RLH MANAGEMENT
13F-HR, 1999-08-16
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

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

Check here if Amendment [X]; Amendment Number: 6

This Amendment (check only one):            [X] is a restatement.
[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:             RLH Management
Address:          1114 Avenue of the Americas
                  New York, NY  10036

13F File Number:  28-6874

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 informa
tion 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:    Richard L. Haydon
Title:   Managing General Partner
Phone:   (212) 277-5606

Signature, Place, and Date of Signing:

          /s/ Richard L. Haydon     New York, NY
          ---------------------
         [Signature]                [City, State]

         August 13, 1999
         [Date]
<PAGE>


Report Type (Check only one):

[ X]     13F HOLDINGS REPORT.  (Check here if all holdings of this
         reporting manager are reported in this report.)

[  ]     13F NOTICE.  (Check here if no holdings reported are in this
         report, and all holdings are reported by other reporting
         manager(s).)

[  ]     13F COMBINATION REPORT.  (Check here if a portion of the
         holdings for this reporting manager are reported in this
         report and a portion are reported by other reporting manager(s).)


<PAGE>

                              FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:              0

Form 13F Information Table Entry Total:         65

Form 13F Information Table Value Total:     $ 152,704
                                            (thousands)


List of Other Included Managers:

NONE

<PAGE>

<TABLE>
<CAPTION>
                                                         FORM 13F INFORMATION TABLE


            COLUMN 1                                                    COLUMN 2           COLUMN 3        COLUMN 4         COLUMN 5
- --------------------------                                              --------           --------        --------         --------
                                                                                                           VALUE            SHRS OR
NAME OF ISSUER                                                     TITLE OF CLASS          CUSIP           (x$1000)         PRN AMT
- --------------------------                                         --------------          -----           --------         -------

<S>                                                                     <C>                <C>                 <C>          <C>
ADVANTICA RESTAURANT
   GROUP INC                                                            COM                00758B 10 9      $1,495      434,930
ALLOY ONLINE INC                                                        COM                019855 10 5        $178       15,600
ARK RESTAURANTS CORP                                                    COM                040712 10 1        $216       19,600
BEC ENERGY                                                              COM                05538M 10 1        $825       20,000
BERGEN BRUNSWIG CORP                                                    CL A               083739 10 2      $5,378      311,701
BEVERLY ENTERPRISES INC                                                 COM                087851 10 1      $4,042      501,300
CENDANT CORP                                                            COM                151313 10 3      $7,094      346,000
COLE NATIONAL CORP                                                      CL A               193290 10 3      $1,637      206,200
CONECTIV INC                                                            COM                206829 10 3      $1,832       75,000
CONSORCIO G GRUPO DINA SA CV                                            COM                210306 20 5         $45       30,000
CORAM HEATHCARE CORP                                                    COM                218103 10 9      $3,680    2,103,204
COYOTE NETWORK SYSTEMS INC                                              COM                22406P 10 8      $1,431      264,630
DATA BROADCASTING CORP                                                  COM                237596 10 1        $137       13,000
DELPHI AUTOMOTIVE SYS CORP                                              COM                247126 10 5        $260       14,000
DELTA WOODPSIDE INDS INC NEW                                            COM                247909 10 4      $1,261      214,600
EASTERN UTILS ASSOC                                                     COM                277173 10 0        $292       10,000
EDISON INTL                                                             COM                281020 10 7      $5,303      198,250
EL PASO ELEC CO                                                         COM NEW            283677 85 4      $4,645      519,800
ENTERGY CORP NEW                                                        COM                29364G 10 3        $250        8,000
FASHIONMALL COM                                                         COM                31186K 10 6        $393       54,700
FLANDERS CORP                                                           COM                338494 10 7        $106       30,000
FRANCHISE FIN CORP AMER                                                 COM                351807 10 2      $1,558       70,000
FRIENDLY ICE CREAM CORP NEW                                             COM                358497 10 5         $80       10,000
GERALD STEVENS INC                                                      COM                37369G 10 1        $574       47,800
GREYHOUND LINES INC                                                     SB DEB CV 8.5%07   398048 AD 0        $294        9,000
GRIFFON CORP                                                            COM                398433 10 2      $4,335      554,775
HAWAIIAN AIRLS INC NEW                                                  COM                419849 10 4      $2,114      787,116
HEARST-ARGYLE TELEVISION INC                                            COM                422317 10 7        $236        9,834
ILLINOVA CORP                                                           COM                452317 10 0      $1,363       50,000
KEYSPAN ENERGY                                                          COM                49337K 10 6        $791       30,000
KEYSTONE AUTOMOTIVE                                                     COM                49338N 10 9      $1,675       96,400
 INDS INC
LAIDLAW INC                                                             COM                50730K 50 3        $296       40,000
MARINER POST-ACUTE                                                      COM                568459 10 1          $6       10,719
 NETWORK INC
MIDCAP SPDR TR                                                          UNIT SER 1         595635 10 3      $2,039       26,000
MILLER HERMAN INC                                                       COM                600544 10 0      $1,785       85,000
MARK IV INDS INC                                                        COM                570387 10 0      $9,328      441,523
MAXIM GROUP INC                                                         COM                57772J 10 4      $3,047      350,800
NAVISTAR INTL CORP NEW                                                  COM                63934E 10 8      $5,200      104,000
NCR CORP NEW                                                            COM                62886E 10 8      $3,661       75,000
NIAGRA MOHAWK HLDGS INC                                                 COM                653520 10 6        $649       40,400
NOVELL INC                                                              COM                670006 10 5     $16,071      606,500
O'SULLIVAN INDS HLDGS INC                                               COM                688609 10 6      $9,202      541,300
PENN TREATY AMERN CORP                                                  COM                707874 10 3      $1,805       75,000
PHILIP SERVICES CORP                                                    COM                71819M 10 3        $846    3,254,900
PLATINUM TECHNOLOGY INC                                                 COM                72764T 10 1        $524       18,000
PRIME HOSPITALITY CORP                                                  COM                741917 10 8      $9,415      787,930
PROTECTION ONE INC                                                      COM                743663 30 4        $430       80,000
PUBLIC SVC ENTERPRISE GROUP                                             COM                744573 10 6      $2,375       58,200
PULITZER INC                                                            COM                745769 10 9        $219        4,500
QUADRAMED CORP                                                          COM                74730W 10 1      $8,097      996,700
QUIXOTE CORP                                                            COM                749056 10 7        $244       20,000
ROCHESTER GAS & ELEC CORP                                               COM                771367 10 9      $1,063       40,000
SCHWAB CHARLES CORP NEW                                                 COM                808513 10 5      $1,308       12,000
SIZZLER INTL INC                                                        COM                830139 10 1        $590      262,100
<PAGE>

            COLUMN 1                                                    COLUMN 2           COLUMN 3        COLUMN 4         COLUMN 5
- --------------------------                                              --------           --------        --------         --------
                                                                                                           VALUE            SHRS OR
NAME OF ISSUER                                                     TITLE OF CLASS          CUSIP           (x$1000)         PRN AMT
- --------------------------                                         --------------          -----           --------         -------

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

STEELCASE INC                                                           CL A               858155 20 3        $500       25,000
SUN BANCORP INC                                                         COM                866634 10 8        $272       15,540
SUN HEALTHCARE GROUP INC                                                COM                866933 10 4         $11       29,000
US VISION INC                                                           COM                009033 9M 1        $180       34,500
UNISYS CORP                                                             COM                909214 10 8      $7,883      202,456
UNISYS CORP                                                             PFD A CV $3.75     909214 20 7        $475        7,296
UTILICORP UTD INC                                                       COM                918005 10 9        $210        8,625
VISION TWENTY-ONE INC                                                   COM                92831N 10 1        $158       19,000
WANG LABS INC NEW                                                       COM                93369N 10 9          $0       49,900
WESTERN RES INC                                                         COM                959425 10 9      $9,870      370,700
ZIPLINK INC                                                             COM                989741 10 3      $1,425      114,000



            COLUMN 1                                      COLUMN 6         COLUMN 7                  COLUMN 8
            --------                                      --------         --------     --------     --------   --------
                                               SH/ PUT/   INVESTMENT       OTHER              VOTING AUTHORITY
NAME OF ISSUER                                 PRN CALL   DISCRETION       MANAGERS     SOLE         SHARED     NONE
                                               --------   --------         --------     --------     --------   --------


<S>                                            <C>         <C>               <C>           <C>          <C>        <C>
ADVANTICA RESTAURANT
   GROUP INC                                              SOLE                         434,930
ALLOY ONLINE INC                                          SOLE                          15,600
ARK RESTAURANTS CORP                                      SOLE                          19,600
BEC ENERGY                                                SOLE                          20,000
BERGEN BRUNSWIG CORP                                      SOLE                         311,701
BEVERLY ENTERPRISES INC                                   SOLE                         501,300
CENDANT CORP                                              SOLE                         346,000
COLE NATIONAL CORP                                        SOLE                         206,200
CONECTIV INC                                              SOLE                          75,000
CONSORCIO G GRUPO DINA SA CV                              SOLE                          30,000
CORAM HEATHCARE CORP                                      SOLE                       2,103,204
COYOTE NETWORK SYSTEMS INC                                SOLE                         264,630
DATA BROADCASTING CORP                                    SOLE                          13,000
DELPHI AUTOMOTIVE SYS CORP                                SOLE                          14,000
DELTA WOODPSIDE INDS INC NEW                              SOLE                         214,600
EASTERN UTILS ASSOC                                       SOLE                          10,000
EDISON INTL                                               SOLE                         198,250
EL PASO ELEC CO                                           SOLE                         519,800
ENTERGY CORP NEW                                          SOLE                           8,000
FASHIONMALL COM                                           SOLE`                         54,700
FLANDERS CORP                                             SOLE                          30,000
FRANCHISE FIN CORP AMER                                   SOLE                          70,000
FRIENDLY ICE CREAM CORP NEW                               SOLE                          10,000
GERALD STEVENS INC                                        SOLE                          47,800
GREYHOUND LINES INC                                       SOLE                           9,000
GRIFFON CORP                                              SOLE                         554,775
HAWAIIAN AIRLS INC NEW                                    SOLE                         787,116
HEARST-ARGYLE TELEVISION INC                              SOLE                           9,834
ILLINOVA CORP                                             SOLE                          50,000
KEYSPAN ENERGY                                            SOLE                          30,000
KEYSTONE AUTOMOTIVE                                       SOLE                          96,400
 INDS INC
LAIDLAW INC                                               SOLE                          40,000
MARINER POST-ACUTE                                        SOLE                          10,719
 NETWORK INC
MIDCAP SPDR TR                                            SOLE                          26,000
MILLER HERMAN INC                                         SOLE                          85,000
MARK IV INDS INC                                          SOLE                         441,523
MAXIM GROUP INC                                           SOLE                         350,800
NAVISTAR INTL CORP NEW                                    SOLE                         104,000
NCR CORP NEW                                              SOLE                          75,000
NIAGRA MOHAWK HLDGS INC                                   SOLE                          40,400
NOVELL INC                                                SOLE                         606,500
O'SULLIVAN INDS HLDGS INC                                 SOLE                         541,300
PENN TREATY AMERN CORP                                    SOLE                          75,000
PHILIP SERVICES CORP                                      SOLE                       3,254,900
PLATINUM TECHNOLOGY INC                                   SOLE                          18,000
PRIME HOSPITALITY CORP                                    SOLE                         787,930
<PAGE>

            COLUMN 1                                      COLUMN 6         COLUMN 7                  COLUMN 8
            --------                                      --------         --------     --------     --------   --------
                                               SH/ PUT/   INVESTMENT       OTHER              VOTING AUTHORITY
NAME OF ISSUER                                 PRN CALL   DISCRETION       MANAGERS     SOLE         SHARED     NONE
                                               --------   --------         --------     --------     --------   --------


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

PROTECTION ONE INC                                        SOLE                          80,000
PUBLIC SVC ENTERPRISE GROUP                               SOLE                          58,200
PULITZER INC                                              SOLE                           4,500
QUADRAMED CORP                                            SOLE                         996,700
QUIXOTE CORP                                              SOLE                          20,000
ROCHESTER GAS & ELEC CORP                                 SOLE                          40,000
SCHWAB CHARLES CORP NEW                                   SOLE                          12,000
SIZZLER INTL INC                                          SOLE                         262,100
STEELCASE INC                                             SOLE                          25,000
SUN BANCORP INC                                           SOLE                          15,540
SUN HEALTHCARE GROUP INC                                  SOLE                          29,000
US VISION INC                                             SOLE                          34,500
UNISYS CORP                                               SOLE                         202,456
UNISYS CORP                                               SOLE                           7,296
UTILICORP UTD INC                                         SOLE                           8,625
VISION TWENTY-ONE INC                                     SOLE                          19,000
WANG LABS INC NEW                                         SOLE                          49,900
WESTERN RES INC                                           SOLE                         370,700
ZIPLINK INC                                               SOLE                         114,000


</TABLE>


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