ZESIGER CAPITAL GROUP LLC
13F-HR, 2000-11-06
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, 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     November 1, 2000

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: 68

Form 13F Information Table Value Total: $899,964 (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     $ 25,472    315,200  SH       SOLE    N/A     216,200   N/A       99,000
Affymetrix Inc                Common    00826T108        $ 968     19,400  SH       SOLE    N/A       2,000   N/A       17,400
Alexion Pharmaceuticals Inc.  Common    015351109      $ 8,972     78,700  SH       SOLE    N/A      65,600   N/A       13,100
Allied Waste Industries Inc   Common    019589308     $ 14,863  1,617,700  SH       SOLE    N/A     940,000   N/A      677,700
Alza Corp                     Common    022615108     $ 10,077    116,500  SH       SOLE    N/A      79,500   N/A       37,000
American Superconductor Corp  Common    030111108     $ 23,312    474,250  SH       SOLE    N/A     257,100   N/A      217,150
Aradigm Corp                  Common    038505103     $ 11,733    511,500  SH       SOLE    N/A     398,000   N/A      113,500
AT & T Corp                   Common    001957109     $ 22,237    766,800  SH       SOLE    N/A     427,500   N/A      339,300
Auspex Systems Inc            Common    052116100      $ 3,044    246,000  SH       SOLE    N/A     110,000   N/A      136,000
Careside Inc                  Common    141728105      $ 2,414    757,200  SH       SOLE    N/A     480,480   N/A      276,720
Citigroup Inc                 Common    172967101     $ 13,832    255,855  SH       SOLE    N/A     158,264   N/A       97,591
CMS Energy Corp               Common    125896100     $ 24,153    895,900  SH       SOLE    N/A     543,000   N/A      352,900
Collagenex Pharmaceuticals    Common    19419B100      $ 1,965    241,800  SH       SOLE    N/A     237,400   N/A        4,400
CSX Corp                      Common    126408103     $ 12,984    595,250  SH       SOLE    N/A     351,000   N/A      244,250
Durect Corporation            Common    266605104     $ 97,839  6,522,629  SH       SOLE    N/A   5,156,000   N/A    1,366,629
Eastman Kodak Co              Common    277461109     $ 14,650    358,400  SH       SOLE    N/A     206,600   N/A      151,800
Edison Schools Inc            Common    281033100     $ 35,719  1,125,020  SH       SOLE    N/A   1,635,176   N/A      651,465
Emcore Corp                   Common    290846104      $ 7,434    178,800  SH       SOLE    N/A     131,600   N/A       47,200
Enchira Biotechnology         Common    29251Q107     $ 13,745  1,704,734  SH       SOLE    N/A   1,176,263   N/A      528,471
Heska Corp                    Common    42805E108      $ 5,795  1,972,500  SH       SOLE    N/A   1,315,000   N/A      657,500
Iasiaworks Inc                Common    45072L101     $ 15,761  1,970,148  SH       SOLE    N/A   1,492,059   N/A      478,089
ICICI Limited                 ADR       44926P202      $ 2,362    214,700  SH       SOLE    N/A     168,000   N/A       46,700
Informix Corp                 Common    456779107      $ 8,132  1,971,400  SH       SOLE    N/A   1,484,000   N/A      487,400
Intergraph Corp               Common    458683109     $ 16,782  2,334,700  SH       SOLE    N/A   1,304,500   N/A    1,030,200
ION Networks Inc              Common    46205P100      $ 6,940  2,846,630  SH       SOLE    N/A   1,884,500   N/A      962,130
Iron Mountain Inc             Common    462846106     $ 11,861    320,580  SH       SOLE    N/A     239,700   N/A       80,880
John Hancock Financial Srvcs  Common    41014S106     $ 13,722    510,600  SH       SOLE    N/A     356,000   N/A      154,600
Kinder Morgan Energy Prtnrs   Common    494550106      $ 1,019     21,500  SH       SOLE    N/A           -   N/A       21,500
Korea Telecom Corporation     ADR       50063P103      $ 8,860    263,500  SH       SOLE    N/A     200,700   N/A       62,800
Landec Corp.                  Common    514766104      $ 7,252  1,303,700  SH       SOLE    N/A     692,000   N/A      611,700
Lucent Technologies Inc       Common    549463107        $ 305     10,000  SH       SOLE    N/A           -   N/A       10,000
Maxygen Inc                   Common    577776107      $ 3,735     72,000  SH       SOLE    N/A      37,000   N/A       35,000
Metacreations Corporation     Common    591016100      $ 6,327    562,400  SH       SOLE    N/A     357,000   N/A      205,400
Metals Usa Inc                Common    591324108      $ 4,728  1,609,400  SH       SOLE    N/A   1,121,000   N/A      488,400
Mobile Telesystems            ADR       607409109     $ 12,089    476,400  SH       SOLE    N/A     293,300   N/A      183,100
Netiq Corp                    Common    64115P102     $ 22,277    339,141  SH       SOLE    N/A     195,652   N/A      143,489
Nextel Communications Corp    Common    65332V103      $ 9,715    207,800  SH       SOLE    N/A     115,100   N/A       92,700
Nippon Tel & Tel              ADR       654624105     $ 10,434    212,930  SH       SOLE    N/A     146,100   N/A       66,830
Paradigm Geophysical Ltd      Common    69900J104      $ 1,951    303,000  SH       SOLE    N/A     224,000   N/A       79,000
Photoworks Inc                Common    71940B109      $ 5,940  2,111,600  SH       SOLE    N/A   1,175,000   N/A      936,600
Praecis Pharmaceuticals Inc   Common    739421105     $ 68,914  1,621,506  SH       SOLE    N/A   1,238,848   N/A      382,658
Precision Castparts Corp      Common    740189105      $ 9,885    257,600  SH       SOLE    N/A     137,000   N/A      120,600
Pt Pasifik Satelit Nusantara  ADR       69365Q106      $ 8,683    746,900  SH       SOLE    N/A     371,000   N/A      375,900
Rational Software Corp        Common    75409P202     $ 11,156    160,800  SH       SOLE    N/A     116,600   N/A       44,200
Rochester Medical Corp        Common    771497104      $ 1,602    261,500  SH       SOLE    N/A     127,000   N/A      134,500
Shared Technologies Cellular  Common    819487109      $ 2,743  1,097,360  SH       SOLE    N/A     829,645   N/A      267,715
Sirius Satellite Radio Inc    Common    82966U103     $ 14,779    279,500  SH       SOLE    N/A     189,500   N/A       90,000
Sonosite Inc                  Common    83568G104      $ 2,025    108,350  SH       SOLE    N/A      49,000   N/A       59,350
Spacehab Inc                  Common    846243103      $ 3,831    655,494  SH       SOLE    N/A     578,861   N/A       76,633
Startec Global Comm           Common    85569E103      $ 7,497  1,262,500  SH       SOLE    N/A     736,000   N/A      526,500
Strategic Alliance Group Inc  Common    86269L108          $ 1    100,000  SH       SOLE    N/A           -   N/A      100,000
Strategic Diagnostics Inc     Common    862700101      $ 5,373  2,322,800  SH       SOLE    N/A   1,347,000   N/A      975,800
Suiza Foods Corp              Common    865077101     $ 16,932    331,600  SH       SOLE    N/A     214,400   N/A      117,200
Symyx Technologies Inc        Common    87155S108     $ 13,815    318,501  SH       SOLE    N/A     232,000   N/A       86,501
Telebras Holdrs               ADR       879287308     $ 11,988    151,510  SH       SOLE    N/A      95,500   N/A       56,010
Telekomunik Indonesia         ADR       715684106     $ 15,621  2,499,392  SH       SOLE    N/A   1,511,000   N/A      988,392
Tickets.Com Inc               Common    88633M101      $ 2,124  2,123,600  SH       SOLE    N/A     944,997   N/A    1,178,603
Titan Pharmaceuticals Inc     Common    888314101        $ 776     14,919  SH       SOLE    N/A      11,626   N/A        3,293
Transkaryotic Therapies Inc   Common    893735100     $ 14,146    328,500  SH       SOLE    N/A     227,500   N/A      101,000
Tripath Imaging Inc           Common    896942109     $ 14,938  2,134,024  SH       SOLE    N/A   1,252,892   N/A      881,132
U.S. Plastic Lumber Corp      Common    902948108      $ 1,538    400,200  SH       SOLE    N/A     340,000   N/A       60,200
United Therapeutics Corp      Common    91307C102     $ 17,851    204,300  SH       SOLE    N/A     138,200   N/A       66,100
Unumprovident Corp            Common    91529Y106     $ 26,457    970,900  SH       SOLE    N/A     587,200   N/A      383,700
Vertex Interactive Inc        Common    925322109     $ 22,860  1,248,300  SH       SOLE    N/A     864,000   N/A      384,300
Vidamed Inc.                  Common    926530106      $ 8,648  3,739,000  SH       SOLE    N/A   2,427,000   N/A    1,312,000
Virologic Inc                 Common    92823R201     $ 45,407  2,690,773  SH       SOLE    N/A   2,127,750   N/A      563,023
Washington Group Intl Inc     Common    938862109      $ 9,823    858,800  SH       SOLE    N/A     586,900   N/A      271,900
Worldcom Inc.                 Common    98157D106     $ 19,149    630,432  SH       SOLE    N/A     442,700   N/A      187,732





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