MATADOR CAPITAL MANAGEMENT CORP/FL
13F-HR, 2000-02-14
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                                                              FORM 13F                                                   12/31/1999

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)
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<S>                             <C>       <C>          <C>        <C>        <C>   <C>    <C>   <C>       <C>       <C>      <C>
ACCENT HEALTH NETWORK          OTC EQ     ACCENT        553,026    83,919 N    X                EVER       83,919    0       0
ATLANTIC DATA SERVICES INC     OTC EQ     048523104     115,000    20,000 N    X                EVER       20,000    0       0
ADVANTAGE LEARNING SYSTEMS     OTC EQ     00757K100     888,288    79,400 N    X                EVER       79,400    0       0
AMERITRADE HOLDING CORP-CL     OTC EQ     03072H109     975,938    45,000 N    X                EVER       45,000    0       0
APAC CUSTOMER SERVICES INC     OTC EQ     00185E106     815,569    57,996 N    X                EVER       57,996    0       0
ACNIELSEN CORP                 COMMON     004833109   6,156,250   250,000 N    X                EVER      250,000    0       0
BERGEN BRUNSWIG CORP-CL A      COMMON     083739102     415,625    50,000 N    X                EVER       50,000    0       0
BETTER HEALTH PARTNER          COMMON     BHNRST      5,516,700     7,770 N    X                EVER        7,770    0       0
BURLINGTON RESOURCES INC       COMMON     122014103     826,563    25,000 N    X                EVER       25,000    0       0
BOSTON SCIENTIFIC CORP         COMMON     101137107     546,875    25,000 N    X                EVER       25,000    0       0
BRITESMILE INC                 COMMON     110415106     434,688    53,500 N    X                EVER       53,500    0       0
CALIBER LEARNING NETWORK I     OTC EQ     129914107      86,825    30,200 N    X                EVER       30,200    0       0
CAREMARK RX INC                COMMON     141705103   5,442,188 1,075,000 N    X                EVER    1,075,000    0       0
COHERENT INC W/RTS TO PUR      OTC EQ     192479103   4,560,875   170,500 N    X                EVER      170,500    0       0
CURATIVE TECHNOLOGIES INC      OTC EQ     231264102      77,500    10,000 N    X                EVER       10,000    0       0
CASELLA WASTE SYSTEMS INC      OTC EQ     147448104   3,433,363   181,900 N    X                EVER      181,900    0       0
DATATRAK INTL INC              OTC EQ     238134100     489,375   135,000 N    X                EVER      135,000    0       0
INTERDENT INC                  OTC EQ     45865R109   1,859,213   230,600 N    X                EVER      230,600    0       0
DIRECT FOCUS INC               OTC EQ     254931108   1,248,750    45,000 N    X                EVER       45,000    0       0
***DENBURY RESOURCES INC N     COMMON     247916208   1,654,525   389,300 N    X                EVER      389,300    0       0
DIGITAL RIVER INC              OTC EQ     25388B104   4,137,979   124,217 N    X                EVER      124,217    0       0
DUSA PHARMACEUTICALS INC       OTC EQ     266898105   1,078,725    37,850 N    X                EVER       37,850    0       0
ECOLLEGE COM                   OTC EQ     27887E100     273,438    25,000 N    X                EVER       25,000    0       0
EASTERN ENTERPRISES INC        COMMON     27637F100     229,750     4,000 N    X                EVER        4,000    0       0
ELITE INFORMATION GROUP IN     OTC EQ     28659M106     347,344    32,500 N    X                EVER       32,500    0       0
</TABLE>


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<TABLE>
<CAPTION>
                                                              FORM 13F                                                   12/31/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 2
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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)
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<S>                             <C>       <C>          <C>        <C>        <C>   <C>    <C>   <C>       <C>       <C>      <C>
ENVIROGEN INC-NEW              OTC EQ     294040308      55,350   32,800 N     X                EVER       32,800    0       0
ITT EDUCATIONAL SERVICES I     COMMON     45068B109     298,716   19,350 N     X                EVER       19,350    0       0
FUEL-TECH NV                   OTC EQ     359523107      95,152   43,498 N     X                EVER       43,498    0       0
ASCENT ENTERTAINMENT GROUP     OTC EQ     043628106   4,123,438  325,000 N     X                EVER      325,000    0       0
HARCOURT GENERAL INC.          COMMON     41163G101   3,944,500   98,000 N     X                EVER       98,000    0       0
HAGLER BAILLY INC              OTC EQ     405183104     125,000   25,000 N     X                EVER       25,000    0       0
HARTE HANKS COMMUNICATIONS     COMMON     416196103     902,625   41,500 N     X                EVER       41,500    0       0
WEBHIRE INC                    OTC EQ     94768W104     843,750   50,000 N     X                EVER       50,000    0       0
HOLLINGER INTERNATIONAL        COMMON     435569108   1,080,281   83,500 N     X                EVER       83,500    0       0
HARSCO CORP                    COMMON     415864107   6,254,750  197,000 N     X                EVER      197,000    0       0
INFONAUTICS CORP-CL A          OTC EQ     456662105   1,571,500  224,500 N     X                EVER      224,500    0       0
WEBSTAKES.COM INC              OTC EQ     94768K100     197,500   10,000 N     X                EVER       10,000    0       0
KNIGHT-RIDDER INC              COMMON     499040103     661,144   11,100 N     X                EVER       11,100    0       0
***LAIDLAW INC                 COMMON     50730K503     840,000  160,000 N     X                EVER      160,000    0       0
AT&T CORP LIBERTY MEDIA GR     COMMON     001957208   9,090,000  160,000 N     X                EVER      160,000    0       0
LINDSAY MANUFACTURING CO       COMMON     535555106     862,313   47,250 N     X                EVER       47,250    0       0
MEDICALOGIC INC                OTC EQ     584642102     210,000   10,000 N     X                EVER       10,000    0       0
MEDPARTNERS INC (NEW)-6.50     COMMON     58503X206   7,858,125  990,000 N     X                EVER      990,000    0       0
MESSAGEMEDIA INC               OTC EQ     590787107   1,064,531   75,700 N     X                EVER       75,700    0       0
MPW INDUSTRIAL SERVICES GR     OTC EQ     553444100   1,785,969  225,004 N     X                EVER      225,004    0       0
MEDSCAPE INC                   OTC EQ     585046105   1,400,000  140,000 N     X                EVER      140,000    0       0
NATIONAL DATA CORP             COMMON     635621105     821,288   24,200 N     X                EVER       24,200    0       0
NEW HORIZONS WORLDWIDE INC     OTC EQ     645526104   1,359,688  114,500 N     X                EVER      114,500    0       0
NTN COMMUNICATIONS INC NEW     COMMON     629410309     787,281  213,500 N     X                EVER      213,500    0       0

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<PAGE>

<TABLE>
<CAPTION>
                                                              FORM 13F                                                   12/31/1999

REPORTING MANAGER: Furman Selz LLC                                                                                         PAGE 3
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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)
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<S>                             <C>       <C>          <C>        <C>        <C>   <C>    <C>   <C>       <C>       <C>      <C>



ONIX SYSTEMS INC               COMMON     67088G108     898,538  146,700 N     X                EVER      146,700    0       0
PRIORTY HEALTH CARE CORP-C     OTC EQ     74264T102   8,608,906  297,500 N     X                EVER      297,500    0       0
PHYCOR INC                     OTC EQ     71940F100     483,938  258,100 N     X                EVER      258,100    0       0
POLYVISION CORP                COMMON     731805107     154,659   63,450 N     X                EVER       63,450    0       0
CATALINA MARKETING CORP        COMMON     148867104  13,814,763  119,350 N     X                EVER      119,350    0       0
PEAPOD INC                     OTC EQ     704718105     215,625   25,000 N     X                EVER       25,000    0       0
PROGRAMMERS PARADISE INC       OTC EQ     743205106   3,611,200  473,600 N     X                EVER      473,600    0       0
PRT GROUP INC                  OTC EQ     693579104     164,063   75,000 N     X                EVER       75,000    0       0
QUEST EDUCATION CORP           OTC EQ     74835F102   3,723,563  425,550 N     X                EVER      425,550    0       0
ROHN INDUSTRIES INC            OTC EQ     775381106     120,750   42,000 N     X                EVER       42,000    0       0
REPUBLIC SERVICES INC          COMMON     760759100   9,975,000  700,000 N     X                EVER      700,000    0       0
SURVIVALINK CORP               OTC EQ     869032102     315,000  105,000 N     X                EVER      105,000    0       0
STRATEGIC DIAGNOSTICS INC      OTC EQ     862700101   1,312,500  200,000 N     X                EVER      200,000    0       0
SAGENT TECHNOLOGY INC          OTC EQ     786693101   3,879,900  129,600 N     X                EVER      129,600    0       0
SAFETY KLEEN CORP-NEW          COMMON     78648R203     282,813   25,000 N     X                EVER       25,000    0       0
SUNRISE TECHNOLOGIES INC       OTC EQ     86769L103     397,491   33,650 N     X                EVER       33,650    0       0
SPIRE CORP                     OTC EQ     848565107     166,739   28,998 N     X                EVER       28,998    0       0
SPR INC                        OTC EQ     784922106     367,500   60,000 N     X                EVER       60,000    0       0
STAFFMARK INC                  OTC EQ     852389105     234,438   31,000 N     X                EVER       31,000    0       0
TECH SQUARED INC ESCROW        OTC EQ     878302991         722  722,000 N     X                EVER      722,000    0       0
TETRA TECHNOLOGIES INC - D     COMMON     88162F105   1,544,613  213,050 N     X                EVER      213,050    0       0
TWINLAB CORP                   OTC EQ     901774109   1,190,625  150,000 N     X                EVER      150,000    0       0
VIRTUAL CMNTYS INC             OTC EQ     92825D101      66,625   20,500 N     X                EVER       20,500    0       0
VIADOR INC                     OTC EQ     92553R108   1,932,300   45,600 N     X                EVER       45,600    0       0

AGGREGATE COLUMN TOTALS                             136,342,814
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