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, 2010

                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     10065
------------------------------------------------------------------------------
                               (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     10065
------------------------------------------------------------------------------
                  (Street)        (City)        (State)     (Zip)

Date:       February 11, 2011
------------------------------------------------------------------------------

                                  Page 1 of 18

  Loews Corporation ("Loews"), by virtue of its approximately 90% ownership of
voting securities of CNA Financial Corporation whose business address is 333
South Wabash Avenue , Chicago, Illinois 60604 ("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 18

                            FORM 13F SUMMARY PAGE

                                REPORT SUMMARY

Number of Other Included Managers:  NONE.

Form 13F Information Table Entry Total:  176

Form 13F Information Table Value Total:  $15,218.7 (million)

List of Other Included Managers:  NONE.

                                  Page 3 of 18





                                                                                        
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

ABBOTT LABS           Common   002824100      6,707     140,000   SH              Sole                     140,000

AIR PRODS & CHEMS INC Common   009158106      3,638      40,000   SH              Sole                      40,000

ALCATEL-LUCENT        Common   013904305         51      17,077   SH              Sole                      17,077

ALLSTATE CORP         Common   020002101      9,477     297,256   SH              Sole                     297,256

ALVARION LIMITED      Common   M0861T100      1,646     680,000   SH              Sole                     680,000

AMERICAN EQUITY INVT  Common   025676206        128      10,219   SH              Sole                      10,219
LIFE HLD

AMERICAN              Common   026874784      2,305      40,000   SH              Sole                      40,000
INTERNATIONAL GROUP

AMGEN INC             Common   031162100      5,490     100,000   SH              Sole                     100,000

AMKOR TECHNOLOGY INC  Common   031652100        296      40,000   SH              Sole                      40,000

ANADARKO PETE CORP    Common   032511107      1,013      13,300   SH              Sole                      13,300

APACHE CORP           Common   037411105        486       4,080   SH              Sole                       4,080

ASSURANT INC          Common   04621X108      1,926      50,000   SH              Sole                      50,000

AURIZON MINES LTD     Common   05155P106      3,043     416,899   SH              Sole                     416,899
                                      -------------
                          TOTAL $            36,206
                                      -------------

                                                      Page 4 of 18 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

AUTOMATIC DATA        Common   053015103        926      20,000   SH              Sole                      20,000
PROCESSING

AVNET INC             Common   053807103        303       9,175   SH              Sole                       9,175

BARRICK GOLD CORP     Common   067901108     13,602     255,771   SH              Sole                     255,771

BAXTER INTERNATIONAL  Common   071813109        649      12,818   SH              Sole                      12,818
INC

BEMIS COMPANY         Common   081437105     32,660   1,000,000   SH              Sole                   1,000,000

BOARDWALK PIPELINE    Common   096627104  3,197,657 102,719,466   SH              Sole                 102,719,466
PARTNERS

BROADRIDGE FINANCIAL  Common   11133T103      4,783     218,100   SH              Sole                     218,100
SOLUTIONS

BROCADE COMM SYS  INC Common   111621306        952     180,000   SH              Sole                     180,000

CALPINE CORP          Common   131347304        241      18,070   SH              Sole                      18,070

CAMECO CORP           Common   13321L108      1,615      40,000   SH              Sole                      40,000

CF INDUSTRIES         Common   125269100      1,757      13,000   SH              Sole                      13,000
HOLDINGS INC

CHENIERE ENERGY INC   Common   16411R208         67      12,200   SH              Sole                      12,200
                                      -------------
                          TOTAL $         3,255,212
                                      -------------

                                                      Page 5 of 18 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

CHEVRON CORP          Common   166764100     14,144     155,000   SH              Sole                     155,000

CISCO SYS INC         Common   17275R102     14,161     700,000   SH              Sole                     700,000

CITIGROUP INC         Common   172967101        484     102,333   SH              Sole                     102,333

CNA FINL CORP         Common   126117100  6,556,451 242,382,673   SH              Sole                 242,382,673

COMCAST CORP NEW      Common   20030N200      3,621     174,000   SH              Sole                     174,000

CVS CAREMARK CORP     Common   126650100      6,085     175,000   SH              Sole                     175,000

DENBURY RESOURCES     Common   247916208        668      35,000   SH              Sole                      35,000
INC

DEVON ENERGY          Common   25179M103        589       7,500   SH              Sole                       7,500
CORPORATION

DIAMOND OFFSHORE      Common   25271C102  4,687,896  70,104,620   SH              Sole                  70,104,620
DRILLING INC

DRESSER-RAND GROUP    Common   261608103      2,197      51,575   SH              Sole                      51,575
INC

DU PONT E I DE        Common   263534109     11,971     240,000   SH              Sole                     240,000
NEMOURS & CO

DUN & BRADSTREET      Common   26483E100      2,052      25,000   SH              Sole                      25,000
CORP DEL NEW

E M C CORP MASS       Common   268648102      3,206     140,000   SH              Sole                     140,000
                                      -------------
                          TOTAL $        11,303,525
                                      -------------

                                                      Page 6 of 18 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

ENERGIZER HLDGS INC   Common   29266R108      4,374      60,000   SH              Sole                      60,000

ENSCO INTL INC        Common   29358Q109        635      11,900   SH              Sole                      11,900

EVEREST RE GROUP LTD  Common   G3223R108        242       3,800   SH              Sole                       3,800

EXETER RESOURCE       Common   301835104      3,685     593,958   SH              Sole                     593,958

EXXON MOBIL CORP      Common   30231G102     14,576     199,350   SH              Sole                     199,350

FINISAR CORPORATION   Common   31787A507      2,969     100,000   SH              Sole                     100,000

GAMESTOP CORP         Common   36467W109      2,288     100,000   SH              Sole                     100,000

GAMMON GOLD INC       Common   36467T106      4,557     556,351   SH              Sole                     556,351

GENERAL MOTORS CO     Common   37045V100     11,058     300,000   SH              Sole                     300,000

GENUINE PARTS CO      Common   372460105      7,188     140,000   SH              Sole                     140,000

GOLDCORP INC NEW      Common   380956409      6,437     140,000   SH              Sole                     140,000

GREEN PLAINS          Common   393222104      2,139     190,000   SH              Sole                     190,000
RENEWABLE ENERG

HALOZYME              Common   40637H109         90      11,379   SH              Sole                      11,379
THERAPEUTICS INC
                                      -------------
                          TOTAL $            60,238
                                      -------------

                                                      Page 7 of 18 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

HARTE-HANKS INC       Common   416196103        137      10,764   SH              Sole                      10,764

HEWLETT PACKARD CO    Common   428236103     14,919     354,380   SH              Sole                     354,380

HOME DEPOT INC        Common   437076102      7,783     222,000   SH              Sole                     222,000

HOSPITALITY           Common   44106M102        228       9,875   SH              Sole                       9,875
PROPERTIES TRUST

ILLINOIS TOOL WKS INC Common   452308109      6,675     125,000   SH              Sole                     125,000

INGERSOLL-RAND PLC    Common   G47791101        258       5,480   SH              Sole                       5,480

INTEL CORP            Common   458140100      6,309     300,000   SH              Sole                     300,000

INTERNATIONAL         Common   459200101     19,828     135,104   SH              Sole                     135,104
BUSINESS MACHS

JAGUAR MINING INC     Common   47009M103      7,017     987,629   SH              Sole                     987,629

JDS UNIPHASE CORP     Common   46612J507      2,617     180,700   SH              Sole                     180,700

JOHNSON & JOHNSON     Common   478160104     12,227     197,688   SH              Sole                     197,688

KIMBER RESOURCES INC  Common   49435N101        894     641,515   SH              Sole                     641,515

KIMBERLY-CLARK CORP   Common   494368103      6,934     110,000   SH              Sole                     110,000
                                      -------------
                          TOTAL $            85,826
                                      -------------

                                                      Page 8 of 18 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

KOBEX MINERALS INC    Common   49989C105        225     238,285   SH              Sole                     238,285

KRAFT FOODS INC       Common   50075N104      8,193     260,000   SH              Sole                     260,000

L-3 COMMUNICATIONS    Common   502424104        218       3,096   SH              Sole                       3,096
HLDGS INC

LEGG MASON INC        Common   524901105        241       6,644   SH              Sole                       6,644

LEXMARK INTL NEW      Common   529771107      1,741      50,000   SH              Sole                      50,000

LIFE TECHNOLOGIES     Common   53217V109        350       6,300   SH              Sole                       6,300
CORP

LINCOLN NATL CORP IND Common   534187109        501      18,000   SH              Sole                      18,000

LOCKHEED MARTIN       Common   539830109      8,569     122,570   SH              Sole                     122,570

LOWES COS INC         Common   548661107      1,756      70,000   SH              Sole                      70,000

MAG SILVER CORP       Common   55903Q104      4,106         331   SH              Sole                         331

MARATHON OIL CORP     Common   565849106      7,998     216,000   SH              Sole                     216,000

MARTIN MARIETTA       Common   573284106      2,767      30,000   SH              Sole                      30,000
MATERIALS

MASCO CORP            Common   574599106        173      13,675   SH              Sole                      13,675
                                      -------------
                          TOTAL $            36,838
                                      -------------

                                                      Page 9 of 18 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

MASTERCARD INC        Common   57636Q104      5,603      25,000   SH              Sole                      25,000
CLASS A

MATTEL INC            Common   577081102      5,849     230,000   SH              Sole                     230,000

MEDIACOM              Common   58446K105        288      34,000   SH              Sole                      34,000
COMMUNICATIONS CORP

MICROSOFT CORP        Common   594918104     20,486     734,007   SH              Sole                     734,007

MIDWAY GOLD CORP      Common   598153104        163     197,679   SH              Sole                     197,679

MINEFINDERS CORP      Common   602900102      2,219     202,687   SH              Sole                     202,687

MOHAWK INDUSTRIES INC Common   608190104     46,997     828,000   SH              Sole                     828,000

MORGAN STANLEY        Common   617446448        352      12,929   SH              Sole                      12,929

MOTOROLA INC          Common   620076109        166      18,268   SH              Sole                      18,268

NATIONAL GRID PLC-SP  Common   636274300        356       8,032   SH              Sole                       8,032

NATIONAL OILWELL      Common   637071101      2,018      30,000   SH              Sole                      30,000
VARCO INC

NATL PENN BCSHS INC   Common   637138108         84      10,400   SH              Sole                      10,400

NEWELL RUBBERMAID INC Common   651229106      5,454     300,000   SH              Sole                     300,000
                                      -------------
                          TOTAL $            90,035
                                      -------------

                                                      Page 10 of 18 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

NORTHROP GRUMMAN      Common   666807102        297       4,591   SH              Sole                       4,591
CORP

NYSE EURONEXT         Common   629491101      4,497     150,000   SH              Sole                     150,000

OCCIDENTAL            Common   674599105      1,167      11,900   SH              Sole                      11,900
PETROLEUM CORP

ORACLE CORP           Common   68389X105      8,230     262,950   SH              Sole                     262,950

PEPSICO INC           Common   713448108      5,253      80,400   SH              Sole                      80,400

PFIZER INC            Common   717081103        746      42,630   SH              Sole                      42,630

PITNEY BOWES INC      Common   724479100      7,234     299,176   SH              Sole                     299,176

PMC-SIERRA INC        Common   69344F106      3,436     400,000   SH              Sole                     400,000

PPL CORP              Common   69351T106      1,825      69,351   SH              Sole                      69,351

PROGRESS ENERGY INC   Common   743263105        295       6,790   SH              Sole                       6,790

PRUDENTIAL FINANCIAL  Common   744320102      1,468      25,000   SH              Sole                      25,000
INC

RANDGOLD RESOURCES    Common   752344309      6,019      73,114   SH              Sole                      73,114
LTD-ADR

RAYTHEON CO           Common   755111507      4,634     100,000   SH              Sole                     100,000
                                      -------------
                          TOTAL $            45,101
                                      -------------

                                                      Page 11 of 18 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

REINSURANCE GROUP     Common   759351604        430       8,000   SH              Sole                       8,000
OF AMERICA

RITE AID CORP         Common   767754104         37      42,245   SH              Sole                      42,245

RPM INTL INC          Common   749685103      4,407     199,400   SH              Sole                     199,400

RUBICON MINERALS CORP Common   780911103      1,522     267,850   SH              Sole                     267,850

SEALED AIR CORP NEW   Common   81211K100      4,327     170,000   SH              Sole                     170,000

SEALY CORP            Common   812139301         34      11,732   SH              Sole                      11,732

SILICON IMAGE INC     Common   82705T102        588      80,000   SH              Sole                      80,000

SONOCO PRODUCTS CO    Common   835495102      3,367     100,000   SH              Sole                     100,000

SPDR KBW BANK ETF     Common   78464A797      5,830     225,000   SH              Sole                     225,000

SYMANTEC CORP         Common   871503108        251      15,000   SH              Sole                      15,000

SYSCO CORP            Common   871829107      5,880     200,000   SH              Sole                     200,000

THORATEC CORP         Common   885175307      1,982      70,000   SH              Sole                      70,000

TRAVELERS COS INC     Common   89417E109        724      13,000   SH              Sole                      13,000
                                      -------------
                          TOTAL $            29,379
                                      -------------

                                                      Page 12 of 18 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

TYCO ELECTRONICS LTD  Common   H8912P106        209       5,900   SH              Sole                       5,900

UBS AG                Common   H89231338        205      12,425   SH              Sole                      12,425

UNITED CONTINENTAL    Common   910047109        357      15,000   SH              Sole                      15,000
HOLDINGS

UNITED PARCEL SERVICE Common   911312106      3,629      50,000   SH              Sole                      50,000
INC

UNITED STATES STL     Common   912909108      1,753      30,000   SH              Sole                      30,000
CORP NEW

VISTA GOLD CORP       Common   927926303        727     304,348   SH              Sole                     304,348

VULCAN  MATERIALS     Common   929160109      3,549      80,000   SH              Sole                      80,000

WASTE MANAGEMENT INC  Common   94106L109      7,927     215,000   SH              Sole                     215,000

WENDY'S ARBY'S        Common   950587105        924     200,000   SH              Sole                     200,000
GROUP INC

WESTERN DIGITAL CORP  Common   958102105      5,070     149,550   SH              Sole                     149,550

WESTPORT              Common   960908309      3,241     175,000   SH              Sole                     175,000
INNOVATIONS INC

WHIRLPOOL CORP        Common   963320106      7,551      85,000   SH              Sole                      85,000

WHITING PETE CORP     Common   966387102        598       5,100   SH              Sole                       5,100
NEW
                                      -------------
                          TOTAL $            35,740
                                      -------------

                                                      Page 13 of 18 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

WILLIAMS COS INC DEL  Common   969457100        255      10,312   SH              Sole                      10,312

XEROX CORP            Common   984121103     10,495     911,000   SH              Sole                     911,000

ZHONE TECHNOLOGIES    Common   98950P884      1,923     720,380   SH              Sole                     720,380
INC

ZOLTEK COMPANIES INC  Common   98975W104        926      80,000   SH              Sole                      80,000
                                      -------------
                        TOTAL $              13,599
                                      -------------

                                                      Page 14 of 18 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      5,178      60,000   SH     Put      Sole                      60,000

ALLSTATE CORP         Common   020002901      1,275      40,000   SH     Call     Sole                      40,000

ALLSTATE CORP         Common   020002951      6,376     200,000   SH     Put      Sole                     200,000

AMERICAN              Common   026874904        576      10,000   SH     Call     Sole                      10,000
INTERNATIONAL GROUP

AMERICAN              Common   026874954      5,762     100,000   SH     Put      Sole                     100,000
INTERNATIONAL GROUP

AUTOMATIC DATA        Common   053015953      9,256     200,000   SH     Put      Sole                     200,000
PROCESSING

BARRICK GOLD CORP     Common   067901908      9,572     180,000   SH     Call     Sole                     180,000

BARRICK GOLD CORP     Common   067901958     22,336     420,000   SH     Put      Sole                     420,000

BROCADE COMM SYS  INC Common   111621906      1,058     200,000   SH     Call     Sole                     200,000

CAMECO CORP           Common   13321L958      8,884     220,000   SH     Put      Sole                     220,000

CATERPILLAR INC DEL   Common   149123951      9,366     100,000   SH     Put      Sole                     100,000

CIENA CORP            Common   171779909        211      10,000   SH     Call     Sole                      10,000

CIENA CORP            Common   171779959      2,105     100,000   SH     Put      Sole                     100,000
                                      -------------
                          TOTAL $            81,955
                                      -------------

                                                       Page 15 of 18 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

CISCO SYS INC         Common   17275R952      6,069     300,000   SH     Put      Sole                     300,000

CLIFFS  NATURAL       Common   18683K951      7,801     100,000   SH     Put      Sole                     100,000
RESOURCES INC

DISNEY WALT CO        Common   254687906      3,751     100,000   SH     Call     Sole                     100,000

DISNEY WALT CO        Common   254687956      6,752     180,000   SH     Put      Sole                     180,000

DU PONT E I DE        Common   263534959      4,988     100,000   SH     Put      Sole                     100,000
NEMOURS & CO

E M C CORP MASS       Common   268648952      4,580     200,000   SH     Put      Sole                     200,000

GOLDCORP INC NEW      Common   380956909      7,357     160,000   SH     Call     Sole                     160,000

INTEL CORP            Common   458140950      8,412     400,000   SH     Put      Sole                     400,000

INTERNATIONAL         Common   459200951     13,208      90,000   SH     Put      Sole                      90,000
BUSINESS MACHS

ITT CORP              Common   450911952      2,084      40,000   SH     Put      Sole                      40,000

ITT EDUCATIONAL       Common   45068B959      1,911      30,000   SH     Put      Sole                      30,000
SERVICES INC

JOHNSON & JOHNSON     Common   478160954      9,896     160,000   SH     Put      Sole                     160,000

LOWES COS INC         Common   548661957      2,006      80,000   SH     Put      Sole                      80,000
                                      -------------
                          TOTAL $            78,815
                                      -------------

                                                      Page 16 of 18 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

MARATHON OIL CORP     Common   565849956      2,222      60,000   SH     Put      Sole                      60,000

MARTIN MARIETTA       Common   573284956      7,379      80,000   SH     Put      Sole                      80,000
MATERIALS

MCKESSON CORP         Common   58155Q953      2,815      40,000   SH     Put      Sole                      40,000

MICROSOFT CORP        Common   594918904      2,791     100,000   SH     Call     Sole                     100,000

MICROSOFT CORP        Common   594918954     11,164     400,000   SH     Put      Sole                     400,000

NEWMONT MINING CORP   Common   651639956      6,143     100,000   SH     Put      Sole                     100,000

ORACLE CORP           Common   68389X955      3,130     100,000   SH     Put      Sole                     100,000

PENNEY J. C. CO INC   Common   708160956      3,231     100,000   SH     Put      Sole                     100,000

SEAGATE TECHNOLOGY    Common   G7945J904        301      20,000   SH     Call     Sole                      20,000

TARGET CORP           Common   87612E956      2,405      40,000   SH     Put      Sole                      40,000

THORATEC CORP         Common   885175907        283      10,000   SH     Call     Sole                      10,000

UNITED PARCEL SERVICE Common   911312956      5,806      80,000   SH     Put      Sole                      80,000
INC

UNITED STATES STL     Common   912909958      1,753      30,000   SH     Put      Sole                      30,000
CORP NEW
                                      -------------
                          TOTAL $            49,423
                                      -------------

                                                      Page 17 of 18 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

VARIAN MED SYS INC    Common   92220P955      2,771      40,000   SH     Put      Sole                      40,000

VULCAN  MATERIALS     Common   929160959      3,549      80,000   SH     Put      Sole                      80,000

WHIRLPOOL CORP        Common   963320956      3,553      40,000   SH     Put      Sole                      40,000

ZOLTEK COMPANIES INC  Common   98975W904      6,942     600,000   SH     Call     Sole                     600,000
                                      -------------
                        TOTAL $              16,815
                                      -------------
              AGGREGATE TOTAL $          15,218,707
                                      =============

                                                      Page 18 of 18 Pages