UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 31, 2000
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 May 4, 2000
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
NONE
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 63
Form 13F Information Table Value Total: $870,514 (thousands)
List of Other Included Managers:
NONE
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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 $ 51,562 373,300 SH SOLE N/A 355,000 N/A 18,300
Affymetrix Inc Common 00826T108 $ 1,232 8,300 SH X SOLE N/A 1,000 N/A 7,300
Alexion Pharmaceuticals Inc. Common 015351109 $ 21,853 313,300 SH X SOLE N/A 290,600 N/A 22,700
Allied Waste Industries Inc Common 019589308 $ 11,109 1,692,600 SH X SOLE N/A 970,000 N/A 722,600
Alza Corp Common 022615108 $ 13,294 353,900 SH X SOLE N/A 262,500 N/A 91,400
American Superconductor Corp Common 030111108 $ 25,207 566,450 SH X SOLE N/A 301,000 N/A 265,450
Aradigm Corp Common 038505103 $ 14,761 707,100 SH X SOLE N/A 581,000 N/A 126,100
Axys Pharmaceuticals Inc Common 054635107 $ 7,823 1,017,500 SH X SOLE N/A 781,000 N/A 236,500
Banca Quadrum S.A.-Spon Adr ADR 05944R108 $ 787 393,600 SH X SOLE N/A 301,500 N/A 92,100
Biopure Corp Common 09065H105 $ 9,218 276,709 SH X SOLE N/A 220,848 N/A 55,861
Careside Inc Common 141728105 $ 6,097 685,000 SH X SOLE N/A 429,000 N/A 256,000
Citigroup Inc Common 172967101 $ 18,239 304,620 SH X SOLE N/A 177,225 N/A 127,395
CMS Energy Corp Common 125896100 $ 17,061 941,300 SH X SOLE N/A 576,500 N/A 364,800
Collagenex Pharmaceuticals Common 19419B100 $ 8,027 501,675 SH X SOLE N/A 393,525 N/A 108,150
Columbia Hca Healthcare Corp Common 197677107 $ 16,538 653,350 SH X SOLE N/A 409,300 N/A 244,050
Coulter Pharmaceutical Inc Common 222116105 $ 14,625 479,500 SH X SOLE N/A 317,800 N/A 161,700
Edison Schools Inc Common 281033100 $ 30,444 1,551,301 SH X SOLE N/A 2,112,787 N/A 698,010
Emcore Corp Common 290846104 $ 13,083 113,700 SH X SOLE N/A 84,100 N/A 29,600
Energy Biosystems Corp Common 29265L706 $ 17,366 1,694,259 SH X SOLE N/A 1,256,973 N/A 437,286
Hellenic Telecom Org ADR 423325307 $ 9,229 636,500 SH X SOLE N/A 525,500 N/A 111,000
Heska Corp Common 42805E108 $ 11,239 2,900,500 SH X SOLE N/A 1,691,500 N/A 1,209,000
Icici Limited - Spon Adr ADR 44926P202 $ 10,927 480,300 SH X SOLE N/A 392,500 N/A 87,800
Informix Corp Common 456779107 $ 22,106 1,305,100 SH X SOLE N/A 872,000 N/A 433,100
Intergraph Corp Common 458683109 $ 22,740 2,562,200 SH X SOLE N/A 1,414,000 N/A 1,148,200
Ion Networks Inc Common 46205P100 $ 48,588 1,445,000 SH X SOLE N/A 1,171,000 N/A 274,000
Iron Mountain Inc Common 462846106 $ 6,631 194,680 SH X SOLE N/A 147,800 N/A 46,880
John Hancock Financial Srv Common 41014S106 $ 3,045 168,600 SH X SOLE N/A 80,000 N/A 88,600
Korea Telecom Corporation ADR 50063P103 $ 10,143 231,500 SH X SOLE N/A 181,200 N/A 50,300
Landec Corp. Common 514766104 $ 8,896 1,317,900 SH X SOLE N/A 734,000 N/A 583,900
Mci Worldcom Inc. Common 55268B106 $ 9,485 209,332 SH X SOLE N/A 156,650 N/A 52,682
Mckesson Hboc Inc Common 58155Q103 $ 2,751 131,000 SH X SOLE N/A 43,000 N/A 88,000
Metacreations Corporation Common 591016100 $ 8,190 385,400 SH X SOLE N/A 204,500 N/A 180,900
Metals Usa Inc Common 591324108 $ 13,352 2,015,400 SH X SOLE N/A 1,409,500 N/A 605,900
Mission Critical Software Common 605047109 $ 40,949 669,923 SH X SOLE N/A 393,373 N/A 276,550
Nextel Communications Corp Common 65332V103 $ 16,248 109,600 SH X SOLE N/A 61,500 N/A 48,100
Nippon Tel & Tel ADR 654624105 $ 17,448 221,380 SH X SOLE N/A 139,900 N/A 81,480
Paradigm Geophysical Ltd Common 69900J104 $ 5,507 683,000 SH X SOLE N/A 577,000 N/A 106,000
Photoworks Inc Common 71940B109 $ 9,498 1,394,100 SH X SOLE N/A 899,000 N/A 495,100
Pmc Capital Inc Common 693430100 $ 141 17,600 SH X SOLE N/A - N/A 17,600
Precision Castparts Corp Common 740189105 $ 14,856 407,000 SH X SOLE N/A 216,500 N/A 190,500
Pt Pasifik Satelit Nusantara ADR 69365Q106 $ 14,766 581,900 SH X SOLE N/A 300,500 N/A 281,400
Rational Software Corp Common 75409P202 $ 14,068 183,900 SH X SOLE N/A 130,500 N/A 53,400
Rochester Medical Corp Common 771497104 $ 5,747 474,000 SH X SOLE N/A 262,500 N/A 211,500
Service Corp International Common 817565104 $ 1,982 660,650 SH X SOLE N/A 360,000 N/A 300,650
Shared Technologies Cellular Common 819487109 $ 7,421 1,562,242 SH X SOLE N/A 1,499,527 N/A 62,715
Sirius Satellite Radio Inc Common 82966U103 $ 16,587 291,000 SH X SOLE N/A 201,500 N/A 89,500
Sonosite Inc Common 83568G104 $ 11,647 350,300 SH X SOLE N/A 182,000 N/A 168,300
Spacehab Inc Common 846243103 $ 4,265 886,094 SH X SOLE N/A 725,861 N/A 160,233
Startec Global Comm Common 85569E103 $ 5,240 249,500 SH X SOLE N/A 176,000 N/A 73,500
Strategic Diagnostics Inc Common 862700101 $ 11,533 1,512,500 SH X SOLE N/A 1,048,000 N/A 464,500
Suiza Foods Corp Common 865077101 $ 14,023 348,400 SH X SOLE N/A 230,400 N/A 118,000
Sylvan Learning Systems Inc Common 871399101 $ 15,728 986,800 SH X SOLE N/A 591,000 N/A 395,800
Symyx Technologies Inc Common 87155S108 $ 27,091 628,190 SH X SOLE N/A 414,838 N/A 213,352
Tab Products Common 873197107 $ 244 48,700 SH X SOLE N/A 48,600 N/A 100
Telekomunik Indonesia-Sp Adr ADR 715684106 $ 17,433 1,835,052 SH X SOLE N/A 1,117,700 N/A 717,352
Tickets.Com Inc - Priv Pl Common 88633M101 $ 20,469 2,693,317 SH X SOLE N/A 2,124,438 N/A 568,879
Transkaryotic Therapies Inc Common 893735100 $ 12,516 225,000 SH X SOLE N/A 196,000 N/A 29,000
Tripath Imaging Inc Common 896942109 $ 13,621 1,523,935 SH X SOLE N/A 969,761 N/A 554,174
Tv Filme Inc Common 873071104 $ 75 184,500 SH X SOLE N/A 10,000 N/A 174,500
U.S. Plastic Lumber Corp Common 902948108 $ 9,335 1,009,200 SH X SOLE N/A 701,000 N/A 308,200
United Therapeutics Corp Common 91307C102 $ 18,551 238,600 SH X SOLE N/A 191,500 N/A 47,100
Unumprovident Corp Common 91529Y106 $ 21,303 1,257,700 SH X SOLE N/A 765,000 N/A 492,700
Vidamed Inc. Common 926530106 $ 16,578 4,652,850 SH X SOLE N/A 812,870 N/A 3,839,980
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