OZ MANAGEMENT LLC /NY/
13F-HR, 1999-05-14
Previous: ACKMAN WILLIAM A, 13F-NT, 1999-05-14
Next: FORSTMANN LEFF INTERNATIONAL INC, 13F-HR, 1999-05-14





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 No.:
This Amendment (Check only one.): [ ] is a restatement.
                                  [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:       OZ Management L.L.C.
Address:    153 East 53rd Street 
            44th Floor 
            New York, New York 10022

13F File Number:  28-6912

The institutional investment manager filing this report and the
person by whom
it is signed hereby represent that the person signing the report
is authorized
to submit it, 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:   Daniel S. Och

Title:  Managing Member

Phone:  212-292-5900


/s/ Daniel S. Och     New York, New York   Dated:  May 14, 1999



Report Type (Check only one.):

[x]   13F HOLDINGS REPORT.  

[ ]   13F NOTICE.  

[ ]   13F COMBINATION REPORT.  





I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.


<PAGE>

                             FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:          0

Form 13F Information Table Entry Total:     116

Form 13F Information Table Value Total:     $1,337,118
                                           (thousands)



List of Other Included Managers:


Provide a numbered list of the name(s) and Form 13F file
number(s) of all
institutional investment managers with respect to which this
report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the
column
headings and list entries.]

       NONE




<PAGE>
<PAGE>
<TABLE>                          <C>                              
<C>


                                                   FORM 13F
INFORMATION TABLE


                                                             
                                                        Value    
Shares/   Sh/   Put/  Invstmt   Other     Voting Authority
    Name of Issuer     Title of Class      CUSIP      (x$1000)   
PrnAmt    Prn   Call  Discretn  Managers   Sole  Shared None

          <S>                 <C>           <C>          <C>      
 <C>       <C>   <C>    <C>      <C>       <C>     <C>  
<C>


AMER BNKERS INS GRP INC      COM        024456105       5,200    
100,000    SH          SOLE              100,000
ADVANTA CORP                 CL B       007942204         977    
109,300    SH          SOLE              109,300
AES CORP                WT EXP 073100   00130H113         701     
14,900    SH          SOLE               14,900
ASSOCIATED GROUP INC         CL A       045651106      22,709    
458,200    SH          SOLE              458,200
ASHANTI GOLDFIELDS LTD  GLOB DEP RCPT   043743202         902    
581,018    SH          SOLE              581,018
AMP INC                      COM        031897101     206,339  
3,843,342    SH          SOLE            3,843,342
AMP INC                      COM        031897901         216     
   750    SH   CALL   SOLE                  750
ANTENNA TV SA                ADR        03672N100         293     
22,500    SH          SOLE               22,500
AQUILA GAS PIPELINE CORP     COM        03839B106       1,378    
190,000    SH          SOLE              190,000
ATLANTIC RICHFIELD CO        COM        048825103       7,300    
100,000    SH          SOLE              100,000
ADVANCED RADIO TELECOM CORP  COM        00754U101       4,482    
389,700    SH          SOLE              389,700
AMERICAN STORES CO NEW       COM        030096101      22,551    
683,350    SH          SOLE              683,350
ASCEND COMMUNICATIONS INC    COM        043491109     108,426  
1,295,600    SH          SOLE            1,295,600
ALLTEL CORP                  COM        020039103       3,533     
56,647    SH          SOLE               56,647
AUTONOMOUS TECHNOLOGIES CORP            COM                 
05329H1051,850  182,674     SH                   SOLE182,674
AIRTOUCH COMMUNICATIONS      COM        00949T100     175,471  
1,816,000    SH          SOLE            1,816,000
AVONDALE INDS INC            COM        054350103         667     
22,600    SH          SOLE               22,600
AUTOWEB.COM INC              COM        053331104         363     
10,200    SH          SOLE               10,200
AXOGEN LTD                   COM        G0690R108       2,350     
75,500    SH          SOLE               75,500
AZTEC TECHNOLOGY PARTNERS    COM        05480L101       1,324    
799,112    SH          SOLE              799,112
BELL ATLANTIC CORP           COM        077853109       1,261     
24,400    SH          SOLE               24,400
BOLLE INC                    COM        097937106       1,403    
488,055    SH          SOLE              488,055
BROWNING FERRIS INC          COM        115885105      11,569    
300,000    SH          SOLE              300,000
PINNACLE HLDGS INC           COM        72346N101         812     
53,696    SH          SOLE               53,696
BP AMOCO P L C          SPONSORED ADR   055622104      12,527    
124,110    SH          SOLE              124,110
BANKERS TR CORP              COM        066365107      12,179    
138,000    SH          SOLE              138,000
CA FED BK FSB LOS ANG  CONT LITIG REC   130209604         354     
32,200    SH          SOLE               32,200
COAST FEDERAL LITIGATION TR  RT         19034Q110       2,567    
437,000    SH          SOLE              437,000
CAREER EDUCATION CORP        COM        141665109       1,385     
40,000    SH          SOLE               40,000
CHEMFIRST INC.               COM        16361A106       4,818    
205,000    SH          SOLE              205,000
COLONIAL GAS CO              COM        195674106      10,447    
302,800    SH          SOLE              302,800
CMP MEDIA INC                CL A       125891101       3,075    
100,000    SH          SOLE              100,000
CORINTHIAN COLLEGES INC      COM        218868107         550     
25,000    SH          SOLE               25,000
COHOES BANCORP INC           COM        192513109       2,244    
215,000    SH          SOLE              215,000
COVAD COMMUNCTNS GRP INC     COM        222814204       1,644     
25,000    SH          SOLE               25,000
CALPINE CORP                 COM        131347106       3,644    
100,000    SH          SOLE              100,000
COMSAT CORP                  COM        20564D107      22,227    
768,100    SH          SOLE              768,100
CAPSTAR BROADCASTING CORP    CL A       14067G105      13,928    
607,200    SH          SOLE              607,200
DEL MONTE FOODS CO           COM        24522P103       2,926    
221,900    SH          SOLE              221,900
DELTA & PINE LD CO           COM        247357106       1,104     
35,900    SH          SOLE               35,900
DELTA & PINE LD CO           COM        247357906         194     
   250    SH   CALL   SOLE                  250
DELTA WOODSIDE INDS INC NEW  COM        247909104         244     
50,800    SH          SOLE               50,800
DELPHI AUTOMOTIVE SYS CORP   COM        247126105       3,594    
202,500    SH          SOLE              202,500
EAGLE HARDWARE & GARDEN INC  COM        26959B101      15,292    
400,440    SH          SOLE              400,440
ELAN PLC                WT EXP 123101   284131703       5,570    
130,300    SH          SOLE              130,300
ENRON OIL & GAS CO           COM        293562104       9,588    
576,700    SH          SOLE              576,700
CORPORATE EXECUTIVE BRD CO   COM        21988R102       1,002     
38,000    SH          SOLE               38,000
PETROFINA S A           WT EXP 080503   716485123       5,005    
360,710    SH          SOLE              360,710
NAVIGANT INTL INC            COM        63935R108       3,164    
588,720    SH          SOLE              588,720
MEYER FRED INC DEL NEW       COM        592907109      57,374    
974,500    SH          SOLE              974,500
FRONTIER CORPORATION         COM        35906P105       5,794    
111,700    SH          SOLE              111,700
GABELLI ASSET MGMT INC       CL A       36239Y102         425     
27,300    SH          SOLE               27,300
GLOBAL INDL TECHNOLOGIES     COM        379335102      10,164    
968,000    SH          SOLE              968,000
GENENTECH INC                COM        368710907         263     
   525    SH   CALL   SOLE                  525
GOLDEN ST BANCORP INC   WT EXP 000000   381197136       2,497    
515,520    SH          SOLE              515,520
GETTY RLTY CORP NEW          COM        374297109         776     
62,100    SH          SOLE               62,100
GUCCI GROUP N V              COM        401566104       3,220     
40,000    SH          SOLE               40,000
IRVINE APT CMNTYS INC        COM        463606103       8,791    
267,400    SH          SOLE              267,400
INSIGNIA FINL GROUP INC NEW  COM        45767A105      12,922    
918,933    SH          SOLE              918,933
IMPERIAL HOLLO CORP          COM        452835101       1,397    
230,385    SH          SOLE              230,385
IXC COMMUNICATIONS INC       COM        450713102      14,909    
325,000    SH          SOLE              325,000
IT GROUP INC                 COM        465266104       3,771    
292,870    SH          SOLE              292,870
JEFFERIES GROUP INC          COM        472318104       4,976    
104,900    SH          SOLE              104,900
MCDERMOTT J RAY S A          COM        P64658100       4,257    
142,500    SH          SOLE              142,500
LIBERTE INVS INC DEL         COM        530154103         742    
224,000    SH          SOLE              224,000
LEVEL ONE COMMUNICATIONS INC            COM                 
5272951091,580  32,500      SH                   SOLE32,500
AT & T CORP.                 COM LIB/A  001957208      31,907    
606,300    SH          SOLE              606,300
LASER MTG MGMT INC           COM        51806D100       2,205    
405,600    SH          SOLE              405,600
LNR PPTY CORP                COM        501940100       4,049    
205,000    SH          SOLE              205,000
LOCAL FINL CORP              COM        539553107       4,656    
500,000    SH          SOLE              500,000
LUCASVARITY  PLC             ADR        549395101      16,056    
345,900    SH          SOLE              345,900
CREATIVE COMPUTERS INC       COM        22527E107       2,747     
91,200    SH          SOLE               91,200
MIDAS GROUP INC              COM        595626102       4,005    
120,000    SH          SOLE              120,000
MEDE AMER CORP               COM        584067102         795     
40,000    4SH         SOLE               40,000
MESA AIR GROUP INC           COM        590479101       4,374    
699,800    SH          SOLE              699,800
METRONET COMMUNCTNS CORP     CL B       59169Y108      14,850    
270,000    SH          SOLE              270,000
MORTON INTL INC IND NEW      COM        619335102      57,341  
1,560,300    SH          SOLE            1,560,300
MACMILLAN BLOEDEL LTD        COM        554783209       1,572    
139,700    SH          SOLE              139,700
MERISTAR HOTELS&RESRTS INC   COM        589988104       2,750  
1,000,000    SH          SOLE            1,000,000
MODEM MEDIA POPPE TYSON INC  CL A       607533106         643     
15,000    SH          SOLE               15,000
MITCHELL ENERGY & DEV CORP   CL A       606592202         964     
77,520    SH          SOLE               77,520
MOBIL CORP                   COM        607059102      11,167    
126,900    SH          SOLE              126,900
MOLEX INC                    COM        608554101         849     
32,800    SH          SOLE               32,800
NORDIC AMER TANKER SHPPNG    COM        G65773106         483     
42,010    SH          SOLE               42,010
NAC RE CORP                  COM        628907107       4,043     
75,300    SH          SOLE               75,300
US OFFICE PRODS CO           COM        912325305       2,545    
636,151    SH          SOLE              636,151
PEPSI BOTTLING GROUP         COM        713409100      18,977    
875,000    SH          SOLE              875,000
PLATINIM TECHNOLOGY INTL INC            COM                 
72764T1012,550  100,000     SH                   SOLE100,000
PARK PL ENTMT CORP           COM        700690100       7,506    
992,500    SH          SOLE              992,500
PRODIGY COMMUNICATIONS CORP  COM        74283P107       1,439     
37,500    SH          SOLE               37,500
PITTSTON CO                  COM        725701106       2,820    
120,000    SH          SOLE              120,000
PENNZENERGY CO               COM        70931Q109         730     
69,500    SH          SOLE               69,500
REYNOLDS METALS CO.          COM        761763101       4,831    
100,000    SH          SOLE              100,000
AUTO. COM EXCH SEC TR II  TRACES RWIN   05300A202       2,671    
184,200    SH          SOLE              184,200
SUNDSTRAND CORP              COM        867323107      73,677  
1,060,100    SH          SOLE            1,060,100
SOMNUD MED TECHNOLOGIES INC  COM        835397100         371    
141,167    SH          SOLE              141,167
AT & T CORP.                 COM        001957109      23,267    
291,516    SH          SOLE              291,516
TRANSAMERICA CORP            COM        893485102      46,746    
658,400    SH          SOLE              658,400
LEARNING CO INC              COM        522008101      17,426    
600,900    SH          SOLE              600,900
TOWER REALTY TR INC          COM        89185E109       9,905    
523,011    SH          SOLE              523,011
TYCO INTL LTD NEW            COM        902124906         100     
 1,000    SH   CALL   SOLE                1,000
UBID INC                     COM        903469104         398     
 6,100    SH          SOLE                6,100
UNION CAMP CORP              COM        905530101       9,579    
142,700    SH          SOLE              142,700
UNIQUE CASUAL RESTAURANTS    COM        90915K100       1,585    
325,200    SH          SOLE              325,200
U S INDS INC NEW             COM        912080108       4,931    
300,000    SH          SOLE              300,000
VARIAN ASSOC INC             COM        922204102       5,619    
145,000    SH          SOLE              145,000
VANGUARD CELLULAR SYS INC    CL A       922022108       7,246    
265,300    SH          SOLE              265,300
VERMONT FINL SVCS CORP       COM        924180102       2,946    
104,300    SH          SOLE              104,300
VLSI TECHNOLOGY INC          COM        918270109       3,230    
166,700    SH          SOLE              166,700
WELLS FARGO & CO NEW         COM        949746901       1,200     
 2,000    SH   CALL   SOLE                2,000
WHITTAKER CORP DEL           COM        966680407       8,654    
394,500    SH          SOLE              394,500
WALTER INDS INC              COM        93317Q105       3,624    
322,100    SH          SOLE              322,100
WORKFLOW MGMT INC            COM        98137N109       3,937    
583,250    SH          SOLE              583,250
EXCITE INC                   COM        300904109      43,215    
308,675    SH          SOLE              308,675
YPF SOCIEDAD ANONIMA         ADR/D      984245100       4,734    
150,000    SH          SOLE              150,000


</TABLE> 



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