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

                                    Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2004

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:    Jefferies Group Inc.
Address: 11100 Santa Monica Blvd, 11th Flr.
         Los Angeles, CA  90025

13F File Number:  28-10917

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:      Alfred Petrillo
Title:     Senior Vice President
Phone:     212-336-7140

Signature, Place, and Date of Signing:

     /s/  Alfred Petrillo     Jersey City, NJ     November 12, 2004

Report Type (Check only one.):

[ X]         13F HOLDINGS REPORT.

[  ]         13F NOTICE.

[  ]         13F COMBINATION REPORT.



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:         2

Form13F Information Table Entry Total:     223

Form13F Information Table Value Total:     $267,326 (thousands)


List of Other Included Managers:

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

No.  13F File Number               Name

01   28-10432                      Jefferies & Company, Inc.
03   28-10917                      Jefferies Group Inc.



                                          
                                                     FORM 13F INFORMATION TABLE
                                                             VALUE  SHARES/ SH/ PUT/ INVSTMT  OTHER            VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP     (x$1000)  PRN AMT PRN CALL DSCRETN MANAGERS         SOLE   SHARED     NONE
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
3M CO                          COM              88579Y101      480     6066 SH       SOLE    01               6066        0        0
ABERCROMBIE & FITCH CO         CL A             002896207     3978   126300 SH       SOLE    03             126300        0        0
AEROPOSTALE                    COM              007865108      576    22000 SH       SOLE    03              22000        0        0
ALCAN INC                      COM              013716105     1521    32000 SH       SOLE    03              32000        0        0
ALCOA INC                      COM              013817101     2402    71500 SH       SOLE    03              71500        0        0
ALLERGAN INC                   NOTE        11/0 018490AE2      520   558000 PRN      SOLE    01             558000        0        0
ALLIANT ENERGY CORP            COM              018802108      777    31000 SH       SOLE    01              31000        0        0
ALTRIA GROUP INC               COM              02209S103      424     9331 SH       SOLE    01               9331        0        0
ALZA CORP                      SDCV         7/2 02261WAB5      777   978000 PRN      SOLE    01             978000        0        0
AMBAC FINL GROUP INC           COM              023139108      235     3064 SH       SOLE    01               3064        0        0
AMERADA HESS CORP              COM              023551104     1335    15000 SH       SOLE    03              15000        0        0
AMERICAN EAGLE OUTFITTERS NE   COM              02553E106     3827   103859 SH       SOLE    03             103859        0        0
AMERICAN INTL GROUP INC        COM              026874107      440     6442 SH       SOLE    01               6442        0        0
AMERICREDIT CORP               NOTE  1.750%11/1 03060RAM3     1314  1000000 PRN      SOLE    01            1000000        0        0
AMERISOURCE HEALTH CORP        NOTE  5.000%12/0 03071PAD4      926   850000 PRN      SOLE    01             850000        0        0
AMKOR TECHNOLOGY INC           NOTE  5.000% 3/1 031652AH3       43    50000 PRN      SOLE    01              50000        0        0
ANDREW CORP                    PFD A CV 7.75%   034425207      753     5703 SH       SOLE    01               5703        0        0
ANIXTER INTL INC               NOTE         7/0 035290AF2      267   500000 PRN      SOLE    01             500000        0        0
ANNTAYLOR STORES CORP          COM              036115103    11364   485619 SH       SOLE    01 03          485619        0        0
AON CORP                       COM              037389103      255    10000 SH       SOLE    01              10000        0        0
ARCHSTONE SMITH TR             COM              039583109      361    11793 SH       SOLE    01              11793        0        0
ARDEN RLTY INC                 COM              039793104     1347    42125 SH       SOLE    01              42125        0        0
AT&T WIRELESS SVCS INC         COM              00209A106     2566   178356 SH       SOLE    01             178356        0        0
ATMEL CORP                     SDCV         5/2 049513AE4     2048  4545000 PRN      SOLE    01            4545000        0        0
AVALONBAY CMNTYS INC           COM              053484101      349     5864 SH       SOLE    01               5864        0        0
BEST BUY INC                   COM              086516101      494     9351 SH       SOLE    01               9351        0        0
BIOMED REALTY TRUST INC        COM              09063H107      734    41100 SH       SOLE    01              41100        0        0
BISYS GROUP INC                NOTE  4.000% 3/1 055472AB0       78    80000 PRN      SOLE    01              80000        0        0
BOSTON PROPERTIES INC          COM              101121101      833    15245 SH       SOLE    01              15245        0        0
BRISTOL MYERS SQUIBB CO        COM              110122108      369    15079 SH       SOLE    01              15079        0        0
BROWN FORMAN CORP              CL B             115637209      738    16000 SH       SOLE    01              16000        0        0
BUCKLE INC                     COM              118440106      365    13300 SH       SOLE    03              13300        0        0
CACHE INC                      COM NEW          127150308     2018   134596 SH       SOLE    01 03          134596        0        0
CALPINE CORP                   COM              131347106      220    64501 SH       SOLE    01              64501        0        0
CAPSTONE TURBINE CORP          COM              14067D102       48    30000 SH       SOLE    01              30000        0        0
CARNIVAL CORP                  DBCV  2.000% 4/1 143658AN2       48    38000 PRN      SOLE    01              38000        0        0
CATELLUS DEV CORP NEW          COM              149113102      314    11871 SH       SOLE    01              11871        0        0
CH ENERGY GROUP INC            COM              12541M102      393     8500 SH       SOLE    01               8500        0        0
CHARLES RIV LABORATORIES INC   DBCV  3.500% 2/0 159863AL3      306   260000 PRN      SOLE    01             260000        0        0
CHARLOTTE RUSSE HLDG INC       COM              161048103      158    13799 SH       SOLE    03              13799        0        0
CHEROKEE INTL CORP             COM              164450108     2853   340059 SH       SOLE    03             340059        0        0
CHEVRONTEXACO CORP             COM              166764100      327     6050 SH       SOLE    01               6050        0        0
CHILDRENS PL RETAIL STORES I   COM              168905107     4619   193168 SH       SOLE    03             193168        0        0
CHIQUITA BRANDS INTL INC       COM              170032809      870    50000 SH       SOLE    03              50000        0        0
CITIGROUP INC                  COM              172967101      946    21355 SH       SOLE    01              21355        0        0
CLEAR CHANNEL COMMUNICATIONS   COM              184502102      664    20120 SH       SOLE    01              20120        0        0
COCA COLA CO                   COM              191216100     4984   124238 SH       SOLE    01 03          124238        0        0
COCA COLA ENTERPRISES INC      COM              191219104     2411   127578 SH       SOLE    01 03          127578        0        0
COLGATE PALMOLIVE CO           COM              194162103      225     4971 SH       SOLE    01               4971        0        0
COMPUCOM SYS INC               COM              204780100      117    26218 SH       SOLE    01              26218        0        0
CONOCOPHILLIPS                 COM              20825C104      229     2752 SH       SOLE    01               2752        0        0
CSG SYS INTL INC               COM              126349109      208    14400 SH       SOLE    01              14400        0        0
DELL INC                       COM              24702R101      341     9618 SH       SOLE    01               9618        0        0
DEVON ENERGY CORP NEW          DEB   4.950% 8/1 25179MAB9      111   106000 PRN      SOLE    01             106000        0        0
DEVON ENERGY CORP NEW          DEB   4.900% 8/1 25179MAA1     2494  2362000 PRN      SOLE    01            2362000        0        0
DISNEY WALT CO                 NOTE  2.125% 4/1 254687AU0     1389  1325000 PRN      SOLE    01            1325000        0        0
EDISON INTL                    COM              281020107    21233   794352 SH       SOLE    01             794352        0        0
ELECTRIC CITY CORP             COM              284868106      287   181000 SH       SOLE    01             181000        0        0
EP MEDSYSTEMS INC              COM              26881P103      191    70000 SH       SOLE    01              70000        0        0
EPICOR SOFTWARE CORP           COM              29426L108      154    13000 SH       SOLE    01              13000        0        0
EQUITY OFFICE PROPERTIES TRU   COM              294741103     2387    86873 SH       SOLE    01              86873        0        0
EQUITY RESIDENTIAL             SH BEN INT       29476L107      583    19107 SH       SOLE    01              19107        0        0
EXXON MOBIL CORP               COM              30231G102      943    19429 SH       SOLE    01              19429        0        0
FAIR ISAAC CORP                NOTE  1.500% 8/1 303250AB0     1972  2000000 PRN      SOLE    01            2000000        0        0
FEDERAL NATL MTG ASSN          COM              313586109      300     4481 SH       SOLE    01               4481        0        0
FEDERAL REALTY INVT TR         SH BEN INT NEW   313747206      321     7333 SH       SOLE    01               7333        0        0
FIRST DATA CORP                COM              319963104      222     5160 SH       SOLE    01               5160        0        0
FLEXTRONICS INTL LTD           ORD              Y2573F102      916    68200 SH       SOLE    01              68200        0        0
FORD MTR CO CAP TR II          PFD TR CV6.5%    345395206      888    17100 SH       SOLE    01              17100        0        0
FORD MTR CO DEL                COM PAR $0.01    345370860      141    10000 SH       SOLE    01              10000        0        0
FREEPORT-MCMORAN COPPER & GO   NOTE  7.000% 2/1 35671DAK1       38    25000 PRN      SOLE    01              25000        0        0
FRONTLINE LTD                  ORD              G3682E127      282     6000 SH       SOLE    01               6000        0        0
GAP INC DEL                    COM              364760108      202    10320 SH       SOLE    01              10320        0        0
GENERAL GROWTH PPTYS INC       COM              370021107      390    12647 SH       SOLE    01              12647        0        0
GENERAL MLS INC                DBCV        10/2 370334AU8       25    36000 PRN      SOLE    01              36000        0        0
GENERAL MTRS CORP              COM              370442105      633    14835 SH       SOLE    01              14835        0        0
GEORGIA GULF CORP              COM PAR $0.01    373200203      438     9844 SH       SOLE    01               9844        0        0
GEORGIA PAC CORP               COM              373298108     1132    31500 SH       SOLE    03              31500        0        0
GOLDMAN SACHS GROUP INC        COM              38141G104      258     2769 SH       SOLE    01               2769        0        0
GOODYS FAMILY CLOTHING INC     COM              382588101       90    10741 SH       SOLE    03              10741        0        0
GRAFTECH INTL LTD              DBCV  1.625% 1/1 384313AB8     2093  2045000 PRN      SOLE    01            2045000        0        0
HALLIBURTON CO                 COM              406216101      850    25002 SH       SOLE    01              25002        0        0
HANOVER COMPRESSOR CO          NOTE  4.750% 1/1 410768AE5      118   100000 PRN      SOLE    01             100000        0        0
HEADWATERS INC                 COM              42210P102     1528    53300 SH       SOLE    01              53300        0        0
HEALTH MGMT ASSOC INC NEW      NOTE         1/2 421933AD4       12    14000 PRN      SOLE    01              14000        0        0
HEWLETT PACKARD CO             COM              428236103      207    11581 SH       SOLE    01              11581        0        0
HILTON HOTELS CORP             COM              432848109      260    14300 SH       SOLE    01              14300        0        0
HILTON HOTELS CORP             NOTE  3.375% 4/1 432848AZ2       47    43000 PRN      SOLE    01              43000        0        0
HOME DEPOT INC                 COM              437076102      768    20380 SH       SOLE    01              20380        0        0
HORIZON OFFSHORE INC           COM              44043J105       91   150000 SH       SOLE    01             150000        0        0
HOST MARRIOTT CORP NEW         COM              44107P104      161    11734 SH       SOLE    01              11734        0        0
IMC GLOBAL INC                 PFD CV 7.5%      449669209      269     2600 SH       SOLE    01               2600        0        0
INDYMAC BANCORP INC            WIRES     2031   456607209      608    10000 SH       SOLE    01              10000        0        0
ING GROUP N V                  SPONSORED ADR    456837103      741    30000 SH       SOLE    01              30000        0        0
INTEL CORP                     COM              458140100      426    20372 SH       SOLE    01              20372        0        0
INTERNATIONAL BUSINESS MACHS   COM              459200101      677     8016 SH       SOLE    01               8016        0        0
INTERPUBLIC GROUP COS INC      NOTE  1.870% 6/0 460690AJ9      142   150000 PRN      SOLE    01             150000        0        0
INVESTMENT TECHNOLOGY GRP NE   COM              46145F105     4207   275000 SH       SOLE    03             275000        0        0
INVITROGEN CORP                NOTE  2.250%12/1 46185RAD2       49    50000 PRN      SOLE    01              50000        0        0
INVITROGEN CORP                NOTE  1.500% 2/1 46185RAH3     1655  2000000 PRN      SOLE    01            2000000        0        0
ISHARES INC                    MSCI TAIWAN      464286731      176    16640 SH       SOLE    01              16640        0        0
ISHARES TR                     RUSSELL 1000     464287622      889    14690 SH       SOLE    01              14690        0        0
ISIS PHARMACEUTICALS INC DEL   NOTE  5.500% 5/0 464337AC8       54    65000 PRN      SOLE    01              65000        0        0
ISLE OF CAPRI CASINOS INC      COM              464592104      183    10000 SH       SOLE    01              10000        0        0
JOHNSON & JOHNSON              COM              478160104      365     6396 SH       SOLE    01               6396        0        0
JPMORGAN & CHASE & CO          COM              46625H100      782    19853 SH       SOLE    01              19853        0        0
KFX INC                        COM              48245L107     3176   462600 SH       SOLE    01             462600        0        0
KIMBALL INTL INC               CL B             494274103      193    13731 SH       SOLE    01              13731        0        0
KINDRED HEALTHCARE INC         *W EXP 04/20/200 494580111      590    26000 SH       SOLE    01              26000        0        0
KOHLS CORP                     COM              500255104     3004    61359 SH       SOLE    01              61359        0        0
KRAFT FOODS INC                CL A             50075N104     9516   300000 SH       SOLE    03             300000        0        0
KRISPY KREME DOUGHNUTS INC     COM              501014104     2848   225000 SH       SOLE    03             225000        0        0
KYOCERA CORP                   ADR              501556203      294     4000 SH       SOLE    01               4000        0        0
L-3 COMMUNICATIONS HLDGS INC   COM              502424104     1662    25300 SH       SOLE    01              25300        0        0
LEGG MASON INC                 NOTE         6/0 524901AG0     3145  5000000 PRN      SOLE    01            5000000        0        0
LENNAR CORP                    NOTE         4/0 526057AF1     1785  2665000 PRN      SOLE    01            2665000        0        0
LINEAR TECHNOLOGY CORP         COM              535678106      216     5982 SH       SOLE    01               5982        0        0
LOWES COS INC                  NOTE         2/1 548661CF2     2262  2634000 PRN      SOLE    01            2634000        0        0
LOWES COS INC                  NOTE  0.861%10/1 548661CG0      249   253000 PRN      SOLE    01             253000        0        0
MACK CALI RLTY CORP            COM              554489104      295     6790 SH       SOLE    01               6790        0        0
MANOR CARE INC NEW             NOTE  2.125% 4/1 564055AE1       25    21000 PRN      SOLE    01              21000        0        0
MARRIOTT INTL INC NEW          CL A             571903202      243     5000 SH       SOLE    01               5000        0        0
MARVEL ENTERPRISES INC         COM              57383M108      178    12000 SH       SOLE    01              12000        0        0
MASSEY ENERGY CORP             COM              576206106      425    14661 SH       SOLE    01              14661        0        0
MAVERICK TUBE CORP             COM              577914104     1062    35300 SH       SOLE    01              35300        0        0
MAXIM INTEGRATED PRODS INC     COM              57772K101      200     4780 SH       SOLE    01               4780        0        0
MCDONALDS CORP                 COM              580135101      582    21132 SH       SOLE    01              21132        0        0
MCI INC                        COM              552691107      218    12934 SH       SOLE    01              12934        0        0
MCMORAN EXPLORATION CO         NOTE  6.000% 7/0 582411AB0        7   100000 PRN      SOLE    01             100000        0        0
MEDTRONIC INC                  DBCV  1.250% 9/1 585055AB2     1531  1500000 PRN      SOLE    01            1500000        0        0
MENS WEARHOUSE INC             NOTE  3.125%10/1 587118AC4     1002  1000000 PRN      SOLE    01            1000000        0        0
MERCK & CO INC                 COM              589331107      390     8675 SH       SOLE    01               8675        0        0
MERISTAR HOSPITALITY CORP      NOTE  9.500% 4/0 58984YAJ2      125   105000 PRN      SOLE    01             105000        0        0
METALS USA INC                 *W EXP 10/31/200 591324116       53    13737 SH       SOLE    01              13737        0        0
MICRON TECHNOLOGY INC          COM              595112103      175    14700 SH       SOLE    01              14700        0        0
MICROS SYS INC                 COM              594901100      590    12631 SH       SOLE    01              12631        0        0
MICROSOFT CORP                 COM              594918104      495    18163 SH       SOLE    01              18163        0        0
MOTOROLA INC                   EQTY UNIT 7%     620076208      456     9900 SH       SOLE    01               9900        0        0
MTR GAMING GROUP INC           COM              553769100      177    18992 SH       SOLE    01              18992        0        0
NATIONAL AUSTRALIA BK LTD      CAP UTS EXCHBL   632525309      700    20800 SH       SOLE    01              20800        0        0
NEW YORK CMNTY BANCORP INC     COM              649445103      404    20000 SH       SOLE    01              20000        0        0
NORDSON CORP                   COM              655663102      219     6696 SH       SOLE    01               6696        0        0
NORFOLK SOUTHERN CORP          COM              655844108      324    11134 SH       SOLE    01              11134        0        0
NOVASTAR FINL INC              COM              669947400      350     7958 SH       SOLE    01               7958        0        0
OIL SVC HOLDRS TR              DEPOSTRY RCPT    678002106     5369    66900 SH       SOLE    01              66900        0        0
OMNICARE CAP TR I              PIERS            68214L201      733    15125 SH       SOLE    01              15125        0        0
OMNICOM GROUP INC              NOTE         2/0 681919AK2       15    15000 PRN      SOLE    01              15000        0        0
PEPSICO INC                    COM              713448108     7628   156877 SH       SOLE    01 03          156877        0        0
PERFORMANCE FOOD GROUP CO      NOTE  5.500%10/1 713755AA4     1522  1500000 PRN      SOLE    01            1500000        0        0
PETROCHINA CO LTD              SPONSORED  ADR   71646E100      522    10000 SH       SOLE    01              10000        0        0
PFIZER INC                     COM              717081103      266     8853 SH       SOLE    01               8853        0        0
PHARMACEUTICAL HLDRS TR        DEPOSITRY RCPT   71712A206      665     8950 SH       SOLE    01               8950        0        0
PHELPS DODGE CORP              COM              717265102     1334    14500 SH       SOLE    03              14500        0        0
PIPER JAFFRAY COS              COM              724078100     2095    48800 SH       SOLE    01              48800        0        0
POLO RALPH LAUREN CORP         CL A             731572103      407    11200 SH       SOLE    03              11200        0        0
PREMCOR INC                    COM              74045Q104      731    20000 SH       SOLE    01              20000        0        0
PRIDE INTL INC DEL             FRNT  2.500% 3/0 74153QAB8     1824  1500000 PRN      SOLE    01            1500000        0        0
PROCTER & GAMBLE CO            COM              742718109      618    11478 SH       SOLE    01              11478        0        0
PROLOGIS                       SH BEN INT       743410102      364    10403 SH       SOLE    01              10403        0        0
PROVINCE HEALTHCARE CO         NOTE  4.500%11/2 743977AC4       44    44000 PRN      SOLE    01              44000        0        0
QLT INC                        NOTE  3.000% 9/1 746927AB8     2415  2000000 PRN      SOLE    01            2000000        0        0
QUALCOMM INC                   COM              747525103      300     7875 SH       SOLE    01               7875        0        0
RAE SYS INC                    COM              75061P102      100    16700 SH       SOLE    01              16700        0        0
REINSURANCE GROUP AMER INC     PFD TR INC EQ    759351307      275     4800 SH       SOLE    01               4800        0        0
RENTECH INC                    COM              760112102      135   150000 SH       SOLE    01             150000        0        0
RF MICRODEVICES INC            NOTE  1.500% 7/0 749941AE0     2145  2000000 PRN      SOLE    01            2000000        0        0
RICHARDSON ELECTRS LTD         SDCV  7.250%12/1 763165AB3      100   100000 PRN      SOLE    01             100000        0        0
RICHARDSON ELECTRS LTD         SDCV  8.250% 6/1 763165AC1      209   209000 PRN      SOLE    01             209000        0        0
RIVIERA HLDGS CORP             COM              769627100      239    22962 SH       SOLE    01              22962        0        0
ROBBINS & MYERS INC            NOTE  8.000% 1/3 770196AB9      571  1311000 PRN      SOLE    01            1311000        0        0
ROUSE CO                       COM              779273101      375     5611 SH       SOLE    01               5611        0        0
SANMINA SCI CORP               COM              800907107     1377   199934 SH       SOLE    01             199934        0        0
SBC COMMUNICATIONS INC         COM              78387G103      310    11993 SH       SOLE    01              11993        0        0
SCHERING PLOUGH CORP           COM              806605101      503    26629 SH       SOLE    01              26629        0        0
SCHWAB CHARLES CORP NEW        COM              808513105      259    26501 SH       SOLE    01              26501        0        0
SCI SYS INC                    NOTE  3.000% 3/1 783890AF3       33    35000 PRN      SOLE    01              35000        0        0
SIERRA PAC RES NEW             NOTE  7.250% 2/1 826428AF1      309   100000 PRN      SOLE    01             100000        0        0
SILICON VY BANCSHARES          NOTE         6/1 827064AC0      104    86000 PRN      SOLE    01              86000        0        0
SIMON PPTY GROUP INC NEW       COM              828806109      679    12684 SH       SOLE    01              12684        0        0
SKECHERS U S A INC             NOTE  4.500% 4/1 830566AB1      210   209000 PRN      SOLE    01             209000        0        0
SL GREEN RLTY CORP             COM              78440X101      293     5751 SH       SOLE    01               5751        0        0
SONUS NETWORKS INC             COM              835916107       82    15318 SH       SOLE    01              15318        0        0
SOUTHERN CO                    COM              842587107      219     7237 SH       SOLE    01               7237        0        0
SOUTHWEST AIRLS CO             COM              844741108     2120   160000 SH       SOLE    01             160000        0        0
SPDR TR                        UNIT SER 1       78462F103    25102   224756 SH       SOLE    01 03          224756        0        0
SPX CORP                       COM              784635104     5448   153900 SH       SOLE    03             153900        0        0
STANDARD MTR PRODS INC         SDCV  6.750% 7/1 853666AB1       26    29000 PRN      SOLE    01              29000        0        0
STARBUCKS CORP                 COM              855244109    10635   233978 SH       SOLE    01 03          233978        0        0
STARWOOD HOTELS&RESORTS WRLD   PAIRED CTF       85590A203      471    10344 SH       SOLE    01              10344        0        0
STATE STR CORP                 COM              857477103      866    20000 SH       SOLE    01              20000        0        0
STELMAR SHIPPING LTD           COM              V8726M103     3137    84000 SH       SOLE    01              84000        0        0
STONEPATH GROUP INC            COM              861837102       18    11000 SH       SOLE    01              11000        0        0
SYNTROLEUM CORP                *W EXP 05/26/200 871630125       49    37026 SH       SOLE    01              37026        0        0
SYNTROLEUM CORP                COM              871630109      378    75000 SH       SOLE    01              75000        0        0
SYSCO CORP                     COM              871829107      337    11251 SH       SOLE    01              11251        0        0
TALBOTS INC                    COM              874161102     2764   111500 SH       SOLE    03             111500        0        0
TARGET CORP                    COM              87612E106      396     8642 SH       SOLE    01               8642        0        0
TAUBMAN CTRS INC               COM              876664103      464    18000 SH       SOLE    01              18000        0        0
TEEKAY SHIPPING MARSHALL ISL   COM              Y8564W103     1133    30000 SH       SOLE    01              30000        0        0
THERMA-WAVE INC                COM              88343A108       35    10000 SH       SOLE    01              10000        0        0
THQ INC                        COM NEW          872443403      307    16036 SH       SOLE    01              16036        0        0
TITAN CORP                     COM              888266103     2095   150000 SH       SOLE    03             150000        0        0
TJX COS INC NEW                COM              872540109      203     9485 SH       SOLE    01               9485        0        0
TOO INC                        COM              890333107     6111   338200 SH       SOLE    03             338200        0        0
TOYS R US INC                  COM              892335100      349    20000 SH       SOLE    01              20000        0        0
UNITED FIRE & CAS CO           PFD CONV A %     910331305      366     9529 SH       SOLE    01               9529        0        0
UNITED STATES STL CORP NEW     COM              912909108     2995    79600 SH       SOLE    03              79600        0        0
UNITEDHEALTH GROUP INC         COM              91324P102      224     3038 SH       SOLE    01               3038        0        0
US AIRWAYS GROUP INC           CL A             911905503       14    18071 SH       SOLE    01              18071        0        0
US BANCORP DEL                 COM NEW          902973304      209     7347 SH       SOLE    01               7347        0        0
VAALCO ENERGY INC              COM NEW          91851C201       36    10968 SH       SOLE    01              10968        0        0
VECTOR GROUP LTD               NOTE  6.250% 7/1 92240MAC2       17    19000 PRN      SOLE    01              19000        0        0
VERIZON COMMUNICATIONS         COM              92343V104      359     8999 SH       SOLE    01               8999        0        0
VISION-SCIENCES INC DEL        COM              927912105      255    83000 SH       SOLE    01              83000        0        0
WAL MART STORES INC            COM              931142103     1044    19681 SH       SOLE    01              19681        0        0
WASHINGTON MUT INC             COM              939322103      463    11758 SH       SOLE    01              11758        0        0
WASTE CONNECTIONS INC          DBCV         5/0 941053AE0       75    69000 PRN      SOLE    01              69000        0        0
WEATHERFORD INTL INC           DBCV         6/3 947074AB6      190   300000 PRN      SOLE    01             300000        0        0
WEBMD CORP                     COM              94769M105       74    10849 SH       SOLE    01              10849        0        0
WELLS FARGO & CO NEW           COM              949746101      314     5291 SH       SOLE    01               5291        0        0
WET SEAL INC                   CL A             961840105      996   600000 SH       SOLE    03             600000        0        0
WORLD WRESTLING ENTMT INC      CL A             98156Q108     1821   148500 SH       SOLE    01             148500        0        0
ZILOG INC                      COM PAR $0.01    989524301      712   128430 SH       SOLE    01             128430        0        0