MATADOR CAPITAL MANAGEMENT CORP/FL
13F-HR, 1999-05-13
Previous: STOCKGROUP COM HOLDINGS INC, 10QSB, 1999-05-13
Next: US FRANCHISE SYSTEMS INC/, 10-Q, 1999-05-13



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

						   FORM 13F

					FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:	<<March 31, 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:	<<Matador Capital Management Corporation>>
Address:	<<200 First Avenue North, Suite 206, St. Petersburg, FL 33701>>

Form 13F File Number:	28-6674

The institutional investment manager filing this report and the person by whom
it is signed hereby represent 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:	<<David Fink>>
Title:	<<Chief Operating Officer>>
Phone:	<<(727) 898-9300>>

Signature, Place and Date of Signing:

		David Fink			<<St. Petersburg, FL>>	<<May 10, 1999>>
		[Signature]				[City, State]			[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:			<<67>>

Form 13F Information Table Value Total:			<<$145,373,907>>


List of Other Included Managers:

NONE

<PAGE>

<TABLE>
NAME OF ISSUER             TITLE        CUSIP        FAIR          SHARES OF    INVESTMENT          MANAGERS     VOTING AUTHORITY
                           OF           NUMBER       MARKET        PRINCIPAL    DISCRETION SHARED                SOLE   SHARED  NONE
                           CLASS                     VALUE         AMOUNT       SOLE   SHARED  OTHER
      <C>                            <C>
A D A M  SOFTWARE INC      OTC EQ       00088F101    220,000       40,000       X                   EVER         40,000
AT&T CORP LIBERTY MEDIA GR COMMON       1957208      4,601,611     87,500       X                   EVER         87,500
ACNIELSEN CORP             COMMON       4833109      8,408,750     310,000      X                   EVER         310,000
ASCENT ENTERTAINMENT GROUP OTC EQ       43628106     18,144,219    1,658,900    X                   EVER         1,658,900
BEL FUSE INC               OTC EQ       77347102     429,975       18,900       X                   EVER         18,900
BIG FLOWER PRESS HOLDINGS  COMMON       89160105     2,334,375     75,000       X                   EVER         75,000
CDI CORP                   COMMON       125071100    3,787,438     157,400      X                   EVER         157,400
CALGON CARBON CORP         COMMON       129603106    129,688       25,000       X                   EVER         25,000
CASELLA WASTE SYSTEMS INC  OTC EQ       147448104    676,875       30,000       X                   EVER         30,000
CATALINA MARKETING CORP    COMMON       148867104    9,064,106     105,550      X                   EVER         105,550
CONDOR TECHNOLOGY SOLUTION OTC EQ       206772105    950,000       100,000      X                   EVER         100,000
DUSA PHARMACEUTICALS INC   OTC EQ       266898105    3,246,469     436,500      X                   EVER         436,500
ESCO ELECTRONICS CORP      COMMON       269030201    270,000       30,000       X                   EVER         30,000
ECLIPSE SURGICAL TECHNOLOG OTC EQ       278849104    1,050,000     100,000      X                   EVER         100,000
EMCON                      OTC EQ       290843101    403,000       124,000      X                   EVER         124,000
ENVIROGEN INC-NEW          OTC EQ       294040308    41,568        24,633       X                   EVER         24,633
FUEL-TECH NV               OTC EQ       359523107    67,500        45,000       X                   EVER         45,000
GOLDEN GENESIS COMPANY     OTC EQ       38105N103    275,000       200,000      X                   EVER         200,000
HARRAHS ENTERTAINMENT INC  COMMON       413619107    1,906,250     100,000      X                   EVER         100,000
IMPCO TECHNOLOGIES INC     OTC EQ       45255W106    404,875       39,500       X                   EVER         39,500
INFORMATION RESOURCES INC  OTC EQ       456905108    3,138,281     487,500      X                   EVER         487,500
INSURANCE MANAGEMENT SOLUT OTC EQ       458045101    553,500       61,500       X                   EVER         61,500
IRWIN NATURALS /4HEALTH IN OTC EQ       464142108    171,875       50,000       X                   EVER         50,000
LINDSAY MANUFACTURING CO   COMMON       535555106    993,750       50,000       X                   EVER         50,000
M A R C INC                OTC EQ       552914103    975,975       92,950       X                   EVER         92,950
MPW INDUSTRIAL SERVICES GR OTC EQ       553444100    2,429,625     294,500      X                   EVER         294,500
MARSHALL INDUSTRIES        COMMON       572393106    675,000       50,000       X                   EVER         50,000
MARSULEX INC               CEQ          572904100    36,753        13,900       X                   EVER         13,900
MEDIX RESOURCES INC        OTC EQ       585011109    40,000        100,000      X                   EVER         100,000
MEDPARTNERS INC NEW        COMMON       58503X107    13,639,150    2,871,400    X                   EVER         2,871,400
MEDPARTNERS INC (NEW)-6.50 COMMON       58503X206    8,383,219     1,090,500    X                   EVER         1,090,500
MOVIE GALLERY INC          OTC EQ       624581104    106,250       20,000       X                   EVER         20,000
NTN COMMUNICATIONS INC NEW COMMON       629410309    137,500       200,000      X                   EVER         200,000
NATIONAL DATA CORP         COMMON       635621105    3,780,000     90,000       X                   EVER         90,000
NATIONAL RESEARCH CORP     OTC EQ       637372103    1,017,188     262,500      X                   EVER         262,500
NEW HORIZONS WORLDWIDE INC OTC EQ       645526104    3,293,288     165,700      X                   EVER         165,700
PDT INC                    OTC EQ       69329P103    442,406       64,350       X                   EVER         64,350
PHARMACEUTICAL MARKETING   OTC EQ       717123103    2,975,000     200,000      X                   EVER         200,000
PHILIP ENVIRONMENTAL IN    COMMON       717906101    32,270        123,300      X                   EVER         123,300
PHYCOR INC                 OTC EQ       71940F100    1,068,750     225,000      X                   EVER         225,000
PHYSICIAN COMPUTER NETWORK OTC EQ       71940K109    104,000       208,000      X                   EVER         208,000
POLYVISION CORP            COMMON       731805107    386,513       140,550      X                   EVER         140,550
PROGRAMMERS PARADISE INC   OTC EQ       743205106    5,850,313     482,500      X                   EVER         482,500
QUEST EDUCATION CORP	       OTC EQ       74835F102    3,961,619     434,150      X                   EVER         434,150
RAYTEL MEDICAL CORP        OTC EQ       755107109    206,250       50,000       X                   EVER         50,000
REPUBLIC SERVICES INC      COMMON       760759100    7,837,178     484,150      X                   EVER         484,150
RESTRAC INC                OTC EQ       76126W108    120,250       26,000       X                   EVER         26,000
ROMAC INTERNATIONAL INC    OTC EQ       775835101    530,400       62,400       X                   EVER         62,400
SPSS INC                   OTC EQ       78462K102    2,734,625     167,000      X                   EVER         167,000
SAFETY KLEEN CORP-NEW      COMMON       78648R203    1,981,975     149,583      X                   EVER         149,583
SANCHEZ COMPUTER ASSOCIATE OTC EQ       799702105    2,157,600     92,800       X                   EVER         92,800
SERVICE EXPERTS INC        COMMON       817567100    1,053,000     78,000       X                   EVER         78,000
SPIRE CORP                 OTC EQ       848565107    90,000        30,000       X                   EVER         30,000
STRATEGIC DIAGNOSTICS INC  OTC EQ       862700101    975,000       400,000      X                   EVER         400,000
SURVIVALINK CORP           OTC EQ       869032102    315,000       105,000      X                   EVER         105,000
TSI INC-MINN               OTC EQ       872876107    2,031,250     250,000      X                   EVER         250,000
TECH SQUARED INC           OTC EQ       878302108    2,103,750     510,000      X                   EVER         510,000
TETRA TECHNOLOGIES INC - D COMMON       88162F105    3,544,088     525,050      X                   EVER         525,050
TRANSCEND SERVICES INC     OTC EQ       893929109    75,000        60,000       X                   EVER         60,000
UNITED ROAD SERVICES INC   OTC EQ       911384105    907,813       175,000      X                   EVER         175,000
SURVIVALINK CP RSTD        OTC EQ       9303489      75,000        25,000       X                   EVER         25,000
ALLIED WASTE INDUSTRIES IN OTC EQ       019589308    1,100,000     50,000       X                   EVER         50,000
INTERDENT INC              OTC EQ       45865R109    1,377,750     250,500      X                   EVER         250,500
LABOR READY INC NEW        OTC EQ       505401208    3,193,034     175,562      X                   EVER         175,562
SELECT APPOINTMENTS        OTC EQ       81617E203    516,250       20,000       X                   EVER         20,000
THERAGENICS CORP           OTC EQ       883375107    1,605,000     120,000      X                   EVER         120,000
MILESTONE SCIENTIFIC INC   OTC EQ       59935P100    239,775       13,900       X                   EVER         13,900
</TABLE>

BLD/4267/002/1043705



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission