FORM 13F

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

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

                              FORM 13F COVER PAGE

       Report for the Calendar Year or Quarter Ended        December 31, 2004

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

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:       February 9, 2005
------------------------------------------------------------------------------

                                  Page 1 of 17

  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 17

                            FORM 13F SUMMARY PAGE

                                REPORT SUMMARY

Number of Other Included Managers:  NONE.

Form 13F Information Table Entry Total:  204

Form 13F Information Table Value Total:  $9,515.8 (millions)

List of Other Included Managers:  NONE.

                                  Page 3 of 17






                                                                                        
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


ACCENTURE LTD       Common G1150G111        621        23,000  SH                   Sole                  23,000
BERMUDA

ACCREDO HEALTH INC  Common 00437V104        252         9,075  SH                   Sole                   9,075

AES CORP            Common 00130H105        239        17,500  SH                   Sole                  17,500

AETNA INC NEW       Common 00817Y108        599         4,800  SH                   Sole                   4,800

ALLIANCE CAPITAL    Common 01855A101      2,100        50,000  SH                   Sole                  50,000
MGMT HOLD

ALLSTATE CORP       Common 020002101        979        18,925  SH                   Sole                  18,925

AMBAC FINL GROUP    Common 023139108      2,464        30,000  SH                   Sole                  30,000
INC

AMERICAN HOME MTG   Common 02660R107        403        11,775  SH                   Sole                  11,775
INVT CORP

AMERICAN            Common 026874107      3,021        46,000  SH                   Sole                  46,000
INTERNATIONAL GROUP

AMERICAN NATL INS   Common 028591105      2,445        23,475  SH                   Sole                  23,475
CO

AMERICAN PHYSICIANS Common 028884104        605        16,800  SH                   Sole                  16,800
 CAPITAL

AMERUS GROUP CO     Common 03072M108        383         8,450  SH                   Sole                   8,450

ANADARKO PETE CORP  Common 032511107      4,537        70,000  SH                   Sole                  70,000

ANHEUSER BUSCH COS  Common 035229103        751        14,800  SH                   Sole                  14,800
INC
                                   ------------
                         TOTAL $         19,399
                                   ------------

                                                      Page 4 of 17 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


AON CORP            Common 037389103      1,083        45,400  SH                   Sole                  45,400

APPLICA INC         Common 03815A106        121        20,000  SH                   Sole                  20,000

ARCHER DANIELS      Common 039483102      2,231       100,000  SH                   Sole                 100,000
MIDLAND CO

ARVINMERITOR INC    Common 043353101        605        27,050  SH                   Sole                  27,050

ASHLAND INC         Common 044204105        809        13,850  SH                   Sole                  13,850

ASSURANT INC        Common 04621X108        333        10,900  SH                   Sole                  10,900

BANK NEW YORK INC   Common 064057102        588        17,600  SH                   Sole                  17,600

BANK OF AMERICA     Common 060505104      2,350        50,000  SH                   Sole                  50,000
CORPORATION

BARRICK GOLD CORP   Common 067901108      4,178       172,500  SH                   Sole                 172,500

BEARINGPOINT INC    Common 074002106      1,628       202,725  SH                   Sole                 202,725

BEAZER HOMES USA    Common 07556Q105      2,924        20,000  SH                   Sole                  20,000
INC

BECKMAN COULTER INC Common 075811109        670        10,000  SH                   Sole                  10,000

BECTON DICKINSON &  Common 075887109        568        10,000  SH                   Sole                  10,000
CO

BOEING CO           Common 097023105      1,739        33,600  SH                   Sole                  33,600

BOWNE & CO INC      Common 103043105        552        33,975  SH                   Sole                  33,975
                                   ------------
                         TOTAL $         20,379
                                   ------------

                                                      Page 5 of 17 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


BP PLC              Common 055622104        491         8,400  SH                   Sole                   8,400

BRISTOL MYERS       Common 110122108      2,761       107,750  SH                   Sole                 107,750
SQUIBB CO

BURLINGTON RES INC  Common 122014103      1,958        45,000  SH                   Sole                  45,000

CABLEVISION SYS     Common 12686C109      2,241        90,000  SH                   Sole                  90,000
CORP

CAMBIOR INC         Common 13201L103        411       153,750  SH                   Sole                 153,750

CENTEX CORP         Common 152312104      3,575        60,000  SH                   Sole                  60,000

CIA DE MINAS        Common 204448104        967        42,220  SH                   Sole                  42,220
BUENAVENTUR-ADR

CIGNA CORP          Common 125509109        832        10,200  SH                   Sole                  10,200

CINERGY CORP        Common 172474108      1,286        30,900  SH                   Sole                  30,900

CIT GROUP INC       Common 125581108      1,385        30,225  SH                   Sole                  30,225

CITIGROUP INC       Common 172967101     14,413       299,150  SH                   Sole                 299,150

CNA FINL CORP       Common 126117100  6,249,349   233,620,515  SH                   Sole             233,620,515

CNF INC             Common 12612W104      1,135        22,650  SH                   Sole                  22,650

COCA COLA CO        Common 191216100        408         9,800  SH                   Sole                   9,800

COMCAST CORP NEW    Common 20030N101      1,411        42,400  SH                   Sole                  42,400

COMCAST CORP NEW    Common 20030N200     26,108       795,000  SH                   Sole                 795,000
                                   ------------
                         TOTAL $      6,308,731
                                   ------------

                                                      Page 6 of 17 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 ASSOC INTL Common 204912109      1,834        59,050  SH                   Sole                  59,050
 INC

CONOCOPHILLIPS      Common 20825C104      3,074        35,400  SH                   Sole                  35,400

CRYSTALLEX INTL     Common 22942F101        350        97,500  SH                   Sole                  97,500
CORP

CYTEC INDS INC      Common 232820100        404         7,850  SH                   Sole                   7,850

D R HORTON INC      Common 23331A109        806        20,000  SH                   Sole                  20,000

DEL MONTE FOODS CO  Common 24522P103        487        44,175  SH                   Sole                  44,175

DELPHI FINL GROUP   Common 247131105        370         8,012  SH                   Sole                   8,012
INC

DEX MEDIA INC       Common 25212E100      1,328        53,200  SH                   Sole                  53,200

DIAGEO P L C        Common 25243Q205      1,898        32,800  SH                   Sole                  32,800

DIAMOND OFFSHORE    Common 25271C102  2,807,690    70,104,620  SH                   Sole              70,104,620
DRILLING INC

DISNEY WALT CO      Common 254687106      1,204        43,300  SH                   Sole                  43,300

DONNELLEY R R &     Common 257867101      4,554       129,036  SH                   Sole                 129,036
SONS CO

DU PONT E I DE      Common 263534109      2,453        50,000  SH                   Sole                  50,000
NEMOURS & CO

EMPRESA BRASILIERA  Common 29081M102      1,672        50,000  SH                   Sole                  50,000
DE AE-ADR

ENTERGY CORP NEW    Common 29364G103      1,068        15,800  SH                   Sole                  15,800
                                   ------------
                         TOTAL $      2,829,192
                                   ------------

                                                      Page 7 of 17 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


ESTERLINE           Common 297425100        212         6,500  SH                   Sole                   6,500
TECHNOLOGIES CORP

EXELON CORP         Common 30161N101      1,600        36,300  SH                   Sole                  36,300

EXPRESSJET HOLDINGS Common 30218U108        568        44,100  SH                   Sole                  44,100
 INC

F M C CORP          Common 302491303        698        14,450  SH                   Sole                  14,450

FEDERAL HOME LN MTG Common 313400301      1,728        23,450  SH                   Sole                  23,450
 CORP

FEDERAL NATL MTG    Common 313586109        789        11,075  SH                   Sole                  11,075
ASSN

FEDERATED DEPT      Common 31410H101      1,445        25,000  SH                   Sole                  25,000
STORES INC DEL

FIRST AMERN CORP    Common 318522307        350         9,950  SH                   Sole                   9,950
CALIF

FORD MTR CO DEL     Common 345370860        146        10,000  SH                   Sole                  10,000

FORDING CANADIAN    Common 345425102      2,315        30,000  SH                   Sole                  30,000
COAL TRUST

FREESCALE           Common 35687M107      5,346       300,000  SH                   Sole                 300,000
SEMICONDUCTOR-A

GARDNER DENVER INC  Common 365558105        519        14,300  SH                   Sole                  14,300

GENERAL CABLE CORP  Common 369300108        324        23,425  SH                   Sole                  23,425
DEL NEW
                                   ------------
                         TOTAL $         16,040
                                   ------------

                                                      Page 8 of 17 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


GENERAL ELEC CO     Common 369604103        850        23,300  SH                   Sole                  23,300

GENERAL MARITIME    Common Y2692M103      1,119        28,000  SH                   Sole                  28,000
CORP

GLAMIS GOLD LTD     Common 376775102        686        40,000  SH                   Sole                  40,000

GLAXOSMITHKLINE     Common 37733W105      1,422        30,000  SH                   Sole                  30,000
PLC-ADR

GLENBOROUGH RLTY TR Common 37803P105        221        10,400  SH                   Sole                  10,400
 INC

GOLDEN STAR         Common 38119T104        459       114,580  SH                   Sole                 114,580
RESOURCES LTD

HANGER ORTHOPEDIC   Common 41043F208        113        13,900  SH                   Sole                  13,900
GROUP INC

HEALTH NET INC      Common 42222G108      1,632        56,525  SH                   Sole                  56,525

HEINZ H J CO        Common 423074103        390        10,000  SH                   Sole                  10,000

HEWLETT PACKARD CO  Common 428236103      1,617        77,125  SH                   Sole                  77,125

HILFIGER TOMMY CORP Common G8915Z102        102        12,425  SH                   Sole                  12,425

HORACE MANN         Common 440327104        468        24,525  SH                   Sole                  24,525
EDUCATORS

IAMGOLD CORP        Common 450913108        751       112,974  SH                   Sole                 112,974

IONICS INC          Common 462218108        802        18,500  SH                   Sole                  18,500

IPC HLDGS LTD       Common G4933P101      1,774        40,775  SH                   Sole                  40,775

ISHARES INC         Common 464286848      9,009       825,000  SH                   Sole                 825,000
                                   ------------
                         TOTAL $         21,415
                                   ------------

                                                      Page 9 of 17 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


J P MORGAN CHASE &  Common 46625H100        827        21,200  SH                   Sole                  21,200
CO

JANUS CAP GROUP INC Common 47102X105        412        24,500  SH                   Sole                  24,500

KENNAMETAL INC      Common 489170100        251         5,050  SH                   Sole                   5,050

KONINKLIJKE PHILIPS Common 500472303      1,338        50,500  SH                   Sole                  50,500
 ELECTRS NV

LABORATORY CORP     Common 50540R409      1,146        23,000  SH                   Sole                  23,000
AMER HLDGS

LEAR CORP           Common 521865105      1,528        25,050  SH                   Sole                  25,050

LIBERTY MEDIA CORP  Common 530718105      5,750       523,700  SH                   Sole                 523,700
NEW

LIBERTY MEDIA INTL  Common 530719103        867        18,746  SH                   Sole                  18,746
INC-A

LINCOLN NATL CORP   Common 534187109      1,867        40,000  SH                   Sole                  40,000
IND

LOCKHEED MARTIN     Common 539830109        367         6,600  SH                   Sole                   6,600
CORP

MAXTOR CORP         Common 577729205      3,551       670,000  SH                   Sole                 670,000

MAYTAG CORP         Common 578592107        330        15,625  SH                   Sole                  15,625

MBIA INC            Common 55262C100        606         9,575  SH                   Sole                   9,575

MCKESSON CORP       Common 58155Q103      1,398        44,425  SH                   Sole                  44,425

MEDIACOM            Common 58446K105        625       100,000  SH                   Sole                 100,000
COMMUNICATIONS CORP
                                   ------------
                         TOTAL $         20,863
                                   ------------

                                                      Page 10 of 17 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      1,987        40,000  SH                   Sole                  40,000

MERCK & CO INC      Common 589331107      3,214       100,000  SH                   Sole                 100,000

METALLICA RESOURCES Common 59125J104        124       100,000  SH                   Sole                 100,000
 INC

METHANEX CORP       Common 59151K108      2,009       110,000  SH                   Sole                 110,000

METLIFE INC         Common 59156R108      1,595        39,375  SH                   Sole                  39,375

MICROSOFT CORP      Common 594918104     20,305       759,900  SH                   Sole                 759,900

MILACRON INC        Common 598709103        155        45,738  SH                   Sole                  45,738

MIRAMAR MINING CORP Common 60466E100        452       390,000  SH                   Sole                 390,000

MONEYGRAM           Common 60935Y109        978        46,275  SH                   Sole                  46,275
INTERNATIONAL INC

MORGAN STANLEY ASIA Common 61744U106        387        30,200  SH                   Sole                  30,200
 PAC FD INC

NACCO INDS INC      Common 629579103        321         3,050  SH                   Sole                   3,050

NCI BUILDING SYS    Common 628852105        410        10,925  SH                   Sole                  10,925
INC

NEWELL RUBBERMAID   Common 651229106      1,379        57,000  SH                   Sole                  57,000
INC

NEWS CORP INC       Common 65248E203      3,840       200,000  SH                   Sole                 200,000

NEWS CORP INC       Common 65248E104      4,333       232,214  SH                   Sole                 232,214

NISOURCE INC        Common 65473P105      1,271        55,800  SH                   Sole                  55,800
                                   ------------
                         TOTAL $         42,760
                                   ------------

                                                      Page 11 of 17 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


NORTHERN TR CORP    Common 665859104        748        15,400  SH                   Sole                  15,400

NOVOGEN LIMITED     Common 67010F103        233        10,575  SH                   Sole                  10,575

OHIO CAS CORP       Common 677240103        316        13,625  SH                   Sole                  13,625

OLD REP INTL CORP   Common 680223104      2,019        79,800  SH                   Sole                  79,800

PFIZER INC          Common 717081103        632        23,500  SH                   Sole                  23,500

PG&E CORP           Common 69331C108      1,554        46,700  SH                   Sole                  46,700

PHARMACEUTICAL      Common 71712A206        727        10,000  SH                   Sole                  10,000
HLDRS TR

PHELPS DODGE CORP   Common 717265102      1,978        20,000  SH                   Sole                  20,000

PIONEER NAT RES CO  Common 723787107      1,755        50,000  SH                   Sole                  50,000

PLACER DOME INC     Common 725906101      5,922       314,000  SH                   Sole                 314,000

PNM RES INC         Common 69349H107        231         9,150  SH                   Sole                   9,150

PRIORITY HEALTHCARE Common 74264T102        397        18,250  SH                   Sole                  18,250
 CORP-B

PUBLIC SVC          Common 744573106        228         4,400  SH                   Sole                   4,400
ENTERPRISE GROUP

PULTE HOMES INC     Common 745867101      5,742        90,000  SH                   Sole                  90,000

R H DONNELLEY CORP  Common 74955W307        323         5,475  SH                   Sole                   5,475
                                   ------------
                         TOTAL $         22,805
                                   ------------

                                                      Page 12 of 17 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


RAYTHEON CO         Common 755111507      5,242       135,000  SH                   Sole                 135,000

REEBOK              Common 758110100      1,760        40,000  SH                   Sole                  40,000
INTERNATIONAL LTD

REINSURANCE GROUP   Common 759351109        727        15,000  SH                   Sole                  15,000
OF AMERICA

RENAISSANCE RE      Common G7496G103      2,500        48,000  SH                   Sole                  48,000
HLDGS LTD

RENT A CTR INC NEW  Common 76009N100        784        29,600  SH                   Sole                  29,600

ROBBINS & MYERS INC Common 770196103        267        11,200  SH                   Sole                  11,200

SANDISK CORP        Common 80004C101      1,998        80,000  SH                   Sole                  80,000

SAPPI LTD           Common 803069202        895        61,700  SH                   Sole                  61,700
-SPONSORED ADR

SARA LEE CORP       Common 803111103      3,321       137,575  SH                   Sole                 137,575

SCANA CORP NEW      Common 80589M102      1,131        28,700  SH                   Sole                  28,700

SCHWEITZER-MAUDUIT  Common 808541106        300         8,825  SH                   Sole                   8,825
INTL INC

SONIC AUTOMOTIVE    Common 83545G102        620        25,000  SH                   Sole                  25,000
INC

SPHERION CORP       Common 848420105        492        58,625  SH                   Sole                  58,625

SPRINT CORP         Common 852061100      6,261       251,950  SH                   Sole                 251,950

STREETTRACKS GOLD   Common 863307104      2,190        50,000  SH                   Sole                  50,000
TRUST
                                   ------------
                         TOTAL $         28,488
                                   ------------

                                                      Page 13 of 17 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


SYBASE INC          Common 871130100        960        48,100  SH                   Sole                  48,100

TEEKAY SHIPPING     Common Y8564W103        389        12,500  SH                   Sole                  12,500
MARSHALL ISLND

TEJON RANCH CO DEL  Common 879080109        363         8,900  SH                   Sole                   8,900

TEXTRON INC         Common 883203101        576         7,800  SH                   Sole                   7,800

THORATEC CORP       Common 885175307      4,064       390,000  SH                   Sole                 390,000

TIME WARNER INC     Common 887317105      3,890       200,000  SH                   Sole                 200,000

TORCHMARK CORP      Common 891027104        827        14,475  SH                   Sole                  14,475

TRIARC COS INC      Common 895927309        212        17,300  SH                   Sole                  17,300

TXU CORP            Common 873168108      6,456       100,000  SH                   Sole                 100,000

UNION PAC CORP      Common 907818108      1,205        17,925  SH                   Sole                  17,925

UNITED NATL GROUP   Common 91103X102        268        14,400  SH                   Sole                  14,400
LTD

UNIVERSAL CORP VA   Common 913456109        304         6,350  SH                   Sole                   6,350

UNOCAL CORP         Common 915289102      1,397        32,300  SH                   Sole                  32,300

USF CORP            Common 91729Q101        325         8,575  SH                   Sole                   8,575

VALASSIS            Common 918866104        369        10,550  SH                   Sole                  10,550
COMMUNICATIONS INC

VALERO ENERGY CORP  Common 91913Y100      3,541        78,000  SH                   Sole                  78,000
NEW
                                   ------------
                         TOTAL $         25,146
                                   ------------

                                                      Page 14 of 17 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


VERIZON             Common 92343V104        454        11,200  SH                   Sole                  11,200
COMMUNICATIONS

VIAD CORP           Common 92552R406        810        28,432  SH                   Sole                  28,432

VINTAGE PETE INC    Common 927460105        567        25,000  SH                   Sole                  25,000

VODAFONE GROUP PLC  Common 92857W100      3,286       120,000  SH                   Sole                 120,000
NEW

WACHOVIA CORP 2ND   Common 929903102      1,283        24,400  SH                   Sole                  24,400
NEW

WASHINGTON MUT INC  Common 939322103        759        17,950  SH                   Sole                  17,950

WESTERN DIGITAL     Common 958102105      6,938       640,000  SH                   Sole                 640,000
CORP

WHIRLPOOL CORP      Common 963320106      1,808        26,125  SH                   Sole                  26,125

WILLIAMS COS INC    Common 969457100      1,569        96,300  SH                   Sole                  96,300
DEL

WISCONSIN ENERGY    Common 976657106      1,377        40,850  SH                   Sole                  40,850
CORP

XCEL ENERGY INC     Common 98389B100        673        37,000  SH                   Sole                  37,000

XL CAP LTD          Common G98255105      1,145        14,750  SH                   Sole                  14,750

YAMANA GOLD INC     Common 98462Y100        453       150,000  SH                   Sole                 150,000

YORK INTL CORP NEW  Common 986670107        404        11,700  SH                   Sole                  11,700
                                   ------------
                         TOTAL $         21,526
                                   ------------

                                                      Page 15 of 17 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


AES CORP            Common 00130H905        273        20,000  SH     Call          Sole                  20,000

AES CORP            Common 00130H955      1,367       100,000  SH     Put           Sole                 100,000

AMERADA HESS CORP   Common 023551954      6,590        80,000  SH     Put           Sole                  80,000

BARRICK GOLD CORP   Common 067901908     18,892       780,000  SH     Call          Sole                 780,000

CENDANT CORP        Common 151313953      4,021       172,000  SH     Put           Sole                 172,000

CITIGROUP INC       Common 172967901      2,409        50,000  SH     Call          Sole                  50,000

COMCAST CORP NEW    Common 20030N900      1,642        50,000  SH     Call          Sole                  50,000

D R HORTON INC      Common 23331A959      1,612        40,000  SH     Put           Sole                  40,000

DISNEY WALT CO      Common 254687956      5,560       200,000  SH     Put           Sole                 200,000

DU PONT E I DE      Common 263534909      1,472        30,000  SH     Call          Sole                  30,000
NEMOURS & CO

EXXON MOBIL CORP    Common 30231G902      3,588        70,000  SH     Call          Sole                  70,000

KRISPY KREME        Common 501014954        252        20,000  SH     Put           Sole                  20,000
DOUGHNUTS INC

MEDTRONIC INC       Common 585055956      1,987        40,000  SH     Put           Sole                  40,000

MICROSOFT CORP      Common 594918904      2,672       100,000  SH     Call          Sole                 100,000

MICROSOFT CORP      Common 594918954     13,894       520,000  SH     Put           Sole                 520,000

MONSANTO CO NEW     Common 61166W951      5,555       100,000  SH     Put           Sole                 100,000
                                   ------------
                         TOTAL $         71,786
                                   ------------

                                                      Page 16 of 17 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 651229956      1,451        60,000  SH     Put           Sole                  60,000
INC

PHELPS DODGE CORP   Common 717265952     24,730       250,000  SH     Put           Sole                 250,000

PLACER DOME INC     Common 725906901      7,355       390,000  SH     Call          Sole                 390,000

SANDISK CORP        Common 80004C951      1,998        80,000  SH     Put           Sole                  80,000

SARA LEE CORP       Common 803111953      1,448        60,000  SH     Put           Sole                  60,000

SEARS ROEBUCK & CO  Common 812387958      3,062        60,000  SH     Put           Sole                  60,000

UNION PAC CORP      Common 907818908      6,725       100,000  SH     Call          Sole                 100,000

UNITED STATES STL   Common 912909958     20,500       400,000  SH     Put           Sole                 400,000
CORP NEW
                                      ----------
                      TOTAL $             67,269
                                      ----------
            AGGREGATE TOTAL $          9,515,799
                                      ==========

                                                      Page 17 of 17 Pages