M J WHITMAN ADVISERS INC/NY
13F-HR/A, 2000-03-17
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                                    FORM 13F

                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F-HR/A

                               Form 13F-HR/A COVER PAGE


Report for the Calendar Year or Quarter Ended: December 31, 1999

Check here if Amendment: |x|; Amendment Number: _1__

This Amendment (Check only one): |x| is a restatement.
                                 |_| adds new holdings
                                     entries.

Institutional Investment Manager Filing this Report:

Name:    M.J. Whitman Advisers, Inc.
Address: 767 Third Avenue
         New York, NY 10017

Form 13F File Number: 801-27792

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:     Martin J. Whitman
Title:    Chairman
Phone:    212-888-6865

Signature, Place, and Date of Signing:

     Martin J. Whitman        New York, New York           March 16, 2000



Report Type (Check one only):

[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: 94

Form 13F Information Table Value Total: $269,312
                                         (thousands)

List of Other Included Managers:

Provide  a  numbered  list of the  name(s)  and Form 13F file  nember(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>

                           FORM 13F INFORMATION TABLE

                                                                         PAGE  1

<TABLE>
<CAPTION>

  COLUMN 1            COLUMN 2          COLUMN 3   COLUMN 4          COLUMN 5        COLUMN 6    COLUMN 7          COLUMN 8
- ------------------    --------------    --------   --------    -------------------   ----------  --------    --------------------
                                                     VALUE      SHRS OR  SH/  PUT/   INVESTMENT   OTHER        VOTING AUTHORITY
  NAME OF ISSUER      TITLE OF CLASS     CUSIP     (x$1000)     PRN AMT  PRN  CALL   DISCRETION  MANAGERS    SOLE   SHARED   NONE
- ------------------    --------------    --------   --------     -------  ---  ----   ----------  --------    ----   ------   ----


<S>                        <C>          <C>          <C>         <C>     <C>  <C>    <C>         <C>        <C>      <C>    <C>

3 COM CORP                 COM          885535104      1785       37972  SH   SOLE                           22940     0      15032
- ------------------------------------------------------------------------------------------------------------------------------------

A.G. EDWARDS INC.          COM          281760108        19         600  SH   SOLE                               0     0        600
- ------------------------------------------------------------------------------------------------------------------------------------

ADE CORP MASS              COM          00089C107      3554      215400  SH   SOLE                          154600     0      60800
- ------------------------------------------------------------------------------------------------------------------------------------

AEGIS REALTY, INC.         COM          00760P104       190       21600  SH   SOLE                           16900     0       4700
- ------------------------------------------------------------------------------------------------------------------------------------

ALAMO GROUP, INC.          COM          011311107      1270      123900  SH   SOLE                           92200     0      31700
- ------------------------------------------------------------------------------------------------------------------------------------

ALEXANDER & BALDWIN        COM          014482103      3613      158375  SH   SOLE                          115750     0      42625
- ------------------------------------------------------------------------------------------------------------------------------------

AMERICAN INTL GROUP        COM          026874107        17         160  SH   SOLE                               0     0        160
- ------------------------------------------------------------------------------------------------------------------------------------

AMRESCO CAPITAL TRUST      COM SH BEN   031919103       100       11800  SH   SOLE                           11800     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

ANALOGIC CORP.             COM          032657207      4021      121850  SH   SOLE                           76950     0      44900
- ------------------------------------------------------------------------------------------------------------------------------------

ANTHRACITE CAPITAL         COM          037023108       154       24100  SH   SOLE                           17600     0       6500
- ------------------------------------------------------------------------------------------------------------------------------------

APPLIED MATERIALS INC.     COM          038222105      1688       13325  SH   SOLE                            8100     0       5225
- ------------------------------------------------------------------------------------------------------------------------------------

ASSOCIATES FIRST CAP       CL A         046008108       873       31813  SH   SOLE                           10447     0      21366
- ------------------------------------------------------------------------------------------------------------------------------------

ASTORIA FINANCIAL CORP.    COM          046265104       903       29675  SH   SOLE                            6725     0      22950
- ------------------------------------------------------------------------------------------------------------------------------------

AVATAR HOLDINGS, INC.      COM          053494100      1278       70500  SH   SOLE                           50000     0      20500
- ------------------------------------------------------------------------------------------------------------------------------------

AVX CORP.                  COM          002444107       255        5100  SH   SOLE                               0     0       5100
- ------------------------------------------------------------------------------------------------------------------------------------

BEL FUSE INC.              CL A         077347102         7         250  SH   SOLE                               0     0        250
- ------------------------------------------------------------------------------------------------------------------------------------

BEL FUSE INC.              CL B         077347300        28        1150  SH   SOLE                               0     0       1150
- ------------------------------------------------------------------------------------------------------------------------------------

BOSTON COMM. GROUP INC.    COM          100582105        71       13500  SH   SOLE                           13500     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

BRISTOL MYERS SQUIBB       COM          110122108        26         400  SH   SOLE                               0     0        400
- ------------------------------------------------------------------------------------------------------------------------------------

C.P. CLARE CORP.           COM          12615K107      1028       97950  SH   SOLE                           52750     0      45200
- ------------------------------------------------------------------------------------------------------------------------------------

CABOT INDUSTRIAL TRUST     COM          127072106        79        4300  SH   SOLE                               0     0       4300
- ------------------------------------------------------------------------------------------------------------------------------------

CAPITAL SOUTHWEST CORP.    COM          140501107      1221       20393  SH   SOLE                            7993     0      12400
- ------------------------------------------------------------------------------------------------------------------------------------

CATELLUS DEV               COM          149111106       438       34200  SH   SOLE                           14300     0      19900
- ------------------------------------------------------------------------------------------------------------------------------------

CHRIS-CRAFT INDUSTRIES     COM          170520100        35         490  SH   SOLE                               0     0        490
- ------------------------------------------------------------------------------------------------------------------------------------

CITIGROUP INC.             COM          172967101        17         300  SH   SOLE                               0     0        300
- ------------------------------------------------------------------------------------------------------------------------------------

CRAWFORD & CO.             CL A         224633206         3         225  SH   SOLE                               0     0        225
- ------------------------------------------------------------------------------------------------------------------------------------

CUMMINS ENGINE CO.         COM          231021106      1869       38690  SH   SOLE                           12100     0      26590
- ------------------------------------------------------------------------------------------------------------------------------------

DATASCOPE CORP.            COM          238113104      9120      228000  SH   SOLE                           95450     0     132550
- ------------------------------------------------------------------------------------------------------------------------------------

DELTIC TIMBER CORP.        COM          247850100      1688       77150  SH   SOLE                           51650     0      25500
- ------------------------------------------------------------------------------------------------------------------------------------

ECOLAB, INC.               COM          278865100        45        1160  SH   SOLE                               0     0       1160
- ------------------------------------------------------------------------------------------------------------------------------------

ELECTRO SCIENTIFIC INC.    COM          285229100     10802      147975  SH   SOLE                           75875     0      72100
- ------------------------------------------------------------------------------------------------------------------------------------

ELECTROGLAS INC.           COM          285324109      9742      383935  SH   SOLE                          217575     0     166360
- ------------------------------------------------------------------------------------------------------------------------------------

ENHANCE FINANCIAL          COM          293310108      6550      403050  SH   SOLE                          185900     0     217150
- ------------------------------------------------------------------------------------------------------------------------------------

EVANS & SOUTHERLAND        COM          299096107      6714      587000  SH   SOLE                          350400     0     236600
- ------------------------------------------------------------------------------------------------------------------------------------

FDX CORPORATION HOLDING    COM          31304N107        33         800  SH   SOLE                               0     0        800
- ------------------------------------------------------------------------------------------------------------------------------------

FINANCIAL SECURITY ASSR    COM          31769P100     16930      324797  SH   SOLE                          177267     0     147530
- ------------------------------------------------------------------------------------------------------------------------------------

FIRST AMERICAN FINL        COM          318522307     11325      910565  SH   SOLE                          524875     0     385690
- ------------------------------------------------------------------------------------------------------------------------------------

FORD MOTOR COMPANY         COM          345370100      3326       62382  SH   SOLE                           20994     0      41388
- ------------------------------------------------------------------------------------------------------------------------------------

FOREST CITY ENTERPRISES    CL A         345550107     11547      412389  SH   SOLE                          214950     0     197439
- ------------------------------------------------------------------------------------------------------------------------------------

FOREST CITY ENTERPRISES    CLB CONV     345550305       509       16700  SH   SOLE                           16700     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

FSI INTERNATIONAL INC.     COM          302633102      5978      519850  SH   SOLE                          262100     0     257750
- ------------------------------------------------------------------------------------------------------------------------------------

GOLDEN STATE BANCORP       COM          381197102        20        1170  SH   SOLE                               0     0       1170
- ------------------------------------------------------------------------------------------------------------------------------------

GOLDEN STATE BANCORP       WT EXP O     381197136         1        1170  SH   SOLE                               0     0       1170
- ------------------------------------------------------------------------------------------------------------------------------------

H&Q LIFE SCIENCES          SH BEN INT   404053100        15         725  SH   SOLE                               0     0        725
- ------------------------------------------------------------------------------------------------------------------------------------

HOMEFED CORP               COM          43739D208        74       84236  SH   SOLE                           52544     0      31692
- ------------------------------------------------------------------------------------------------------------------------------------

ILLINOIS TOOL WORKS        COM          452308109        11         162  SH   SOLE                               0     0        162
- ------------------------------------------------------------------------------------------------------------------------------------

IMPERIAL CREDIT COMM       COM          45272T102      4863      427500  SH   SOLE                          276500     0     151000
- ------------------------------------------------------------------------------------------------------------------------------------

INTEL CORP, INC            COM          458140100       119        1448  SH   SOLE                               0     0       1448
- ------------------------------------------------------------------------------------------------------------------------------------

INVESTMENT TECH GROUP      COM          46145F105       983       34200  SH   SOLE                           19200     0      15000
- ------------------------------------------------------------------------------------------------------------------------------------

J&J SNACK FOODS CORP.      COM          466032109       660       32200  SH   SOLE                            9250     0      22950
- ------------------------------------------------------------------------------------------------------------------------------------

JEFFRIES GROUP INC.        COM          472319102       761       34600  SH   SOLE                           19200     0      15400
- ------------------------------------------------------------------------------------------------------------------------------------

JOHN NUVEEN & CO.          CL A         478035108       723       20050  SH   SOLE                            7400     0      12650
- ------------------------------------------------------------------------------------------------------------------------------------

KENDLE INTL INC.           COM          48880L107       335       33900  SH   SOLE                           30700     0       3200
- ------------------------------------------------------------------------------------------------------------------------------------

KLA-TENCOR CORP.           COM          482480100      1481       13300  SH   SOLE                            7850     0       5450
- ------------------------------------------------------------------------------------------------------------------------------------

KOGER EQUITY, INC.         COM          500228101       702       41600  SH   SOLE                           26600     0      15000
- ------------------------------------------------------------------------------------------------------------------------------------

LASALLE RE HOLDINGS        ORD          G5383Q101      6818      413200  SH   SOLE                          257900     0     155300
- ------------------------------------------------------------------------------------------------------------------------------------

LEGG MASON INC             COM          524901105      6569      181200  SH   SOLE                          100484     0      80716
- ------------------------------------------------------------------------------------------------------------------------------------

LEUCADIA NATIONAL CORP     COM          527288104      2518      108887  SH   SOLE                           69850     0      39037
- ------------------------------------------------------------------------------------------------------------------------------------

LIBERTY FINANCIAL CO.      COM          530512102     14433      629225  SH   SOLE                          353625     0     275600
- ------------------------------------------------------------------------------------------------------------------------------------

LNR PPTY CORP              COM          501940100       316       15900  SH   SOLE                            9200     0       6700
- ------------------------------------------------------------------------------------------------------------------------------------

MARSHALL & ISLEY CORP      COM          571834100       683       10877  SH   SOLE                               0     0      10877
- ------------------------------------------------------------------------------------------------------------------------------------

MBIA, INC.                 COM          55262C100      1820       34469  SH   SOLE                           20721     0      13748
- ------------------------------------------------------------------------------------------------------------------------------------

MELLON FINANCIAL CORP.     COM          585509102        39        1156  SH   SOLE                               0     0       1156
- ------------------------------------------------------------------------------------------------------------------------------------

NABORS INDS INC.           COM          629568106     27157      877800  SH   SOLE                          503500     0     374300
- ------------------------------------------------------------------------------------------------------------------------------------

NATIONAL PRESTO IND        COM          637215104       514       14465  SH   SOLE                            7850     0       6615
- ------------------------------------------------------------------------------------------------------------------------------------

NCR CORP NEW               COM          62886E108      9402      248250  SH   SOLE                          148300     0      99950
- ------------------------------------------------------------------------------------------------------------------------------------

PALM HARBOR HOMES          COM          696639103        28        1562  SH   SOLE                               0     0       1562
- ------------------------------------------------------------------------------------------------------------------------------------

PAREXEL INTL PHARM         COM          699462107      1942      164400  SH   SOLE                           99300     0      65100
- ------------------------------------------------------------------------------------------------------------------------------------

PHARMACEUTICAL PROD DEV    COM          717124101      1242      104600  SH   SOLE                           79000     0      25600
- ------------------------------------------------------------------------------------------------------------------------------------

PLANAR SYSTEMS INC.        COM          726900103      1393      210250  SH   SOLE                          119950     0      90300
- ------------------------------------------------------------------------------------------------------------------------------------

PRIME MEDICAL SERVICES     COM          74156D108       164       17950  SH   SOLE                           17000     0        950
- ------------------------------------------------------------------------------------------------------------------------------------

PROTOCOL SYSTEMS, INC.     COM          74371R106        60        6700  SH   SOLE                               0     0       6700
- ------------------------------------------------------------------------------------------------------------------------------------

RADIAN GROUP, INC.         COM          750236101       382        8000  SH   SOLE                            8000     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

RELIASTAR FINANCIAL        COM          75952U103       736       18786  SH   SOLE                               0     0      18786
- ------------------------------------------------------------------------------------------------------------------------------------

RISK CAPITAL HOLDINGS      COM          767711104      8327      659575  SH   SOLE                          434175     0     225400
- ------------------------------------------------------------------------------------------------------------------------------------

SAFECO CORPORATION         COM          786429100         2          80  SH   SOLE                               0     0         80
- ------------------------------------------------------------------------------------------------------------------------------------

SAWAKO CORP.               ADR          805444205       126       25200  SH   SOLE                           25200     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

SCHERING PLOUGH CORP.      COM          847706108        25         600  SH   SOLE                               0     0        600
- ------------------------------------------------------------------------------------------------------------------------------------

SILICON VALLEY GROUP       COM          827066101      8908      501858  SH   SOLE                          309883     0     191975
- ------------------------------------------------------------------------------------------------------------------------------------

SIZELER PPTY INVS, INC     COM          830137105       105       12900  SH   SOLE                           12900     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

SPEEDFAM INTL, INC.        COM          847705100      2991      231200  SH   SOLE                          139300     0      91900
- ------------------------------------------------------------------------------------------------------------------------------------

ST. JOE CORP.              COM          790148100      3647      150000  SH   SOLE                           95200     0      54800
- ------------------------------------------------------------------------------------------------------------------------------------

ST. JUDE MEDICAL, INC      COM          790849103        46        1500  SH   SOLE                               0     0       1500
- ------------------------------------------------------------------------------------------------------------------------------------

STEWART INFO SERVICES      COM          860372101      3725      279800  SH   SOLE                          137840     0     141960
- ------------------------------------------------------------------------------------------------------------------------------------

TECUMSEH PRODUCTS          CL A         878895200      2456       52055  SH   SOLE                           36100     0      15955
- ------------------------------------------------------------------------------------------------------------------------------------

TECUMSEH PRODUCTS          CL B         878895101      5547      132870  SH   SOLE                           68120     0      64750
- ------------------------------------------------------------------------------------------------------------------------------------

TOKIO MARINE & FIRE        ADR          889090403     14869      251480  SH   SOLE                          117355     0     134125
- ------------------------------------------------------------------------------------------------------------------------------------

TOOTSIE ROLL IND           COM          890516107         6         182  SH   SOLE                               0     0        182
- ------------------------------------------------------------------------------------------------------------------------------------

ULTRATECH STEPPER INC.     COM          904034105       197       12200  SH   SOLE                           12200     0          0
- ------------------------------------------------------------------------------------------------------------------------------------

UNITED INVESTORS REALTY    COM          910741107       172       27800  SH   SOLE                           21300     0       6500
- ------------------------------------------------------------------------------------------------------------------------------------

VEECO INSTRUMENTS, INC.    COM          922417100       616       13150  SH   SOLE                            6100     0       7050
- ------------------------------------------------------------------------------------------------------------------------------------

VERTEX COMM CORP.          COM          925320103      1592       77671  SH   SOLE                           43200     0      34471
- ------------------------------------------------------------------------------------------------------------------------------------

WEIS MARKETS INC.          COM          948849104      5244      120550  SH   SOLE                           64850     0      55700
- ------------------------------------------------------------------------------------------------------------------------------------

XIRCOM INC.                COM          983922105        60         800  SH   SOLE                               0     0        800
- ------------------------------------------------------------------------------------------------------------------------------------


</TABLE>



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