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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2006


Check here if Amendment [ ]; Amendment Number:

This Amendment (Check only one):    [ ] is a restatement.
                                    [ ] adds new holdings entries.

Institutional Investment Manager:

Name:                               United Fire & Casualty Company
Address:                            118 Second Ave., S.E.
                                    Cedar Rapids, IA 52407

Form 13F File Number:               28-6427

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 the Reporting Manager:


Name:                               Tyler C. Fell
Title:                              Controller
Phone:                              319-286-2533


Signature, Place and Date of Signing:

/s/ Tyler C. Fell                 Cedar Rapids,     IA     08/1/2006
---------------------------
Tyler C. Fell

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).)




FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       0

Form 13F Information Table Entry Total:  66

Form 13F Information Table Value Total:  $167,532 (in thousands)

List of Other Included Managers:         NONE




FORM 13F INFORMATION TABLE




                              TITLE OF              VALUE   SHARES/  SH/ PUT/ INVSTMNT  OTHER    -------VOTING AUTHORITY-------
        NAME OF ISSUER          CLASS     CUSIP   (x $1000) PRN AMT PRN  CALL  DSCRETN MANAGERS    SOLE     SHARED      NONE
===================================================================================================================================
                                                                                       

AT&T Inc                        Common   00206R102   2,202     78,960  SH        Sole               78,960
Abbott Laboratories             Common   002824100   7,632    175,000  SH        Sole              175,000
Agilysys Inc                    Common   00847J105   6,078    337,666  SH        Sole              337,666
Alderwoods Group Inc            Common   014383103     748     38,421  SH        Sole               38,421
Alliant Energy Corporation      Common   018802108   4,191    122,200  SH        Sole              122,200
ALLTEL Corporation              Common   020039103     799     12,518  SH        Sole               12,518
American Strategic Inc Port II  Common   030099105     261     25,420  SH        Sole               25,420
Anheuser-Busch Companies Inc    Common   035229103     182      4,000  SH        Sole                4,000
BCE Inc                         Common   05534B109     383     16,200  SH        Sole               16,200
BRE Properties Inc              Common   05564E106     990     18,000  SH        Sole               18,000
Bank of America Corporation     Common   060505104   6,734    140,000  SH        Sole              140,000
Bell South Corporation          Common   079860102     579     16,000  SH        Sole               16,000
Bemis Company Inc               Common   081437105     961     31,400  SH        Sole               31,400
Boeing Company                  Common   097023105   2,867     35,000  SH        Sole               35,000
Burlington Northern Santa Fe    Common   12189T10    1,281     16,158  SH        Sole               16,158
Cincinnati Financial Corp       Common   172062101  15,056    320,276  SH        Sole              320,276
ConocoPhillips                  Common   20825C104     659     10,059  SH        Sole               10,059
Cummins Inc                     Common   231021106   2,389     19,545  SH        Sole               19,545
Dean Foods Company              Common   242370104   1,795     48,261  SH        Sole               48,261
Del Monte Foods Co              Common   24522P103     226     20,097  SH        Sole               20,097
Dominion Resources Inc          Common   25746U109   1,011     13,522  SH        Sole               13,522
Dow Chemical Company            Common   260543103   4,684    120,000  SH        Sole              120,000
Duke Energy Corporation         Common   264399106   4,352    148,192  SH        Sole              148,192
Duquesne Light Holdings Inc     Common   266233105   1,069     65,000  SH        Sole               65,000
Emerson Electric Co             Common   291011104     528      6,300  SH        Sole                6,300
Exxon Mobil Corporation         Common   30231G102   2,454     40,000  SH        Sole               40,000
Fidelity National Title Group   Common   31620R105      62      3,177  SH        Sole                3,177
Fidelity National Financial In  Common   316326107     707     18,158  SH        Sole               18,158
Arthur J Gallagher & Co         Common   363576109     262     10,321  SH        Sole               10,321
General Electric Company        Common   369604103   7,910    240,000  SH        Sole              240,000
Greater Bay Bancorp             Common   391648102     575     20,000  SH        Sole               20,000
H J Heinz Company               Common   423074103   1,855     45,000  SH        Sole               45,000
Honeywell International Inc     Common   438516106   1,411     35,000  SH        Sole               35,000
Hospira Inc                     Common   441060100     687     16,000  SH        Sole               16,000
Intel Corporation               Common   458140100     760     40,000  SH        Sole               40,000
JPMorgan Chase & Co             Common   46625H100   2,425     57,736  SH        Sole               57,736
Johnson & Johnson               Common   478160104   1,798     30,000  SH        Sole               30,000
Keycorp                         Common   493267108   1,249     35,000  SH        Sole               35,000
Mirant Corporation              Common   60467R100     760     28,342  SH        Sole               28,342
Newell Rubbermaid Inc           Common   651229106   1,182     45,766  SH        Sole               45,766
Nicor Inc                       Common   654086107   1,660     40,000  SH        Sole               40,000
Ohio Casualty Corporation       Common   677240103     297     10,000  SH        Sole               10,000
Old Republic International Cor  Common   680223104   4,802    224,690  SH        Sole              224,690
Penwest Pharmaceuticals Co.     Common   709754105     655     30,000  SH        Sole               30,000
PepsiCo Inc                     Common   713448108   1,201     20,000  SH        Sole               20,000
Pfizer Inc                      Common   717081103     704     30,000  SH        Sole               30,000
Piper Jaffray Cos               Common   724078100     510      8,329  SH        Sole                8,329
Procter & Gamble Company        Common   742718109   4,226     76,000  SH        Sole               76,000
Progress Energy Inc             Common   743263105     820     19,131  SH        Sole               19,131
QCR Holdings Inc                Common   74727A104   1,434     83,181  SH        Sole               83,181
Royal Dutch Shell ADR           Common   780259206   2,009     30,000  SH        Sole               30,000
SAFECO Corporation              Common   786429100   2,623     46,550  SH        Sole               46,550
Schering-Plough Corporation     Common   806605101     190     10,000  SH        Sole               10,000
TNT N V                         Common   87260W101     144      4,034  SH        Sole                4,034
TXU Corporation                 Common   873168108   3,587     60,000  SH        Sole               60,000
Terra Industries Inc.           Common   880915103     681    106,969  SH        Sole              106,969
Treehouse Foods Inc             Common   89469A104     231      9,652  SH        Sole                9,652
UAL Corporation                 Common   902549807     385     12,420  SH        Sole               12,420
U S Bancorp                     Common   902973304  24,311    787,284  SH        Sole              787,284
Vectren Corporation             Common   92240G101     726     26,658  SH        Sole               26,658
Verizon Communications Inc      Common   92343V104   1,875     55,997  SH        Sole               55,997
Wachovia Corporation            Common   929903102   1,623     30,008  SH        Sole               30,008
Wells Fargo & Company           Common   949746101   7,860    117,176  SH        Sole              117,176
Wintrust Financial Corporation  Common   97650W108  11,722    230,523  SH        Sole              230,523
Xcel Energy  Inc.               Common   98389B100   1,343     70,000  SH        Sole               70,000
Montpelier Re Holding Ltd       Common   G62185106     159      9,189  SH        Sole                9,189
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Report Summary                  Data Records 66    167,532            0 other managers on whose behalf report is filed