ZESIGER CAPITAL GROUP LLC
13F-HR, 1999-11-08
REAL ESTATE
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                                 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, 1999


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:    Zesiger Capital Group LLC
Address: 320 Park Avenue, 30th Floor
         New York, New York 10022

Form 13F File Number: 28-5536

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing this report is authorized
to submit it, that all information contained therein 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:    Barrie R. Zesiger
Title:   Principal - Administration
Phone:   212-508-6300

Signature, Place, and Date of Signing:

         /s/ Barrie R. Zesiger      New York, NY     November 4, 1999

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT.

[ ] 13F NOTICE.

[ ] 13F COMBINATION  REPORT.

List of Other Managers Reporting for this Manager:

        NONE
<PAGE>
                             FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers: 0

Form 13F Information Table Entry Total: 61

Form 13F Information Table Value Total: $699,099 (thousands)


List of Other Included Managers:

         NONE

<PAGE>
<TABLE>
<S> ...........................<C>        <C>           <C>      <C>      <C> <C>  <C>    <C>   <C>        <C>     <C>
NAME OF ISSUER .............   TITLE      CUSIP         VALUE    SHARES/  SH/ Put/ INVTMT OTHER   VOTING AUTHORITY
                                                        ('000)   Prn Amt  PRN Call DSCRTN MGRS     SOLE   SHARED     NONE

Abgenix Inc                    Common   00339B107    $ 34,133     871,000 SH       SOLE    N/A     783,000   N/A      88,000
Affymetrix Inc                 Common   00826T108    $  7,255      73,700 SH       SOLE    N/A      44,200   N/A      29,500
Alexion Pharmaceuticals Inc    Common   015351109    $ 12,316     835,000 SH       SOLE    N/A     812,000   N/A      23,000
Alza Corp                      Common   022615157    $     19     607,000 SH       SOLE    N/A          -    N/A     607,000
American Superconductor Corp   Common   030111108    $  5,666     368,500 SH       SOLE    N/A     109,500   N/A     259,000
Aradigm Corp                   Common   038505103    $  9,376   1,027,500 SH       SOLE    N/A     885,000   N/A     142,500
Arcadia Financial Ltd          Common   039101100    $    116      26,900 SH       SOLE    N/A           -   N/A      26,900
Asymetrix Learning Systems     Common   045927100    $  2,334     260,262 SH       SOLE    N/A     110,817   N/A     149,445
Axys Pharmaceuticals Inc       Common   054635107    $  7,347   1,865,600 SH       SOLE    N/A   1,417,000   N/A     448,600
Banca Quadrum S.A.-Spon Adr    ADR      05944R108    $    743     625,200 SH       SOLE    N/A     255,000   N/A     370,200
Biopure Corp                   Common   09065H105    $  9,306     954,436 SH       SOLE    N/A     829,924   N/A     124,512
Checkfree Holdings Corp        Common   162816102    $ 20,632     501,700 SH       SOLE    N/A     385,500   N/A     116,200
Citigroup Inc                  Common   172967101    $ 23,692     538,465 SH       SOLE    N/A     397,075   N/A     141,390
Collagenex Pharmaceuticals     Common   19419B100    $ 16,174     924,200 SH       SOLE    N/A     788,000   N/A     136,200
Columbia Hca Healthcare Corp   Common   197677107    $ 21,710   1,024,650 SH       SOLE    N/A     802,300   N/A     222,350
Compaq Computer Corp           Common   204493100    $  1,080      47,200 SH       SOLE    N/A      41,200   N/A       6,000
Coulter Pharmaceutical Inc     Common   222116105    $  7,497     537,900 SH       SOLE    N/A     430,000   N/A     107,900
Counsel Corp                   Common   22226R102    $    196      58,000 SH       SOLE    N/A           -   N/A      58,000
Emcore Corp                    Common   290846104    $  7,423     535,000 SH       SOLE    N/A     481,000   N/A      54,000
Energy Biosystems Corp         Common   29265L706    $  4,624   1,681,614 SH       SOLE    N/A   1,271,066   N/A     410,548
General Electric Co            Common   369604103    $    237       2,000 SH       SOLE    N/A           -   N/A       2,000
Hellenic Telecommun Org        ADR      423325307    $  8,201     733,000 SH       SOLE    N/A     690,500   N/A      42,500
Heska Corp                     Common   42805E108    $  3,452   1,534,000 SH       SOLE    N/A   1,075,000   N/A     459,000
Informix Corp                  Common   456779107    $ 18,105   2,280,800 SH       SOLE    N/A   1,836,500   N/A     444,300
Intergraph Corp                Common   458683109    $ 15,478   2,751,700 SH       SOLE    N/A   2,031,000   N/A     720,700
Ion Networks Inc               Common   46205P100    $ 10,300   2,000,000 SH       SOLE    N/A   1,560,000   N/A     440,000
JDS Uniphase Corp              Common   46612J101    $ 19,792     173,900 SH       SOLE    N/A     133,300   N/A      40,600
Korea Telecom Corporation      ADR      50063P103    $ 11,877     321,000 SH       SOLE    N/A     306,000   N/A      15,000
Landec Corp                    Common   514766104    $  6,894   1,345,100 SH       SOLE    N/A     763,000   N/A     582,100
MCI Worldcom Inc.              Common   55268B106    $ 17,422     242,388 SH       SOLE    N/A     213,100   N/A      29,288
McKesson Hboc Inc              Common   58155Q103    $ 19,311     665,900 SH       SOLE    N/A     541,000   N/A     124,900
Metals USA Inc                 Common   591324108    $ 16,272   1,597,200 SH       SOLE    N/A   1,176,500   N/A     420,700
Mission Critical Software      Common   605047109    $ 80,354   1,805,715 SH       SOLE    N/A   1,227,318   N/A     578,397
Neopath Inc                    Common   640517108    $ 11,184   2,323,800 SH       SOLE    N/A   1,751,000   N/A     572,800
Nextel Communications Corp     Common   65332V103    $ 27,539     406,100 SH       SOLE    N/A     295,200   N/A     110,900
Northeast Utilities            Common   664397106    $ 21,054   1,145,800 SH       SOLE    N/A     821,000   N/A     324,800
Paradigm Geophysical Ltd       Common   69900J104    $  3,812     663,000 SH       SOLE    N/A     577,000   N/A      86,000
Phycor Inc                     Common   71940F100    $ 11,429   2,612,400 SH       SOLE    N/A   2,009,000   N/A     603,400
PMC Capital Inc                Common   693430100    $    224      26,765 SH       SOLE    N/A           -   N/A      26,765
Polaroid Corp                  Common   731095105    $ 17,979     691,500 SH       SOLE    N/A     560,500   N/A     131,000
Premiere Technologies Inc      Common   74058F102    $  3,401     572,700 SH       SOLE    N/A     518,000   N/A      54,700
Pt Pasifik Satel Nusantara     ADR      69365Q106    $  7,675   1,006,500 SH       SOLE    N/A     552,800   N/A     453,700
Rational Software Corp         Common   75409P202    $ 14,108     481,800 SH       SOLE    N/A     409,600   N/A      72,200
Rochester Medical Corp         Common   771497104    $  5,327     553,500 SH       SOLE    N/A     272,500   N/A     281,000
Service Corp International     Common   817565104    $ 12,259   1,160,600 SH       SOLE    N/A     940,500   N/A     220,100
Shared Technologies Cellular   Common   819487109    $ 14,181   1,620,742 SH       SOLE    N/A   1,546,742   N/A      74,000
Sonosite Inc                   Common   83568G104    $  9,436     361,200 SH       SOLE    N/A     196,000   N/A     165,200
Sony Corp                      ADR      835699307    $  5,729      38,175 SH       SOLE    N/A      18,800   N/A      19,375
Spacehab Inc                   Common   846243103    $  7,402   1,518,370 SH       SOLE    N/A   1,278,348   N/A     240,022
Suiza Foods Corp               Common   865077101    $ 23,535     627,600 SH       SOLE    N/A     522,100   N/A     105,500
Sylvan Learning Systems Inc    Common   871399101    $ 17,188     887,100 SH       SOLE    N/A     705,900   N/A     181,200
Tab Products                   Common   873197107    $    262      48,700 SH       SOLE    N/A      48,600   N/A         100
Teekay Shipping Corp           Common   V89564104    $  8,339     533,700 SH       SOLE    N/A     452,000   N/A      81,700
Telebras Holdrs                ADR      879287308    $ 11,458     154,310 SH       SOLE    N/A     123,000   N/A      31,310
Tv Filme Inc                   Common   873071104    $     50     230,000 SH       SOLE    N/A      10,000   N/A     220,000
U.S. Plastic Lumber Corp       Common   902948108    $ 12,375   1,250,000 SH       SOLE    N/A   1,075,000   N/A     175,000
United Therapeutics Corp       Common   91307C102    $ 16,635     576,100 SH       SOLE    N/A     506,000   N/A      70,100
Vaxgen Inc                     Common   922390208    $  3,118     213,200 SH       SOLE    N/A     113,500   N/A      99,700
Vidamed Inc                    Common   926530106    $  6,603   2,515,350 SH       SOLE    N/A   2,335,850   N/A     179,500
Xoma Ltd                       Common   G9825R107    $  4,401   1,498,000 SH       SOLE    N/A   1,226,000   N/A     272,000
Zemex Corp                     Common   988910105    $  3,062     433,507 SH       SOLE    N/A     270,738   N/A     162,769


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