO         COM      136375102      14,139    159,800 SH PUT       SH_DEF                  1               159,800
CANADIAN NATL
 RAILWAY CO         COM      136375102     461,108  5,211,654 SH      SOLE                            5,211,654
CANADIAN NATL
 RAILWAY CO         COM      136375102       1,936     21,937 SH      SOLE                               21,937
CANADIAN NATL
 RAILWAY CO         COM      136375102      36,009    406,991 SH           SH_DEF                  1               406,991
CANADIAN NATURAL
 RESOURCES          COM      136385101          37      1,200 SH CALL SOLE                                1,200
CANADIAN NATURAL
 RESOURCES          COM      136385101         277      9,000 SH CALL SOLE                                9,000
CANADIAN NATURAL
 RESOURCES          COM      136385101      19,333    626,700 SH CALL      SH_DEF                  1               626,700
CANADIAN NATURAL
 RESOURCES          COM      136385101         623     20,200 SH PUT  SOLE                               20,200
CANADIAN NATURAL
 RESOURCES          COM      136385101      23,468    762,200 SH PUT  SOLE                              762,200
CANADIAN NATURAL
 RESOURCES          COM      136385101      21,369    692,700 SH PUT       SH_DEF                  1               692,700
CANADIAN NATURAL
 RESOURCES          COM      136385101     378,400 12,266,482 SH      SOLE                           12,266,482
CANADIAN NATURAL
 RESOURCES          COM      136385101      31,908  1,034,343 SH           SH_DEF                  1             1,034,343
CANADIAN NATURAL
 RESOURCES LTD      COM      136385101      13,278    430,423 SH      SOLE                              430,423






                                                                                       
CANADIAN PACIFIC
 RAILWAY LTD        COM      13645T100       7,261     87,500 SH CALL      SH_DEF                  1                87,500
CANADIAN PACIFIC
 RAILWAY LTD        COM      13645T100         498      6,000 SH PUT  SOLE                                6,000
CANADIAN PACIFIC
 RAILWAY LTD        COM      13645T100       7,792     93,900 SH PUT       SH_DEF                  1                93,900
CANADIAN PACIFIC
 RAILWAY LTD        COM      13645T100      14,211    171,255 SH      SOLE                              171,255
CANADIAN PACIFIC
 RAILWAY LTD        COM      13645T100     173,163  2,086,699 SH      SOLE                            2,086,699
CANADIAN PACIFIC
 RAILWAY LTD        COM      13645T100       9,702    116,917 SH           SH_DEF                  1               116,917
CANON INC ADR       COM      138006309         333     10,385 SH      SOLE                               10,385
CARDIOME PHARMA
 CORP               COM      14159U202           0        753 SH           SH_DEF                  1                   753
CATAMARAN CORP      COM      148887102          20        200 SH CALL      SH_DEF                  1                   200
CATAMARAN CORP      COM      148887102         118      1,200 SH PUT       SH_DEF                  1                 1,200
CATAMARAN CORP      COM      148887102     162,641  1,659,661 SH           SH_DEF                  2             1,659,661
CATAMARAN CORP      COM      148887102       1,793     18,300 SH      SOLE                               18,300
CATAMARAN CORP      COM      148887102         147      1,500 SH           SH_DEF                  1                 1,500
CATAMARAN
 CORPORATION        COM      148887102       1,541     15,725 SH      SOLE                               15,725
CATERPILLAR INC     COM      149123101       1,454     16,890 SH      SOLE                               16,890
CDN IMPERIAL BK
 COMMERCE           COM      136069101         111      1,427 SH           SH_DEF                  1                 1,427
CDN IMPERIAL BK
 COMMERCE           COM      136069101       1,660     21,242 SH           SH_DEF                  1                21,242
CDN NATURAL
 RESOURCES LTD      COM      136385101         246      8,000 SH           SH_DEF                  1                 8,000
CDN NATURAL
 RESOURCES LTD      COM      136385101         545     17,700 SH           SH_DEF                  1                17,700
CELESTICA INC       COM      15101Q108         280     39,200 SH CALL      SH_DEF                  1                39,200
CELESTICA INC       COM      15101Q108         449     62,800 SH PUT       SH_DEF                  1                62,800
CELESTICA INC       COM      15101Q108         275     38,500 SH      SOLE                               38,500
CELESTICA INC       COM      15101Q108          50      7,050 SH           SH_DEF                  1                 7,050
CELESTICA INC SV    COM      15101Q108         307     43,000 SH      SOLE                               43,000
CELESTICA INC SV    COM      15101Q108          11      1,600 SH           SH_DEF                  1                 1,600
CELESTICA INC SV    COM      15101Q108           0         18 SH           SH_DEF                  1                    18
CEMEX S.A.B. DE
 C.V.               COM      151290889          31      3,744 SH      SOLE                                3,744
CENOVUS ENERGY INC  COM      15135U109      40,026  1,147,000 SH CALL      SH_DEF                  1             1,147,000
CENOVUS ENERGY INC  COM      15135U109      12,043    345,100 SH PUT       SH_DEF                  1               345,100
CENOVUS ENERGY INC  COM      15135U109      35,097  1,005,751 SH      SOLE                            1,005,751
CENOVUS ENERGY INC  COM      15135U109          42      1,200 SH           SH_DEF                  1                 1,200
CENOVUS ENERGY INC  COM      15135U109     290,573  8,326,776 SH      SOLE                            8,326,776
CENOVUS ENERGY INC  COM      15135U109      22,752    652,002 SH           SH_DEF                  1               652,002
CENTRAL FUND CDA
 LTD-A NV           COM      153501101          45      1,900 SH           SH_DEF                  1                 1,900






                                                                                       
CENTRAL FUND OF CDA
 LTD CL A NVS       COM      153501101          24      1,000 SH      SOLE                                1,000
CGI GROUP INC -
 CL A               COM      39945C109       1,804     67,200 SH CALL      SH_DEF                  1                67,200
CGI GROUP INC -
 CL A               COM      39945C109         164      6,100 SH PUT       SH_DEF                  1                 6,100
CGI GROUP INC -
 CL A               COM      39945C109       1,326     49,400 SH      SOLE                               49,400
CGI GROUP INC CL A
 SVS                COM      39945C109         374     13,924 SH      SOLE                               13,924
CGI GROUP INC-A SV  COM      39945C109           1         53 SH           SH_DEF                  1                    53
CGI GROUP INC-A SV  COM      39945C109         998     37,200 SH           SH_DEF                  1                37,200
CHESAPEAKE ENERGY
 CORP               COM      165167107         181      9,600 SH      SOLE                                9,600
CHESAPEAKE ENERGY
 CORP               COM      165167107          38      2,000 SH      SOLE                                2,000
CHEVRON CORP        COM      166764100          58        500 SH           SH_DEF                  2                   500
CHEVRON CORP        COM      166764100          23        200 SH      SOLE                                  200
CHEVRON CORPORATION COM      166764100      13,081    112,139 SH      SOLE                              112,139
Chicago Board
 Options Exchange   COM      12503M108          14    480,000 SH      SOLE                              480,000
CHINA MOBILE
 LIMITED ADR        COM      16941M109         651     11,742 SH      SOLE                               11,742
CIA PARANAENSE DE
 ENERGIA SP ADR     COM      20441B407         210     12,750 SH      SOLE                               12,750
CIA SANEAMENTO
 BASICO ADR         COM      20441A102         154      1,900 SH      SOLE                                1,900
CIBT EDUCATION
 GROUP INC          COM      17163Y102           0        186 SH           SH_DEF                  1                   186
CISCO SYSTEMS INC   COM      17275R102       5,353    280,214 SH      SOLE                              280,214
CISCO SYSTEMS INC   COM      17275R102          74      3,900 SH      SOLE                                3,900
CITIGROUP INC NEW   COM      172967424   1,873.110     57,203 SH      SOLE                               57,203
CITRIX SYSTEMS INC  COM      177376100         668      8,718 SH      SOLE                                8,718
CLAUDE RESOURCES
 INC                COM      182873109           0        232 SH           SH_DEF                  1                   232
CLIFFS NATURAL
 RESOURCES INC      COM      18683K101       3,138     80,200 SH CALL SOLE                               80,200
CME GROUP INC       COM      12572Q105         330      5,750 SH      SOLE                                5,750
CNOOC LIMITED ADR   COM      126132109         696      3,432 SH      SOLE                                3,432
COACH INC           COM      189754104         161      2,875 SH      SOLE                                2,875
COCA-COLA CO/THE    COM      191216100          61      1,600 SH      SOLE                                1,600
COCA-COLA COMPANY   COM      191216100       3,408     89,787 SH      SOLE                               89,787
COCA-COLA
 ENTERPRISES INC    COM      19122T109           9        300 SH      SOLE                                  300
COEUR D'ALENE
 MINES-NEW          COM      192108504           4        132 SH           SH_DEF                  1                   132
COLGATE-PALMOLIVE
 COMPANY            COM      194162103       3,987     37,160 SH      SOLE                               37,160






                                                                                       
COMCAST CORP CL A   COM      20030N101       3,680    102,805 SH      SOLE                              102,805
COMCAST CORP CL A
 SPL                COM      20030N200       2,135     61,318 SH      SOLE                               61,318
CONAGRA FOODS INC   COM      205887102         138      5,000 SH      SOLE                                5,000
CONOCOPHILLIPS      COM      20825C104       2,788     48,716 SH      SOLE                               48,716
CONSOLIDATED EDISON
 INC                COM      209115104          60      1,000 SH      SOLE                                1,000
CONSUMER STAPLES
 SEL SECT SPDR ETF  COM      81369Y308         100      2,796 SH      SOLE                                2,796
COPART INC          COM      217204106         596     21,465 SH      SOLE                               21,465
CORNING INC         COM      219350105          33      2,500 SH      SOLE                                2,500
COSTCO WHOLESALE
 CORP               COM      22160K105         206      2,055 SH      SOLE                                2,055
COTT CORPORATION    COM      22163N106           8      1,000 SH PUT       SH_DEF                  1                 1,000
COTT CORPORATION    COM      22163N106         220     27,830 SH      SOLE                               27,830
CSX CORPORATION     COM      126408103       1,166     56,164 SH      SOLE                               56,164
CUMMINS INC         COM      231021106         858      9,293 SH      SOLE                                9,293
CVS CAREMARK
 CORPORATION        COM      126650100       5,325    109,895 SH      SOLE                              109,895
CYS INVESTMENTS INC COM      12673A108      44,527  3,160,200 SH      SOLE                            3,160,200
DARLING
 INTERNATIONAL INC  COM      237266101          55      3,000 SH      SOLE                                3,000
DEERE & COMPANY     COM      244199105         930     11,270 SH      SOLE                               11,270
DELUXE CORP         COM      248019101           1         28 SH      SOLE                                   28
DENBURY RESOURCES
 INC                COM      247916208         191     11,784 SH      SOLE                               11,784
DENISON MINES CORP  COM      248356107          48     32,000 SH      SOLE                               32,000
DENISON MINES CORP  COM      248356107           0        100 SH           SH_DEF                  1                   100
DENISON MINES CORP  COM      248356107          98     65,800 SH      SOLE                               65,800
DENTSPLY
 INTERNATIONAL INC  COM      249030107         391     10,245 SH      SOLE                               10,245
DESCARTES SYSTEMS
 GROUP              COM      249906108           0          3 SH           SH_DEF                  1                     3
DESCARTES SYSTEMS
 GROUP INC          COM      249906108     814.415     93,005 SH      SOLE                               93,005
DEVON ENERGY
 CORPORATION        COM      25179M103         345      5,700 SH      SOLE                                5,700
DEVON ENERGY
 CORPORATION        COM      25179M103           2         25 SH           SH_DEF                  1                    25
DIAGEO PLC
 SPONSORED ADR      COM      25243Q205       2,668     23,646 SH      SOLE                               23,646
DIAGEO PLC-
SPONSORED ADR       COM      25243Q205         451      4,000 SH CALL      SH_DEF                  1                 4,000
DIAMOND OFFSHORE
 DRILLING           COM      25271C102         244      3,710 SH      SOLE                                3,710
DIRECTV             COM      25490A309       1,071     20,400 SH      SOLE                               20,400
DISNEY,WALT COMPANY COM      254687106       2,690     51,416 SH      SOLE                               51,416
DOLLAR TREE INC     COM      256746108         726     15,021 SH      SOLE                               15,021






                                                                                       
DOMINION RESOURCES
 INC                COM      25746U109          42        800 SH      SOLE                                  800
DOMTAR CORP-NEW     COM      257559203           2         22 SH           SH_DEF                  1                    22
DOMTAR CORP-NEW     COM      257559203         154      2,000 SH           SH_DEF                  1                 2,000
DOMTAR CORPORATION  COM      257559203         161      2,050 SH      SOLE                                2,050
DONALDSON COMPANY
 INC                COM      257651109         415     11,955 SH      SOLE                               11,955
DONNELLEY (R.R.) &
 SONS CO            COM      257867101          12      1,094 SH      SOLE                                1,094
DOVER CORPORATION   COM      260003108         475      7,975 SH      SOLE                                7,975
DOW CHEMICAL
 COMPANY            COM      260543103          42      1,450 SH      SOLE                                1,450
DRAGONWAVE INC      COM      26144M103           0         22 SH           SH_DEF                  1                    22
DSW INC-CLASS A     COM      23334L102       2,035     30,500 SH CALL SOLE                               30,500
DUKE ENERGY CORP
 NEW                COM      26441C204         205      3,159 SH      SOLE                                3,159
DUPONT E.I. DE
 NEMOURS & CO       COM      263534109         836     16,622 SH      SOLE                               16,622
EAGLE MATERIALS INC COM      26969P108          97      2,100 SH CALL SOLE                                2,100
EASTMAN CHEMICAL
 COMPANY            COM      277432100         410      7,192 SH      SOLE                                7,192
EATON CORPORATION   COM      278058102       1,440     30,450 SH      SOLE                               30,450
ECOLAB INC          COM      278865100          65      1,000 SH      SOLE                                1,000
ELDORADO GOLD CORP  COM      284902103         767     50,300 SH CALL SOLE                               50,300
ELDORADO GOLD CORP  COM      284902103       3,934    258,000 SH CALL      SH_DEF                  1               258,000
ELDORADO GOLD CORP  COM      284902103         686     45,000 SH PUT  SOLE                               45,000
ELDORADO GOLD CORP  COM      284902103       3,697    242,500 SH PUT       SH_DEF                  1               242,500
ELDORADO GOLD CORP  COM      284902103          86      5,627 SH      SOLE                                5,627
ELDORADO GOLD CORP  COM      284902103          12        800 SH           SH_DEF                  2                   800
ELDORADO GOLD CORP  COM      284902103     113,317  7,432,525 SH      SOLE                            7,432,525
ELDORADO GOLD CORP  COM      284902103           8        535 SH      SOLE                                  535
ELDORADO GOLD CORP  COM      284902103      16,431  1,077,865 SH           SH_DEF                  1             1,077,865
ELDORADO GOLD CRP   COM      284902103          38      2,500 SH           SH_DEF                  1                 2,500
ELDORADO GOLD CRP   COM      284902103       1,256     82,500 SH           SH_DEF                  1                82,500
EMC CORPORATION
 (MASS)             COM      268648102          55      2,000 SH      SOLE                                2,000
EMERSON ELECTRIC CO COM      291011104       6,407    132,629 SH      SOLE                              132,629
ENBRIDGE ENERGY
 PARTNERS LP        COM      29250R106      11,482    390,000 SH      SOLE                              390,000
ENBRIDGE INC        COM      29250N105      32,815    840,200 SH CALL      SH_DEF                  1               840,200
ENBRIDGE INC        COM      29250N105       4,738    121,300 SH PUT       SH_DEF                  1               121,300
ENBRIDGE INC        COM      29250N105      77,665  1,988,537 SH      SOLE                            1,988,537
ENBRIDGE INC        COM      29250N105          84      2,148 SH           SH_DEF                  1                 2,148
ENBRIDGE INC        COM      29250N105         226      5,800 SH           SH_DEF                  1                 5,800
ENBRIDGE INC        COM      29250N105     589,521 15,094,200 SH      SOLE                           15,094,200
ENBRIDGE INC        COM      29250N105      29,096    744,976 SH           SH_DEF                  1               744,976
ENCANA CORP         COM      292505104          22      1,000 SH CALL SOLE                                1,000
ENCANA CORP         COM      292505104      13,653    623,500 SH CALL      SH_DEF                  1               623,500






                                                                                       
ENCANA CORP         COM      292505104      15,247    696,300 SH PUT       SH_DEF                  1               696,300
ENCANA CORP         COM      292505104          98      4,500 SH           SH_DEF                  1                 4,500
ENCANA CORP         COM      292505104          53      2,402 SH           SH_DEF                  2                 2,402
ENCANA CORP         COM      292505104     180,072  8,223,272 SH      SOLE                            8,223,272
ENCANA CORP         COM      292505104   1,511.000     68,949 SH      SOLE                               68,949
ENCANA CORP         COM      292505104      15,900    726,111 SH           SH_DEF                  1               726,111
ENCANA CORPORATION  COM      292505104      16,008    731,008 SH      SOLE                              731,008
ENDEAVOUR SILVER
 CORP               COM      29258Y103          20      2,000 SH CALL      SH_DEF                  1                 2,000
ENDEAVOUR SILVER
 CORP               COM      29258Y103         276     27,700 SH      SOLE                               27,700
ENDEAVOUR SILVER
 CORP               COM      29258Y103         157     15,800 SH      SOLE                               15,800
ENDEAVOUR SILVER
 CORP               COM      29258Y103          25      2,500 SH           SH_DEF                  1                 2,500
ENERGY TRANSFER
 PARTNERS LPU       COM      29273R109          85      2,000 SH      SOLE                                2,000
ENERGY XXI BERMUDA  COM      G10082140         105      3,000 SH      SOLE                                3,000
ENERPLUS CORP       COM      292766102       1,401     84,500 SH CALL      SH_DEF                  1                84,500
ENERPLUS CORP       COM      292766102         749     45,200 SH PUT       SH_DEF                  1                45,200
ENERPLUS CORP       COM      292766102         355     21,385 SH      SOLE                               21,385
ENERPLUS CORP       COM      292766102          76      4,600 SH           SH_DEF                  1                 4,600
ENERPLUS CORP       COM      292766102         199     12,000 SH           SH_DEF                  1                12,000
ENERPLUS CORP       COM      292766102         126      7,600 SH           SH_DEF                  1                 7,600
ENERPLUS CORP       COM      292766102      33,468  2,018,728 SH      SOLE                            2,018,728
ENERPLUS CORP       COM      292766102       9,860    594,751 SH           SH_DEF                  1               594,751
ENTERPRISE PRODUCTS
 PARTNERS           COM      293792107      37,075    691,700 SH      SOLE                              691,700
EOG RESOURCES INC   COM      26875P101         168      1,500 SH      SOLE                                1,500
EQUAL ENERGY LTD    COM      29390Q109           0         55 SH           SH_DEF                  1                    55
ERICSSON ADR        COM      294821608         634     69,338 SH      SOLE                               69,338
EXPRESS SCRIPTS
 HOLDING COMPANY    COM      30219G108          85      1,362 SH      SOLE                                1,362
EXXON MOBIL CORP    COM      30231G102           9        100 SH           SH_DEF                  2                   100
EXXON MOBIL CORP    COM      30231G102         329      3,600 SH      SOLE                                3,600
EXXON MOBIL
 CORPORATION        COM      30231G102      18,536    202,537 SH      SOLE                              202,537
FACEBOOK INC-A      COM      30303M102         702     32,400 SH CALL SOLE                               32,400
FEDEX CORPORATION   COM      31428X106         232      2,745 SH      SOLE                                2,745
FIRST MAJESTIC
 SILVER CORP        COM      32076V103         731     31,500 SH CALL      SH_DEF                  1                31,500
FIRST MAJESTIC
 SILVER CORP        COM      32076V103         230      9,900 SH PUT       SH_DEF                  1                 9,900
FIRST MAJESTIC
 SILVER CORP        COM      32076V103         302     13,000 SH      SOLE                               13,000
FIRST MAJESTIC
 SILVER CORP        COM      32076V103         490     21,100 SH      SOLE                               21,100
FIRST MAJESTIC






                                                                                       
 SILVER CRP         COM      32076V103          58      2,500 SH           SH_DEF                  1                 2,500
FIRST SOLAR INC     COM      336433107         125      5,660 SH      SOLE                                5,660
FIRSTSERVICE CORP   COM      33761N109       7,460    262,413 SH           SH_DEF                  2               262,413
FIRSTSERVICE CORP   COM      33761N109       1,035     36,400 SH      SOLE                               36,400
FIRSTSERVICE CORP
 SVS                COM      33761N109         415     14,605 SH      SOLE                               14,605
FISERV INC          COM      337738108       1,173     15,835 SH      SOLE                               15,835
FLOWSERVE
 CORPORATION        COM      34354P105         171      1,340 SH      SOLE                                1,340
FOOT LOCKER INC     COM      344849104           1         15 SH      SOLE                                   15
FORBES ENERGY
 SERVICES LTD       COM      345143101          14      3,937 SH      SOLE                                3,937
FORD MOTOR COMPANY  COM      345370860         109     11,065 SH      SOLE                               11,065
FORTUNA SILVER
 MINES INC          COM      349915108          48      9,000 SH           SH_DEF                  1                 9,000
FORTUNA SILVER
 MINES INC          COM      349915108         120     22,700 SH      SOLE                               22,700
FRANCE TELECOM SA
 SPON ADR           COM      35177Q105          24      2,000 SH      SOLE                                2,000
FRANCO-NEVADA CORP  COM      351858105         448      7,600 SH CALL SOLE                                7,600
FRANCO-NEVADA CORP  COM      351858105      18,165    308,200 SH CALL      SH_DEF                  1               308,200
FRANCO-NEVADA CORP  COM      351858105      23,246    394,400 SH PUT       SH_DEF                  1               394,400
FRANCO-NEVADA CORP  COM      351858105       1,960     33,248 SH      SOLE                               33,248
FRANCO-NEVADA CORP  COM      351858105          41        700 SH           SH_DEF                  1                   700
FRANCO-NEVADA CORP  COM      351858105       8.059        137 SH           SH_DEF                  1                   137
FRANCO-NEVADA CORP  COM      351858105       1,597     27,100 SH      SOLE                               27,100
FRANCO-NEVADA CORP  COM      351858105           6        100 SH           SH_DEF                  1                   100
FRANKLIN RESOURCES
 INC                COM      354613101         168      1,340 SH      SOLE                                1,340
FREEPORT MCMORAN
 COPPER & GOLD INC  COM      35671D857       2,996     75,649 SH      SOLE                               75,649
FREEPORT-MCMORAN
 COPPER             COM      35671D857          40      1,000 SH           SH_DEF                  2                 1,000
FREEPORT-MCMORAN
 COPPER             COM      35671D857         234      5,900 SH      SOLE                                5,900
FRESENIUS MEDICAL
 CARE AG & CO KGAA  COM      358029106       1,111     15,121 SH      SOLE                               15,121
FRESH DEL MONTE
 PRODUCE INC        COM      G36738105         616     24,025 SH      SOLE                               24,025
FRONTIER
 COMMUNICATIONS
 CORP               COM      35906A108           1        231 SH      SOLE                                  231
FRSTSVC CV U$ 6.5%
 31DC14             Bond     33761NAA7       2,519  2,144,000 PRN          SH_DEF                  1             2,144,000
GAMESTOP
 CORPORATION CL A
 NEW                COM      36467W109           1         54 SH      SOLE                                   54
GAP INC             COM      364760108           4        120 SH      SOLE                                  120






                                                                                       
GENERAL CABLE CORP  COM      369300108         169      5,750 SH      SOLE                                5,750
GENERAL DYNAMICS
 CORPORATION        COM      369550108          26        400 SH      SOLE                                  400
GENERAL ELECTRIC CO COM      369604103          61      2,700 SH           SH_DEF                  2                 2,700
GENERAL ELECTRIC CO COM      369604103          55      2,400 SH      SOLE                                2,400
GENERAL ELECTRIC
 COMPANY            COM      369604103      15,396    677,439 SH      SOLE                              677,439
GENERAL MILLS INC   COM      370334104          25        618 SH      SOLE                                  618
GILDAN ACTIVEWEAR
 INC                COM      375916103       3,116     98,300 SH CALL      SH_DEF                  1                98,300
GILDAN ACTIVEWEAR
 INC                COM      375916103         304      9,600 SH PUT       SH_DEF                  1                 9,600
GILDAN ACTIVEWEAR
 INC                COM      375916103      35,821  1,129,900 SH      SOLE                            1,129,900
GILDAN ACTIVEWEAR
 INC                COM      375916103       7,927    250,029 SH           SH_DEF                  1               250,029
GILDAN ACTIVEWEAR
 INC CL A SVS       COM      375916103         494     15,580 SH      SOLE                               15,580
GILEAD SCIENCES INC COM      375558103          30        455 SH      SOLE                                  455
GLAXOSMITHKLINE PLC
 ADR                COM      37733W105         422      9,115 SH      SOLE                                9,115
GLOBAL CASH ACCESS
 HOLDINGS INC       COM      378967103          40      5,000 SH      SOLE                                5,000
GOLDCORP INC        COM      380956409          51      1,100 SH CALL SOLE                                1,100
GOLDCORP INC        COM      380956409      22,425    489,100 SH CALL SOLE                              489,100
GOLDCORP INC        COM      380956409      28,915    629,800 SH CALL      SH_DEF                  1               629,800
GOLDCORP INC        COM      380956409      13,938    304,000 SH PUT  SOLE                              304,000
GOLDCORP INC        COM      380956409      33,084    720,600 SH PUT       SH_DEF                  1               720,600
GOLDCORP INC        COM      380956409      15,618    340,181 SH      SOLE                              340,181
GOLDCORP INC        COM      380956409         793     17,300 SH           SH_DEF                  1                17,300
GOLDCORP INC        COM      380956409          46      1,000 SH           SH_DEF                  2                 1,000
GOLDCORP INC        COM      380956409     410,044  8,931,220 SH      SOLE                            8,931,220
GOLDCORP INC        COM      380956409         100      2,182 SH      SOLE                                2,182
GOLDCORP INC        COM      380956409      32,871    715,969 SH           SH_DEF                  1               715,969
GOLDMAN SACHS GROUP
 INC                COM      38141G104       2,615     23,000 SH CALL SOLE                               23,000
GOLDMAN SACHS GROUP
 INC                COM      38141G104         329      2,895 SH      SOLE                                2,895
GOODYEAR TIRE &
 RUBBER CO          COM      382550101         450     36,900 SH      SOLE                               36,900
GOOGLE INC CLASS A  COM      38259P508       2,349      3,111 SH      SOLE                                3,111
GOOGLE INC-CL A     COM      38259P508     979,653  1,298,414 SH           SH_DEF                  2             1,298,414
GRACO INC           COM      384109104         492      9,781 SH      SOLE                                9,781
GRAN TIERRA ENERGY
 INC                COM      38500T101          52     10,000 SH CALL      SH_DEF                  1                10,000
GRAN TIERRA ENERGY
 INC                COM      38500T101          10      2,000 SH PUT       SH_DEF                  1                 2,000
GRAN TIERRA ENERGY






                                                                                       
 INC                COM      38500T101       5.174      1,000 SH      SOLE                                1,000
GRAN TIERRA ENERGY
 INC                COM      38500T101           0          8 SH           SH_DEF                  1                     8
GRANITE REAL ESTATE
 INC                COM      387431109           7        200 SH CALL      SH_DEF                  1                   200
GRANITE REAL ESTATE
 INC                COM      387431109          25        700 SH PUT       SH_DEF                  1                   700
GRANITE REAL ESTATE
 INC                COM      387431109         767     21,407 SH      SOLE                               21,407
GRANITE REAL ESTATE
 INC                COM      387431109       8,259    230,700 SH           SH_DEF                  1               230,700
GRANITE REAL ESTATE
 INC                COM      387431109         699     19,500 SH      SOLE                               19,500
GRANITE REAL ESTATE
 INC                COM      387431109          11        300 SH           SH_DEF                  1                   300
GREAT BASIN GOLD
 LTD                COM      390124105           1      8,802 SH           SH_DEF                  1                 8,802
GREAT PANTHER
 SILVER LTD         COM      39115V101          37     16,000 SH           SH_DEF                  1                16,000
GREEN MTN COFFEE
 ROASTERS           COM      393122106          12        500 SH           SH_DEF                  1                   500
HALLIBURTON CO      COM      406216101          77      2,300 SH      SOLE                                2,300
HALLIBURTON CO.     COM      406216101       1,651     48,961 SH      SOLE                               48,961
HARMONY GOLD MNG-
 SPON ADR           COM      413216300           4        480 SH      SOLE                                  480
HARRY WINSTON
 DIAMOND CORP       COM      41587B100         774     65,100 SH CALL      SH_DEF                  1                65,100
HARRY WINSTON
 DIAMOND CORP       COM      41587B100          61      5,100 SH PUT       SH_DEF                  1                 5,100
HARRY WINSTON
 DIAMOND CORP       COM      41587B100          48      4,000 SH      SOLE                                4,000
HARRY WINSTON
 DIAMOND CORP       COM      41587B100         175     14,700 SH      SOLE                               14,700
HARTFORD FINANCIAL
 SVCS GROUP INC     COM      416515104         144      7,399 SH      SOLE                                7,399
HARTFORD FINANCIAL
 SVCS GRP           COM      416515104          10        500 SH      SOLE                                  500
HEALTH CARE SELECT
 SECTOR SPDR        COM      81369Y209         104      2,590 SH      SOLE                                2,590
HECKMANN
 CORPORATION        COM      422680108         147     35,000 SH      SOLE                               35,000
HEINZ (H.J.)
 COMPANY            COM      423074103          92      1,645 SH      SOLE                                1,645
HESS CORPORATION    COM      42809H107       1,080     20,080 SH      SOLE                               20,080
HEWLETT-PACKARD
 COMPANY            COM      428236103         449     26,307 SH      SOLE                               26,307
HOLLYFRONTIER
 CORPORATION        COM      436106108          96      2,324 SH      SOLE                                2,324






                                                                                       
HOME DEPOT INC      COM      437076102       1,365     22,595 SH      SOLE                               22,595
HONDA MOTOR CO LTD
 SPONSORED ADR      COM      438128308         396     12,790 SH      SOLE                               12,790
HONEYWELL
 INTERNATIONAL INC  COM      438516106         111      1,850 SH      SOLE                                1,850
HOSPIRA INC         COM      441060100          13        392 SH      SOLE                                  392
HSBC HOLDINGS PLC
 6.2% SER A PFD     COM      404280604          34      1,350 SH      SOLE                                1,350
HSBC HOLDINGS PLC
 SPONS ADR          COM      404280406       1,388     29,863 SH      SOLE                               29,863
HUDBAY MINERALS INC COM      443628102         928     94,300 SH CALL      SH_DEF                  1                94,300
HUDBAY MINERALS INC COM      443628102         232     23,600 SH PUT       SH_DEF                  1                23,600
HUDBAY MINERALS INC COM      443628102         395     40,100 SH      SOLE                               40,100
HUDBAY MINERALS INC COM      443628102         493     50,200 SH           SH_DEF                  1                50,200
HUDBAY MINERALS INC COM      443628102         316     32,100 SH      SOLE                               32,100
HUMANA INC          COM      444859102          49        700 SH      SOLE                                  700
IAMGOLD CORP        COM      450913108       2,439    153,800 SH CALL      SH_DEF                  1               153,800
IAMGOLD CORP        COM      450913108       2,531    159,600 SH PUT       SH_DEF                  1               159,600
IAMGOLD CORP        COM      450913108          58      3,700 SH           SH_DEF                  1                 3,700
IAMGOLD CORP        COM      450913108          44      2,800 SH           SH_DEF                  1                 2,800
IAMGOLD CORP        COM      450913108      79.000      5,000 SH           SH_DEF                  2                 5,000
IAMGOLD CORP        COM      450913108      56,643  3,572,250 SH      SOLE                            3,572,250
IAMGOLD CORP        COM      450913108      13,876    875,112 SH           SH_DEF                  1               875,112
IAMGOLD CORPORATION COM      450913108           6        355 SH      SOLE                                  355
ICICI BANK LTD SPON
 ADR                COM      45104G104          12        300 SH      SOLE                                  300
IHS INC CLASS A     COM      451734107          73        750 SH      SOLE                                  750
ILLINOIS TOOL WORKS
 INC                COM      452308109         800     13,450 SH      SOLE                               13,450
IMPERIAL OIL LTD    COM      453038408      15,349    333,500 SH CALL      SH_DEF                  1               333,500
IMPERIAL OIL LTD    COM      453038408       1,459     31,700 SH PUT       SH_DEF                  1                31,700
IMPERIAL OIL LTD    COM      453038408      40,830    887,153 SH      SOLE                              887,153
IMPERIAL OIL LTD    COM      453038408          23        500 SH           SH_DEF                  1                   500
IMPERIAL OIL LTD    COM      453038408         138      3,000 SH           SH_DEF                  1                 3,000
IMPERIAL OIL LTD    COM      453038408     128,331  2,788,405 SH      SOLE                            2,788,405
IMPERIAL OIL LTD    COM      453038408      11,134    241,911 SH           SH_DEF                  1               241,911
ING GROEP SPONSORED
 ADR                COM      456837103       2.369        300 SH      SOLE                                  300
INGREDION INC       COM      457187102           4         70 SH      SOLE                                   70
INTEL CORP          COM      458140100          68      3,000 SH      SOLE                                3,000
INTEL CORPORATION   COM      458140100       5,366    236,426 SH      SOLE                              236,426
INTERNATIONAL
 BUSINESS MACHINES
 CORP               COM      459200101      23,932    115,273 SH      SOLE                              115,273
INTERNATIONAL
 FLAVORS &
 FRAGRANCES         COM      459506101          71      1,189 SH      SOLE                                1,189
INTERNATIONAL PAPER






                                                                                       
 COMPANY            COM      460146103         149      4,100 SH      SOLE                                4,100
INTUIT INC          COM      461202103          80      1,365 SH      SOLE                                1,365
INVESCO LIMITED     COM      G491BT108       1,452     58,056 SH      SOLE                               58,056
IPATH DJ-UBS AGRI
 TTL RET S/INDX ETN COM      06739H206           5         74 SH      SOLE                                   74
ISHARES DJ U.S.
 TECH SECTOR IDX
 FUND               COM      464287721          15        200 SH      SOLE                                  200
ISHARES FTSE CHINA
 25 INDEX           COM      464287184          52      1,510 SH      SOLE                                1,510
ISHARES INC MSCI
 SINGAPORE IDX FD   COM      464286673          81      6,000 SH      SOLE                                6,000
ISHARES MSCI ASIA
 EX-JAPAN           COM      464288182           6        100 SH      SOLE                                  100
ISHARES MSCI BRAZIL
 INDEX FUND ETF     COM      464286400          16        300 SH      SOLE                                  300
ISHARES MSCI EAFE
 INDEX FUND         COM      464287465         191      3,595 SH      SOLE                                3,595
ISHARES MSCI
 EMERGING MKTS
 INDEX              COM      464287234          65      1,575 SH      SOLE                                1,575
ISHARES MSCI
 GERMANY INDEX FUND COM      464286806         108      4,800 SH      SOLE                                4,800
ISHARES MSCI HONG
 KONG INDEX FUND    COM      464286871         109      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          18        125 SH      SOLE                                  125
ISHARES S&P 100
 INDEX FUND         COM      464287101          60        900 SH      SOLE                                  900
ISHARES S&P ASIA 50
 ETF                COM      464288430          44      1,000 SH      SOLE                                1,000
ISHARES S&P EMERG
 MKTS INFRAS        COM      464288216         329     10,095 SH      SOLE                               10,095
ISHARES S&P LATIN
 AMERICAN 40 IDX FD COM      464287390          34        800 SH      SOLE                                  800
ISHARES S&P MIDCAP
 400 ETF            COM      464287507         195      1,970 SH      SOLE                                1,970
ISHARES TR RUSSEL
 2000 INDEX FUND    COM      464287655          65        775 SH      SOLE                                  775
ISHARES TRUST DJ
 SEL DIV            COM      464287168       2,164     37,481 SH      SOLE                               37,481
JEWETT-CAMERON
 TRADING CO         COM      47733C207           1         85 SH           SH_DEF                  1                    85
JOHNSON & JOHNSON   COM      478160104  27,343.588    396,499 SH      SOLE                              396,499
JOHNSON & JOHNSON   COM      478160104         207      3,000 SH           SH_DEF                  2                 3,000
JOHNSON CONTROLS






                                                                                       
 INC                COM      478366107         182      6,650 SH      SOLE                                6,650
JPMORGAN CHASE & CO COM      46625H100       7,105    175,391 SH      SOLE                              175,391
JPMORGAN CHASE & CO COM      46625H100         132      3,265 SH      SOLE                                3,265
JUST ENERGY GROUP
 INC                COM      48213W101       1,486    136,200 SH CALL      SH_DEF                  1               136,200
JUST ENERGY GROUP
 INC                COM      48213W101         255     23,400 SH PUT       SH_DEF                  1                23,400
JUST ENERGY GROUP
 INC                COM      48213W101         276     25,306 SH      SOLE                               25,306
JUST ENERGY GROUP
 INC                COM      48213W101          62      5,700 SH           SH_DEF                  1                 5,700
JUST ENERGY GROUP
 INC                COM      48213W101          28      2,600 SH           SH_DEF                  1                 2,600
JUST ENERGY GROUP
 INC                COM      48213W101      13,017  1,192,762 SH      SOLE                            1,192,762
JUST ENERGY GROUP
 INC                COM      48213W101       1,540    141,150 SH           SH_DEF                  1               141,150
KANSAS CITY
 SOUTHERN           COM      485170302         152      2,000 SH      SOLE                                2,000
KEEGAN RESOURCES
 INC                COM      487275109          17      4,600 SH           SH_DEF                  1                 4,600
KELLOGG CO          COM      487836108         227      4,400 SH      SOLE                                4,400
KIMBERLY-CLARK CORP COM      494368103      17,156    200,000 SH PUT  SOLE                              200,000
KIMBERLY-CLARK
 CORPORATION        COM      494368103       1,280     14,915 SH      SOLE                               14,915
KINDER MORGAN
 MANAGEMENT LLC     COM      49455U100     180.671      2,363 SH      SOLE                                2,363
KINROSS GOLD CORP   COM      496902404      11,963  1,171,700 SH CALL SOLE                            1,171,700
KINROSS GOLD CORP   COM      496902404       1,483    144,900 SH CALL      SH_DEF                  1               144,900
KINROSS GOLD CORP   COM      496902404      15,315  1,500,000 SH CALL      SH_DEF                  1             1,500,000
KINROSS GOLD CORP   COM      496902404       2,752    269,500 SH PUT  SOLE                              269,500
KINROSS GOLD CORP   COM      496902404       4,196    410,100 SH PUT       SH_DEF                  1               410,100
KINROSS GOLD CORP   COM      496902404         208     20,400 SH           SH_DEF                  1                20,400
KINROSS GOLD CORP   COM      496902404         475     46,600 SH           SH_DEF                  1                46,600
KINROSS GOLD CORP   COM      496902404     126,317 12,345,436 SH      SOLE                           12,345,436
KINROSS GOLD CORP   COM      496902404          28      2,730 SH      SOLE                                2,730
KINROSS GOLD CORP   COM      496902404      18,882  1,845,379 SH           SH_DEF                  1             1,845,379
KINROSS GOLD
 CORPORATION NO PAR COM      496902404         185     18,106 SH      SOLE                               18,106
KLA-TENCOR
 CORPORATION        COM      482480100          11        225 SH      SOLE                                  225
KOBEX MINERALS INC  COM      49989C105           1      1,550 SH           SH_DEF                  1                 1,550
KOHL'S CORP         COM      500255104         909     17,735 SH      SOLE                               17,735
KONINKLIJKE PHILIPS
 ELECTRONICS        COM      500472303           8        356 SH      SOLE                                  356
KRAFT FOODS INC
 CL A               COM      50075N104       1,630     39,386 SH      SOLE                               39,386
KRAFT FOODS






                                                                                       
 INC-CLASS A        COM      50075N104         112      2,700 SH           SH_DEF                  2                 2,700
KROGER CO           COM      501044101         264     11,200 SH      SOLE                               11,200
LABORATORY CORP OF
 AMER HOLDINGS      COM      50540R409           9        100 SH      SOLE                                  100
LAKE SHORE GOLD
 CORP               COM      510728108       1,467  1,456,500 SH      SOLE                            1,456,500
LAKE SHORE GOLD
 CORP               COM      510728108         201    200,000 SH           SH_DEF                  1               200,000
LAS VEGAS SANDS INC COM      517834107         882     19,000 SH      SOLE                               19,000
LEGG MASON INC      COM      524901105          11        437 SH           SH_DEF                  2                   437
LEUCADIA NATIONAL
 CORP               COM      527288104          84      3,700 SH      SOLE                                3,700
LEVEL 3
 COMMUNICATIONS INC COM      52729N308         368     16,000 SH      SOLE                               16,000
LEXMARK
 INTERNATIONAL INC  COM      529771107         129      5,800 SH      SOLE                                5,800
LIFE TECHNOLOGIES
 CORP               COM      53217V109         181      3,700 SH      SOLE                                3,700
LIFEPOINT HOSPITALS
 INC                COM      53219L109       1,062     24,800 SH      SOLE                               24,800
LILLY (ELI) &
 COMPANY            COM      532457108         365      7,686 SH      SOLE                                7,686
LINDSAY CORPORATION COM      535555106           4         50 SH      SOLE                                   50
LINEAR TECHNOLOGY
 CORP               COM      535678106          76      2,375 SH      SOLE                                2,375
LKQ CORPORATION     COM      501889208           6        300 SH      SOLE                                  300
LONE PINE RESOURCES
 INC                COM      54222A106           0         25 SH           SH_DEF                  1                    25
LOUISIANA-PACIFIC
 CORPORATION        COM      546347105          25      2,000 SH      SOLE                                2,000
LOWE'S COMPANIES    COM      548661107         570     18,850 SH      SOLE                               18,850
LULULEMON ATHLETICA
 INC                COM      550021109          96     96,000 SH CALL      SH_DEF                  1                96,000
LULULEMON ATHLETICA
 INC                COM      550021109         126    126,000 SH PUT       SH_DEF                  1               126,000
LULULEMON ATHLETICA
 INC                COM      550021109          37        500 SH           SH_DEF                  1                   500
M & T BANK CORP     COM      55261F104       1,731     18,175 SH      SOLE                               18,175
MACQUARIE/FT GLB
 INFRAS/UTIL D&I    COM      55607W100           8        507 SH      SOLE                                  507
MAD CATZ
 INTERACTIVE        COM      556162105           0        349 SH           SH_DEF                  1                   349
MAG SILVER CORP     COM      55903Q104         484     39,500 SH CALL      SH_DEF                  1                39,500
MAGNA INTERNATIONAL
 INC                COM      559222401       1,695     39,200 SH CALL      SH_DEF                  1                39,200
MAGNA INTERNATIONAL
 INC                COM      559222401         173      4,000 SH PUT       SH_DEF                  1                 4,000
MAGNA INTERNATIONAL






                                                                                       
 INC                COM      559222401       2,369     54,803 SH      SOLE                               54,803
MAGNA INTERNATIONAL
 INC                COM      559222401     110,622  2,558,550 SH      SOLE                            2,558,550
MAGNA INTERNATIONAL
 INC                COM      559222401       9,739    225,282 SH           SH_DEF                  1               225,282
MAGNA INTL INC      COM      559222401          13        300 SH           SH_DEF                  1                   300
MAGNA INTL INC      COM      559222401          65      1,500 SH           SH_DEF                  1                 1,500
MAIDEN HOLDINGS LTD COM      G5753U112         222     25,000 SH      SOLE                               25,000
MANULIFE FINANCIAL
 CORP               COM      56501R106           7        600 SH CALL SOLE                                  600
MANULIFE FINANCIAL
 CORP               COM      56501R106         887     73,700 SH CALL SOLE                               73,700
MANULIFE FINANCIAL
 CORP               COM      56501R106      99,567  8,261,100 SH CALL      SH_DEF                  1             8,261,100
MANULIFE FINANCIAL
 CORP               COM      56501R106         187     15,500 SH PUT  SOLE                               15,500
MANULIFE FINANCIAL
 CORP               COM      56501R106         843     70,000 SH PUT  SOLE                               70,000
MANULIFE FINANCIAL
 CORP               COM      56501R106      13,096  1,086,600 SH PUT       SH_DEF                  1             1,086,600
MANULIFE FINANCIAL
 CORP               COM      56501R106       9,755    809,384 SH      SOLE                              809,384
MANULIFE FINANCIAL
 CORP               COM      56501R106          10        800 SH           SH_DEF                  1                   800
MANULIFE FINANCIAL
 CORP               COM      56501R106          28      2,311 SH           SH_DEF                  1                 2,311
MANULIFE FINANCIAL
 CORP               COM      56501R106           1        100 SH           SH_DEF                  2                   100
MANULIFE FINANCIAL
 CORP               COM      56501R106     360,441 29,905,980 SH      SOLE                           29,905,980
MANULIFE FINANCIAL
 CORP               COM      56501R106      94,540  7,844,053 SH           SH_DEF                  1             7,844,053
MARATHON OIL CORP   COM      565849106       1,183     40,000 SH PUT  SOLE                               40,000
MARATHON OIL CORP   COM      565849106         134      4,545 SH      SOLE                                4,545
MARATHON OIL
 CORPORATION        COM      565849106       1,302     44,000 SH      SOLE                               44,000
MARATHON PETROLEUM
 CORP               COM      56585A102         109      2,000 SH      SOLE                                2,000
MARATHON PETROLEUM
 CORP               COM      56585A102           1         14 SH      SOLE                                   14
MARSH & MCLENNAN
 COMPANIES INC      COM      571748102         572     16,860 SH      SOLE                               16,860
MASTERCARD INC
 CLASS A            COM      57636Q104         158        350 SH      SOLE                                  350
MATERIALS SELECT
 SECTOR SPDR        COM      81369Y100       1,472     40,000 SH CALL SOLE                               40,000
MATERIALS SELECT
 SECTOR SPDR        COM      81369Y100       1,472     40,000 SH PUT  SOLE                               40,000






                                                                                       
MCCORMICK & CO INC
 NVS                COM      579780206          79      1,275 SH      SOLE                                1,275
MCDONALDS CORP      COM      580135101         312      3,400 SH      SOLE                                3,400
MCDONALD'S
 CORPORATION        COM      580135101       2,403     26,170 SH      SOLE                               26,170
MCGRAW-HILL
 COMPANIES INC      COM      580645109         832     15,225 SH      SOLE                               15,225
MCKESSON CORP       COM      58155Q103           2         20 SH           SH_DEF                  1                    20
MDC PARTNERS INC
 CL-A SV            COM      552697104           1         78 SH           SH_DEF                  1                    78
MEDTRONIC INC       COM      585055106         185      4,290 SH      SOLE                                4,290
MELCO CROWN
 ENTERTAINMENT LTD
 ADR                COM      585464100     134.903     10,000 SH      SOLE                               10,000
MEMC ELECTRONIC
 MATERIALS          COM      552715104           1        400 SH      SOLE                                  400
MERCK & CO INC      COM      58933Y105       4,784    105,991 SH      SOLE                              105,991
MERUS LABS INTL INC COM      59047R101           0         70 SH           SH_DEF                  1                    70
MESA LABORATORIES
 INC                COM      59064R109          67      1,393 SH      SOLE                                1,393
METHANEX CORP       COM      59151K108         545     19,100 SH CALL      SH_DEF                  1                19,100
METHANEX CORP       COM      59151K108         708     24,800 SH PUT       SH_DEF                  1                24,800
METHANEX CORP       COM      59151K108         266      9,325 SH      SOLE                                9,325
METHANEX CORP       COM      59151K108       1,495     52,400 SH      SOLE                               52,400
METHANEX CORP       COM      59151K108          88      3,100 SH      SOLE                                3,100
METLIFE INC         COM      59156R108   4,256.297    123,420 SH      SOLE                              123,420
METTLER-TOLEDO
 INTERNATIONAL INC  COM      592688105          60        350 SH      SOLE                                  350
MFA FINANCIAL INC   COM      55272X102       4,896    576,000 SH      SOLE                              576,000
MICROSOFT CORP      COM      594918104          12        400 SH           SH_DEF                  2                   400
MICROSOFT CORP      COM      594918104          77      2,600 SH      SOLE                                2,600
MICROSOFT
 CORPORATION        COM      594918104       7,926    265,962 SH      SOLE                              265,962
MIDDLEBY CORP       COM      596278101          75        650 SH      SOLE                                  650
MIDWAY GOLD CORP    COM      598153104           0          9 SH           SH_DEF                  1                     9
MINCO GOLD
 CORPORATION        COM      60254D108           0        374 SH           SH_DEF                  1                   374
MOLSON COORS
 BREWING COMPANY
 CL B               COM      60871R209         248      5,500 SH      SOLE                                5,500
MONSANTO CO         COM      61166W101          55        600 SH      SOLE                                  600
MONSANTO COMPANY    COM      61166W101         832      9,139 SH      SOLE                                9,139
MOODY'S CORPORATION COM      615369105         203      4,600 SH      SOLE                                4,600
MORGAN STANLEY      COM      617446448          97      5,810 SH      SOLE                                5,810
MOSAIC COMPANY      COM      61945C103         101      1,750 SH      SOLE                                1,750
MOTOROLA SOLUTIONS
 INC                COM      620076307          65      1,283 SH      SOLE                                1,283
MOUNTAIN PROVINCE






                                                                                       
 DIAMOND            COM      62426E402           0         59 SH           SH_DEF                  1                    59
MSCI INC            COM      55354G100          79      2,200 SH      SOLE                                2,200
MYLAN INC           COM      628530107         122      5,000 SH      SOLE                                5,000
NABORS INDUSTRIES
 LTD                COM      G6359F103         116      8,275 SH      SOLE                                8,275
NATIONAL GRID PLC
 SP ADR             COM      636274300         122      2,200 SH      SOLE                                2,200
NATIONAL OILWELL
 VARCO INC NEW      COM      637071101          24        300 SH      SOLE                                  300
NAVISTAR INTL CORP  COM      63934E108          13        600 SH      SOLE                                  600
NEVSUN RESOURCES
 LTD                COM      64156L101          38      8,000 SH CALL      SH_DEF                  1                 8,000
NEVSUN RESOURCES
 LTD                COM      64156L101          14      3,000 SH PUT       SH_DEF                  1                 3,000
NEVSUN RESOURCES
 LTD                COM      64156L101         149     31,800 SH           SH_DEF                  1                31,800
NEVSUN RESOURCES
 LTD                COM      64156L101           0         21 SH           SH_DEF                  1                    21
NEVSUN RESOURCES
 LTD                COM      64156L101         174     37,100 SH      SOLE                               37,100
NEVSUN RESOURCES
 LTD                COM      64156L101          10      2,100 SH           SH_DEF                  1                 2,100
NEW GOLD INC        COM      644535106       1,526    124,500 SH CALL      SH_DEF                  1               124,500
NEW GOLD INC        COM      644535106         945     77,100 SH PUT       SH_DEF                  1                77,100
NEW GOLD INC        COM      644535106         779     63,550 SH      SOLE                               63,550
NEW GOLD INC        COM      644535106         188     15,400 SH           SH_DEF                  1                15,400
NEW GOLD INC        COM      644535106       1,031     84,100 SH      SOLE                               84,100
NEWELL RUBBERMAID
 INC                COM      651229106         499     26,144 SH      SOLE                               26,144
NEWMONT MINING CORP COM      651639106          77      1,375 SH      SOLE                                1,375
NEWMONT MINING
 CORP-HOLDING
 COMPANY            COM      651639106         641     11,440 SH      SOLE                               11,440
NEWS CORP-CL A      COM      65248E104           5        200 SH      SOLE                                  200
NEXEN INC           COM      65334H102         228      9,000 SH CALL SOLE                                9,000
NEXEN INC           COM      65334H102         378     14,900 SH CALL SOLE                               14,900
NEXEN INC           COM      65334H102       2,322     91,700 SH CALL      SH_DEF                  1                91,700
NEXEN INC           COM      65334H102         220      8,700 SH PUT  SOLE                                8,700
NEXEN INC           COM      65334H102       1,735     68,500 SH PUT       SH_DEF                  1                68,500
NEXEN INC           COM      65334H102       3,396    134,100 SH      SOLE                              134,100
NEXEN INC           COM      65334H102 150,537.000  5,944,108 SH      SOLE                            5,944,108
NEXEN INC           COM      65334H102      10,987    433,847 SH           SH_DEF                  1               433,847
NEXTERA ENERGY INC  COM      65339F101         283      4,025 SH      SOLE                                4,025
NIKE INC CL B       COM      654106103       2,866     30,170 SH      SOLE                               30,170
NOKIA CORP ADR      COM      654902204       1.080        420 SH      SOLE                                  420
NORDION INC         COM      65563C105          67     10,000 SH CALL      SH_DEF                  1                10,000
NORDION INC         COM      65563C105           3        500 SH PUT       SH_DEF                  1                   500
NORDION INC         COM      65563C105          13      2,000 SH      SOLE                                2,000






                                                                                       
NORDION INC         COM      65563C105          63      9,400 SH           SH_DEF                  1                 9,400
NORDION INC         COM      65563C105           6        908 SH           SH_DEF                  2                   908
NORDION INC         COM      65563C105          75     11,200 SH      SOLE                               11,200
NORDION INC         COM      65563C105          71     10,500 SH           SH_DEF                  1                10,500
NORFOLK SOUTHERN
 CORP               COM      655844108          17        260 SH      SOLE                                  260
NORFOLK SOUTHN CORP COM      655844108          32        500 SH           SH_DEF                  1                   500
NORTHERN DYNASTY
 MINERALS           COM      66510M204           5      1,000 SH CALL      SH_DEF                  1                 1,000
NORTHERN DYNASTY
 MINERALS           COM      66510M204           7      1,500 SH PUT       SH_DEF                  1                 1,500
NORTHERN TRUST
 CORPORATION        COM      665859104         619     13,320 SH      SOLE                               13,320
NORTHROP GRUMMAN
 CORP               COM      666807102           7         98 SH           SH_DEF                  1                    98
NORTHWEST PIPE
 COMPANY            COM      667746101         321     13,000 SH      SOLE                               13,000
NOVACOPPER INC      COM      66988K102           1        298 SH      SOLE                                  298
NOVAGOLD RESOURCES
 INC                COM      66987E206         231     41,400 SH      SOLE                               41,400
NOVARTIS AG
 SPONSORED ADR      COM      66987V109       1,015     16,549 SH      SOLE                               16,549
NOVO-NORDISK A/S
 ADR                COM      670100205         316      2,000 SH      SOLE                                2,000
NUCOR CORPORATION   COM      670346105          15        400 SH      SOLE                                  400
NUVEEN SENIOR
 INCOME FUND        COM      67067Y104          37      4,900 SH      SOLE                                4,900
NVIDIA CORP         COM      67066G104          63      4,700 SH CALL SOLE                                4,700
NYSE EURONEXT       COM      629491101           1         22 SH           SH_DEF                  1                    22
OCCIDENTAL
 PETROLEUM CORP     COM      674599105       1,396     16,207 SH      SOLE                               16,207
OCWEN FINANCIAL
 CORPORATION        COM      675746309         274     10,000 SH      SOLE                               10,000
OMNICOM GROUP INC   COM      681919106       1,195     23,165 SH      SOLE                               23,165
ONCOLYTICS BIOTECH
 INC                COM      682310107           5      2,000 SH      SOLE                                2,000
OPEN TEXT CORP      COM      683715106         265      4,800 SH CALL      SH_DEF                  1                 4,800
OPEN TEXT CORP      COM      683715106         116      2,100 SH PUT       SH_DEF                  1                 2,100
OPEN TEXT CORP      COM      683715106         623     11,300 SH      SOLE                               11,300
OPEN TEXT CORP      COM      683715106          61      1,100 SH           SH_DEF                  1                 1,100
OPEN TEXT
 CORPORATION        COM      683715106         418      7,575 SH      SOLE                                7,575
ORACLE CORPORATION  COM      68389X105       3,318    105,288 SH      SOLE                              105,288
O'REILLY AUTOMOTIVE
 INC                COM      67103H107           8        100 SH      SOLE                                  100
ORIENT-EXPRESS
 HOTELS LTD A       COM      G67743107         223     25,000 SH      SOLE                               25,000
PAN AMERICAN SILVER






                                                                                       
 CORP               COM      697900108         534     24,900 SH CALL      SH_DEF                  1                24,900
PAN AMERICAN SILVER
 CORP               COM      697900108          90      4,200 SH PUT       SH_DEF                  1                 4,200
PAN AMERICAN SILVER
 CORP               COM      697900108      80.401      3,750 SH      SOLE                                3,750
PAN AMERICAN SILVER
 CORP               COM      697900108         609     28,393 SH      SOLE                               28,393
PAN AMERICAN SILVER
 CORP               COM      697900108           8        390 SH      SOLE                                  390
PARKER DRILLING CO  COM      701081101          15      3,500 SH      SOLE                                3,500
PARKER HANNIFIN
 CORP               COM      701094104          11        135 SH      SOLE                                  135
PARTNERRE LTD       COM      G6852T105          48        650 SH      SOLE                                  650
PATRIOT COAL CORP*  COM      70336T104           0         40 SH      SOLE                                   40
PATTERSON COMPANIES
 INC                COM      703395103         408     11,895 SH      SOLE                               11,895
PAYCHEX INC         COM      704326107         545     16,345 SH      SOLE                               16,345
PEABODY ENERGY CORP COM      704549104           7        300 SH      SOLE                                  300
PEMBINA PIPELINE
 CORP               COM      706327103       1,985     70,700 SH CALL SOLE                               70,700
PEMBINA PIPELINE
 CORP               COM      706327103       5,850    208,400 SH CALL      SH_DEF                  1               208,400
PEMBINA PIPELINE
 CORP               COM      706327103         677     24,100 SH PUT       SH_DEF                  1                24,100
PEMBINA PIPELINE
 CORP               COM      706327103         109      3,900 SH           SH_DEF                  1                 3,900
PEMBINA PIPELINE
 CORP               COM      706327103         351     12,500 SH           SH_DEF                  1                12,500
PEMBINA PIPELINE
 CORP               COM      706327103       5,383    191,793 SH      SOLE                              191,793
PEMBINA PIPELINE
 CORPORATION        COM      706327103       1,656     59,002 SH      SOLE                               59,002
PENGROWTH ENERGY
 CORP               COM      70706P104          27      4,000 SH PUT       SH_DEF                  1                 4,000
PENGROWTH ENERGY
 CORP               COM      70706P104           6      1,000 SH PUT       SH_DEF                  1                 1,000
PENGROWTH ENERGY
 CORP               COM      70706P104         233     34,588 SH      SOLE                               34,588
PENGROWTH ENERGY
 CORP               COM      70706P104           4        600 SH           SH_DEF                  1                   600
PENGROWTH ENERGY
 CORP               COM      70706P104       1,063    157,616 SH      SOLE                              157,616
PENN WEST PETROLEUM
 LTD                COM      707887105         834     58,600 SH CALL      SH_DEF                  1                58,600
PENN WEST PETROLEUM
 LTD                COM      707887105         667     46,900 SH PUT       SH_DEF                  1                46,900
PENN WEST PETROLEUM
 LTD                COM      707887105       3,842    270,020 SH      SOLE                              270,020






                                                                                       
PENN WEST PETROLEUM
 LTD                COM      707887105          71      5,000 SH           SH_DEF                  1                 5,000
PENN WEST PETROLEUM
 LTD                COM      707887105         541     38,050 SH           SH_DEF                  1                38,050
PENN WEST PETROLEUM
 LTD                COM      707887105      74,055  5,204,500 SH      SOLE                            5,204,500
PENN WEST PETROLEUM
 LTD                COM      707887105       7,516    528,187 SH           SH_DEF                  1               528,187
PENNYMAC MORTGAGE
 INVESTMENT         COM      70931T103          70      3,000 SH      SOLE                                3,000
PEPCO HOLDINGS INC  COM      713291102           2        100 SH      SOLE                                  100
PEPSICO INC         COM      713448108      11,939    168,566 SH      SOLE                              168,566
PETROLEO BRASILEIRO
 SA ADR             COM      71654V408         626     27,246 SH      SOLE                               27,246
PFIZER INC          COM      717081103       7,775    312,650 SH      SOLE                              312,650
PFIZER INC          COM      717081103           6        250 SH           SH_DEF                  2                   250
PFIZER INC          COM      717081103          37      1,500 SH      SOLE                                1,500
PG & E CORPORATION  COM      69331C108         350      8,186 SH      SOLE                                8,186
PHILIP MORRIS
 INTERNATIONAL INC  COM      718172109       3,314     36,815 SH      SOLE                               36,815
PHILLIPS 66         COM      718546104         667     14,370 SH      SOLE                               14,370
PHOTRONICS INC      COM      719405102         160     29,775 SH      SOLE                               29,775
PIMCO 0-5 YEAR HIGH
 YIELD ETF          COM      72201R783         692      6,800 SH      SOLE                                6,800
PLUM CREEK TIMBER
 COMPANY INC        COM      729251108          44      1,000 SH      SOLE                                1,000
POLYMET MNG CORP    COM      731916102           0          7 SH           SH_DEF                  1                     7
POSCO SPONSORED ADR COM      693483109         287      3,520 SH      SOLE                                3,520
POTASH CORP OF SASK
 INC                COM      73755L107          35        800 SH           SH_DEF                  1                   800
POTASH CORP OF SASK
 INC                COM      73755L107         286      6,600 SH           SH_DEF                  1                 6,600
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107         178      4,100 SH CALL SOLE                                4,100
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107      12,722    293,000 SH CALL SOLE                              293,000
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107      15,607    359,100 SH CALL      SH_DEF                  1               359,100
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107         335      7,700 SH PUT  SOLE                                7,700
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107       1,172     27,000 SH PUT  SOLE                               27,000
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107      17,714    407,600 SH PUT       SH_DEF                  1               407,600
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107     410,937  9,455,492 SH      SOLE                            9,455,492
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107          26        600 SH      SOLE                                  600






                                                                                       
POTASH CORP OF
 SASKATCHEWAN       COM      73755L107      42,813    985,253 SH           SH_DEF                  1               985,253
POTASH CORPORATION
 OF SASKATCHEWAN    COM      73755L107       7,498    172,517 SH      SOLE                              172,517
POWERSHARES EXCH
 INTL DIV ACHIEVERS COM      73935X716           3        200 SH      SOLE                                  200
POWERSHARES QQQ
 TRUST SERIES 1     COM      73935A104         171      2,485 SH      SOLE                                2,485
PRAXAIR INC         COM      74005P104          75        725 SH      SOLE                                  725
PRAXAIR INC         COM      74005P104           2         15 SH           SH_DEF                  1                    15
PRETIUM RESOURCES
 INC                COM      74139C102         262     20,000 SH      SOLE                               20,000
PRETIUM RESOURCES
 INC                COM      74139C102           4        300 SH           SH_DEF                  1                   300
PRETIUM RESOURCES
 INC                COM      74139C102         172     13,100 SH      SOLE                               13,100
PRIMERO MINING
 CORP               COM      74164W106          54     10,400 SH           SH_DEF                  1                10,400
PROCTER & GAMBLE
 CO                 COM      742718109          35        500 SH           SH_DEF                  2                   500
PROCTER & GAMBLE CO COM      742718109         250      3,600 SH      SOLE                                3,600
PROCTER & GAMBLE
 COMPANY            COM      742718109      22,689    326,864 SH      SOLE                              326,864
PROGRESSIVE CORP
 OHIO               COM      743315103          17        800 SH      SOLE                                  800
PROGRESSIVE WASTE
 SOLS LT            COM      74339G101       1,008     49,000 SH           SH_DEF                  1                49,000
PROGRESSIVE WASTE
 SOLUTIONS LTD      COM      74339G101         191      9,280 SH      SOLE                                9,280
PROSHARES SHORT
 S&P500             COM      74347R503          34      1,000 SH      SOLE                                1,000
PROSHARES ULTRA
 MSCI EURO          COM      74348A301          32      1,000 SH           SH_DEF                  1                 1,000
PROSHARES
 ULTRASHORT
 LEHMAN 20+YR       COM      74347R297         140      9,000 SH      SOLE                                9,000
PROSHARES
 ULTRASHORT S&P500  COM      74347R883       3,315    243,200 SH PUT  SOLE                              243,200
PROSHARES
 ULTRASHORT S&P500  COM      74347R883       1,265     92,800 SH      SOLE                               92,800
PRUDENTIAL
 FINANCIAL INC      COM      744320102          38        700 SH      SOLE                                  700
PULTEGROUP INC      COM      745867101          31      2,000 SH      SOLE                                2,000
QLT INC             COM      746927102          16      2,000 SH      SOLE                                2,000
QUALCOMM INC        COM      747525103         978     15,642 SH      SOLE                               15,642
QUALITY SYSTEMS INC COM      747582104          35      1,900 SH      SOLE                                1,900
RANDGOLD RESOURCES
 LIMITED ADR        COM      752344309         845      6,862 SH      SOLE                                6,862






                                                                                       
RANDGOLD RESOURCES
 LTD-ADR            COM      752344309          12        100 SH      SOLE                                  100
RARE ELEMENT
 RESOURCES LTD      COM      75381M102          74     15,000 SH      SOLE                               15,000
RAYONIER INC        COM      754907103          29        600 SH      SOLE                                  600
RAYTHEON COMPANY    COM      755111507         200      3,500 SH      SOLE                                3,500
RESEARCH IN MOTION  COM      760975102       2,973    396,400 SH CALL SOLE                              396,400
RESEARCH IN MOTION  COM      760975102         251     32,800 SH CALL      SH_DEF                  1                32,800
RESEARCH IN MOTION  COM      760975102          99     13,200 SH PUT  SOLE                               13,200
RESEARCH IN MOTION  COM      760975102         580     75,800 SH PUT       SH_DEF                  1                75,800
RESEARCH IN MOTION  COM      760975102       6,755    883,136 SH           SH_DEF                  2               883,136
RESEARCH IN MOTION  COM      760975102      37,802  4,942,383 SH      SOLE                            4,942,383
RESEARCH IN MOTION  COM      760975102       2,805    366,772 SH           SH_DEF                  1               366,772
RESEARCH IN MOTION
 LTD                COM      760975102         152     19,843 SH      SOLE                               19,843
RESEARCH IN MOTION
 LTD                COM      760975102           8      1,000 SH           SH_DEF                  1                 1,000
RESEARCH IN MOTION
 LTD                COM      760975102           1        102 SH           SH_DEF                  1                   102
RESOLUTE FOREST
 PROD INC           COM      76117W109           0         10 SH           SH_DEF                  1                    10
RESOLUTE FOREST
 PRODUCTS           COM      76117W109         261     20,000 SH      SOLE                               20,000
RIO TINTO PLC
 SPONSORED ADR      COM      767204100         200      4,275 SH      SOLE                                4,275
RIO TINTO PLC-SPON
 ADR                COM      767204100          27        588 SH      SOLE                                  588
RITCHIE BROS
 AUCTIONEERS        COM      767744105       1,289     67,000 SH CALL      SH_DEF                  1                67,000
ROCKWELL AUTOMATION
 INC                COM      773903109         621      8,924 SH      SOLE                                8,924
ROGERS
 COMMUNICATION-B NV COM      775109200         230      5,700 SH           SH_DEF                  1                 5,700
ROGERS
 COMMUNICATIONS
 -CL B              COM      775109200         433     10,700 SH CALL SOLE                               10,700
ROGERS
 COMMUNICATIONS
 -CL B              COM      775109200      26,195    647,100 SH CALL      SH_DEF                  1               647,100
ROGERS
 COMMUNICATIONS
 -CL B              COM      775109200      14,880    367,600 SH PUT       SH_DEF                  1               367,600
ROGERS
 COMMUNICATIONS
 -CL B              COM      775109200     205,348  5,072,812 SH      SOLE                            5,072,812
ROGERS
 COMMUNICATIONS
 -CL B              COM      775109200      11,151    275,481 SH           SH_DEF                  1               275,481






                                                                                       
ROGERS
 COMMUNICATIONS INC
 CL B NVS           COM      775109200      15,097    372,951 SH      SOLE                              372,951
ROYAL BANK OF
 CANADA             COM      780087102      15,268    265,500 SH CALL SOLE                              265,500
ROYAL BANK OF
 CANADA             COM      780087102         574     10,000 SH CALL SOLE                               10,000
ROYAL BANK OF
 CANADA             COM      780087102     188,816  3,283,400 SH CALL      SH_DEF                  1             3,283,400
ROYAL BANK OF
 CANADA             COM      780087102      10,294    179,000 SH PUT  SOLE                              179,000
ROYAL BANK OF
 CANADA             COM      780087102       4,047     70,500 SH PUT  SOLE                               70,500
ROYAL BANK OF
 CANADA             COM      780087102      53,107    923,500 SH PUT       SH_DEF                  1               923,500
ROYAL BANK OF
 CANADA             COM      780087102     121,100  2,105,855 SH      SOLE                            2,105,855
ROYAL BANK OF
 CANADA             COM      780087102         229      4,000 SH           SH_DEF                  1                 4,000
ROYAL BANK OF
 CANADA             COM      780087102          68      1,183 SH           SH_DEF                  1                 1,183
ROYAL BANK OF
 CANADA             COM      780087102         910     15,870 SH           SH_DEF                  1                15,870
ROYAL BANK OF
 CANADA             COM      780087102   3,207,622 55,778,817 SH      SOLE                           55,778,817
ROYAL BANK OF
 CANADA             COM      780087102      60,775  1,056,846 SH           SH_DEF                  1             1,056,846
ROYAL DUTCH SHELL
 PLC ADR CL A       COM      780259206       3,134     45,117 SH      SOLE                               45,117
ROYAL DUTCH SHELL
 PLC SPON ADR B     COM      780259107         246      3,450 SH      SOLE                                3,450
ROYAL GOLD INC      COM      780287108         499      5,000 SH PUT  SOLE                                5,000
ROYAL GOLD INC      COM      780287108          40        400 SH PUT       SH_DEF                  1                   400
ROYAL GOLD INC      COM      780287108          64        640 SH      SOLE                                  640
ROYAL GOLD INC      COM      780287108           9         93 SH      SOLE                                   93
ROYAL GOLD INC      COM      780287108          11        112 SH      SOLE                                  112
RPM INTERNATIONAL
 INC                COM      749685103         165      5,775 SH      SOLE                                5,775
RUBICON MINERALS
 CORP               COM      780911103         412    109,800 SH           SH_DEF                  1               109,800
RUBICON MINERALS
 CORP               COM      780911103           6      1,600 SH           SH_DEF                  1                 1,600
SANDSTORM GOLD LTD
 NEW                COM      80013R206         321     25,000 SH      SOLE                               25,000
SANOFI              COM      80105N105       1,299     30,140 SH      SOLE                               30,140
SAP AG              COM      803054204       1,539     21,565 SH      SOLE                               21,565
SASOL LIMITED
 SPONSORED ADR      COM      803866300         397      8,905 SH      SOLE                                8,905






                                                                                       
SCANSOURCE INC      COM      806037107          13        400 SH      SOLE                                  400
SCHLUMBERGER LTD    COM      806857108         753     10,405 SH      SOLE                               10,405
SCHWAB, CHARLES
 CORP               COM      808513105           9        675 SH      SOLE                                  675
SEADRILL LTD        COM      G7945E105         196      5,000 SH      SOLE                                5,000
SEASPAN CORP        COM      Y75638109         237     15,000 SH      SOLE                               15,000
SECTOR SPDR
 TR-UTILITIES       COM      81369Y886           6        176 SH      SOLE                                  176
SELECT COMFORT
 CORPORATION        COM      81616X103         315     10,000 SH CALL SOLE                               10,000
SEMICONDUCTOR MFG
 INTL CORP ADR      COM      81663N206         176     97,875 SH      SOLE                               97,875
SHAW
 COMMUNICATION-B NV COM      82028K200       2,600    127,200 SH           SH_DEF                  1               127,200
SHAW
 COMMUNICATION-B NV COM      82028K200       1,560     76,300 SH           SH_DEF                  1                76,300
SHAW
 COMMUNICATION-B NV COM      82028K200         147      7,200 SH           SH_DEF                  1                 7,200
SHAW COMMUNICATIONS
 INC CL B NVS       COM      82028K200      13,154    642,805 SH      SOLE                              642,805
SHAW COMMUNICATIONS
 INC-B              COM      82028K200       5,988    292,600 SH CALL      SH_DEF                  1               292,600
SHAW COMMUNICATIONS
 INC-B              COM      82028K200         968     47,300 SH PUT       SH_DEF                  1                47,300
SHAW COMMUNICATIONS
 INC-B              COM      82028K200     145,325  7,101,556 SH      SOLE                            7,101,556
SHAW COMMUNICATIONS
 INC-B              COM      82028K200       8,707    425,486 SH           SH_DEF                  1               425,486
SHERWIN-WILLIAMS
 COMPANY (THE)      COM      824348106         164      1,100 SH      SOLE                                1,100
SIEMENS AG
 SPONSORED ADR      COM      826197501       1,289     12,862 SH      SOLE                               12,862
SIERRA WIRELESS INC COM      826516106           8      1,000 SH           SH_DEF                  1                 1,000
SIERRA WIRELESS INC COM      826516106           8      1,000 SH           SH_DEF                  1                 1,000
SIGMA-ALDRICH CORP  COM      826552101          79      1,100 SH      SOLE                                1,100
SILVER STANDARD
 RESOURCES          COM      82823L106         753     46,800 SH CALL      SH_DEF                  1                46,800
SILVER STANDARD
 RESOURCES          COM      82823L106         348     21,600 SH PUT       SH_DEF                  1                21,600
SILVER STANDARD
 RESOURCES          COM      82823L106       5,515    348,643 SH           SH_DEF                  2               348,643
SILVER STANDARD
 RESOURCES          COM      82823L106         240     14,900 SH      SOLE                               14,900
SILVER STANDARD
 RESOURCES          COM      82823L106           5        300 SH      SOLE                                  300
SILVER WHEATON CORP COM      828336107      20,864    524,900 SH CALL      SH_DEF                  1               524,900
SILVER WHEATON CORP COM      828336107         298      7,500 SH PUT  SOLE                                7,500
SILVER WHEATON CORP COM      828336107       3,470     87,300 SH PUT       SH_DEF                  1                87,300






                                                                                       
SILVER WHEATON CORP COM      828336107         908     22,845 SH      SOLE                               22,845
SILVER WHEATON CORP COM      828336107       1,202     30,300 SH           SH_DEF                  1                30,300
SILVER WHEATON CORP COM      828336107     148,979  3,748,100 SH      SOLE                            3,748,100
SILVER WHEATON CORP COM      828336107         192      4,831 SH      SOLE                                4,831
SILVER WHEATON CORP COM      828336107      17,997    452,786 SH           SH_DEF                  1               452,786
SILVERCORP METALS
 INC                COM      82835P103         240     37,000 SH      SOLE                               37,000
SMART TECH INC-A
 SUB VTG            COM      83172R108           0         89 SH           SH_DEF                  1                    89
SMITH & NEPHEW PLC
 SPONSORED ADR      COM      83175M205         159      2,880 SH      SOLE                                2,880
SMUCKER (J.M.) CO   COM      832696405           8         87 SH      SOLE                                   87
SOLERA HOLDINGS INC COM      83421A104          70      1,600 SH      SOLE                                1,600
SOLITARIO
 EXPLOR&ROYALTY     COM      8342EP107           0         12 SH           SH_DEF                  1                    12
SONY CORPORATION
 SPON ADR           COM      835699307           1        120 SH      SOLE                                  120
SOUTHERN COMPANY    COM      842587107         781     16,935 SH      SOLE                               16,935
SOUTHWEST AIRLINES
 CO                 COM      844741108           2        270 SH      SOLE                                  270
SPDR BARCLAYS
 CAPITAL HI YLD BD
 ETF                COM      78464A417     354.206      8,800 SH      SOLE                                8,800
SPDR DJIA ETF       COM      78467X109          33        245 SH      SOLE                                  245
SPDR EURO STOXX 50
 FUND ETF           COM      78463X202          37      1,200 SH      SOLE                                1,200
SPDR FTSE/MACQUARIE
 GLB INFR 100 ETF   COM      78463X855         291      7,200 SH      SOLE                                7,200
SPDR GOLD TRUST     COM      78463V107       8,595     50,000 SH PUT  SOLE                               50,000
SPDR GOLD TRUST     COM      78463V107      17,552    101,957 SH      SOLE                              101,957
SPDR S&P 500 ETF
 TRUST              COM      78462F103       1,016      7,054 SH      SOLE                                7,054
SPDR S&P BIOTECH
 ETF                COM      78464A870          19        200 SH      SOLE                                  200
SPDR S&P DIVIDEND
 ETF                COM      78464A763         177      3,050 SH      SOLE                                3,050
SPDR S&P MIDCAP 400
 ETF TRUST          COM      78467Y107           5         25 SH      SOLE                                   25
SPDR TRUST SERIES 1 COM      78462F103     121,651    844,700 SH PUT  SOLE                              844,700
SPECTRA ENERGY CORP COM      847560109         277      9,424 SH      SOLE                                9,424
STANTEC INC         COM      85472N109         667     19,580 SH      SOLE                               19,580
STANTEC INC         COM      85472N109         286      8,400 SH      SOLE                                8,400
STAPLES INC         COM      855030102           2        150 SH      SOLE                                  150
STARBUCKS
 CORPORATION        COM      855244109          81      1,600 SH      SOLE                                1,600
STARWOOD HOTELS &
 RESORTS            COM      85590A401         910     15,700 SH PUT  SOLE                               15,700
STARWOOD HOTELS &






                                                                                       
 RESORTS            COM      85590A401         232      4,000 SH      SOLE                                4,000
STATE STREET CORP   COM      857477103       1,342     31,970 SH      SOLE                               31,970
STATOIL ASA SPON
 ADR                COM      85771P102         137      5,311 SH      SOLE                                5,311
STRAYER EDUCATION
 INC                COM      863236105          71      1,100 SH      SOLE                                1,100
STRYKER CORPORATION COM      863667101           6        100 SH      SOLE                                  100
STUDENT
 TRANSPORTATION INC COM      86388A108          20      3,000 SH CALL      SH_DEF                  1                 3,000
SUN LIFE FINANCIAL
 INC                COM      866796105       7,634    328,900 SH CALL      SH_DEF                  1               328,900
SUN LIFE FINANCIAL
 INC                COM      866796105       4,809    207,200 SH PUT       SH_DEF                  1               207,200
SUN LIFE FINANCIAL
 INC                COM      866796105       8,268    356,227 SH      SOLE                              356,227
SUN LIFE FINANCIAL
 INC                COM      866796105          39      1,700 SH           SH_DEF                  1                 1,700
SUN LIFE FINANCIAL
 INC                COM      866796105          23      1,000 SH           SH_DEF                  1                 1,000
SUN LIFE FINANCIAL
 INC                COM      866796105          19        836 SH           SH_DEF                  1                   836
SUN LIFE FINANCIAL
 INC                COM      866796105       1,055     45,481 SH           SH_DEF                  1                45,481
SUN LIFE FINANCIAL
 INC                COM      866796105     230,927  9,949,509 SH      SOLE                            9,949,509
SUN LIFE FINANCIAL
 INC                COM      866796105      14,561    627,349 SH           SH_DEF                  1               627,349
SUNCOR ENERGY INC   COM      867224107         161      4,900 SH CALL SOLE                                4,900
SUNCOR ENERGY INC   COM      867224107       6,859    208,800 SH CALL SOLE                              208,800
SUNCOR ENERGY INC   COM      867224107      67,897  2,064,200 SH CALL      SH_DEF                  1             2,064,200
SUNCOR ENERGY INC   COM      867224107         184      5,600 SH PUT  SOLE                                5,600
SUNCOR ENERGY INC   COM      867224107      33,757  1,027,600 SH PUT  SOLE                            1,027,600
SUNCOR ENERGY INC   COM      867224107     228,742  6,954,200 SH PUT       SH_DEF                  1             6,954,200
SUNCOR ENERGY INC   COM      867224107     585,339 17,795,473 SH      SOLE                           17,795,473
SUNCOR ENERGY INC   COM      867224107           2         72 SH      SOLE                                   72
SUNCOR ENERGY INC   COM      867224107      93,697  2,848,582 SH           SH_DEF                  1             2,848,582
SUNCOR ENERGY INC
 (NEW)              COM      867224107      26,412    802,971 SH      SOLE                              802,971
SUNCOR ENERGY INC
 NEW                COM      867224107         394     12,000 SH           SH_DEF                  1                12,000
SUNCOR ENERGY INC
 NEW                COM      867224107         328     10,000 SH           SH_DEF                  1                10,000
SUNCOR ENERGY INC
 NEW                COM      867224107         164      5,000 SH           SH_DEF                  1                 5,000
SUPERVALU INC       COM      868536103          31     13,000 SH      SOLE                               13,000
SWISHER HYGIENE INC COM      870808102          17     12,000 SH      SOLE                               12,000
SWISHER HYGIENE INC COM      870808102           0         50 SH           SH_DEF                  1                    50
SYSCO CORPORATION   COM      871829107         664     21,205 SH      SOLE                               21,205






                                                                                       
T ROWE PRICE GROUP
 INC                COM      74144T108         404      6,370 SH      SOLE                                6,370
TALISMAN ENERGY INC COM      87425E103          43      3,200 SH CALL SOLE                                3,200
TALISMAN ENERGY INC COM      87425E103       4,047    302,800 SH CALL      SH_DEF                  1               302,800
TALISMAN ENERGY INC COM      87425E103       1,456    109,300 SH PUT  SOLE                              109,300
TALISMAN ENERGY INC COM      87425E103       3,242    242,600 SH PUT       SH_DEF                  1               242,600
TALISMAN ENERGY INC COM      87425E103       5,137    384,411 SH      SOLE                              384,411
TALISMAN ENERGY INC COM      87425E103     151,586 11,342,397 SH      SOLE                           11,342,397
TALISMAN ENERGY INC COM      87425E103      14,061  1,052,115 SH           SH_DEF                  1             1,052,115
TARGET CORP         COM      87612E106       2,621     41,258 SH      SOLE                               41,258
TASEKO MINES LTD    COM      876511106           7      2,000 SH           SH_DEF                  1                 2,000
TASEKO MINES LTD    COM      876511106         113     34,200 SH      SOLE                               34,200
TASMAN METALS LTD   COM      87652B103       0.008          5 SH           SH_DEF                  1                     5
TECHNOLOGY SELECT
 SECTOR SPDR FUND   COM      81369Y803         504     16,331 SH      SOLE                               16,331
TECK COMINCO
 LTD-CL B           COM      878742204         398     13,500 SH CALL SOLE                               13,500
TECK COMINCO
 LTD-CL B           COM      878742204      11,282    383,100 SH CALL SOLE                              383,100
TECK COMINCO
 LTD-CL B           COM      878742204      28,733    973,800 SH CALL      SH_DEF                  1               973,800
TECK COMINCO
 LTD-CL B           COM      878742204         136      4,600 SH PUT  SOLE                                4,600
TECK COMINCO
 LTD-CL B           COM      878742204       7,536    255,900 SH PUT  SOLE                              255,900
TECK COMINCO
 LTD-CL B           COM      878742204      13,257    449,300 SH PUT       SH_DEF                  1               449,300
TECK COMINCO
 LTD-CL B           COM      878742204     155,699  5,276,919 SH      SOLE                            5,276,919
TECK COMINCO
 LTD-CL B           COM      878742204         605     20,550 SH      SOLE                               20,550
TECK COMINCO
 LTD-CL B           COM      878742204      30,434  1,031,462 SH           SH_DEF                  1             1,031,462
TECK RESOURCES LTD
 -B- SV             COM      878742204          29        990 SH           SH_DEF                  1                   990
TECK RESOURCES LTD
 -B- SV             COM      878742204         153      5,200 SH           SH_DEF                  1                 5,200
TECK RESOURCES LTD
 CL B SVS           COM      878742204       5,782    195,971 SH      SOLE                              195,971
TEEKAY LNG PARTNERS
 LP                 COM      Y8564M105         203      5,400 SH CALL SOLE                                5,400
TELSA MOTORS INC    COM      88160R101           1         50 SH      SOLE                                   50
TELUS CORP - NV     COM      87971M202       5,697     91,100 SH           SH_DEF                  1                91,100
TELUS CORPORATION
 -NON VOTE          COM      87971M202     188,934  3,020,487 SH      SOLE                            3,020,487
TELUS CORPORATION
 NV                 COM      87971M202       7,452    119,133 SH      SOLE                              119,133
TENARIS S.A. ADR    COM      88031M109         212      5,200 SH      SOLE                                5,200






                                                                                       
TERADYNE INC        COM      880770102           4        294 SH      SOLE                                  294
TESCO CORP          COM      88157K101          38      3,600 SH      SOLE                                3,600
TESORO CORP         COM      881609101           2         38 SH      SOLE                                   38
TEVA PHARMACEUTICAL
 INDUSTRIES ADR     COM      881624209         537     12,970 SH      SOLE                               12,970
TEVA
PHARMACEUTICAL-SP
 ADR                COM      881624209       1,656     40,000 SH CALL SOLE                               40,000
TEXAS INSTRUMENTS
 INC                COM      882508104          23        831 SH      SOLE                                  831
THE ACTIVE BEAR ETF COM      00768Y883          63      3,000 SH      SOLE                                3,000
THOMPSON CREEK
 METALS CO          COM      884768102      14.239      5,000 SH           SH_DEF                  1                 5,000
THOMPSON CREEK
 METALS CO INC      COM      884768102         102     35,900 SH CALL      SH_DEF                  1                35,900
THOMPSON CREEK
 METALS CO INC      COM      884768102         118     41,500 SH PUT       SH_DEF                  1                41,500
THOMPSON CREEK
 METALS CO INC      COM      884768102          82     28,800 SH      SOLE                               28,800
THOMPSON CREEK
 METALS CO INC      COM      884768102         104     36,400 SH           SH_DEF                  1                36,400
THOMPSON CREEK
 METALS COMPANY     COM      884768102          67     23,700 SH      SOLE                               23,700
THOMSON REUTERS
 CORP               COM      884903105      10,088    349,000 SH CALL      SH_DEF                  1               349,000
THOMSON REUTERS
 CORP               COM      884903105         145      5,000 SH PUT  SOLE                                5,000
THOMSON REUTERS
 CORP               COM      884903105       3,142    108,700 SH PUT       SH_DEF                  1               108,700
THOMSON REUTERS
 CORP               COM      884903105           6        201 SH           SH_DEF                  1                   201
THOMSON REUTERS
 CORP               COM      884903105         523     18,141 SH           SH_DEF                  1                18,141
THOMSON REUTERS
 CORP               COM      884903105     120,225  4,159,239 SH      SOLE                            4,159,239
THOMSON REUTERS
 CORP               COM      884903105          66      2,276 SH      SOLE                                2,276
THOMSON REUTERS
 CORP               COM      884903105      10,870    376,056 SH           SH_DEF                  1               376,056
THOMSON REUTERS
 CORPORATION        COM      884903105      12,587    435,464 SH      SOLE                              435,464
THOR INDUSTRIES INC COM      885160101         751     36,900 SH CALL      SH_DEF                  1                36,900
THOR INDUSTRIES INC COM      885160101       1,210     59,400 SH PUT       SH_DEF                  1                59,400
THOR INDUSTRIES INC COM      885160101       9,980    490,130 SH           SH_DEF                  2               490,130
THOR INDUSTRIES INC COM      885160101         314     15,400 SH      SOLE                               15,400
TIFFANY & CO        COM      886547108         264      4,265 SH      SOLE                                4,265
TIM HORTONS INC     COM      88706M103       5,380    103,400 SH CALL      SH_DEF                  1               103,400
TIM HORTONS INC     COM      88706M103         796     15,300 SH PUT       SH_DEF                  1                15,300






                                                                                       
TIM HORTONS INC     COM      88706M103      10,746    206,513 SH      SOLE                              206,513
TIM HORTONS INC     COM      88706M103          10        200 SH           SH_DEF                  1                   200
TIM HORTONS INC     COM      88706M103      91,411  1,756,750 SH      SOLE                            1,756,750
TIM HORTONS INC     COM      88706M103           5        100 SH      SOLE                                  100
TIM HORTONS INC     COM      88706M103       6,807    130,836 SH           SH_DEF                  1               130,836
TIMBERLINE
 RESOURCES CORP     COM      887133106           0        285 SH           SH_DEF                  1                   285
TIME WARNER CABLE
 INC                COM      88732J207         502      5,278 SH      SOLE                                5,278
TIME WARNER INC     COM      887317303          95      2,088 SH      SOLE                                2,088
TJX COMPANIES INC   COM      872540109          27        600 SH CALL      SH_DEF                  1                   600
TJX COMPANIES INC   COM      872540109         151      3,375 SH      SOLE                                3,375
TOLL BROTHERS INC   COM      889478103          67      2,000 SH      SOLE                                2,000
TORONTO DOMINION
 BANK               COM      891160509         167      2,000 SH           SH_DEF                  1                 2,000
TORONTO DOMINION
 BANK               COM      891160509           8         97 SH           SH_DEF                  1                    97
TORONTO DOMINION
 BANK               COM      891160509      12,608    151,413 SH           SH_DEF                  1               151,413
TORONTO DOMINION
 BANK               COM      891160509       4,360     52,361 SH           SH_DEF                  1                52,361
TORONTO-DOMINION
 BANK               COM      891160509     155,391  1,863,400 SH CALL      SH_DEF                  1             1,863,400
TORONTO-DOMINION
 BANK               COM      891160509           8        100 SH PUT  SOLE                                  100
TORONTO-DOMINION
 BANK               COM      891160509      69,523    833,700 SH PUT       SH_DEF                  1               833,700
TORONTO-DOMINION
 BANK               COM      891160509      89,039  1,067,734 SH      SOLE                            1,067,734
TORONTO-DOMINION
 BANK               COM      891160509     639.000      7,663 SH           SH_DEF                  2                 7,663
TORONTO-DOMINION
 BANK               COM      891160509     400,609  4,803,982 SH           SH_DEF                  1             4,803,982
TOTAL S.A.
 SPONSORED ADR      COM      89151E109       2,208     44,030 SH      SOLE                               44,030
TOWERSTREAM
 CORPORATION        COM      892000100           6      1,500 SH      SOLE                                1,500
TOYOTA MOTOR CORP
 ADR                COM      892331307         574      7,304 SH      SOLE                                7,304
TRACTOR SUPPLY
 COMPANY            COM      892356106          99      1,000 SH      SOLE                                1,000
TRANSALTA CORP      COM      89346D107       6,026    393,700 SH CALL      SH_DEF                  1               393,700
TRANSALTA CORP      COM      89346D107          21      1,400 SH PUT  SOLE                                1,400
TRANSALTA CORP      COM      89346D107       1,883    123,000 SH PUT       SH_DEF                  1               123,000
TRANSALTA CORP      COM      89346D107          16      1,025 SH           SH_DEF                  1                 1,025
TRANSALTA CORP      COM      89346D107         517     33,900 SH           SH_DEF                  1                33,900
TRANSALTA CORP      COM      89346D107         133      8,700 SH           SH_DEF                  1                 8,700
TRANSALTA CORP      COM      89346D107     104,042  6,796,965 SH      SOLE                            6,796,965






                                                                                       
TRANSALTA CORP      COM      89346D107       3,840    250,837 SH           SH_DEF                  1               250,837
TRANSALTA
 CORPORATION        COM      89346D107       4,860    317,493 SH      SOLE                              317,493
TRANSCANADA CORP    COM      89353D107         123      2,700 SH CALL SOLE                                2,700
TRANSCANADA CORP    COM      89353D107      31,202    685,700 SH CALL      SH_DEF                  1               685,700
TRANSCANADA CORP    COM      89353D107         805     17,700 SH PUT  SOLE                               17,700
TRANSCANADA CORP    COM      89353D107       9,351    205,500 SH PUT       SH_DEF                  1               205,500
TRANSCANADA CORP    COM      89353D107          55      1,200 SH           SH_DEF                  1                 1,200
TRANSCANADA CORP    COM      89353D107          53      1,175 SH           SH_DEF                  1                 1,175
TRANSCANADA CORP    COM      89353D107         186      4,100 SH           SH_DEF                  1                 4,100
TRANSCANADA CORP    COM      89353D107     536,572 11,791,630 SH      SOLE                           11,791,630
TRANSCANADA CORP    COM      89353D107           2         36 SH      SOLE                                   36
TRANSCANADA CORP    COM      89353D107      30,635    673,235 SH           SH_DEF                  1               673,235
TRANSCANADA
 CORPORATION        COM      89353D107      44,220    971,769 SH      SOLE                              971,769
TRANSGLOBE ENERGY
 CORP               COM      893662106         157     14,400 SH      SOLE                               14,400
TRANSITION
 THERAPEUT          COM      893716209           0         16 SH           SH_DEF                  1                    16
TRAVELERS COMPANIES
 INC                COM      89417E109          34        491 SH      SOLE                                  491
TRW AUTOMOTIVE
 HOLDINGS CORP      COM      87264S106         982     22,440 SH      SOLE                               22,440
TUPPERWARE BRANDS
 CORP               COM      899896104         139      2,595 SH      SOLE                                2,595
TURQUOISE HILL
 RESOURCES LTD      COM      900435108          17      2,000 SH CALL      SH_DEF                  1                 2,000
TURQUOISE HILL
 RESOURCES LTD      COM      900435108           9      1,000 SH PUT       SH_DEF                  1                 1,000
TURQUOISE HILL
 RESOURCES LTD      COM      900435108     616.000     72,400 SH      SOLE                               72,400
TURQUOISE HILL
 RESOURCES LTD      COM      900435108           3        400 SH           SH_DEF                  1                   400
TWO HARBORS
 INVESTMENT CORP    COM      90187B101      32,257  2,745,300 SH      SOLE                            2,745,300
U.S. BANCORP        COM      902973304         378     11,025 SH      SOLE                               11,025
UFP TECHNOLOGIES
 INC                COM      902673102          86      4,870 SH      SOLE                                4,870
ULTRA PETROLEUM
 CORP               COM      903914109          22      1,000 SH      SOLE                                1,000
UNILEVER N.V. NEW
 YORK SHARES        COM      904784709         273      7,688 SH      SOLE                                7,688
UNILEVER PLC SPON
 ADR                COM      904767704       1,728     47,283 SH      SOLE                               47,283
UNION PACIFIC
 CORPORATION        COM      907818108       1,122      9,448 SH      SOLE                                9,448
UNITED PARCEL
 SERVICE INC CL B   COM      911312106         582      8,125 SH      SOLE                                8,125






                                                                                       
UNITED PARCEL
 SERVICE-CL B       COM      911312106           7        100 SH      SOLE                                  100
UNITED STATES OIL
 FUND LP            COM      91232N108         171      5,000 SH CALL SOLE                                5,000
UNITED STATES OIL
 FUND LP            COM      91232N108         683     20,000 SH PUT  SOLE                               20,000
UNITED STATES OIL
 FUND LP            COM      91232N108       2,082     60,989 SH      SOLE                               60,989
UNITED TECHNOLOGIES
 CORPORATION        COM      913017109       7,012     89,490 SH      SOLE                               89,490
UNITEDHEALTH GROUP
 INC                COM      91324P102         585     10,555 SH      SOLE                               10,555
US BANCORP          COM      902973304         277      8,073 SH      SOLE                                8,073
USD CNQ             COM      136385101       4,535    147,301 SH      SOLE                              147,301
VALE S.A SPON ADR   COM      91912E105         180     10,075 SH      SOLE                               10,075
VALE S.A. CLASS PFD
 ADR                COM      91912E204           5        300 SH      SOLE                                  300
VALEANT PHARMA
 INTL-NEW           COM      91911K102          28        500 SH           SH_DEF                  1                   500
VALEANT
 PHARMACEUTICALS
 INTE               COM      91911K102         441      8,000 SH CALL      SH_DEF                  1                 8,000
VALEANT
 PHARMACEUTICALS
 INTE               COM      91911K102         287      5,200 SH PUT       SH_DEF                  1                 5,200
VALEANT
 PHARMACEUTICALS
 INTE               COM      91911K102      41,877    758,814 SH           SH_DEF                  2               758,814
VALEANT
 PHARMACEUTICALS
 INTE               COM      91911K102     183,397  3,323,188 SH      SOLE                            3,323,188
VALEANT
 PHARMACEUTICALS
 INTE               COM      91911K102      11,991    217,287 SH           SH_DEF                  1               217,287
VALEANT
 PHARMACEUTICALS
 INTL INC           COM      91911K102         674     12,211 SH      SOLE                               12,211
VALERO ENERGY CORP  COM      91913Y100         168      5,300 SH      SOLE                                5,300
VALERO ENERGY CORP  COM      91913Y100          17        531 SH      SOLE                                  531
VANCEINFO
 TECHNOLOGIES INC
 ADR                COM      921564100         698     88,849 SH      SOLE                               88,849
VANGUARD DIVIDEND
 APREC INDEX FD
 ETF                COM      921908844         363      6,075 SH      SOLE                                6,075
VANGUARD EMERGING
 MARKETS ETF        COM      922042858       3,946     94,452 SH      SOLE                               94,452
VANGUARD EXTENDED






                                                                                       
 MARKET ETF         COM      922908652          12        200 SH      SOLE                                  200
VANGUARD HIGH
 DIVIDEND YIELD ETF COM      921946406          61      1,200 SH      SOLE                                1,200
VANGUARD MSCI EAFE
 ETF                COM      921943858         240      7,305 SH      SOLE                                7,305
VANGUARD TOTAL
 STOCK MARKET ETF   COM      922908769         105      1,419 SH      SOLE                                1,419
VARIAN MEDICAL
 SYSTEMS INC        COM      92220P105         125      2,075 SH      SOLE                                2,075
VCA ANTECH INC      COM      918194101         185      9,380 SH      SOLE                                9,380
VEECO INSTRUMENTS
 INC                COM      922417100           3        110 SH      SOLE                                  110
VERIZON
 COMMUNICATIONS INC COM      92343V104       2,234     48,994 SH      SOLE                               48,994
VERIZON
 COMMUNICATIONS INC COM      92343V104          36        800 SH           SH_DEF                  2                   800
VERIZON
 COMMUNICATIONS INC COM      92343V104           9        200 SH      SOLE                                  200
VERTEX
 PHARMACEUTICALS
 INC                COM      92532F100         587     10,475 SH      SOLE                               10,475
VISA INC- CLASS A
 SHARES             COM      92826C839     734.131      5,463 SH      SOLE                                5,463
VISTEON CORPORATION COM      92839U206           0          2 SH      SOLE                                    2
VODAFONE GROUP PLC
 ADR                COM      92857W209       5,808    203,661 SH      SOLE                              203,661
VULCAN MATERIALS
 COMPANY            COM      929160109         177      3,729 SH      SOLE                                3,729
WALGREEN CO         COM      931422109         910     24,960 SH      SOLE                               24,960
WAL-MART STORES INC COM      931142103       7,522    101,852 SH      SOLE                              101,852
WALTER ENERGY INC   COM      93317Q105           2         61 SH           SH_DEF                  1                    61
WASHINGTON POST
 COMPANY CL B       COM      939640108         109        300 SH      SOLE                                  300
WASTE MANAGEMENT
 INC                COM      94106L109         805     25,065 SH      SOLE                               25,065
WATERS CORPORATION  COM      941848103           8        100 SH      SOLE                                  100
WELLPOINT INC       COM      94973V107         704     12,125 SH      SOLE                               12,125
WELLS FARGO & CO    COM      949746101       7,423    214,799 SH      SOLE                              214,799
WELLS FARGO & CO    COM      949746101           5        159 SH           SH_DEF                  2                   159
WESTERN UNION CO    COM      959802109       1,183     64,905 SH      SOLE                               64,905
WESTPORT
 INNOVATIONS INC    COM      960908309         343     12,300 SH CALL      SH_DEF                  1                12,300
WESTPORT
 INNOVATIONS INC    COM      960908309         140      5,000 SH PUT       SH_DEF                  1                 5,000
WESTPORT
 INNOVATIONS INC    COM      960908309         237      8,500 SH      SOLE                                8,500
WESTPORT
 INNOVATIONS INC    COM      960908309          47      1,700 SH           SH_DEF                  1                 1,700






                                                                                       
WESTPORT
 INNOVATIONS INC
 NEW                COM      960908309          56      2,000 SH      SOLE                                2,000
WESTWOOD HOLDINGS
 GROUP INC          COM      961765104          68      1,751 SH      SOLE                                1,751
WEYERHAEUSER CO     COM      962166104          31      1,172 SH      SOLE                                1,172
WI-LAN INC          COM      928972108          11      2,000 SH CALL      SH_DEF                  1                 2,000
WI-LAN INC          COM      928972108         369     65,582 SH      SOLE                               65,582
WI-LAN INC          COM      928972108         729    129,600 SH      SOLE                              129,600
WINTHROP REALTY
 TRUST              COM      976391300          54      5,000 SH      SOLE                                5,000
WRIGHT EXPRESS CORP COM      98233Q105         680      9,745 SH      SOLE                                9,745
WYNN RESORTS LTD    COM      983134107         231      2,000 SH      SOLE                                2,000
XCEL ENERGY INC     COM      98389B100           4        155 SH      SOLE                                  155
XEROX CORPORATION   COM      984121103           2        300 SH      SOLE                                  300
YAMANA GOLD INC     COM      98462Y100       4,632    242,400 SH CALL SOLE                              242,400
YAMANA GOLD INC     COM      98462Y100       8,641    452,400 SH CALL      SH_DEF                  1               452,400
YAMANA GOLD INC     COM      98462Y100       3,484    182,300 SH PUT  SOLE                              182,300
YAMANA GOLD INC     COM      98462Y100       1,773     92,800 SH PUT       SH_DEF                  1                92,800
YAMANA GOLD INC     COM      98462Y100         873     45,694 SH      SOLE                               45,694
YAMANA GOLD INC     COM      98462Y100          32      1,700 SH           SH_DEF                  1                 1,700
YAMANA GOLD INC     COM      98462Y100       2,697    141,200 SH           SH_DEF                  1               141,200
YAMANA GOLD INC     COM      98462Y100     156,095  8,172,150 SH      SOLE                            8,172,150
YAMANA GOLD INC     COM      98462Y100          52      2,742 SH      SOLE                                2,742
YAMANA GOLD INC     COM      98462Y100      16,507    864,201 SH           SH_DEF                  1               864,201
YUM! BRANDS INC     COM      988498101         245      3,693 SH      SOLE                                3,693
ZIMMER HOLDINGS INC COM      98956P102         298      4,400 SH      SOLE                                4,400