FORM 13F

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

                              ------------------

                              FORM 13F COVER PAGE

       Report for the Calendar Year or Quarter Ended        June 30, 2006

                Check here if Amendment:  [ ]; Amendment Number:
                                                                 -------

                                This Amendment:

                             [ ] is a restatement.

                        [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                           Loews Corporation
------------------------------------------------------------------------------

Address:                 667 Madison Avenue    New York     New York     10021
------------------------------------------------------------------------------
                               (Street)        (City)        (State)     (Zip)

Form 13F File Number: 28-217

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

Person Signing this Report on Behalf of Reporting Manager:

Name:       Gary W. Garson
------------------------------------------------------------------------------

Title:      General Counsel and Senior Vice President
------------------------------------------------------------------------------

Phone:      212-521-2932
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Signature, Place, and Date of Signing:

/s/ Gary W. Garson
------------------------------------------------------------------------------
(Signature)

Place:      667 Madison Avenue    New York     New York     10021
------------------------------------------------------------------------------
                  (Street)        (City)        (State)     (Zip)

Date:       August 4, 2006
------------------------------------------------------------------------------


                                  Page 1 of 20


  Loews Corporation ("Loews"), by virtue of its approximately 91.3% ownership
of voting securities of CNA Financial Corporation whose business address is
CNA Plaza, Chicago, Illinois 60685 ("CNA"), may be deemed to have investment
discretion regarding certain securities (the "CNA Securities") as to which
investment discretion is deemed to be exercised by CNA. CNA is reporting on
behalf of Loews regarding the CNA Securities.

      Report Type:

[ ]   13F HOLDINGS REPORT.

[ ]   13F NOTICE.

[X]   13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager.

Form 13F File Number:  28-346

Name:  CNA Financial Corporation


                                  Page 2 of 20


                            FORM 13F SUMMARY PAGE

                                REPORT SUMMARY

Number of Other Included Managers:  NONE.

Form 13F Information Table Entry Total:  233

Form 13F Information Table Value Total:  $15,646.5 (million)

List of Other Included Managers:  NONE.


                                  Page 3 of 20








                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


3M CO               Common 88579Y101     10,500       130,000  SH                   Sole                 130,000

ACCENTURE LTD       Common G1150G111      6,372       225,000  SH                   Sole                 225,000
BERMUDA

AFFILIATED COMPUTER Common 008190100     11,499       222,800  SH                   Sole                 222,800
 SERVICES

AFTERMARKET         Common 008318107        468        18,850  SH                   Sole                  18,850
 TECHNOLOGY CORP

AIR PRODS & CHEMS   Common 009158106      1,443        22,580  SH                   Sole                  22,580
 INC

ALLIANCEBERNSTEIN   Common 01881G106      4,891        80,000  SH                   Sole                  80,000
 HOLDING

ALLSTATE CORP       Common 020002101      1,646        30,075  SH                   Sole                  30,075

AMERICAN ELEC PWR   Common 025537101      1,327        38,730  SH                   Sole                  38,730
 INC

AMERICAN EQUITY     Common 025676206        455        42,725  SH                   Sole                  42,725
 INVT LIFE HL

AMERICAN HOME MTG   Common 02660R107        779        21,125  SH                   Sole                  21,125
 INVT CORP

AMERICAN            Common 026874107      4,606        78,000  SH                   Sole                  78,000
 INTERNATIONAL GROUP

AMERICAN NATL INS   Common 028591105      3,045        23,475  SH                   Sole                  23,475
 CO

AMERIPRISE          Common 03076C106     10,140       227,000  SH                   Sole                 227,000
 FINANCIAL INC
                                   ------------
                         TOTAL $         57,171
                                   ------------


                                                      Page 4 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


AMERISOURCEBERGEN   Common 03073E105        778        18,550  SH                   Sole                  18,550
 CORP

ANADARKO PETE CORP  Common 032511107      7,630       160,000  SH                   Sole                 160,000

ANHEUSER BUSCH COS  Common 035229103      1,071        23,500  SH                   Sole                  23,500
 INC

AON CORP            Common 037389103        763        21,925  SH                   Sole                  21,925

AQUILA INC          Common 03840P102      1,158       275,034  SH                   Sole                 275,034

ARVINMERITOR INC    Common 043353101        642        37,325  SH                   Sole                  37,325

ASHLAND INC         Common 044209104      6,003        90,000  SH                   Sole                  90,000

AURIZON MINES LTD   Common 05155P106      2,681       965,305  SH                   Sole                 965,305

AUTOZONE INC        Common 053332102        809         9,175  SH                   Sole                   9,175

AVON PRODS INC      Common 054303102      3,875       125,000  SH                   Sole                 125,000

BANK NEW YORK INC   Common 064057102      1,774        55,100  SH                   Sole                  55,100

BANK OF AMERICA     Common 060505104     13,131       273,000  SH                   Sole                 273,000
 CORPORATION

BARRICK GOLD CORP   Common 067901108      8,083       273,086  SH                   Sole                 273,086

BEARINGPOINT INC    Common 074002106        241        28,825  SH                   Sole                  28,825

BEMA GOLD CORP      Common 08135F107        102        20,289  SH                   Sole                  20,289

BLOCK H & R INC     Common 093671105        511        21,397  SH                   Sole                  21,397
                                   ------------
                         TOTAL $         49,252
                                   ------------


                                                      Page 5 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


BOARDWALK PIPELINE  Common 096627104  1,304,242    53,256,122  SH                   Sole              53,256,122
 PARTNERS

BOSTON SCIENTIFIC   Common 101137107        340        20,200  SH                   Sole                  20,200
 CORP

BOWNE & CO INC      Common 103043105        408        28,550  SH                   Sole                  28,550

BRISTOL MYERS       Common 110122108        847        32,750  SH                   Sole                  32,750
 SQUIBB CO

BROOKFIELD ASSET    Common 112585104        609        15,000  SH                   Sole                  15,000
 MANAGE-CL A

BUCYRUS             Common 118759109      2,121        42,000  SH                   Sole                  42,000
 INTERNATIONAL INC-A

CABOT OIL & GAS     Common 127097103      1,225        25,000  SH                   Sole                  25,000
 CORP

CAMBIOR INC         Common 13201L103      2,065       767,691  SH                   Sole                 767,691

CARPENTER           Common 144285103      2,888        25,000  SH                   Sole                  25,000
 TECHNOLOGY

CBS CORP            Common 124857202      6,763       250,000  SH                   Sole                 250,000

CENTEX CORP         Common 152312104      3,521        70,000  SH                   Sole                  70,000

CHEVRONTEXACO CORP  Common 166764100        854        13,766  SH                   Sole                  13,766

CIBER INC           Common 17163B102        600        90,975  SH                   Sole                  90,975

CITIGROUP INC       Common 172967101     15,692       325,215  SH                   Sole                 325,215

CNA FINL CORP       Common 126117100  7,700,132   233,620,515  SH                   Sole             233,620,515
                                   ------------
                         TOTAL $      9,042,307
                                   ------------


                                                      Page 6 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


COMCAST CORP NEW    Common 20030N101      1,388        42,400  SH                   Sole                  42,400

COMCAST CORP NEW    Common 20030N200     10,162       310,000  SH                   Sole                 310,000

COMERICA INC        Common 200340107        717        13,800  SH                   Sole                  13,800

COMPUTER ASSOC INTL Common 12673P105      1,233        60,022  SH                   Sole                  60,022
 INC

COMPUTER SCIENCES   Common 205363104        373         7,675  SH                   Sole                   7,675
 CORP

CONMED CORP         Common 207410101        496        23,975  SH                   Sole                  23,975

CONOCOPHILLIPS      Common 20825C104      4,915        75,000  SH                   Sole                  75,000

CUMBERLAND          Common 23077R100      1,815       384,352  SH                   Sole                 384,352
 RESOURCES LTD

CYPRESS             Common 232806109        582        40,000  SH                   Sole                  40,000
 SEMICONDUCTOR CORP

D R HORTON INC      Common 23331A109      2,144        90,000  SH                   Sole                  90,000

DEL MONTE FOODS CO  Common 24522P103        356        31,725  SH                   Sole                  31,725

DELPHI FINL GROUP   Common 247131105        437        12,018  SH                   Sole                  12,018
 INC

DIAGEO P L C        Common 25243Q205      1,047        15,500  SH                   Sole                  15,500

DIAMOND OFFSHORE    Common 25271C102  5,883,881    70,104,620  SH                   Sole              70,104,620
 DRILLING INC

DISCOVERY HOLDING   Common 25468Y107      1,463       100,000  SH                   Sole                 100,000
 CO-A W/I
                                   ------------
                         TOTAL $      5,911,009
                                   ------------


                                                      Page 7 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


DISNEY WALT CO      Common 254687106        300        10,000  SH                   Sole                  10,000

DOMINION RES INC VA Common 25746U109      1,434        19,170  SH                   Sole                  19,170
 NEW

DOW CHEM CO         Common 260543103        785        20,100  SH                   Sole                  20,100

DPL INC             Common 233293109      1,683        62,810  SH                   Sole                  62,810

DU PONT E I DE      Common 263534109      3,328        80,000  SH                   Sole                  80,000
 NEMOURS & CO

DUKE ENERGY CORP    Common 26441C105        497        16,918  SH                   Sole                  16,918

DYNEGY INC NEW      Common 26816Q101        258        47,112  SH                   Sole                  47,112

ELECTRONIC DATA SYS Common 285661104      2,406       100,000  SH                   Sole                 100,000
 NEW

ENTERGY CORP NEW    Common 29364G103      1,585        22,400  SH                   Sole                  22,400

EXELON CORP         Common 30161N101      1,617        28,445  SH                   Sole                  28,445

EXPRESSJET HOLDINGS Common 30218U108        443        64,100  SH                   Sole                  64,100
 INC

F M C CORP          Common 302491303        375         5,825  SH                   Sole                   5,825

FEDERAL HOME LN MTG Common 313400301      1,337        23,450  SH                   Sole                  23,450
 CORP

FEDERAL NATL MTG    Common 313586109      1,898        39,450  SH                   Sole                  39,450
 ASSN

FIRST AMERN CORP    Common 318522307      1,285        30,400  SH                   Sole                  30,400
 CALIF
                                   ------------
                         TOTAL $         19,231
                                   ------------


                                                      Page 8 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


FREESCALE           Common 35687M107      5,220       180,000  SH                   Sole                 180,000
 SEMICONDUCTOR-A

FREIGHTCAR AMERICA  Common 357023100      1,110        20,000  SH                   Sole                  20,000
 INC

GANNETT INC         Common 364730101      1,447        25,880  SH                   Sole                  25,880

GENERAL ELEC CO     Common 369604103      1,372        41,630  SH                   Sole                  41,630

GLAXOSMITHKLINE     Common 37733W105      1,674        30,000  SH                   Sole                  30,000
 PLC-ADR

GLOBAL IMAGING      Common 37934A100        476        11,525  SH                   Sole                  11,525
 SYSTEMS

GOLD RESERVE INC    Common 38068N108        892       155,255  SH                   Sole                 155,255

GOLDEN STAR         Common 38119T104      1,505       508,402  SH                   Sole                 508,402
 RESOURCES LTD

HANGER ORTHOPEDIC   Common 41043F208        224        26,800  SH                   Sole                  26,800
 GROUP INC

HCA INC             Common 404119109        844        19,550  SH                   Sole                  19,550

HEALTH MGMT ASSOC   Common 421933102      8,162       414,100  SH                   Sole                 414,100
 INC NEW

HECLA MINING CO     Common 422704106      4,107       782,195  SH                   Sole                 782,195

HEWLETT PACKARD CO  Common 428236103        950        30,000  SH                   Sole                  30,000

HOME DEPOT INC      Common 437076102      1,557        43,500  SH                   Sole                  43,500
                                   ------------
                         TOTAL $         29,540
                                   ------------


                                                      Page 9 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


HORACE MANN         Common 440327104        416        24,525  SH                   Sole                  24,525
 EDUCATORS

HOVNANIAN           Common 442487203      2,256        75,000  SH                   Sole                  75,000
 ENTERPRISES-A

HUB INTERNATIONAL   Common 44332P101        284        10,850  SH                   Sole                  10,850
 LIMITED

HUDSON CITY BANCORP Common 443683107        533        40,000  SH                   Sole                  40,000
 INC

IDACORP INC         Common 451107106        487        14,200  SH                   Sole                  14,200

IMA EXPLORATION INC Common 449664101      1,665       571,886  SH                   Sole                 571,886

IMS HEALTH INC      Common 449934108        269        10,000  SH                   Sole                  10,000

INTERNATIONAL       Common 459200101      5,762        75,000  SH                   Sole                  75,000
 BUSINESS MACHS

IPC HLDGS LTD       Common G4933P101      1,226        49,725  SH                   Sole                  49,725

IPSCO INC           Common 462622101      5,043        52,700  SH                   Sole                  52,700

ISHARES INC MSCI    Common 464286848      5,115       375,000  SH                   Sole                 375,000
 JAPAN

ISHARES INC MSCI    Common 464286673      2,200       250,000  SH                   Sole                 250,000
 SINGAPORE

J P MORGAN CHASE &  Common 46625H100        891        21,225  SH                   Sole                  21,225
 CO

JOHNSON & JOHNSON   Common 478160104      1,896        31,650  SH                   Sole                  31,650

JOHNSON CONTROLS    Common 478366107      1,075        13,075  SH                   Sole                  13,075
 INC
                                   ------------
                         TOTAL $         29,118
                                   ------------


                                                      Page 10 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


KELLY SERVICES INC  Common 488152208        648        23,850  SH                   Sole                  23,850
 -CL A

KENNAMETAL INC      Common 489170100        370         5,950  SH                   Sole                   5,950

KIMBER RESOURCES    Common 49435N101      1,047       497,515  SH                   Sole                 497,515
 INC

KINROSS GOLD CORP   Common 496902404        560        51,410  SH                   Sole                  51,410

LAUDER ESTEE COS    Common 518439104      9,668       250,000  SH                   Sole                 250,000
 INC

LEAR CORP           Common 521865105      1,607        72,375  SH                   Sole                  72,375

LIBERTY GLOBAL      Common 530555101      2,021        93,991  SH                   Sole                  93,991
 INC-A

LIBERTY GLOBAL      Common 530555309        886        43,068  SH                   Sole                  43,068
 INC-C

LIBERTY MEDIA       Common 53071M302      1,257        15,000  SH                   Sole                  15,000
 HOLD-CAP SER A

LIBERTY             Common 53071M104      1,295        75,000  SH                   Sole                  75,000
 MEDIA-INTERACTIVE A

LINCOLN NATL CORP   Common 534187109      4,233        75,000  SH                   Sole                  75,000
 IND

LORAL SPACE AND     Common 543881106        250         8,800  SH                   Sole                   8,800
 COMM-W/I

LUCENT TECHNOLOGIES Common 549463107        632       261,325  SH                   Sole                 261,325
 INC

M D C HLDGS INC     Common 552676108        364         7,000  SH                   Sole                   7,000
                                   ------------
                         TOTAL $         24,838
                                   ------------


                                                      Page 11 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


MAGNA INTL INC      Common 559222401        892        12,400  SH                   Sole                  12,400

MARATHON OIL CORP   Common 565849106        833        10,000  SH                   Sole                  10,000

MCDONALDS CORP      Common 580135101        911        27,100  SH                   Sole                  27,100

MEADWESTVACO CORP   Common 583334107      2,500        89,500  SH                   Sole                  89,500

MEDIACOM            Common 58446K105      1,246       200,000  SH                   Sole                 200,000
 COMMUNICATIONS CORP

MEDTRONIC INC       Common 585055106      1,877        40,000  SH                   Sole                  40,000

METALLICA RESOURCES Common 59125J104      2,171       710,600  SH                   Sole                 710,600
 INC

METLIFE INC         Common 59156R108      1,301        25,400  SH                   Sole                  25,400

MI DEVELOPMENTS     Common 55304X104        519        15,300  SH                   Sole                  15,300
 INC-CLASS A

MICROSOFT CORP      Common 594918104     70,387     3,020,895  SH                   Sole               3,020,895

MILACRON INC        Common 598709103         46        45,738  SH                   Sole                  45,738

MINEFINDERS CORP    Common 602900102      2,389       293,390  SH                   Sole                 293,390

MIRAMAR MINING CORP Common 60466E100      2,895       786,600  SH                   Sole                 786,600

MORGAN STANLEY      Common 617446448      1,824        28,850  SH                   Sole                  28,850

NALCO HOLDING CO    Common 62985Q101      3,526       200,000  SH                   Sole                 200,000

NBTY INC            Common 628782104        567        23,725  SH                   Sole                  23,725
                                   ------------
                         TOTAL $         93,884
                                   ------------


                                                      Page 12 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


NEWELL RUBBERMAID   Common 651229106      5,166       200,000  SH                   Sole                 200,000
 INC

NEWS CORP INC       Common 65248E203      4,540       225,000  SH                   Sole                 225,000

NEWS CORP INC       Common 65248E104      5,126       267,276  SH                   Sole                 267,276

NISOURCE INC        Common 65473P105      1,219        55,800  SH                   Sole                  55,800

NORTHEAST UTILITIES Common 664397106        517        25,000  SH                   Sole                  25,000

NORTHERN TR CORP    Common 665859104        492         8,900  SH                   Sole                   8,900

OCCIDENTAL          Common 674599105      2,051        20,000  SH                   Sole                  20,000
 PETROLEUM CORP

OLD REP INTL CORP   Common 680223104        796        37,250  SH                   Sole                  37,250

ORACLE CORP         Common 68389X105      1,666       115,000  SH                   Sole                 115,000

PFIZER INC          Common 717081103     16,146       687,925  SH                   Sole                 687,925

PG&E CORP           Common 69331C108      1,559        39,700  SH                   Sole                  39,700

PHARMACEUTICAL      Common 71712A206     54,475       775,000  SH                   Sole                 775,000
 HLDRS TR

PHH CORP            Common 693320202        495        17,975  SH                   Sole                  17,975

PIKE ELECTRIC CORP  Common 721283109        391        20,300  SH                   Sole                  20,300

PIONEER NAT RES CO  Common 723787107      4,177        90,000  SH                   Sole                  90,000

POTASH CORP SASK    Common 73755L107      6,878        80,000  SH                   Sole                  80,000
 INC
                                   ------------
                         TOTAL $        105,694
                                   ------------


                                                      Page 13 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


PRIMUS GUARANTY LTD Common G72457107      4,440       400,000  SH                   Sole                 400,000

PULTE HOMES INC     Common 745867101      6,910       240,000  SH                   Sole                 240,000

QUALCOMM INC        Common 747525103      1,603        40,000  SH                   Sole                  40,000

R H DONNELLEY CORP  Common 74955W307        392         7,244  SH                   Sole                   7,244

RADIO ONE INC       Common 75040P405        344        46,525  SH                   Sole                  46,525

RADIOSHACK CORP     Common 750438103        652        46,550  SH                   Sole                  46,550

RANDGOLD RESOURCES  Common 752344309      1,013        48,257  SH                   Sole                  48,257
 LTD-ADR

RAYTHEON CO         Common 755111507      4,457       100,000  SH                   Sole                 100,000

REGIS CORP          Common 758932107      3,226        90,600  SH                   Sole                  90,600

REINSURANCE GROUP   Common 759351109      1,352        27,500  SH                   Sole                  27,500
 OF AMERICA

RENAISSANCE RE      Common G7496G103      1,825        37,650  SH                   Sole                  37,650
 HLDGS LTD

RENT A CTR INC NEW  Common 76009N100      1,881        75,650  SH                   Sole                  75,650

RTI INTERNATIONAL   Common 74973W107      8,767       157,000  SH                   Sole                 157,000
 METALS INC

SABRE HLDGS CORP    Common 785905100      6,820       310,000  SH                   Sole                 310,000

SARA LEE CORP       Common 803111103        762        47,575  SH                   Sole                  47,575
                                   ------------
                         TOTAL $         44,444
                                   ------------


                                                      Page 14 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


SASOL LTD-SPONSORED Common 803866300      1,159        30,000  SH                   Sole                  30,000
 ADR

SCANA CORP NEW      Common 80589M102        556        14,405  SH                   Sole                  14,405

SCHWEITZER-MAUDUIT  Common 808541106        333        15,375  SH                   Sole                  15,375
 INTL INC

SEAGATE TECHNOLOGY  Common G7945J104      7,618       336,500  SH                   Sole                 336,500

SEALY CORP          Common 812139301        421        31,750  SH                   Sole                  31,750

SEMPRA ENERGY       Common 816851109        843        18,525  SH                   Sole                  18,525

SFBC INTERNATIONAL  Common 784121105        250        16,500  SH                   Sole                  16,500
 INC

SPRINT NEXTEL       Common 852061100      6,536       326,950  SH                   Sole                 326,950
 CORPORATION

TEMPUR-PEDIC        Common 88023U101        312        23,125  SH                   Sole                  23,125
 INTERNATIONAL

TEXTRON INC         Common 883203101        719         7,800  SH                   Sole                   7,800

THORATEC CORP       Common 885175307      4,993       360,000  SH                   Sole                 360,000

TIME WARNER INC     Common 887317105      4,359       251,980  SH                   Sole                 251,980

TJX COS INC NEW     Common 872540109      1,530        66,950  SH                   Sole                  66,950

TORCHMARK CORP      Common 891027104      1,351        22,250  SH                   Sole                  22,250

TREDEGAR CORP       Common 894650100        167        10,575  SH                   Sole                  10,575
                                   ------------
                         TOTAL $         31,147
                                   ------------


                                                      Page 15 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


TREX COMPANY INC    Common 89531P105        201         7,750  SH                   Sole                   7,750

TRINITY INDS INC    Common 896522109      1,818        45,000  SH                   Sole                  45,000

TYCO INTL LTD NEW   Common 902124106     20,073       729,940  SH                   Sole                 729,940

UNION PAC CORP      Common 907818108        897         9,650  SH                   Sole                   9,650

UNITED AMERICA      Common 90933T109        300        14,400  SH                   Sole                  14,400
 INDEMNITY-A

UNITED PARCEL       Common 911312106        483         5,870  SH                   Sole                   5,870
 SERVICE INC

UNITED STATES STL   Common 912909108      4,908        70,000  SH                   Sole                  70,000
 CORP NEW

UNITED STATIONERS   Common 913004107        460         9,325  SH                   Sole                   9,325
 INC

UNIVERSAL CORP VA   Common 913456109        584        15,700  SH                   Sole                  15,700

UNIVERSAL STAINLESS Common 913837100        700        23,900  SH                   Sole                  23,900
 & ALLOY

US BANCORP DEL      Common 902973304      1,849        59,890  SH                   Sole                  59,890

USI HOLDINGS CORP   Common 90333H101        370        27,625  SH                   Sole                  27,625

VALASSIS            Common 918866104        421        17,850  SH                   Sole                  17,850
 COMMUNICATIONS INC

VALERO ENERGY CORP  Common 91913Y100      8,648       130,000  SH                   Sole                 130,000
 NEW
                                   ------------
                         TOTAL $         41,712
                                   ------------


                                                      Page 16 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


VIACOM INC          Common 92553P201      4,480       125,000  SH                   Sole                 125,000

VIAD CORP           Common 92552R406        890        28,432  SH                   Sole                  28,432

VODAFONE GROUP PLC  Common 92857W100      3,834       180,000  SH                   Sole                 180,000
 NEW

WAL MART STORES INC Common 931142103      2,388        49,575  SH                   Sole                  49,575

WASHINGTON MUT INC  Common 939322103        430         9,425  SH                   Sole                   9,425

WCI COMMUNITIES INC Common 92923C104      1,067        53,000  SH                   Sole                  53,000

WESTERN GAS RES INC Common 958259103        953        15,920  SH                   Sole                  15,920

WEYERHAEUSER CO     Common 962166104        405         6,500  SH                   Sole                   6,500

WHIRLPOOL CORP      Common 963320106      1,778        21,518  SH                   Sole                  21,518

WHITING PETE CORP   Common 966387102        837        20,000  SH                   Sole                  20,000
 NEW

WILLIAMS COS INC    Common 969457100      2,561       109,620  SH                   Sole                 109,620
 DEL

WISCONSIN ENERGY    Common 976657106        888        22,025  SH                   Sole                  22,025
 CORP

WYETH               Common 983024100        457        10,300  SH                   Sole                  10,300

XCEL ENERGY INC     Common 98389B100        710        37,000  SH                   Sole                  37,000

XERIUM TECHNOLOGIES Common 98416J100      9,224       979,200  SH                   Sole                 979,200
 INC
                                   ------------
                         TOTAL $         30,902
                                   ------------


                                                      Page 17 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


XEROX CORP          Common 984121103      7,651       550,000  SH                   Sole                 550,000

XL CAP LTD          Common G98255105      1,263        20,600  SH                   Sole                  20,600

YAMANA GOLD INC     Common 98462Y100        450        45,790  SH                   Sole                  45,790

ZIMMER HOLDINGS INC Common 98956P102      2,269        40,000  SH                   Sole                  40,000
                                      ----------
                      TOTAL $             11,633
                                      ----------


                                                      Page 18 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


3M CO               Common 88579Y951      5,654        70,000  SH     Put           Sole                  70,000

BARRICK GOLD CORP   Common 067901908     20,566       720,000  SH     Call          Sole                 720,000

BARRICK GOLD CORP   Common 067901958      5,920       200,000  SH     Put           Sole                 200,000

BAUSCH & LOMB INC   Common 071707953      1,471        30,000  SH     Put           Sole                  30,000

DISNEY WALT CO      Common 254687956      3,000       100,000  SH     Put           Sole                 100,000

DU PONT E I DE      Common 263534959      3,328        80,000  SH     Put           Sole                  80,000
 NEMOURS & CO

GENERAL MTRS CORP   Common 370442955      5,958       200,000  SH     Put           Sole                 200,000

HEALTH MGMT ASSOC   Common 421933902        394        20,000  SH     Call          Sole                  20,000
 INC NEW

INTERNATIONAL       Common 459200951      7,682       100,000  SH     Put           Sole                 100,000
 BUSINESS MACHS

IPSCO INC           Common 462622951      2,297        24,000  SH     Put           Sole                  24,000

MEDTRONIC INC       Common 585055956      3,754        80,000  SH     Put           Sole                  80,000

MERCK & CO INC      Common 589331957      7,286       200,000  SH     Put           Sole                 200,000

MICROSOFT CORP      Common 594918954      2,796       120,000  SH     Put           Sole                 120,000

PHELPS DODGE CORP   Common 717265952      6,573        80,000  SH     Put           Sole                  80,000

POTASH CORP SASK    Common 73755L957      6,878        80,000  SH     Put           Sole                  80,000
 INC

QUALCOMM INC        Common 747525903        801        20,000  SH     Call          Sole                  20,000
                                   ------------
                         TOTAL $         84,358
                                   ------------


                                                       Page 19 of 20 Pages






                                                                                        
Column              Column  Column     Column       Column                      Column       Column    Column
1:                  2:      3:         4:           5:                          6:           7:        8:

                    Title                           Shares or                                          Voting Authority(Shares)
                    of      CUSIP      Value        Principal                   Investment   Other     -------------------------
Name of Issuer      Class   Number     (x$1000)     Amount     SH/PRN Put/Call  Discretion   Managers  Sole   Shared    None


QUALCOMM INC        Common 747525953      4,007       100,000  SH     Put           Sole                 100,000

THORATEC CORP       Common 885175907      1,110        80,000  SH     Call          Sole                  80,000

UNION PAC CORP      Common 907818908     22,310       240,000  SH     Call          Sole                 240,000

UNITED STATES STL   Common 912909958      7,713       110,000  SH     Put           Sole                 110,000
 CORP NEW

WHOLE FOODS MKT INC Common 966837956      5,171        80,000  SH     Put           Sole                  80,000
                                      ----------
                      TOTAL $             40,311
                                      ----------
            AGGREGATE TOTAL $         15,646,551
                                      ==========


                                                      Page 20 of 20 Pages