FORM 13F

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

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

                              FORM 13F COVER PAGE

       Report for the Calendar Year or Quarter Ended        March 31, 2007

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

                                This Amendment:

                             [ ] is a restatement.

                        [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                           Loews Corporation
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Address:                 667 Madison Avenue    New York     New York     10021
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                               (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:       May 3, 2007
------------------------------------------------------------------------------

                                  Page 1 of 22

  Loews Corporation ("Loews"), by virtue of its approximately 89% 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 22

                            FORM 13F SUMMARY PAGE

                                REPORT SUMMARY

Number of Other Included Managers:  NONE.

Form 13F Information Table Entry Total:  234

Form 13F Information Table Value Total:  $19,035.2 (million)

List of Other Included Managers:  NONE.

                                  Page 3 of 22





                                                                                        
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      7,337      96,000   SH              Sole                      96,000

ACCENTURE LTD         Common   G1150G111      7,708     200,000   SH              Sole                     200,000
BERMUDA

AEGEAN MARINE         Common   Y0017S102      5,557     330,000   SH              Sole                     330,000
PETROLEUM NETW

AETNA INC NEW         Common   00817Y108      2,190      50,000   SH              Sole                      50,000

AFFILIATED COMPUTER   Common   008190100      7,456     126,625   SH              Sole                     126,625
SERVICES

AFTERMARKET           Common   008318107        734      30,225   SH              Sole                      30,225
TECHNOLOGY CORP

AGILENT TECHNOLOGIES  Common   00846U101      1,445      42,880   SH              Sole                      42,880
INC

ALCAN INC             Common   013716105      3,393      65,000   SH              Sole                      65,000

ALCATEL-LUCENT-       Common   013904305      1,402     118,627   SH              Sole                     118,627
SPONSORED ADR

ALCOA INC             Common   013817101      1,704      50,255   SH              Sole                      50,255

ALLIANCEBERNSTEIN     Common   01881G106      7,080      80,000   SH              Sole                      80,000
HOLDING

ALLSTATE CORP         Common   020002101      1,389      23,125   SH              Sole                      23,125

AMERICAN ELEC PWR     Common   025537101      1,879      38,540   SH              Sole                      38,540
INC
                                      --------------
                          TOTAL $            49,274
                                      --------------

                                                      Page 4 of 22 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

AMERICAN EQUITY INVT  Common   025676206        561      42,725   SH              Sole                      42,725
LIFE HL

AMERICAN HOME MTG     Common   02660R107        333      12,325   SH              Sole                      12,325
INVT CORP

AMERICAN              Common   026874107      5,243      78,000   SH              Sole                      78,000
INTERNATIONAL GROUP

AMERICAN NATL INS CO  Common   028591105      3,003      23,475   SH              Sole                      23,475

AMERIPRISE FINANCIAL  Common   03076C106     12,571     220,000   SH              Sole                     220,000
INC

AMERISOURCEBERGEN     Common   03073E105        979      18,550   SH              Sole                      18,550
CORP

AMGEN INC             Common   031162100     15,423     276,000   SH              Sole                     276,000

ANADARKO PETE CORP    Common   032511107      6,877     160,000   SH              Sole                     160,000

ANHEUSER BUSCH COS    Common   035229103        593      11,750   SH              Sole                      11,750
INC

AON CORP              Common   037389103        832      21,925   SH              Sole                      21,925

APEX SILVER MINES LTD Common   G04074103      2,374     184,016   SH              Sole                     184,016

AQUILA INC            Common   03840P102      1,156     276,520   SH              Sole                     276,520

ARVINMERITOR INC      Common   043353101        386      21,150   SH              Sole                      21,150
                                      --------------
                          TOTAL $            50,331
                                      --------------

                                                      Page 5 of 22 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

AURIZON MINES LTD     Common   05155P106      1,882     536,305   SH              Sole                     536,305

AUTOZONE INC          Common   053332102        923       7,200   SH              Sole                       7,200

BANK NEW YORK INC     Common   064057102      2,732      67,370   SH              Sole                      67,370

BANK OF AMERICA       Common   060505104     14,694     288,000   SH              Sole                     288,000
CORPORATION

BARR                  Common   068306109      6,026     130,000   SH              Sole                     130,000
PHARMACEUTICALS INC

BARRICK GOLD CORP     Common   067901108     11,534     403,986   SH              Sole                     403,986

BEARINGPOINT INC      Common   074002106        221      28,825   SH              Sole                      28,825

BOARDWALK PIPELINE    Common   096627104  1,962,488  53,256,122   SH              Sole                  53,256,122
PARTNERS

BOSTON SCIENTIFIC CORPCommon   101137107        294      20,200   SH              Sole                      20,200

BOWNE & CO INC        Common   103043105        449      28,550   SH              Sole                      28,550

BRISTOL MYERS SQUIBB  Common   110122108      1,278      46,050   SH              Sole                      46,050
CO

CABOT                 Common   12709P103        314       9,375   SH              Sole                       9,375
MICROELECTRONICS
CORP

CADBURY SCHWEPPES-    Common   127209302      5,137     100,000   SH              Sole                     100,000
SPONS ADR
                                      --------------
                          TOTAL $         2,007,972
                                      --------------

                                                      Page 6 of 22 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

CAMECO CORP           Common   13321L108     18,628     455,000   SH              Sole                     455,000

CANADIAN NATURAL      Common   136385101        791      14,330   SH              Sole                      14,330
RESOURCES

CATERPILLAR INC DEL   Common   149123101        534       7,970   SH              Sole                       7,970

CBS CORP              Common   124857202      8,412     275,000   SH              Sole                     275,000

CENTEX CORP           Common   152312104      1,462      35,000   SH              Sole                      35,000

CIBER INC             Common   17163B102        716      90,975   SH              Sole                      90,975

CIT GROUP INC         Common   125581108     18,929     357,700   SH              Sole                     357,700

CITIGROUP INC         Common   172967101     30,431     592,725   SH              Sole                     592,725

CLAYMONT STEEL        Common   18382P104      1,056      53,000   SH              Sole                      53,000
HOLDINGS INC

CNA FINL CORP         Common   126117100 10,405,536 241,483,773   SH              Sole                 241,483,773

COMCAST CORP NEW      Common   20030N101        377      14,535   SH              Sole                      14,535

COMERICA INC          Common   200340107        816      13,800   SH              Sole                      13,800

COMPUTER ASSOC INTL   Common   12673P105      1,555      60,022   SH              Sole                      60,022
INC
                                      --------------
                          TOTAL $        10,489,243
                                      --------------

                                                      Page 7 of 22 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

COMPUTER SCIENCES     Common   205363104        400       7,675   SH              Sole                       7,675
CORP

CONMED CORP           Common   207410101        332      11,375   SH              Sole                      11,375

CONOCOPHILLIPS        Common   20825C104      5,126      75,000   SH              Sole                      75,000

CORNING INC           Common   219350105      7,936     349,000   SH              Sole                     349,000

CYPRESS               Common   232806109        371      20,000   SH              Sole                      20,000
SEMICONDUCTOR CORP

D R HORTON INC        Common   23331A109      3,300     150,000   SH              Sole                     150,000

DEL MONTE FOODS CO    Common   24522P103        364      31,725   SH              Sole                      31,725

DELPHI FINL GROUP INC Common   247131105        374       9,293   SH              Sole                       9,293

DESARROLLADORA        Common   25030W100        580      10,000   SH              Sole                      10,000
HOMEX-ADR

DIAGEO P L C          Common   25243Q205        954      11,780   SH              Sole                      11,780

DIAMOND OFFSHORE      Common   25271C102  5,674,969  70,104,620   SH              Sole                  70,104,620
DRILLING INC

DIAMONDS TR           Common   252787106     30,898     250,000   SH              Sole                     250,000

DISCOVERY HOLDING     Common   25468Y107      1,913     100,000   SH              Sole                     100,000
CO-A W/I
                                      --------------
                          TOTAL $         5,727,517
                                      --------------

                                                      Page 8 of 22 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

DPL INC               Common   233293109        977      31,410   SH              Sole                      31,410

DRESSER-RAND GROUP    Common   261608103        380      12,491   SH              Sole                      12,491
INC

DU PONT E I DE        Common   263534109      2,669      54,000   SH              Sole                      54,000
NEMOURS & CO

DUKE ENERGY CORP      Common   26441C105        343      16,918   SH              Sole                      16,918

EDDIE BAUER HOLDINGS  Common   071625107      6,538     575,000   SH              Sole                     575,000
INC

ELECTRONIC DATA SYS   Common   285661104      2,768     100,000   SH              Sole                     100,000
NEW

ENSCO INTL INC        Common   26874Q100      2,176      40,000   SH              Sole                      40,000

F M C CORP            Common   302491303        298       3,950   SH              Sole                       3,950

FEDERAL HOME LN MTG   Common   313400301      1,959      32,925   SH              Sole                      32,925
CORP

FEDERAL NATL MTG      Common   313586109      2,153      39,450   SH              Sole                      39,450
ASSN

FIRST AMERN CORP CALIFCommon   318522307      1,542      30,400   SH              Sole                      30,400

FLEXTRONICS INTL LTD  Common   Y2573F102      5,470     500,000   SH              Sole                     500,000

GENERAL ELEC CO       Common   369604103      4,370     123,591   SH              Sole                     123,591
                                      --------------
                          TOTAL $            31,643
                                      --------------

                                                      Page 9 of 22 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

GLAXOSMITHKLINE PLC-  Common   37733W105        829      15,000   SH              Sole                      15,000
ADR

GLOBAL IMAGING        Common   37934A100        796      40,825   SH              Sole                      40,825
SYSTEMS

GOLD RESERVE INC      Common   38068N108      1,064     155,255   SH              Sole                     155,255

GRIFFON CORPORATION   Common   398433102        225       9,100   SH              Sole                       9,100

HANGER ORTHOPEDIC     Common   41043F208        313      26,800   SH              Sole                      26,800
GROUP INC

HARTFORD FINANCIAL    Common   416515104      2,963      31,000   SH              Sole                      31,000
SVCS GRP

HECLA MINING CO       Common   422704106      3,228     356,284   SH              Sole                     356,284

HOME DEPOT INC        Common   437076102      4,765     129,700   SH              Sole                     129,700

HORACE MANN           Common   440327104        504      24,525   SH              Sole                      24,525
EDUCATORS

HORIZON OFFSHORE INC  Common   44043J204      7,081     489,700   SH              Sole                     489,700

HOVNANIAN             Common   442487203      3,321     132,000   SH              Sole                     132,000
ENTERPRISES-A

HUB INTERNATIONAL     Common   44332P101        505      12,125   SH              Sole                      12,125
LIMITED

HUDSON CITY BANCORP   Common   443683107        410      30,000   SH              Sole                      30,000
INC
                                      --------------
                          TOTAL $            26,004
                                      --------------

                                                      Page 10 of 22 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

IAMGOLD CORPORATION   Common   450913108      2,228     288,630   SH              Sole                     288,630

IDACORP INC           Common   451107106        337       9,950   SH              Sole                       9,950

IMA EXPLORATION INC   Common   449664101        446     571,886   SH              Sole                     571,886

IMS HEALTH INC        Common   449934108        353      11,900   SH              Sole                      11,900

INTERNATIONAL         Common   459200101      7,546      80,050   SH              Sole                      80,050
BUSINESS MACHS

IPC HLDGS LTD         Common   G4933P101      1,331      46,125   SH              Sole                      46,125

ISHARES INC MSCI      Common   464286848     43,710   3,000,000   SH              Sole                   3,000,000
JAPAN

ISHARES INC MSCI      Common   464286673      3,093     250,000   SH              Sole                     250,000
SINGAPORE

J P MORGAN CHASE & CO Common   46625H100      1,027      21,225   SH              Sole                      21,225

JDS UNIPHASE CORP     Common   46612J507      2,285     150,000   SH              Sole                     150,000

JOHNSON & JOHNSON     Common   478160104      8,054     133,650   SH              Sole                     133,650

JOHNSON CONTROLS      Common   478366107      1,036      10,950   SH              Sole                      10,950

KELLY SERVICES INC -  Common   488152208        691      21,475   SH              Sole                      21,475
CL A
                                      --------------
                          TOTAL $            72,137
                                      --------------

                                                      Page 11 of 22 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

KENNAMETAL INC        Common   489170100        402       5,950   SH              Sole                       5,950

KIMBER RESOURCES INC  Common   49435N101      1,084     641,515   SH              Sole                     641,515

LEAR CORP             Common   521865105      2,283      62,525   SH              Sole                      62,525

LIBERTY GLOBAL INC-A  Common   530555101      3,095      93,991   SH              Sole                      93,991

LIBERTY GLOBAL INC-C  Common   530555309      1,320      43,068   SH              Sole                      43,068

LIBERTY MEDIA HOLD-   Common   53071M302      1,659      15,000   SH              Sole                      15,000
CAP SER A

LIBERTY MEDIA-        Common   53071M104      1,787      75,000   SH              Sole                      75,000
INTERACTIVE A

LINCOLN NATL CORP IND Common   534187109      5,084      75,000   SH              Sole                      75,000

M D C HLDGS INC       Common   552676108        336       7,000   SH              Sole                       7,000

MAGNA INTL INC        Common   559222401        931      12,400   SH              Sole                      12,400

MARATHON OIL CORP     Common   565849106        988      10,000   SH              Sole                      10,000

MCDONALDS CORP        Common   580135101        568      12,600   SH              Sole                      12,600

MEDIACOM              Common   58446K105      1,628     200,000   SH              Sole                     200,000
COMMUNICATIONS CORP
                                      --------------
                          TOTAL $            21,165
                                      --------------

                                                      Page 12 of 22 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

MEDTRONIC INC         Common   585055106      3,925      80,000   SH              Sole                      80,000

MELLON FINANCIAL CORP Common   58551A108      2,844      65,920   SH              Sole                      65,920

MEMC ELECTRONIC       Common   552715104      5,270      87,000   SH              Sole                      87,000
MATERIALS

METALLICA RESOURCES   Common   59125J104      2,238     436,358   SH              Sole                     436,358
INC

METLIFE INC           Common   59156R108      1,279      20,250   SH              Sole                      20,250

MI DEVELOPMENTS INC-  Common   55304X104        572      15,300   SH              Sole                      15,300
CLASS A

MICROSOFT CORP        Common   594918104     27,525     987,625   SH              Sole                     987,625

MILACRON INC          Common   598709103         30      45,738   SH              Sole                      45,738

MINEFINDERS CORP      Common   602900102        849      71,741   SH              Sole                      71,741

MIRAMAR MINING CORP   Common   60466E100      3,039     642,568   SH              Sole                     642,568

MORGAN STANLEY        Common   617446448        981      12,450   SH              Sole                      12,450

NEW YORK TIMES CO     Common   650111107     59,363   2,525,000   SH              Sole                   2,525,000

NEWS CORP INC Class B Common   65248E203      5,506     225,000   SH              Sole                     225,000
                                      --------------
                          TOTAL $           113,421
                                      --------------

                                                     Page 13 of 22 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

NEWS CORP INC Class A Common   65248E104      5,789     250,414   SH              Sole                     250,414

NORTHEAST UTILITIES   Common   664397106        819      25,000   SH              Sole                      25,000

NORTHERN TR CORP      Common   665859104        535       8,900   SH              Sole                       8,900

NRG ENERGY INC        Common   629377508        761      10,560   SH              Sole                      10,560

OCCIDENTAL            Common   674599105      3,452      70,000   SH              Sole                      70,000
PETROLEUM CORP

OLD REP INTL CORP     Common   680223104        824      37,250   SH              Sole                      37,250

OMNICARE INC          Common   681904108      3,977     100,000   SH              Sole                     100,000

ORACLE CORP           Common   68389X105      4,657     256,875   SH              Sole                     256,875

PFIZER INC            Common   717081103      8,148     322,550   SH              Sole                     322,550

PHARMACEUTICAL        Common   71712A206     21,359     275,000   SH              Sole                     275,000
HLDRS TR

PHARMANET             Common   717148100        356      13,675   SH              Sole                      13,675
DEVELOPMENT GROUP

PHH CORP              Common   693320202        549      17,975   SH              Sole                      17,975

PIKE ELECTRIC CORP    Common   721283109        678      37,500   SH              Sole                      37,500
                                      --------------
                          TOTAL $            51,904
                                      --------------

                                                      Page 14 of 22 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

PIONEER NAT RES CO    Common   723787107     12,502     290,000   SH              Sole                     290,000

PLANTRONICS INC NEW   Common   727493108      2,953     125,000   SH              Sole                     125,000

PRIMUS GUARANTY LTD   Common   G72457107      4,920     400,000   SH              Sole                     400,000

PULTE HOMES INC       Common   745867101      2,884     109,000   SH              Sole                     109,000

RADIO ONE INC         Common   75040P405        328      50,700   SH              Sole                      50,700

RAYTHEON CO           Common   755111507      5,246     100,000   SH              Sole                     100,000

REGIS CORP            Common   758932107        508      12,575   SH              Sole                      12,575

RENAISSANCE RE        Common   G7496G103      1,888      37,650   SH              Sole                      37,650
HLDGS LTD

RENT A CTR INC NEW    Common   76009N100      2,117      75,650   SH              Sole                      75,650

ROCKWELL              Common   773903109      1,197      20,000   SH              Sole                      20,000
AUTOMATION INC

RTI INTERNATIONAL     Common   74973W107      4,551      50,000   SH              Sole                      50,000
METALS INC

SAIC INC              Common   78390X101      2,598     150,000   SH              Sole                     150,000

SARA LEE CORP         Common   803111103        805      47,575   SH              Sole                      47,575
                                      --------------
                          TOTAL $            42,497
                                      --------------

                                                      Page 15 of 22 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-            Common   803866300        661      20,000   SH              Sole                      20,000
SPONSORED ADR

SCANA CORP NEW        Common   80589M102        622      14,405   SH              Sole                      14,405

SCHWEITZER-MAUDUIT    Common   808541106        544      21,875   SH              Sole                      21,875
INTL INC

SEAGATE TECHNOLOGY    Common   G7945J104     11,335     486,500   SH              Sole                     486,500

SEALY CORP            Common   812139301        555      31,750   SH              Sole                      31,750

SEMPRA ENERGY         Common   816851109      1,130      18,525   SH              Sole                      18,525

SGL CARBON AG-        Common   784188203        545      50,000   SH              Sole                      50,000
SPONSORED ADR

SMURFIT-STONE         Common   832727101        912      81,000   SH              Sole                      81,000
CONTAINER CORP

SPRINT NEXTEL         Common   852061100      3,829     201,950   SH              Sole                     201,950
CORPORATION

STEWART INFORMATION   Common   860372101        221       5,300   SH              Sole                       5,300
SERVICES

STILLWATER MNG CO     Common   86074Q102      3,366     265,217   SH              Sole                     265,217

STREETTRACKS GOLD     Common   863307104     24,653     375,000   SH              Sole                     375,000
TRUST

TALISMAN ENERGY INC   Common   87425E103      1,756     100,000   SH              Sole                     100,000
                                      --------------
                          TOTAL $            50,129
                                      --------------

                                                      Page 16 of 22 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

TEMPUR-PEDIC          Common   88023U101        601      23,125   SH              Sole                      23,125
INTERNATIONAL

TEXTRON INC           Common   883203101        700       7,800   SH              Sole                       7,800

THORATEC CORP         Common   885175307      8,778     420,000   SH              Sole                     420,000

TIME WARNER INC       Common   887317105      3,944     200,000   SH              Sole                     200,000

TITAN INTERNATIONAL INCommon   88830M102      5,573     220,000   SH              Sole                     220,000

TJX COS INC NEW       Common   872540109      1,590      58,975   SH              Sole                      58,975

TORCHMARK CORP        Common   891027104      1,459      22,250   SH              Sole                      22,250

TRAVELERS COS         Common   89417E109      5,177     100,000   SH              Sole                     100,000
INC/THE

TREX COMPANY INC      Common   89531P105     10,903     506,425   SH              Sole                     506,425

TRICO MARINE SERVICES Common   896106200      1,677      45,000   SH              Sole                      45,000
INC

TRINITY INDS INC      Common   896522109      4,611     110,000   SH              Sole                     110,000

TYCO INTL LTD NEW     Common   902124106     20,935     663,550   SH              Sole                     663,550

UNILEVER N V          Common   904784709      1,526      52,210   SH              Sole                      52,210
                                      --------------
                          TOTAL $            67,474
                                      --------------

                                                       Page 17 of 22 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

UNION PAC CORP        Common   907818108        980       9,650   SH              Sole                       9,650

UNITED AMERICA        Common   90933T109        604      26,050   SH              Sole                      26,050
INDEMNITY-A

UNITED PARCEL SERVICE Common   911312106        532       7,584   SH              Sole                       7,584
INC

UNITED STATES STL     Common   912909108      2,063      20,800   SH              Sole                      20,800
CORP NEW

UNITED STATIONERS INC Common   913004107        559       9,325   SH              Sole                       9,325

UNIVERSAL CORP VA     Common   913456109        603       9,825   SH              Sole                       9,825

US BANCORP DEL        Common   902973304      1,642      46,950   SH              Sole                      46,950

USI HOLDINGS CORP     Common   90333H101        465      27,625   SH              Sole                      27,625

VALERO ENERGY CORP    Common   91913Y100      8,384     130,000   SH              Sole                     130,000
NEW

VIACOM INC            Common   92553P201      5,139     125,000   SH              Sole                     125,000

VIAD CORP             Common   92552R406        395      10,244   SH              Sole                      10,244

VODAFONE GROUP PLC    Common   92857W209      4,230     157,500   SH              Sole                     157,500
NEW

WAL MART STORES INC   Common   931142103      2,969      63,230   SH              Sole                      63,230
                                      --------------
                          TOTAL $            28,565
                                      --------------

                                                      Page 18 of 22 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

WASHINGTON MUT INC    Common   939322103        381       9,425   SH              Sole                       9,425

WESTERN DIGITAL CORP  Common   958102105     10,348     615,600   SH              Sole                     615,600

WEYERHAEUSER CO       Common   962166104        378       5,058   SH              Sole                       6,500

WHIRLPOOL CORP        Common   963320106      2,082      24,518   SH              Sole                      24,518

WHITING PETE CORP     Common   966387102        788      20,000   SH              Sole                      20,000
NEW

WHOLE FOODS MKT INC   Common   966837106      3,140      70,000   SH              Sole                      70,000

WIDEPOINT CORP        Common   967590100      1,086     600,000   SH              Sole                     600,000

WILLIAMS COS INC DEL  Common   969457100      2,939     103,280   SH              Sole                     103,280

WISCONSIN ENERGY      Common   976657106      1,069      22,025   SH              Sole                      22,025
CORP

WYETH                 Common   983024100     12,870     257,250   SH              Sole                     257,250

WYNDHAM WORLDWIDE     Common   98310W108      1,366      40,000   SH              Sole                      40,000
CORP

XERIUM TECHNOLOGIES   Common   98416J100      6,839     852,700   SH              Sole                     852,700
INC

XEROX CORP            Common   984121103      9,290     550,000   SH              Sole                     550,000
                                      --------------
                          TOTAL $            52,576
                                      --------------

                                                      Page 19 of 22 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

XL CAP LTD            Common   G98255105      1,441      20,600   SH              Sole                      20,600

ZOLTEK COMPANIES INC  Common   98975W104     17,828     510,400   SH              Sole                     510,400

                                    ----------------
                        TOTAL $              19,269
                                    ----------------

                                                      Page 20 of 22 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      6,114      80,000   SH     Put      Sole                      80,000

AMGEN INC             Common   031162950      2,235      40,000   SH     Put      Sole                      40,000

BARRICK GOLD CORP     Common   067901908     13,704     480,000   SH     Call     Sole                     480,000

DISNEY WALT CO        Common   254687956      3,443     100,000   SH     Put      Sole                     100,000

DU PONT E I DE        Common   263534959      1,977      40,000   SH     Put      Sole                      40,000
NEMOURS & CO

ENSCO INTL INC        Common   26874Q950     15,232     280,000   SH     Put      Sole                     280,000

FORD MTR CO DEL       Common   345370900     19,725   2,500,000   SH     Call     Sole                   2,500,000

GENERAL MTRS CORP     Common   370442955      6,128     200,000   SH     Put      Sole                     200,000

HOME DEPOT INC        Common   437076952      4,409     120,000   SH     Put      Sole                     120,000

JDS UNIPHASE CORP     Common   46612J957      1,523     100,000   SH     Put      Sole                     100,000

MEDTRONIC INC         Common   585055956      3,925      80,000   SH     Put      Sole                      80,000

MERCK & CO INC        Common   589331957      8,834     200,000   SH     Put      Sole                     200,000

MICROSOFT CORP        Common   594918904        557      20,000   SH     Call     Sole                      20,000
                                      --------------
                          TOTAL $            87,806
                                      --------------

                                                      Page 21 of 22 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

MICROSOFT CORP        Common   594918954      3,066     110,000   SH     Put      Sole                     110,000

NEWMONT MINING CORP   Common   651639906      2,519      60,000   SH     Call     Sole                      60,000

PFIZER INC            Common   717081953      1,516      60,000   SH     Put      Sole                      60,000

SEAGATE TECHNOLOGY    Common   G7945J954      3,495     150,000   SH     Put      Sole                     150,000

THE ST JOE COMPANY    Common   790148950      5,754     110,000   SH     Put      Sole                     110,000

THORATEC CORP         Common   885175907        836      40,000   SH     Call     Sole                      40,000

TRINITY INDS INC      Common   896522959      1,677      40,000   SH     Put      Sole                      40,000

UNION PAC CORP        Common   907818908      9,901      97,500   SH     Call     Sole                      97,500

UNITED STATES STL     Common   912909958      6,942      70,000   SH     Put      Sole                      70,000
CORP NEW

WHOLE FOODS MKT INC   Common   966837956      3,588      80,000   SH     Put      Sole                      80,000

ZOLTEK COMPANIES INC  Common   98975W954      6,986     200,000   SH     Put      Sole                     200,000
                                    ----------------
                        TOTAL $              46,280
                                    ----------------
              AGGREGATE TOTAL $          19,035,207
                                    ================

                                                      Page 22 of 22 Pages