MATADOR CAPITAL MANAGEMENT CORP/FL
13F-HR, 1999-08-05
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                                                              FORM 13F                                                   06/30/1999

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 N        X            EVER               25,000    0
A D A M  SOFTWARE INC              OTC EQ 00088F101      580,000      40,000 N        X            EVER               40,000    0
AMERICAN HOME PATIENT INC          OTC EQ 26649103       132,813      85,000 N        X            EVER               85,000    0
ACNIELSEN CORP                     COMMON 4833109      8,591,000     284,000 N        X            EVER              284,000    0
CDI CORP                           COMMON 125071100    3,319,391      97,450 N        X            EVER               97,450    0
INTERDENT INC                      OTC EQ 45865R109    1,831,781     250,500 N        X            EVER              250,500    0
***DENBURY RESOURCES INC N         COMMON 247916208    1,168,563     267,100 N        X            EVER              267,100    0
DUSA PHARMACEUTICALS INC           OTC EQ 266898105    2,141,953     185,250 N        X            EVER              185,250    0
DUSA PHAMACEUTICAL RESTRIC         OTC EQ DUSARST        289,063      25,000 N        X            EVER               25,000    0
ENVIROGEN INC RSTD                 OTC EQ ENVIROGEN       30,013      22,867 N        X            EVER               22,867    0
EXPRESS SCRIPTS INC-CL A           OTC EQ 302182100      872,719      14,500 N        X            EVER               14,500    0
FUEL-TECH NV                       OTC EQ 359523107       92,813      45,000 N        X            EVER               45,000    0
GOLDEN GENESIS COMPANY             OTC EQ 38105N103      443,750     200,000 N        X            EVER              200,000    0
ASCENT ENTERTAINMENT GROUP         OTC EQ 43628106    22,845,775   1,617,400 N        X            EVER             1617,400    0
HARCOURT GENERAL INC.              COMMON 41163G101    1,031,250      20,000 N        X            EVER               20,000    0
HCIA INC                           OTC EQ 403908106      134,063      15,000 N        X            EVER               15,000    0
HARRAHS ENTERTAINMENT INC          COMMON 413619107    1,985,625      90,000 N        X            EVER               90,000    0
WEBHIRE INC                        OTC EQ 94768W104      450,000     100,000 N        X            EVER              100,000    0
HARSCO CORP                        COMMON 415864107    1,488,000      46,500 N        X            EVER               46,500    0
IDX SYSTEMS CORP                   OTC EQ 449491109    1,685,419      74,700 N        X            EVER               74,700    0
IMPCO TECHNOLOGIES INC             OTC EQ 45255W106      503,625      39,500 N        X            EVER               39,500    0
IMCO RECYCLING INC                 COMMON 449681105    1,130,250      66,000 N        X            EVER               66,000    0
INFORMATION RESOURCES INC          OTC EQ 456905108      496,125      56,700 N        X            EVER               56,700    0
                                                      ----------
PAGE COLUMN TOTALS                                    51,318,991
</TABLE>
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<CAPTION>
                                                              FORM 13F                                                   06/30/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 2
- -----------------------------------------------------------------------------------------------------------------------------------
                                             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>
DIGITAL ISLAND INC DEL             OTC EQ 25385N101    1,063,694      59,300 N        X             EVER              59,300    0
DRKOOP.COM INC                     OTC EQ 262098106      637,500      40,000 N        X             EVER              40,000    0
AT&T CORP LIBERTY MEDIA GR         COMMON 1957208      6,063,750     165,000 N        X             EVER             165,000    0
LINDSAY MANUFACTURING CO           COMMON 535555106      834,219      47,500 N        X             EVER              47,500    0
M A R C INC                        OTC EQ 552914103    1,347,775      92,950 N        X             EVER              92,950    0
ST MARY LAND & EXPLORATION         OTC EQ 792228108      616,875      30,000 N        X             EVER              30,000    0
MEDPARTNERS INC NEW                COMMON 58503X107   14,361,375   1,914,850 N        X             EVER           1,914,850    0
MEDPARTNERS INC (NEW)-6.50         COMMON 58503X206   10,642,500     990,000 N        X             EVER             990,000    0
MOVIE GALLERY INC                  OTC EQ 624581104      268,750      50,000 N        X             EVER              50,000    0
MPW INDUSTRIAL SERVICES GR         OTC EQ 553444100    2,945,000     294,500 N        X             EVER             294,500    0
***MARSULEX INC                    CEQ    572904100       32,871      13,900 N        X             EVER              13,900    0
NOVACARE EMPLOYEE SERVICES         OTC EQ 66986Q101       35,750      13,000 N        X             EVER              13,000    0
NATIONAL DATA CORP                 COMMON 635621105    5,925,150     138,600 N        X             EVER             138,600    0
NEW HORIZONS WORLDWIDE INC         OTC EQ 645526104    4,690,625     237,500 N        X             EVER             237,500    0
NOVACARE INC                       COMMON 669930109      225,000     150,000 N        X             EVER             150,000    0
NATIONAL RESEARCH CORP             OTC EQ 637372103      109,688      45,000 N        X             EVER              45,000    0
NTN COMMUNICATIONS INC NEW         COMMON 629410309      187,500     200,000 N        X             EVER             200,000    0
OMEGA HEALTH SYSTEMS INC           OTC EQ 681931101      600,000      80,000 N        X             EVER              80,000    0
PHYSICIAN COMPUTER NETWORK         OTC EQ 71940K109       52,000     208,000 N        X             EVER             208,000    0
PHYCOR INC                         OTC EQ 71940F100    5,517,656     745,000 N        X             EVER             745,000    0
POLYVISION CORP                    COMMON 731805107      360,159     140,550 N        X             EVER             140,550    0
CATALINA MARKETING CORP            COMMON 148867104    9,112,600      99,050 N        X             EVER              99,050    0
PRIMEDIA INC                       COMMON 74157K101    6,182,188     365,000 N        X             EVER             365,000    0
PROGRAMMERS PARADISE INC           OTC EQ 743205106    5,910,625     482,500 N        X             EVER             482,500    0
QUEST EDUCATION CORP               OTC EQ 74835F102    4,493,816     425,450 N        X             EVER             425,450    0
                                                      ----------
PAGE COLUMN TOTALS                                    82,217,066
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<CAPTION>
                                                              FORM 13F                                                   06/30/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 3
- -----------------------------------------------------------------------------------------------------------------------------------
                                             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>
REPUBLIC SERVICES INC              COMMON 760759100   11,330,550     457,800 N         X             EVER             457,800   0
ROGUE WAVE SOFTWARE INC            OTC EQ 775369101    1,747,438     191,500 N         X             EVER             191,500   0
SURVIVALINK CORP                   OTC EQ 869032102      315,000     105,000 N         X             EVER             105,000   0
STRATEGIC DIAGNOSTICS INC          OTC EQ 862700101    1,500,000     400,000 N         X             EVER             400,000   0
SAFETY KLEEN CORP-NEW              COMMON 78648R203    3,999,879     220,683 N         X             EVER             220,683   0
SHOPKO STORES INC                  COMMON 824911101      350,400       9,600 N         X             EVER               9,600   0
SPIRE CORP                         OTC EQ 848565107      116,250      30,000 N         X             EVER              30,000   0
SPSS INC                           OTC EQ 78462K102    2,993,878     116,550 N         X             EVER             116,550   0
SERVICE EXPERTS INC                COMMON 817567100    1,183,438      54,100 N         X             EVER              54,100   0
TOYS R US INC                      COMMON 892335100      620,625      30,000 N         X             EVER              30,000   0
TRANSCEND SERVICES INC             OTC EQ 893929109       62,500      50,000 N         X             EVER              50,000   0
TSI INC-MINN                       OTC EQ 872876107    2,387,775     205,400 N         X             EVER             205,400   0
TECH SQUARED INC                   OTC EQ 878302108    2,795,625     630,000 N         X             EVER             630,000   0
TETRA TECHNOLOGIES INC - D         COMMON 88162F105    4,987,975     525,050 N         X             EVER             525,050   0
TREX MEDICAL CORP                  COMMON  89531R101     150,000      25,000 N         X             EVER              25,000   0
UNIVERSAL ELECTRONICS INC          OTC EQ 913483103      841,875      30,000 N         X             EVER              30,000   0
UNITED ROAD SERVICES INC           OTC EQ 911384105      423,325      82,600 N         X             EVER             826,000   0
                                                     -----------
PAGE COLUMN TOTALS                                    35,806,533
                                                     -----------
AGGREGATE COLUMN TOTALS                              169,342,590

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