MATADOR CAPITAL MANAGEMENT CORP/FL
13F-HR, 1999-11-05
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<CAPTION>
                                                              FORM 13F                                                   09/30/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 1
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                                          VALUATION CURRENCY: USD

    ITEM 1                      ITEM 2    ITEM 3      ITEM 4        ITEM 5      ITEM 6         ITEM 7          ITEM 8
NAME OF ISSUER                  TITLE     CUSIP        FAIR      SHARES OF   INVEST. DISC.    MANAGERS     VOTING AUTHORITY
                                 OF       NUMBER      MARKET      PRINCIPAL            SHARED
                                CLASS                 VALUE        AMOUNT   SOLE SHARED OTHER             SOLE    SHARED   NONE
                                                                            (A)   (B)    (C)              (A)      (B)      (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>       <C>          <C>        <C>       <C>   <C>    <C>   <C>       <C>      <C>      <C>




SURVIVALINK CP RSTD              OTC EQ      9303489     75,000    25,000    X                EVER       25,000     0       0
A D A M  SOFTWARE INC            OTC EQ    00088F101    398,125    35,000    X                EVER       35,000     0       0
AMERICAN HOME PATIENT INC        OTC EQ    026649103     58,438    85,000    X                EVER       85,000     0       0
ALLOY ONLINE                     OTC EQ    019855105    979,688    75,000    X                EVER       75,000     0       0
CALL ADVANTAGE LEARNING          NOV 15  CALL OPTION     20,625     5,000    X                EVER        5,000     0       0
APAC CUSTOMER SERVICES INC       OTC EQ    00185E106    251,250    60,000    X                EVER       60,000     0       0
ACNIELSEN CORP                   COMMON    004833109  6,443,250   284,000    X                EVER      284,000     0       0
CALL SUMMIT TECH                 OCT 15  CALL OPTION     36,250    10,000    X                EVER       10,000     0       0
SUMMIT TECHNOLOGY INC            OTC EQ    86627E105    436,753    23,850    X                EVER       23,850     0       0
CDI CORP                         COMMON    125071100  1,638,750    60,000    X                EVER       60,000     0       0
CAREMARK RX INC                  COMMON    141705103  9,430,000 1,640,000    X                EVER    1,640,000     0       0
COHERENT INC W/RTS TO PUR        OTC EQ    192479103  2,061,675    92,400    X                EVER       92,400     0       0
DATATRAK INTL INC                OTC EQ    238134100    410,174   103,351    X                EVER      103,351     0       0
INTERDENT INC                    OTC EQ    45865R109  2,097,938   250,500    X                EVER      250,500     0       0
***DENBURY RESOURCES INC N       COMMON    247916208  2,116,819   389,300    X                EVER      389,300     0       0
DRUGSTORE.COM INC                OTC EQ    262241102  1,143,688    31,550    X                EVER       31,550     0       0
DUSA PHARMACEUTICALS INC         OTC EQ    266898105  2,240,000   160,000    X                EVER      160,000     0       0
DUSA PHARMACEUTICAL RESTRIC      OTC EQ    DUSARST      350,000    25,000    X                EVER       25,000     0       0
EXPRESS SCRIPTS INC-CL A         OTC EQ    302182100    234,750     3,000    X                EVER        3,000     0       0
FUEL-TECH NV                     OTC EQ    359523107    115,313    45,000    X                EVER       45,000     0       0
ASCENT ENTERTAINMENT GROUP       OTC EQ    043628106 18,906,250 1,375,000    X                EVER    1,375,000     0       0
HARSCO CORP                      COMMON    415864107  3,453,125   125,000    X                EVER      125,000     0       0
                                                     ----------
                                                     52,897,561

</TABLE>




<PAGE>
<TABLE>
<CAPTION>
                                                              FORM 13F                                                   09/30/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 1
- --------------------------------------------------------------------------------------------------------------------------------
                                          VALUATION CURRENCY: USD

    ITEM 1                      ITEM 2    ITEM 3      ITEM 4        ITEM 5      ITEM 6         ITEM 7          ITEM 8
NAME OF ISSUER                  TITLE     CUSIP        FAIR      SHARES OF   INVEST. DISC.    MANAGERS     VOTING AUTHORITY
                                 OF       NUMBER      MARKET      PRINCIPAL            SHARED
                                CLASS                 VALUE        AMOUNT   SOLE SHARED OTHER             SOLE    SHARED   NONE
                                                                            (A)   (B)    (C)              (A)      (B)      (C)
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<S>                             <C>       <C>          <C>        <C>      <C>    <C>    <C>   <C>       <C>      <C>      <C>





IDX SYSTEMS CORP                 OTC EQ    449491109  1,268,750    70,000    X                EVER       70,000     0       0
IMPCO TECHNOLOGIES INC           OTC EQ    45255W106    256,250    20,000    X                EVER       20,000     0       0
IMCO RECYCLING INC               COMMON    449681105    913,500    60,900    X                EVER       60,900     0       0
INFONAUTICS CORP-CL A            OTC EQ    456662105  1,405,875   244,500    X                EVER      244,500     0       0
AT&T CORP LIBERTY MEDIA GR       COMMON    001957208  5,970,000   160,000    X                EVER      160,000     0       0
LINDSAY MANUFACTURING CO         COMMON    535555106    932,188    47,500    X                EVER       47,500     0       0
M A R C INC                      OTC EQ    552914103  1,312,919    92,950    X                EVER       92,950     0       0
ST MARY LAND & EXPLORATION       OTC EQ    792228108    914,375    35,000    X                EVER       35,000     0       0
MEDICONSULT COM INC              OTC EQ    58469J100    124,000    16,000    X                EVER       16,000     0       0
ALLSCRIPTS INC                   OTC EQ    019886100    436,563    27,500    X                EVER       27,500     0       0
MEDPARTNERS INC (NEW)-6.50       COMMON    58503X206  8,353,125   990,000    X                EVER      990,000     0       0
MPW INDUSTRIAL SERVICES GR       OTC EQ    553444100  2,098,313   294,500    X                EVER      294,500     0       0
***MARSULEX INC                  CEQ       572904100     32,634    13,900    X                EVER       13,900     0       0
MEDSCAPE INC                     OTC EQ    585046105  1,594,688   157,500    X                EVER      157,500     0       0
NOVACARE EMPLOYEE SERVICES       OTC EQ    66986Q101     92,625    38,000    X                EVER       38,000     0       0
NATIONAL DATA CORP               COMMON    635621105  1,274,000    49,000    X                EVER       49,000     0       0
NEW HORIZONS WORLDWIDE INC       OTC EQ    645526104  3,770,313   237,500    X                EVER      237,500     0       0
NOVACARE INC                     COMMON    669930109    308,750   260,000    X                EVER      260,000     0       0
NTN COMMUNICATIONS INC NEW       COMMON    629410309    225,000   180,000    X                EVER      180,000     0       0
PHYCOR INC                       OTC EQ    71940F100  3,850,000   880,000    X                EVER      880,000     0       0
POLYVISION CORP                  COMMON    731805107    333,806   140,550    X                EVER      140,550     0       0
CATALINA MARKETING CORP          COMMON    148867104 10,601,563   125,000    X                EVER      125,000     0       0
PRIMEDIA INC                     COMMON    74157K101    553,000    39,500    X                EVER       39,500     0       0
                                                     ----------
                                                     46,622,237

</TABLE>






<PAGE>
<TABLE>
<CAPTION>
                                                              FORM 13F                                                   09/30/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 1
- --------------------------------------------------------------------------------------------------------------------------------
                                          VALUATION CURRENCY: USD

    ITEM 1                      ITEM 2    ITEM 3      ITEM 4        ITEM 5      ITEM 6         ITEM 7          ITEM 8
NAME OF ISSUER                  TITLE     CUSIP        FAIR      SHARES OF   INVEST. DISC.    MANAGERS     VOTING AUTHORITY
                                 OF       NUMBER      MARKET      PRINCIPAL            SHARED
                                CLASS                 VALUE        AMOUNT   SOLE SHARED OTHER             SOLE    SHARED   NONE
                                                                            (A)   (B)    (C)              (A)      (B)      (C)
- --------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>       <C>          <C>        <C>       <C>   <C>    <C>   <C>       <C>      <C>      <C>
PROGRAMMERS PARADISE INC         OTC EQ    743205106  3,226,719   482,500    X                EVER      482,500     0       0
QUEST EDUCATION CORP             OTC EQ    74835F102  3,350,419   425,450    X                EVER      425,450     0       0
REPUBLIC SERVICES INC            COMMON    760759100  2,773,125   255,000    X                EVER      255,000     0       0
SURVIVALINK CORP                 OTC EQ    869032102    315,000   105,000    X                EVER      105,000     0       0
SPECIALTY CARE NETWORK INC       OTC EQ    84748M102    177,031    51,500    X                EVER       51,500     0       0
STRATEGIC DIAGNOSTICS INC        OTC EQ    862700101  1,812,500   200,000    X                EVER      200,000     0       0
SPIRE CORP                       OTC EQ    848565107     99,375    30,000    X                EVER       30,000     0       0
SPSS INC                         OTC EQ    78462K102  2,251,835   115,850    X                EVER      115,850     0       0
SERVICE EXPERTS INC              COMMON    817567100  1,042,688   100,500    X                EVER      100,500     0       0
TLC THE LASER CENTER INC         OTC EQ    872934104  2,167,000    88,000    X                EVER       88,000     0       0
TSI INC-MINN                     OTC EQ    872876107  1,166,719    95,000    X                EVER       95,000     0       0
TECH SQUARED INC                 OTC EQ    878302108  2,338,375   719,500    X                EVER      719,500     0       0
TETRA TECHNOLOGIES INC - D       COMMON    88162F105  5,348,947   525,050    X                EVER      525,050     0       0
TREX MEDICAL CORP                COMMON    89531R101    177,375    43,000    X                EVER       43,000     0       0
VISIONAMERICA INC                OTC EQ    92832C104    430,000    80,000    X                EVER       80,000     0       0
                                                     ----------
      PAGE COLUMN TOTALS                             26,677,108

                                                    -----------
      AGGREGATE COLUMN TOTALS                       126,197,206
                                                    ===========

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