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

                                    FORM 13F
                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 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 March 31, 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:          1188

Form 13F Information Table Value Total (x$1000): $23,537,960

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 2:            Item 4:   Item 5:                (b)              Item 7:
                        Title   Item 3:    Fair    Shares or              Shared-   (c)    Managers           Item 8:
Item 1:                   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     9,082   101,608 SH      SOLE                              101,608
ABBOTT LABORATORIES    COM     002824100       138     2,300 SH           SH_DEF                  2                 2,300
ACTUANT CORP CL A      COM     00508X203       257     8,845 SH      SOLE                                8,845
ADVANTAGE OIL & GAS
 LTD                   COM     00765F101        84    24,900 SH CALL      SH_DEF                  1                24,900
ADVANTAGE OIL & GAS
 LTD                   COM     00765F101       119    35,400 SH      SOLE                               35,400
ADVANTAGE OIL & GAS
 LTD                   COM     00765F101         4     1,106 SH      SOLE                                1,106
ADVANTAGE OIL & GAS
 LTD                   COM     00765F101       125    37,300 SH           SH_DEF                  1                37,300
AGILENT TECHNOLOGIES
 INC                   COM     00846U101         4       100 SH      SOLE                                  100
AGNICO-EAGLE MINES     COM     008474108     4,389   131,700 SH CALL      SH_DEF                  1               131,700
AGNICO-EAGLE MINES     COM     008474108     5,308   159,300 SH PUT       SH_DEF                  1               159,300
AGNICO-EAGLE MINES     COM     008474108    58,701 1,761,566 SH      SOLE                            1,761,566
AGNICO-EAGLE MINES     COM     008474108     9,208   276,319 SH           SH_DEF                  1               276,319
AGNICO-EAGLE MINES LTD COM     008474108       511    15,300 SH CALL SOLE                               15,300
AGNICO-EAGLE MINES LTD COM     008474108     1,194    35,780 SH      SOLE                               35,780
AGNICO-EAGLE MINES LTD COM     008474108        27       800 SH           SH_DEF                  1                   800
AGNICO-EAGLE MINES LTD COM     008474108       235     7,100 SH           SH_DEF                  1                 7,100
AGRIUM INC             COM     008916108     4,768    55,200 SH CALL SOLE                               55,200
AGRIUM INC             COM     008916108    37,310   432,300 SH CALL      SH_DEF                  1               432,300
AGRIUM INC             COM     008916108     2,677    31,000 SH PUT  SOLE                               31,000
AGRIUM INC             COM     008916108    15,121   175,200 SH PUT       SH_DEF                  1               175,200
AGRIUM INC             COM     008916108   145,622 1,687,284 SH      SOLE                            1,687,284
AGRIUM INC             COM     008916108        43       500 SH           SH_DEF                  1                   500
AGRIUM INC             COM     008916108       776     9,000 SH           SH_DEF                  1                 9,000
AGRIUM INC             COM     008916108    14,097   163,338 SH           SH_DEF                  1               163,338
AIR PRODUCTS &
 CHEMICALS INC         COM     009158106        55       600 SH      SOLE                                  600
ALCOA INC              COM     013817101        39     3,900 SH      SOLE                                3,900
ALEXCO RESOURCE CORP   COM     01535P106         7     1,000 SH CALL      SH_DEF                  1                 1,000
ALEXCO RESOURCE CORP   COM     01535P106         8     1,200 SH           SH_DEF                  1                 1,200
ALLIED NEVADA GOLD
 CORP                  COM     019344100       796    24,500 SH CALL      SH_DEF                  1                24,500
ALLIED NEVADA GOLD
 CORP                  COM     019344100       955    29,400 SH PUT       SH_DEF                  1                29,400
ALLIED NEVADA GOLD
 CORP                  COM     019344100        49     1,500 SH      SOLE                                1,500






                                                                                      
ALLIED NEVADA GOLD
 CORP                  COM     019344100         1        45 SH           SH_DEF                  1                    45
ALLIED NEVADA GOLD
 CORP                  COM     019344100       101     3,100 SH           SH_DEF                  1                 3,100
ALTRIA GROUP INC       COM     02209S103       893    28,870 SH      SOLE                               28,870
AMERICAN CAPITAL
 AGENCY CORP           COM     02503X105       237     8,000 SH      SOLE                                8,000
AMERICAN EAGLE
 OUTFITTERS INC        COM     02553E106        12       705 SH      SOLE                                  705
AMERISOURCEBERGEN CORP COM     03073E105         6       160 SH      SOLE                                  160
ANGLOGOLD
 ASHANTI-SPON ADR      COM     035128206        24       650 SH      SOLE                                  650
ANHEUSER-BUSCH INBEV
 SPN ADR               COM     03524A108       947    12,993 SH      SOLE                               12,993
ANOORAQ RESOURCES CORP COM     03633E108         0       759 SH           SH_DEF                  1                   759
AOL INC                COM     00184X105         0        11 SH      SOLE                                   11
APPLE INC              COM     037833100       719     1,200 SH CALL SOLE                                1,200
APPLE INC              COM     037833100     2,098     3,500 SH CALL      SH_DEF                  1                 3,500
APPLE INC              COM     037833100 1,066,420 1,778,700 SH           SH_DEF                  2             1,778,700
APPLE INC              COM     037833100     1,727     2,880 SH      SOLE                                2,880
APPLE INC              COM     037833100        60       100 SH           SH_DEF                  1                   100
ARCELORMITTAL NY
 REGISTERED            COM     03938L104        42     2,200 SH      SOLE                                2,200
ARCELORMITTAL-NY
 REGISTERED            COM     03938L104        42     2,200 SH      SOLE                                2,200
ASPEN INSURANCE
 HOLDINGS LTD          COM     G05384105       489    17,455 SH      SOLE                               17,455
ASSURANT INC           COM     04621X108        20       500 SH      SOLE                                  500
AT&T INC               COM     00206R102       259     8,300 SH      SOLE                                8,300
AT&T INC               COM     00206R102     5,266   168,284 SH      SOLE                              168,284
ATLANTIC POWER CORP    COM     04878Q863       720    52,100 SH CALL      SH_DEF                  1                52,100
ATLANTIC POWER CORP    COM     04878Q863    12,088   874,369 SH      SOLE                              874,369
ATLANTIC POWER CORP    COM     04878Q863     2,335   168,900 SH           SH_DEF                  1               168,900
ATLANTIC POWER
 CORP-NEW              COM     04878Q863        40     2,900 SH           SH_DEF                  1                 2,900
ATLANTIC POWER
 CORPORATION NEW       COM     04878Q863       241    17,446 SH      SOLE                               17,446
ATLAS ENERGY LP        COM     04930A104       528    16,000 SH CALL SOLE                               16,000
AUGUSTA RESOURCE CORP  COM     050912203         0       111 SH           SH_DEF                  1                   111
AURICO GOLD INC        COM     05155C105       140    15,700 SH CALL      SH_DEF                  1                15,700
AURICO GOLD INC        COM     05155C105       197    22,100 SH PUT       SH_DEF                  1                22,100
AURICO GOLD INC        COM     05155C105       468    52,546 SH      SOLE                               52,546
AURICO GOLD INC        COM     05155C105       252    28,300 SH      SOLE                               28,300
AURICO GOLD INC        COM     05155C105        56     6,300 SH           SH_DEF                  1                 6,300
AURIZON MINES LTD      COM     05155P106       159    32,400 SH      SOLE                               32,400
AVALON RARE METALS INC COM     053470100        15     5,000 SH CALL      SH_DEF                  1                 5,000
AVALON RARE METALS INC COM     053470100         0       100 SH           SH_DEF                  1                   100
BALLARD POWER SYSTEMS  COM     058586108         0        53 SH           SH_DEF                  1                    53
BALLARD POWER SYSTEMS
 INC                   COM     058586108        71    49,555 SH      SOLE                               49,555
BANCO BILBAO VIZCAYA
 ARGENTARIA S.A.       COM     05946K101        34     4,269 SH      SOLE                                4,269
BANCO SANTANDER S.A.
 ADR                   COM     05964H105        26     3,359 SH      SOLE                                3,359






                                                                                       
BANK OF AMERICA CORP   COM     060505104        58      6,102 SH      SOLE                                6,102
BANK OF MONTREAL       COM     063671101    13,911    234,000 SH CALL SOLE                              234,000
BANK OF MONTREAL       COM     063671101   107,905  1,815,100 SH CALL      SH_DEF                  1             1,815,100
BANK OF MONTREAL       COM     063671101    18,489    311,000 SH PUT  SOLE                              311,000
BANK OF MONTREAL       COM     063671101    37,476    630,400 SH PUT       SH_DEF                  1               630,400
BANK OF MONTREAL       COM     063671101        57      1,000 SH           SH_DEF                  2                 1,000
BANK OF MONTREAL       COM     063671101 1,511,404 25,423,705 SH      SOLE                           25,423,705
BANK OF MONTREAL       COM     063671101        77      1,300 SH           SH_DEF                  1                 1,300
BANK OF MONTREAL       COM     063671101        89      1,491 SH           SH_DEF                  1                 1,491
BANK OF MONTREAL       COM     063671101     1,121     18,874 SH           SH_DEF                  1                18,874
BANK OF MONTREAL       COM     063671101    28,850    485,301 SH           SH_DEF                  1               485,301
BANK OF NOVA SCOTIA    COM     064149107     4,851     86,600 SH CALL SOLE                               86,600
BANK OF NOVA SCOTIA    COM     064149107    84,232  1,503,600 SH CALL      SH_DEF                  1             1,503,600
BANK OF NOVA SCOTIA    COM     064149107     5,815    103,800 SH PUT  SOLE                              103,800
BANK OF NOVA SCOTIA    COM     064149107    46,043    821,900 SH PUT       SH_DEF                  1               821,900
BANK OF NOVA SCOTIA    COM     064149107       140      2,500 SH           SH_DEF                  2                 2,500
BANK OF NOVA SCOTIA    COM     064149107 2,601,710 46,442,472 SH      SOLE                           46,442,472
BANK OF NOVA SCOTIA    COM     064149107       105      1,880 SH      SOLE                                1,880
BANK OF NOVA SCOTIA    COM     064149107        56      1,000 SH           SH_DEF                  1                 1,000
BANK OF NOVA SCOTIA    COM     064149107        67      1,200 SH           SH_DEF                  1                 1,200
BANK OF NOVA SCOTIA    COM     064149107     1,750     31,255 SH           SH_DEF                  1                31,255
BANK OF NOVA SCOTIA    COM     064149107    53,918    962,481 SH           SH_DEF                  1               962,481
BANRO CORPORATION      COM     066800103       172     37,100 SH      SOLE                               37,100
BARCLAYS BANK PLC      COM     06739H776       775     31,300 SH      SOLE                               31,300
BARCLAYS PLC
 SPONSORED ADR         COM     06738E204        23      1,500 SH      SOLE                                1,500
BARCLAYS PLC-SPONS ADR COM     06738E204        76      5,000 SH      SOLE                                5,000
BARCLAYS PLC-SPONS ADR COM     06738E204       815     34,030 SH      SOLE                               34,030
BARRICK GOLD CORP      COM     067901108    12,031    276,700 SH CALL SOLE                              276,700
BARRICK GOLD CORP      COM     067901108    32,155    739,900 SH CALL      SH_DEF                  1               739,900
BARRICK GOLD CORP      COM     067901108    10,509    241,700 SH PUT  SOLE                              241,700
BARRICK GOLD CORP      COM     067901108    25,801    593,700 SH PUT       SH_DEF                  1               593,700
BARRICK GOLD CORP      COM     067901108   455,258 10,475,663 SH      SOLE                           10,475,663
BARRICK GOLD CORP      COM     067901108     7,308    168,072 SH      SOLE                              168,072
BARRICK GOLD CORP      COM     067901108        17        400 SH           SH_DEF                  1                   400
BARRICK GOLD CORP      COM     067901108        43      1,000 SH           SH_DEF                  1                 1,000
BARRICK GOLD CORP      COM     067901108       217      5,000 SH           SH_DEF                  1                 5,000
BARRICK GOLD CORP      COM     067901108       369      8,500 SH           SH_DEF                  1                 8,500
BARRICK GOLD CORP      COM     067901108    58,767  1,352,240 SH           SH_DEF                  1             1,352,240
BAYTEX ENERGY CORP     COM     07317Q105     6,391    123,100 SH CALL      SH_DEF                  1               123,100
BAYTEX ENERGY CORP     COM     07317Q105     1,500     28,900 SH PUT       SH_DEF                  1                28,900
BAYTEX ENERGY CORP     COM     07317Q105     1,957     37,700 SH      SOLE                               37,700
BAYTEX ENERGY CORP     COM     07317Q105        59      1,132 SH      SOLE                                1,132
BAYTEX ENERGY CORP     COM     07317Q105     4,772     91,910 SH      SOLE                               91,910
BCE INC                COM     05534B760    38,723    967,100 SH CALL      SH_DEF                  1               967,100
BCE INC                COM     05534B760    28,929    722,500 SH PUT       SH_DEF                  1               722,500
BCE INC                COM     05534B760         3         63 SH           SH_DEF                  2                    63
BCE INC                COM     05534B760   381,376  9,524,840 SH      SOLE                            9,524,840
BCE INC                COM     05534B760       224      5,600 SH           SH_DEF                  1                 5,600
BCE INC                COM     05534B760       200      5,000 SH           SH_DEF                  1                 5,000
BCE INC                COM     05534B760    27,904    696,913 SH           SH_DEF                  1               696,913
BCE INC NEW            COM     05534B760    38,707    966,718 SH      SOLE                              966,718
BIOCRYST
 PHARMACEUTICALS       COM     09058V103       439     90,800 SH      SOLE                               90,800
BIOSANTE PHARMA INC    COM     09065V203         0        127 SH      SOLE                                  127






                                                                                       
BLACKROCK INC          COM     09247X101        36        175 SH      SOLE                                  175
BRISTOL-MYERS SQUIBB
 COMPANY               COM     110122108       444     13,120 SH      SOLE                               13,120
BRITISH AMERICAN
 TOBACCO-SPON ADR      COM     110448107       593      5,850 SH      SOLE                                5,850
BROOKFIELD ASSET
 MANAGE-CL A           COM     112585104     2,303     73,000 SH CALL      SH_DEF                  1                73,000
BROOKFIELD ASSET
 MANAGE-CL A           COM     112585104     1,921     60,900 SH PUT       SH_DEF                  1                60,900
BROOKFIELD ASSET
 MANAGE-CL A           COM     112585104   322,673 10,227,727 SH      SOLE                           10,227,727
BROOKFIELD ASSET
 MANAGE-CL A           COM     112585104    15,550    492,883 SH           SH_DEF                  1               492,883
BROOKFIELD ASSET MGMT
 INC CL A LVS          COM     112585104    11,832    375,051 SH      SOLE                              375,051
BROOKFIELD ASSET
 MGT-A LV              COM     112585104       432     13,700 SH           SH_DEF                  1                13,700
BROOKFIELD CDA OFFICE
 PPTYS T/U             COM     112823109        69      2,860 SH      SOLE                                2,860
BROOKFIELD INFRA
 PARTNER LPU           COM     G16252101       588     18,576 SH      SOLE                               18,576
BROOKFIELD OFFICE PPTY COM     112900105        10        600 SH           SH_DEF                  1                   600
BROOKFIELD OFFICE
 PROPERTIES            COM     112900105       209     12,000 SH PUT  SOLE                               12,000
BROOKFIELD OFFICE
 PROPERTIES INC        COM     112900105     1,354     77,832 SH      SOLE                               77,832
BROOKFIELD PROPERTIES
 CORP                  COM     112900105     1,465     84,200 SH CALL      SH_DEF                  1                84,200
BROOKFIELD PROPERTIES
 CORP                  COM     112900105     1,110     63,800 SH PUT       SH_DEF                  1                63,800
BROOKFIELD PROPERTIES
 CORP                  COM     112900105     6,280    361,076 SH      SOLE                              361,076
BROOKFIELD PROPERTIES
 CORP                  COM     112900105         3        200 SH           SH_DEF                  1                   200
BROWN & BROWN INC      COM     115236101        62      2,600 SH      SOLE                                2,600
BROWN-FORMAN CORP CL A COM     115637100       114      1,400 SH      SOLE                                1,400
BURCON NUTRASCIENCE CP COM     120831102        24      3,700 SH           SH_DEF                  1                 3,700
BURCON NUTRASCIENCE CP COM     120831102         0         53 SH           SH_DEF                  1                    53
CAE INC                COM     124765108       136     13,300 SH CALL      SH_DEF                  1                13,300
CAE INC                COM     124765108       102      9,900 SH PUT       SH_DEF                  1                 9,900
CAE INC                COM     124765108         1        100 SH           SH_DEF                  2                   100
CAE INC                COM     124765108       548     53,400 SH      SOLE                               53,400
CAE INC                COM     124765108       466     45,400 SH      SOLE                               45,400
CAE INC                COM     124765108        14      1,400 SH           SH_DEF                  1                 1,400
CAE INC                COM     124765108     1,930    188,400 SH           SH_DEF                  1               188,400
CAE INC                COM     124765108        34      3,285 SH           SH_DEF                  1                 3,285
CAMECO CORP            COM     13321L108         9        400 SH CALL SOLE                                  400
CAMECO CORP            COM     13321L108     6,139    286,000 SH CALL      SH_DEF                  1               286,000
CAMECO CORP            COM     13321L108     4,497    209,500 SH PUT       SH_DEF                  1               209,500
CAMECO CORP            COM     13321L108    90,009  4,193,558 SH      SOLE                            4,193,558
CAMECO CORP            COM     13321L108        73      3,380 SH      SOLE                                3,380
CAMECO CORP            COM     13321L108     1,607     74,855 SH      SOLE                               74,855
CAMECO CORP            COM     13321L108       855     39,900 SH           SH_DEF                  1                39,900
CAMECO CORP            COM     13321L108     9,010    419,789 SH           SH_DEF                  1               419,789
CAMPBELL SOUP CO       COM     134429109         3        100 SH      SOLE                                  100






                                                                                       
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101     8,270    108,200 SH CALL SOLE                              108,200
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101    68,360    894,400 SH CALL      SH_DEF                  1               894,400
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101    13,131    171,800 SH PUT  SOLE                              171,800
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101    30,473    398,700 SH PUT       SH_DEF                  1               398,700
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101 1,238,069 16,198,505 SH      SOLE                           16,198,505
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101        65        845 SH      SOLE                                  845
CAN IMPERIAL BK OF
 COMMERCE              COM     136069101    40,438    529,074 SH           SH_DEF                  1               529,074
CANADIAN IMPERIAL
 BANK OF COMMERCE      COM     136069101    55,937    731,868 SH      SOLE                              731,868
CANADIAN NATIONAL
 RAILWAY               COM     136375102       278      3,500 SH           SH_DEF                  1                 3,500
CANADIAN NATIONAL
 RAILWAY               COM     136375102       722      9,100 SH           SH_DEF                  1                 9,100
CANADIAN NATIONAL
 RAILWAY CO            COM     136375102    28,514    358,805 SH      SOLE                              358,805
CANADIAN NATL RAILWAY
 CO                    COM     136375102       794     10,000 SH CALL SOLE                               10,000
CANADIAN NATL RAILWAY
 CO                    COM     136375102    16,029    201,700 SH CALL      SH_DEF                  1               201,700
CANADIAN NATL RAILWAY
 CO                    COM     136375102       302      3,800 SH PUT  SOLE                                3,800
CANADIAN NATL RAILWAY
 CO                    COM     136375102    14,463    182,000 SH PUT       SH_DEF                  1               182,000
CANADIAN NATL RAILWAY
 CO                    COM     136375102   399,247  5,023,954 SH      SOLE                            5,023,954
CANADIAN NATL RAILWAY
 CO                    COM     136375102    27,926    351,414 SH           SH_DEF                  1               351,414
CANADIAN NATURAL
 RESOURCES             COM     136385101    10,850    327,000 SH CALL SOLE                              327,000
CANADIAN NATURAL
 RESOURCES             COM     136385101    17,079    515,300 SH CALL      SH_DEF                  1               515,300
CANADIAN NATURAL
 RESOURCES             COM     136385101     4,977    150,000 SH PUT  SOLE                              150,000
CANADIAN NATURAL
 RESOURCES             COM     136385101    24,662    744,100 SH PUT       SH_DEF                  1               744,100
CANADIAN NATURAL
 RESOURCES             COM     136385101   384,947 11,614,782 SH      SOLE                           11,614,782
CANADIAN NATURAL
 RESOURCES             COM     136385101     2,157     64,997 SH      SOLE                               64,997
CANADIAN NATURAL
 RESOURCES             COM     136385101    47,078  1,420,458 SH           SH_DEF                  1             1,420,458
CANADIAN NATURAL
 RESOURCES LTD         COM     136385101    15,520    468,275 SH      SOLE                              468,275
CANADIAN PACIFIC RAIL  COM     13645T100       136      1,800 SH           SH_DEF                  1                 1,800
CANADIAN PACIFIC
 RAILWAY LTD           COM     13645T100     9,138    120,400 SH CALL      SH_DEF                  1               120,400
CANADIAN PACIFIC
 RAILWAY LTD           COM     13645T100     9,548    125,800 SH PUT       SH_DEF                  1               125,800









                                                                                      
CANADIAN PACIFIC
 RAILWAY LTD           COM     13645T100   171,154 2,254,999 SH      SOLE                            2,254,999
CANADIAN PACIFIC
 RAILWAY LTD           COM     13645T100    14,242   187,641 SH      SOLE                              187,641
CANADIAN PACIFIC
 RAILWAY LTD           COM     13645T100    10,749   141,621 SH           SH_DEF                  1               141,621
CANON INC ADR          COM     138006309       518    10,840 SH      SOLE                               10,840
CARDIOME PHARMA CORP   COM     14159U202         0       354 SH           SH_DEF                  1                   354
CATERPILLAR INC        COM     149123101     2,113    19,800 SH      SOLE                               19,800
CBS CORP-CLASS B NON
 VOTING                COM     124857202        27       800 SH      SOLE                                  800
CDN IMPERIAL BK
 COMMERCE              COM     136069101        76     1,000 SH           SH_DEF                  1                 1,000
CDN IMPERIAL BK
 COMMERCE              COM     136069101     1,933    25,300 SH           SH_DEF                  1                25,300
CDN IMPERIAL BK
 COMMERCE              COM     136069101       109     1,427 SH           SH_DEF                  1                 1,427
CDN IMPERIAL BK
 COMMERCE              COM     136069101     1,623    21,242 SH           SH_DEF                  1                21,242
CDN NATURAL RESOURCES
 LTD                   COM     136385101       132     4,000 SH           SH_DEF                  1                 4,000
CDN NATURAL RESOURCES
 LTD                   COM     136385101       434    13,100 SH           SH_DEF                  1                13,100
CELESTICA INC          COM     15101Q108       656    68,200 SH CALL      SH_DEF                  1                68,200
CELESTICA INC          COM     15101Q108       204    21,200 SH PUT       SH_DEF                  1                21,200
CELESTICA INC          COM     15101Q108     2,972   309,143 SH      SOLE                              309,143
CELESTICA INC SV       COM     15101Q108       413    43,000 SH      SOLE                               43,000
CEMEX S.A.B. DE C.V.   COM     151290889        28     3,600 SH      SOLE                                3,600
CENOVUS ENERGY INC     COM     15135U109       359    10,000 SH CALL SOLE                               10,000
CENOVUS ENERGY INC     COM     15135U109    41,011 1,139,500 SH CALL      SH_DEF                  1             1,139,500
CENOVUS ENERGY INC     COM     15135U109     9,793   272,100 SH PUT       SH_DEF                  1               272,100
CENOVUS ENERGY INC     COM     15135U109   286,584 7,962,876 SH      SOLE                            7,962,876
CENOVUS ENERGY INC     COM     15135U109    35,638   990,232 SH      SOLE                              990,232
CENOVUS ENERGY INC     COM     15135U109    17,159   476,776 SH           SH_DEF                  1               476,776
CENTRAL EUROPE &
 RUSSIA FUND           COM     153436100       846    24,112 SH      SOLE                               24,112
CENTRAL FUND CDA
 LTD-A NV              COM     153501101        15       700 SH           SH_DEF                  1                   700
CENTRAL FUND OF CDA
 LTD CL A NVS          COM     153501101        22     1,000 SH      SOLE                                1,000
CGI GROUP INC - CL A   COM     39945C109     1,841    82,600 SH CALL      SH_DEF                  1                82,600
CGI GROUP INC - CL A   COM     39945C109        98     4,400 SH PUT       SH_DEF                  1                 4,400
CGI GROUP INC - CL A   COM     39945C109     1,072    48,100 SH      SOLE                               48,100
CGI GROUP INC CL A SVS COM     39945C109       498    22,349 SH      SOLE                               22,349
CGI GROUP INC-A SV     COM     39945C109        49     2,200 SH           SH_DEF                  1                 2,200
CGI GROUP INC-A SV     COM     39945C109         3       133 SH           SH_DEF                  1                   133
CHESAPEAKE ENERGY CORP COM     165167107       234    10,100 SH      SOLE                               10,100
CHEVRON CORP           COM     166764100        54       500 SH           SH_DEF                  2                   500
CHEVRON CORPORATION    COM     166764100    12,336   114,811 SH      SOLE                              114,811
Chicago Board Options
 Exchange              COM     12503M108         7    24,000 SH      SOLE                               24,000
Chicago Board Options
 Exchange              COM     12503M108    13,637   480,000 SH      SOLE                              480,000
CHINA CERAMICS CO LTD  COM     G2113X100       216    54,000 SH      SOLE                               54,000






                                                                                      
CHINA MOBILE LIMITED
 ADR                   COM     16941M109       631    11,441 SH      SOLE                               11,441
CHINACAST EDUCATION
 CORP                  COM     16946T109       539   126,800 SH      SOLE                              126,800
CIA DE MINAS
 BUENAVENTUR-ADR       COM     204448104       101     2,500 SH CALL SOLE                                2,500
CIA DE MINAS
 BUENAVENTUR-ADR       COM     204448104        20       500 SH      SOLE                                  500
CIA PARANAENSE DE
 ENERGIA SP ADR        COM     20441B407       304    12,900 SH      SOLE                               12,900
CIA SANEAMENTO BASICO
 ADR                   COM     20441A102       184     2,400 SH      SOLE                                2,400
CIGNA CORP             COM     125509109        34       700 SH      SOLE                                  700
CISCO SYSTEMS INC      COM     17275R102       635    30,000 SH PUT  SOLE                               30,000
CISCO SYSTEMS INC      COM     17275R102        61     2,900 SH      SOLE                                2,900
CISCO SYSTEMS INC      COM     17275R102     5,787   273,060 SH      SOLE                              273,060
CITIGROUP INC NEW      COM     172967424     1,599    43,675 SH      SOLE                               43,675
CLEAN HARBORS INC      COM     184496107         8       115 SH      SOLE                                  115
CME GROUP INC          COM     12572Q105       116       400 SH      SOLE                                  400
CME GROUP INC          COM     12572Q105       287       990 SH      SOLE                                  990
CNOOC LIMITED ADR      COM     126132109       684     3,344 SH      SOLE                                3,344
CNOOC LTD-ADR          COM     126132109        20       100 SH      SOLE                                  100
COACH INC              COM     189754104       110     1,415 SH      SOLE                                1,415
COCA-COLA CO/THE       COM     191216100       111     1,500 SH      SOLE                                1,500
COCA-COLA COMPANY      COM     191216100     3,143    42,390 SH      SOLE                               42,390
COCA-COLA ENTERPRISES
 INC                   COM     19122T109         9       300 SH      SOLE                                  300
COEUR D'ALENE
 MINES-NEW             COM     192108504         1        53 SH           SH_DEF                  1                    53
COLGATE-PALMOLIVE
 COMPANY               COM     194162103     3,984    40,665 SH      SOLE                               40,665
COMCAST CORP CL A      COM     20030N101     2,271    75,535 SH      SOLE                               75,535
COMCAST CORP CL A SPL  COM     20030N200     2,906    98,285 SH      SOLE                               98,285
CONAGRA FOODS INC      COM     205887102       134     5,100 SH      SOLE                                5,100
CONOCOPHILLIPS         COM     20825C104     3,644    47,843 SH      SOLE                               47,843
COPART INC             COM     217204106       247     9,460 SH      SOLE                                9,460
CORN PRODUCTS
 INTERNATIONAL INC     COM     219023108         4        70 SH      SOLE                                   70
CORNING INC            COM     219350105        55     3,910 SH      SOLE                                3,910
COSTCO WHOLESALE CORP  COM     22160K105       336     3,690 SH      SOLE                                3,690
COTT CORPORATION       COM     22163N106     1,126   170,652 SH      SOLE                              170,652
COWEN GROUP INC CLASS
 A                     COM     223622101       101    37,100 SH      SOLE                               37,100
CSX CORPORATION        COM     126408103       720    33,389 SH      SOLE                               33,389
CUMMINS INC            COM     231021106       856     7,114 SH      SOLE                                7,114
CURTISS-WRIGHT
 CORPORATION           COM     231561101        78     2,100 SH      SOLE                                2,100
CVS CAREMARK
 CORPORATION           COM     126650100     4,943   110,120 SH      SOLE                              110,120
DANAHER CORP           COM     235851102       135     2,400 SH      SOLE                                2,400
DARLING INTERNATIONAL
 INC                   COM     237266101        52     3,000 SH      SOLE                                3,000
DEERE & COMPANY        COM     244199105       694     8,560 SH      SOLE                                8,560
DEJOUR ENERGY INC      COM     24486R103         0       187 SH           SH_DEF                  1                   187






                                                                                      
DELUXE CORP            COM     248019101         1        28 SH      SOLE                                   28
DENBURY RESOURCES INC  COM     247916208       215    11,784 SH      SOLE                               11,784
DENDREON CORP          COM     24823Q107       297    27,800 SH      SOLE                               27,800
DENISON MINES CORP     COM     248356107       101    65,100 SH      SOLE                               65,100
DENISON MINES CORP     COM     248356107        50    32,000 SH      SOLE                               32,000
DENISON MINES CORP     COM     248356107         0        60 SH           SH_DEF                  1                    60
DENISON MINES CORP     COM     248356107         0       100 SH           SH_DEF                  1                   100
DENTSPLY
 INTERNATIONAL INC     COM     249030107       354     8,805 SH      SOLE                                8,805
DESCARTES SYSTEMS
 GROUP                 COM     249906108         0        43 SH           SH_DEF                  1                    43
DESCARTES SYSTEMS
 GROUP INC             COM     249906108       759    87,335 SH      SOLE                               87,335
DEVON ENERGY
 CORPORATION           COM     25179M103       418     5,860 SH      SOLE                                5,860
DIAGEO PLC SPONSORED
 ADR                   COM     25243Q205     2,470    25,545 SH      SOLE                               25,545
DIAMOND OFFSHORE
 DRILLING              COM     25271C102       263     3,935 SH      SOLE                                3,935
DIRECTV CLASS A        COM     25490A101       247     5,000 SH      SOLE                                5,000
DIREXION DLY SM CAP
 BULL 3X               COM     25459W847       655    10,500 SH PUT  SOLE                               10,500
DISNEY,WALT COMPANY    COM     254687106     3,179    72,479 SH      SOLE                               72,479
DOLLAR TREE INC        COM     256746108       660     6,974 SH      SOLE                                6,974
DOMINION RESOURCES INC COM     25746U109        41       800 SH      SOLE                                  800
DOMTAR CORP-NEW        COM     257559203         5        51 SH           SH_DEF                  1                    51
DOMTAR CORPORATION     COM     257559203       205     2,150 SH      SOLE                                2,150
DONALDSON COMPANY INC  COM     257651109       183     5,110 SH      SOLE                                5,110
DONNELLEY (R.R.) &
 SONS CO               COM     257867101        16     1,283 SH      SOLE                                1,283
DOVER CORPORATION      COM     260003108       162     2,565 SH      SOLE                                2,565
DOW CHEMICAL COMPANY   COM     260543103        30       850 SH      SOLE                                  850
DRAGONWAVE INC         COM     26144M103         4     1,000 SH CALL      SH_DEF                  1                 1,000
DRAGONWAVE INC         COM     26144M103         4     1,000 SH PUT       SH_DEF                  1                 1,000
DRAGONWAVE INC         COM     26144M103       197    49,500 SH      SOLE                               49,500
DRAGONWAVE INC         COM     26144M103         0         3 SH           SH_DEF                  1                     3
DU PONT (E.I.) DE
 NEMOURS               COM     263534109        11       200 SH      SOLE                                  200
DUKE ENERGY CORP       COM     26441C105         0         1 SH           SH_DEF                  2                     1
DUKE ENERGY HOLDING
 CORP                  COM     26441C105       198     9,402 SH      SOLE                                9,402
DUPONT E.I. DE
 NEMOURS & CO          COM     263534109       853    16,102 SH      SOLE                               16,102
E*TRADE FINANCIAL CORP COM     269246401     1,110   101,400 SH CALL SOLE                              101,400
EAGLE MATERIALS INC    COM     26969P108       434    12,500 SH CALL SOLE                               12,500
EASTERN AMERICAN
 NATURAL GAS TR        COM     276217106       760    34,000 SH      SOLE                               34,000
EASTMAN CHEMICAL
 COMPANY               COM     277432100       680    13,134 SH      SOLE                               13,134
EASTMAN KODAK COMPANY  COM     277461109         0     1,000 SH      SOLE                                1,000
EATON CORPORATION      COM     278058102     1,331    26,650 SH      SOLE                               26,650
ECOLAB INC             COM     278865100        62     1,000 SH      SOLE                                1,000
ELDORADO GOLD CORP     COM     284902103       566    41,200 SH CALL SOLE                               41,200
ELDORADO GOLD CORP     COM     284902103     5,984   435,700 SH CALL      SH_DEF                  1               435,700






                                                                                       
ELDORADO GOLD CORP     COM     284902103       275     20,000 SH PUT  SOLE                               20,000
ELDORADO GOLD CORP     COM     284902103     3,513    255,800 SH PUT       SH_DEF                  1               255,800
ELDORADO GOLD CORP     COM     284902103        38      2,800 SH           SH_DEF                  2                 2,800
ELDORADO GOLD CORP     COM     284902103   100,424  7,311,925 SH      SOLE                            7,311,925
ELDORADO GOLD CORP     COM     284902103       758     55,187 SH      SOLE                               55,187
ELDORADO GOLD CORP     COM     284902103    14,071  1,024,646 SH           SH_DEF                  1             1,024,646
ELDORADO GOLD CRP      COM     284902103         0         17 SH           SH_DEF                  1                    17
ELDORADO GOLD CRP      COM     284902103     1,187     86,500 SH           SH_DEF                  1                86,500
EMC CORPORATION(MASS)  COM     268648102        26        875 SH      SOLE                                  875
EMERSON ELECTRIC CO    COM     291011104     6,820    130,444 SH      SOLE                              130,444
ENBRIDGE INC           COM     29250N105    28,033    721,800 SH CALL      SH_DEF                  1               721,800
ENBRIDGE INC           COM     29250N105     5,767    148,500 SH PUT       SH_DEF                  1               148,500
ENBRIDGE INC           COM     29250N105   567,822 14,620,600 SH      SOLE                           14,620,600
ENBRIDGE INC           COM     29250N105    83,231  2,143,089 SH      SOLE                            2,143,089
ENBRIDGE INC           COM     29250N105       272      7,000 SH           SH_DEF                  1                 7,000
ENBRIDGE INC           COM     29250N105        83      2,148 SH           SH_DEF                  1                 2,148
ENBRIDGE INC           COM     29250N105       225      5,800 SH           SH_DEF                  1                 5,800
ENBRIDGE INC           COM     29250N105    23,225    598,006 SH           SH_DEF                  1               598,006
ENCANA CORP            COM     292505104     6,777    344,900 SH CALL SOLE                              344,900
ENCANA CORP            COM     292505104     5,285    269,100 SH CALL      SH_DEF                  1               269,100
ENCANA CORP            COM     292505104     1,165     59,300 SH PUT  SOLE                               59,300
ENCANA CORP            COM     292505104    13,370    680,800 SH PUT       SH_DEF                  1               680,800
ENCANA CORP            COM     292505104        47      2,400 SH           SH_DEF                  2                 2,400
ENCANA CORP            COM     292505104   159,899  8,141,872 SH      SOLE                            8,141,872
ENCANA CORP            COM     292505104        92      4,700 SH           SH_DEF                  1                 4,700
ENCANA CORP            COM     292505104     9,397    478,487 SH           SH_DEF                  1               478,487
ENCANA CORPORATION     COM     292505104    15,376    782,935 SH      SOLE                              782,935
ENDEAVOUR SILVER CORP  COM     29258Y103       144     15,200 SH CALL      SH_DEF                  1                15,200
ENDEAVOUR SILVER CORP  COM     29258Y103       153     16,200 SH      SOLE                               16,200
ENDEAVOUR SILVER CORP  COM     29258Y103       332     35,000 SH      SOLE                               35,000
ENDEAVOUR SILVER CORP  COM     29258Y103        24      2,500 SH           SH_DEF                  1                 2,500
ENERGIZER HOLDINGS INC COM     29266R108         7        100 SH      SOLE                                  100
ENERGY SELECT SECTOR
 SPDR FUND             COM     81369Y506        36        500 SH      SOLE                                  500
ENERGY TRANSFER
 PARTNERS LPU          COM     29273R109        94      2,000 SH      SOLE                                2,000
ENERGY XXI BERMUDA     COM     G10082140       109      3,000 SH      SOLE                                3,000
ENERGYSOLUTIONS INC    COM     292756202       405     82,400 SH      SOLE                               82,400
ENERPLUS CORP          COM     292766102     1,615     72,100 SH CALL      SH_DEF                  1                72,100
ENERPLUS CORP          COM     292766102     2,979    133,000 SH PUT       SH_DEF                  1               133,000
ENERPLUS CORP          COM     292766102    44,020  1,965,528 SH      SOLE                            1,965,528
ENERPLUS CORP          COM     292766102       865     38,632 SH      SOLE                               38,632
ENERPLUS CORP          COM     292766102        98      4,400 SH           SH_DEF                  1                 4,400
ENERPLUS CORP          COM     292766102     9,313    415,851 SH           SH_DEF                  1               415,851
ENI S P A ADR          COM     26874R108         8        165 SH      SOLE                                  165
EOG RESOURCES INC      COM     26875P101       167      1,500 SH      SOLE                                1,500
ERICSSON ADR           COM     294821608       989     95,703 SH      SOLE                               95,703
EUROPEAN EQUITY FUND
 INC                   COM     298768102       849    125,000 SH      SOLE                              125,000
EXCEED COMPANY LTD     COM     G32335104       280     92,200 SH      SOLE                               92,200
EXELON CORPORATION     COM     30161N101         8        200 SH      SOLE                                  200
EXTORRE GOLD MINES LTD COM     30227B109       103     17,200 SH      SOLE                               17,200
EXTORRE GOLD MINES LTD COM     30227B109       150     25,000 SH      SOLE                               25,000
EXXON MOBIL CORP       COM     30231G102         9        100 SH           SH_DEF                  2                   100






                                                                                      
EXXON MOBIL CORP       COM     30231G102       278     3,200 SH      SOLE                                3,200
EXXON MOBIL
 CORPORATION           COM     30231G102    18,168   209,072 SH      SOLE                              209,072
F5 NETWORKS INC        COM     315616102         1         6 SH           SH_DEF                  1                     6
FEDEX CORPORATION      COM     31428X106        88       950 SH      SOLE                                  950
FIFTH THIRD BANCORP    COM     316773100         1       100 SH      SOLE                                  100
FIRST MAJESTIC SILVER
 CORP                  COM     32076V103       554    33,300 SH CALL      SH_DEF                  1                33,300
FIRST MAJESTIC SILVER
 CORP                  COM     32076V103        67     4,000 SH PUT       SH_DEF                  1                 4,000
FIRST MAJESTIC SILVER
 CORP                  COM     32076V103       331    19,900 SH      SOLE                               19,900
FIRST MAJESTIC SILVER
 CORP                  COM     32076V103       166    10,000 SH      SOLE                               10,000
FIRST MAJESTIC SILVER
 CRP                   COM     32076V103        15       900 SH           SH_DEF                  1                   900
FIRST MAJESTIC SILVER
 CRP                   COM     32076V103        17     1,000 SH           SH_DEF                  1                 1,000
FIRST SOLAR INC        COM     336433107       143     5,685 SH      SOLE                                5,685
FIRSTSERVICE CORP      COM     33761N109    15,414   502,797 SH           SH_DEF                  2               502,797
FIRSTSERVICE CORP      COM     33761N109     1,107    36,100 SH      SOLE                               36,100
FIRSTSERVICE CORP SVS  COM     33761N109       385    12,565 SH      SOLE                               12,565
FISERV INC             COM     337738108       927    13,335 SH      SOLE                               13,335
FLOWSERVE CORPORATION  COM     34354P105       155     1,340 SH      SOLE                                1,340
FORBES ENERGY
 SERVICES LTD          COM     345143101        24     3,937 SH      SOLE                                3,937
FORD MOTOR COMPANY     COM     345370860       138    11,065 SH      SOLE                               11,065
FORTUNA SILVER MINES
 INC                   COM     349915108       105    23,200 SH      SOLE                               23,200
FRANCE TELECOM SA
 SPON ADR              COM     35177Q105        30     2,000 SH      SOLE                                2,000
FRANCO-NEVADA CORP     COM     351858105    15,329   356,500 SH CALL      SH_DEF                  1               356,500
FRANCO-NEVADA CORP     COM     351858105     3,040    70,700 SH PUT       SH_DEF                  1                70,700
FRANCO-NEVADA CORP     COM     351858105     1,092    25,400 SH      SOLE                               25,400
FRANCO-NEVADA CORP     COM     351858105     2,087    48,543 SH      SOLE                               48,543
FRANCO-NEVADA CORP     COM     351858105         1        32 SH           SH_DEF                  1                    32
FRANCO-NEVADA CORP     COM     351858105         9       200 SH           SH_DEF                  1                   200
FRANKLIN RESOURCES INC COM     354613101       167     1,340 SH      SOLE                                1,340
FREEPORT MCMORAN
 COPPER & GOLD INC     COM     35671D857     3,506    91,985 SH      SOLE                               91,985
FREEPORT-MCMORAN
 COPPER                COM     35671D857       297     7,800 SH PUT  SOLE                                7,800
FREEPORT-MCMORAN
 COPPER                COM     35671D857        38     1,000 SH           SH_DEF                  2                 1,000
FREEPORT-MCMORAN
 COPPER                COM     35671D857       137     3,600 SH      SOLE                                3,600
FREEPT MCMOR
 COPPER&GLD            COM     35671D857        19       500 SH           SH_DEF                  1                   500
FRESENIUS MEDICAL
 CARE AG & CO KGAA     COM     358029106     1,228    17,351 SH      SOLE                               17,351
FRESH DEL MONTE
 PRODUCE INC           COM     G36738105       552    24,100 SH      SOLE                               24,100
FRONTIER
 COMMUNICATIONS CORP   COM     35906A108         1       259 SH      SOLE                                  259






                                                                                      
FROZEN FOOD EXPRESS
 INDUSTRIES INC        COM     359360104         1       900 SH      SOLE                                  900
FRSTSVC CV U$ 6.5%
 31DC14                BOND    33761NAA7     1,200   972,000 PRN          SH_DEF                  1               972,000
GAMESTOP CORPORATION
 CL A NEW              COM     36467W109         1        54 SH      SOLE                                   54
GAP INC                COM     364760108         3       120 SH      SOLE                                  120
GENERAL CABLE CORP     COM     369300108       148     5,075 SH      SOLE                                5,075
GENERAL DYNAMICS
 CORPORATION           COM     369550108        37       500 SH      SOLE                                  500
GENERAL ELECTRIC CO    COM     369604103       126     6,300 SH           SH_DEF                  2                 6,300
GENERAL ELECTRIC CO    COM     369604103       142     7,100 SH      SOLE                                7,100
GENERAL ELECTRIC
 COMPANY               COM     369604103    15,136   752,696 SH      SOLE                              752,696
GENERAL MILLS INC      COM     370334104         8       210 SH      SOLE                                  210
GENERAL MOTORS CO      COM     37045V100        30     1,180 SH      SOLE                                1,180
GENERAL MOTORS CONV
 SER B PFD             COM     37045V209       486    11,600 SH      SOLE                               11,600
GENESCO INC            COM     371532102        41       571 SH      SOLE                                  571
GERON CORP             COM     374163103       311   183,700 SH      SOLE                              183,700
GILDAN ACTIVEWEAR INC  COM     375916103        55     2,000 SH CALL      SH_DEF                  1                 2,000
GILDAN ACTIVEWEAR INC  COM     375916103        61     2,200 SH PUT       SH_DEF                  1                 2,200
GILDAN ACTIVEWEAR INC  COM     375916103    29,518 1,072,642 SH      SOLE                            1,072,642
GILDAN ACTIVEWEAR INC  COM     375916103         0        11 SH           SH_DEF                  1                    11
GILDAN ACTIVEWEAR INC  COM     375916103        47     1,700 SH           SH_DEF                  1                 1,700
GILDAN ACTIVEWEAR INC  COM     375916103     8,052   292,608 SH           SH_DEF                  1               292,608
GILDAN ACTIVEWEAR INC
 CL A SVS              COM     375916103       775    28,147 SH      SOLE                               28,147
GILEAD SCIENCES INC    COM     375558103        28       565 SH      SOLE                                  565
GLAXOSMITHKLINE PLC
 ADR                   COM     37733W105       514    11,415 SH      SOLE                               11,415
GOLD FIELDS LTD-SPONS
 ADR                   COM     38059T106        15     1,110 SH      SOLE                                1,110
GOLDCORP INC           COM     380956409     6,561   145,600 SH CALL SOLE                              145,600
GOLDCORP INC           COM     380956409    44,293   982,700 SH CALL      SH_DEF                  1               982,700
GOLDCORP INC           COM     380956409    22,306   494,900 SH PUT       SH_DEF                  1               494,900
GOLDCORP INC           COM     380956409   388,563 8,620,818 SH      SOLE                            8,620,818
GOLDCORP INC           COM     380956409        94     2,082 SH      SOLE                                2,082
GOLDCORP INC           COM     380956409    16,782   372,340 SH      SOLE                              372,340
GOLDCORP INC           COM     380956409     1,071    23,800 SH           SH_DEF                  1                23,800
GOLDCORP INC           COM     380956409    28,854   640,166 SH           SH_DEF                  1               640,166
GOLDEN STAR RESOURCES
 LTD                   COM     38119T104        96    50,000 SH      SOLE                               50,000
GOLDMAN SACHS GROUP
 INC                   COM     38141G104       800     6,418 SH      SOLE                                6,418
GOODYEAR TIRE &
 RUBBER CO             COM     382550101       416    37,000 SH      SOLE                               37,000
GOOGLE INC CLASS A     COM     38259P508     2,468     3,841 SH      SOLE                                3,841
GOOGLE INC-CL A        COM     38259P508   701,732 1,094,336 SH           SH_DEF                  2             1,094,336
GRACO INC              COM     384109104       614    11,545 SH      SOLE                               11,545
GRAN TIERRA ENERGY INC COM     38500T101     1,110   176,000 SH CALL      SH_DEF                  1               176,000
GRAN TIERRA ENERGY INC COM     38500T101     1,116   177,000 SH PUT       SH_DEF                  1               177,000
GRAN TIERRA ENERGY INC COM     38500T101       134    21,200 SH      SOLE                               21,200
GREAT BASIN GOLD LTD   COM     390124105        63    89,300 SH      SOLE                               89,300






                                                                                      
GREAT PANTHER SILVER
 LIMITED               COM     39115V101       408   181,500 SH      SOLE                              181,500
HALLIBURTON CO.        COM     406216101     1,688    50,765 SH      SOLE                               50,765
HARMONY GOLD MNG-SPON
 ADR                   COM     413216300         5       480 SH      SOLE                                  480
HARRY WINSTON DIAMOND
 CORP                  COM     41587B100       216    14,700 SH CALL      SH_DEF                  1                14,700
HARRY WINSTON DIAMOND
 CORP                  COM     41587B100       340    23,100 SH PUT       SH_DEF                  1                23,100
HARRY WINSTON DIAMOND
 CORP                  COM     41587B100       247    16,800 SH      SOLE                               16,800
HARRY WINSTON DIAMOND
 CORP                  COM     41587B100        59     4,000 SH      SOLE                                4,000
HARTFORD FINANCIAL
 SVCS GROUP INC        COM     416515104       142     6,739 SH      SOLE                                6,739
HARTFORD FINANCIAL
 SVCS GRP              COM     416515104        38     1,800 SH      SOLE                                1,800
HECKMANN CORPORATION   COM     422680108       151    35,000 SH      SOLE                               35,000
HEINZ (H.J.) COMPANY   COM     423074103        93     1,739 SH      SOLE                                1,739
HESS CORPORATION       COM     42809H107       163     2,755 SH      SOLE                                2,755
HEWLETT-PACKARD
 COMPANY               COM     428236103       890    37,268 SH      SOLE                               37,268
HOLLYFRONTIER
 CORPORATION           COM     436106108        62     1,924 SH      SOLE                                1,924
HOME DEPOT INC         COM     437076102       986    19,555 SH      SOLE                               19,555
HONDA MOTOR CO LTD
 SPONSORED ADR         COM     438128308       431    11,200 SH      SOLE                               11,200
HONEYWELL
 INTERNATIONAL INC     COM     438516106       680    11,115 SH      SOLE                               11,115
HORSEHEAD HOLDING
 CORPORATION           COM     440694305         4       350 SH      SOLE                                  350
HOSPIRA INC            COM     441060100        15       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       863    19,397 SH      SOLE                               19,397
HSBC HOLDINGS
 PLC-SPONS ADR         COM     404280406       748    30,032 SH      SOLE                               30,032
HUDBAY MINERALS INC    COM     443628102     1,754   159,900 SH CALL      SH_DEF                  1               159,900
HUDBAY MINERALS INC    COM     443628102       351    32,000 SH PUT       SH_DEF                  1                32,000
HUDBAY MINERALS INC    COM     443628102       409    37,300 SH      SOLE                               37,300
HUDBAY MINERALS INC    COM     443628102       440    40,100 SH      SOLE                               40,100
HUMANA INC             COM     444859102        28       300 SH      SOLE                                  300
HUNTINGTON INGALLS
 INDUSTRIES            COM     446413106         0         8 SH      SOLE                                    8
HYDROGENICS CORP       COM     448883207         0        95 SH           SH_DEF                  1                    95
IAMGOLD CORP           COM     450913108     2,724   204,600 SH CALL      SH_DEF                  1               204,600
IAMGOLD CORP           COM     450913108     1,970   148,000 SH PUT       SH_DEF                  1               148,000
IAMGOLD CORP           COM     450913108    43,635 3,277,550 SH      SOLE                            3,277,550
IAMGOLD CORP           COM     450913108        45     3,400 SH           SH_DEF                  1                 3,400
IAMGOLD CORP           COM     450913108    13,560 1,018,555 SH           SH_DEF                  1             1,018,555
IAMGOLD CORPORATION    COM     450913108       537    40,400 SH CALL SOLE                               40,400
IAMGOLD CORPORATION    COM     450913108         5       355 SH      SOLE                                  355
IHS INC CLASS A        COM     451734107       103     1,100 SH      SOLE                                1,100






                                                                                      
ILLINOIS TOOL WORKS
 INC                   COM     452308109       462     8,080 SH      SOLE                                8,080
IMPERIAL OIL LTD       COM     453038408    10,659   234,600 SH CALL      SH_DEF                  1               234,600
IMPERIAL OIL LTD       COM     453038408     4,230    93,100 SH PUT       SH_DEF                  1                93,100
IMPERIAL OIL LTD       COM     453038408   121,512 2,674,505 SH      SOLE                            2,674,505
IMPERIAL OIL LTD       COM     453038408    42,943   945,181 SH      SOLE                              945,181
IMPERIAL OIL LTD       COM     453038408        64     1,400 SH           SH_DEF                  1                 1,400
IMPERIAL OIL LTD       COM     453038408         1        26 SH           SH_DEF                  1                    26
IMPERIAL OIL LTD       COM     453038408    10,692   235,329 SH           SH_DEF                  1               235,329
IMRIS INC              COM     45322N105         0         9 SH           SH_DEF                  1                     9
INDIA FUND INC         COM     454089103       223    10,000 SH      SOLE                               10,000
ING GROEP SPONSORED
 ADR                   COM     456837103        33     3,910 SH      SOLE                                3,910
INTEL CORP             COM     458140100        84     3,000 SH      SOLE                                3,000
INTEL CORPORATION      COM     458140100     6,917   245,579 SH      SOLE                              245,579
INTERNATIONAL
 BUSINESS MACHINES
 CORP                  COM     459200101    24,425   116,836 SH      SOLE                              116,836
INTERNATIONAL FLAVORS
 & FRAGRANCES          COM     459506101        59     1,000 SH      SOLE                                1,000
INTERNATIONAL PAPER
 COMPANY               COM     460146103        80     2,285 SH      SOLE                                2,285
INTUIT INC             COM     461202103        82     1,365 SH      SOLE                                1,365
INVESCO LIMITED        COM     G491BT108     1,551    58,056 SH      SOLE                               58,056
IPATH DJ-UBS AGRI TTL
 RET S/INDX ETN        COM     06739H206         4        74 SH      SOLE                                   74
IPATH S&P 500 VIX S/T
 FU ETN                COM     06740C261       403    24,000 SH      SOLE                               24,000
IRON MOUNTAIN INC      COM     462846106         8       280 SH      SOLE                                  280
ISHARES BARC 20+ YEAR
 TR                    COM     464287432        22       200 SH      SOLE                                  200
ISHARES BARCLAYS
 INTERMEDIATE CR BD    COM     464288638        82       750 SH      SOLE                                  750
ISHARES DJ INTL SEL
 DIV FD                COM     464288448        14       435 SH      SOLE                                  435
ISHARES DJ U.S. INDL
 SECTOR INDEX FD       COM     464287754       131     1,830 SH      SOLE                                1,830
ISHARES DJ U.S. TECH
 SECTOR IDX FUND       COM     464287721        16       200 SH      SOLE                                  200
ISHARES FTSE CHINA 25
 INDEX                 COM     464287184        36       985 SH      SOLE                                  985
ISHARES IBOXX $ H/YLD
 CORP BOND FD          COM     464288513       160     1,760 SH      SOLE                                1,760
ISHARES INC MSCI
 SINGAPORE IDX FD      COM     464286673        77     6,000 SH      SOLE                                6,000
ISHARES MSCI BRAZIL
 INDEX FUND ETF        COM     464286400        19       300 SH      SOLE                                  300
ISHARES MSCI EAFE
 INDEX FUND            COM     464287465       351     6,385 SH      SOLE                                6,385
ISHARES MSCI EMERGING
 MKTS INDEX            COM     464287234        68     1,575 SH      SOLE                                1,575
ISHARES MSCI GERMANY
 INDEX FUND            COM     464286806       112     4,800 SH      SOLE                                4,800
ISHARES MSCI HONG
 KONG INDEX FUND       COM     464286871       105     6,000 SH      SOLE                                6,000






                                                                                      
ISHARES MSCI JAPAN
 INDEX FUND            COM     464286848        36     3,500 SH      SOLE                                3,500
ISHARES NASDAQ
 BIOTECH INDEX FUND    COM     464287556        15       125 SH      SOLE                                  125
ISHARES S&P 100 INDEX
 FUND                  COM     464287101        58       900 SH      SOLE                                  900
ISHARES S&P ASIA 50
 ETF                   COM     464288430        45     1,000 SH      SOLE                                1,000
ISHARES S&P EMERG
 MKTS INFRAS           COM     464288216       254     7,630 SH      SOLE                                7,630
ISHARES S&P LATIN
 AMERICAN 40 IDX FD    COM     464287390        38       800 SH      SOLE                                  800
ISHARES S&P MIDCAP
 400 ETF               COM     464287507       196     1,970 SH      SOLE                                1,970
ISHARES SILVER TRUST   COM     46428Q109        13       400 SH      SOLE                                  400
ISHARES TR RUSSEL
 2000 INDEX FUND       COM     464287655        64       775 SH      SOLE                                  775
ISHARES TRUST DJ SEL
 DIV                   COM     464287168     1,960    34,950 SH      SOLE                               34,950
IVANHOE MINES LTD      COM     46579N103       730    46,400 SH CALL SOLE                               46,400
IVANHOE MINES LTD      COM     46579N103       481    30,600 SH CALL      SH_DEF                  1                30,600
IVANHOE MINES LTD      COM     46579N103       644    40,900 SH PUT  SOLE                               40,900
IVANHOE MINES LTD      COM     46579N103       676    43,000 SH PUT       SH_DEF                  1                43,000
IVANHOE MINES LTD      COM     46579N103       876    55,700 SH      SOLE                               55,700
IVANHOE MINES LTD      COM     46579N103        31     2,000 SH           SH_DEF                  1                 2,000
IVANHOE MINES LTD      COM     46579N103     1,452    92,312 SH           SH_DEF                  1                92,312
JAGUAR MINING INC      COM     47009M103         5     1,000 SH PUT       SH_DEF                  1                 1,000
JAGUAR MINING INC      COM     47009M103        77    16,400 SH      SOLE                               16,400
JAGUAR MINING INC      COM     47009M103       217    46,000 SH           SH_DEF                  1                46,000
JOHNSON & JOHNSON      COM     478160104       198     3,000 SH           SH_DEF                  2                 3,000
JOHNSON & JOHNSON      COM     478160104    26,625   402,861 SH      SOLE                              402,861
JOHNSON CONTROLS INC   COM     478366107        35     1,075 SH      SOLE                                1,075
JOS A BANK CLOTHIERS
 INC                   COM     480838101        38       750 SH      SOLE                                  750
JPMORGAN CHASE & CO    COM     46625H100       334     7,260 SH      SOLE                                7,260
JPMORGAN CHASE & CO    COM     46625H100     7,960   172,773 SH      SOLE                              172,773
JUST ENERGY GROUP INC  COM     48213W101     2,096   151,500 SH CALL      SH_DEF                  1               151,500
JUST ENERGY GROUP INC  COM     48213W101       221    16,000 SH PUT       SH_DEF                  1                16,000
JUST ENERGY GROUP INC  COM     48213W101    16,792 1,213,762 SH      SOLE                            1,213,762
JUST ENERGY GROUP INC  COM     48213W101       394    28,506 SH      SOLE                               28,506
JUST ENERGY GROUP INC  COM     48213W101        48     3,500 SH           SH_DEF                  1                 3,500
JUST ENERGY GROUP INC  COM     48213W101        36     2,600 SH           SH_DEF                  1                 2,600
JUST ENERGY GROUP INC  COM     48213W101     1,834   132,600 SH           SH_DEF                  1               132,600
KANSAS CITY SOUTHERN   COM     485170302       144     2,000 SH      SOLE                                2,000
KB FINANCIAL GROUP
 INC ADR               COM     48241A105        18       500 SH      SOLE                                  500
KB HOME                COM     48666K109         9     1,000 SH           SH_DEF                  1                 1,000
KELLOGG CO             COM     487836108       236     4,400 SH      SOLE                                4,400
KELLOGG COMPANY        COM     487836108        38       700 SH      SOLE                                  700
KEMPER CORP            COM     488401100       123     4,050 SH      SOLE                                4,050
KIMBERLY-CLARK
 CORPORATION           COM     494368103     1,323    17,865 SH      SOLE                               17,865
KINDER MORGAN ENERGY
 PARTNERS LPU          COM     494550106        17       200 SH      SOLE                                  200






                                                                                      
KINDER MORGAN
 MANAGEMENT LLC        COM     49455U100       171     2,291 SH      SOLE                                2,291
KINGSWAY FINANCIAL
 SVCS                  COM     496904103         0       480 SH           SH_DEF                  1                   480
KINROSS GOLD CORP      COM     496902404     1,883   192,300 SH CALL SOLE                              192,300
KINROSS GOLD CORP      COM     496902404     2,050   209,700 SH CALL      SH_DEF                  1               209,700
KINROSS GOLD CORP      COM     496902404     2,443   249,900 SH PUT       SH_DEF                  1               249,900
KINROSS GOLD CORP      COM     496902404   109,191 11,171,036SH      SOLE                           11,171,036
KINROSS GOLD CORP      COM     496902404        31     3,130 SH      SOLE                                3,130
KINROSS GOLD CORP      COM     496902404       496    50,900 SH           SH_DEF                  1                50,900
KINROSS GOLD CORP      COM     496902404    17,721 1,813,006 SH           SH_DEF                  1             1,813,006
KINROSS GOLD
 CORPORATION NO PAR    COM     496902404       308    31,556 SH      SOLE                               31,556
KLA-TENCOR CORPORATION COM     482480100        12       225 SH      SOLE                                  225
KOBEX MINERALS INC     COM     49989C105         0       400 SH           SH_DEF                  1                   400
KOHL'S CORP            COM     500255104       839    16,735 SH      SOLE                               16,735
KONINKLIJKE PHILIPS
 ELECTRONICS           COM     500472303         7       356 SH      SOLE                                  356
KOREA EQUITY FUND INC  COM     50063B104       940    96,338 SH      SOLE                               96,338
KRAFT FOODS INC CL A   COM     50075N104     2,051    53,853 SH      SOLE                               53,853
KRAFT FOODS INC-CLASS
 A                     COM     50075N104       114     3,000 SH           SH_DEF                  2                 3,000
KROGER CO              COM     501044101       272    11,200 SH      SOLE                               11,200
LABORATORY CORP OF
 AMER HOLDINGS         COM     50540R409         9       100 SH      SOLE                                  100
LAKE SHORE GOLD CORP   COM     510728108        78    75,200 SH      SOLE                               75,200
LAKE SHORE GOLD CORP   COM     510728108     1,029   996,500 SH      SOLE                              996,500
LANDAUER INC           COM     51476K103        16       300 SH      SOLE                                  300
LAS VEGAS SANDS INC    COM     517834107     1,038    18,000 SH      SOLE                               18,000
LEGG MASON INC         COM     524901105        12       437 SH           SH_DEF                  2                   437
LEUCADIA NATIONAL CORP COM     527288104        92     3,500 SH      SOLE                                3,500
LEVEL 3
 COMMUNICATIONS INC    COM     52729N308       387    15,000 SH      SOLE                               15,000
LEXMARK INTERNATIONAL
 INC                   COM     529771107       326     9,800 SH      SOLE                                9,800
LIFEPOINT HOSPITALS
 INC                   COM     53219L109     1,071    27,100 SH      SOLE                               27,100
LILLY (ELI) & COMPANY  COM     532457108       332     8,236 SH      SOLE                                8,236
LINDSAY CORPORATION    COM     535555106         7       100 SH      SOLE                                  100
LKQ CORPORATION        COM     501889208         7       225 SH      SOLE                                  225
LOCKHEED MARTIN CORP   COM     539830109         9       100 SH      SOLE                                  100
LOUISIANA-PACIFIC
 CORPORATION           COM     546347105        19     2,000 SH      SOLE                                2,000
LOWE'S COMPANIES       COM     548661107       635    20,205 SH      SOLE                               20,205
LPL INVESTMENT
 HOLDINGS INC          COM     50213H100       393    10,347 SH      SOLE                               10,347
LULULEMON ATHLETICA
 INC                   COM     550021109     1,270    17,000 SH CALL      SH_DEF                  1                17,000
LULULEMON ATHLETICA
 INC                   COM     550021109       523     7,000 SH PUT       SH_DEF                  1                 7,000
LULULEMON ATHLETICA
 INC                   COM     550021109        60       800 SH      SOLE                                  800
LUMINEX CORP           COM     55027E102         1        24 SH      SOLE                                   24
M & T BANK CORP        COM     55261F104     1,521    17,475 SH      SOLE                               17,475






                                                                                       
MAD CATZ INTERACTIVE   COM     556162105         2      3,000 SH           SH_DEF                  1                 3,000
MAD CATZ INTERACTIVE   COM     556162105         0        118 SH           SH_DEF                  1                   118
MAG SILVER CORP        COM     55903Q104     1,104    109,000 SH CALL      SH_DEF                  1               109,000
MAGNA INTERNATIONAL
 INC                   COM     559222401     5,350    112,200 SH CALL      SH_DEF                  1               112,200
MAGNA INTERNATIONAL
 INC                   COM     559222401     2,084     43,700 SH PUT       SH_DEF                  1                43,700
MAGNA INTERNATIONAL
 INC                   COM     559222401   118,657  2,488,650 SH      SOLE                            2,488,650
MAGNA INTERNATIONAL
 INC                   COM     559222401     2,870     60,192 SH      SOLE                               60,192
MAGNA INTERNATIONAL
 INC                   COM     559222401     8,478    177,807 SH           SH_DEF                  1               177,807
MAGNA INTERNATIONAL
 INC-CL A              COM     559222401         1         26 SH      SOLE                                   26
MAGNA INTL INC         COM     559222401        29        600 SH           SH_DEF                  1                   600
MAIDEN HOLDINGS LTD    COM     G5753U112       225     25,000 SH      SOLE                               25,000
MANULIFE FINANCIAL
 CORP                  COM     56501R106     4,500    332,100 SH CALL SOLE                              332,100
MANULIFE FINANCIAL
 CORP                  COM     56501R106   127,790  9,435,300 SH CALL      SH_DEF                  1             9,435,300
MANULIFE FINANCIAL
 CORP                  COM     56501R106     2,179    160,800 SH PUT  SOLE                              160,800
MANULIFE FINANCIAL
 CORP                  COM     56501R106     7,506    554,200 SH PUT       SH_DEF                  1               554,200
MANULIFE FINANCIAL
 CORP                  COM     56501R106         1        100 SH           SH_DEF                  2                   100
MANULIFE FINANCIAL
 CORP                  COM     56501R106   409,967 30,269,583 SH      SOLE                           30,269,583
MANULIFE FINANCIAL
 CORP                  COM     56501R106    11,654    860,449 SH      SOLE                              860,449
MANULIFE FINANCIAL
 CORP                  COM     56501R106        27      2,000 SH           SH_DEF                  1                 2,000
MANULIFE FINANCIAL
 CORP                  COM     56501R106     2,030    150,000 SH           SH_DEF                  1               150,000
MANULIFE FINANCIAL
 CORP                  COM     56501R106        11        800 SH           SH_DEF                  1                   800
MANULIFE FINANCIAL
 CORP                  COM     56501R106        31      2,311 SH           SH_DEF                  1                 2,311
MANULIFE FINANCIAL
 CORP                  COM     56501R106    35,978  2,656,434 SH           SH_DEF                  1             2,656,434
MARATHON OIL CORP      COM     565849106        93      2,945 SH      SOLE                                2,945
MARATHON OIL
 CORPORATION           COM     565849106     1,263     39,775 SH      SOLE                               39,775
MARATHON PETROLEUM
 CORP                  COM     56585A102         1         14 SH      SOLE                                   14
MARATHON PETROLEUM
 CORP                  COM     56585A102       518     11,925 SH      SOLE                               11,925
MARKET VECTORS GOLD
 MINERS                COM     57060U100        72      1,447 SH      SOLE                                1,447
MARRIOTT
 INTERNATIONAL INC
 CLASS A               COM     571903202        10        265 SH      SOLE                                  265
MARSH & MCLENNAN
 COMPANIES INC         COM     571748102       557     16,950 SH      SOLE                               16,950







                                                                                      
MASTERCARD INC CLASS A COM     57636Q104       190       450 SH      SOLE                                  450
MATERIALS SELECT
 SECTOR SPDR           COM     81369Y100       460    12,439 SH      SOLE                               12,439
MCCORMICK & CO INC NVS COM     579780206        76     1,400 SH      SOLE                                1,400
MCDONALDS CORP         COM     580135101       245     2,500 SH      SOLE                                2,500
MCDONALD'S CORPORATION COM     580135101     4,891    49,763 SH      SOLE                               49,763
MCEWEN MINING INC      COM     58039P107        26     6,200 SH           SH_DEF                  1                 6,200
MCGRAW-HILL COMPANIES
 INC                   COM     580645109       552    11,375 SH      SOLE                               11,375
MCKESSON CORPORATION   COM     58155Q103        35       400 SH      SOLE                                  400
MDC PARTNERS INC CL-A
 SV                    COM     552697104         1        81 SH           SH_DEF                  1                    81
MEDCO HEALTH
 SOLUTIONS INC         COM     58405U102       119     1,684 SH      SOLE                                1,684
MEDTRONIC INC          COM     585055106       404    10,295 SH      SOLE                               10,295
MELCO CROWN
 ENTERTAINMENT LTD ADR COM     585464100       136    10,000 SH      SOLE                               10,000
MEMC ELECTRONIC
 MATERIALS             COM     552715104         1       400 SH      SOLE                                  400
MERCK & CO INC         COM     58933Y105     4,468   116,119 SH      SOLE                              116,119
MERCURY GENERAL CORP   COM     589400100         2        46 SH           SH_DEF                  1                    46
METHANEX CORP          COM     59151K108       391    12,000 SH CALL      SH_DEF                  1                12,000
METHANEX CORP          COM     59151K108       440    13,500 SH PUT       SH_DEF                  1                13,500
METHANEX CORP          COM     59151K108     1,716    52,700 SH      SOLE                               52,700
METHANEX CORP          COM     59151K108       314     9,650 SH      SOLE                                9,650
METLIFE INC            COM     59156R108     4,502   120,304 SH      SOLE                              120,304
MGIC INVT CORP WIS     COM     552848103         5     1,000 SH           SH_DEF                  1                 1,000
MI DEVELOPMENTS INC    COM     55304X104       672    19,400 SH      SOLE                               19,400
MI DEVELOPMENTS INC    COM     55304X104       276     8,000 SH           SH_DEF                  1                 8,000
MI DEVELOPMENTS INC    COM     55304X104     7,359   213,500 SH           SH_DEF                  1               213,500
MI DEVELOPMENTS INC    COM     55304X104       224     6,500 SH           SH_DEF                  1                 6,500
MI DEVELOPMENTS INC
 CL A SVS              COM     55304X104       870    25,110 SH      SOLE                               25,110
MICROCHIP TECHNOLOGY
 INC                   COM     595017104        58     1,550 SH      SOLE                                1,550
MICROSOFT CORP         COM     594918104        13       400 SH           SH_DEF                  2                   400
MICROSOFT CORP         COM     594918104        84     2,600 SH      SOLE                                2,600
MICROSOFT CORPORATION  COM     594918104     8,312   257,237 SH      SOLE                              257,237
MIDAS INC              COM     595626102       245    21,300 SH      SOLE                               21,300
MIDDLEBY CORP          COM     596278101        79       775 SH      SOLE                                  775
MIDWAY GOLD CORP       COM     598153104         0         9 SH           SH_DEF                  1                     9
MINEFINDERS CORP       COM     602900102        80     5,700 SH CALL      SH_DEF                  1                 5,700
MINEFINDERS CORP       COM     602900102       230    16,400 SH      SOLE                               16,400
MINEFINDERS
 CORPORATION LTD       COM     602900102        70     5,000 SH      SOLE                                5,000
MOLEX INC              COM     608554101         8       300 SH      SOLE                                  300
MOLSON COORS BREWING
 COMPANY CL B          COM     60871R209       249     5,500 SH      SOLE                                5,500
MONEYGRAM INTL INC NEW COM     60935Y208         2        87 SH      SOLE                                   87
MONSANTO CO            COM     61166W101       104     1,300 SH      SOLE                                1,300
MONSANTO COMPANY       COM     61166W101       198     2,479 SH      SOLE                                2,479
MOODY'S CORPORATION    COM     615369105       194     4,600 SH      SOLE                                4,600
MORGAN STANLEY         COM     617446448       116     5,910 SH      SOLE                                5,910
MOSAIC COMPANY         COM     61945C103        61     1,100 SH      SOLE                                1,100






                                                                                      
MOTOROLA MOBILITY
 HOLDINGS INC          COM     620097105        44     1,123 SH      SOLE                                1,123
MOTOROLA SOLUTIONS INC COM     620076307        65     1,283 SH      SOLE                                1,283
MSCI INC CLASS A       COM     55354G100        81     2,200 SH      SOLE                                2,200
NABORS INDUSTRIES LTD  COM     G6359F103       170     9,700 SH      SOLE                                9,700
NATIONAL GRID PLC SP
 ADR                   COM     636274300       111     2,200 SH      SOLE                                2,200
NATIONAL OILWELL
 VARCO INC NEW         COM     637071101         8       100 SH      SOLE                                  100
NATIONSTAR MORTGAGE
 HOLDINGS              COM     63861C109        11       740 SH      SOLE                                  740
NAVISTAR INTL CORP     COM     63934E108        24       600 SH      SOLE                                  600
NEVSUN RESOURCES LTD   COM     64156L101        55    15,000 SH CALL      SH_DEF                  1                15,000
NEVSUN RESOURCES LTD   COM     64156L101       120    32,500 SH PUT       SH_DEF                  1                32,500
NEVSUN RESOURCES LTD   COM     64156L101       145    39,400 SH      SOLE                               39,400
NEVSUN RESOURCES LTD   COM     64156L101        67    18,200 SH           SH_DEF                  1                18,200
NEW GERMANY FUND INC   COM     644465106       691    45,700 SH      SOLE                               45,700
NEW GOLD INC           COM     644535106     1,380   139,800 SH CALL      SH_DEF                  1               139,800
NEW GOLD INC           COM     644535106       785    79,500 SH PUT       SH_DEF                  1                79,500
NEW GOLD INC           COM     644535106       861    87,200 SH      SOLE                               87,200
NEW GOLD INC           COM     644535106     1,284   130,020 SH      SOLE                              130,020
NEW GOLD INC           COM     644535106         4       400 SH           SH_DEF                  1                   400
NEW GOLD INC           COM     644535106         0        12 SH           SH_DEF                  1                    12
NEW GOLD INC           COM     644535106       493    49,900 SH           SH_DEF                  1                49,900
NEW YORK & COMPANY INC COM     649295102        80    21,300 SH      SOLE                               21,300
NEWMONT MINING CORP    COM     651639106       260     5,075 SH      SOLE                                5,075
NEWMONT MINING
 CORP-HOLDING COMPANY  COM     651639106       869    16,910 SH      SOLE                               16,910
NEWS CORP-CL A         COM     65248E104        34     1,700 SH      SOLE                                1,700
NEWS CORPORATION
 CLASS A               COM     65248E104         1        54 SH      SOLE                                   54
NEXEN INC              COM     65334H102     1,835   100,000 SH CALL SOLE                              100,000
NEXEN INC              COM     65334H102     5,873   320,300 SH CALL      SH_DEF                  1               320,300
NEXEN INC              COM     65334H102    22,089 1,204,700 SH PUT       SH_DEF                  1             1,204,700
NEXEN INC              COM     65334H102   104,349 5,691,008 SH      SOLE                            5,691,008
NEXEN INC              COM     65334H102     4,073   222,120 SH      SOLE                              222,120
NEXEN INC              COM     65334H102        37     2,000 SH           SH_DEF                  1                 2,000
NEXEN INC              COM     65334H102         1        64 SH           SH_DEF                  1                    64
NEXEN INC              COM     65334H102        92     5,000 SH           SH_DEF                  1                 5,000
NEXEN INC              COM     65334H102    17,091   932,094 SH           SH_DEF                  1               932,094
NEXTERA ENERGY INC     COM     65339F101       325     5,305 SH      SOLE                                5,305
NIDEC CORPORATION ADR  COM     654090109         8       340 SH      SOLE                                  340
NIKE INC CL B          COM     654106103     3,270    30,100 SH      SOLE                               30,100
NIKE INC -CL B         COM     654106103        76       700 SH           SH_DEF                  2                   700
NOKIA CORP ADR         COM     654902204         4       640 SH      SOLE                                  640
NORDION INC            COM     65563C105         9       908 SH           SH_DEF                  2                   908
NORDION INC            COM     65563C105       125    12,900 SH      SOLE                               12,900
NORDION INC            COM     65563C105        19     2,000 SH      SOLE                                2,000
NORDION INC            COM     65563C105        91     9,400 SH           SH_DEF                  1                 9,400
NORDION INC            COM     65563C105        91     9,400 SH           SH_DEF                  1                 9,400
NORTH AMER PALLADIUM
 LTD                   COM     656912102        11     4,000 SH CALL      SH_DEF                  1                 4,000
NORTH AMER PALLADIUM
 LTD                   COM     656912102        72    27,100 SH      SOLE                               27,100






                                                                                      
NORTHERN DYNASTY
 MINERALS              COM     66510M204        90    14,800 SH      SOLE                               14,800
NORTHERN TRUST
 CORPORATION           COM     665859104       529    11,120 SH      SOLE                               11,120
NORTHROP GRUMMAN CORP  COM     666807102         3        50 SH      SOLE                                   50
NORTHWEST PIPE COMPANY COM     667746101       277    13,000 SH      SOLE                               13,000
NOVAGOLD RESOURCES INC COM     66987E206         6       900 SH CALL      SH_DEF                  1                   900
NOVAGOLD RESOURCES INC COM     66987E206       681    94,900 SH      SOLE                               94,900
NOVAGOLD RESOURCES INC COM     66987E206        13     1,793 SH      SOLE                                1,793
NOVARTIS AG SPONSORED
 ADR                   COM     66987V109     1,069    19,248 SH      SOLE                               19,248
NOVO-NORDISK A/S ADR   COM     670100205       284     2,040 SH      SOLE                                2,040
NUCOR CORPORATION      COM     670346105        45     1,050 SH      SOLE                                1,050
OCCIDENTAL PETROLEUM
 CORP                  COM     674599105     1,281    13,427 SH      SOLE                               13,427
OLD DOMINION FREIGHT
 LINE                  COM     679580100         5       100 SH      SOLE                                  100
OMNICOM GROUP INC      COM     681919106     1,049    20,665 SH      SOLE                               20,665
ONCOLYTICS BIOTECH INC COM     682310107         8     2,000 SH      SOLE                                2,000
OPEN TEXT CORP         COM     683715106       459     7,500 SH CALL      SH_DEF                  1                 7,500
OPEN TEXT CORP         COM     683715106       367     6,000 SH PUT       SH_DEF                  1                 6,000
OPEN TEXT CORP         COM     683715106       673    11,000 SH      SOLE                               11,000
OPEN TEXT CORP         COM     683715106        79     1,300 SH           SH_DEF                  1                 1,300
OPEN TEXT CORPORATION  COM     683715106       362     5,920 SH      SOLE                                5,920
ORACLE CORP            COM     68389X105        23       800 SH      SOLE                                  800
ORACLE CORPORATION     COM     68389X105     2,766    94,670 SH      SOLE                               94,670
O'REILLY AUTOMOTIVE
 INC                   COM     67103H107         9       100 SH      SOLE                                  100
ORIENT-EXPRESS HOTELS
 LTD A                 COM     G67743107       255    25,000 SH      SOLE                               25,000
PACCAR INC             COM     693718108        35       742 SH      SOLE                                  742
PAN AMERICAN SILVER
 CORP                  COM     697900108     1,547    70,100 SH CALL      SH_DEF                  1                70,100
PAN AMERICAN SILVER
 CORP                  COM     697900108     2,149    97,400 SH PUT       SH_DEF                  1                97,400
PAN AMERICAN SILVER
 CORP                  COM     697900108     1,108    50,200 SH      SOLE                               50,200
PAN AMERICAN SILVER
 CORP                  COM     697900108         9       390 SH      SOLE                                  390
PAN AMERICAN SILVER
 CORP                  COM     697900108        22     1,000 SH      SOLE                                1,000
PAN AMERICAN SILVER
 CORP                  COM     697900108         0        12 SH           SH_DEF                  1                    12
PAN AMERICAN SILVER
 CORP                  COM     697900108       662    30,000 SH           SH_DEF                  1                30,000
PARKER DRILLING CO     COM     701081101        21     3,500 SH      SOLE                                3,500
PARKER HANNIFIN CORP   COM     701094104        11       135 SH      SOLE                                  135
PARTNERRE LTD          COM     G6852T105        44       650 SH      SOLE                                  650
PATRIOT COAL CORP      COM     70336T104         0        40 SH      SOLE                                   40
PATTERSON COMPANIES
 INC                   COM     703395103       346    10,340 SH      SOLE                               10,340
PAYCHEX INC            COM     704326107       426    13,735 SH      SOLE                               13,735
PEABODY ENERGY CORP    COM     704549104         9       300 SH      SOLE                                  300
PENGROWTH ENERGY CORP  COM     70706P104        23     2,500 SH CALL      SH_DEF                  1                 2,500
PENGROWTH ENERGY CORP  COM     70706P104        14     1,500 SH PUT       SH_DEF                  1                 1,500






                                                                                      
PENGROWTH ENERGY CORP  COM     70706P104     1,474   157,200 SH      SOLE                              157,200
PENGROWTH ENERGY CORP  COM     70706P104     1,069   114,006 SH      SOLE                              114,006
PENN WEST PETROLEUM
 LTD                   COM     707887105     4,555   233,100 SH CALL      SH_DEF                  1               233,100
PENN WEST PETROLEUM
 LTD                   COM     707887105       614    31,400 SH PUT       SH_DEF                  1                31,400
PENN WEST PETROLEUM
 LTD                   COM     707887105    97,200 4,974,700 SH      SOLE                            4,974,700
PENN WEST PETROLEUM
 LTD                   COM     707887105     4,918   251,681 SH      SOLE                              251,681
PENN WEST PETROLEUM
 LTD                   COM     707887105        23     1,200 SH           SH_DEF                  1                 1,200
PENN WEST PETROLEUM
 LTD                   COM     707887105       114     5,850 SH           SH_DEF                  1                 5,850
PENN WEST PETROLEUM
 LTD                   COM     707887105     6,230   318,860 SH           SH_DEF                  1               318,860
PEPSICO INC            COM     713448108    12,039   181,089 SH      SOLE                              181,089
PETROLEO BRASILEIRO
 S.A. ADR              COM     71654V101       734    28,645 SH      SOLE                               28,645
PETROLEO BRASILEIRO
 SA ADR                COM     71654V408       680    25,546 SH      SOLE                               25,546
PFIZER INC             COM     717081103         6       250 SH           SH_DEF                  2                   250
PFIZER INC             COM     717081103        34     1,500 SH      SOLE                                1,500
PFIZER INC             COM     717081103     7,269   320,141 SH      SOLE                              320,141
PG & E CORPORATION     COM     69331C108       391     9,001 SH      SOLE                                9,001
PHILIP MORRIS
 INTERNATIONAL         COM     718172109     4,628    52,125 SH      SOLE                               52,125
PHOTRONICS INC         COM     719405102       200    30,025 SH      SOLE                               30,025
PLUM CREEK TIMBER
 COMPANY INC           COM     729251108        42     1,000 SH      SOLE                                1,000
POLYMET MINING CORP    COM     731916102       221   191,800 SH      SOLE                              191,800
POSCO SPONSORED ADR    COM     693483109       447     5,335 SH      SOLE                                5,335
POST HOLDINGS INC      COM     737446104         1        16 SH      SOLE                                   16
POTASH CORP OF SASK
 INC                   COM     73755L107        37       800 SH           SH_DEF                  1                   800
POTASH CORP OF SASK
 INC                   COM     73755L107        91     2,000 SH           SH_DEF                  1                 2,000
POTASH CORP OF SASK
 INC                   COM     73755L107       269     5,900 SH           SH_DEF                  1                 5,900
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107     4,126    90,300 SH CALL SOLE                               90,300
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107    10,099   221,200 SH CALL      SH_DEF                  1               221,200
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107     6,027   131,900 SH PUT  SOLE                              131,900
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107    13,148   288,000 SH PUT       SH_DEF                  1               288,000
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107   409,065 8,960,092 SH      SOLE                            8,960,092
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107     1,510    30,439 SH      SOLE                               30,439
POTASH CORP OF
 SASKATCHEWAN          COM     73755L107    36,398   797,375 SH           SH_DEF                  1               797,375
POTASH CORPORATION OF
 SASKATCHEWAN          COM     73755L107     7,299   159,872 SH      SOLE                              159,872






                                                                                      
POWERSHARES EXCH INTL
 DIV ACHIEVERS         COM     73935X716         3       200 SH      SOLE                                  200
POWERSHARES QQQ TRUST
 SERIES 1              COM     73935A104       168     2,485 SH      SOLE                                2,485
PRAXAIR INC            COM     74005P104       120     1,045 SH      SOLE                                1,045
PRECISION DRILLING
 CORP                  COM     74022D308        30     3,000 SH           SH_DEF                  1                 3,000
PRECISION DRILLING
 CORP                  COM     74022D308       597    59,400 SH      SOLE                               59,400
PRECISION DRILLING
 CORPORATION           COM     74022D308       347    34,535 SH      SOLE                               34,535
PRETIUM RESOURCES INC  COM     74139C102       249    17,400 SH      SOLE                               17,400
PRETIUM RESOURCES INC  COM     74139C102       214    15,000 SH      SOLE                               15,000
PRIMERO MINING CORP    COM     74164W106         3     1,200 SH           SH_DEF                  1                 1,200
PRIMERO MINING CORP    COM     74164W106        48    18,500 SH           SH_DEF                  1                18,500
PRIMUS
 TELECOMMUNICATIONS
 GROUP INC             COM     741929301       354    22,000 SH      SOLE                               22,000
PROCTER & GAMBLE CO    COM     742718109        34       500 SH           SH_DEF                  2                   500
PROCTER & GAMBLE CO    COM     742718109       242     3,600 SH      SOLE                                3,600
PROCTER & GAMBLE
 COMPANY               COM     742718109    21,541   319,871 SH      SOLE                              319,871
PROGRESS ENERGY INC    COM     743263105        48       900 SH      SOLE                                  900
PROGRESSIVE CORP OHIO  COM     743315103        42     1,800 SH      SOLE                                1,800
PROGRESSIVE WASTE
 SOLS LT               COM     74339G101         4       200 SH           SH_DEF                  1                   200
PROGRESSIVE WASTE
 SOLUTIONS LTD         COM     74339G101       622    28,615 SH      SOLE                               28,615
PROSHARES SHORT S&P500 COM     74347R503        36     1,000 SH      SOLE                                1,000
PROSHARES ULTRA MSCI
 EURO                  COM     74348A301        36     1,000 SH           SH_DEF                  1                 1,000
PROSHARES ULTRA
 QQQ-NEW               COM     74347X237        30     1,000 SH           SH_DEF                  1                 1,000
PROSHARES ULTRA SILVER COM     74347W841        33       600 SH      SOLE                                  600
PROSHARES ULTRAPRO
 S&P 500               COM     74347X864       254     3,000 SH PUT  SOLE                                3,000
PROSHARES ULTRAPRO
 S&P 500               COM     74347X864        59       700 SH      SOLE                                  700
PROSHARES ULTRASHORT
 LEHMAN 20+YR          COM     74347R297       123     6,000 SH      SOLE                                6,000
PROSHARES ULTRASHORT
 S&P500                COM     74347R883       905    60,000 SH      SOLE                               60,000
PROSHARES ULTRASHORT
 YEN                   COM     74347W569        94     2,000 SH      SOLE                                2,000
PROSHRS ULTRASRT
 LEH20+YR              COM     74347R297        61     3,000 SH           SH_DEF                  1                 3,000
PROVIDENT ENERGY LTD   COM     74386V100        12     1,000 SH CALL      SH_DEF                  1                 1,000
PROVIDENT ENERGY LTD   COM     74386V100     2,362   195,702 SH      SOLE                              195,702
PROVIDENT ENERGY LTD   COM     74386V100        38     3,200 SH           SH_DEF                  1                 3,200
PRUDENTIAL PLC-ADR     COM     74435K204       772    30,577 SH      SOLE                               30,577
PUBLIC STORAGE         COM     74460D109       785    30,902 SH      SOLE                               30,902
PULTEGROUP INC         COM     745867101         9     1,000 SH      SOLE                                1,000
QLT INC                COM     746927102        14     2,000 SH      SOLE                                2,000
QLT INC                COM     746927102         1        92 SH           SH_DEF                  1                    92
QUALCOMM INC           COM     747525103       582     8,545 SH      SOLE                                8,545
QUALITY SYSTEMS INC    COM     747582104        70     1,600 SH      SOLE                                1,600






                                                                                      
QUEST RARE MINERALS
 LTD                   COM     74836T101        36    14,000 SH           SH_DEF                  1                14,000
QUEST RARE MINERALS
 LTD                   COM     74836T101         0        31 SH           SH_DEF                  1                    31
RALCORP HOLDINGS INC   COM     751028101         2        33 SH      SOLE                                   33
RANDGOLD RESOURCES
 LIMITED ADR           COM     752344309       788     8,944 SH      SOLE                                8,944
RANDGOLD RESOURCES
 LTD-ADR               COM     752344309        26       300 SH      SOLE                                  300
RARE ELEMENT RESOURCE
 LTD                   COM     75381M102         0        22 SH           SH_DEF                  1                    22
RARE ELEMENT
 RESOURCES LTD         COM     75381M102        95    15,000 SH      SOLE                               15,000
RAYONIER INC           COM     754907103        27       600 SH      SOLE                                  600
RAYTHEON COMPANY       COM     755111507       227     4,300 SH      SOLE                                4,300
RESEARCH IN MOTION     COM     760975102    36,265 2,467,000 SH CALL SOLE                            2,467,000
RESEARCH IN MOTION     COM     760975102     2,587   176,400 SH CALL      SH_DEF                  1               176,400
RESEARCH IN MOTION     COM     760975102     2,326   158,200 SH PUT  SOLE                              158,200
RESEARCH IN MOTION     COM     760975102     1,763   120,200 SH PUT       SH_DEF                  1               120,200
RESEARCH IN MOTION     COM     760975102    73,361 5,001,883 SH      SOLE                            5,001,883
RESEARCH IN MOTION     COM     760975102     7,155   487,832 SH           SH_DEF                  1               487,832
RESEARCH IN MOTION LTD COM     760975102     1,196    81,533 SH      SOLE                               81,533
RESEARCH IN MOTION LTD COM     760975102         3       200 SH           SH_DEF                  1                   200
REVETT MINERALS
 INC-NEW               COM     761505205         0        56 SH           SH_DEF                  1                    56
RIO TINTO PLC
 SPONSORED ADR         COM     767204100       252     4,525 SH      SOLE                                4,525
RIO TINTO PLC-SPON ADR COM     767204100     4,447    80,000 SH PUT  SOLE                               80,000
RITCHIE BROS.
 AUCTIONEERS           COM     767744105         5       200 SH      SOLE                                  200
ROCHESTER MEDICAL CORP COM     771497104       472    48,000 SH      SOLE                               48,000
ROCKWELL AUTOMATION
 INC                   COM     773903109        45       560 SH      SOLE                                  560
ROGERS
 COMMUNICATION-B NV    COM     775109200        71     1,800 SH           SH_DEF                  1                 1,800
ROGERS
 COMMUNICATION-B NV    COM     775109200         6       146 SH           SH_DEF                  1                   146
ROGERS
 COMMUNICATION-B NV    COM     775109200        83     2,100 SH           SH_DEF                  1                 2,100
ROGERS
 COMMUNICATION-B NV    COM     775109200       226     5,700 SH           SH_DEF                  1                 5,700
ROGERS COMMUNICATIONS
 -CL B                 COM     775109200    16,531   416,400 SH CALL      SH_DEF                  1               416,400
ROGERS COMMUNICATIONS
 -CL B                 COM     775109200    13,109   330,200 SH PUT       SH_DEF                  1               330,200
ROGERS COMMUNICATIONS
 -CL B                 COM     775109200   185,761 4,679,212 SH      SOLE                            4,679,212
ROGERS COMMUNICATIONS
 -CL B                 COM     775109200    12,956   326,356 SH           SH_DEF                  1               326,356
ROGERS COMMUNICATIONS
 INC CL B NVS          COM     775109200    15,009   378,059 SH      SOLE                              378,059
ROYAL BANK OF CANADA   COM     780087102    17,126   295,500 SH CALL SOLE                              295,500
ROYAL BANK OF CANADA   COM     780087102   126,052 2,175,000 SH CALL      SH_DEF                  1             2,175,000
ROYAL BANK OF CANADA   COM     780087102    13,463   232,300 SH PUT  SOLE                              232,300
ROYAL BANK OF CANADA   COM     780087102       644    11,100 SH PUT  SOLE                               11,100






                                                                                       
ROYAL BANK OF CANADA   COM     780087102    50,612    873,300 SH PUT       SH_DEF                  1               873,300
ROYAL BANK OF CANADA   COM     780087102        84      1,500 SH           SH_DEF                  2                 1,500
ROYAL BANK OF CANADA   COM     780087102 3,181,087 54,889,017 SH      SOLE                           54,889,017
ROYAL BANK OF CANADA   COM     780087102     1,805     31,086 SH      SOLE                               31,086
ROYAL BANK OF CANADA   COM     780087102   127,413  2,198,494 SH      SOLE                            2,198,494
ROYAL BANK OF CANADA   COM     780087102        69      1,183 SH           SH_DEF                  1                 1,183
ROYAL BANK OF CANADA   COM     780087102       919     15,870 SH           SH_DEF                  1                15,870
ROYAL BANK OF CANADA   COM     780087102    61,375  1,059,008 SH           SH_DEF                  1             1,059,008
ROYAL BK SCOT 5.75%
 SER-L ADR PFD         COM     780097788        14        740 SH      SOLE                                  740
ROYAL DUTCH SHELL PLC
 ADR CL A              COM     780259206     3,077     43,786 SH      SOLE                               43,786
ROYAL DUTCH SHELL PLC
 SPON ADR B            COM     780259107       149      2,100 SH      SOLE                                2,100
ROYAL GOLD INC         COM     780287108         6         93 SH      SOLE                                   93
ROYAL GOLD INC         COM     780287108       157      2,400 SH      SOLE                                2,400
ROYAL GOLD INC         COM     780287108        33        510 SH      SOLE                                  510
ROYCE MICRO-CAP TRUST
 INC                   COM     780915104       172     18,248 SH      SOLE                               18,248
RPM INTERNATIONAL INC  COM     749685103       116      4,435 SH      SOLE                                4,435
RUBICON MINERALS CORP  COM     780911103        30      9,100 SH CALL      SH_DEF                  1                 9,100
RUBICON MINERALS CORP  COM     780911103        16      5,000 SH PUT       SH_DEF                  1                 5,000
RUBICON MINERALS CORP  COM     780911103       172     52,500 SH      SOLE                               52,500
RUBICON MINERALS CORP  COM     780911103        10      3,000 SH           SH_DEF                  1                 3,000
S&P 500 INDEX          COM     464287900    64,411    457,300 SH CALL SOLE                              457,300
S&P 500 INDEX          COM     464287900    40,438    287,100 SH PUT  SOLE                              287,100
SANOFI                 COM     80105N105     1,017     26,190 SH      SOLE                               26,190
SAP AG                 COM     803054204     1,502     21,465 SH      SOLE                               21,465
SASOL LIMITED
 SPONSORED ADR         COM     803866300       434      8,905 SH      SOLE                                8,905
SCANSOURCE INC         COM     806037107        58      1,550 SH      SOLE                                1,550
SCHLUMBERGER LTD       COM     806857108     1,182     16,875 SH      SOLE                               16,875
SCHWAB, CHARLES CORP   COM     808513105        10        675 SH      SOLE                                  675
SEADRILL LTD           COM     G7945E105       188      5,000 SH      SOLE                                5,000
SEASPAN CORP           COM     Y75638109       261     15,000 SH      SOLE                               15,000
SECTOR SPDR
 TR-UTILITIES          COM     81369Y886        63      1,802 SH      SOLE                                1,802
SEMICONDUCTOR MFG
 INTL CORP ADR         COM     81663N206       236     98,300 SH      SOLE                               98,300
SEMPRA ENERGY          COM     816851109        98      1,630 SH      SOLE                                1,630
SERVICE CORPORATION
 INTERNATIONAL         COM     817565104        56      5,000 SH      SOLE                                5,000
SHAW COMMUNICATION-B
 NV                    COM     82028K200        82      3,900 SH           SH_DEF                  1                 3,900
SHAW COMMUNICATION-B
 NV                    COM     82028K200         0          8 SH           SH_DEF                  1                     8
SHAW COMMUNICATION-B
 NV                    COM     82028K200       346     16,400 SH           SH_DEF                  1                16,400
SHAW COMMUNICATION-B
 NV                    COM     82028K200       152      7,200 SH           SH_DEF                  1                 7,200
SHAW COMMUNICATIONS
 INC CL B NVS          COM     82028K200    13,792    651,704 SH      SOLE                              651,704
SHAW COMMUNICATIONS
 INC-B                 COM     82028K200     2,901    137,100 SH CALL      SH_DEF                  1               137,100







                                                                                      
SHAW COMMUNICATIONS
 INC-B                 COM     82028K200       514    24,300 SH PUT       SH_DEF                  1                24,300
SHAW COMMUNICATIONS
 INC-B                 COM     82028K200   150,484 7,110,756 SH      SOLE                            7,110,756
SHAW COMMUNICATIONS
 INC-B                 COM     82028K200     6,149   290,558 SH           SH_DEF                  1               290,558
SHERWIN-WILLIAMS
 COMPANY (THE)         COM     824348106       274     2,515 SH      SOLE                                2,515
SIEMENS AG SPONSORED
 ADR                   COM     826197501       940     9,300 SH      SOLE                                9,300
SIERRA WIRELESS INC    COM     826516106         7     1,000 SH CALL      SH_DEF                  1                 1,000
SIERRA WIRELESS INC    COM     826516106         4       500 SH           SH_DEF                  1                   500
SIERRA WIRELESS INC    COM     826516106         0        63 SH           SH_DEF                  1                    63
SIGMA-ALDRICH CORP     COM     826552101        81     1,100 SH      SOLE                                1,100
SILVER BULL RESOURCES
 INC                   COM     827458100         0       400 SH           SH_DEF                  1                   400
SILVER STANDARD RES
 INC                   COM     82823L106         1        83 SH           SH_DEF                  1                    83
SILVER STANDARD
 RESOURCES             COM     82823L106       919    61,000 SH CALL      SH_DEF                  1                61,000
SILVER STANDARD
 RESOURCES             COM     82823L106     1,729   114,800 SH PUT       SH_DEF                  1               114,800
SILVER STANDARD
 RESOURCES             COM     82823L106       407    27,000 SH      SOLE                               27,000
SILVER STANDARD
 RESOURCES             COM     82823L106        20     1,300 SH      SOLE                                1,300
SILVER STANDARD
 RESOURCES             COM     82823L106       503    33,377 SH           SH_DEF                  1                33,377
SILVER STANDARD
 RESOURCES INC         COM     82823L106         0        11 SH      SOLE                                   11
SILVER WHEATON CORP    COM     828336107       687    20,700 SH CALL SOLE                               20,700
SILVER WHEATON CORP    COM     828336107     3,926   118,400 SH CALL      SH_DEF                  1               118,400
SILVER WHEATON CORP    COM     828336107       996    30,000 SH PUT  SOLE                               30,000
SILVER WHEATON CORP    COM     828336107     2,938    88,600 SH PUT       SH_DEF                  1                88,600
SILVER WHEATON CORP    COM     828336107   101,273 3,053,800 SH      SOLE                            3,053,800
SILVER WHEATON CORP    COM     828336107       474    14,278 SH      SOLE                               14,278
SILVER WHEATON CORP    COM     828336107       668    20,155 SH      SOLE                               20,155
SILVER WHEATON CORP    COM     828336107     1,078    32,600 SH           SH_DEF                  1                32,600
SILVER WHEATON CORP    COM     828336107    30,146   909,037 SH           SH_DEF                  1               909,037
SILVERCORP METALS INC  COM     82835P103        43     6,200 SH CALL      SH_DEF                  1                 6,200
SILVERCORP METALS INC  COM     82835P103        59     8,600 SH PUT       SH_DEF                  1                 8,600
SILVERCORP METALS INC  COM     82835P103       255    37,000 SH      SOLE                               37,000
SILVERCORP METALS INC  COM     82835P103         7     1,000 SH           SH_DEF                  1                 1,000
SMART TECHNOLOGIES
 INC CL A SVS          COM     83172R108         3     1,000 SH      SOLE                                1,000
SMITH & NEPHEW PLC
 SPONSORED ADR         COM     83175M205       139     2,745 SH      SOLE                                2,745
SMITHFIELD FOODS INC   COM     832248108        40     1,800 SH      SOLE                                1,800
SMUCKER (J.M.) CO      COM     832696405        11       137 SH      SOLE                                  137
SOLERA HOLDINGS INC    COM     83421A104        74     1,600 SH      SOLE                                1,600
SONY CORPORATION SPON
 ADR                   COM     835699307         2       120 SH      SOLE                                  120
SOUTHERN COMPANY       COM     842587107       707    15,707 SH      SOLE                               15,707
SOUTHWEST AIRLINES CO  COM     844741108         2       270 SH      SOLE                                  270






                                                                                       
SPDR BARCLAYS CAPITAL
 HI YLD BD ETF         COM     78464A417       438     11,100 SH      SOLE                               11,100
SPDR DJIA ETF          COM     78467X109        85        645 SH      SOLE                                  645
SPDR FTSE/MACQUARIE
 GLB INFR 100 ETF      COM     78463X855       292      7,200 SH      SOLE                                7,200
SPDR GOLD TRUST        COM     78463V107    14,682     90,372 SH      SOLE                               90,372
SPDR S&P 500 ETF TRUST COM     78462F103     1,003      7,117 SH      SOLE                                7,117
SPDR S&P BIOTECH ETF   COM     78464A870        16        200 SH      SOLE                                  200
SPDR S&P DIVIDEND ETF  COM     78464A763       105      1,850 SH      SOLE                                1,850
SPDR S&P MIDCAP 400
 ETF TRUST             COM     78467Y107        23        125 SH      SOLE                                  125
SPDR TRUST SERIES 1    COM     78462F103     5,533     39,300 SH PUT  SOLE                               39,300
SPECTRA ENERGY CORP    COM     847560109       308      9,733 SH      SOLE                                9,733
SPX CORP               COM     784635104         0          1 SH           SH_DEF                  2                     1
SPX CORPORATION        COM     784635104        27        350 SH      SOLE                                  350
STANTEC INC            COM     85472N109       281      8,800 SH      SOLE                                8,800
STANTEC INC            COM     85472N109       550     17,250 SH      SOLE                               17,250
STAPLES INC            COM     855030102        29      1,800 SH      SOLE                                1,800
STARBUCKS CORPORATION  COM     855244109        90      1,600 SH      SOLE                                1,600
STATE STREET CORP      COM     857477103     1,373     30,115 SH      SOLE                               30,115
STATOIL ASA SPON ADR   COM     85771P102       144      5,311 SH      SOLE                                5,311
STEIN MART INC         COM     858375108       126     19,100 SH      SOLE                               19,100
STILLWATER MINING
 COMPANY               COM     86074Q102     1,266    100,000 SH      SOLE                              100,000
STRAYER EDUCATION INC  COM     863236105        57        600 SH      SOLE                                  600
STRYKER CORPORATION    COM     863667101        65      1,170 SH      SOLE                                1,170
STUDENT TRANSPORTATION COM     86388A108         1        200 SH           SH_DEF                  1                   200
SUN LIFE FINANCIAL INC COM     866796105    17,382    732,500 SH CALL      SH_DEF                  1               732,500
SUN LIFE FINANCIAL INC COM     866796105     7,484    315,400 SH PUT       SH_DEF                  1               315,400
SUN LIFE FINANCIAL INC COM     866796105   228,231  9,618,109 SH      SOLE                            9,618,109
SUN LIFE FINANCIAL INC COM     866796105     7,945    334,798 SH      SOLE                              334,798
SUN LIFE FINANCIAL INC COM     866796105       237     10,000 SH           SH_DEF                  1                10,000
SUN LIFE FINANCIAL INC COM     866796105        20        836 SH           SH_DEF                  1                   836
SUN LIFE FINANCIAL INC COM     866796105     1,076     45,481 SH           SH_DEF                  1                45,481
SUN LIFE FINANCIAL INC COM     866796105    11,669    491,754 SH           SH_DEF                  1               491,754
SUNCOR ENERGY INC      COM     867224107   541,136 16,562,849 SH      SOLE                           16,562,849
SUNCOR ENERGY INC      COM     867224107         2         72 SH      SOLE                                   72
SUNCOR ENERGY INC
 (NEW)                 COM     867224107    27,995    856,855 SH      SOLE                              856,855
SUNCOR ENERGY INC NEW  COM     867224107        36      1,100 SH           SH_DEF                  1                 1,100
SUNCOR ENERGY INC NEW  COM     867224107        82      2,500 SH           SH_DEF                  1                 2,500
SUNCOR ENERGY INC NEW  COM     867224107       131      4,008 SH           SH_DEF                  1                 4,008
SUNTECH POWER
 HOLDINGS ADR          COM     86800C104         0        150 SH      SOLE                                  150
SUPERVALU INC          COM     868536103       127     22,200 SH      SOLE                               22,200
SWISHER HYGIENE INC    COM     870808102        30     12,000 SH      SOLE                               12,000
SXC HEALTH SOLUTIONS
 CORP                  COM     78505P100        75      1,000 SH CALL      SH_DEF                  1                 1,000
SXC HEALTH SOLUTIONS
 CORP                  COM     78505P100        75      1,000 SH PUT       SH_DEF                  1                 1,000
SXC HEALTH SOLUTIONS
 CORP                  COM     78505P100   119,932  1,596,374 SH           SH_DEF                  2             1,596,374
SXC HEALTH SOLUTIONS
 CORP                  COM     78505P100       932     12,400 SH      SOLE                               12,400







                                                                                       
SXC HEALTH SOLUTIONS
 CORP                  COM     78505P100     1,164     15,500 SH      SOLE                               15,500
SXC HEALTH SOLUTIONS
 CORP                  COM     78505P100        38        500 SH           SH_DEF                  1                   500
SYSCO CORPORATION      COM     871829107       622     20,790 SH      SOLE                               20,790
T ROWE PRICE GROUP INC COM     74144T108       370      5,655 SH      SOLE                                5,655
TALISMAN ENERGY INC    COM     87425E103     3,563    283,400 SH CALL      SH_DEF                  1               283,400
TALISMAN ENERGY INC    COM     87425E103     4,615    367,100 SH PUT       SH_DEF                  1               367,100
TALISMAN ENERGY INC    COM     87425E103        10        800 SH           SH_DEF                  2                   800
TALISMAN ENERGY INC    COM     87425E103   136,653 10,870,097 SH      SOLE                           10,870,097
TALISMAN ENERGY INC    COM     87425E103     5,586    444,377 SH      SOLE                              444,377
TALISMAN ENERGY INC    COM     87425E103        50      4,000 SH           SH_DEF                  1                 4,000
TALISMAN ENERGY INC    COM     87425E103    11,908    947,264 SH           SH_DEF                  1               947,264
TARGET CORP            COM     87612E106     2,442     41,824 SH      SOLE                               41,824
TASEKO MINES LTD       COM     876511106       159     45,000 SH CALL      SH_DEF                  1                45,000
TASEKO MINES LTD       COM     876511106        58     16,500 SH PUT       SH_DEF                  1                16,500
TASEKO MINES LTD       COM     876511106       130     36,700 SH      SOLE                               36,700
TASMAN METALS LTD      COM     87652B103         2        800 SH           SH_DEF                  1                   800
TECHNOLOGY SELECT
 SECTOR SPDR FUND      COM     81369Y803       393     13,000 SH      SOLE                               13,000
TECK COMINCO LTD-CL B  COM     878742204     7,082    198,600 SH CALL SOLE                              198,600
TECK COMINCO LTD-CL B  COM     878742204    27,260    763,600 SH CALL      SH_DEF                  1               763,600
TECK COMINCO LTD-CL B  COM     878742204     4,939    138,500 SH PUT  SOLE                              138,500
TECK COMINCO LTD-CL B  COM     878742204    15,411    431,700 SH PUT       SH_DEF                  1               431,700
TECK COMINCO LTD-CL B  COM     878742204       250      7,000 SH PUT       SH_DEF                  1                 7,000
TECK COMINCO LTD-CL B  COM     878742204   183,809  5,148,819 SH      SOLE                            5,148,819
TECK COMINCO LTD-CL B  COM     878742204        64      1,797 SH      SOLE                                1,797
TECK COMINCO LTD-CL B  COM     878742204    16,475    461,499 SH           SH_DEF                  1               461,499
TECK RESOURCES LTD
 -B- SV                COM     878742204        25        700 SH           SH_DEF                  1                   700
TECK RESOURCES LTD
 -B- SV                COM     878742204        35        990 SH           SH_DEF                  1                   990
TECK RESOURCES LTD
 -B- SV                COM     878742204       271      7,600 SH           SH_DEF                  1                 7,600
TECK RESOURCES LTD CL
 B SVS                 COM     878742204     8,031    224,960 SH      SOLE                              224,960
TEEKAY CORPORATION     COM     Y8564W103       261      7,500 SH      SOLE                                7,500
TEKMIRA PHARMA CORP    COM     87911B209         0         20 SH           SH_DEF                  1                    20
TELEFLEX INCORPORATED  COM     879369106        74      1,200 SH      SOLE                                1,200
TELEFONICA S.A.
 SPONSORED ADR         COM     879382208         6        395 SH      SOLE                                  395
TELSA MOTORS INC       COM     88160R101         2         50 SH      SOLE                                   50
TELUS CORPORATION
 -NON VOTE             COM     87971M202   139,584  2,453,487 SH      SOLE                            2,453,487
TELUS CORPORATION
 -NON VOTE             COM     87971M202       154      2,700 SH           SH_DEF                  1                 2,700
TELUS CORPORATION NV   COM     87971M202     5,972    104,972 SH      SOLE                              104,972
TEMPLETON DRAGON FUND  COM     88018T101       716     25,200 SH      SOLE                               25,200
TENARIS S.A. ADR       COM     88031M109       227      5,935 SH      SOLE                                5,935
TERADYNE INC           COM     880770102         5        294 SH      SOLE                                  294
TESCO CORP             COM     88157K101        51      3,600 SH      SOLE                                3,600
TESORO CORP            COM     881609101         1         38 SH      SOLE                                   38
TEVA PHARMACEUTICAL
 INDUSTRIES ADR        COM     881624209     1,562     34,593 SH      SOLE                               34,593







                                                                                      
TEVA
 PHARMACEUTICAL-SP ADR COM     881624209     1,802    40,000 SH CALL SOLE                               40,000
TEXAS INSTRUMENTS INC  COM     882508104        40     1,193 SH      SOLE                                1,193
THERATECHNOLOGIES INC  COM     88338H100         0        47 SH           SH_DEF                  1                    47
THERMO FISHER
 SCIENTIFIC            COM     883556102       102     1,800 SH      SOLE                                1,800
THOMPSON CREEK METALS
 CO INC                COM     884768102       303    44,700 SH CALL      SH_DEF                  1                44,700
THOMPSON CREEK METALS
 CO INC                COM     884768102       382    56,300 SH PUT       SH_DEF                  1                56,300
THOMPSON CREEK METALS
 CO INC                COM     884768102       270    39,800 SH      SOLE                               39,800
THOMPSON CREEK METALS
 CO INC                COM     884768102       108    15,900 SH           SH_DEF                  1                15,900
THOMPSON CREEK METALS
 COMPANY               COM     884768102       172    25,425 SH      SOLE                               25,425
THOMSON REUTERS CORP   COM     884903105     2,695    93,200 SH CALL      SH_DEF                  1                93,200
THOMSON REUTERS CORP   COM     884903105     3,238   112,000 SH PUT       SH_DEF                  1               112,000
THOMSON REUTERS CORP   COM     884903105   120,525 4,168,639 SH      SOLE                            4,168,639
THOMSON REUTERS CORP   COM     884903105        72     2,476 SH      SOLE                                2,476
THOMSON REUTERS CORP   COM     884903105       495    17,141 SH           SH_DEF                  1                17,141
THOMSON REUTERS CORP   COM     884903105     9,665   334,303 SH           SH_DEF                  1               334,303
THOMSON REUTERS
 CORPORATION           COM     884903105    13,398   463,398 SH      SOLE                              463,398
THOR INDUSTRIES INC    COM     885160101       325    15,400 SH      SOLE                               15,400
TIM HORTONS INC        COM     88706M103     2,038    38,100 SH CALL      SH_DEF                  1                38,100
TIM HORTONS INC        COM     88706M103     1,658    31,000 SH PUT       SH_DEF                  1                31,000
TIM HORTONS INC        COM     88706M103    26,899   502,850 SH      SOLE                              502,850
TIM HORTONS INC        COM     88706M103         5       100 SH      SOLE                                  100
TIM HORTONS INC        COM     88706M103    10,794   201,772 SH      SOLE                              201,772
TIM HORTONS INC        COM     88706M103     7,458   139,409 SH           SH_DEF                  1               139,409
TIMBERLINE RESOURCES
 CORP                  COM     887133106         0       285 SH           SH_DEF                  1                   285
TIME WARNER CABLE INC  COM     88732J207       981    12,016 SH      SOLE                               12,016
TIME WARNER INC        COM     887317303        61     1,613 SH      SOLE                                1,613
TJX COMPANIES INC      COM     872540109       171     4,300 SH      SOLE                                4,300
TOLL BROTHERS INC      COM     889478103        48     2,000 SH      SOLE                                2,000
TORONTO DOMINION BANK  COM     891160509     7,044    83,000 SH           SH_DEF                  1                83,000
TORONTO DOMINION BANK  COM     891160509         8        97 SH           SH_DEF                  1                    97
TORONTO DOMINION BANK  COM     891160509    10,074   118,713 SH           SH_DEF                  1               118,713
TORONTO DOMINION BANK  COM     891160509     4,443    52,361 SH           SH_DEF                  1                52,361
TORONTO-DOMINION BANK  COM     891160509   140,642 1,657,100 SH CALL      SH_DEF                  1             1,657,100
TORONTO-DOMINION BANK  COM     891160509         8       100 SH PUT  SOLE                                  100
TORONTO-DOMINION BANK  COM     891160509    66,879   788,000 SH PUT       SH_DEF                  1               788,000
TORONTO-DOMINION BANK  COM     891160509   105,289 1,240,563 SH           SH_DEF                  2             1,240,563
TORONTO-DOMINION BANK  COM     891160509    96,192 1,133,375 SH      SOLE                            1,133,375
TORONTO-DOMINION BANK  COM     891160509   414,400 4,882,640 SH           SH_DEF                  1             4,882,640
TOTAL S.A. SPONSORED
 ADR                   COM     89151E109     2,212    43,180 SH      SOLE                               43,180
TOWERSTREAM
 CORPORATION           COM     892000100     1,504   316,100 SH      SOLE                              316,100
TOYOTA MOTOR CORP ADR  COM     892331307     1,000    11,493 SH      SOLE                               11,493
TRACTOR SUPPLY COMPANY COM     892356106        91     1,000 SH      SOLE                                1,000
TRANSALTA CORP         COM     89346D107     6,042   322,300 SH CALL      SH_DEF                  1               322,300






                                                                                       
TRANSALTA CORP         COM     89346D107     3,058    163,100 SH PUT       SH_DEF                  1               163,100
TRANSALTA CORP         COM     89346D107   130,699  6,971,765 SH      SOLE                            6,971,765
TRANSALTA CORP         COM     89346D107        67      3,600 SH           SH_DEF                  1                 3,600
TRANSALTA CORP         COM     89346D107        37      2,000 SH           SH_DEF                  1                 2,000
TRANSALTA CORP         COM     89346D107        19      1,025 SH           SH_DEF                  1                 1,025
TRANSALTA CORP         COM     89346D107       377     20,100 SH           SH_DEF                  1                20,100
TRANSALTA CORP         COM     89346D107       163      8,700 SH           SH_DEF                  1                 8,700
TRANSALTA CORP         COM     89346D107     5,067    270,267 SH           SH_DEF                  1               270,267
TRANSALTA CORPORATION  COM     89346D107     7,222    385,259 SH      SOLE                              385,259
TRANSCANADA CORP       COM     89353D107    32,980    768,100 SH CALL      SH_DEF                  1               768,100
TRANSCANADA CORP       COM     89353D107    63,174  1,471,300 SH PUT       SH_DEF                  1             1,471,300
TRANSCANADA CORP       COM     89353D107   485,276 11,301,966 SH      SOLE                           11,301,966
TRANSCANADA CORP       COM     89353D107         2         36 SH      SOLE                                   36
TRANSCANADA CORP       COM     89353D107        50      1,175 SH           SH_DEF                  1                 1,175
TRANSCANADA CORP       COM     89353D107       176      4,100 SH           SH_DEF                  1                 4,100
TRANSCANADA CORP       COM     89353D107    24,099    561,265 SH           SH_DEF                  1               561,265
TRANSCANADA
 CORPORATION           COM     89353D107    43,844  1,021,117 SH      SOLE                            1,021,117
TRANSGLOBE ENERGY CORP COM     893662106        12      1,000 SH CALL      SH_DEF                  1                 1,000
TRANSGLOBE ENERGY CORP COM     893662106       191     15,800 SH      SOLE                               15,800
TRANSITION THERAPEUT   COM     893716209         0         13 SH           SH_DEF                  1                    13
TRAVELERS COMPANIES
 INC                   COM     89417E109       231      3,891 SH      SOLE                                3,891
TRAVELERS COS INC/THE  COM     89417E109         0          1 SH           SH_DEF                  2                     1
TRW AUTOMOTIVE
 HOLDINGS CORP         COM     87264S106       835     17,940 SH      SOLE                               17,940
TSAKOS ENERGY
 NAVIGATION LTD        COM     G9108L108       466     53,600 SH      SOLE                               53,600
TUPPERWARE BRANDS CORP COM     899896104       142      2,225 SH      SOLE                                2,225
U.S. BANCORP           COM     902973304       363     11,425 SH      SOLE                               11,425
U.S. GEOTHERMAL INC    COM     90338S102       216    414,500 SH      SOLE                              414,500
UFP TECHNOLOGIES INC   COM     902673102        95      4,870 SH      SOLE                                4,870
ULTRA PETROLEUM CORP   COM     903914109        33      1,460 SH      SOLE                                1,460
UNILEVER N.V. NEW
 YORK SHARES           COM     904784709       260      7,638 SH      SOLE                                7,638
UNILEVER PLC SPON ADR  COM     904767704     1,312     39,608 SH      SOLE                               39,608
UNION PACIFIC
 CORPORATION           COM     907818108     1,076      9,994 SH      SOLE                                9,994
UNITED PARCEL SERVICE
 INC CL B              COM     911312106        89      1,100 SH      SOLE                                1,100
UNITED PARCEL
 SERVICE-CL B          COM     911312106        16        200 SH      SOLE                                  200
UNITED STATES OIL
 FUND LP               COM     91232N108     1,228     31,300 SH      SOLE                               31,300
UNITED TECHNOLOGIES
 CORPORATION           COM     913017109     8,105     97,534 SH      SOLE                               97,534
UNITEDHEALTH GROUP INC COM     91324P102       432      7,311 SH      SOLE                                7,311
UNUM GROUP             COM     91529Y106     1,047     42,700 SH      SOLE                               42,700
UR ENERGY INC          COM     91688R108       288    235,500 SH      SOLE                              235,500
US BANCORP             COM     902973304       256      8,073 SH      SOLE                                8,073
VALE S.A SPON ADR      COM     91912E105       886     37,900 SH      SOLE                               37,900
VALE S.A. CLASS PFD
 ADR                   COM     91912E204       189      8,300 SH      SOLE                                8,300
VALE SA-SP ADR         COM     91912E105       170      7,300 SH      SOLE                                7,300






                                                                                      
VALEANT PHARMA
 INTL-NEW              COM     91911K102        21       400 SH           SH_DEF                  1                   400
VALEANT
 PHARMACEUTICALS INTE  COM     91911K102     3,636    67,800 SH CALL      SH_DEF                  1                67,800
VALEANT
 PHARMACEUTICALS INTE  COM     91911K102       869    16,200 SH PUT       SH_DEF                  1                16,200
VALEANT
 PHARMACEUTICALS INTE  COM     91911K102    13,712   255,710 SH           SH_DEF                  2               255,710
VALEANT
 PHARMACEUTICALS INTE  COM     91911K102   174,610 3,256,188 SH      SOLE                            3,256,188
VALEANT
 PHARMACEUTICALS INTE  COM     91911K102    12,968   241,823 SH           SH_DEF                  1               241,823
VALEANT
 PHARMACEUTICALS INTL
 INC                   COM     91911K102       647    12,061 SH      SOLE                               12,061
VALERO ENERGY CORP     COM     91913Y100         1        31 SH      SOLE                                   31
VALERO ENERGY CORP     COM     91913Y100       163     6,300 SH      SOLE                                6,300
VANCEINFO
 TECHNOLOGIES INC ADR  COM     921564100       996    82,563 SH      SOLE                               82,563
VANGUARD DIVIDEND
 APREC INDEX FD ETF    COM     921908844       293     5,000 SH      SOLE                                5,000
VANGUARD EMERGING
 MARKETS ETF           COM     922042858     2,052    47,105 SH      SOLE                               47,105
VANGUARD MSCI EAFE ETF COM     921943858       232     6,805 SH      SOLE                                6,805
VANGUARD TOTAL STOCK
 MARKET ETF            COM     922908769        62       850 SH      SOLE                                  850
VARIAN MEDICAL
 SYSTEMS INC           COM     92220P105       161     2,335 SH      SOLE                                2,335
VCA ANTECH INC         COM     918194101       180     7,750 SH      SOLE                                7,750
VEECO INSTRUMENTS INC  COM     922417100         3       110 SH      SOLE                                  110
VEOLIA ENVIRONNEMENT
 SPON ADR              COM     92334N103         1        75 SH      SOLE                                   75
VERISK ANALYTICS INC
 CLASS A               COM     92345Y106       141     3,000 SH      SOLE                                3,000
VERIZON
 COMMUNICATIONS INC    COM     92343V104        57     1,500 SH           SH_DEF                  2                 1,500
VERIZON
 COMMUNICATIONS INC    COM     92343V104         8       200 SH      SOLE                                  200
VERIZON
 COMMUNICATIONS INC    COM     92343V104     2,131    55,632 SH      SOLE                               55,632
VERTEX
 PHARMACEUTICALS INC   COM     92532F100       430    10,475 SH      SOLE                               10,475
VIACOM INC-CLASS B     COM     92553P201        28       600 SH      SOLE                                  600
VISA INC- CLASS A
 SHARES                COM     92826C839       272     2,300 SH      SOLE                                2,300
VISIONCHINA MEDIA INC  COM     92833U103       144    90,900 SH      SOLE                               90,900
VISTA GOLD CORP REORG
 SHS                   COM     927926303       450   143,000 SH      SOLE                              143,000
VISTEON CORPORATION    COM     92839U206         0         5 SH      SOLE                                    5
VODAFONE GROUP PLC     COM     92857W209     6,542   235,966 SH      SOLE                              235,966
VULCAN MATERIALS
 COMPANY               COM     929160109       156     3,635 SH      SOLE                                3,635
WALGREEN CO            COM     931422109     1,603    47,785 SH      SOLE                               47,785
WAL-MART STORES INC    COM     931142103     6,048    98,637 SH      SOLE                               98,637






                                                                                      
WASHINGTON POST
 COMPANY CL B          COM     939640108        94       250 SH      SOLE                                  250
WASTE MANAGEMENT INC   COM     94106L109       708    20,215 SH      SOLE                               20,215
WELLCARE HEALTH PLANS
 INC                   COM     94946T106        22       300 SH      SOLE                                  300
WELLPOINT INC          COM     94973V107     1,791    24,225 SH      SOLE                               24,225
WELLS FARGO & CO       COM     949746101     8,194   240,000 SH CALL SOLE                              240,000
WELLS FARGO & CO       COM     949746101         5       159 SH           SH_DEF                  2                   159
WELLS FARGO & CO       COM     949746101     6,923   202,397 SH      SOLE                              202,397
WESTAR ENERGY INC      COM     95709T100         3       100 SH      SOLE                                  100
WESTERN UNION CO       COM     959802109     1,103    62,520 SH      SOLE                               62,520
WESTPORT INNOVATIONS
 INC                   COM     960908309     1,239    30,200 SH CALL      SH_DEF                  1                30,200
WESTPORT INNOVATIONS
 INC                   COM     960908309     1,292    31,500 SH PUT       SH_DEF                  1                31,500
WESTPORT INNOVATIONS
 INC                   COM     960908309       615    15,000 SH      SOLE                               15,000
WESTPORT INNOVATIONS
 INC                   COM     960908309        41     1,000 SH           SH_DEF                  1                 1,000
WESTPORT INNOVATIONS
 INC                   COM     960908309        20       500 SH           SH_DEF                  1                   500
WESTPORT INNOVATIONS
 INC NEW               COM     960908309        82     2,000 SH      SOLE                                2,000
WEYERHAEUSER CO        COM     962166104         5       228 SH      SOLE                                  228
WI-LAN INC             COM     928972108        41     8,000 SH CALL      SH_DEF                  1                 8,000
WI-LAN INC             COM     928972108        10     2,000 SH PUT       SH_DEF                  1                 2,000
WI-LAN INC             COM     928972108       679   131,100 SH      SOLE                              131,100
WI-LAN INC             COM     928972108         2       400 SH           SH_DEF                  1                   400
WI-LAN INC             COM     928972108         5     1,000 SH           SH_DEF                  1                 1,000
WINDSTREAM CORPORATION COM     97381W104         1        80 SH      SOLE                                   80
WINNEBAGO INDUSTRIES
 INC                   COM     974637100        12     1,200 SH      SOLE                                1,200
WINTHROP REALTY TRUST  COM     976391300        58     5,000 SH      SOLE                                5,000
WISDOMTREE INDIA
 EARNINGS FUND         COM     97717W422       827    42,800 SH      SOLE                               42,800
WPP PLC - SPONSORED
 ADR                   COM     92933H101        11       165 SH      SOLE                                  165
WRIGHT EXPRESS CORP    COM     98233Q105       535     8,245 SH      SOLE                                8,245
WYNN RESORTS LTD       COM     983134107       250     2,000 SH      SOLE                                2,000
XEROX CORPORATION      COM     984121103         2       300 SH      SOLE                                  300
YAHOO INC              COM     984332106       335    22,000 SH      SOLE                               22,000
YAHOO! INC             COM     984332106     4,024   264,400 SH CALL SOLE                              264,400
YAHOO! INC             COM     984332106     4,566   300,000 SH CALL      SH_DEF                  1               300,000
YAMANA GOLD INC        COM     98462Y100       487    31,200 SH CALL SOLE                               31,200
YAMANA GOLD INC        COM     98462Y100     7,626   488,900 SH CALL      SH_DEF                  1               488,900
YAMANA GOLD INC        COM     98462Y100       903    57,800 SH PUT  SOLE                               57,800
YAMANA GOLD INC        COM     98462Y100     1,817   116,500 SH PUT       SH_DEF                  1               116,500
YAMANA GOLD INC        COM     98462Y100   121,782 7,807,050 SH      SOLE                            7,807,050
YAMANA GOLD INC        COM     98462Y100       244    15,636 SH      SOLE                               15,636
YAMANA GOLD INC        COM     98462Y100     1,496    95,874 SH      SOLE                               95,874
YAMANA GOLD INC        COM     98462Y100         1        81 SH           SH_DEF                  1                    81
YAMANA GOLD INC        COM     98462Y100     1,317    84,500 SH           SH_DEF                  1                84,500
YAMANA GOLD INC        COM     98462Y100     9,827   629,994 SH           SH_DEF                  1               629,994
YUM! BRANDS INC        COM     988498101       311     4,363 SH      SOLE                                4,363
ZALICUS INC            COM     98887C105       222   184,500 SH      SOLE                              184,500
ZHONGPIN INC           COM     98952K107       779    69,100 SH      SOLE                               69,100
ZIMMER HOLDINGS INC    COM     98956P102       300     4,660 SH      SOLE                                4,660