SOROS FUND MANAGEMENT LLC
13F-HR, 1999-08-16
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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: June 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:             Sean C. Warren
Title:            Managing Director
Phone:            212-397-5552

Signature, Place, and Date of Signing:

/S/ SEAN C. WARREN
______________________________________
[Signature]

New York, New York
______________________________________
[City, State]

August 13 , 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:

         195

Form 13F Information Table Value Total:

         $  5,529,110 (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>

AES CORP                         COM    00130H105  $    31,969         550,000                         X               X

AT&T CORP                        COM    001957208  $    81,071       2,206,000     X                           X
                                 LIB
                                 GRP A
ADAPTEC INC                      COM     00651F108 $       434          12,300                         X               X

ADELPHIA COMMUNICATIONS CORP     CL A    006848105 $     6,363         100,000     X                           X

ADELPHIA COMMUNICATIONS CORP     CL A    006848105 $       385           6,050                         X               X

AETNA INC                        COM     008117103 $   151,572       1,700,000     X                           X

AIRTOUCH COMMUNICATIONS INC      COM     00949T100 $     8,720          81,400                         X               X

ALLIEDSIGNAL INC                 COM     019512102 $    52,369         831,250     X                           X

ALLIEDSIGNAL INC                 COM     019512102 $    21,971         348,750                         X               X

ALTERA CORP                      COM     021441100 $       377          10,250                         X               X

AMERICA ONLINE INC DEL           COM     02364J104 $       304           2,750                         X               X

AMERICAN INTL GROUP INC          COM     026874107 $    35,119         300,000     X                           X

ANADARKO PETE CORP               COM     032511107 $     7,363         200,000     X                           X

ANALOG DEVICES INC               COM     032654105 $       258           5,150                         X               X

ANHEUSER BUSCH COS INC           COM     035229103 $     9,931         140,000     X                           X

APEX SILVER MINES LTD            ORD     G04074103 $    41,712       3,405,071     X                           X

APPLE COMPUTER INC               COM     037833100 $       440           9,500                         X               X

APPLIED MATLS INC                COM     038222105 $       399           5,400                         X               X

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

BARRETT RES CORP                 COM     068480201 $     5,756         150,000     X                           X
                                 PAR $0.01
BERKSHIRE HATHAWAY INC DEL       CL B    084670207 $    11,200           5,000     X                           X

BIOGEN INC                       COM     090597105 $   118,978       1,850,000     X                           X

CBS CORP                         COM     12490K107 $     6,516         150,000     X                           X

CIGNA CORP                       COM     125509109 $    89,000       1,000,000                         X               X

CABLEVISION SYS CORP             CL A    12686C109 $     4,200          60,000     X                           X

CADENCE DESIGN SYSTEM INC        COM     127387108 $     2,550         200,000     X                           X

CAPITAL ONE FINL CORP            COM     14040H105 $    11,138         200,000     X                           X

CATERPILLAR INC DEL              COM     149123101 $    55,161         919,350     X                           X

CATERPILLAR INC DEL              COM     149123101 $    41,301         688,350                         X               X

CELESTICA INC                    SUB     15101Q108 $       411           9,500                         X               X
                                 VTG SHS
CENDANT CORP                     COM     151313103 $   158,363       7,725,000     X                           X

CHASE MANHATTAN CORP NEW         COM     16161A108 $     5,631          65,000     X                           X

CHUBB CORP                       COM     171232101 $    17,375         250,000     X                           X

CHUBB CORP                       COM     171232101 $    17,375         250,000                         X               X

CISCO SYS INC                    COM     17275R102 $    45,150         700,000     X                           X

CISCO SYS INC                    COM     17275R102 $       948          14,700                         X               X

CITRIX SYS INC                   COM     177376100 $       234           4,150                         X               X

CLAIRE'S STORES INC              COM     179584107 $       915          35,700                         X               X


<PAGE>


                                                                                   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>


CLEAR CHANNEL COMMUNICATIONS     COM     184502102 $    46,533         675,000   X                           X

COLUMBIA/HCA HEALTHCARE CORP     COM     197677107 $    24,569       1,077,000   X                           X

COLUMBIA/HCA HEALTHCARE CORP     COM     197677107 $    20,004         876,900                         X               X

COMPUWARE CORP                   COM     205638109 $       283           8,900                         X               X

CONEXANT SYSTEMS INC             COM     207142100 $     5,806         100,000   X                           X

CONTINUCARE CORP                 COM     212172100 $     1,406       2,250,000   X                           X

COR THERAPEUTICS INC             COM     217753102 $     3,245         220,000   X                           X

CRYSTAL OIL CO                   COM     229385703 $    54,133       1,628,066   X                           X
                                 PAR $.01
                                 NEW
CRYSTAL OIL CO                   PFD     229385307 $       287           8,935   X                           X
                                 SR CV
                                 $.06
CURAGEN CORP                     COM     23126R101 $    14,212       1,776,485   X                           X

CYPRESS SEMICONDUCTOR CORP       COM     232806109 $     5,138         300,000   X                           X

CYPRUS AMAX MINERALS CO          COM     232809103 $     4,430         291,700   X                           X

DBT ONLINE INC                   COM     233044106 $    30,994         946,382   X                           X

DAYTON HUDSON CORP               COM     239753106 $     4,875          75,000   X                           X

DEERE & CO                       COM     244199105 $    23,767         599,800   X                           X

DELTA & PINE LD CO               COM     247357106 $    14,175         450,000   X                           X

DEVON ENERGY CORP                COM     251799102 $     7,163         200,000   X                           X

DU PONT E I DE NEMOURS & CO      COM     263534109 $    14,189         207,700   X                           X

EARTHLINK NETWORK INC            COM     270322100 $    38,917         633,440   X                           X

E M C CORP MASS                  COM     268648102 $    19,250         350,000   X                           X

E M C CORP MASS                  COM     268648102 $    18,986         345,200                        X                 X

ELECTRONIC DATA SYS NEW          COM     285661104 $   275,396       4,863,500   X                           X

ENGELHARD CORP                   COM     292845104 $     3,403         150,400   X                           X

ENRON CORP                       COM     293561106 $   141,019       1,725,000   X                           X

ENZON INC                        COM     293904108 $     3,310         160,000   X                           X

EXPRESS SCRIPTS INC              CL A    302182100 $     3,611         60,000    X                           X

FOREST LABS INC                  CL A    345838106 $     4,625        100,000    X                           X

FOSSIL INC                       COM     349882100 $     1,059         21,900                         X                 X

FRANKLIN RES INC                 COM     354613101 $    12,033        296,200                         X                 X

FRISCO BAY INDS LTD              COM     358751105 $        69         23,600                         X                 X

GTS DURATEK INC                  COM     36237J107 $     1,052        184,928                         X                 X

GARTNER GROUP INC NEW            COM     366651107 $     9,430        460,000    X                           X

GARTNER GROUP INC NEW            COM     366651107 $     7,985        389,500                         X                 X

GENERAL INSTR CORP DEL           COM     370120107 $    64,701      1,522,375    X                           X




<PAGE>




                                                                                   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>

GENERAL INSTR CORP DEL           COM     370120107 $       425         10,000                         X                 X

GENESIS DIRECT INC               COM     371935107 $     1,273        679,022    X                           X

GEORGIA PAC CORP                 COM GA  373298108 $    77,349      1,632,700    X                           X
                                 PAC GRP
GIGA INFORMATION GROUP INC       COM     37517M109 $       553        110,667    X                           X

GILEAD SCIENCES INC              COM     375558103 $     5,225        100,000    X                           X

GLOBAL MARINE INC                COM     379352404 $     3,088        200,000    X                           X

GLOBALSTAR TELECOMMUNICTNS LTD   COM     G393H104  $   194,775      8,400,000    X                           X

GRACE W R & CO DEL NEW           COM     38388F108 $     3,675        200,000    X                           X

HATHAWAY CORP                    COM     419011101 $        54         28,800                         X                 X

HEWLETT PACKARD CO               COM     428236103 $     7,538         75,000    X                           X

HOMELAND HLDG CORP NEW           COM     43739T104 $     1,922        640,541                         X                 X

HONEYWELL INC                    COM     438506107 $    28,969        250,000    X                           X

HUMAN GENOME SCIENCES INC        COM     444903108 $     3,950        100,000    X                           X

HUTCHINSON TECHNOLOGY INC        COM     448407106 $       300         10,800                         X                 X

IDX SYS CORP                     COM     449491109 $    11,281        500,000    X                           X

INCYTE PHARMACEUTICALS INC       COM     45337C102 $     6,609        250,000    X                           X

<PAGE>



                                                                                   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>

INFINITY BROADCASTING CP NEW     CL A    45662S102 $    29,750      1,000,000     X                           X

INGERSOLL RAND CO                COM     456866102 $    36,940        571,600     X                           X

INTEL CORP                       COM     458140100 $       357          6,000                         X                 X

INTERNATIONAL BUSINESS MACHS     COM     459200101 $    64,625        500,000     X                           X

INTL PAPER CO                    COM     460146103 $    62,620      1,240,000     X                           X

IRSA INVERSIONES Y REP S A       GLOBL   450047204 $    20,908        677,198                         X                 X
                                 DEP RCPT
JABIL CIRCUIT INC                COM     466313103 $       801         17,750                         X                 X

JOS A BANK CLOTHIERS INC         COM     480838101 $     3,930        616,401     X                           X

KNIGHT/TRIMARK GROUP INC         CL A    499067106 $     6,031        100,000     X                           X

KOMAG INC                        COM     500453105 $       350        105,800                         X                 X

LANOPTICS LTD                    ORD     M6706C103 $     1,200        300,000                         X                 X

LSI LOGIC CORP                   COM     502161102 $     5,304        115,000     X                           X

LSI LOGIC CORP                   COM     502161102 $    46,125      1,000,000                         X                 X

LIFEPOINT HOSPITALS INC          COM     53219L109 $       609         45,357     X                           X

LINEAR TECHNOLOGY CORP           COM     535678106 $     1,480         22,000     X                           X

LINEAR TECHNOLOGY CORP           COM     535678106 $       437          6,500                         X                 X

LUCENT TECHNOLOGIES INC          COM     549463107 $    22,254        330,000     X                           X

LUCENT TECHNOLOGIES INC          COM     549463107 $     3,032         44,962                         X                 X

LYONDELL CHEMICAL CO             COM     552078107 $       516         25,000     X                           X

MCI WORLDCOM INC                 COM     55268B106 $   218,573      2,539,700     X                           X

<PAGE>



                                                                                   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>

MCI WORLDCOM INC                 COM     55268B106 $      770          8,950                          X                 X

MAXIM INTEGRATED PRODS INC       COM     57772K101 $      379          5,700                          X                 X

MCDERMOTT INTL INC               COM     580037109 $  157,780      5,488,000      X                           X

MCDONALDS CORP                   COM     580135101 $   55,772      1,350,000      X                           X

MCKESSON HBOC INC                COM     58155Q103 $   69,814      2,173,200      X                           X

MCLEODUSA INC                    COM     582266102 $    5,500        100,000      X                           X

MEDIAONE GROUP INC               COM     58440J104 $      870         11,700                          X                 X

MEDIMMUNE INC                    COM     584699102 $    4,234         62,500      X                           X

MESA AIR GROUP INC               COM     590479101 $      451         60,000      X                           X

MGC COMMUNICATIONS INC           COM     552763302 $    8,914        342,856            X                               X

MICROSOFT CORP                   COM     594918104 $    9,019        100,000      X                           X

MICROSOFT CORP                   COM     594918104 $    1,434         15,900                          X                 X

MILLENNIUM PHARMACEUTICALS INC   COM     599902103 $    3,600        100,000      X                           X

MOBIL CORP                       COM     607059102 $    7,425         75,000      X                           X

MORGAN STANLEY DEAN WITTER&CO    COM NEW 617446448 $    5,638         55,000      X                           X

MOTOROLA INC                     COM     620076109 $   72,010        760,000      X                           X

NABORS INDS INC                  COM     629568106 $    2,438        100,000      X                           X

NALCO CHEM CO                    COM     629853102 $    2,594         50,000      X                           X

NEWFIELD EXPL CO                 COM     651290108 $    5,545        195,000      X                           X

NIKE INC                         CL B    654106103 $    3,166         50,000      X                           X

NOVELL INC                       COM     670006105 $      352         13,300                          X                 X

NOVELLUS SYS INC                 COM     670008101 $      232          3,400                          X                 X

NUEVO ENERGY CO                  COM     670509108 $    4,571        345,000      X                           X

OCEAN ENERGY INC TEX             COM     67481E106 $    7,662        796,000      X                           X


<PAGE>



                                                                                   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>

OPEN JT STK CO-VIMPEL COMMUNIC SPONSORED 68370R109 $   10,230        441,200      X                           X
                                 ADR
OPTIMAL ROBOTICS CORP            CL A    68388R208 $    1,988        200,000      X                           X
                                 NEW
ORACLE CORP                      COM     68389X105 $      247          6,650                          X                 X

ORTEC INTL INC                   COM     68749B108 $    6,796        823,800                          X                 X

OUTDOOR SYS INC                  COM     690057104 $   58,400      1,600,000      X                           X

OXFORD HEALTH PLANS INC          COM     691471106 $   15,563      1,000,000      X                           X

OXFORD HEALTH PLANS INC          COM     691471106 $    4,669        300,000                          X                 X

PE CORP                          COM PE  69332S102 $   21,514        374,978      X                           X
                                 BIO GRP
PE CORP                          COM PE  69332S102 $   54,229        945,175                          X                 X
                                 BIO GRP
PE CORP                          CELERA  69332S201 $    7,082        437,489      X                           X
                                 GEN GRP
PE CORP                          CELERA  69332S201 $    7,650        472,588                          X                 X
                                 GEN GRP
PFIZER INC                       COM     717081103 $   21,950        200,000      X                           X

PHILIP MORRIS COS INC            COM     718154107 $    8,038        200,000      X                           X

PINNACLE GLOBAL GROUP INC        COM     723465100 $       61         11,850                          X                 X

PROTEIN DESIGN LABS INC          COM     74369L103 $    3,550        160,000      X                           X

PRICELINE COM INC                COM     741503106 $  132,348      1,145,250      X                           X

PROVIDIAN FINL CORP              COM     74406A102 $   29,901        319,800      X                           X

QUALCOMM INC                     COM     747525103 $   33,005        230,000      X                           X

QUANTUM CORP                     COM     747906105 $   28,468      1,180,000      X                           X

REYNOLDS METALS CO               COM     761763101 $   88,270      1,496,100      X                           X

ROHM & HAAS CO                   COM     775371107 $   27,757        647,400      X                           X

SCI SYS INC                      COM     783890106 $      790         16,650                          X                 X

ST PAUL COS INC                  COM     792860108 $   15,906        500,000                          X                 X

SANMINA CORP                     COM     800907107 $    1,411         18,600                          X                 X

SCHWAB CHARLES CORP NEW          COM     808513105 $    8,241         75,000      X                           X

SENSORMATIC ELECTRS CORP         COM     817265101 $   29,033      2,083,050                          X                 X

SEVEN SEAS PETE INC              COM     817917107 $    3,235      1,176,400      X                           X

SIGMA ALDRICH CORP               COM     826552101 $    9,470        275,000      X                           X

SILICON GRAPHICS INC             COM     827056102 $    8,188        500,000      X                           X

SPECTRIAN CORP                   COM     847608106 $      154         10,650                          X                 X

SPRINT CORP                      COM FON 852061100 $    7,950        150,000      X                           X
                                 GROUP
SPRINT CORP                      COM FON 852061100 $      106          2,000                          X                 X
                                 GROUP
SUN MICROSYSTEMS INC             COM     866810104 $   34,930        507,150                          X                 X

TJX COS INC NEW                  COM     872540109 $   10,493        315,000      X                           X



<PAGE>




                                                                                   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>

TELLABS INC                      COM     879664100 $    6,756        100,000      X                           X

TEMPLE INLAND INC                COM     879868107 $   24,399        357,500      X                           X

TERADYNE INC                     COM     880770102 $    6,737         93,900      X                           X

TERADYNE INC                     COM     880770102 $      237          3,300                          X                 X

TEXAS INSTRS INC                 COM     882508104 $   68,513        472,500      X                           X

TEXAS INSTRS INC                 COM     882508104 $   23,563        162,500                          X                 X

TRANSAMERICA CORP                COM     893485102 $   76,875      1,025,000                          X                 X

TRIAD HOSPITALS INC              COM     89579K109 $      612         45,357      X                           X

TRIANGLE PHARMACEUTICALS INC     COM     89589H104 $   35,361      1,964,500      X                           X

TRICON GLOBAL RESTAURANTS        COM     895953107 $   79,396      1,466,900      X                           X

<PAGE>



                                                                                   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>

TRICON GLOBAL RESTAURANTS        COM     895953107 $   63,895      1,180,500                          X                 X

TYCO INTL LTD NEW                COM     902124106 $   47,375        500,000      X                           X

UNION CARBIDE CORP               COM     905581104 $  185,508      3,805,300      X                           X

UNITED HEALTHCARE CORP           COM     910581107 $   25,050        400,000                          X                 X

VERITAS SOFTWARE CO              COM     923436109 $   18,988        200,000      X                           X

VERITAS SOFTWARE CO              COM     923436109 $      223          2,350                          X                 X

VERTEX PHARMACEUTICALS INC       COM     92532F100 $    4,270        177,000      X                           X

VIACOM INC                       CL A    925524100 $    1,103         25,000      X                           X

VIACOM INC                       CL B    925524308 $    7,040        160,000      X                           X

VISX INC DEL                     COM     92844S105 $   28,508        360,000      X                           X

VISX INC DEL                     COM     92844S105 $    5,939         75,000                          X                 X

VODAFONE AIRTOUCH PLC          SPONSORED 92857T107 $   69,935        355,000      X                           X
                                 ADR
VODAFONE AIRTOUCH PLC          SPONSORED 92857T107 $      108            550                          X                 X
                                 ADR
WASTE MGMT INC DEL               COM     94106L109 $  772,073     14,364,145      X                                     X

WELLS FARGO & CO NEW             COM     949746101 $    5,045        118,000      X                           X

WILLIAMS COS INC DEL             COM     969457100 $   24,754        581,600      X                           X

WILLIAMS COS INC DEL             COM     969457100 $   19,111        449,000                          X                 X

XILINX INC                       COM     983919101 $      355          6,200                          X                 X
- ----------                                        -----------

Number of Data Records:    195                     $5,529,110

</TABLE>

<PAGE>


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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