LEXINGTON GLOBAL ASSET MANAGERS INC
13F-HR, 2000-02-08
FINANCE SERVICES
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                       United States
            Securities and Exchange Commission
                   Washington, DC 20549

                         FORM 13F

                    FORM 13F Cover Page

Report for the Calendar Year or Quarter Ended:     12/31/99

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

Institutional Investment Manager filing this Report:

Lexington Global Asset Managers, Inc.
Park 80 West Plaza Two
Saddle Brook, New Jersey, 07663

13F File Number:  028-3427

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 to contact for further information:
Peter Corniotes (201) 845-7300

Person signing this Report on Behalf of the Reporting Manager:
Name:    Lisa Curcio
Title:   Secretary
Phone:   (201) 845-7300

Signature, Place and Date of Signing:

/s/ Lisa Curcio
Saddle Brook, New Jersey
February 7, 2000

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)).


REPORT SUMMARY

Number of Other Included Managers:         2
Form 13F Information Table Entry Total:
Form 13F Information Table Value Total:    $1,821,270,689

List of Other Included Managers:

No.   13F File Number       Name
- ------------------------------------------------------------------
1.    028-0797              Lexington Management Corporation
- ------------------------------------------------------------------
2.    028-6806              Market Systems Research Advisors, Inc.
- ------------------------------------------------------------------

Notes have been included at the end of this Report.

<TABLE>

<PAGE>
                                                      Lexington Global Asset Managers, Inc.
                                                                    FORM 13F
                                                                December 31, 1999

                         Title                                      Investment Discretion                  Voting Authority
                          of                                        ---------------------          --------------------------------
        Security         Class   CUSIP   Market Value   Quantity   Sole   Share  Other  Managers    Sole       Share        None
- ------------------------ ----- --------- ------------- ----------- ----   -----  -----  -------- ----------  ----------  ----------
<S>                      <C>   <C>       <C>            <C>        <C>    <C>    <C>    <C>      <C>         <C>         <C>
Common Stock U.S.
ABN AMRO HOLDING NV - SP   COM 000937102     8,204,517     324,123             1               1     324,123
ACE LTD                    COM G0070K103     3,767,487     225,761             1               1     225,761
ADAPTEC                    COM 00651f108    10,633,350     213,200             1               1     213,200
AEGON N V                  COM 007924103    10,354,205     108,421             1               1     108,421
AES CORPORATION            COM 00130h105     1,270,750      17,000             1             1,2      17,000
AGNICO- EAGLE MINES LTD.   COM 008474108     1,178,100     158,400             1               1     158,400
ALCAN ALUMINIUM LTD NEW    COM 013716105    15,987,300     386,400             1               1     386,400
ALCATEL ALSTHOM SPON ADR   COM 013904305        25,650         570             1               1         570
ALCOA INC.                 COM 013817101     1,303,100      15,700             1             1,2      15,700
ALCOA INC.                 COM 013817101    11,248,184     135,520             1               1     135,520
ALCOA INC.                 COM 013817101     5,008,220      60,340             1               2      60,340
ALLERGAN INC               COM 018490102        16,424         330             1               1         330
ALLERGAN INC               COM 018490102     6,174,472     124,110             1               2     124,110
AMERICAN EXPRESS CO        COM 025816109    16,272,143      97,877             1               1      97,877
AMERICAN EXPRESS CO        COM 025816109        84,787         510             1               2         510
AMERICAN HOME PRODS CORP   COM 026609107     9,385,091     239,111             1               1     239,111
AMERICAN INTL GROUP INC    COM 026874107    16,060,527     148,537             1               1     148,537
ANADARKO PETE CORP         COM 032511107       682,500      20,000             1             1,2      20,000
ANALOG DEVICES INC         COM 032654105    20,525,100     220,700             1               1     220,700
ANHEUSER BUSCH             COM 035229103    11,425,050     161,200             1               1     161,200
APACHE CORP                COM 037411105       738,750      20,000             1             1,2      20,000
APEX SILVER MINES LTD      COM g04074103     1,140,000      95,000             1               1      95,000
ASM LITHOGRAPHY HOLDING    COM N07059111        60,856         535             1               1         535
AT&T CORP                  COM 001957109     6,006,831     118,215             1               2     118,215
AT&T CORP                  COM 001957109    26,029,546     512,264             1               1     512,264
AUTOMATIC DATA PROCESSIN   COM  05301510       355,575       6,600             1               2       6,600
AVATAR HOLDINGS INC.       COM 053494100       598,125      33,000             1             1,2      33,000
AVENTIS - SPON ADR         COM 053561106       399,862       7,031             1               1       7,031
AXA SPONS ADR              COM 054536107       643,970       9,070             1               1       9,070
BAKER HUGHES INC           COM 057224107     3,198,522     151,856             1               1     151,856
BANK NEW YORK INC          COM 064057102    13,074,425     326,861             1               1     326,861
BANK OF AMERICA CORP       COM  06050510     5,018,047      99,985             1               1      99,985
BARCLAYS PLC ADR           COM 06738E204       124,334       1,080             1               1       1,080
BARRICK GOLD CORP          COM 067901108     2,299,375     130,000             1               1     130,000
BATTLE MTN GOLD CO         COM 071593107     1,155,000     560,000             1               1     560,000
BAUSCH & LOMB              COM 071707103    12,708,844     185,700             1               1     185,700
BELLSOUTH CORP             COM 079860102        37,450         800             1               1         800
BELLSOUTH CORP             COM 079860102     3,623,291      77,400             1               2      77,400
BESTFOODS                  COM 08658u101     4,625,500      88,000             1               1      88,000
BETHLEHEM STL CORP         COM 087509105    11,108,391   1,326,375             1               1   1,326,375
BG PLC - SPON ADR          COM 055434203       518,494      16,793             1               1      16,793
BIOMET INC                 COM 090613100     3,705,400      92,635             1               2      92,635
BJ SVCS CO                 COM 055482103     7,664,231     183,300             1               1     183,300
BLANCH E W HOLDINGS INC    COM 093210102       232,750       3,800             1             1,2       3,800
BP AMOCO PLC - ADR         COM 055622104       889,687      15,000             1             1,2      15,000
BRITISH SKY BROADCASTING   COM 111013108        62,142         670             1               1         670
BROWN FORMAN B             COM 115637209     2,410,225      42,100             1               2      42,100
BURLINGTON RES INC         COM 122014103     3,612,078     109,250             1               1     109,250
BURLINGTON RES INC         COM 122014103       661,250      20,000             1             1,2      20,000
CABLE & WIRELESS PLC SP    COM 126830207       804,652      15,200             1               1      15,200
CADBURY SCHWEPPES          COM  12720930     7,347,299     303,758             1               1     303,758
CANON INC                  COM 138006309       843,297      20,790             1               1      20,790
CAPITAL ONE FINL CORP      COM 14040H105        17,350         360             1               1         360
CAPITAL ONE FINL CORP      COM 14040H105     4,289,418      89,015             1               2      89,015
CARIBINER INT'L INC        COM 141888107       614,437     169,500             1               1     169,500
CATERPILLAR INC DEL        COM 149123101    16,715,545     355,176             1               1     355,176
CBS CORP COM               COM 12490k107     5,520,364      86,340             1               1      86,340
CBS CORP COM               COM 12490k107     6,391,714      99,968             1               2      99,968
CELGENE CORP               COM 151020104       281,000       4,000             1             1,2       4,000
CERUS CORP.                COM 157085101       279,500      10,400             1             1,2      10,400
CHEVRON CORPORATION        COM 166751107     4,459,369      51,479             1               1      51,479
CHEVRON CORPORATION        COM 166751107       649,687       7,500             1             1,2       7,500
CHEVRON CORPORATION        COM 166751107       586,884       6,775             1               2       6,775
CIGNA CORP                 COM 125509109     3,342,943      41,495             1               2      41,495
CIRCUIT CITY STORE INC     COM 172737108     7,047,775     156,400             1               1     156,400
CISCO SYS INC              COM 17275R102    12,227,783     114,145             1               2     114,145
CISCO SYS INC              COM 17275R102    33,126,354     309,230             1               1     309,230
CITIGROUP INC              COM 172967101    16,590,118     297,912             1               1     297,912
COASTAL CORP               COM 190441105       212,625       6,000             1             1,2       6,000
COCA COLA CO               COM 191216100       487,844       8,375             1               1       8,375
COEUR D ALENE MINES CORP   COM 192108108       431,750     125,600             1               1     125,600
COLGATE PALMOLIVE CO       COM 194162103    21,891,984     336,800             1               1     336,800
COLGATE PALMOLIVE CO       COM 194162103        85,800       1,320             1               2       1,320
COLUMBIA GAS SYSTEM        COM 197648108     1,454,750      23,000             1             1,2      23,000
COMCAST CORP A SPCL        COM 200300200    20,460,116     404,650             1               1     404,650
COMCAST CORP A SPCL        COM 200300200     5,081,539     100,500             1               2     100,500
COMCAST CORP CL A          COM 200300101     4,597,676      96,035             1               2      96,035
COMCAST CORP CL A          COM 200300101        18,192         380             1               1         380
CONOCO                     COM 208251306     3,366,000     136,000             1               1     136,000
COSTCO WHOLESALE CORP      COM 22160K105     7,619,374      83,640             1               2      83,640
COSTCO WHOLESALE CORP.     COM 22160K105    15,330,912     168,010             1               1     168,010
CYMER INC.                 COM 232572107       465,226      10,100             1             1,2      10,100
DARDEN REST                COM 237194105        14,329         791             1               1         791
DARDEN REST                COM 237194105     3,892,615     214,765             1               2     214,765
DAYTON HUDSON CP           COM 239753106     4,691,925      63,890             1               2      63,890
DEERE & CO                 COM 244199105     4,810,287     110,900             1               1     110,900
DEUTSCHE BANK AG SPNS AD   COM 251525309       703,039       8,310             1               1       8,310
DIAGEO PLC SPONSORED       COM 25243q205       408,960      12,780             1               1      12,780
DIAL CORP.                 COM 25247d101     3,598,250     148,000             1               1     148,000
DIAMOND OFFSHORE DRILLIN   COM 25271C102       611,250      20,000             1             1,2      20,000
DIONEX CORP                COM 254546104       226,531       5,500             1             1,2       5,500
DISNEY WALT COMPANY        COM 254687106    22,055,426     754,032             1               1     754,032
DOVER CORP                 COM 260003108     6,720,037     148,100             1               1     148,100
DOW CHEMICAL COMPANY       COM 260543103     4,797,137      35,900             1               1      35,900
DOW CHEMICAL COMPANY       COM 260543103       801,750       6,000             1             1,2       6,000
DU PONT E I DE NEMOURS     COM 263534109    15,460,994     234,702             1               1     234,702
EASTMAN KODAK CO           COM 277461109       216,969       3,275             1               1       3,275
EATON CORP                 COM 278058102       370,387       5,100             1               1       5,100
ECOLAB INC                 COM 278865100        16,447         420             1               1         420
ECOLAB INC                 COM 278865100     5,817,691     148,695             1               2     148,695
EMC CORP                   COM 268648102        87,400         800             1               2         800
EMC CORP                   COM 268648102    43,379,897     397,070             1               1     397,070
EMERSON ELECTRIC CO        COM  29101110    10,344,977     180,305             1               1     180,305
ENRON CORP                 COM 293561106    13,813,064     311,280             1               1     311,280
ENRON CORP                 COM 293561106     1,464,375      33,000             1             1,2      33,000
ENRON CORP                 COM 293561106     4,687,330     105,630             1               2     105,630
EXXON MOBIL CORPORATION    COM 30231g102    10,943,910     135,843             1               1     135,843
EXXON MOBIL CORPORATION    COM 30231g102     1,216,494      15,100             1             1,2      15,100
EXXON MOBIL CORPORATION    COM 30231g102     3,622,898      44,970             1               2      44,970
FEDERAL NATIONAL MORTGAG   COM 313586109    26,202,638     419,660             1               1     419,660
FISHER SCIENTIFIC INTL     COM 338032204       314,287       8,700             1             1,2       8,700
FORD MOTOR CO              COM 345370100    22,998,680     431,392             1               1     431,392
FORD MOTOR CO              COM 345370100     3,034,817      56,925             1               2      56,925
FOREMOST CORP OF AMER      COM 345469100     5,521,775     194,600             1               1     194,600
FOREMOST CORP OF AMER      COM 345469100       368,875      13,000             1             1,2      13,000
FOUR SEASONS HOTELS INC    COM 35100E104        53,250       1,000             1               1       1,000
FREEPORT MCMORAN COP&GOL   COM 35671D105     3,296,700     177,600             1               1     177,600
FREEPORT MCMORAN COPPER    COM 35671d865     1,243,687      99,000             1               1      99,000
GALLAGHER ARTHUR J & CO.   COM 363576109       259,000       4,000             1             1,2       4,000
GAP INC                    COM  36476010    10,835,022     235,544             1               1     235,544
GENERAL DYNAMICS           COM 369550108         3,710          70             1               1          70
GENERAL DYNAMICS           COM 369550108     3,559,569      67,480             1               2      67,480
GENERAL ELECTRIC CO        COM 369604103    30,653,833     198,086             1               1     198,086
GENERAL MTRS CORP          COM 370442105       238,052       3,275             1               1       3,275
GEON COMPANY               COM 37246w105       763,750      23,500             1             1,2      23,500
GEORGIA PACIFIC CORP       COM 373298108     9,672,950     190,600             1               1     190,600
GEORGIA PACIFIC CORP       COM 373298108     1,177,400      23,200             1             1,2      23,200
GILLETTE CO                COM 375766102     8,842,956     214,700             1               1     214,700
GLAXO WELLCOME PLC -SPON   COM 37733W105     9,588,430     171,605             1               1     171,605
GOLD FIELDS LTD-SP ADR     COM 38059t106       906,250     200,000             1               1     200,000
GOLDEN WEST FIN            COM 381317106     3,276,300      97,800             1               1      97,800
GOLDEN WEST FIN            COM 381317106        60,300       1,800             1               2       1,800
GROUPE DANONE-SPONS ADR    COM 399449107       473,076      10,160             1               1      10,160
HALLIBURTON CO             COM 406216101     6,665,400     165,600             1               1     165,600
HALLIBURTON CO             COM 406216101     1,006,250      25,000             1             1,2      25,000
HECLA MNG CO               COM 422704106       686,562     439,400             1               1     439,400
HEWLETT PACKARD CO         COM 428236103       372,531       3,275             1               1       3,275
HITACHI LTD ADR            COM 433578507        48,562         300             1               1         300
HOME DEPOT INC             COM 437076102    11,027,156     160,394             1               2     160,394
HOME DEPOT INC             COM 437076102     9,517,409     138,435             1               1     138,435
HOMESTAKE MNG CO           COM 437614100     4,000,547     512,070             1               1     512,070
IMAX CORPORATION           COM 45245e109     2,504,908      91,400             1               1      91,400
INGERSOLL RAND CO          COM 456866102    13,027,787     236,600             1               1     236,600
INSITUFORM TECHNOLOGIES    COM 457667103       260,977       9,300             1             1,2       9,300
INTEL CORP                 COM 458140100    30,013,334     364,625             1               1     364,625
INTEL CORP                 COM 458140100        83,959       1,020             1               2       1,020
INTERNET CAPITAL GROUP I   COM 46059c106     3,400,000      20,000             1               1      20,000
INTERNET INITIATIVE JAPA   COM 46059t109     1,824,548      18,785             1               1      18,785
INTERPUBLIC GRP            COM 460690100       530,725       9,200             1               1       9,200
INTL BUS MACHINE           COM 459200101        21,575         200             1               1         200
INTL BUS MACHINE           COM 459200101     3,972,497      36,825             1               2      36,825
INTL PAPER CO              COM 460146103    30,865,833     546,901             1               1     546,901
INTL PAPER CO              COM 460146103     1,128,750      20,000             1             1,2      20,000
J.D. EDWARDS               COM 281667105    14,106,975     472,200             1               1     472,200
JEFFERSON SMURFIT GROUP    COM 47508W107       784,450      27,050             1               1      27,050
JOHNSON & JOHNSON          COM 478160104    20,162,083     216,215             1               1     216,215
JOHNSON & JOHNSON          COM 478160104        55,950         600             1               2         600
JOHNSON CONTROLS           COM 478366107     3,057,031      53,750             1               2      53,750
KERA VISION                COM 492061106        63,856      10,400             1             1,2      10,400
KGHM POLSKA GDR 144A       COM 48245w103     1,290,400     101,000             1               1     101,000
KOHLS CORP.                COM 500255104     3,492,072      48,375             1               2      48,375
KONINKLIJKE AHOLD NV-SP    COM 500467303       572,936      19,015             1               1      19,015
KONINKLIJKE PHILIPS ELEC   COM 500472204     2,605,635      19,301             1               1      19,301
LEXINGTON GROWTH&INCOME    COM 528922107       385,146      17,209             1               1      17,209
LINCOLN NATL CP            COM 534187109     4,004,000     100,100             1               2     100,100
LINCOLN NATL CP            COM 534187109    11,443,621     286,091             1               1     286,091
LOWES COMPANIES            COM 548661107     4,010,719      67,125             1               2      67,125
LUCENT TECHNOLOGIES INC    COM 549463107    30,102,378     401,365             1               1     401,365
LUCENT TECHNOLOGIES INC    COM 549463107     6,658,875      88,785             1               2      88,785
MANDARIN ORIENTAL INTL     COM   6560713     1,234,100   1,763,000             1               1   1,763,000
MARSH & MCLENNAN COS INC   COM 571748102    18,793,025     196,400             1               1     196,400
MARTIN MARIETTA MATERIAL   COM 573284106    20,527,880     500,680             1               1     500,680
MARTIN MARIETTA MATERIAL   COM 573284106     1,271,000      31,000             1             1,2      31,000
MCDONALDS CORP             COM 580135101       132,023       3,275             1               1       3,275
MCDONALDS CORP             COM 580135101     3,458,812      85,800             1               2      85,800
MCGRAW HILL COS INC        COM 580645109        14,191         230             1               1         230
MCGRAW HILL COS INC        COM 580645109     5,275,716      85,610             1               2      85,610
MCI WORLDCOM INC           COM 55268B106     4,285,335      80,759             1               2      80,759
MCI WORLDCOM INC           COM 55268B106    12,573,823     236,962             1               1     236,962
MEAD CORP                  COM 582834107       890,469      20,500             1             1,2      20,500
MEDIMMUNE INC              COM 584699102       497,436       3,000             1             1,2       3,000
MEDTRONIC INC              COM 585055106    20,822,573     571,454             1               1     571,454
MERCK & CO INC             COM 589331107    10,896,133     162,175             1               1     162,175
MERIDIAN GOLD              COM 589975101     1,280,750     188,000             1               1     188,000
MERRILL LYNCH              COM 590188108     5,506,956      66,100             1               1      66,100
MICROSOFT CP               COM 594918104    38,823,110     332,532             1               1     332,532
MICROSOFT CP               COM 594918104     6,213,901      53,224             1               2      53,224
MILLENIUM CHEMICALS        COM 599903101     6,614,275     334,900             1               1     334,900
MORGAN J P & CO INC        COM 616880100       414,697       3,275             1               1       3,275
MORGAN ST DEAN WITTER &    COM 617446448    11,619,850      81,400             1               1      81,400
MOTOROLA INC               COM 620076109    21,288,669     144,575             1               1     144,575
MOTOROLA INC               COM 620076109     5,286,275      35,900             1               2      35,900
NATIONAL COMPUTER SYS IN   COM 635519101       292,984       7,800             1             1,2       7,800
NEC CORP-SPONSORED ADR     COM 629050204       625,705       5,134             1               1       5,134
NETWORK APPLIANCE INC.     COM 64120l104     8,588,662     103,400             1               1     103,400
NETWORK APPLIANCE INC.     COM 64120l104       167,786       2,020             1               2       2,020
NETWORK ASSOC              COM 640938106     9,668,881     362,300             1               1     362,300
NEWMONT MINING CORP        COM 651639106     3,434,165     140,170             1               1     140,170
NEWS CORP LTD-SPONS ADR    COM 652487703     8,076,115     211,140             1               1     211,140
NEXTEL COMMUNICATIONS IN   COM 65332v103     4,393,125      42,600             1               1      42,600
NEXTEL COMMUNICATIONS IN   COM 65332v103        72,187         700             1               2         700
NIPPON TELEGRAPH & TELE    COM 654624105       702,917       8,150             1               1       8,150
NOBLE AFFILIATES INC       COM 654894104       889,656      41,500             1             1,2      41,500
NOKIA CORP                 COM 654902204       659,311       3,459             1               1       3,459
NORTEL NETWORKS            COM 656569100     8,366,840      82,840             1               2      82,840
NORTEL NETWORKS            COM 656569100        64,640         640             1               1         640
NORTHERN TRUST CORP.       COM 665859104     4,102,200      77,400             1               2      77,400
NOVELL INC                 COM 670006105     6,705,506     167,900             1               2     167,900
OFFICE DEPOT               COM 676220106     4,198,700     381,700             1               1     381,700
PBOC HOLDINGS INC          COM 69316g108       222,498      23,500             1             1,2      23,500
PECO ENERGY                COM 693304107     2,869,481      82,575             1               2      82,575
PECO ENERGY CO             COM  63330410       210,237       6,050             1               2       6,050
PEPSICO CO.                COM 713448108    11,592,253     328,859             1               1     328,859
PFIZER INC                 COM  71708110     8,470,060     261,115             1               1     261,115
PHARMACIA UPJOHN INC       COM 716941109     7,273,820     161,640             1               1     161,640
PHARMACIA UPJOHN INC       COM 716941109     3,406,500      75,700             1               2      75,700
PITNEY BOWES INC           COM 724479100     2,640,278      54,650             1               2      54,650
PLACER DOME INC            COM 725906101     3,069,125     285,500             1               1     285,500
PP & L RESOURCES           COM 693499105     2,505,384     109,525             1               2     109,525
PROCTER & GAMBLE CO        COM 742718109    17,674,642     161,319             1               1     161,319
PROVIDIAN CP               COM 74406a102       482,631       5,300             1               1       5,300
PROVIDIAN CP               COM 74406a102        54,637         600             1               2         600
QUALCOMM INC               COM 747525103       225,440       1,280             1               2       1,280
R&B FALCON CORP            COM 74912e101    10,814,650     816,200             1               1     816,200
REPUBLIC SERVICES GROUP    COM 760759100       237,975      16,700             1               1      16,700
RIO TINTO PLC SPONSORED    COM 767204100     9,186,380      96,952             1               1      96,952
RIO TINTO PLC SPONSORED    COM 767204100     1,279,125      13,500             1             1,2      13,500
ROYAL DUTCH PETE   NY RE   COM 780257804    11,638,015     192,170             1               1     192,170
ROYAL DUTCH PETE   NY RE   COM 780257804       726,750      12,000             1             1,2      12,000
SAFEWAY                    COM  78651420     4,345,448     121,551             1               1     121,551
SANMINA CORP               COM 800907107     9,797,737      98,100             1               1      98,100
SBC COMMUNICATIONS INC     COM 78387g103     3,377,692      69,286             1               2      69,286
SCHLUMBERGER LTD - NY SH   COM 806857108     1,265,625      22,500             1             1,2      22,500
SCHLUMBERGER LTD - NY SH   COM 806857108    20,686,499     368,173             1               1     368,173
SCHWAB CHARLES CP NEW      COM 808513105        13,771         360             1               1         360
SCHWAB CHARLES CP NEW      COM 808513105     3,071,092      80,290             1               2      80,290
SEAGRAM CO LTD             COM  81185010       222,631       4,975             1               2       4,975
SILVER STD RES INC COM     COM 82823L106        65,625      50,000             1               1      50,000
SMITHKLINE BEECHAM PLC     COM 832378301       622,408       9,690             1               1       9,690
SOCIETE GENERALE FRANCE    COM 83364L109       181,140       3,915             1               1       3,915
SOLECTRON CORP             COM 834182107     6,015,705      63,240             1               1      63,240
SOLECTRON CORP             COM 834182107     6,340,081      66,650             1               2      66,650
SONY CORP. ADR             COM 835699307    14,191,392      49,838             1               1      49,838
SOUTHWEST AIRLS CO         COM 844741108        13,384         830             1               1         830
SOUTHWEST AIRLS CO         COM 844741108     3,216,533     199,475             1               2     199,475
SOVEREIGN BANCORP INC.     COM 845905108     5,865,609     787,000             1               1     787,000
SPRINT CORP                COM 852061100     5,842,734      86,800             1               2      86,800
SPRINT CORP                COM 852061100        20,878         310             1               1         310
STILLWATER MNG CO COM      COM 86074q102     5,179,687     162,500             1               1     162,500
STMICROELECTRONICS NV -    COM 861012102        60,575         400             1               1         400
SUMMIT BANCORP             COM 866005101     7,157,062     233,700             1               1     233,700
SUN MICROSYSTEMS INC       COM 866810104     8,676,097     112,040             1               1     112,040
SUN MICROSYSTEMS INC       COM 866810104     9,864,774     127,390             1               2     127,390
SUNSHINE MINING & REFINI   COM 867833105        90,234      65,625             1               1      65,625
TANDY CP DEL               COM 875382103     3,280,806      66,700             1               2      66,700
TELE DANMARK A/S-SPONS A   COM 879242105       650,432      17,230             1               1      17,230
TELEFONICA SA - SPONS AD   COM 879382208     9,644,657     122,374             1               1     122,374
TELEFONOS DE MEXICO S A    COM 879403780     1,091,250       9,700             1               1       9,700
TEMPLE INLAND              COM 879868107         4,639          70             1               1          70
TEMPLE INLAND              COM 879868107     4,053,513      61,475             1               2      61,475
TEVA PHARMACEUTICAL INDS   COM 881624209     1,689,595      23,600             1               1      23,600
TEXACO INC                 COM 881694103    11,246,761     207,075             1               1     207,075
TEXACO INC                 COM 881694103     1,086,250      20,000             1             1,2      20,000
TEXAS INSTRUMENT           COM 882508104     5,954,998      61,630             1               2      61,630
TEXAS INSTRUMENT           COM 882508104        20,293         210             1               1         210
THE BISYS GROUP INC        COM 055472104       228,154       3,500             1             1,2       3,500
TIME WARNER                COM 887315109        15,912         220             1               1         220
TIME WARNER                COM 887315109     5,344,261      73,905             1               2      73,905
TJX COS INC                COM  87254010       646,249      31,620             1               2      31,620
TOTAL S.A.- SPONSORED AD   COM 89151e109     1,964,345      28,366             1               1      28,366
TOTAL S.A.- SPONSORED AD   COM 89151e109     1,385,000      20,000             1             1,2      20,000
TRANSOCEAN SEDCO FOREX I   COM g90078109     2,382,866      70,734             1               1      70,734
TRANSOCEAN SEDCO FOREX I   COM g90078109       146,743       4,356             1             1,2       4,356
TRUSTCO BANK CORP          COM 898349105       148,747      11,200             1             1,2      11,200
TVX GOLD INC               COM 87308k101       331,350     441,800             1               1     441,800
TYCO INTL LTD              COM 902124106     3,752,190      96,210             1               2      96,210
TYCO INTL LTD              COM 902124106        24,181         620             1               1         620
UNILEVER NV                COM 904784709       631,515      11,601             1               1      11,601
UNION CARBIDE CORP         COM 905581104       218,606       3,275             1               1       3,275
UNION PAC RES GROUP INC    COM 907834105     7,239,131     567,775             1               1     567,775
UNITED PAN-EUROPE COMUNI   COM 911300200       978,561       7,675             1               1       7,675
UNOCAL CORP                COM 915289102       671,250      20,000             1             1,2      20,000
VALERO ENERGY CORP         COM 91913y100       298,125      15,000             1             1,2      15,000
VASTAR RESOURCES LTD       COM 922380100       590,000      10,000             1             1,2      10,000
VIVENDI ADR                COM 92851S105       640,490      35,310             1               1      35,310
WAL MART STORES INC        COM 931142103       946,327      13,690             1               1      13,690
WAL MART STORES INC        COM 931142103     8,589,127     124,255             1               2     124,255
WEBS JAPAN INDEX SERIES    COM 92923H889    10,329,743     633,223             1               1     633,223
WELLS FARGO & COMPANY      COM 949746101     8,176,462     202,200             1               1     202,200
WEYERHAEUSER CO            COM 962166104       962,287      13,400             1             1,2      13,400
WILLAMETTE IND             COM 969133107       789,437      17,000             1             1,2      17,000
WILLIAMS COS INC DEL       COM 969457100       580,687      19,000             1             1,2      19,000
WINSTAR COMMUNICATIONS I   COM 975515107       330,823       4,400             1             1,2       4,400
XL CAPITAL LTD.            COM g98255105    12,884,452     248,375             1               1     248,375
ZALE CORP                  COM 988858106     9,544,387     197,300             1               1     197,300
ZIONS BANCORPORATION       COM 989701107       236,750       4,000             1             1,2       4,000

Common Stock Australia
AURORA GOLD LTD.           COM   6068615       361,195   1,600,000             1               1   1,600,000
BROKEN HILL PROPRIETARY    COM   6144690     2,065,194     157,800             1               1     157,800
DELTA GOLD                 COM   6260660     2,053,803   1,350,000             1               1   1,350,000
FOSTER BREWING             COM   6349268     1,386,551     484,900             1               1     484,900
LIHIR GOLD LTD.            COM   6518596     1,343,683   1,850,000             1               1   1,850,000
MIM HOLDINGS ORD           COM   6550167     1,047,857   1,020,000             1               1   1,020,000
NEWCREST MINING LTD.       COM   6637101     2,133,989     627,172             1               1     627,172
NEWS CORP                  COM   6886925       269,039      27,800             1               1      27,800
NORMANDY POSEIDON          COM   6645201     2,121,849   3,002,539             1               1   3,002,539
PASMINCO LIMITED           COM   6671080       877,318     802,857             1               1     802,857
RANGER MINERALS N.L.       COM   6723077       706,816     491,000             1               1     491,000

Common Stock Canada
AGNICO EAGLE MINES LTD     COM 008474108     1,446,213     284,600             1               1     284,600
ATNA RESOURCES LTD.        COM 04957f101        74,794     167,000             1               1     167,000
CANADA LIFE FINANCIAL CR   COM 135113108     1,737,089     112,800             1               1     112,800
CANADA LIFE FINANTIAL CR   COM 135113207       244,856      15,900             1               1      15,900
CLAUDE RESOURCES           COM 182873109       186,037     300,000             1               1     300,000
DIA MET A                  COM 25243k208       180,869      20,000             1               1      20,000
ELDORADO GOLD CORP         COM 284901907        53,055      77,000             1               1      77,000
FOUR SEASONS HOTELS INC    COM   2348935       222,252       4,200             1               1       4,200
FRANCO NEV MNG LTD         COM 351860101     2,136,669     140,000             1               1     140,000
GOLDCORP. INC. A           COM 380956102     2,144,971     541,400             1               1     541,400
IAMGOLD INTL               COM 450913108       836,615     373,600             1               1     373,600
KINROSS GOLD CORPORATION   COM 496902107     1,356,519   1,050,000             1               1   1,050,000
MERIDIAN GOLD INC          COM 589975101     3,004,841     445,000             1               1     445,000
PAN AMERICAN RESTRICTED    COM 697900900     1,512,067     285,000             1               1     285,000
PAN AMERICAN SILVER        COM 697900108       183,022      50,000             1               1      50,000
ROMARCO MINERALS INC       COM 775903107        80,084     118,600             1               1     118,600
SILVER STD RESOURCES INC   COM   2218458       382,409     300,000             1               1     300,000
TIOMIN RESOURCES INC.      COM 887901908       168,811     350,000             1               1     350,000
WESTERN COPPER HOLDINGS    COM 95805J105        87,851      75,000             1               1      75,000

Common Stock Switzerland
CHARLES VOEGELE            COM   5682577     1,674,121       9,370             1               1       9,370
ESEC HOLDINGS              COM   4038609     2,484,382       1,339             1               1       1,339
NESTLE AG REGD             COM   4616696     3,059,627       1,679             1               1       1,679
NOVARTIS                   COM   5047831     4,278,044       2,929             1               1       2,929
ROCHE HLDG GENUSSCHEINE    COM   4745772     2,007,207         170             1               1         170
UBS AG-REGISTERED          COM   5485958     1,566,096       5,830             1               1       5,830

Common Stock Denmark
NOVO NORDISK A/S-B         COM   5154656     2,719,166      20,600             1               1      20,600
TELE DANMARK AS            COM   5698790     2,247,959      30,400             1               1      30,400

Common Stock European Euro
ABN AMRO HOLDING NV        COM   5250769     1,730,052      69,600             1               1      69,600
AVENTIS-SPCL               COM   5416839     1,567,830      27,157             1               1      27,157
AXA-UAP                    COM   4026927     2,632,876      18,980             1               1      18,980
BANCA FIDEURAM SPA         COM   4079631     3,041,061     258,000             1               1     258,000
BOEHLER UDDEHOLM           COM   4121305     2,864,496      62,400             1               1      62,400
CAP GEMINI SA              COM   4163437     3,071,371      12,160             1               1      12,160
CE CONSUMER ELECTRONIC     COM   5465972     1,744,806      13,600             1               1      13,600
COMMERZBANK AG             COM   4325538     1,600,184      43,800             1               1      43,800
CYBERTRON TELEKOM AG       COM   5829608     1,790,511      23,200             1               1      23,200
DEUTSCHE BANK AG           COM   5750355     3,461,897      41,192             1               1      41,192
DRESDNER BANK              COM   5801628     2,148,733      39,700             1               1      39,700
ELECTRICIDADE DE PORTUGA   COM   5249187     1,888,123     108,701             1               1     108,701
ENEL SPA                   COM   5798021       208,479      50,000             1               1      50,000
FI SYSTEM                  COM   5551194     2,421,559       8,000             1               1       8,000
FRANCE TELECOM SA          COM   5176177     1,092,298       8,300             1               1       8,300
MANNESMANN AG              COM   5767504     1,828,568       7,570             1               1       7,570
MAPFRE VIDA SEGUROS        COM   5388671     1,180,618      51,437             1               1      51,437
MEDIOLANUM SPA             COM   5535198     2,619,013     201,000             1               1     201,000
NOKIA                      COM   5655212     4,600,562      25,500             1               1      25,500
PHILIPS ELECTRONICS NV     COM   5671434     3,396,297      25,100             1               1      25,100
PORTUGAL TELECOM SA REG    COM   5817186     1,069,676      98,000             1               1      98,000
RANDSTAD HOLDINGS NV       COM   5228658       824,052      17,200             1               1      17,200
REXEL                      COM   5499335     1,738,591      19,600             1               1      19,600
RHOEN-KLINIKUM             COM   4717630     1,634,985      46,080             1               1      46,080
ROYAL DUTCH PETROLEUM      COM    520270       329,346       5,400             1               1       5,400
RYANAIR HOLDINGS           COM   5485947     1,291,501     121,560             1               1     121,560
SAP AG-VORZUG              COM    484686       425,557         710             1               1         710
SIDEL SA  FF  10 PAR       COM   5092433     1,047,906      10,200             1               1      10,200
SMURFIT (JEFFERS0N) GROU   COM   4816151     4,353,996   1,448,000             1               1   1,448,000
SOCIETE GENERALE-A         COM   4817756     1,706,387       7,370             1               1       7,370
SOGECABLE                  COM   5730669     1,614,065      25,400             1               1      25,400
UNIQUE INT'L               COM   5184716     1,370,496      66,700             1               1      66,700
USINOR                     COM   4894544     1,044,934      55,900             1               1      55,900
VERSATEL TELECOM           COM   5731532     1,431,286      40,800             1               1      40,800
VIVENDI                    COM   5687237     4,190,897      46,640             1               1      46,640

Common Stock Great Britain
AEGIS GROUP ORD            COM   0965756     4,129,659   1,138,800             1               1   1,138,800
BARCLAYS PLC               COM   0078201     1,203,389      41,900             1               1      41,900
BP AMOCO                   COM   0798059       412,007      41,000             1               1      41,000
BRITISH TELECOM PLC        COM   0140843     2,843,293     116,600             1               1     116,600
CADBURY SCHWEPPES PLC      COM   0610700     1,775,777     294,600             1               1     294,600
CAPITA GROUP               COM   0173474     1,826,685     100,300             1               1     100,300
COLT TELECOM               COM   0424699     2,078,743      40,700             1               1      40,700
CORUS GROUP PLC            COM   0828053     2,418,388     932,000             1               1     932,000
DIAGEO                     COM   0237400       250,970      31,300             1               1      31,300
ENERGIS PLC                COM   0219624     1,821,414      38,000             1               1      38,000
GLAXO WELLCOME             COM   0371784     1,751,515      62,100             1               1      62,100
LLOYDS TSB GROUP PLC       COM   0870612     1,173,366      94,000             1               1      94,000
PIZZA ESPRESS PLC          COM   0841953     1,236,352     105,300             1               1     105,300
PROVIDENT FINANCIAL PLC    COM   0268596     1,549,005     137,300             1               1     137,300
REGENT INNS                COM   0730415       754,276     300,000             1               1     300,000
RTZ CORP ORD (REGD)        COM   0718875     2,690,438     111,660             1               1     111,660
THUS PLC                   COM   0877389       942,387     150,700             1               1     150,700
VODAFONE GROUP ORD         COM   0719210       218,927      44,500             1               1      44,500

Common Stock Hong Kong
MOULIN INTL HOLDING,LTD.   COM   6606811       746,958   7,742,000             1               1   7,742,000
SOUTH CHINA MORNING POST   COM   6824657     2,840,820   3,296,000             1               1   3,296,000

Common Stock Japan
AUCENT INC                 COM   6059891       711,488      11,880             1               1      11,880
BUNKA SHUTTER CO LTD       COM   6152466     1,201,504     559,000             1               1     559,000
CAC CORPORATION            COM   6164438     1,212,300      29,900             1               1      29,900
CANON INC                  COM   6172323       356,993       9,000             1               1       9,000
DAIFUKU CO LTD.            COM   6250025     2,075,130     360,000             1               1     360,000
DAIWA HOUSE INDUSTRY CO    COM   6251363     1,752,332     236,000             1               1     236,000
FUJI BANK LTD              COM   6356280     1,416,423     146,000             1               1     146,000
HOYA CORP.                 COM   6441506     2,438,082      31,000             1               1      31,000
ITO-YOKADO CO LTD          COM   6467944       650,676       6,000             1               1       6,000
JAFCO CO LTD.              COM   6471439     2,852,815       8,000             1               1       8,000
JAPAN TELECOM CO LTD.      COM   6475497     2,243,173          56             1               1          56
MAEDA CORPORATION          COM   6554705       658,727     224,000             1               1     224,000
NEC CORPORATION            COM   6640400     2,402,764     101,000             1               1     101,000
NIPPON STEEL CORP          COM   6642569       301,216     129,000             1               1     129,000
NIPPON TELEGRAPH & TELEP   COM   6641373     2,427,824         142             1               1         142
NISSIN CO LTD.             COM   6646958     1,592,105      38,800             1               1      38,800
NTT MOBILE COMMUNICATION   COM   6129277     2,687,704          70             1               1          70
PASONA SOFTBANK INC.       COM   6155874     2,459,283      31,000             1               1      31,000
RINNAI CORP                COM   6740582     1,321,674      71,200             1               1      71,200
SONY CORP                  COM   6821506     6,335,009      21,400             1               1      21,400
TOKYO ELECTRON LIMITED     COM   6895675       957,452       7,000             1               1       7,000
TOTO LTD                   COM   6897466     1,521,528     252,000             1               1     252,000
YAMATO KOGYO               COM   6985446       842,235     187,000             1               1     187,000

Common Stock Mexico
GRUPO MEXICO A2            COM   2399502     2,743,767     554,016             1               1     554,016
INDUSTRAS PENOLES S.A.     COM   2448200     1,857,427     645,000             1               1     645,000
SAN LUIS CPO               COM   2388942       670,062     290,056             1               1     290,056

Common Stock Norway
NETCOM ASA                 COM   5062469     1,114,821      22,400             1               1      22,400
PETROLEUM GEO-SERVICES     COM   5469372     1,208,100      67,900             1               1      67,900

Common Stock Peru
COMPANIA BUENAVENTURA OR   COM   2206282     1,269,661     157,009             1               1     157,009

Common Stock Sweden
ADERA AB-B SHS             COM   5701535     1,553,489      20,900             1               1      20,900
ERICSSON STK B             COM   4321558       320,144       5,000             1               1       5,000
EUROPOLITAN HOLDINGS       COM   5683796     1,353,735      77,100             1               1      77,100
FRAMTIDSFABRIKEN AB        COM   5702903     3,334,883      18,500             1               1      18,500
SWEDISH MATCH              COM   5048566     2,853,130     820,686             1               1     820,686

Common Stock Turkey
AKBANK                     COM   4011127     3,404,213 115,339,000             1               1 115,339,000

Common Stock South Africa
ANGLO AMERICAN PLATINUM    COM   6761000     3,697,431     121,749             1               1     121,749
ANGLOGOLD LIMITED          COM   6110129     3,534,845      68,749             1               1      68,749
ANGLOVAAL MINING LTD       COM   6041122     3,232,634     371,363             1               1     371,363
AVGOLD LTD.                COM   6049933       309,158     447,918             1               1     447,918
GOLD FIELDS LTD.           COM   6280215     2,898,887     600,000             1               1     600,000
HARMONY GOLD MINING LTD.   COM   6410562     4,116,162     641,656             1               1     641,656
IMPALA PLATINUM HOLDING    COM   6457804     3,011,033      74,460             1               1      74,460
ST. HELENA GOLD MINES LT   COM   6768409                   352,900             1               1     352,900

"Warrants
CLAUDE RESOURCES WARRANT   WAR 182873109       248,049     400,000             1               1     400,000
                                         ==============
                                          1,821,270,689
</TABLE>

NOTES:

This Form 13F, filed by Lexington Global Asset Managers, Inc. ("LGAM"),
a public reporting company under the Securities Exchange Act of 1934, is
being filed on behalf of its investment advisory subsidiaries, Lexington
Management Corporation and Market Systems Research Advisors, Inc.

INVESTMENT DISCRETION
Although LGAM itself is not a registered investment adviser, it is
filing this Form 13F on behalf of its subsidiaries on the basis that
Subsection 13f-1(b) deems investment discretion to be exercised with
respect to all accounts over which any person under its control
exercises investment discretion.   In this respect, investment
discretion has been reported as shared amongst LGAM and the
subsidiary.  Discretion may also be shared amongst LGAM and both
subsidiaries (e.g. one subsidiary serves as investment adviser to an
investment company portfolio, and the other as sub-adviser).



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