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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 3/31/2013
Check here if Amendment []; Amendment Number:
                                               -------
This Amendment (Check only one.):               [] is a restatement.
                                                [] adds new holdings entries.

Institutional Investment Manager Filing this Report:


Name:      Ionic Capital Management LLC

Address:   366 Madison Avenue
           9th Floor
           New York, NY 10017


Form 13F File Number: 028-12913


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 submission.

Persons Signing this Report on Behalf of Reporting Manager:

Name:   John C. Richardson
Title:  Chief Operating Officer and General Counsel
Phone:  (212) 294-8500

Signature,  Place,  and  Date  of  Signing:

/s/ John C. Richardson             New York, NY                       5/15/2013
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

[X]     13F HOLDINGS REPORT. (Check here if all holdings of this reporting
        manager are reported in this report.)

[ ]     13F NOTICE. (Check here if no holdings reported are in this report,
        and all holdings are reported by other reporting manager(s).)

[ ]     13F COMBINATION REPORT. (Check here if a portion of the holdings for
        this reporting manager are reported in this report and a portion are
        reported by other reporting manager(s).)

List of Other Managers Reporting for this Manager:




                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    1

Form 13F Information Table Entry Total:             360

Form 13F Information Table Value Total:  $    3,463,749
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.   Form 13F File Number  Name

1     028-12955             Ionic Capital Partners LP
----  --------------------  ----------------------------------------------------






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
---------------------------- ---------------- --------- -------- ------------------- ---------- -------- ----------------------
                                                         VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED NONE
---------------------------- ---------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ------ ----
                                                                                          
ACCENTURE PLC IRELAND        SHS CLASS A      G1151C101    1,459     19,200     CALL DEFINED    1            19,200      0    0
ACCENTURE PLC IRELAND        SHS CLASS A      G1151C101    1,459     19,200     PUT  DEFINED    1            19,200      0    0
ACCENTURE PLC IRELAND        SHS CLASS A      G1151C101      684      9,000 SH       DEFINED    1             9,000      0    0
ACE LTD                      SHS              H0023R105    2,224     25,000     PUT  DEFINED                 25,000      0    0
ACE LTD                      SHS              H0023R105      222      2,500 SH       DEFINED                  2,500      0    0
AFLAC INC                    COM              001055102    6,737    129,500     CALL DEFINED    1           129,500      0    0
AFLAC INC                    COM              001055102    1,982     38,100     CALL DEFINED                 38,100      0    0
AFLAC INC                    COM              001055102    5,467    105,100     PUT  DEFINED    1           105,100      0    0
AFLAC INC                    COM              001055102    1,982     38,100     PUT  DEFINED                 38,100      0    0
AFLAC INC                    COM              001055102    1,092     21,000 SH       DEFINED                 21,000      0    0
ALCOA INC                    COM              013817101    9,287  1,090,000     PUT  DEFINED    1         1,090,000      0    0
ALCOA INC                    COM              013817101    3,456    405,661 SH       DEFINED    1           405,661      0    0
ALCOA INC                    NOTE  5.250% 3/1 013817AT8   27,125 19,609,000 PRN      DEFINED    1        19,609,000      0    0
ALCOA INC                    NOTE  5.250% 3/1 013817AT8      541    391,000 PRN      DEFINED                391,000      0    0
AMERICAN EXPRESS CO          COM              025816109   16,865    250,000     PUT  DEFINED    1           250,000      0    0
AMERICAN EXPRESS CO          COM              025816109    2,833     42,000 SH       DEFINED    1            42,000      0    0
AMERICAN INTL GROUP INC      COM NEW          026874784    5,823    150,000     PUT  DEFINED    1           150,000      0    0
AMERICAN INTL GROUP INC      COM NEW          026874784    1,614     41,588 SH       DEFINED    1            41,588      0    0
AMERICAN INTL GROUP INC      COM NEW          026874784    8,148    209,900 SH       DEFINED                209,900      0    0
ANGLOGOLD ASHANTI HLDGS FIN  MAND BD CV 13    03512Q206    9,530    334,632 SH       DEFINED    1           334,632      0    0
ANGLOGOLD ASHANTI HLDGS FIN  MAND BD CV 13    03512Q206      459     16,119 SH       DEFINED                 16,119      0    0
ANGLOGOLD ASHANTI LTD        SPONSORED ADR    035128206    9,830    417,400     CALL DEFINED    1           417,400      0    0
ANGLOGOLD ASHANTI LTD        SPONSORED ADR    035128206      520     22,100     CALL DEFINED                 22,100      0    0
ANNALY CAP MGMT INC          COM              035710409    7,375    464,100     CALL DEFINED    1           464,100      0    0
APACHE CORP                  COM              037411105      772     10,000     CALL DEFINED                 10,000      0    0
APPLE INC                    COM              037833100   22,133     50,000     CALL DEFINED    1            50,000      0    0
APPLE INC                    COM              037833100   18,149     41,000     PUT  DEFINED    1            41,000      0    0
APPLE INC                    COM              037833100   11,283     25,489 SH       DEFINED    1            25,489      0    0
ARCELORMITTAL SA LUXEMBOURG  MAND CV NT 16    L0302D178  113,691  5,426,788 SH       DEFINED    1         5,426,788      0    0
ARCELORMITTAL SA LUXEMBOURG  MAND CV NT 16    L0302D178    8,433    402,536 SH       DEFINED                402,536      0    0
ARCHER DANIELS MIDLAND CO    COM              039483102   16,865    500,000     PUT  DEFINED    1           500,000      0    0
ARCHER DANIELS MIDLAND CO    COM              039483102    2,078     61,600 SH       DEFINED    1            61,600      0    0
ASHLAND INC NEW              COM              044209104    2,823     38,000 SH       DEFINED                 38,000      0    0
BANK OF AMERICA CORPORATION  COM              060505104   10,885    893,700     PUT  DEFINED    1           893,700      0    0
BANK OF AMERICA CORPORATION  COM              060505104    2,904    238,432 SH       DEFINED    1           238,432      0    0
BARCLAYS BK PLC              IPATH S&P500 VIX 06740C188    1,417     70,000     PUT  DEFINED    1            70,000      0    0
BARCLAYS BK PLC              IPATH S&P500 VIX 06740C188    1,012     50,000     PUT  DEFINED                 50,000      0    0
BARCLAYS BK PLC              IPATH S&P500 VIX 06740C188   16,706    824,993 SH       DEFINED    1           824,993      0    0
BARCLAYS BK PLC              IPATH S&P500 VIX 06740C188   17,387    858,607 SH       DEFINED                858,607      0    0
BARRICK GOLD CORP            COM              067901108   31,267  1,063,500     CALL DEFINED    1         1,063,500      0    0
BARRICK GOLD CORP            COM              067901108    6,368    216,600     PUT  DEFINED    1           216,600      0    0
BERKSHIRE HATHAWAY INC DEL   CL B NEW         084670702    9,503     91,200     CALL DEFINED    1            91,200      0    0
BHP BILLITON LTD             SPONSORED ADR    088606108    7,130    104,200     CALL DEFINED    1           104,200      0    0
BHP BILLITON LTD             SPONSORED ADR    088606108    1,369     20,000     CALL DEFINED                 20,000      0    0
BHP BILLITON LTD             SPONSORED ADR    088606108    7,130    104,200     PUT  DEFINED    1           104,200      0    0
BHP BILLITON LTD             SPONSORED ADR    088606108    1,369     20,000     PUT  DEFINED                 20,000      0    0
BHP BILLITON LTD             SPONSORED ADR    088606108    3,353     49,000 SH       DEFINED    1            49,000      0    0
BHP BILLITON LTD             SPONSORED ADR    088606108      308      4,500 SH       DEFINED                  4,500      0    0
BIOSCRIP INC                 COM              09069N108    3,594    282,732 SH       DEFINED                282,732      0    0
BLACKROCK INC                COM              09247X101   17,391     67,700     PUT  DEFINED    1            67,700      0    0
BLACKROCK INC                COM              09247X101    3,339     13,000     PUT  DEFINED                 13,000      0    0
BLACKROCK INC                COM              09247X101    4,972     19,356 SH       DEFINED    1            19,356      0    0
BLACKROCK INC                COM              09247X101      969      3,773 SH       DEFINED                  3,773      0    0
BMC SOFTWARE INC             COM              055921100    4,489     96,900 SH       DEFINED                 96,900      0    0
CABELAS INC                  COM              126804301    3,647     60,000     CALL DEFINED    1            60,000      0    0
CABELAS INC                  COM              126804301    5,470     90,000     PUT  DEFINED    1            90,000      0    0
CATERPILLAR INC DEL          COM              149123101   19,464    223,800     PUT  DEFINED    1           223,800      0    0
CATERPILLAR INC DEL          COM              149123101    5,080     58,415 SH       DEFINED    1            58,415      0    0
CBS CORP NEW                 CL B             124857202    4,333     92,800     PUT  DEFINED    1            92,800      0    0
CBS CORP NEW                 CL B             124857202    1,158     24,800 SH       DEFINED    1            24,800      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
---------------------------- ---------------- --------- -------- ------------------- ---------- -------- ----------------------
                                                         VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED NONE
---------------------------- ---------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ------ ----
                                                                                          
CHEVRON CORP NEW             COM              166764100   25,416    213,900     CALL DEFINED    1           213,900      0    0
CHEVRON CORP NEW             COM              166764100    1,913     16,100     CALL DEFINED                 16,100      0    0
CISCO SYS INC                COM              17275R102      627     30,000     CALL DEFINED    1            30,000      0    0
CISCO SYS INC                COM              17275R102      627     30,000     PUT  DEFINED    1            30,000      0    0
CLIFFS NAT RES INC           COM              18683K101    5,960    313,500     PUT  DEFINED    1           313,500      0    0
CLIFFS NAT RES INC           COM              18683K101      884     46,500     PUT  DEFINED                 46,500      0    0
CLIFFS NAT RES INC           COM              18683K101    3,422    180,023 SH       DEFINED    1           180,023      0    0
CLIFFS NAT RES INC           COM              18683K101      670     35,266 SH       DEFINED                 35,266      0    0
COACH INC                    COM              189754104   17,472    349,500     PUT  DEFINED    1           349,500      0    0
COACH INC                    COM              189754104    4,074     81,500 SH       DEFINED    1            81,500      0    0
COCA COLA CO                 COM              191216100    9,099    225,000     CALL DEFINED    1           225,000      0    0
COCA COLA CO                 COM              191216100    6,066    150,000     CALL DEFINED                150,000      0    0
COCA COLA CO                 COM              191216100    5,055    125,000     PUT  DEFINED    1           125,000      0    0
COMPANHIA SIDERURGICA NACION SPONSORED ADR    20440W105    1,232    275,000     PUT  DEFINED    1           275,000      0    0
COMPANHIA SIDERURGICA NACION SPONSORED ADR    20440W105      830    185,200 SH       DEFINED    1           185,200      0    0
CONSOL ENERGY INC            COM              20854P109      693     20,600     PUT  DEFINED    1            20,600      0    0
CONSOL ENERGY INC            COM              20854P109      589     17,500 SH       DEFINED    1            17,500      0    0
CONSTELLATION BRANDS INC     CL A             21036P108    5,774    121,205 SH       DEFINED                121,205      0    0
CORNING INC                  COM              219350105   10,417    781,500     PUT  DEFINED    1           781,500      0    0
CORNING INC                  COM              219350105    1,506    112,970 SH       DEFINED    1           112,970      0    0
CORRECTIONS CORP AMER NEW    COM NEW          22025Y407    1,477     37,800 SH       DEFINED                 37,800      0    0
CREE INC                     COM              225447101   12,310    225,000     CALL DEFINED    1           225,000      0    0
CREE INC                     COM              225447101    4,217     77,086 SH       DEFINED    1            77,086      0    0
CROCS INC                    COM              227046109      200     13,500     CALL DEFINED                 13,500      0    0
CROCS INC                    COM              227046109      200     13,500     PUT  DEFINED                 13,500      0    0
D R HORTON INC               COM              23331A109    2,889    118,900     PUT  DEFINED    1           118,900      0    0
D R HORTON INC               COM              23331A109    2,454    101,000     PUT  DEFINED                101,000      0    0
D R HORTON INC               COM              23331A109      637     26,200 SH       DEFINED                 26,200      0    0
DEAN FOODS CO NEW            COM              242370104    6,717    370,499 SH       DEFINED                370,499      0    0
DEERE & CO                   COM              244199105    6,878     80,000     CALL DEFINED    1            80,000      0    0
DEERE & CO                   COM              244199105   20,094    233,700     PUT  DEFINED    1           233,700      0    0
DIGITALGLOBE INC             COM NEW          25389M877    7,414    256,464 SH       DEFINED                256,464      0    0
DIREXION SHS ETF TR          DLY R/E BULL3X   25459W755      387      4,000 SH       DEFINED                  4,000      0    0
DOW CHEM CO                  COM              260543103    2,152     67,600     PUT  DEFINED    1            67,600      0    0
DOW CHEM CO                  COM              260543103      113      3,557 SH       DEFINED    1             3,557      0    0
DU PONT E I DE NEMOURS & CO  COM              263534109   17,683    359,700     PUT  DEFINED    1           359,700      0    0
DU PONT E I DE NEMOURS & CO  COM              263534109    3,597     73,164 SH       DEFINED    1            73,164      0    0
E M C CORP MASS              NOTE  1.750%12/0 268648AM4   37,319 25,000,000 PRN      DEFINED    1        25,000,000      0    0
EMERSON ELEC CO              COM              291011104   16,538    296,000     PUT  DEFINED    1           296,000      0    0
EMERSON ELEC CO              COM              291011104    5,152     92,206 SH       DEFINED    1            92,206      0    0
ENPRO INDS INC               COM              29355X107    3,701     72,330 SH       DEFINED                 72,330      0    0
EXELIXIS INC                 NOTE  4.250% 8/1 30161QAC8    3,981  4,000,000 PRN      DEFINED    1         4,000,000      0    0
EXPEDITORS INTL WASH INC     COM              302130109    5,042    141,100     CALL DEFINED    1           141,100      0    0
EXPEDITORS INTL WASH INC     COM              302130109    1,251     35,000 SH       DEFINED    1            35,000      0    0
EXPRESS SCRIPTS HLDG CO      COM              30219G108    7,081    122,900 SH       DEFINED                122,900      0    0
FEDEX CORP                   COM              31428X106   14,730    150,000     PUT  DEFINED    1           150,000      0    0
FEDEX CORP                   COM              31428X106    4,665     47,500 SH       DEFINED    1            47,500      0    0
FIRST TR ISE REVERE NAT GAS  COM              33734J102    9,028    536,769 SH       DEFINED    1           536,769      0    0
FIRST TR ISE REVERE NAT GAS  COM              33734J102    6,899    410,145 SH       DEFINED                410,145      0    0
FORD MTR CO DEL              COM PAR $0.01    345370860   39,450  3,000,000     PUT  DEFINED    1         3,000,000      0    0
FORD MTR CO DEL              COM PAR $0.01    345370860    8,380    637,299 SH       DEFINED    1           637,299      0    0
FREEPORT-MCMORAN COPPER & GO COM              35671D857   13,240    400,000     PUT  DEFINED    1           400,000      0    0
FREEPORT-MCMORAN COPPER & GO COM              35671D857    3,310    100,000     PUT  DEFINED                100,000      0    0
FREEPORT-MCMORAN COPPER & GO COM              35671D857    5,097    154,000 SH       DEFINED    1           154,000      0    0
FREEPORT-MCMORAN COPPER & GO COM              35671D857    1,655     50,000 SH       DEFINED                 50,000      0    0
GENCORP INC                  COM              368682100    4,458    335,151 SH       DEFINED                335,151      0    0
GENCORP INC                  SDCV  4.062%12/3 368682AN0    6,640  4,250,000 PRN      DEFINED    1         4,250,000      0    0
GENCORP INC                  SDCV  4.062%12/3 368682AN0      391    250,000 PRN      DEFINED                250,000      0    0
GENERAL MLS INC              COM              370334104    7,899    160,200     CALL DEFINED    1           160,200      0    0
GENERAL MLS INC              COM              370334104    1,134     23,000 SH       DEFINED    1            23,000      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
---------------------------- ---------------- --------- -------- ------------------- ---------- -------- ----------------------
                                                         VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED NONE
---------------------------- ---------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ------ ----
                                                                                          
GILEAD SCIENCES INC          NOTE  1.000% 5/0 375558AN3   74,846 34,500,000 PRN      DEFINED    1        34,500,000      0    0
GOLDCORP INC NEW             COM              380956409    2,125     63,200     CALL DEFINED    1            63,200      0    0
GOLDMAN SACHS GROUP INC      COM              38141G104   26,472    179,900     PUT  DEFINED    1           179,900      0    0
GOLDMAN SACHS GROUP INC      COM              38141G104    4,415     30,000     PUT  DEFINED                 30,000      0    0
GOLDMAN SACHS GROUP INC      COM              38141G104    6,622     45,000 SH       DEFINED    1            45,000      0    0
GOLDMAN SACHS GROUP INC      COM              38141G104    1,648     11,200 SH       DEFINED                 11,200      0    0
GOODYEAR TIRE & RUBR CO      COM              382550101      126     10,000     CALL DEFINED                 10,000      0    0
GULFPORT ENERGY CORP         COM NEW          402635304    1,833     40,000     CALL DEFINED    1            40,000      0    0
GULFPORT ENERGY CORP         COM NEW          402635304      458     10,000     CALL DEFINED                 10,000      0    0
HALLIBURTON CO               COM              406216101    1,932     47,800     CALL DEFINED    1            47,800      0    0
HALLIBURTON CO               COM              406216101   16,204    401,000     PUT  DEFINED    1           401,000      0    0
HALLIBURTON CO               COM              406216101    4,367    108,058 SH       DEFINED    1           108,058      0    0
HARLEY DAVIDSON INC          COM              412822108   15,990    300,000     PUT  DEFINED    1           300,000      0    0
HARLEY DAVIDSON INC          COM              412822108    3,891     73,000 SH       DEFINED    1            73,000      0    0
HARTFORD FINL SVCS GROUP INC COM              416515104      645     25,000     CALL DEFINED    1            25,000      0    0
HARTFORD FINL SVCS GROUP INC COM              416515104      787     30,500     CALL DEFINED                 30,500      0    0
HARTFORD FINL SVCS GROUP INC DEP CONV PFD     416515708    1,833     77,158 SH       DEFINED    1            77,158      0    0
HARTFORD FINL SVCS GROUP INC DEP CONV PFD     416515708   14,847    625,149 SH       DEFINED                625,149      0    0
HDFC BANK LTD                ADR REPS 3 SHS   40415F101      254      6,800     CALL DEFINED                  6,800      0    0
HDFC BANK LTD                ADR REPS 3 SHS   40415F101    1,965     52,500     PUT  DEFINED    1            52,500      0    0
HDFC BANK LTD                ADR REPS 3 SHS   40415F101    1,096     29,300     PUT  DEFINED                 29,300      0    0
HDFC BANK LTD                ADR REPS 3 SHS   40415F101      701     18,725 SH       DEFINED    1            18,725      0    0
HDFC BANK LTD                ADR REPS 3 SHS   40415F101      480     12,825 SH       DEFINED                 12,825      0    0
HERTZ GLOBAL HOLDINGS INC    NOTE  5.250% 6/0 42805TAA3   32,388 11,922,000 PRN      DEFINED    1        11,922,000      0    0
HESS CORP                    COM              42809H107    3,581     50,000     CALL DEFINED    1            50,000      0    0
HESS CORP                    COM              42809H107    1,432     20,000 SH       DEFINED    1            20,000      0    0
HEWLETT PACKARD CO           COM              428236103    5,579    234,000     PUT  DEFINED    1           234,000      0    0
HEWLETT PACKARD CO           COM              428236103    2,415    101,303 SH       DEFINED    1           101,303      0    0
ICICI BK LTD                 ADR              45104G104    3,432     80,000     PUT  DEFINED    1            80,000      0    0
ICICI BK LTD                 ADR              45104G104    1,776     41,400     PUT  DEFINED                 41,400      0    0
ICICI BK LTD                 ADR              45104G104      781     18,200 SH       DEFINED    1            18,200      0    0
ICICI BK LTD                 ADR              45104G104      390      9,081 SH       DEFINED                  9,081      0    0
INTEL CORP                   COM              458140100    6,288    288,000     CALL DEFINED    1           288,000      0    0
INTEL CORP                   COM              458140100   23,213  1,063,100     PUT  DEFINED    1         1,063,100      0    0
INTEL CORP                   COM              458140100    4,627    211,900 SH       DEFINED    1           211,900      0    0
INTERCONTINENTALEXCHANGE INC COM              45865V100    5,398     33,100 SH       DEFINED                 33,100      0    0
INTERNATIONAL GAME TECHNOLOG NOTE  3.250% 5/0 459902AQ5    1,078  1,000,000 PRN      DEFINED              1,000,000      0    0
INTEROIL CORP                COM              460951106    1,218     16,000     CALL DEFINED    1            16,000      0    0
INTEROIL CORP                COM              460951106      304      4,000     CALL DEFINED                  4,000      0    0
ISHARES INC                  MSCI BRAZIL CAPP 464286400   28,602    525,000     CALL DEFINED    1           525,000      0    0
ISHARES INC                  MSCI BRAZIL CAPP 464286400   39,498    725,000     PUT  DEFINED    1           725,000      0    0
ISHARES SILVER TRUST         ISHARES          46428Q109    3,264    119,000     CALL DEFINED                119,000      0    0
ISHARES SILVER TRUST         ISHARES          46428Q109    3,264    119,000     PUT  DEFINED                119,000      0    0
ISHARES SILVER TRUST         ISHARES          46428Q109    1,975     72,000 SH       DEFINED                 72,000      0    0
ISHARES TR                   BARCLYS 20+ YR   464287432   17,664    150,000     PUT  DEFINED    1           150,000      0    0
ISHARES TR                   DJ US REAL EST   464287739   21,525    309,800     CALL DEFINED    1           309,800      0    0
ISHARES TR                   DJ US REAL EST   464287739      572      8,229 SH       DEFINED                  8,229      0    0
ISHARES TR                   MSCI EAFE INDEX  464287465   17,354    294,232 SH       DEFINED                294,232      0    0
ISHARES TR                   MSCI EMERG MKT   464287234   31,718    741,600     CALL DEFINED    1           741,600      0    0
ISHARES TR                   MSCI EMERG MKT   464287234    6,843    160,000     CALL DEFINED                160,000      0    0
ISHARES TR                   MSCI EMERG MKT   464287234   31,718    741,600     PUT  DEFINED    1           741,600      0    0
ISHARES TR                   MSCI EMERG MKT   464287234    6,843    160,000     PUT  DEFINED                160,000      0    0
ISHARES TR                   MSCI EMERG MKT   464287234      446     10,423 SH       DEFINED    1            10,423      0    0
ISHARES TR                   MSCI EMERG MKT   464287234    2,139     50,000 SH       DEFINED                 50,000      0    0
ISHARES TR                   PHLX SOX SEMICND 464287523       18        300 SH       DEFINED    1               300      0    0
ISHARES TR                   PHLX SOX SEMICND 464287523    1,451     24,510 SH       DEFINED                 24,510      0    0
ISHARES TR                   RUSSELL 2000     464287655   23,608    250,000     CALL DEFINED    1           250,000      0    0
ISHARES TR                   RUSSELL 2000     464287655  142,448  1,508,500     PUT  DEFINED    1         1,508,500      0    0
ISHARES TR                   RUSSELL 2000     464287655    3,541     37,500     PUT  DEFINED                 37,500      0    0
ISHARES TR                   RUSSELL 2000     464287655   15,161    160,548 SH       DEFINED    1           160,548      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
---------------------------- ---------------- --------- -------- ------------------- ---------- -------- ----------------------
                                                         VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED NONE
---------------------------- ---------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ------ ----
                                                                                          
ISHARES TR                   RUSSELL 2000     464287655      956     10,125 SH       DEFINED                 10,125      0    0
ITAU UNIBANCO HLDG SA        SPON ADR REP PFD 465562106   22,544  1,266,500     PUT  DEFINED    1         1,266,500      0    0
ITAU UNIBANCO HLDG SA        SPON ADR REP PFD 465562106    5,970    335,378 SH       DEFINED    1           335,378      0    0
JOHNSON CTLS INC             COM              478366107   16,834    480,000     PUT  DEFINED    1           480,000      0    0
JOHNSON CTLS INC             COM              478366107    4,231    120,650 SH       DEFINED    1           120,650      0    0
KAR AUCTION SVCS INC         COM              48238T109    5,983    298,697 SH       DEFINED                298,697      0    0
KB HOME                      COM              48666K109   18,504    850,000     PUT  DEFINED    1           850,000      0    0
KB HOME                      COM              48666K109      435     20,000 SH       DEFINED    1            20,000      0    0
KELLOGG CO                   COM              487836108    5,921     91,900     CALL DEFINED    1            91,900      0    0
KELLOGG CO                   COM              487836108    2,100     32,600     PUT  DEFINED    1            32,600      0    0
KINROSS GOLD CORP            COM NO PAR       496902404    1,632    205,800     CALL DEFINED    1           205,800      0    0
KINROSS GOLD CORP            COM NO PAR       496902404       59      7,400     PUT  DEFINED    1             7,400      0    0
KRAFT FOODS GROUP INC        COM              50076Q106    7,549    146,500     CALL DEFINED    1           146,500      0    0
KRAFT FOODS GROUP INC        COM              50076Q106    1,225     23,773 SH       DEFINED    1            23,773      0    0
LEGGETT & PLATT INC          COM              524660107    2,331     69,000     CALL DEFINED    1            69,000      0    0
LINKEDIN CORP                COM CL A         53578A108    8,821     50,100     PUT  DEFINED    1            50,100      0    0
LOCKHEED MARTIN CORP         COM              539830109   19,787    205,000     CALL DEFINED    1           205,000      0    0
LYONDELLBASELL INDUSTRIES N  SHS - A -        N53745100   18,038    285,000     CALL DEFINED    1           285,000      0    0
MARATHON PETE CORP           COM              56585A102   17,920    200,000     CALL DEFINED    1           200,000      0    0
MARKET VECTORS ETF TR        GOLD MINER ETF   57060U100  186,124  4,917,400     CALL DEFINED    1         4,917,400      0    0
MARKET VECTORS ETF TR        GOLD MINER ETF   57060U100   50,007  1,321,200     PUT  DEFINED    1         1,321,200      0    0
MARKET VECTORS ETF TR        GOLD MINER ETF   57060U100   11,120    293,804 SH       DEFINED    1           293,804      0    0
MARKET VECTORS ETF TR        SEMICONDUCTOR    57060U233      462     13,000 SH       DEFINED    1            13,000      0    0
MARKET VECTORS ETF TR        SEMICONDUCTOR    57060U233      373     10,500 SH       DEFINED                 10,500      0    0
MASTERCARD INC               CL A             57636Q104   12,175     22,500     PUT  DEFINED    1            22,500      0    0
MASTERCARD INC               CL A             57636Q104    2,489      4,600 SH       DEFINED    1             4,600      0    0
MCDONALDS CORP               COM              580135101   27,614    277,000     CALL DEFINED    1           277,000      0    0
MCDONALDS CORP               COM              580135101   14,954    150,000     PUT  DEFINED    1           150,000      0    0
METLIFE INC                  COM              59156R108   64,927  1,707,700     CALL DEFINED    1         1,707,700      0    0
METLIFE INC                  COM              59156R108    3,418     89,900     CALL DEFINED                 89,900      0    0
METLIFE INC                  COM              59156R108   67,706  1,780,800     PUT  DEFINED    1         1,780,800      0    0
METLIFE INC                  COM              59156R108    3,566     93,800     PUT  DEFINED                 93,800      0    0
METLIFE INC                  UNIT 99/99/9999  59156R116   11,693    236,749 SH       DEFINED                236,749      0    0
MGM RESORTS INTERNATIONAL    COM              552953101    2,630    200,000     PUT  DEFINED    1           200,000      0    0
MGM RESORTS INTERNATIONAL    COM              552953101       53      4,000 SH       DEFINED    1             4,000      0    0
MICROSOFT CORP               COM              594918104   15,733    550,000     CALL DEFINED    1           550,000      0    0
MICROSOFT CORP               COM              594918104   23,756    830,500     PUT  DEFINED    1           830,500      0    0
MICROSOFT CORP               COM              594918104   10,004    349,713 SH       DEFINED    1           349,713      0    0
MONDELEZ INTL INC            CL A             609207105    3,062    100,000     CALL DEFINED    1           100,000      0    0
MONDELEZ INTL INC            CL A             609207105   15,106    493,418 SH       DEFINED    1           493,418      0    0
MORGAN STANLEY               COM NEW          617446448   13,773    626,600     PUT  DEFINED    1           626,600      0    0
MORGAN STANLEY               COM NEW          617446448      659     30,000 SH       DEFINED    1            30,000      0    0
MRC GLOBAL INC               COM              55345K103    2,814     85,467 SH       DEFINED                 85,467      0    0
NETAPP INC                   NOTE  1.750% 6/0 64110DAB0   24,539 22,500,000 PRN      DEFINED    1        22,500,000      0    0
NEXSTAR BROADCASTING GROUP I CL A             65336K103      982     54,541 SH       DEFINED                 54,541      0    0
NUCOR CORP                   COM              670346105   11,579    250,900     CALL DEFINED    1           250,900      0    0
OMNICOM GROUP INC            COM              681919106    1,361     23,100     CALL DEFINED    1            23,100      0    0
PEABODY ENERGY CORP          COM              704549104    1,582     74,800     PUT  DEFINED    1            74,800      0    0
PEABODY ENERGY CORP          COM              704549104      279     13,200     PUT  DEFINED                 13,200      0    0
PEABODY ENERGY CORP          COM              704549104      791     37,410 SH       DEFINED    1            37,410      0    0
PEABODY ENERGY CORP          COM              704549104      141      6,690 SH       DEFINED                  6,690      0    0
PENNEY J C INC               COM              708160106      756     50,000     CALL DEFINED    1            50,000      0    0
PENNEY J C INC               COM              708160106    2,179    144,200 SH       DEFINED                144,200      0    0
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR    71654V408    2,613    157,700     PUT  DEFINED    1           157,700      0    0
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR    71654V408      461     27,800     PUT  DEFINED                 27,800      0    0
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR    71654V408    1,993    120,255 SH       DEFINED    1           120,255      0    0
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR    71654V408      365     22,045 SH       DEFINED                 22,045      0    0
PHILIP MORRIS INTL INC       COM              718172109   14,120    152,300     CALL DEFINED    1           152,300      0    0
PHILIP MORRIS INTL INC       COM              718172109   14,120    152,300     PUT  DEFINED    1           152,300      0    0
POWERSHARES ETF TRUST        WATER RESOURCE   73935X575    2,103     91,500     CALL DEFINED    1            91,500      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
---------------------------- ---------------- --------- -------- ------------------- ---------- -------- ----------------------
                                                         VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED NONE
---------------------------- ---------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ------ ----
                                                                                          
PPG INDS INC                 COM              693506107      695      5,186 SH       DEFINED                  5,186      0    0
PROCTER & GAMBLE CO          COM              742718109    9,239    119,900     CALL DEFINED    1           119,900      0    0
PROCTER & GAMBLE CO          COM              742718109    7,706    100,000     CALL DEFINED                100,000      0    0
PROSHARES TR                 ULSH MSCI EURP   74348A301    2,077     83,800     PUT  DEFINED    1            83,800      0    0
PROSHARES TR                 ULSH MSCI EURP   74348A301      776     31,300     PUT  DEFINED                 31,300      0    0
PROSHARES TR                 ULTSHT CHINA 25  74347X567    3,307    162,100     PUT  DEFINED    1           162,100      0    0
PROSHARES TR                 ULTSHT CHINA 25  74347X567    1,738     85,200     PUT  DEFINED                 85,200      0    0
PROSHARES TR II              PSHS ULSSLVR NEW 74347W114    1,898     34,500     CALL DEFINED    1            34,500      0    0
PROSHARES TR II              PSHS ULSSLVR NEW 74347W114   57,898  1,052,300     PUT  DEFINED    1         1,052,300      0    0
PROSHARES TR II              PSHS ULSSLVR NEW 74347W114    1,646     29,915 SH       DEFINED    1            29,915      0    0
PROSHARES TR II              ULT VIX S/T ETF  74347W411    7,050    916,800     PUT  DEFINED    1           916,800      0    0
PROSHARES TR II              ULT VIX S/T ETF  74347W411    8,005  1,040,900     PUT  DEFINED              1,040,900      0    0
PROSHARES TR II              ULTRA SILVER     74347W841    2,235     59,200     PUT  DEFINED    1            59,200      0    0
PULTE GROUP INC              COM              745867101    1,581     78,100     PUT  DEFINED    1            78,100      0    0
PULTE GROUP INC              COM              745867101      121      6,000 SH       DEFINED    1             6,000      0    0
QEP RES INC                  COM              74733V100    1,035     32,500     CALL DEFINED                 32,500      0    0
QEP RES INC                  COM              74733V100    4,680    147,000 SH       DEFINED                147,000      0    0
RACKSPACE HOSTING INC        COM              750086100    2,133     42,253 SH       DEFINED                 42,253      0    0
RANGE RES CORP               COM              75281A109    5,981     73,800     PUT  DEFINED    1            73,800      0    0
RANGE RES CORP               COM              75281A109      340      4,200     PUT  DEFINED                  4,200      0    0
RANGE RES CORP               COM              75281A109    1,338     16,512 SH       DEFINED    1            16,512      0    0
RANGE RES CORP               COM              75281A109       81        995 SH       DEFINED                    995      0    0
RENTECH INC                  COM              760112102    4,391  1,868,441 SH       DEFINED    1         1,868,441      0    0
RENTECH INC                  COM              760112102    5,215  2,219,056 SH       DEFINED              2,219,056      0    0
RESOLUTE FST PRODS INC       COM              76117W109    4,045    250,000     CALL DEFINED    1           250,000      0    0
ROYAL DUTCH SHELL PLC        SPONS ADR A      780259206    2,196     33,700     CALL DEFINED                 33,700      0    0
ROYAL DUTCH SHELL PLC        SPONS ADR A      780259206    2,196     33,700     PUT  DEFINED                 33,700      0    0
ROYAL DUTCH SHELL PLC        SPONS ADR A      780259206    1,759     27,000 SH       DEFINED                 27,000      0    0
ROYAL GOLD INC               COM              780287108   11,315    159,300     CALL DEFINED    1           159,300      0    0
RYMAN HOSPITALITY PPTYS INC  COM              78377T107      276      6,024 SH       DEFINED                  6,024      0    0
SALESFORCE COM INC           COM              79466L302    5,047     28,220 SH       DEFINED    1            28,220      0    0
SANDRIDGE ENERGY INC         COM              80007P307    2,272    431,200     CALL DEFINED                431,200      0    0
SCHLUMBERGER LTD             COM              806857108   59,994    801,100     PUT  DEFINED    1           801,100      0    0
SCHLUMBERGER LTD             COM              806857108   12,320    164,502 SH       DEFINED    1           164,502      0    0
SEADRILL LIMITED             SHS              G7945E105    3,349     90,000     CALL DEFINED    1            90,000      0    0
SELECT SECTOR SPDR TR        SBI INT-ENERGY   81369Y506   33,556    423,100     PUT  DEFINED    1           423,100      0    0
SELECT SECTOR SPDR TR        SBI INT-ENERGY   81369Y506    8,983    113,267 SH       DEFINED    1           113,267      0    0
SELECT SECTOR SPDR TR        SBI INT-ENERGY   81369Y506      833     10,500 SH       DEFINED                 10,500      0    0
SELECT SECTOR SPDR TR        SBI INT-FINL     81369Y605    9,104    500,000     PUT  DEFINED                500,000      0    0
SELECT SECTOR SPDR TR        SBI INT-FINL     81369Y605    6,606    362,800 SH       DEFINED    1           362,800      0    0
SELECT SECTOR SPDR TR        SBI INT-FINL     81369Y605   22,423  1,231,426 SH       DEFINED              1,231,426      0    0
SELECT SECTOR SPDR TR        TECHNOLOGY       81369Y803    2,228     73,600 SH       DEFINED    1            73,600      0    0
SELECT SECTOR SPDR TR        TECHNOLOGY       81369Y803    6,486    214,279 SH       DEFINED                214,279      0    0
SEMGROUP CORP                CL A             81663A105    4,128     79,806 SH       DEFINED                 79,806      0    0
SILVER WHEATON CORP          COM              828336107    1,489     47,500     CALL DEFINED    1            47,500      0    0
SOTHEBYS                     NOTE  3.125% 6/1 835898AC1    1,131  1,000,000 PRN      DEFINED    1         1,000,000      0    0
SOTHEBYS                     NOTE  3.125% 6/1 835898AC1    1,131  1,000,000 PRN      DEFINED              1,000,000      0    0
SPDR GOLD TRUST              GOLD SHS         78463V107   30,894    200,000     CALL DEFINED    1           200,000      0    0
SPDR GOLD TRUST              GOLD SHS         78463V107    7,724     50,000     CALL DEFINED                 50,000      0    0
SPDR GOLD TRUST              GOLD SHS         78463V107    7,724     50,000     PUT  DEFINED                 50,000      0    0
SPDR GOLD TRUST              GOLD SHS         78463V107    6,951     45,000 SH       DEFINED                 45,000      0    0
SPDR S&P 500 ETF TR          TR UNIT          78462F103   27,417    175,000     PUT  DEFINED                175,000      0    0
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP   78467Y107  263,618  1,257,000     PUT  DEFINED    1         1,257,000      0    0
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP   78467Y107   17,645     84,137 SH       DEFINED    1            84,137      0    0
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP   78467Y107      786      3,750 SH       DEFINED                  3,750      0    0
SPDR SERIES TRUST            S&P METALS MNG   78464A755   16,156    400,000     PUT  DEFINED    1           400,000      0    0
SPDR SERIES TRUST            S&P METALS MNG   78464A755    4,403    109,000 SH       DEFINED    1           109,000      0    0
SPROTT PHYSICAL GOLD TRUST   UNIT             85207H104    2,151    159,007 SH       DEFINED    1           159,007      0    0
STAPLES INC                  COM              855030102    1,879    140,000     PUT  DEFINED    1           140,000      0    0
STAPLES INC                  COM              855030102      442     32,900 SH       DEFINED    1            32,900      0    0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1               COLUMN 2     COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
---------------------------- ---------------- --------- -------- ------------------- ---------- -------- ----------------------
                                                         VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER      VOTING AUTHORITY
       NAME OF ISSUER         TITLE OF CLASS    CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED NONE
---------------------------- ---------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ------ ----
                                                                                          
STARBUCKS CORP               COM              855244109   15,376    270,000     PUT  DEFINED    1           270,000      0    0
STARBUCKS CORP               COM              855244109    4,192     73,600 SH       DEFINED    1            73,600      0    0
STARZ                        LIBRTY CAP COM A 85571Q102    2,549    115,088 SH       DEFINED                115,088      0    0
SUNCOR ENERGY INC NEW        COM              867224107    2,251     75,000     CALL DEFINED    1            75,000      0    0
SUNCOR ENERGY INC NEW        COM              867224107       23        750 SH       DEFINED    1               750      0    0
SUSSER HLDGS CORP            COM              869233106    5,668    110,901 SH       DEFINED                110,901      0    0
TARGET CORP                  COM              87612E106    3,765     55,000     PUT  DEFINED    1            55,000      0    0
TD AMERITRADE HLDG CORP      COM              87236Y108    2,264    109,800     CALL DEFINED                109,800      0    0
TD AMERITRADE HLDG CORP      COM              87236Y108    2,058     99,800     PUT  DEFINED                 99,800      0    0
THOMPSON CREEK METALS CO INC COM              884768102      285     95,000     CALL DEFINED    1            95,000      0    0
THOMPSON CREEK METALS CO INC COM              884768102       15      5,000     CALL DEFINED                  5,000      0    0
THOMPSON CREEK METALS CO INC COM              884768102    1,150    383,445 SH       DEFINED    1           383,445      0    0
THOMPSON CREEK METALS CO INC COM              884768102      144     48,035 SH       DEFINED                 48,035      0    0
THOMPSON CREEK METALS CO INC UNIT 99/99/9999  884768300    1,230     73,822 SH       DEFINED    1            73,822      0    0
THOMPSON CREEK METALS CO INC UNIT 99/99/9999  884768300       93      5,588 SH       DEFINED                  5,588      0    0
TIME WARNER INC              COM NEW          887317303   15,154    263,000     CALL DEFINED    1           263,000      0    0
TOTAL S A                    SPONSORED ADR    89151E109   25,717    536,000     PUT  DEFINED    1           536,000      0    0
TOTAL S A                    SPONSORED ADR    89151E109    3,152     65,700     PUT  DEFINED                 65,700      0    0
TURQUOISE HILL RES LTD       COM              900435108    3,273    514,700     CALL DEFINED    1           514,700      0    0
TURQUOISE HILL RES LTD       COM              900435108      577     90,800     CALL DEFINED                 90,800      0    0
TYSON FOODS INC              NOTE  3.250%10/1 902494AP8   40,876 27,500,000 PRN      DEFINED    1        27,500,000      0    0
TYSON FOODS INC              NOTE  3.250%10/1 902494AP8    3,716  2,500,000 PRN      DEFINED              2,500,000      0    0
U S AIRWAYS GROUP INC        COM              90341W108    2,977    175,400     CALL DEFINED    1           175,400      0    0
U S AIRWAYS GROUP INC        COM              90341W108    4,575    269,600     PUT  DEFINED    1           269,600      0    0
U S AIRWAYS GROUP INC        COM              90341W108    6,457    380,519 SH       DEFINED    1           380,519      0    0
U S AIRWAYS GROUP INC        COM              90341W108   16,970  1,000,000 SH       DEFINED    1         1,000,000      0    0
UNISYS CORP                  COM NEW          909214306    2,248     98,800     CALL DEFINED                 98,800      0    0
UNISYS CORP                  COM NEW          909214306      644     28,300     PUT  DEFINED                 28,300      0    0
UNISYS CORP                  PFD SER A 6.25%  909214405    5,300     81,272 SH       DEFINED                 81,272      0    0
UNITED PARCEL SERVICE INC    CL B             911312106   30,117    350,600     CALL DEFINED    1           350,600      0    0
UNITED PARCEL SERVICE INC    CL B             911312106    3,436     40,000     CALL DEFINED                 40,000      0    0
UNITED STATES NATL GAS FUND  UNIT PAR $0.001  912318201    1,182     54,000     CALL DEFINED    1            54,000      0    0
UNITED STATES NATL GAS FUND  UNIT PAR $0.001  912318201    1,669     76,300     CALL DEFINED                 76,300      0    0
UNITED STATES NATL GAS FUND  UNIT PAR $0.001  912318201    1,182     54,000     PUT  DEFINED    1            54,000      0    0
UNITED STATES NATL GAS FUND  UNIT PAR $0.001  912318201    1,359     62,100     PUT  DEFINED                 62,100      0    0
UNITED STATES NATL GAS FUND  UNIT PAR $0.001  912318201      176      8,041 SH       DEFINED    1             8,041      0    0
UNITED STATES OIL FUND LP    UNITS            91232N108    6,950    200,000     CALL DEFINED                200,000      0    0
UNITED STATES STL CORP NEW   COM              912909108    7,020    360,000     PUT  DEFINED    1           360,000      0    0
UNITED STATES STL CORP NEW   COM              912909108      780     40,000     PUT  DEFINED                 40,000      0    0
UNIVERSAL AMERN CORP NEW     COM              91338E101    1,893    227,300 SH       DEFINED                227,300      0    0
VANGUARD INDEX FDS           REIT ETF         922908553      693      9,824 SH       DEFINED                  9,824      0    0
VERISIGN INC                 COM              92343E102    3,594     76,030 SH       DEFINED                 76,030      0    0
VIRGIN MEDIA INC             NOTE  6.500%11/1 92769LAB7   39,071 14,877,000 PRN      DEFINED    1        14,877,000      0    0
VIRGIN MEDIA INC             NOTE  6.500%11/1 92769LAB7    4,262  1,623,000 PRN      DEFINED              1,623,000      0    0
VISA INC                     COM CL A         92826C839   10,258     60,400     CALL DEFINED    1            60,400      0    0
VISA INC                     COM CL A         92826C839   10,258     60,400     PUT  DEFINED    1            60,400      0    0
VISA INC                     COM CL A         92826C839    5,095     30,000     PUT  DEFINED                 30,000      0    0
VISA INC                     COM CL A         92826C839    1,274      7,500 SH       DEFINED                  7,500      0    0
VISTEON CORP                 COM NEW          92839U206    5,059     87,677 SH       DEFINED                 87,677      0    0
WALGREEN CO                  COM              931422109    7,672    160,900     CALL DEFINED    1           160,900      0    0
WALGREEN CO                  COM              931422109    3,123     65,500     CALL DEFINED                 65,500      0    0
WALGREEN CO                  COM              931422109    3,123     65,500     PUT  DEFINED                 65,500      0    0
WELLS FARGO & CO NEW         COM              949746101    5,548    150,000     PUT  DEFINED    1           150,000      0    0
WELLS FARGO & CO NEW         COM              949746101    1,276     34,500 SH       DEFINED    1            34,500      0    0
WEYERHAEUSER CO              COM              962166104    2,175     69,300     PUT  DEFINED    1            69,300      0    0
WEYERHAEUSER CO              COM              962166104      120      3,828 SH       DEFINED    1             3,828      0    0
WYNN RESORTS LTD             COM              983134107   24,018    191,900     PUT  DEFINED    1           191,900      0    0
WYNN RESORTS LTD             COM              983134107    6,450     51,536 SH       DEFINED    1            51,536      0    0
ZIONS BANCORPORATION         *W EXP 05/22/202 989701115    4,454    899,869 SH       DEFINED    1           899,869      0    0
ZIONS BANCORPORATION         *W EXP 05/22/202 989701115       91     18,300 SH       DEFINED                 18,300      0    0