MATADOR CAPITAL MANAGEMENT CORP/FL
13F-HR, 2000-08-08
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                                                             FORM 13F                                         6/30/02             0


REPORTING MANAGER: FurmanSelz LLC                                                                      PAGE                       1

-----------------------   ----------  -----------              ---------              ----------      --    ----

                                      Valuation Currency USD

ITEM 1                    ITEM 2      ITEM 3                   ITEM 4                 ITEM 5                      ITEM 6

NAME OF ISSUER            TITLE       CUSIP                    FAIR                   SHARES OF                INVEST. DISC.

                          OF          NUMBER                   MARKET                 PRINCIPAL                       SHARED

                          CLASS                                VALUE                  AMOUNT            SOLE   SHARED    OTHER

                                                                                                        (A)      (B)      (C)

-----------------------   ----------  -----------              ---------              ----------        ----
<S>                       <C>         <C>                          <C>                   <C>            <C>      <C>      <C>
AHL SERVICES INC          OTC EQ      001296102                       61,250              10,000 N       X

ADVANTAGE LEARNING SYST   OTC EQ      00757K100                    1,460,625              95,000 N       X

APAC CUSTOMER SERVICES    OTC EQ      00185E106                    1,172,625             106,000 N       X

ACNIELSEN CORP            COMMON      004833109                    4,792,700             217,850 N       X

BRITESMILE INC            OTC EQ      110415106                      217,575              48,350 N       X

CDI CORP                  COMMON      125071100                    2,968,638             145,700 N       X

CANDELA CORP              OTC EQ      136907102                    2,526,028             276,825 N       X

COHERENT INC W/RTS TO P   OTC EQ      192479103                    4,214,719              50,250 N       X

CASELLA WASTE SYSTEMS I   OTC EQ      147448104                      492,888              45,850 N       X

DATATRAK INTL INC         OTC EQ      238134100                      480,769              99,900 N       X

INTERDENT INC             OTC EQ      45865R109                       35,625              10,000 N       X

DIRECT FOCUS INC          OTC EQ      254931108                    2,205,000              45,000 N       X

***DENBURY RESOURCES IN   COMMON      247916208                    1,919,375             370,000 N       X

ECOLLEGE COM              OTC EQ      27887E100                      109,375              25,000 N       X




-----------------------    ------------     -----------             -----------       ---------      ---
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ITEM 1                     ITEM 7                                   ITEM 8

NAME OF ISSUER             MANA-            VOTING AUTHORITY

                           GERS

                                            SOLE                    SHARED            NONE

                                            (A)                     (B)               (C)

-----------------------    ------------     -----------             -----------       ---------      ---
<S>                        <C>              <C>                     <C>               <C>            <C>
AHL SERVICES INC           EVER                10,000

ADVANTAGE LEARNING SYST    EVER                95,000

APAC CUSTOMER SERVICES     EVER               106,000

ACNIELSEN CORP             EVER               217,850

BRITESMILE INC             EVER                48,350

CDI CORP                   EVER               145,700

CANDELA CORP               EVER               276,825

COHERENT INC W/RTS TO P    EVER                50,250

CASELLA WASTE SYSTEMS I    EVER                45,850

DATATRAK INTL INC          EVER                99,900

INTERDENT INC              EVER                10,000

DIRECT FOCUS INC           EVER                45,000

***DENBURY RESOURCES IN    EVER               370,000

ECOLLEGE COM               EVER                25,000

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                                                             FORM 13F                                         6/30/02             0


REPORTING MANAGER: FurmanSelz LLC                                                                      PAGE                       1

-----------------------   ----------  -----------              ---------              ----------      --    ----

                                      Valuation Currency USD

ITEM 1                    ITEM 2      ITEM 3                   ITEM 4                 ITEM 5                          ITEM 6

NAME OF ISSUER            TITLE       CUSIP                    FAIR                   SHARES OF                    INVEST. DISC.

                          OF          NUMBER                   MARKET                 PRINCIPAL                           SHARED

                          CLASS                                VALUE                  AMOUNT                SOLE   SHARED    OTHER

                                                                                                            (A)      (B)      (C)

-----------------------   ----------  -----------              ---------              ----------            ----
<S>                       <C>         <C>                          <C>                   <C>                <C>    <C>       <C>
EDUCATION MANAGEMENT CO   OTC EQ      28139T101                      489,494              27,100 N          X

EASTERN ENTERPRISES INC   COMMON      27637F100                      252,000               4,000 N          X

ENVIROGEN INC-NEW         OTC EQ      294040308                       62,969              31,000 N          X

FUEL-TECH NV              OTC EQ      359523107                       99,230              43,498 N          X

HARCOURT GENERAL INC.     COMMON      41163G101                    2,175,000              40,000 N          X

HARTE HANKS COMMUNICATI   COMMON      416196103                    3,150,000             126,000 N          X

HEALTHSOUTH CORP          COMMON      421924101                    1,279,375             178,000 N          X

HERLEY INDUSTRIES INC     OTC EQ      427398102                      283,125              15,000 N          X

HARSCO CORP               COMMON      415864107                    3,187,500             125,000 N          X

INFONAUTICS CORP-CL A     OTC EQ      456662105                      782,688             178,900 N          X

KFORCE.COM INC            OTC EQ      493732101                      416,597              60,050 N          X

AT&T CORP LIBERTY MEDIA   COMMON      001957208                    4,171,000             172,000 N          X

LODGENET ENTERTAINMENT    OTC EQ      540211109                    2,425,000             100,000 N          X

LINDSAY MANUFACTURING C   COMMON      535555106                      927,281              47,250 N          X




-----------------------   ------------     -----------             -----------       ---------      ---
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ITEM 1                    ITEM 7                                   ITEM 8

NAME OF ISSUER            MANA-            VOTING AUTHORITY

                          GERS

                                           SOLE                    SHARED            NONE

                                           (A)                     (B)               (C)

-----------------------   ------------     -----------             -----------       ---------      ---
<S>                       <C>              <C>                     <C>               <C>            <C>
EDUCATION MANAGEMENT CO   EVER                27,100

EASTERN ENTERPRISES INC   EVER                 4,000

ENVIROGEN INC-NEW         EVER                31,000

FUEL-TECH NV              EVER                43,498

HARCOURT GENERAL INC.     EVER                40,000

HARTE HANKS COMMUNICATI   EVER               126,000

HEALTHSOUTH CORP          EVER               178,000

HERLEY INDUSTRIES INC     EVER                15,000

HARSCO CORP               EVER               125,000

INFONAUTICS CORP-CL A     EVER               178,900

KFORCE.COM INC            EVER                60,050

AT&T CORP LIBERTY MEDIA   EVER               172,000

LODGENET ENTERTAINMENT    EVER               100,000

LINDSAY MANUFACTURING C   EVER                47,250


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                                                             FORM 13F                                         6/30/02             0


REPORTING MANAGER: FurmanSelz LLC                                                                      PAGE                       1

-----------------------   ----------  -----------              ---------              ----------      --    ----

                                      Valuation Currency USD

ITEM 1                    ITEM 2      ITEM 3                   ITEM 4                 ITEM 5                          ITEM 6

NAME OF ISSUER            TITLE       CUSIP                    FAIR                   SHARES OF                    INVEST. DISC.

                          OF          NUMBER                   MARKET                 PRINCIPAL                           SHARED

                          CLASS                                VALUE                  AMOUNT                SOLE   SHARED    OTHER

                                                                                                            (A)      (B)      (C)

-----------------------   ----------  -----------              ---------              ----------            ----
<S>                       <C>         <C>                          <C>                   <C>                <C>    <C>       <C>
MANHATTAN ASSOCIATES IN   OTC EQ      562750109                    1,125,000              45,000 N          X

MEDPARTNERS INC (NEW)-6   COMMON      58503X206                      558,594              62,500 N          X

MPW INDUSTRIAL SERVICES   OTC EQ      553444100                    1,356,281             175,004 N          X

NTN COMMUNICATIONS INC    NEW COMMON  629410309                      243,750             100,000 N          X

PHOTOGEN TECHNOLOGIES I   OTC EQ      71932A101                      125,103              15,050 N          X

POLYVISION CORP           COMMON      731805107                      126,000              48,000 N          X

CATALINA MARKETING CORP   COMMON      148867104                    7,507,200              73,600 N          X

PROMOTIONS.COM INC        OTC EQ      74341U106                      625,000             125,000 N          X

PROGRAMMERS PARADISE IN   C OTC EQ    743205106                    1,795,106             455,900 N          X

PACIFIC SUNWEAR OF CALI   FOR OTC EQ  694873100                    1,406,250              75,000 N          X

REPUBLIC SERVICES INC     COMMON      760759100                    9,600,000             600,000 N          X

SURVIVALINK CORP          OTC EQ      869032102                      315,000             105,000 N          X

TECH SQUARED INC ESCROW   OTC EQ      878302991                          722             722,000 N          X

THERMO ELECTRON CORP      COMMON      883556102                    1,527,031              72,500 N          X

VANS INC                  OTC EQ      921930103                      592,313              40,500 N          X



-----------------------   ------------     -----------             -----------       ---------      ---

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ITEM 1                    ITEM 7                                   ITEM 8

NAME OF ISSUER            MANA-            VOTING AUTHORITY

                          GERS

                                           SOLE                    SHARED            NONE

                                           (A)                     (B)               (C)

-----------------------   ------------     -----------             -----------       ---------      ---
<S>                       <C>              <C>                     <C>               <C>            <C>
MANHATTAN ASSOCIATES IN   EVER                45,000

MEDPARTNERS INC (NEW)-6   EVER                62,500

MPW INDUSTRIAL SERVICES   EVER               175,004

NTN COMMUNICATIONS INC    EVER               100,000

PHOTOGEN TECHNOLOGIES I   EVER                15,050

POLYVISION CORP           EVER                48,000

CATALINA MARKETING CORP   EVER                73,600

PROMOTIONS.COM INC        EVER               125,000

PROGRAMMERS PARADISE IN   EVER               455,900

PACIFIC SUNWEAR OF CALI   EVER                75,000

REPUBLIC SERVICES INC     EVER               600,000

SURVIVALINK CORP          EVER               105,000

TECH SQUARED INC ESCROW   EVER               722,000

THERMO ELECTRON CORP      EVER                72,500

VANS INC                  EVER                40,500

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<CAPTION>


                                                             FORM 13F                                         6/30/02             0


REPORTING MANAGER: FurmanSelz LLC                                                                      PAGE                       1

-----------------------   ----------  -----------              ---------              ----------      --    ----

                                      Valuation Currency USD

ITEM 1                    ITEM 2      ITEM 3                   ITEM 4                 ITEM 5                          ITEM 6

NAME OF ISSUER            TITLE       CUSIP                    FAIR                   SHARES OF                    INVEST. DISC.

                          OF          NUMBER                   MARKET                 PRINCIPAL                           SHARED

                          CLASS                                VALUE                  AMOUNT                SOLE   SHARED    OTHER

                                                                                                            (A)      (B)      (C)

-----------------------   ----------  -----------              ---------              ----------            ----
<S>                       <C>         <C>                          <C>                   <C>                <C>    <C>       <C>
VCAMPUS CORP              OTC EQ      92240C100                    1,640,625             187,500 N          X

WASTE CONNECTIONS INC     OTC EQ      941053100                    2,543,800             128,800 N          X

WASTE MANAGEMENT INC NE   W COMMON    94106L109                    3,426,650             180,350 N          X
                                                                  ----------

 TOTAL                                                            76,872,876
                                                                  ==========




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ITEM 1                    ITEM 7                                   ITEM 8

NAME OF ISSUER            MANA-            VOTING AUTHORITY

                          GERS

                                           SOLE                    SHARED            NONE

                                           (A)                     (B)               (C)

-----------------------   ------------     -----------             -----------       ---------      ---
<S>                       <C>              <C>                     <C>               <C>            <C>
VCAMPUS CORP              EVER               187,500

WASTE CONNECTIONS INC     EVER               128,800

WASTE MANAGEMENT INC NE   EVER               180,350


 TOTAL


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