MATADOR CAPITAL MANAGEMENT CORP/FL
13F-HR, 2000-05-10
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<PAGE>
                                    FORM 13F

REPORTING MANAGER: Furman Lelz LLC
<TABLE>
<CAPTION>

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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.      MANA-    VOTING AUTHORITY
                                     OF       NUMBER      MARKET    PRINCIPAL                  SHARED   GERS
                                   CLASS                  VALUE       AMOUNT      SOLE  SHARED OTHER            SOLE   SHARED   NONE
                                                                                   (A)    (B)   (C)              (A)     (B)    (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                         <C>   <C>   <C>           <C>                                      <C>         <C>   <C>
APAC CUSTOMER SERVICES INC         OTC EQ   00185E106   1,331,794     153,300  N    X                  EVER    153,300     0     0
ACNIELSEN CORP                     COMMON   004833109   5,118,750     227,500  N    X                  EVER    227,500     0     0
CALIBER LEARNING NETWORK I         OTC EQ   129914107     273,047      37,500  N    X                  EVER     37,500     0     0
CANDELA CORP                       OTC EQ   136907102     611,531      44,475  N    X                  EVER     44,475     0     0
CAREMARK RX INC                    COMMON   141705103     419,588     100,200  N    X                  EVER    100,200     0     0
COHERENT INC W/RTS TO PUR          OTC EQ   192479103   5,033,600      96,800  N    X                  EVER     96,800     0     0
COMPUTER OUTSOURCING SERVI         OTC EQ   205265101   2,057,625      46,500  N    X                  EVER     46,500     0     0
CASELLA WASTE SYSTEMS INC          OTC EQ   147448104     375,000      50,000  N    X                  EVER     50,000     0     0
DATATRAK INTL INC                  OTC EQ   238134100     668,081      99,900  N    X                  EVER     99,900     0     0
DIRECT FOCUS INC                   OTC EQ   254931108   2,542,063      91,400  N    X                  EVER     91,400     0     0
***DENBURY RESOURCES INC N         COMMON   247916208   1,480,000     370,000  N    X                  EVER    370,000     0     0
DIGITAL RIVER INC                  OTC EQ   25388B104   1,245,925      57,950  N    X                  EVER     57,950     0     0
ECOLLEGE COM                       OTC EQ   27887E100     175,000      25,000  N    X                  EVER     25,000     0     0
E COM VENTURES INC                 OTC EQ   26830K106     106,250      20,000  N    X                  EVER     20,000     0     0
EDUCATION MANAGEMENT CORP          OTC EQ   28139T101     938,438      65,000  N    X                  EVER     65,000     0     0
EASTERN ENTERPRISES INC            COMMON   27637F100     239,500       4,000  N    X                  EVER      4,000     0     0
ENVIROGEN INC-NEW                  OTC EQ   294040308     116,250      31,000  N    X                  EVER     31,000     0     0
FUEL-TECH NV                       OTC EQ   359523107     101,948      43,498  N    X                  EVER     43,498     0     0
GSI LUMONICS INC                   OTC EQ   36229U102     256,875      15,000  N    X                  EVER     15,000     0     0
HARCOURT GENERAL INC.              COMMON   41163G101   1,862,500      50,000  N    X                  EVER     50,000     0     0
HAGLER BAILLY INC                  OTC EQ   405183104     101,250      22,500  N    X                  EVER     22,500     0     0
HARTE HANKS COMMUNICATIONS         COMMON   416196103   2,438,906     107,500  N    X                  EVER    107,500     0     0
HOLLINGER INTERNATIONAL            COMMON   435569108     537,500      50,000  N    X                  EVER     50,000     0     0
HMT TECHNOLOGY CORP                OTC EQ   403917107     165,625      50,000  N    X                  EVER     50,000     0     0
HARBINGER CORP                     OTC EQ   41145C103   3,203,750     110,000  N    X                  EVER    110,000     0     0
HEALTHSOUTH CORP                   COMMON   421924101     710,938     125,000  N    X                  EVER    125,000     0     0
HERLEY INDUSTRIES INC              OTC EQ   427398102     873,000      48,000  N    X                  EVER     48,000     0     0
HARSCO CORP                        COMMON   415864107   5,208,750     180,000  N    X                  EVER    180,000     0     0
INFONAUTICS CORP-CL A              OTC EQ   456662105   1,645,050     199,400  N    X                  EVER    199,400     0     0
ROMAC INTERNATIONAL INC            OTC EQ   775835101   1,232,500     136,000  N    X                  EVER    136,000     0     0
AT&T CORP LIBERTY MEDIA GR         COMMON   001957208   5,409,300      91,200  N    X                  EVER     91,200     0     0
LODGENET ENTERTAINMENT COR         OTC EQ   540211109     401,250      20,000  N    X                  EVER     20,000     0     0
LINDSAY MANUFACTURING CO           COMMON   535555106     809,156      47,250  N    X                  EVER     47,250     0     0


</TABLE>

<PAGE>



<TABLE>
<CAPTION>

- ------------------------------------------------------------------------------------------------------------------------------------
                                                        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.      MANA-    VOTING AUTHORITY
                                     OF       NUMBER      MARKET    PRINCIPAL                  SHARED   GERS
                                   CLASS                  VALUE       AMOUNT      SOLE  SHARED OTHER            SOLE   SHARED   NONE
                                                                                   (A)    (B)   (C)              (A)     (B)    (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                         <C>   <C>   <C>           <C>                                      <C>         <C>   <C>
MEDICALOGIC INC                    OTC EQ   584642102     868,750      50,000  N    X                  EVER     50,000     0     0
MEDPARTNERS INC (NEW)-6.50         COMMON   58503X206   2,376,000     352,000  N    X                  EVER    352,000     0     0
MICROCAP LONG INVESTMENT           COMMON   MICRPL      3,440,327      40,796  N    X                  EVER     40,796     0     0
MPW INDUSTRIAL SERVICES GR         OTC EQ   553444100     962,522     175,004  N    X                  EVER    175,004     0     0
MEDSCAPE INC                       OTC EQ   585046105     748,125     140,000  N    X                  EVER    140,000     0     0
NEW HORIZONS WORLDWIDE INC         OTC EQ   645526104     187,458      10,561  N    X                  EVER     10,561     0     0
NTN COMMUNICATIONS INC NEW         COMMON   629410309     400,000     100,000  N    X                  EVER    100,000     0     0
PRIORTY HEALTH CARE CORP-C         OTC EQ   74264T102   3,957,188      78,750  N    X                  EVER     78,750     0     0
POLYVISION CORP                    COMMON   731805107     109,375      35,000  N    X                  EVER     35,000     0     0
CATALINA MARKETING CORP            COMMON   148867104  11,091,938     109,550  N    X                  EVER    109,550     0     0
PRIMEDIA INC                       COMMON   74157K101   1,097,600      34,300  N    X                  EVER     34,300     0     0
PROMOTIONS.COM INC                 OTC EQ   74341U106     850,000     100,000  N    X                  EVER    100,000     0     0
PROGRAMMERS PARADISE INC           OTC EQ   743205106   2,641,200     454,400  N    X                  EVER    454,400     0     0
PRT GROUP INC                      OTC EQ   693579104      65,250      36,000  N    X                  EVER     36,000     0     0
QUEST EDUCATION CORP               OTC EQ   74835F102   3,678,994     426,550  N    X                  EVER    426,550     0     0
QUORUM HEALTH GROUP INC            OTC EQ   749084109     352,188      35,000  N    X                  EVER     35,000     0     0
ROHN INDUSTRIES INC                OTC EQ   775381106     159,250      49,000  N    X                  EVER     49,000     0     0
REPUBLIC SERVICES INC              COMMON   760759100   7,317,188     669,000  N    X                  EVER    669,000     0     0
SURVIVALINK CORP                   OTC EQ   869032102     315,000     105,000  N    X                  EVER    105,000     0     0
STRATEGIC DIAGNOSTICS INC          OTC EQ   862700101     190,625      25,000  N    X                  EVER     25,000     0     0
SLI INC                            COMMON   78442T108     850,000      50,000  N    X                  EVER     50,000     0     0
SPACELABS MEDICAL INC              OTC EQ   846247104     541,875      34,000  N    X                  EVER     34,000     0     0
SPR INC                            OTC EQ   784922106      87,000      14,500  N    X                  EVER     14,500     0     0
STAFFMARK INC                      OTC EQ   852389105     246,063      31,000  N    X                  EVER     31,000     0     0
SWELL.COM PRIVATE PLACEMEN         OTC EQ   SWELLCOM    1,600,000   1,600,000  N    X                  EVER  1,600,000     0     0
SYMIX SYSTEMS INC                  OTC EQ   871535100   1,000,000      50,000  N    X                  EVER     50,000     0     0
TECH SQUARED INC ESCROW            OTC EQ   878302991         722     722,000  N    X                  EVER    722,000     0     0
THERMO ELECTRON CORP               COMMON   883556102     519,563      25,500  N    X                  EVER     25,500     0     0
COMPUTER TASK GROUP INC            COMMON   205477102     459,250      41,750  N    X                  EVER     41,750     0     0
TWINLAB CORP                       OTC EQ   901774109     819,375     115,000  N    X                  EVER    115,000     0     0
VANS INC                           OTC EQ   921930103   1,128,750      70,000  N    X                  EVER     70,000     0     0
VCAMPUS CORP                       OTC EQ   92240C100   2,207,513     205,350  N    X                  EVER    205,350     0     0
                                                      -----------
Aggregate Column Totals                                97,959,829
                                                      ===========

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