BOWMAN CAPITAL MANAGEMENT L L C
13F-HR, 1999-11-12
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                Information Required of Institutional Investment
             Managers Pursuant to Section 13 (f) of the Securities
                   Exchange Act of 1934 and Rules Thereunder

                  Adopted in Release No. 34-14852, (P.81,610),
                         June 15, 1978, 43 F.R. 26700}

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 1999

Check here if Amendment [  ]; Amendment Number:
This Amendment (Check only one.): [  ] is a restatement.
                                  [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Bowman Capital Management, LLC
Address: 1875 South Grant Street, Suite 600
         San Mateo, California 94402


13F File Number: 34-14852

The institutional  investment  manager  submitting this Form and its attachments
and the  person  by whom it is  signed  represent  hereby  that all  information
contained  therein is true,  correct and  complete,  it is  understood  that all
required items,  statements and schedules are considered  integral parts of this
Form and that the submission of any amendment represents that all amended items,
statements and schedules remain true, correct and complete as previously filed.

Pursuant  to the  requirements  of the  Securities  Exchange  Act of  1934,  the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of San Mateo and State of  California  on the 11th day
of November 1999.

Name and 13F file number of ALL Institutional  Investment  managers with respect
to which this schedule is filed (other than the one filing this report) (List in
alphabetical order)

13F file number will be assigned to Institutional Investment managers after they
file their first report.


Name            13F File No.:
1. None*


Person Signing this Report on Behalf of Reporting Manager:

Name:     Thomas Pindelski
Title:    Chief Financial Officer
Phone:    650-287-2263


Signature, Place, and Date of Signing:

           Thomas Pindelski         San Mateo, California     November 11, 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.



*  Bowman  Capital  Management,  LLC  is  deemed  to  exercise  sole  investment
discretion with respect to securities held by the investment  partnership  which
it serves as the general partner.  Accordingly,  such investment partnership has
no separate requirements pursuant to Rule 13F-1.


<PAGE>
<TABLE>
<S>                          <C>                                                        <C>
                                                                                                                 Voting Authority
                                                                                                                 ----------------
                                                           Value       Shares/ Sh/  Put/Invstmt
      Name of Issuer        Title of class CUSIP           (x$1000)    PrnAmt  Prn Call Dscretn Managers       Sole   Shared   None
ADC TELECOMMUNICATIONS         COM               886101     13001     310000 SH           Sole             310000
ADAPTEC INC                    COM            00651F108     33417     842000 SH           Sole             842000
ADTRAN INC COM                 COM            00738A106      6973     182000 SH           Sole             182000
ADVANCED FIBRE COMM INC COM    COM            00754A105     57850    2600000 SH           Sole            2600000
ADV MICRO USD.01 COM           COM              7903107     18176    1057500 SH           Sole            1057500
AGRIBIOTECH INC NEV COM        COM              8494106       325      80000 SH           Sole              80000
AMAZON COM INC COM             COM             23135106    219093    2740800 SH           Sole            2740800
AMERICA ONLINE INC COM STK     COM            02364J104    398689    3831250 SH           Sole            3831250
AMES DEPT STORES INCCOM NEW    COM             30789507      1753      55000 SH           Sole              55000
APPLE COMPUTER INC COM         COM             37833100     55538     877200 SH           Sole             877200
APPLIED MAGNETICS CORP COM     COM             38213104       205     233800 SH           Sole             233800
APPLIED MATLS INC COM          COM             38222105     78864    1015150 SH           Sole            1015150
APPLIED MICRO CIRCUITS CORP    COM            03822W109     16502     289500 SH           Sole             289500
ARTESYN TECHNOLOGIESINC COM    COM             43127109      3775     199000 SH           Sole             199000
ASHFORD.COM INC COM STK        COM             44093102     13148    1426179 SH           Sole            1426179
AT HOME CORPORATION COM        COM             45919107     18927     456760 SH           Sole             456760
ATMEL CORP COM                 COM             49513104     43956    1300000 SH           Sole            1300000
AUTOBYTEL.COM INC              COM            05275N106       294      25000 SH           Sole              25000
AUTODESK INC COM               COM             52769106      7707     352300 SH           Sole             352300
AUTOWEB.COM INC                COM             53331104      2031     227200 SH           Sole             227200
BMC SOFT USD                   COM             55921100     16102     225000 SH           Sole             225000
BARNES & NOBLE INC COM         COM             67774109     13962     537000 SH           Sole             537000
BELL MICROPRODUCTS INC         COM             78137106     10552    1246000 SH           Sole            1246000
BROADBASE INFO                 COM            11130R100      6806     427049 SH           Sole             427049
BROADCOM CORP COM              COM            111320107     32896     301800 SH           Sole             301800
BROADVISION INC COM            COM            111412102     31070     233500 SH           Sole             233500
BUS OBJECTS S.A. SPONS ADR     SPONSORED ADR  12328X107      1003      17000 SH           Sole              17000
C-CUBE MICROSYSTEMS INC        COM            125015107      2654      61000 SH           Sole              61000
CDW COMPUTER CTRS INC          COM            125129106        88       1800 SH           Sole               1800
CHS ELECTRONICS INC COM NEW    COM            12542A206       687     478000 SH           Sole             478000
CMGI INC COM                   COM            125750109      3280      32000 SH           Sole              32000
CALIFORNIA AMPLIFIERINC COM    COM            129900106      2555     176200 SH           Sole             176200
CAR ACC COM STK USD0.001       COM            144460102      9868     236000 SH           Sole             236000
CHASE MANHATTAN CORPCOM NEW    COM            16161A108     11306     150000 SH           Sole             150000
CHECKFREE HOLDINGS CORP        COM            162816102      4976     121000 SH           Sole             121000
CHEMDEX CORP COM               COM            163595101      6295     204315 SH           Sole             204315
CIENA CORP COM                 COM            171779101     83585    2290000 SH           Sole            2290000
CIRRUS LOGIC USD COM           COM            172755100        44       4000 SH           Sole               4000
CISCO SYS INC COM              COM            17275R102    116974    1706100 SH           Sole            1706100
CINTAS CORP COM                COM            172908105       578      10000 SH           Sole              10000
CITRIX SYSTEMS INC COM         COM            177376100     10418     168200 SH           Sole             168200
CLARIFY INC COM                COM            180492100      2742      54500 SH           Sole              54500
COMPAQ COMPUTER CORPCOM        COM            204493100     17464     763439 SH           Sole             763439
COMPUTER ASSOC INTL INC COM    COM            204912109     30563     500000 SH           Sole             500000
COMPUWARE CORP COM             COM            205638109     22966     881200 SH           Sole             881200
COMVERSE TECHNOLOGY INC        COM            205862402     95727    1015000 SH           Sole            1015000
CONCORD COMMUNICATIONS INC     COM            206186108     11448     288000 SH           Sole             288000
CONSECO INC COM                COM            208464107       760      40000 SH           Sole              40000
CORSAIR COMM INC COM           COM            220406102      2065     292424 SH           Sole             292424
COULTER PHARMACEUTICAL INC     COM            222116105       906      65000 SH           Sole              65000
CYPRESS SEMICONDUC CORP COM    COM            232806109     15992     743800 SH           Sole             743800
DATA BROADCASTING CORP         COM            237596101      1399     185000 SH           Sole             185000
DELL COMPUTER CORP COM         COM            247025109    147381    3524800 SH           Sole            3524800
DIGITAL INSIGHT CORP           COM            25385P106       270      18000 SH           Sole              18000
DOCUMENTUM INC COM             COM            256159104     17140     792600 SH           Sole             792600
DOUBLECLICK INC COM            COM            258609304     57061     479000 SH           Sole             479000
ECI TELECOM ILS.12             COM            268258100     14813     600000 SH           Sole             600000
E M C CORP MASS COM            COM            268648102     70376     986000 SH           Sole             986000
E-TEK DYNAMICS INC COM         COM            269240107     54521    1005000 SH           Sole            1005000
EBAY INC COM STK               COM            278642103     17633     125000 SH           Sole             125000
EINSTEIN/NOAH BAGEL CORP       COM            282577105        51      67700 SH           Sole              67700
ELEC ARTS COM                  COM            285512109     46031     636000 SH           Sole             636000
ENZON INC COM                  COM            293904108     13972     458100 SH           Sole             458100
ETOYS INC COM STK              COM            297862104     12287     184600 SH           Sole             184600
EXODUS COMMUNICATIONINC COM    COM            302088109     28357     393500 SH           Sole             393500
EXTREME NETWORKS INCUSD COM    COM            30226D106      3577      56500 SH           Sole              56500
FILENET CORP COM               COM            316869106      1218     114000 SH           Sole             114000
FORTE SOFTWARE INC COM         COM            349546101       715      26000 SH           Sole              26000
FOUNDRY NETWORKS INCCOM        COM            35063R100      1121       8900 SH           Sole               8900
GATEWAY INC COM                COM            367626108     42504     966000 SH           Sole             966000
GENERAL INSTRUMENT CORP COM    COM            370120107     15550     323950 SH           Sole             323950
GENESIS MICROCHIP INC COM      COM            371933102       354      20000 SH           Sole              20000
GENUS USD COM                  COM            372461103       125      55000 SH           Sole              55000
HMT TECH CORP COM              COM            403917107       175      50000 SH           Sole              50000
HNC SOFTWARE INC COM           COM            40425P107      7211     181700 SH           Sole             181700
HARMONIC INC COM STK           COM            413160102     93112     711800 SH           Sole             711800
HEARME CORP                    COM            62473C101      3136     272727 SH           Sole             272727
HI/FN INC COM STK              COM            428358105     22056     200050 SH           Sole             200050
HUTCHINSON TECHNOLOGY INC      COM            448407106     96854    3587200 SH           Sole            3587200
INFORMIX CORP COM              COM            456779107      6082     766200 SH           Sole             766200
INFOSPACE.COM INC COM STK      COM            45678T102     10939     266000 SH           Sole             266000
INKTOMI CORP COM               COM            457277101     33009     275000 SH           Sole             275000
INNOVEX INC COM                COM            457647105      2700     300000 SH           Sole             300000
INTEGRATED DEVICE TECH INC     COM            458118106     79365    4290000 SH           Sole            4290000
INTERGRATED SYS INC COM        COM            45812M104      2822     277000 SH           Sole             277000
INTEL CORP COM                 COM            458140100    143928    1936800 SH           Sole            1936800
INTERACTIVE PICTURES CORP COM  COM            45839N101       194       9000 SH           Sole               9000
INTERNAP NETWORK SERVICES CORP COM            45885A102      2231      50000 SH           Sole              50000
INTERNET CAP GRP COM           COM            46059C106      1933      22000 SH           Sole              22000
JTS CORPORATION COM            COM            465940104         1     337000 SH           Sole             337000
JDS UNIPHASE CORP              COM            46612J101    157938    1387700 SH           Sole            1387700
JDA SOFTWARE COM               COM            46612K108       736      63000 SH           Sole              63000
JABIL CIRCUIT INC COM          COM            466313103     48767     985200 SH           Sole             985200
JUNIPER NETWORKS INC           COM            48203R104     25525     140200 SH           Sole             140200
K TEL INTL INC COM NEW         COM            482724200      1040     183900 SH           Sole             183900
LAM RESH CORP COM              COM            512807108     18605     305000 SH           Sole             305000
LINEAR CORP USD COM            COM            535678106     83763    1425000 SH           Sole            1425000
LOISLAW.COM INC                COM            541431102       142       9800 SH           Sole               9800
LUCENT TECHNOLOGIES INC COM    COM            549463107    200973    3097855 SH           Sole            3097855
LYCOS INC COM                  COM            550818108     43087     859600 SH           Sole             859600
MARIMBA                        COM            56781Q109      1093      36600 SH           Sole              36600
MARKETWATCH.COM INC            COM            570619106      5883     124500 SH           Sole             124500
MATRITECH INC COM              COM            576818108       110      53500 SH           Sole              53500
MAXIM INTEGRATED PRODUCTS INC. COM            57772K101     76905    1218900 SH           Sole            1218900
MERCURY INTERACTIVE CORP       COM            589405109      6456     100000 SH           Sole             100000
MICROSOFT CORP COM             COM            594918104     64127     708100 SH           Sole             708100
MICRON TECHNOLOGY INC COM      COM            595112103     42560     640000 SH           Sole             640000
MONTANA PWR CO COM             COM            612085100     35308    1160000 SH           Sole            1160000
MPATH INTERACTIVE INC COM      COM            62473C101       288      25000 SH           Sole              25000
MYLEX CORP COM                 COM            628546103      2001     168500 SH           Sole             168500
NAT SEMICOND USD.5             COM            637640103      4970     162608 SH           Sole             162608
NETMANAGE INC COM              COM            641144100       446     216100 SH           Sole             216100
NETSCOUT SYSTEMS INC COM STK   COM            64115T104       954      44500 SH           Sole              44500
NETWORK PERIPHERALS INC        COM            64121R100      5192     284500 SH           Sole             284500
NEW ERA OF NETWORKS INC COM    COM            644312100     19700     911000 SH           Sole             911000
NEWBRIDGE CAD COM              COM            650901101     10243     393000 SH           Sole             393000
NEXTEL COMMUN COM              COM            65332V103     47130     695000 SH           Sole             695000
NORTEL NETWORKS COM            COM            656569100     35700     700000 SH           Sole             700000
OBJECTIVE SYS INTEG COM        COM            674424106       264     111000 SH           Sole             111000
ORACLE CORP COM                COM            68389X105    180094    3958100 SH           Sole            3958100
PMC SIERRA INC COM             COM            69344F106     78477     848400 SH           Sole             848400
PANDA PROJ INC COM             COM            69833F104         2      24200 SH           Sole              24200
PEOPLESOFT INC COM             COM            712713106      3909     230800 SH           Sole             230800
PHONE.COM INC                  COM            71920Q100     31164     205700 SH           Sole             205700
POWERWAVE TECH COM             COM            739363109     60876    1262500 SH           Sole            1262500
PRICELINE.COM INC COM          COM            741503106     11771     182500 SH           Sole             182500
PROVIDENT AMERN CORPCOM        COM            743832107      5176     342200 SH           Sole             342200
PROVIDIAN FINL CORP COM        COM            74406A102      1584      20000 SH           Sole              20000
QUALCOMM INC COM               COM            747525103     50135     265000 SH           Sole             265000
QUANTUM CORP COM               COM            747906105      7712     333500 SH           Sole             333500
RAMBUS INC COM                 COM            750917106     15834     239000 SH           Sole             239000
RED HAT INC USD COM            COM            756577102     19584     204000 SH           Sole             204000
REDBACK NETWORKS INC           COM            757209101     60534     560500 SH           Sole             560500
SDL INC COM                    COM            784076101     39148     513000 SH           Sole             513000
SANCHEZ COMP. ASSOCIATES COM   COM            799702105      9333     265700 SH           Sole             265700
SAP AG SPONS ADR               SPONSORED ADR  803054204      7550     200000 SH           Sole             200000
SEAGATE TECHNOLOGY COM         COM            811804103      8609     281100 SH           Sole             281100
SIEBEL SYS INC COM             COM            826170102     30181     453000 SH           Sole             453000
SILICON GRAPHICS INC COM       COM            827056102      2907    265,800 SH           Sole             265800
SKYMALL INC COM                COM            830859104         1        100 SH           Sole                100
SOUTHWEST SECS GROUPINC        COM            845224104       675      25000 SH           Sole              25000
SPORTSLINE USA INC COM         COM            848934105      3811     128900 SH           Sole             128900
STARWOOD FINANCIAL TRUST       COM            85568W104      2067      74000 SH           Sole              74000
SUN MICROSYS COM               COM            866810104     35377     380400 SH           Sole             380400
SYNOPSYS INC COM               COM            871607107      2246      40000 SH           Sole              40000
TALK CITY INC COM STK          COM            874263106       170      20000 SH           Sole              20000
TELLABS INC COM                COM            879664100     54367     954850 SH           Sole             954850
TERADYNE INC                   COM            880770102      1032      29270 SH           Sole              29270
3COM CORP COM                  COM            885535104     43391    1509250 SH           Sole            1509250
TITAN CORP COM                 COM            888266103      4025     280000 SH           Sole             280000
TIVO INC COM STK               COM            888706108       269       9000 SH           Sole               9000
THE STREET.COM                 COM            88368Q103     24229    1336767 SH           Sole            1336767
TRIDENT MICROSYSTEMSINC COM    COM            895919108       833     101000 SH           Sole             101000
TUMBLEWEED COMMUNICATIONS CORP COM            899690101       114       4250 SH           Sole               4250
TUT SYSTEMS INC COM STK        COM            901103101      1239      48000 SH           Sole              48000
TYCO INTERNATIONAL LTD COM     COM            902124106      9816      95075 SH           Sole              95075
UNITEDGLOBALCOM INC CL-A COM   COM            913247508    100590    1404400 SH           Sole            1404400
VANTIVE CORP COM               COM            922091103      2520     290100 SH           Sole             290100
VERITAS SOFTWARE COM           COM            923436109      3797      50000 SH           Sole              50000
VERITY INC COM                 COM            92343C106      5058      73500 SH           Sole              73500
WEBTRENDS CORP COM STK         COM            94844D104     14082     316000 SH           Sole             316000
WESTERN DIGITAL CORPCOM        COM            958102105      2681     727000 SH           Sole             727000
XILINX USD COM                 COM            983919101     52851     806500 SH           Sole             806500
YAHOO INC COM                  COM            984332106    417876    2328000 SH           Sole            2328000
ZOOM TELEPHONICS INCCOM        COM            98976E103       176      35000 SH           Sole              35000
GALILEO TECHNOLOGY LTD COM     COM            M47298100     12750     510000 SH           Sole             510000
RADWARE LTD COM STK            COM            M81873107       440      16000 SH           Sole              16000
BAAN CO NV NY SHS              SPONSORED ADR  N08044104      3922     270500 SH           Sole             270500
FLEXTRONICS INTL USD           COM            Y2573F102      6401     110000 SH           Sole             110000
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                                                        4,980,048 94,766,018                           94,766,018
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