SOROS FUND MANAGEMENT LLC
13F-HR, 1999-11-15
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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               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:             Soros Fund Management LLC
Address:          888 Seventh Avenue
                  New York, NY  10106


Form 13F File Number:  28-6420

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 Reporting Manager:

Name:             Michael C. Neus
Title:            Assistant General Counsel
Phone:            212-397-5540

Signature, Place, and Date of Signing:

/S/ MICHAEL C. NEUS
______________________________________________
[Signature]

New York, New York
______________________________________________
[City, State]

November 15 , 1999
______________________________________________
[Date]

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).)



<PAGE>




                              Form 13F Summary Page

                                 Report Summary:

Number of Other Included Managers:

         0

Form 13F Information Table Entry Total:

         243

Form 13F Information Table Value Total:

         $  4,425,845 (thousands)

List of Other Included Managers:

                  Provide  a  numbered  list of the  name(s)  and  Form 13F file
                  number(s)  of  all  institutional   investment  managers  with
                  respect to which this report is filed,  other than the manager
                  filing  this  report.  If there are no  entries  in this list,
                  state "NONE" and omit the column headings and list entries.

         NONE



<PAGE>
<TABLE>
<CAPTION>


                                                                                   Investment Discretion        Voting Authority
Issuer                        Title of   Cusip     Fair Market      Shares or    Sole   Shared   Shared-Oth  Sole   Shared    None
- ------                        ---------  -----     -----------      ----------   ----   -------  ----------  ----   ------    ----
                                Class    Number    Value (in        Principal
                                                   thousands)         Amount            Instr.V
                                -----    -------   ----------       -----------         -------
<S>                              <C>    <C>        <C>              <C>           <C>   <C>           <C>    <C>      <C>     <C>
AMFM INC                         COM    001693100  $     1,522          25,000    X                          X

AT&T CORP                        COM    001957208  $    48,485       1,306,000    X                          X
                                 LIB
                                 GRP A

AT & T CDA INC                   DEPS   00207Q202  $    54,276         864,100                         X               X
                                 RCPT
                                 CL B

AUDIO BOOK CLUB INC              COM    05068R108  $     9,188         750,000    X                          X


AVX CORP NEW                     COM    002444107  $     1,215          34,600                         X               X


ABGENIX INC                      COM    00339B107  $     5,878         150,000    X                         X


ABITIBI-CONSOLIDATED INC         COM    003924107  $     3,619         300,000    X                         X


AERIAL COMMUNICATIONS INC        COM    007655103  $     3,738         137,800                         X               X


AFFILIATED COMPUTER SERVICES     CL A   008190100  $     1,361          33,500                         X               X


ALKERMES INC                     COM    01642T108  $     8,500         295,000    X                         X


ALLIED SIGNAL INC                COM    019512102  $    10,414         173,750    X                         X


ALTERA CORP                      COM    021441100  $       362           8,350                        X               X


AMERICAN HEALTH PPTYS INC        COM    026494104  $       519          25,800    X                         X


AMERITECH CORP NEW               COM    030954101  $    11,906         177,200    X                         X


AMSOUTH BANCORPORATION           COM    032165102  $     1,826          77,900                       X               X


APEX SILVER MINES LTD            ORD    G04074103  $    50,622       3,405,071    X                         X


APPLE COMPUTER INC               COM    037833100  $       598           9,450                       X               X


APPLE COMPUTER INC               COM    037833100  $     12,663        200,000    X                         X


APPLIED MATLS INC                COM    038222105  $        421          5,400                       X               X


ASSOCIATES FIRST CAP CORP        CL A   046008108  $      3,208         89,100                       X               X


ASYST TECHNOLOGY CORP            COM    04648X107  $      1,106         33,500                       X               X


BMC SOFTWARE INC                 COM    055921100  $      2,562         35,800                       X               X


BANKBOSTON CORP                  COM    06605R106  $        651         15,000    X                         X


BANKBOSTON CORP                  COM    06605R106  $     14,383        331,600                       X               X


BANKNORTH GROUP INC DEL          COM    06646L100  $      1,093         36,600                       X               X


BIOCHEM PHARMA INC               COM    09058T108  $      2,394        100,000    X                         X


BIOCRYST PHARMACEUTICALS         COM    09058V103  $      3,541        146,000    X                         X


BIOGEN INC                       COM    090597105  $    109,428      1,387,500    X                         X


BROADCOM CORP                    CL A   111320107  $      1,679         15,400                       X               X


CBS CORP                         COM    12490K107  $     32,375        700,000    X                         X


CBS CORP                         COM    12490K107  $        624         13,500                       X               X


CNET INC                         COM    125945105  $     11,200        200,000    X                         X


CVS CORP                         COM    126650100  $      6,689        163,900                       X               X


CABLE & WIRELESS              SPONSORED 12682P104  $      1,152         22,100                       X               X
COMMUNICATION                    ADR

CASE CORP                        COM    14743R103  $      8,910        178,865                       X               X


CENTENNIAL HEALTHCARE CORP       COM    150937100  $        780        271,300    X                         X


CELESTICA INC                    SUB    15101Q108  $      1,358         27,500                       X               X
                                 VTG SHS

CENDANT CORP                     COM    151313103  $     61,486      3,464,000    X                         X


CENTOCOR INC                     COM    152342101  $     19,810        330,900    X                         X


CHUBB CORP                       COM    171232101  $     24,906        500,000    X                         X


CISCO SYS INC                    COM    17275R102  $     34,281        500,000    X                         X


CISCO SYS INC                    COM    17275R102  $      1,279         18,650                       X               X


CITIZENS UTILS CO DEL            CL B   177342201  $      1,153        101,900                       X               X


CITRIX SYS INC                   COM    177376100  $      1,189         19,200                       X               X


CLEAR CHANNEL COMMUNICATIONS     COM    184502102  $     76,784        961,300    X                         X


COLUMBIA/HCA HEALTHCARE CORP     COM    197677107  $     35,407      1,753,900    X                         X


COLUMBIA/HCA HEALTHCARE CORP     COM    197677107  $      1,112         52,500                       X               X


COMMSCOPE INC                    COM    203372107  $      2,941         90,500                       X               X


COMPUTER ASSOC INTL INC          COM    204912109  $      2,199         35,900                       X               X


CONEXANT SYSTEMS INC             COM    207142100  $       411           5,650                       X               X


CONTINUCARE CORP                 COM    212172100  $     1,405       2,250,000    X                         X


CONVERGYS CORP                   COM    212485106  $     1,039          52,450                       X               X


COR THERAPEUTICS INC             COM    217753102  $     4,180         220,000    X                         X


CORNING INC                      COM    219350105  $     3,826          55,800                       X               X


CORPORATE EXPRESS INC            COM    219888104  $       941         100,000    X                         X


COX RADIO INC                    CL A   224051102  $     1,422          23,900                       X               X


CRYSTAL GAS STORAGE INC          COM    229241104  $    67,972       1,628,079    X                         X


CRYSTAL GAS STORAGE INC          PFD    229241203  $       373       3,971,260    X                         X
                                 SR CV
                                 $.06
CURAGEN CORP                     COM    23126R101  $    23,538       1,776,485    X                         X


CYBERONICS INC                   COM    23251P102  $     1,788         100,000    X                         X


DBT ONLINE INC                   COM    233044106  $    23,533         946,382    X                         X


DAYTON HUDSON CORP               COM    239753106  $     4,505          75,000    X                         X


DELL COMPUTER CORP               COM    247025109  $    29,269         700,000    X                         X


DEVON ENERGY CORP NEW            COM    25179M103  $     6,216         150,000    X                         X


DOUBLECLICK INC                  COM    258609304  $    41,158         345,500    X                         X


E M C CORP MASS                  COM    268648102  $    50,319         705,000    X                         X


E M C CORP MASS                  COM    268648102  $       607           8,500                       X               X


EARTHLINK NETWORK INC            COM    270322100  $     7,095         165,240    X                         X


ECHOSTAR COMMUNICATIONS NEW      CL A   278762109  $    17,254         190,000    X                         X


ECLIPSE SURGICAL TECHNOLOGIES    COM    278849104  $     4,950         300,000    X                         X


ECLIPSYS CORP                    COM    278856109  $     4,313         300,000    X                         X


ELECTRONIC DATA SYS NEW          COM    285661104  $   236,419       4,466,000    X                         X


EXPRESS SCRIPTS INC              CL A   302182100  $     4,695          60,000    X                         X


FEDERAL HOME LN MTG CORP         COM    313400301  $     7,504         144,300                       X               X


FINOVA GROUP INC                 COM    317928109  $     8,760         240,000    X                         X


FIRST LIBERTY FINL CORP          COM    320691108  $       938          33,190    X                         X


FIRST SEC CORP DEL               COM    336294103  $     1,500          59,600                       X               X


FOREST LABS INC                  COM    345838106  $     8,425         200,000    X                         X


FORTE SOFTWARE INC               COM    349546101  $    10,645         387,100    X                         X


FRANCHISE MORTGAGE ACCEPTANCE    COM    35181D108  $     1,147         161,000    X                         X


FRISCO BAY INDS LTD              COM    358751105  $        51          23,600                       X               X


GENESIS DIRECT INC               COM    371935107  $         7         679,022    X                         X


GLOBALSTAR TELECOMMUNICATIONS    COM    G3930H104  $   166,077       7,220,750    X                         X
LTD

GTS DURATEK INC                  COM    36237J107  $     1,104         184,928                       X               X


GALILEO INTERNATIONAL INC        COM    363547100  $       274           6,800                       X               X


GANNETT INC                      COM    364730101  $     2,622          37,900                       X               X


GENENTECH INC                    COM    368710406  $    73,390       1,003,200    X                         X
                                 NEW

GENERAL INSTR CORP DEL           COM    370120107  $    38,500         800,000    X                         X


GENERAL INSTR CORP DEL           COM    370120107  $       604          12,550                       X               X


GENERAL MTRS CORP                COM    370442105  $     1,246          19,800                       X               X


GENERAL MTRS CORP                CL H   370442832  $    28,053         490,000    X                         X
                                 NEW

GENERAL MTRS CORP                CL H   370442832  $       378           6,600                       X               X
                                 NEW

GENTEX CORP                      COM    371901109  $     1,242          60,150                       X               X


GENZYME CORP                     COM    372917104  $    36,050         800,000    X                         X
                                 GENL
                                 DIV
GIGA INFORMATION GROUP INC       COM    37517M109  $       457         110,667    X                         X


GILEAD SCIENCES INC              COM    375558103  $     6,419         100,000    X                         X


GRAND UN CO                      COM    386532402  $     4,993         365,600                       X               X


HALTER MARINE GROUP INC          COM    40642Y105  $       554         101,900    X                         X


HANNAFORD BROS CO                COM    410550107  $       704          10,000    X                         X


HANNAFORD BROS CO                COM    410550107  $     7,037          99,900                       X               X


HATHAWAY CORP                    COM    419011101  $        74          28,800                       X               X


HERCULES INC                     COM    427056106  $     8,588         300,000    X                         X


HEWLETT PACKARD CO               COM    428236103  $    45,080         490,000    X                         X


HOMELAND HLDG CORP NEW           COM    43739T104  $     2,362         640,541                       X               X


HUMAN GENOME SCIENCES INC        COM    444903108  $    38,387         520,500    X                         X


HUTCHINSON TECHNOLOGY INC        COM    448407106  $       365          13,500                       X               X


IDX SYS CORP                     COM    449491109  $     4,622         255,000    X                         X


IXC COMMUNICATIONS INC           COM    450713102  $     1,091          27,700    X                         X


IMALL INC                        COM    45244X306  $     4,347         232,600    X                         X
                                 PAR
                                 $0.001
IMMUNEX CORP NEW                 COM    452528102  $     4,901         113,000    X                         X


INCYTE PHARMACEUTICALS INC       COM    45337C102  $     5,781         250,000    X                         X


INFINITY BROADCASTING CP NEW     CL A   45662S102  $    29,313       1,000,000    X                         X


INFINITY BROADCASTING CP NEW     CL A   45662S102  $     1,838          62,700                       X               X


INTEL CORP                       COM    458140100  $       676           9,100                       X               X


INTERNATIONAL NETWORK SVCS       COM    460053101  $    17,884         328,900    X                         X


INTUIT                           COM    461202103  $       368           4,200                       X               X


JDS UNIPHASE CORP                COM    46612J101  $    49,622         436,000    X                         X


JDS UNIPHASE CORP                COM    46612J101  $       404           3,550                       X               X


JABIL CIRCUIT INC                COM    466313103  $     1,544          31,200                       X               X


JOS A BANK CLOTHIERS INC         COM    480838101  $     2,504         616,401    X                         X


JUNIPER NETWORKS INC             COM    48203R104  $    32,940         180,000    X                         X


KEMET CORP                       COM    488360108  $       951          29,750                       X               X


KERR MCGEE CORP                  COM    492386107  $     1,828          33,200                       X               X


KING WORLD PRODTNS INC           COM    495667107  $    19,189         511,700    X                         X


KNOLL INC                        COM    498904101  $     1,406          52,300    X                         X


KOMAG INC                        COM    500453105  $       317         105,800                       X               X


KROGER CO                        COM    501044101  $     2,396         108,600                       X               X


LANOPTICS LTD                    ORD    M6706V103  $     1,200         300,000                       X               X


LATTICE SEMICONDUCTOR CORP       COM    518415104  $     1,063          35,800                       X               X


LEGATO SYS INC                   COM    524651106  $       388           8,900                       X               X


LIFEPOINT HOSPITALS INC          COM    53219L109  $       394          45,357    X                         X


LINEAR TECHNOLOGY CORP           COM    535678106  $       382           6,500                       X               X


LONE STAR INDS INC               COM    542290408  $     5,681         113,900    X                         X
                                 NEW

MCI WORLDCOM INC                 COM    55268B106  $   229,978       3,199,700    X                         X


MCI WORLDCOM INC                 COM    55268B106  $       446           6,200                       X               X


MACMILLAN BLOEDEL LTD            COM    554783209  $       756          48,200    X                         X


MAXIM INTEGRATED PRODS INC       COM    57772K101  $      347            5,500                       X               X


MAXXIM MED INC                   COM    57777G105  $      958           40,000    X                         X


MCDERMOTT INTL INC               COM    580037109  $   55,546        2,743,000    X                         X


MCDONALDS CORP                   COM    580135101  $   24,725          575,000    X                         X


MCLEODUSA INC                    COM    582266102  $    8,513          200,000    X                         X


MEDIAONE GROUP INC               COM    58440J104  $    3,416           50,000    X                         X


MEDIAONE GROUP INC               COM    58440J104  $    3,948           57,800                       X               X


MEDIMMUNE INC                    COM    584699102  $    6,229           62,500    X                         X


MENTOR CORP MINN                 COM    587188103  $    5,700          200,000    X                         X


MICROSOFT CORP                   COM    594918104  $  199,238        2,200,000    X                         X


MICROSOFT CORP                   COM    594918104  $    7,965           87,950                       X               X


MILLENNIUM PHARMACEUTICALS INC   COM    599902103  $    6,500          100,000    X                         X


MORGAN STANLEY DEAN WITTER&CO    COM    617446448  $    2,827           31,700                       X               X
                                 NEW

MOTOROLA INC                     COM    620076109  $    1,848           21,000                       X               X


NALCO CHEM CO                    COM    629853102  $      798           15,800    X                         X


NAVIGANT CONSULTING INC          COM    63935N107  $      454            9,800                       X               X


NETWORK APPLIANCE INC            COM    64120L104  $      437            6,100                       X               X


NEWCOURT CR GROUP INC            COM    650905102  $    1,437          110,000    X                         X


NIKE INC                         CL B   654106103  $    1,086           19,100                       X               X


NOVELLUS SYS INC                 COM    670008101  $    1,099           16,300                       X               X


NUCOR CORP                       COM    670346105  $    5,710          119,900                       X               X


OCEAN ENERGY INC TEX             COM    67481E106  $    8,619          846,000    X                         X


OMNICOM GROUP INC                COM    681919106  $   24,944          315,000    X                         X


OMNIPOINT CORP                   COM    68212D102  $   18,657          333,900    X                         X


OMNIPOINT CORP                   COM    68212D102  $   11,074          198,200                       X               X


OPEN JT STK CO-VIMPEL         SPONSORED 68370R109  $    5,625          441,200    X                         X
COMMUNIC                         ADR

OPEN JT STK CO-VIMPEL         SPONSORED 68370R109  $   13,220        1,036,900                       X               X
COMMUNIC                         ADR

OPTIMAL ROBOTICS CORP            CL A   68388R208  $    3,600          200,000    X                         X
                                 NEW

ORION CAP CORP                   COM    686268103  $   16,662          351,700    X                         X


ORTEC INTL INC                   COM    68749B108  $    7,208          823,800    X                         X


OUTDOOR SYS INC                  COM    690057104  $   63,835        1,785,600    X                         X


PE CORP                          COM    69332S102  $   49,156          680,356    X                         X
                                 PE BIO
                                 GRP
PE CORP                          COM    69332S102  $   70,209          971,750                       X               X
                                 PE BIO
                                 GRP
PE CORP                          CELERA 69332S201  $   17,750          440,989    X                         X
                                 GEN GRP

PE CORP                          CELERA 69332S201  $   14,192          352,588                       X               X
                                 GEN GRP

PENN TRAFFIC CO NEW              COM    707832200  $   76,619        9,013,980                       X               X
                                 NEW

PMC-SIERRA INC                   COM    69344F106  $      398            4,300                       X               X


PARAMETRIC TECHNOLOGY CORP       COM    699173100  $   40,500        3,000,000    X                         X


PARK PL ENTMT CORP               COM    700690100  $   16,764        1,341,100    X                         X


PHARMACYCLICS INC                COM    716933106  $    7,358          180,000    X                         X


PFIZER INC                       COM    717081103  $    5,391          150,000    X                         X


PINNACLE GLOBAL GROUP INC        COM    723465100  $       59           11,850                       X               X


PIONEER HI BRED INTL INC         COM    723686101  $   10,426          262,700    X                         X


PIONEER HI BRED INTL INC         COM    723686101  $    1,984           50,000                       X               X


POWERTEL INC                     COM    73936C109  $    1,255           22,800                       X               X


PRICELINE COM INC                COM    741503106  $   72,563        1,125,000    X                         X


PROTEIN DESIGN LABS INC          COM    74369L103  $    5,961          165,000    X                         X


QUALCOMM INC                     COM    747525103  $  283,781        1,500,000    X                         X


QUANTUM CORP                     COM    747906204  $   16,594        1,180,000    X                         X
                                 DSSG

QUANTUM CORP                     COM    747906303  $    4,388          590,000    X                         X
                                 HDDG

REPUBLIC N Y CORP                COM    760719104  $      270            4,400    X                         X


REYNOLDS METALS CO               COM    761763101  $   56,016          927,800    X                         X


REYNOLDS METALS CO               COM    761763101  $    1,950           32,300                       X               X


S3 INC                           COM    784849101  $    4,332          415,000    X                         X


SAFEWAY INC                      COM    786514208  $    1,934           50,800                       X               X
                                 NEW

ST PAUL COS INC                  COM    792860108  $   13,750          500,000    X                         X


SANMINA CORP                     COM    800907107  $      549            7,100                       X               X


SAVILLE SYS PLC              SPONSORED  805174109  $    7,896          537,600    X                         X
                                 ADR

SAWTEK INC                       COM     805468105 $    2,755           78,700                       X               X


SCHERING PLOUGH CORP             COM     806605101 $      881           20,200                       X               X


SCHLUMBERGER LTD                 COM     806857108 $   62,313        1,000,000    X                         X


SCHLUMBERGER LTD                 COM     806857108 $   10,816          173,570                       X               X


SEAWAY FOOD TOWN INC             COM     812744100 $      810           29,000                       X               X


SEVEN SEAS PETE INC              COM     817917107 $    3,676        1,176,400    X                         X


SILICON GRAPHICS INC             COM     827056102 $   10,938        1,000,000    X                         X


SKYTEL COMMUNICATIONS INC        COM     83087Q104 $    2,022          104,700    X                         X


SMART MODULAR TECH INC           COM     831690102 $    1,836           53,900    X                         X


SOLECTRON CORP                   COM     834182107 $   14,363          200,000    X                         X


SPRINT CORP                      COM     852061100 $    6,781          125,000    X                         X
                                 FON
                                 GROUP
SPRINT CORP                      COM     852061100 $    1,199           22,100                        X               X
                                 FON
                                 GROUP
SPRINT CORP                      PCS COM 852061506 $      843           11,300                        X               X
                                 SER 1

STARWOOD HOTELS&RESORTS WRLDWD   PAIRED  85590A203 $      304           13,500                        X               X
                                 CTF

STMICROELECTRONICS N V           COM     861012102 $      333            4,500                        X               X


SUN MICROSYSTEMS INC             COM     866810104 $  256,680        2,760,000    X                         X


SUN MICROSYSTEMS INC             COM     866810104 $      307            3,300                        X               X


SUNGARD DATA SYS INC             COM     867363103 $      647           24,600                        X               X


SYBASE INC                       COM     871130100 $   10,631          900,000    X                         X


TALK CITY INC                    COM     874263106 $    7,134          839,285    X                         X


TJX COS INC NEW                  COM     872540109 $    8,840          315,000    X                         X


TJX COS INC NEW                  COM     872540109 $    1,976           70,400                       X               X


TEXAS INSTRS INC                 COM     882508104 $   52,147          634,000    X                         X


TEXAS INSTRS INC                 COM     882508104 $      588            7,150                       X               X


THREE FIVE SYS INC               COM     88554L108 $    1,859           84,000                       X               X


TRANSACTION NETWORK SVCS INC     COM     893414102 $   10,637          271,000    X                         X


TRIAD HOSPITALS INC              COM     89579K109 $      459           45,357    X                         X


TRIANGLE PHARMACEUTICALS INC     COM     89589H104 $   37,817        1,964,500    X                         X


TRICON GLOBAL RESTAURANTS        COM     895953107 $   64,554        1,576,900                       X               X


TRUMP HOTELS & CASINO RESORTS    COM     898168109 $      304           71,600    X                         X


TYCO INTL LTD NEW                COM     902124106 $   36,138          700,000    X                         X


TYCO INTL LTD NEW                COM     902124106 $    5,421          105,000                       X               X


UST CORP                         COM     902900109 $      308           10,000    X                         X


U S AGGREGATES INC               COM     90334D109 $    1,024           73,500                       X               X


UNITED HEALTHCARE CORP           COM     910581107 $    2,853           58,600                       X               X


U S WEST INC NEW                 COM     91273H101 $      645           11,300                       X               X


UNITED WTR RES INC               COM     913190104 $      675           20,700    X                         X


UNITRODE CORP                    COM     913283107 $    2,276           54,200    X                         X


VERITAS SOFTWARE CO              COM     923436109 $  116,564        1,535,000    X                         X


VERTEX PHARMACEUTICALS INC       COM     92532F100 $    5,498          177,000    X                         X


VIACOM INC                       CL B    925524308 $  120,049        2,775,700    X                         X


VISX INC DEL                     COM     92844S105 $   59,716          455,000    X                         X


VODAFONE AIRTOUCH PLC         SPONSORED  92857T107 $   24,724          520,000    X                         X
                                 ADR

WASTE MGMT INC DEL               COM     94106L109 $   14,438          750,000    X                         X


WEATHERFORD INTL INC             COM     947074100 $    6,134          191,700    X                         X


WESTERN WIRELESS CORP            CL A    95988E204 $    1,907           42,500                       X               X


WORLD COLOR PRESS INC DEL        COM     981443104 $      264            7,100    X                         X


XILINX INC                       COM     983919101 $      360            5,500                       X               X


XIRCOM INC                       COM     983922105 $      363            8,650                       X               X



</TABLE>


<PAGE>


Page 9 of 9

The following investment managers that are required to file a report pursuant to
Section  13(f)  of the  Securities  Exchange  Act of  1934  exercise  investment
discretion with respect to certain  securities held in accounts managed by Soros
Fund  Management  LLC and such  managers  will  report such  positions  on their
reports:

28-6432  Cambridge Investments Ltd.
28-4298  Everest Capital Limited
28-3549  LENS, Inc.
28-5470  Oechsle International Advisors, LP
28-7520  White Rock Capital Management, L.P.





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