FURMAN SELZ CAPITAL MANAGEMENT LLC/NY
13F-HR, 1999-04-27
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<PAGE>
                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20543

                                    Form 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended 3/31/98

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:    Furman Selz Capital Management LLC
Address: 230 Park Avenue
         New York, NY 10169

Form 13F File Number: 28-7184

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:  Steven D. Blecher
Title: Vice Chairman
Phone: 212-309-8373

Signature, Place and Date of Signing:

       /s/ Steven D. Blecher             New York, NY            4/13/99
       ---------------------            -------------            -------
            (Signature)                 (City, State)             (Date)

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).)


List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

      Form 13F File Number      Name

      28-_________              ________________________________________________

<PAGE>

                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:       __________

Form 13F Information Table Entry Total:         561

Form 13F Information Table Value Total:  $9,364,500 (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.)

      No.      Form 13F File Number      Name

      01       28-7516                   ING Mutual Funds Management Co. LLC

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
A T & T CORP.                                       COM            001957109            76420               957,496            SH   
AAR CORP COM                                        COM            000361105             7698               432,194            SH   
ABBOTT LABS                                         COM            002824100            58338             1,246,200            SH   
ABERCROMBIE & FITCH CO                              COM            002896207             2586                28,036            SH   
ABM INDS INC COM                                    COM            000957100             6488               212,720            SH   
ACXIOM CORP COM                                     COM            005125109            22196               837,600            SH   
ADAPTEC INC                                         COM            00651F108            15889               696,500            SH   
ADVENT SOFTWARE INC COM                             COM            007974108             9716               194,319            SH   
AEROQUIP-VICKERS INC                                COM            007869100            20621               359,800            SH   
AFC CABLE SYSTEMS INC                               COM            000950105             8491               285,400            SH   
AGOURON PHARMACEUTICALS INC                         COM            008488108            22105               390,800            SH   
AIR TOUCH COMMUNICATIONS                            COM            00949T100            96719             1,000,969            SH   
AIRGAS INC                                          COM            009363102             1185               141,500            SH   
AKORN INC                                           COM            009728106              249                60,000            SH   
ALBERTA ENERGY LTD COM                              COM            012873105              369                15,000            SH   
ALCOA INC                                           COM            013817101            66823             1,622,400            SH   
ALLIED SIGNAL INC                                   COM            019512102             1788                36,360            SH   
ALLSTATE CORP                                       COM            020002101             1312                35,400            SH   
ALTERA CORP                                         COM            021441100              302                 5,075            SH   
AMERICA ONLINE INC                                  COM            02364J104            16846               114,600            SH   
AMERICAN BANKERS INS GROUP INC                      COM            024456105            22937               441,100            SH   
AMERICAN EXPRESS CO                                 COM            025816109             1707                14,500            SH   
AMERICAN GENERAL CORP                               COM            026351106             6781                96,190            SH   
AMERICAN HOME PRODS COR                             COM            026609107           100208             1,535,750            SH   
AMERICAN INTERNATIONAL GROUP                        COM            026874108            39647               328,683            SH   
AMERICAN MGMT SYSTEMS                               COM            027352103            25851               757,553            SH   
AMERICAN ONCOLOGY RES INC COM                       COM            028910107             8686               965,062            SH   
AMERICAN PWR CONVERSION CORP                        COM            029066107            24368               902,500            SH   
AMERICAN STANDARD COS                               COM            029712106            34128               992,800            SH   
AMERICAN STORES CO NEW                              COM            030096101             6686               202,600            SH   
AMERIN CORP                                         COM            03070X106              589                29,000            SH   
AMERISOURCE HEALTH CORP CL A                        COM            03071P102            27144               793,988            SH   
AMERITECH CORP NEW                                  COM            030954101            20558               356,762            SH   
AMGEN INC                                           COM            031162100            16551               221,050            SH   
AMP INC                                             COM            031897101            48621               908,619            SH   
AMR CORP                                            COM            001765106            49679               848,300            SH   
AMSOUTH BANCORP                                     COM            032165102             5727               125,870            SH   
ANALOG DEVICES INC                                  COM            032654105            42019             1,412,400            SH   
ANGLOGOLD LTD SPONSERED ADR                         COM            035128206              322                16,000            SH   
ANHEUSER BUSCH COS INC                              COM            035229103             1401                18,400            SH   
ANTEC CORP                                          COM            03664P105            13768               640,373            SH   
APOLLO GROUP INC CL A                               COM            037604105             6763               226,364            SH   
APPLIED MATLS INC                                   COM            038222105            55377               897,700            SH   
APPLIED PWR INC CL A                                COM            038225108            19833               727,812            SH   
APTARGROUP INC. COM                                 COM            038336103            11365               437,101            SH   
ARC INTL CORP                                       COM            001905108              657               437,950            SH   
ARCH CHEMICALS INC                                  COM            03937R102            15382               918,300            SH   
ARROW ELECTRS INC                                   COM            042735100            39692             2,646,100            SH   
ASCEND COMMUNICATIONS                               COM            043491109            71888               859,000            SH   
ASPECT DEV INC COM                                  COM            045234101             1809                77,790            SH   
ASSOCIATES FIRST CAP CORP CL A                      COM            046008108              311                 6,908            SH   
</TABLE>                                                    

<PAGE>

                                [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>              <C>             <C>         <C>             <C>             <C>     
                                                                                                                                    
A T & T CORP.                                                SOLE                       441949                          515547      
AAR CORP COM                                                 SOLE                        40400                          391794      
ABBOTT LABS                                                  SOLE                       584500                          661700      
ABERCROMBIE & FITCH CO                                       SOLE                        28036                                      
ABM INDS INC COM                                             SOLE                        92960                          119760      
ACXIOM CORP COM                                              SOLE                       176180                          661420      
ADAPTEC INC                                                  SOLE                       301300                          395200      
ADVENT SOFTWARE INC COM                                      SOLE                        52700                          141619      
AEROQUIP-VICKERS INC                                         SOLE                       359800                                      
AFC CABLE SYSTEMS INC                                        SOLE                       285400                                      
AGOURON PHARMACEUTICALS INC                                  SOLE                       390800                                      
AIR TOUCH COMMUNICATIONS                                     SOLE                       831344                          169625      
AIRGAS INC                                                   SOLE                       141500                                      
AKORN INC                                                    SOLE                        60000                                      
ALBERTA ENERGY LTD COM                                       SOLE                            0                           15000      
ALCOA INC                                                    SOLE                       730200                          892200      
ALLIED SIGNAL INC                                            SOLE                        35200                            1160      
ALLSTATE CORP                                                SOLE                        35400                                      
ALTERA CORP                                                  SOLE                        4600                              475      
AMERICA ONLINE INC                                           SOLE                        19880                           94720      
AMERICAN BANKERS INS GROUP INC                               SOLE                       441100                                      
AMERICAN EXPRESS CO                                          SOLE                         9500                            5000      
AMERICAN GENERAL CORP                                        SOLE                        24210                           71980      
AMERICAN HOME PRODS COR                                      SOLE                       666450                          869300      
AMERICAN INTERNATIONAL GROUP                                 SOLE                       161063                          167620      
AMERICAN MGMT SYSTEMS                                        SOLE                       185680                          571873      
AMERICAN ONCOLOGY RES INC COM                                SOLE                       342030                          623032      
AMERICAN PWR CONVERSION CORP                                 SOLE                       345600                          556900      
AMERICAN STANDARD COS                                        SOLE                       439200                          553600      
AMERICAN STORES CO NEW                                       SOLE                       202600                                      
AMERIN CORP                                                  SOLE                        29000                                      
AMERISOURCE HEALTH CORP CL A                                 SOLE                       197940                          596048      
AMERITECH CORP NEW                                           SOLE                        80540                          276222      
AMGEN INC                                                    SOLE                        35260                          185790      
AMP INC                                                      SOLE                       908619                                      
AMR CORP                                                     SOLE                       384800                          463500      
AMSOUTH BANCORP                                              SOLE                        16400                          109470      
ANALOG DEVICES INC                                           SOLE                       606300                          806100      
ANGLOGOLD LTD SPONSERED ADR                                  SOLE                        16000                                      
ANHEUSER BUSCH COS INC                                       SOLE                        18400                                      
ANTEC CORP                                                   SOLE                       196045                          444328      
APOLLO GROUP INC CL A                                        SOLE                        69175                          157189      
APPLIED MATLS INC                                            SOLE                       413000                          484700      
APPLIED PWR INC CL A                                         SOLE                       192270                          535542      
APTARGROUP INC. COM                                          SOLE                       108690                          328411      
ARC INTL CORP                                                SOLE                        89500                          348450      
ARCH CHEMICALS INC                                           SOLE                       446500                          471800      
ARROW ELECTRS INC                                            SOLE                      1180800                         1465300      
ASCEND COMMUNICATIONS                                        SOLE                       742900                          116100      
ASPECT DEV INC COM                                           SOLE                        14280                           63510      
ASSOCIATES FIRST CAP CORP CL A                               SOLE                         6900                               8      
</TABLE>
                                          

<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
ASTORIA FINANCIAL CORP                              COM            046265104            17007              340,144            SH    
ASTRA AB-SPONSORED ADR                              COM            046298105             9576              417,500            SH    
AT HOME CORP COM SER A                              COM            045919107            14701               93,340            SH    
AT&T CORP LIBERTY MEDIA GROUP                       COM            001957208            67453            1,282,295            SH    
ATLANTIC COAST AIRLS HLDGS ICO                      COM            048396105            14099              501,285            SH    
ATLANTIC RICHFIELD CO                               COM            048825103            57081              780,600            SH    
AUDIOVOX CORP CL A                                  COM            050757103              331               50,000            SH    
AUTOMATIC DATA PROCESSING                           COM            053015103             7280              175,950            SH    
AVIALL INC NEW                                      COM            05366B102             4695              302,900            SH    
AVNET INC                                           COM            053807103            37349            1,016,300            SH    
AVON PRODUCTS INC                                   COM             54303102              216                4,600            SH    
AVONDALE INDUSTRIES INC                             COM            054350103             4493              152,300            SH    
AXENT TECHNOLOGIES INC COM                          COM            05459C108             8582              356,665            SH    
BA MERCHANT SERVICES INC-CL A                       COM            055239107             4741              232,700            SH    
BALLANTYNE OMAHA INC COM                            COM            058516105             1664              221,809            SH    
BALLARD MEDICAL PRODUCTS                            COM            058566100            11381              466,900            SH    
BANK OF NEW YORK INC                                COM            064057102            31571              878,504            SH    
BANK ONE CORP                                       COM            06423A103           109432            1,987,410            SH    
BANK PLUS CORP                                      COM            064446AA5             2063            2,500,000            SH    
BANKAMERICA CORP NEW                                COM            06605F102           100257            1,419,570            SH    
BANKERS TRUST NEW YORK CORP                         COM            066365107            28390              321,700            SH    
BARRICK GOLD CORP                                   COM            067901108            14043              823,010            SH    
BAXTER INTL INC                                     COM            071813109            88181            1,336,082            SH    
BCAM INTL INC                                       COM            055293104               10              161,500            SH    
BE AEROSPACE INC                                    COM            073302101             3014              204,351            SH    
BECTON DICKINSON & CO                               COM            075887109             6102              159,280            SH    
BELL ATLANTIC CORP                                  COM            077853109            74590            1,443,090            SH    
BELLSOUTH CORP                                      COM            079860102            17805              444,428            SH    
BERKSHIRE HATHAWAY INC DEL                          COM            084670108              357                    5            SH    
BESTFOODS COM                                       COM            08658U101            52884            1,125,200            SH    
BIOGEN N V                                          COM            090597105              892                7,800            SH    
BIOMET INC                                          COM            090613100            10168              242,450            SH    
BLACK & DECKER CORP                                 COM            091797100            36567              659,600            SH    
BLACK BOX CORP COM                                  COM            091826107            10954              353,365            SH    
BLYTH INDS INC COM                                  COM            09643P108            11475              485,700            SH    
BOEING CO                                           COM            097023105              724               21,300            SH    
BORG WARNER AUTOMOTIVE INC COM                      COM            099724106            11617              242,970            SH    
BOWATER INC                                         COM            102183100            27730              699,800            SH    
BP AMOCO P L C                                      COM            055622104             7258               71,857            SH    
BRIGHTPOINT INC COM                                 COM            109473108              137               23,166            SH    
BRIO INDS INC                                       COM            10970E104              275              220,000            SH    
BRISTOL MYERS SQUIBB CO                             COM            110122108            79938            1,246,590            SH    
BROADCAST COM INC COM                               COM            111310108             1028                8,700            SH    
BROWNING FERRIS INDUSTRIES INC                      COM            115885105            16119              418,000            SH    
BRYLANE INC                                         COM            117661108             9967              411,000            SH    
BURLINGTON NORTHN SANTA                             COM            12189T104            54911            1,670,300            SH    
BUTLER INTERNATIONAL INC NEW                        COM            123649105              623               34,500            SH    
C H ROBINSON WORLDWIDE INC COM                      COM            12541W100             3778              148,525            SH    
CABLETEL COMMUNICATIONS                             COM            126925106              118               53,900            SH    
CALGON CARBON CORP                                  COM            129603106              371               71,500            SH    
CALIFORNIA FEDERAL BANK-A FSB                       COM            130209604             1705              155,000            SH    
</TABLE>


<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
ASTORIA FINANCIAL CORP                                      SOLE                       109860                           230284      
ASTRA AB-SPONSORED ADR                                      SOLE                       417500                                       
AT HOME CORP COM SER A                                      SOLE                        15510                            77830      
AT&T CORP LIBERTY MEDIA GROUP                               SOLE                       580948                           701347      
ATLANTIC COAST AIRLS HLDGS ICO                              SOLE                       136780                           364505      
ATLANTIC RICHFIELD CO                                       SOLE                       435000                           345600      
AUDIOVOX CORP CL A                                          SOLE                        50000                                       
AUTOMATIC DATA PROCESSING                                   SOLE                        70340                           105610      
AVIALL INC NEW                                              SOLE                       302900                                       
AVNET INC                                                   SOLE                       450900                           565400      
AVON PRODUCTS INC                                           SOLE                          400                             4200      
AVONDALE INDUSTRIES INC                                     SOLE                       152300                                       
AXENT TECHNOLOGIES INC COM                                  SOLE                       106290                           250375      
BA MERCHANT SERVICES INC-CL A                               SOLE                       232700                                       
BALLANTYNE OMAHA INC COM                                    SOLE                        45350                           176459      
BALLARD MEDICAL PRODUCTS                                    SOLE                       466900                                       
BANK OF NEW YORK INC                                        SOLE                       339864                           538640      
BANK ONE CORP                                               SOLE                       879300                          1108110      
BANK PLUS CORP                                              SOLE                      2500000                                       
BANKAMERICA CORP NEW                                        SOLE                       660865                           758705      
BANKERS TRUST NEW YORK CORP                                 SOLE                       321700                                       
BARRICK GOLD CORP                                           SOLE                       443360                           379650      
BAXTER INTL INC                                             SOLE                       630547                           705535      
BCAM INTL INC                                               SOLE                        30000                           131500      
BE AEROSPACE INC                                            SOLE                       124510                            79841      
BECTON DICKINSON & CO                                       SOLE                        87150                            72130      
BELL ATLANTIC CORP                                          SOLE                       700462                           742628      
BELLSOUTH CORP                                              SOLE                       108440                           335988      
BERKSHIRE HATHAWAY INC DEL                                  SOLE                            0                                5      
BESTFOODS COM                                               SOLE                       506100                           619100      
BIOGEN N V                                                  SOLE                         4600                             3200      
BIOMET INC                                                  SOLE                        42660                           199790      
BLACK & DECKER CORP                                         SOLE                       292100                           367500      
BLACK BOX CORP COM                                          SOLE                        96780                           256585      
BLYTH INDS INC COM                                          SOLE                       132440                           353260      
BOEING CO                                                   SOLE                        21300                                       
BORG WARNER AUTOMOTIVE INC COM                              SOLE                        52569                           190401      
BOWATER INC                                                 SOLE                       317600                           382200      
BP AMOCO P L C                                              SOLE                            0                            71857      
BRIGHTPOINT INC COM                                         SOLE                            0                            23166      
BRIO INDS INC                                               SOLE                        29700                           190300      
BRISTOL MYERS SQUIBB CO                                     SOLE                       541820                           704770      
BROADCAST COM INC COM                                       SOLE                         1500                             7200      
BROWNING FERRIS INDUSTRIES INC                              SOLE                       418000                                       
BRYLANE INC                                                 SOLE                       411000                                       
BURLINGTON NORTHN SANTA                                     SOLE                       759700                           910600      
BUTLER INTERNATIONAL INC NEW                                SOLE                        34500                                       
C H ROBINSON WORLDWIDE INC COM                              SOLE                        79760                            68765      
CABLETEL COMMUNICATIONS                                     SOLE                        16000                            37900      
CALGON CARBON CORP                                          SOLE                        71500                                       
CALIFORNIA FEDERAL BANK-A FSB                               SOLE                       155000                                       
</TABLE>                                                    



<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
CAMPBELL SOUP CO                                    COM            134429109             1127                27,700           SH    
CAPITAL ONE FINL CORP                               COM            14040H105            17044               112,875           SH    
CARDINAL HEALTH INC                                 COM            14149Y108             7121               107,892           SH    
CAREER ED CORP COM                                  COM            141665109             1513                43,700           SH    
CARLISLE COS INC COM                                COM            142339100            17884               382,556           SH    
CASELLA WASTE SYS INC CL A                          COM            147448104             8400               372,290           SH    
CATERPILLAR INC DEL                                 COM            149123101              997                21,700           SH    
CBS CORP                                            COM            12490K107            43494             1,065,700           SH    
CELADON GROUP INC                                   COM            150838100             4732               582,400           SH    
CELLULAR COMMUNICATIONS P R                         COM            15116N108             3672               136,000           SH    
CENDANT CORPORATION                                 COM            151313103             1512                94,841           SH    
CENTENNIAL HEALTHCARE CORP                          COM            150937100             2684               302,700           SH    
CENTEX CONSTR  PRODS INC COM                        COM            15231R109              265                 7,600           SH    
CENTEX CORPORATION                                  COM            152312104             5318               159,344           SH    
CENTRIS GROUP INC (THE)                             COM            155904105             6233               590,100           SH    
CENTURY COMMUNICATIONS CORP                         COM            156503104             3344                72,000           SH    
CERIDIAN CORP                                       COM            15677T106              336                 9,200           SH    
CHAMPION ENTERPRISES INC                            COM            158496109             4256               219,651           SH    
CHANCELLOR MEDIA CORP COM                           COM            158915108             5190               110,137           SH    
CHARTER ONE FINCL INC COM                           COM            160903100             3155               109,326           SH    
CHASE MANHATTAN CORPORATION                         COM            16161A108            75733               930,667           SH    
CHATCOM INC COM                                     COM            161723101                9               173,832           SH    
CHEVRON CORPORATION                                 COM            166751107             3160                35,600           SH    
CHIC BY H I S INC                                   COM            167113109             3147             1,325,000           SH    
CIGNA CORP                                          COM            125509109            12177               145,290           SH    
CILCORP INC                                         COM            171794100             7994               133,100           SH    
CISCO SYSTEMS INC                                   COM            17275R102           108683               991,975           SH    
CITIGROUP INC.                                      COM            172967101           105268             1,648,039           SH    
CITRIX SYSTEMS                                      COM            177376100            28340               743,462           SH    
CITY NATL CORP COM                                  COM            178566105             9534               308,808           SH    
CLIMAX INTERNATIONAL                                COM            006204527                1               125,000           SH    
CMI CORP-OKLA CL A                                  COM            125761304              394                63,000           SH    
CNF TRANSN INC                                      COM            12612W104            46146             1,220,400           SH    
COCA COLA CO                                        COM            191216100            38334               624,591           SH    
COLGATE-PALMOLIVE CO                                COM            194162103            43728               475,300           SH    
COLLAGEN CORP                                       COM            194194106             2737               203,700           SH    
COLUMBIA LABORATORIES INC                           COM            197779101              460                77,500           SH    
COMAIR INC                                          COM            199789108             5065               214,383           SH    
COMDISCO INC                                        COM            200336105             7621               426,360           SH    
COMMERCIAL FEDERAL CORP                             COM            201647104              312                13,448           SH    
COMMSCOPE INC COM                                   COM            203372107            15143               723,250           SH    
COMMUNITY FIRST BANKSHARES COM                      COM            203902101             7902               395,095           SH    
COMPAQ COMPUTER CORP                                COM            204493100             2838                89,575           SH    
COMPUTER ASSOC INTL INC                             COM            204912109                0               916,275           SH    
COMPUTER SCIENCES CORP                              COM            205363104              386                 7,000           SH    
COMVERSE TECHNOLOGY INC COM                         COM            205862402            36435               428,649           SH    
CONCORD EFS INC                                     COM            206197105             5142               186,545           SH    
CONMED CORP COM                                     COM            207410101             8340               269,035           SH    
CONSOLIDATED STORES COR                             COM            210149100            43932             1,449,300           SH    
CONTROL DEVICES INC                                 COM            21238C103             3439               214,300           SH    
CORECOMM LIMITED                                    COM            G2422R109             5421               147,500           SH    
</TABLE>



<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
CAMPBELL SOUP CO                                             SOLE                        27700                                      
CAPITAL ONE FINL CORP                                        SOLE                        61500                            51375     
CARDINAL HEALTH INC                                          SOLE                        18769                            89123     
CAREER ED CORP COM                                           SOLE                        31300                            12400     
CARLISLE COS INC COM                                         SOLE                       104870                           277686     
CASELLA WASTE SYS INC CL A                                   SOLE                       156110                           216180     
CATERPILLAR INC DEL                                          SOLE                        21700                                      
CBS CORP                                                     SOLE                       456100                           609600     
CELADON GROUP INC                                            SOLE                       582400                                      
CELLULAR COMMUNICATIONS P R                                  SOLE                       136000                                      
CENDANT CORPORATION                                          SOLE                        56200                            38641     
CENTENNIAL HEALTHCARE CORP                                   SOLE                       302700                                      
CENTEX CONSTR  PRODS INC COM                                 SOLE                            0                             7600     
CENTEX CORPORATION                                           SOLE                        37450                           121894     
CENTRIS GROUP INC (THE)                                      SOLE                       590100                                      
CENTURY COMMUNICATIONS CORP                                  SOLE                        72000                                      
CERIDIAN CORP                                                SOLE                         9200                                0     
CHAMPION ENTERPRISES INC                                     SOLE                        43500                           176151     
CHANCELLOR MEDIA CORP COM                                    SOLE                        80000                            30137     
CHARTER ONE FINCL INC COM                                    SOLE                         2810                           106516     
CHASE MANHATTAN CORPORATION                                  SOLE                       426336                           504331     
CHATCOM INC COM                                              SOLE                        33666                           140166     
CHEVRON CORPORATION                                          SOLE                        35600                                      
CHIC BY H I S INC                                            SOLE                        21300                          1303700     
CIGNA CORP                                                   SOLE                        41980                           103310     
CILCORP INC                                                  SOLE                       133100                                      
CISCO SYSTEMS INC                                            SOLE                       422231                           569744     
CITIGROUP INC.                                               SOLE                       638969                          1009070     
CITRIX SYSTEMS                                               SOLE                       428932                           314530     
CITY NATL CORP COM                                           SOLE                        66550                           242258     
CLIMAX INTERNATIONAL                                         SOLE                       125000                                      
CMI CORP-OKLA CL A                                           SOLE                        63000                                      
CNF TRANSN INC                                               SOLE                       523500                           696900     
COCA COLA CO                                                 SOLE                       299090                           325501     
COLGATE-PALMOLIVE CO                                         SOLE                       223900                           251400     
COLLAGEN CORP                                                SOLE                       203700                                      
COLUMBIA LABORATORIES INC                                    SOLE                        77500                                      
COMAIR INC                                                   SOLE                        52725                           161658     
COMDISCO INC                                                 SOLE                       258760                           167600     
COMMERCIAL FEDERAL CORP                                      SOLE                            0                            13448     
COMMSCOPE INC COM                                            SOLE                       198290                           524960     
COMMUNITY FIRST BANKSHARES COM                               SOLE                        99320                           295775     
COMPAQ COMPUTER CORP                                         SOLE                        54925                            34650     
COMPUTER ASSOC INTL INC                                      SOLE                       411575                           504700     
COMPUTER SCIENCES CORP                                       SOLE                         7000                                0     
COMVERSE TECHNOLOGY INC COM                                  SOLE                       106180                           322469     
CONCORD EFS INC                                              SOLE                        39200                           147345     
CONMED CORP COM                                              SOLE                       106320                           162715     
CONSOLIDATED STORES COR                                      SOLE                       621200                           828100     
CONTROL DEVICES INC                                          SOLE                       214300                                      
CORECOMM LIMITED                                             SOLE                       147500                                      
</TABLE>                                                               


<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
CORNING INC                                         COM            219350105             858                14,300            SH    
COUNTRYWIDE CR INDS INC                             COM            222372104           17704               472,100            SH    
CRANE CO                                            COM            224399105             501                20,700            SH    
CROSSMANN COMNTYS INC COM                           COM            22764E109            3066               153,800            SH    
CSK AUTO CORP COM                                   COM            125965103            7188               240,115            SH    
CTS CORP COM                                        COM            126501105            9497               192,110            SH    
CULLEN FROST BANKERS                                COM            229899109           17361               362,157            SH    
CVS CORPORATION                                     COM            126650100           10129               213,240            SH    
CYCOMM INTL INC COM NEW                             COM            23255B208              19                25,000            SH    
CYTYC CORP                                          COM            232946103            3087               222,500            SH    
D R HORTON INC COM                                  COM            23331A109           17802             1,062,834            SH    
DANA CORP                                           COM            235811106             665                17,500            SH    
DANAHER CORP SHS BEN INT                            COM            235851102           10487               200,700            SH    
DATA TRANSMISSION NETWORK CORP                      COM            238017107           14344               600,800            SH    
DAYTON HUDSON CORP                                  COM            239753106            1579                23,700            SH    
DEERE & CO                                          COM            244199105            1275                33,000            SH    
DEL LABS INC                                        COM            245091103            2596               146,269            SH    
DELTA & PINE LAND CO                                COM            247357106           17515               569,600            SH    
DEVRY INC COM                                       COM            251893103           19453               670,779            SH    
DIAMOND FIELDS INTL LTD                             COM            252905203              24                51,625            SH    
DIAMOND HOME SERVICES INC                           COM            252648100             240                60,000            SH    
DIONEX CORPORATION                                  COM            254546104            7731               204,783            SH    
DIXON TICONDEROGA CO                                COM            255860108             372                35,000            SH    
DOLLAR GEN CORP                                     COM            256669102            7381               217,098            SH    
DONALDSON INC                                       COM            257651109            5225               290,296            SH    
DU PONT E I DE NEMOURS                              COM            263534109           44110               759,700            SH    
DUKE ENERGY CORP                                    COM            264399106            1611                29,400            SH    
DURA PHARMACEUTICALS INC                            COM            26632S109             176                12,500            SH    
E M C CORP                                          COM            268648102           50331               393,982            SH    
EAGLE HARDWARE & GARDEN INC                         COM            26959B101           13480               353,000            SH    
EASTMAN KODAK CO                                    COM            277461109             901                14,100            SH    
EATON CORP                                          COM            278058102           43636               610,300            SH    
ECOLAB INC                                          COM            278865100             348                 9,800            SH    
EDISON INTL                                         COM            281020107             890                40,000            SH    
EDUCATION MGMT CORP COM                             COM            28139T101            3186               103,605            SH    
ELAN PLC ADR                                        COM            284131208            2078                29,788            SH    
ELDER BEERMAN STORES CORP NEW                       COM            284470101             301                35,000            SH    
ELECTRONICS FOR IMAGING INC                         COM            286082102           11014               282,423            SH    
ELI LILLY & CO                                      COM            532457108           18268               215,235            SH    
EMERSON ELEC CO                                     COM            291011104            1006                19,000            SH    
EQUITY OIL CO                                       COM            294749106              42                44,770            SH    
ERICSSON L M TEL CO                                 COM            294821400           17714               743,900            SH    
ETHAN ALLEN INTERIORS INC                           COM            297602104           20457               492,206            SH    
EXCITE INC COM                                      COM            300904109           29823               213,030            SH    
EXECUTIVE RISK INC                                  COM            301586103           14321               201,700            SH    
EXPEDITORS INTL WASH INC                            COM            302130109           23338               432,186            SH    
EXXON CORP                                          COM            302290101            4671               115,144            SH    
FAMILY DLR STORES INC                               COM            307000109            2469               107,346            SH    
FDX CORP                                            COM            31304N107            1293                13,900            SH    
FED HOME LOAN MTG CORP                              COM            313400301           26890               469,190            SH    
FEDERAL NATIONAL MORTGAGE ASSN                      COM            313586109          112820             1,629,170            SH    
</TABLE>






<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
CORNING INC                                                 SOLE                        14300                                 
COUNTRYWIDE CR INDS INC                                     SOLE                       212200                          259900      
CRANE CO                                                    SOLE                          450                           20250       
CROSSMANN COMNTYS INC COM                                   SOLE                        95400                           58400       
CSK AUTO CORP COM                                           SOLE                       108340                          131775       
CTS CORP COM                                                SOLE                        47455                          144655       
CULLEN FROST BANKERS                                        SOLE                        94460                          267697       
CVS CORPORATION                                             SOLE                        35600                          177640       
CYCOMM INTL INC COM NEW                                     SOLE                            0                           25000       
CYTYC CORP                                                  SOLE                       222500                                       
D R HORTON INC COM                                          SOLE                       235250                          827584       
DANA CORP                                                   SOLE                        17500                                       
DANAHER CORP SHS BEN INT                                    SOLE                        45400                          155300       
DATA TRANSMISSION NETWORK CORP                              SOLE                       598300                            2500       
DAYTON HUDSON CORP                                          SOLE                        23700                                       
DEERE & CO                                                  SOLE                        33000                                       
DEL LABS INC                                                SOLE                        17346                          128923       
DELTA & PINE LAND CO                                        SOLE                       569600                                       
DEVRY INC COM                                               SOLE                       201550                          469229       
DIAMOND FIELDS INTL LTD                                     SOLE                        51625                                       
DIAMOND HOME SERVICES INC                                   SOLE                        60000                                       
DIONEX CORPORATION                                          SOLE                        64850                          139933       
DIXON TICONDEROGA CO                                        SOLE                        35000                                       
DOLLAR GEN CORP                                             SOLE                        17943                          199155       
DONALDSON INC                                               SOLE                        63850                          226446       
DU PONT E I DE NEMOURS                                      SOLE                       354300                          405400       
DUKE ENERGY CORP                                            SOLE                        29400                                       
DURA PHARMACEUTICALS INC                                    SOLE                        12500                                       
E M C CORP                                                  SOLE                       155751                          238231       
EAGLE HARDWARE & GARDEN INC                                 SOLE                       353000                                       
EASTMAN KODAK CO                                            SOLE                        14100                                       
EATON CORP                                                  SOLE                       262300                          348000       
ECOLAB INC                                                  SOLE                         9800                               0       
EDISON INTL                                                 SOLE                        40000                                       
EDUCATION MGMT CORP COM                                     SOLE                        26900                           76705       
ELAN PLC ADR                                                SOLE                         3040                           26748       
ELDER BEERMAN STORES CORP NEW                               SOLE                        35000                                       
ELECTRONICS FOR IMAGING INC                                 SOLE                        65000                          217423       
ELI LILLY & CO                                              SOLE                       110715                          104520       
EMERSON ELEC CO                                             SOLE                        19000                                       
EQUITY OIL CO                                               SOLE                         4500                           40270       
ERICSSON L M TEL CO                                         SOLE                       283500                          460400       
ETHAN ALLEN INTERIORS INC                                   SOLE                       119670                          372536       
EXCITE INC COM                                              SOLE                       195175                           17855       
EXECUTIVE RISK INC                                          SOLE                       201700                                       
EXPEDITORS INTL WASH INC                                    SOLE                       111250                          320936       
EXXON CORP                                                  SOLE                        56250                           58894       
FAMILY DLR STORES INC                                       SOLE                        34600                           72746       
FDX CORP                                                    SOLE                        13900                                       
FED HOME LOAN MTG CORP                                      SOLE                       198905                          270285       
FEDERAL NATIONAL MORTGAGE ASSN                              SOLE                       707380                          921790       
</TABLE>                                                    

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
FEDERATED DEPT STORES                               COM            31410H101              738               18,400            SH    
FERRO CORP                                          COM            315405100             4393              177,500            SH    
FINOVA GROUP INC                                    COM            317928109            17116              329,953            SH    
FIRST DATA CORP                                     COM            319963104            59747            1,397,600            SH    
FIRST SEC CORP DEL                                  COM            336294103             2652              137,302            SH    
FIRST UNION CORP                                    COM            337358105            81717            1,529,200            SH    
FIRST USA PAYMENTECH INC                            COM            336912100             9152              387,400            SH    
FLEET FINL GROUP INC NE                             COM            338915101            51622            1,372,000            SH    
FLEXI INTERNATIONAL SOFTWARE I                      COM            338923105               67               63,500            SH    
FORD MOTOR CO                                       COM            345370100            81376            1,435,509            SH    
FOUR MEDIA CO COM                                   COM            350872107              192               32,000            SH    
FRED MEYER INC                                      COM            592907109            27674              470,040            SH    
FREEPORT MCMORAN COPPER&GOLDCL                      COM            35671D857              124               11,400            SH    
FRONTIER CORP                                       COM            35906P105              311                6,000            SH    
FUEL-TECH NV                                        COM            359523107              224              149,000            SH    
FURNITURE BRANDS INTL INC COM                       COM            360921100            21504              971,953            SH    
G & K SVCS INC CL A                                 COM            361268105            12789              276,887            SH    
GANNETT INC                                         COM            364730101             1140               18,100            SH    
GAP INC                                             COM            364760108            15206              225,900            SH    
GEMINI TECHNOLOGY INTL                              COM            36866E106                0               10,000            SH    
GEMSTAR INTERNATIONAL GROUP                         COM            G3788V106            10196              135,500            SH    
GENERAL DYNAMICS CORP                               COM            369550108             8125              126,460            SH    
GENERAL ELEC CO                                     COM            369604103           254534            2,300,871            SH    
GENERAL INSTR CORP                                  COM            370120107            22418              739,565            SH    
GENERAL MOTORS CORP                                 COM            370442105            72454              832,800            SH    
GENTEX CORP                                         COM            371901109            26708            1,238,643            SH    
GEOCITIES                                           COM            37247V106            11558              105,500            SH    
GETCHELL GOLD CORP                                  COM            374265106              267               10,200            SH    
GILLETTE CO                                         COM            375766102             3094               52,058            SH    
GLOBALSTAR TELECOMMUNICATION                        COM            G3930H104              236               17,000            SH    
GOLDEN ST BANCORP INC LTGTN TR                      COM            381197136               48               10,000            SH    
GOODRICH B F CO                                     COM            382388106            54787            1,596,700            SH    
GRADALL INDS INC COM                                COM            38411P107              726               55,821            SH    
GRAHAM FIELD HEALTH PRODUCTS                        COM            384632105               19               10,500            SH    
GRAND UN CO                                         COM            386532402             1197              106,428            SH    
GRANITE CONSTR INC COM                              COM            387328107             5177              212,410            SH    
GREENPOINT FINL CORP COM                            COM            395384100             4855              139,710            SH    
GRUPO IUSACELL SA DE CV                             COM            40049W306               89               11,100            SH    
GTE CORP                                            COM            362320103            64041            1,058,536            SH    
GTS DURATEK INC                                     COM            36237J107               84               16,500            SH    
GUCCI GROUP NV (NY LISTED)                          COM            401566104            25760              320,000            SH    
GUIDANT CORP                                        COM            401698105             1137               18,800            SH    
GULFSTREAM AEROSPC CORP NEW CO                      COM            402734107            15432              355,777            SH    
HALLIBURTON CO                                      COM            406216101            46614            1,210,760            SH    
HA-LO INDS INC COM                                  COM            404429102             3401              276,240            SH    
HARTE HANKS INC COM                                 COM            416196103             4887              217,820            SH    
HCR MANOR CARE INC.                                 COM            404134108             2837              124,372            SH    
HEALTH MGMT ASSOC INC NEW CL A                      COM            421933102             3518              740,724            SH    
HECLA MNG CO                                        COM            422704106               28               10,500            SH    
HEINZ H J CO                                        COM            423074103             1194               25,200            SH    
HERSHEY FOODS CORP                                  COM            427866108              729               13,000            SH    
</TABLE>

<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
FEDERATED DEPT STORES                                       SOLE                        18400                                       
FERRO CORP                                                  SOLE                       120700                           56800       
FINOVA GROUP INC                                            SOLE                       213143                          116810       
FIRST DATA CORP                                             SOLE                       621400                          776200       
FIRST SEC CORP DEL                                          SOLE                         9600                          127702       
FIRST UNION CORP                                            SOLE                       684800                          844400       
FIRST USA PAYMENTECH INC                                    SOLE                       387400                                       
FLEET FINL GROUP INC NE                                     SOLE                       605700                          766300       
FLEXI INTERNATIONAL SOFTWARE I                              SOLE                        63500                                       
FORD MOTOR CO                                               SOLE                       637975                          797534       
FOUR MEDIA CO COM                                           SOLE                            0                           32000       
FRED MEYER INC                                              SOLE                       261346                          208694       
FREEPORT MCMORAN COPPER&GOLDCL                              SOLE                        11400                               0       
FRONTIER CORP                                               SOLE                         6000                                       
FUEL-TECH NV                                                SOLE                       149000                                       
FURNITURE BRANDS INTL INC COM                               SOLE                       215180                          756773       
G & K SVCS INC CL A                                         SOLE                        81995                          194892       
GANNETT INC                                                 SOLE                        18100                                       
GAP INC                                                     SOLE                        66315                          159585       
GEMINI TECHNOLOGY INTL                                      SOLE                            0                           10000       
GEMSTAR INTERNATIONAL GROUP                                 SOLE                       135500                                       
GENERAL DYNAMICS CORP                                       SOLE                        21040                          105420       
GENERAL ELEC CO                                             SOLE                      1025594                         1275277      
GENERAL INSTR CORP                                          SOLE                       382050                          357515       
GENERAL MOTORS CORP                                         SOLE                       389800                          443000       
GENTEX CORP                                                 SOLE                       368255                          870388       
GEOCITIES                                                   SOLE                       105500                                       
GETCHELL GOLD CORP                                          SOLE                        10200                                       
GILLETTE CO                                                 SOLE                        32300                           19758       
GLOBALSTAR TELECOMMUNICATION                                SOLE                            0                           17000       
GOLDEN ST BANCORP INC LTGTN TR                              SOLE                            0                           10000       
GOODRICH B F CO                                             SOLE                       699600                          897100       
GRADALL INDS INC COM                                        SOLE                            0                           55821       
GRAHAM FIELD HEALTH PRODUCTS                                SOLE                            0                           10500       
GRAND UN CO                                                 SOLE                       106428                                       
GRANITE CONSTR INC COM                                      SOLE                        69420                          142990       
GREENPOINT FINL CORP COM                                    SOLE                        19900                          119810       
GRUPO IUSACELL SA DE CV                                     SOLE                        11100                                       
GTE CORP                                                    SOLE                       449190                          609346       
GTS DURATEK INC                                             SOLE                        16500                                       
GUCCI GROUP NV (NY LISTED)                                  SOLE                       320000                                       
GUIDANT CORP                                                SOLE                        18800                                       
GULFSTREAM AEROSPC CORP NEW CO                              SOLE                        36950                          318827       
HALLIBURTON CO                                              SOLE                       477630                          733130       
HA-LO INDS INC COM                                          SOLE                        97750                          178490       
HARTE HANKS INC COM                                         SOLE                        49050                          168770       
HCR MANOR CARE INC.                                         SOLE                        21800                          102572       
HEALTH MGMT ASSOC INC NEW CL A                              SOLE                       242450                          498274       
HECLA MNG CO                                                SOLE                            0                           10500       
HEINZ H J CO                                                SOLE                        25200                                       
HERSHEY FOODS CORP                                          SOLE                        13000                                       
</TABLE>                                                    

<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
HEWLETT PACKARD CO                                  COM            428236103            36152              533,110            SH   
HILLENBRAND INDS INC                                COM            431573104             4912              106,359            SH   
HILTON HOTELS CORP                                  COM            432848109              555               39,500            SH   
HOME DEPOT INC                                      COM            437076102           129013            2,072,500            SH   
HONEYWELL INC                                       COM            438506107             8946              118,001            SH   
HORACE MANN EDUCATORS CP                            COM            440327104            15441              665,904            SH   
HOUSEHOLD INTERNATIONAL INC                         COM            441815107            91459            2,004,575            SH   
HUBCO INC                                           COM            404382103             6966              207,539            SH   
HUTCHINSON TECHNOLOGY INC                           COM            448407106              946               38,100            SH   
IDEXX LABORATORIES CORP COM                         COM            45168D104              524               21,890            SH   
IMPATH INC COM                                      COM            45255G101             4550              185,700            SH   
IMS HEALTH INC                                      COM            449934108            21356              644,700            SH   
INAMED CORP                                         COM            453235103              230               17,500            SH   
INFOSEEK CORP COM                                   COM            45678M107              590                7,970            SH   
INTEL CORP                                          COM            458140100           122396            1,029,620            SH   
INTER TEL INC                                       COM            458372109              831               53,500            SH   
INTERIM SVCS INC                                    COM            45868P100             8900              593,364            SH   
INTERNATIONAL BUS MACH                              COM            459200101           150914              851,418            SH   
INTERNATIONAL TECHNOLOGY CORP                       COM            460465404              432               33,550            SH   
INTERNATIONAL TELECOMM DATA SY                      COM            46047F104             2293              185,320            SH   
INTERPUBLIC GROUP COS INC                           COM            460690100             5218               67,000            SH   
INTERTAPE POLYMER GROUP INC CO                      COM            460919103              396               15,000            SH   
INTL RESEARCH DEV INC                               COM            460263106                0               10,000            SH   
INVACARE CORP                                       COM            461203101            11395              468,688            SH   
IT GROUP INC                                        COM            465266104              276               21,450            SH   
ITI TECHNOLOGIES INC COM                            COM            450564109              300               10,000            SH   
ITT EDUCATIONAL SVCS INC COM                        COM            45068B109            17623              384,160            SH   
IXC COMMUNICATIONS INC                              COM            450713102            17097              372,700            SH   
J RAY MCDERMOTT SA                                  COM            P64658100             2988              100,000            SH   
JACOBS ENGR GROUP INC                               COM            469814107            17384              440,810            SH   
JACOBSON STORES INC COM                             COM            469834105               81               13,000            SH   
JACOR COMMUNICATIONS INC                            COM            469858401            13292              174,900            SH   
JEFFERSON PILOT CORP                                COM            475070108            10358              152,880            SH   
JOHNSON & JOHNSON                                   COM            478160104            92087              984,883            SH   
JONES APPAREL GROUP INC                             COM            480074103             7695              275,435            SH   
JONES INTERCABLE INC-CL A                           COM            480206200             1380               35,000            SH   
K N ENERGY INC                                      COM            482620101             1499               75,200            SH   
KENNAMETAL INC                                      COM            489170100            21083            1,196,200            SH   
KEYCORP NEW                                         COM            493267108            38900            1,283,300            SH   
KIMBERLY CLARK CORP                                 COM            494368103            52085            1,086,512            SH   
KING WORLD PRODUCTIONS INC                          COM            495667107             5348              175,000            SH   
KOREA ELECTRIC PWR                                  COM            500631106              152               12,000            SH   
KROGER CO                                           COM            501044101            11180              186,720            SH    
LAMAR ADVERTISING CO - CL A                         COM            512815101             2460               72,500            SH   
LASON INC COM                                       COM            51808R107            11789              209,575            SH   
LENNAR CORP                                         COM            526057104             8157              364,573            SH   
LEVEL ONE COMMUNICATIONS INC                        COM            527295109            18455              379,543            SH   
LEXMARK INTL GROUP INC CL A                         COM            529771107            11910              106,460            SH   
LILLY ELI & CO                                      COM            532457108            27831              327,900            SH   
LIMITED INC                                         COM            532716107             3586               90,500            SH   
LINC CAPITAL INC                                    COM            501942106              458               60,000            SH   
</TABLE>                                                    
<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
HEWLETT PACKARD CO                                          SOLE                       219260                          313850   
HILLENBRAND INDS INC                                        SOLE                        25930                           80429   
HILTON HOTELS CORP                                          SOLE                        39500                                   
HOME DEPOT INC                                              SOLE                       850816                         1221684  
HONEYWELL INC                                               SOLE                        60770                           57231   
HORACE MANN EDUCATORS CP                                    SOLE                       126160                          539744   
HOUSEHOLD INTERNATIONAL INC                                 SOLE                       878950                         1125625  
HUBCO INC                                                   SOLE                        63851                          143688   
HUTCHINSON TECHNOLOGY INC                                   SOLE                        38100                                   
IDEXX LABORATORIES CORP COM                                 SOLE                         7275                           14615   
IMPATH INC COM                                              SOLE                       117700                           68000   
IMS HEALTH INC                                              SOLE                       320400                          324300   
INAMED CORP                                                 SOLE                        17500                                   
INFOSEEK CORP COM                                           SOLE                         1100                            6870    
INTEL CORP                                                  SOLE                       450655                          578965   
INTER TEL INC                                               SOLE                        53500                                   
INTERIM SVCS INC                                            SOLE                       151700                          441664   
INTERNATIONAL BUS MACH                                      SOLE                       367920                          483498   
INTERNATIONAL TECHNOLOGY CORP                               SOLE                        33550                                   
INTERNATIONAL TELECOMM DATA SY                              SOLE                         1050                          184270   
INTERPUBLIC GROUP COS INC                                   SOLE                        11210                           55790   
INTERTAPE POLYMER GROUP INC CO                              SOLE                            0                           15000   
INTL RESEARCH DEV INC                                       SOLE                            0                           10000   
INVACARE CORP                                               SOLE                       109830                          358858   
IT GROUP INC                                                SOLE                        21450                                   
ITI TECHNOLOGIES INC COM                                    SOLE                            0                           10000   
ITT EDUCATIONAL SVCS INC COM                                SOLE                       104090                          280070   
IXC COMMUNICATIONS INC                                      SOLE                       208225                          164475   
J RAY MCDERMOTT SA                                          SOLE                       100000                                   
JACOBS ENGR GROUP INC                                       SOLE                       113560                          327250   
JACOBSON STORES INC COM                                     SOLE                            0                           13000   
JACOR COMMUNICATIONS INC                                    SOLE                       174900                                   
JEFFERSON PILOT CORP                                        SOLE                        40200                          112680   
JOHNSON & JOHNSON                                           SOLE                       433185                          551698   
JONES APPAREL GROUP INC                                     SOLE                        41900                          233535   
JONES INTERCABLE INC-CL A                                   SOLE                        35000                                   
K N ENERGY INC                                              SOLE                        75200                                   
KENNAMETAL INC                                              SOLE                       542000                          654200   
KEYCORP NEW                                                 SOLE                       589000                          694300   
KIMBERLY CLARK CORP                                         SOLE                       488448                          598064   
KING WORLD PRODUCTIONS INC                                  SOLE                       175000                                   
KOREA ELECTRIC PWR                                          SOLE                        12000                                   
KROGER CO                                                   SOLE                        32680                          154040   
LAMAR ADVERTISING CO - CL A                                 SOLE                        72500                                   
LASON INC COM                                               SOLE                        69020                          140555   
LENNAR CORP                                                 SOLE                        76640                          287933   
LEVEL ONE COMMUNICATIONS INC                                SOLE                       350860                           28683   
LEXMARK INTL GROUP INC CL A                                 SOLE                        23850                           82610   
LILLY ELI & CO                                              SOLE                       176500                          151400   
LIMITED INC                                                 SOLE                        90500                                   
LINC CAPITAL INC                                            SOLE                        60000                                   
</TABLE>                                                               

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
LINEAR TECHNOLOGY CORP                              COM            535678106            15954              311,307            SH   
LINENS N THINGS INC COM                             COM            535679104            21040              463,700            SH   
LIVENT INC *                                        COM            537902108                9               93,800            SH   
LOEWS CINEPLEX ENTMT CORP COM                       COM            540423100              174               17,500            SH   
LONE STAR INDS INC COM                              COM            542290408            14953              482,368            SH   
LUCASVARITY PLC                                     COM            549395101            16188              350,000            SH   
LUCENT TECHNOLOGIES INC                             COM            549463107           102518              949,242            SH   
MANAGED CARE SOLUTIONS INC                          COM            561906108              253               75,000            SH   
MARSH & MCLENNAN COS IN                             COM            571748102             1203               16,200            SH   
MARTIN MARIETTA MATERIALS INC                       COM            573284106            24169              423,552            SH   
MATTEL INC                                          COM            577081102            25240            1,012,111            SH   
MBNA CORP                                           COM            55262L100             8663              362,829            SH   
MCDONALDS CORP                                      COM            580135101            59077            1,303,760            SH   
MCGRAW HILL COS INC                                 COM            580645109            11431              209,740            SH   
MCI WORLDCOM                                        COM            55268B106            85061              960,464            SH   
MDC COMMUNICATION CORP -CL                          COM            55267W309              135               15,000            SH   
MEDIAONE GROUP INC                                  COM            58440J104              920               14,500            SH   
MEDICIS PHARMACEUTICAL CORP CL                      COM            584690309            18312              610,408            SH   
MEDQUIST INC COM                                    COM            584949101            16764              558,808            SH   
MEDTRONIC INC                                       COM            585055106             1100               15,300            SH   
MELLON BK CORP                                      COM            585509102             1548               22,000            SH   
MERCK & CO INC                                      COM            589331107            99804            1,245,608            SH   
MERITOR SVGS BK PA COM                              COM            590007100               51               20,000            SH   
MERRILL LYNCH & CO INC                              COM            590188108            44223              499,700            SH   
METROMEDIA INTL GROUP I                             COM            591695101               81               16,500            SH   
METZLER GROUP INC COM                               COM            592903108            18648              594,372            SH   
MICREL INC COM                                      COM            594793101            23300              465,420            SH   
MICROAGE INC CL-A VTG W/RTS                         COM            594928103              511               95,000            SH   
MICROS SYS INC COM                                  COM            594901100            11091              336,092            SH   
MICROSOFT CORP                                      COM            594918104           128840            1,437,550            SH   
MINIMED INC COM                                     COM            60365K108            19441              191,299            SH   
MINNESOTA MNG & MFG CO                              COM            604059105              870               12,300            SH   
MOBIL CORP                                          COM            607059102           107475            1,221,304            SH   
MONSANTO CO                                         COM            611662107              854               18,600            SH   
MOORE MEDICAL CORP                                  COM            615799103              278               26,000            SH   
MORGAN J P & CO INC                                 COM            616880100             1369               11,100            SH   
MORGAN STAN DEAN WITTR                              COM            617446448             1479               14,800            SH   
MORTON INTERNATIONAL INC                            COM            619335102            35045              953,600            SH   
MOTOROLA INC                                        COM            620076109             1604               21,900            SH   
MSC INDL DIRECT INC CL A                            COM            553530106             5445              320,295            SH   
NATIONAL INSTRS CORP COM                            COM            636518102            12095              424,390            SH   
NATL WESTMINSTER BK PLC                             COM            638539403              411                3,000            SH   
NAUTICA ENTERPRISES INC                             COM            639089101              149               13,129            SH   
NCR CORP NEW COM                                    COM           6.289E+112              485                9,700            SH   
NETWORKS ASSOCS INC COM                             COM            640938106             6861              223,577            SH   
NEWELL RUBBERMAID INC                               COM            651229106            35772              753,100            SH   
NEXSTAR PHARMACEUTICALS INC                         COM            65333B106             4265              250,000            SH   
NIKE INC CL B                                       COM            654106103             1056               18,300            SH   
NOKIA CORP                                          COM            654902204              265                1,700            SH   
NORDSTROM INC                                       COM            655664100            37711              922,600            SH   
NORTH FORK BANCORP INC N Y                          COM            659424105             9044              428,100            SH   
</TABLE>                                                 
<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
LINEAR TECHNOLOGY CORP                                       SOLE                       72978                          238329   
LINENS N THINGS INC COM                                      SOLE                      154560                          309140   
LIVENT INC *                                                 SOLE                        8000                           85800   
LOEWS CINEPLEX ENTMT CORP COM                                SOLE                           0                           17500   
LONE STAR INDS INC COM                                       SOLE                      119750                          362618   
LUCASVARITY PLC                                              SOLE                      350000                                   
LUCENT TECHNOLOGIES INC                                      SOLE                      361008                          588234   
MANAGED CARE SOLUTIONS INC                                   SOLE                       75000                                   
MARSH & MCLENNAN COS IN                                      SOLE                       16200                                   
MARTIN MARIETTA MATERIALS INC                                SOLE                      206620                          216932   
MATTEL INC                                                   SOLE                      453718                          558393   
MBNA CORP                                                    SOLE                       62470                          300359   
MCDONALDS CORP                                               SOLE                      517580                          786180   
MCGRAW HILL COS INC                                          SOLE                       59260                          150480   
MCI WORLDCOM                                                 SOLE                      383675                          576789   
MDC COMMUNICATION CORP -CL                                   SOLE                       15000                                   
MEDIAONE GROUP INC                                           SOLE                       14500                                   
MEDICIS PHARMACEUTICAL CORP CL                               SOLE                      185192                          425216   
MEDQUIST INC COM                                             SOLE                      146650                          412158   
MEDTRONIC INC                                                SOLE                       15300                                   
MELLON BK CORP                                               SOLE                       22000                                   
MERCK & CO INC                                               SOLE                      581018                          664590   
MERITOR SVGS BK PA COM                                       SOLE                           0                           20000   
MERRILL LYNCH & CO INC                                       SOLE                      224700                          275000   
METROMEDIA INTL GROUP I                                      SOLE                       1500                            15000   
METZLER GROUP INC COM                                        SOLE                      152730                          441642   
MICREL INC COM                                               SOLE                      123310                          342110   
MICROAGE INC CL-A VTG W/RTS                                  SOLE                       95000                                   
MICROS SYS INC COM                                           SOLE                       88800                          247292   
MICROSOFT CORP                                               SOLE                      691660                          745890   
MINIMED INC COM                                              SOLE                       72250                          119049   
MINNESOTA MNG & MFG CO                                       SOLE                       12300                                   
MOBIL CORP                                                   SOLE                      592540                          628764   
MONSANTO CO                                                  SOLE                       18600                                   
MOORE MEDICAL CORP                                           SOLE                       26000                                   
MORGAN J P & CO INC                                          SOLE                       11100                                   
MORGAN STAN DEAN WITTR                                       SOLE                       14800                                   
MORTON INTERNATIONAL INC                                     SOLE                      953600                                   
MOTOROLA INC                                                 SOLE                       19100                            2800    
MSC INDL DIRECT INC CL A                                     SOLE                       84600                          235695   
NATIONAL INSTRS CORP COM                                     SOLE                      169960                          254430   
NATL WESTMINSTER BK PLC                                      SOLE                           0                            3000    
NAUTICA ENTERPRISES INC                                      SOLE                           0                           13129   
NCR CORP NEW COM                                             SOLE                        9300                             400    
NETWORKS ASSOCS INC COM                                      SOLE                       53182                          170395   
NEWELL RUBBERMAID INC                                        SOLE                      316900                          436200   
NEXSTAR PHARMACEUTICALS INC                                  SOLE                      250000                                   
NIKE INC CL B                                                SOLE                       18300                                   
NOKIA CORP                                                   SOLE                        1700                                    
NORDSTROM INC                                                SOLE                      412200                          510400   
NORTH FORK BANCORP INC N Y                                   SOLE                       75200                          352900   
</TABLE>                                                               

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
NORTHERN TELECOM LTD                                COM            665815106             3224               51,900             SH   
NORTHERN TR CORP COM                                COM            665859104             2076               23,374             SH   
NOVA CORP GA COM                                    COM            669784100             4685              178,458             SH   
NOVAVAX INC COM                                     COM            670002104               71               19,000             SH   
NTL INC                                             COM            629407107            69420              853,086             SH   
NVR INC COM                                         COM            62944T105             8740              207,485             SH   
OAK INDS INC COM NEW                                COM            671400505            10680              336,390             SH   
OLD KENT FINL CORP COM                              COM            679833103              309                7,300             SH   
OLIN CORP                                           COM            680665205              223               22,200             SH   
OLIVETTI ING C & CO S P                             COM            681062709              180               57,500             SH   
OM GROUP INC                                        COM            670872100             3256              241,244             SH   
OMI CORP NEW                                        COM            Y6476W104               70               35,000             SH   
OMNICOM GROUP                                       COM            681919106              560                7,000             SH   
ON ASSIGNMENT INC                                   COM            682159108             5027              196,185             SH   
OPTICAL COATING LAB INC COM                         COM            683829105              437                9,100             SH   
ORACLE CORP                                         COM            68389X105             1645               62,379             SH   
OWENS ILL INC                                       COM            690768403            56145            2,245,805             SH   
PACIFIC SUNWEAR CALIF INC COM                       COM            694873100            15897              457,470             SH   
PARAMETRIC TECHNOLOGY CORP                          COM            699173100            27909            1,413,075             SH   
PAREXEL INTL CORP COM                               COM            699462107            12032              581,593             SH   
PARK PL ENTMT CORP COM                              COM            700690100             1588              210,000             SH   
PARKER HANNIFIN CORP                                COM            701094104            55790            1,628,900             SH   
PATTERSON DENTAL CO                                 COM            703412106            13620              314,913             SH   
PAUL HARRIS STORES INC NEW                          COM            703555201              402               54,500             SH   
PAYCHEX INC                                         COM            704326107            10037              211,579             SH   
PAYMENTECH INC                                      COM            704384106             1269               53,700             SH   
PEDIATRIX MED GROUP COM                             COM            705324101            11415              405,871             SH   
PENTAIR INC COM                                     COM            709631105            13248              392,548             SH   
PEOPLES HERITAGE FINL GP                            COM            711147108             9815              545,295             SH   
PEPSICO INC                                         COM            713448108            16562              422,622             SH   
PERFORMANCE FOOD GROUP CO                           COM            713755106             5956              226,887             SH   
PERSONNEL GROUP AMER INC COM                        COM            715338109             3859              536,964             SH   
PFIZER INC                                          COM            717081103           108475              781,800             SH   
PG&E CORP                                           COM            69331C108              568               18,300             SH   
PHARMACEUTICAL MARKETING                            COM            717123103             1737              116,700             SH   
PHARMACEUTICAL PROD DEV INC CO                      COM            717124101            14630              435,905             SH   
PHILIP MORRIS COMPANIES INC                         COM            718154107            36310            1,031,900             SH   
PHYCOR INC                                          COM            71940F100             1295              272,611             SH   
PIONEER HI-BRED INTL INC.                           COM            723686101            15012              399,000             SH   
PLACER DOME INC                                     COM            725906101             3417              305,435             SH   
PLANTRONICS INC NEW COM                             COM            727493108            10789              172,445             SH   
PLATINUM TECHNOLOGY INC                             COM            72764T101             3187              125,000             SH   
PLD TELEKOM INC-DEL                                 COM            69340T100              564              145,500             SH   
PMR CORP                                            COM            693451106              266               57,500             SH   
PNC BANK CORP                                       COM            693475105             1295               23,300             SH   
POLICY MANAGEMENT SYSTEMS                           COM            731108106             7363              240,429             SH   
POWERHOUSE TECHNOLOGIES INC                         COM            739323103             2497              145,300             SH   
PRE PAID LEGAL SVCS INC COM                         COM            740065107             1426               58,200             SH   
PRECISION CASTPARTS CORP COM                        COM            740189105              243                6,038             SH   
PREMIER PARKS INC NEW                               COM            740540208              428               11,500             SH   
PROCTER & GAMBLE CO                                 COM            742718109            88017              898,700             SH   
</TABLE>                                                          
<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
NORTHERN TELECOM LTD                                         SOLE                       23700                           28200   
NORTHERN TR CORP COM                                         SOLE                       16650                            6724    
NOVA CORP GA COM                                             SOLE                       36100                          142358   
NOVAVAX INC COM                                              SOLE                           0                           19000   
NTL INC                                                      SOLE                      760386                           92700   
NVR INC COM                                                  SOLE                       67800                          139685   
OAK INDS INC COM NEW                                         SOLE                       88790                          247600   
OLD KENT FINL CORP COM                                       SOLE                        7300                               0     
OLIN CORP                                                    SOLE                       22200                                   
OLIVETTI ING C & CO S P                                      SOLE                       57500                                   
OM GROUP INC                                                 SOLE                       93620                          147624   
OMI CORP NEW                                                 SOLE                       35000                                   
OMNICOM GROUP                                                SOLE                        7000                               0     
ON ASSIGNMENT INC                                            SOLE                       57500                          138685   
OPTICAL COATING LAB INC COM                                  SOLE                        6900                            2200    
ORACLE CORP                                                  SOLE                       54000                            8379    
OWENS ILL INC                                                SOLE                     1033750                         1212055  
PACIFIC SUNWEAR CALIF INC COM                                SOLE                      140540                          316930   
PARAMETRIC TECHNOLOGY CORP                                   SOLE                      770710                          642365   
PAREXEL INTL CORP COM                                        SOLE                      163560                          418033   
PARK PL ENTMT CORP COM                                       SOLE                      210000                               0     
PARKER HANNIFIN CORP                                         SOLE                      727050                          901850   
PATTERSON DENTAL CO                                          SOLE                      117020                          197893   
PAUL HARRIS STORES INC NEW                                   SOLE                       54500                                   
PAYCHEX INC                                                  SOLE                       55204                          156375   
PAYMENTECH INC                                               SOLE                       53700                                   
PEDIATRIX MED GROUP COM                                      SOLE                      129880                          275991   
PENTAIR INC COM                                              SOLE                      116810                          275738   
PEOPLES HERITAGE FINL GP                                     SOLE                      144580                          400715   
PEPSICO INC                                                  SOLE                      240842                          181780   
PERFORMANCE FOOD GROUP CO                                    SOLE                      105825                          121062   
PERSONNEL GROUP AMER INC COM                                 SOLE                      168900                          368064   
PFIZER INC                                                   SOLE                      363000                          418800   
PG&E CORP                                                    SOLE                       18300                                   
PHARMACEUTICAL MARKETING                                     SOLE                      116700                                   
PHARMACEUTICAL PROD DEV INC CO                               SOLE                      114600                          321305   
PHILIP MORRIS COMPANIES INC                                  SOLE                      508200                          523700   
PHYCOR INC                                                   SOLE                      272611                                   
PIONEER HI-BRED INTL INC.                                    SOLE                      399000                                   
PLACER DOME INC                                              SOLE                      156555                          148880   
PLANTRONICS INC NEW COM                                      SOLE                       59180                          113265   
PLATINUM TECHNOLOGY INC                                      SOLE                      125000                                   
PLD TELEKOM INC-DEL                                          SOLE                      145500                                   
PMR CORP                                                     SOLE                       57500                                   
PNC BANK CORP                                                SOLE                       23300                                   
POLICY MANAGEMENT SYSTEMS                                    SOLE                       72550                          167879   
POWERHOUSE TECHNOLOGIES INC                                  SOLE                      145300                                   
PRE PAID LEGAL SVCS INC COM                                  SOLE                       34500                           23700   
PRECISION CASTPARTS CORP COM                                 SOLE                           0                            6038    
PREMIER PARKS INC NEW                                        SOLE                       11500                                   
PROCTER & GAMBLE CO                                          SOLE                      411200                          487500   
</TABLE>                                                               

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
PROTECTIVE LIFE CORP COM                            COM            743674103             8355              220,588            SH   
PSINET INC                                          COM            74437C101              864               20,300            SH   
QUAKER FABRIC CORP COM                              COM            747399103              348               62,500            SH   
QUANTUM CORP                                        COM            747906105            13012              722,900            SH   
QUIKSILVER INC COM                                  COM            74838C106             2730               64,615            SH   
QUINTILES TRANSNATIONAL CORP                        COM            748767100             6094              161,420            SH   
QUORUM HEALTH GROUP INC                             COM            749084109              150               15,000            SH   
QUORUM HEALTH GRP INC                               COM            749084AB5              490              500,000            SH   
REGIS CORP MINN                                     COM            758932107            15550              584,021            SH   
REHABCARE GROUP INC                                 COM            759148109              309               20,500            SH   
REINSURANCE GROUP AMER INC COM                      COM            759351109             4838              113,679            SH   
RELTEC CORP                                         COM            759527104              721               24,500            SH   
RENTAL SVC CORP COM                                 COM            76009V102             4270              244,008            SH   
REYNOLDS METALS CO                                  COM            761763101            11227              232,391            SH   
RICHFOOD HOLDINGS INC CL A                          COM            763408101            11983              555,733            SH   
RITE AID CORP                                       COM            767754104            55768            2,230,700            SH   
ROHM & HAAS CO                                      COM            775371107             4766              142,000            SH   
ROLLINS TRUCK LEASING CORP                          COM            775741101             2220              235,200            SH   
ROSLYN BANCORP INC COM                              COM            778162107              276               16,372            SH   
ROSS STORES INC COM                                 COM            778296103               59               12,156            SH   
ROYAL CARIBBEAN CRUISE                              COM            V7780T103            25409              651,500            SH   
ROYAL DUTCH PETE CO                                 COM            780257804             2600               50,000            SH   
S&P 400 MID-CAP DR                                  COM            595635103             1197               17,364            SH   
S&P 500 DR                                          COM            78462F103             1155                9,000            SH   
SAFETY KLEEN CORP-NEW                               COM            78648R203              663               50,000            SH   
SAFEWAY INC                                         COM            786514208              845               16,460            SH   
SAKS INC                                            COM            79377W108            45133            1,735,872            SH   
SANMINA CORP COM                                    COM            800907107             6040               94,738            SH   
SARA LEE CORP                                       COM            803111103              950               38,400            SH   
SBARRO INC                                          COM            805844107            38268            1,437,670            SH   
SBC COMMUNICATIONS                                  COM            78387G103            67978            1,440,600            SH   
SCHERING PLOUGH CORP                                COM            806605101            33811              611,971            SH   
SCHLUMBERGER LTD                                    COM            806857108            36833              611,971            SH   
SEARS ROEBUCK & CO                                  COM            812387108              854               18,900            SH   
SEROLOGICALS CORP COM                               COM            817523103             3206              236,357            SH   
SIEBEL SYS INC                                      COM            826170102            15848              334,340            SH   
SMITHKLINE BEECHAM PLC ADR                          COM            832378301             9432              131,914            SH   
SOLECTRON CORP                                      COM            834182107            69056            1,422,000            SH   
SOUTHDOWN INC COM                                   COM            841297104              531                9,899            SH   
SOUTHERN CO                                         COM            842587107             1026               44,000            SH   
SOUTHWEST AIRLS CO                                  COM            844741108            11362              375,610            SH   
SOUTHWEST BANCORPORATION TEXAS                      COM            84476R109             2952              239,791            SH   
SOVEREIGN BANCORP INC COM                           COM            845905108             5316              433,982            SH   
SPRINT CORP FON GROUP                               COM            852061506              206                4,650            SH   
SPRINT CORP FON GROUP                               COM            852061100              913                9,300            SH   
SPS TECHNOLOGIES INC COM                            COM            784626103             8974              228,633            SH   
ST JOHN KNITS INC                                   COM            790289102             7678              291,100            SH   
STAFF LEASING INC                                   COM            852381102             1222               85,500            SH   
STANDARD PACIFIC CORP NEW                           COM            85375C101              258               20,000            SH   
STAPLES INC                                         COM            855030102            11913              362,370            SH   
STATEN IS BANCORP INC COM                           COM            857550107              258               15,000            SH   
</TABLE>                                                             
<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
PROTECTIVE LIFE CORP COM                                    SOLE                        48500                           172088   
PSINET INC                                                  SOLE                        20300                                   
QUAKER FABRIC CORP COM                                      SOLE                            0                            62500   
QUANTUM CORP                                                SOLE                       329400                           393500   
QUIKSILVER INC COM                                          SOLE                        22500                            42115   
QUINTILES TRANSNATIONAL CORP                                SOLE                        37000                           124420   
QUORUM HEALTH GROUP INC                                     SOLE                        15000                                   
QUORUM HEALTH GRP INC                                       SOLE                       500000                                   
REGIS CORP MINN                                             SOLE                       148240                           435781   
REHABCARE GROUP INC                                         SOLE                        20500                                   
REINSURANCE GROUP AMER INC COM                              SOLE                        29150                            84529   
RELTEC CORP                                                 SOLE                        24500                                   
RENTAL SVC CORP COM                                         SOLE                        61300                           182708   
REYNOLDS METALS CO                                          SOLE                       125380                           107011   
RICHFOOD HOLDINGS INC CL A                                  SOLE                       205735                           349998   
RITE AID CORP                                               SOLE                      1010000                          1220700  
ROHM & HAAS CO                                              SOLE                                                        142000   
ROLLINS TRUCK LEASING CORP                                  SOLE                       162350                            72850   
ROSLYN BANCORP INC COM                                      SOLE                            0                            16372   
ROSS STORES INC COM                                         SOLE                            0                            12156   
ROYAL CARIBBEAN CRUISE                                      SOLE                       291800                           359700   
ROYAL DUTCH PETE CO                                         SOLE                        50000                                   
S&P 400 MID-CAP DR                                          SOLE                        17000                              364    
S&P 500 DR                                                  SOLE                         8620                              380    
SAFETY KLEEN CORP-NEW                                       SOLE                        50000                                   
SAFEWAY INC                                                 SOLE                        16460                                0     
SAKS INC                                                    SOLE                       723200                          1012672  
SANMINA CORP COM                                            SOLE                        28304                            66434   
SARA LEE CORP                                               SOLE                        38400                                   
SBARRO INC                                                  SOLE                      1437670                                  
SBC COMMUNICATIONS                                          SOLE                       657500                           783100   
SCHERING PLOUGH CORP                                        SOLE                       285423                           326548   
SCHLUMBERGER LTD                                            SOLE                       285423                           326548   
SEARS ROEBUCK & CO                                          SOLE                        18900                                   
SEROLOGICALS CORP COM                                       SOLE                        24020                           212337   
SIEBEL SYS INC                                              SOLE                       191740                           142600   
SMITHKLINE BEECHAM PLC ADR                                  SOLE                        72075                            59839   
SOLECTRON CORP                                              SOLE                       627200                           794800   
SOUTHDOWN INC COM                                           SOLE                          600                             9299    
SOUTHERN CO                                                 SOLE                        44000                                    
SOUTHWEST AIRLS CO                                          SOLE                        66060                           309550   
SOUTHWEST BANCORPORATION TEXAS                              SOLE                        93100                           146691   
SOVEREIGN BANCORP INC COM                                   SOLE                        80776                           353206   
SPRINT CORP FON GROUP                                       SOLE                         4650                                     
SPRINT CORP FON GROUP                                       SOLE                         9300                                     
SPS TECHNOLOGIES INC COM                                    SOLE                        56530                           172103   
ST JOHN KNITS INC                                           SOLE                       291100                                    
STAFF LEASING INC                                           SOLE                        85500                                    
STANDARD PACIFIC CORP NEW                                   SOLE                        20000                                    
STAPLES INC                                                 SOLE                        68745                           293625   
STATEN IS BANCORP INC COM                                   SOLE                            0                            15000   
</TABLE>                                                               

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
STEELCASE INC                                       COM            858155203              908               59,800            SH   
STERIS CORP COM                                     COM            859152100            20007              751,423            SH   
STERLING BANCSHARES INC COM                         COM            858907108             1530              147,425            SH   
STERLING COMMERCE INC                               COM            859205106             2737               89,000            SH   
STEWART ENTERPRISES INC CL A                        COM            860370105             4066              253,118            SH   
STORAGE TECHNOLOGY CORP NEW                         COM            862111200             2188               78,500            SH   
STRAYER ED INC COM                                  COM            863236105             5782              156,275            SH   
STRYKER CORP                                        COM            863667101              497                9,850            SH   
STUART ENTMT INC                                    COM            863689105               43              108,639            SH   
SUGEN INC COM                                       COM            865041107             1017               53,000            SH   
SUIZA FOODS CORP COM                                COM            865077101             7019              208,360            SH   
SUMMIT BANCORP COM                                  COM            866005101             3886               99,638            SH   
SUN INTERNATIONAL HOTELS LTDOR                      COM            P8797T133             3113               94,685            SH   
SUN MICROSYSTEM INC                                 COM            866810104            71697              573,290            SH   
SUNDSTRAND CORP                                     COM            867323107            17500              251,800            SH   
SUNGARD DATA SYS INC                                COM            867363103            12456              311,411            SH   
SUPERIOR CONSUL HLDGS CORP COM                      COM            868146101             6252              183,215            SH   
SWIFT TRANSN CO COM                                 COM            870756103            16217              634,414            SH   
SYBRON CORP DEL                                     COM            87114F106             2255               90,205            SH   
SYLVAN LEARNING SYSTEMS INC CO                      COM            871399101            27999            1,022,805            SH   
SYMBOL TECHNOLOGIES INC                             COM            871508107             6835              151,890            SH   
TAIWAN SEMICONDUCTOR MF                             COM            874039100             9273              392,495            SH   
TECHNE CORP COM                                     COM            878377100             5070              175,595            SH   
TECHNOLOGY FLVRS & FRGNS INCCO                      COM            87869A104               55               88,200            SH   
TELECOM ITALIA                                      COM            87927W106             1487               14,250            SH   
TELEFLEX INC                                        COM            879369106            14652              430,150            SH   
TELEFONOS DE MEXICO ADR L SHS                       COM            879403780              707               10,712            SH   
TELEGLOBE INC COM                                   COM            87941V100              455               15,000            SH   
TELESCAN INC                                        COM            879516102              214               12,500            SH   
TERADYNE INC                                        COM            880770102            27652              506,800            SH   
TESCO CORP                                          COM            88157K101             1568              374,500            SH   
TETRA TECH INC NEW                                  COM            88162G103             7852              363,003            SH   
TEXACO INC                                          COM            881694103            57269            1,009,146            SH   
TEXAS INSTRUMENTS INC                               COM            882508104           170751            1,720,410            SH   
TEXTRON INC                                         COM            883203101             1362               17,600            SH   
THOMAS GROUP INC                                    COM            884402108              313               36,000            SH   
THQ INC NEW                                         COM            872443403             5114              251,000            SH   
TIME WARNER INC                                     COM            887315109           105064            1,483,689            SH   
TJX COMPANIES INC                                   COM            872540109            32364              951,870            SH   
TOTAL RENAL CARE HLDGS INC COM                      COM            89151A107             8510              773,669            SH   
TOWER AUTOMOTIVE INC COM                            COM            891707101            18280              981,499            SH   
TRANSACTION SYS ARCHITECTS CL                       COM            893416107            21421              595,034            SH   
TRANSAMERICA CORP                                   COM            893485102            21485              302,600            SH   
TRANSMEDIA NETWORK INC NEW                          COM            893767301              314               81,000            SH   
TRIANGLE PHARMACEUTICALS INCCO                      COM            89589H104              107               10,000            SH   
TRIARC COMPANIES INC CL A                           COM            895927101              953               66,000            SH   
TRIBUNE CO NEW                                      COM            896047107              857               13,100            SH   
TYCO INTL LTD NEW                                   COM            902124106            74869            1,043,464            SH   
U S ENERGY SYS INC                                  COM            902951102               49               20,000            SH   
U S G CORP                                          COM            903293405            21787              427,200            SH   
U S HOME CORP NEW COM                               COM            911920106            10648              207,262            SH   
</TABLE>                                                          
<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
STEELCASE INC                                                SOLE                       59800                                   
STERIS CORP COM                                              SOLE                      152695                           598728   
STERLING BANCSHARES INC COM                                  SOLE                       28020                           119405   
STERLING COMMERCE INC                                        SOLE                       89000                                   
STEWART ENTERPRISES INC CL A                                 SOLE                       62400                           190718   
STORAGE TECHNOLOGY CORP NEW                                  SOLE                       78500                                   
STRAYER ED INC COM                                           SOLE                       62450                            93825   
STRYKER CORP                                                 SOLE                           0                             9850    
STUART ENTMT INC                                             SOLE                           0                           108639   
SUGEN INC COM                                                SOLE                           0                            53000   
SUIZA FOODS CORP COM                                         SOLE                       79743                           128617   
SUMMIT BANCORP COM                                           SOLE                       28460                            71178   
SUN INTERNATIONAL HOTELS LTDOR                               SOLE                       59720                            34965   
SUN MICROSYSTEM INC                                          SOLE                      242190                           331100   
SUNDSTRAND CORP                                              SOLE                      251800                                   
SUNGARD DATA SYS INC                                         SOLE                       72900                           238511   
SUPERIOR CONSUL HLDGS CORP COM                               SOLE                       70690                           112525   
SWIFT TRANSN CO COM                                          SOLE                      153545                           480869   
SYBRON CORP DEL                                              SOLE                       39900                            50305   
SYLVAN LEARNING SYSTEMS INC CO                               SOLE                      259491                           763314   
SYMBOL TECHNOLOGIES INC                                      SOLE                       75068                            76822   
TAIWAN SEMICONDUCTOR MF                                      SOLE                      108120                           284375   
TECHNE CORP COM                                              SOLE                       95020                            80575   
TECHNOLOGY FLVRS & FRGNS INCCO                               SOLE                       20000                            68200   
TELECOM ITALIA                                               SOLE                        5500                             8750    
TELEFLEX INC                                                 SOLE                       77720                           352430   
TELEFONOS DE MEXICO ADR L SHS                                SOLE                        2250                             8462    
TELEGLOBE INC COM                                            SOLE                           0                            15000   
TELESCAN INC                                                 SOLE                       12500                                    
TERADYNE INC                                                 SOLE                      217100                           289700   
TESCO CORP                                                   SOLE                      374500                                    
TETRA TECH INC NEW                                           SOLE                      198489                           164514   
TEXACO INC                                                   SOLE                      479141                           530005   
TEXAS INSTRUMENTS INC                                        SOLE                      749810                           970600   
TEXTRON INC                                                  SOLE                       17600                                    
THOMAS GROUP INC                                             SOLE                       36000                                    
THQ INC NEW                                                  SOLE                      251000                                    
TIME WARNER INC                                              SOLE                      617349                           866340   
TJX COMPANIES INC                                            SOLE                      396501                           555369   
TOTAL RENAL CARE HLDGS INC COM                               SOLE                      172901                           600768   
TOWER AUTOMOTIVE INC COM                                     SOLE                      232510                           748989   
TRANSACTION SYS ARCHITECTS CL                                SOLE                      167850                           427184   
TRANSAMERICA CORP                                            SOLE                      302600                                    
TRANSMEDIA NETWORK INC NEW                                   SOLE                       81000                                    
TRIANGLE PHARMACEUTICALS INCCO                               SOLE                           0                            10000   
TRIARC COMPANIES INC CL A                                    SOLE                       66000                                    
TRIBUNE CO NEW                                               SOLE                       13100                                    
TYCO INTL LTD NEW                                            SOLE                      414014                           629450   
U S ENERGY SYS INC                                           SOLE                       20000                                    
U S G CORP                                                   SOLE                      190000                           237200   
U S HOME CORP NEW COM                                        SOLE                       47240                           160022   
</TABLE>                                                               

<PAGE>

<TABLE>
<CAPTION>
FORM 13F                                        NAME OF REPORTING MANAGER:       FURMAN SELZ CAPITAL MANAGEMENT LLC        3/31/99


                   NAME                            TITLE                                                 SHARES OR            SHS   
                    OF                              OF                                  VALUE            PRINCIPAL            OR    
                  ISSUER                           CLASS            CUSIP            (X $1000)            AMOUNT              PRN   
                  ------                           -----            -----            ---------           ---------           ----   
<S>                                                 <C>              <C>                <C>                 <C>               <C>   
UNIFIRST CORP COM                                   COM            904708104            2875              136,100             SH   
UNILEVER N V                                        COM            904784501            1435               21,600             SH   
UNION CAMP CORP                                     COM            905530101           70569            1,051,300             SH   
UNIPHASE CORP COM                                   COM            909149106             253                2,200             SH   
UNISOURCE WORLDWIDE INC.                            COM            909208100            2085              292,600             SH   
UNITED HEALTHCARE CORP                              COM            910581107             884               16,800             SH   
UNITED INTERNATIONAL HOLDINGS                       COM            910734102            3284               75,500             SH   
UNITED STATES FILTER CORP NEW                       COM            911843209           15358              501,500             SH   
UNITED STATIONERS INC COM                           COM            913004107            1319               86,467             SH   
UNITED TECHNOLOGIES CORP                            COM            913017109           13309               98,264             SH   
UNIVERSAL ELECTRONICS INC                           COM            913483103             375               30,000             SH   
UNIVERSAL HEALTH SVCS INC CL B                      COM            913903100           18665              431,553             SH   
UNOCAL CORP                                         COM            915289102           36672              994,500             SH   
UNUM CORP                                           COM            903192102             252                5,300             SH   
US FOODSERVICE                                      COM            90331R101           20305              446,249             SH   
US FREIGHTWAYS CORP COM                             COM            916906100           19185              583,582             SH   
UST CORP COM                                        COM            902900109            3250              148,794             SH   
USX MARATHON GROUP NEW                              COM            902905827             275               10,000             SH   
UUCAR INTERNATIONAL INC                             COM            90262K109            2006              142,000             SH   
VIACOM INC                                          COM            925524308            2963               35,300             SH   
VITECH AMER INC COM                                 COM            928489103             444               55,020             SH   
VITESSE SEMICONDUCTOR CORP COM                      COM            928497106           31577              623,742             SH   
VLSI TECHNOLOGY INC                                 COM            918270109           10794              557,000             SH   
WACKENHUT CORRECTIONS CORP COM                      COM            929798106           11262              583,157             SH   
WAL-MART STORES INC                                 COM            931142103          145622            1,579,625             SH   
WARNER LAMBERT CO                                   COM            934488107            9495              143,322             SH   
WASHINGTON MUT INC                                  COM            939322103           17199              420,762             SH   
WASTE MANAGEMENT INC                                COM            94106L109            8275              186,478             SH   
WATERS CORP COM                                     COM            941848103             422                4,020             SH   
WATSON PHARMACEUTICALS INC                          COM            942683103            8751              198,323             SH   
WAVE SYS CORP CL A                                  COM            943526103             550               20,000             SH   
WELLS FARGO & CO NEW                                COM            949746101            1087               31,000             SH   
WERNER ENTERPRISES INC                              COM            950755108            9183              583,023             SH   
WESTAMERICA BANCORP                                 COM            957090103           13808              436,629             SH   
WILD OATS MKTS INC COM                              COM            96808B107            9512              350,690             SH   
WILEY JOHN & SONS INC CL A                          COM            968223206             483               11,500             SH   
WILLIAMS CO                                         COM            969457100           18611              471,160             SH   
WILLIAMS SONOMA INC                                 COM            969904101           17315              612,928             SH   
WIND RIV SYS INC COM                                COM            973149107           14120              792,724             SH   
WOLVERINE WORLD WIDE INC                            COM            978097103              96               10,152             SH   
XEROX CORP                                          COM            984121103            1981               38,000             SH   
XEROX CORP                                          COM            984121103             370                7,100             SH   
XOMED SURGICAL PRODS INC COM                        COM            98412V107            2883               73,460             SH   
XTRA CORP                                           COM            984138107            4915              128,300             SH   
XYLAN CORP                                          COM            984151100           14909              405,000             SH   
YPF SOCIEDAD ANOMIMA                                COM            984245100            8522              270,000             SH   
ZALE CORP                                           COM            988858106           23229              679,453             SH   
ZEBRA TECHNOLOGIES CORP CL A                        COM            989207105             422               17,768             SH   
ZENIX INCOME FD INC COM                             COM            989414107             269               45,812             SH   
ZIONS BANCORP                                       COM            989701107            2369               35,630             SH   
                                                                                                                      
- ------------------------------------------------------------------------------------------------------------------------------------
TOTAL                                                                           9,364,543.83          211,798,419                   

</TABLE>                                                             
<PAGE>
                               [RESTUBBED TABLE]
<TABLE>
<CAPTION>
                   NAME                                                                            VOTING AUTHORITY                 
                    OF                       PUT/         INVESTMENT                     SOLE           SHARED           NONE       
                  ISSUER                     CALL         DISCRETION         MGRS          A              B                C        
                  ------                     ----         ----------         ----        ----           ------           ----       
<S>                                          <C>             <C>             <C>         <C>             <C>             <C>     
UNIFIRST CORP COM                                            SOLE                        95700                           40400   
UNILEVER N V                                                 SOLE                        21600                                   
UNION CAMP CORP                                              SOLE                       791400                          259900   
UNIPHASE CORP COM                                            SOLE                         2200                               0     
UNISOURCE WORLDWIDE INC.                                     SOLE                       292600                                   
UNITED HEALTHCARE CORP                                       SOLE                        16800                                   
UNITED INTERNATIONAL HOLDINGS                                SOLE                        75500                                   
UNITED STATES FILTER CORP NEW                                SOLE                       501500                                   
UNITED STATIONERS INC COM                                    SOLE                          420                           86047   
UNITED TECHNOLOGIES CORP                                     SOLE                        53764                           44500   
UNIVERSAL ELECTRONICS INC                                    SOLE                        30000                                   
UNIVERSAL HEALTH SVCS INC CL B                               SOLE                       103410                          328143   
UNOCAL CORP                                                  SOLE                       446500                          548000   
UNUM CORP                                                    SOLE                         5300                               0     
US FOODSERVICE                                               SOLE                       127060                          319189   
US FREIGHTWAYS CORP COM                                      SOLE                       150670                          432912   
UST CORP COM                                                 SOLE                       105915                           42879   
USX MARATHON GROUP NEW                                       SOLE                            0                           10000   
UUCAR INTERNATIONAL INC                                      SOLE                       142000                                   
VIACOM INC                                                   SOLE                        21600                           13700   
VITECH AMER INC COM                                          SOLE                        14590                           40430   
VITESSE SEMICONDUCTOR CORP COM                               SOLE                       191255                          432487   
VLSI TECHNOLOGY INC                                          SOLE                       557000                                   
WACKENHUT CORRECTIONS CORP COM                               SOLE                       169180                          413977   
WAL-MART STORES INC                                          SOLE                       675525                          904100   
WARNER LAMBERT CO                                            SOLE                        77772                           65550   
WASHINGTON MUT INC                                           SOLE                       232330                          188432   
WASTE MANAGEMENT INC                                         SOLE                        49797                          136681   
WATERS CORP COM                                              SOLE                         3800                             220    
WATSON PHARMACEUTICALS INC                                   SOLE                        42900                          155423   
WAVE SYS CORP CL A                                           SOLE                            0                           20000   
WELLS FARGO & CO NEW                                         SOLE                        31000                                   
WERNER ENTERPRISES INC                                       SOLE                       131055                          451968   
WESTAMERICA BANCORP                                          SOLE                       123340                          313289   
WILD OATS MKTS INC COM                                       SOLE                        86600                          264090   
WILEY JOHN & SONS INC CL A                                   SOLE                            0                           11500   
WILLIAMS CO                                                  SOLE                       262320                          208840   
WILLIAMS SONOMA INC                                          SOLE                       162610                          450318   
WIND RIV SYS INC COM                                         SOLE                       217185                          575539   
WOLVERINE WORLD WIDE INC                                     SOLE                            0                           10152   
XEROX CORP                                                   SOLE                        38000                                   
XEROX CORP                                                   SOLE                        5100                             2000    
XOMED SURGICAL PRODS INC COM                                 SOLE                        49660                           23800   
XTRA CORP                                                    SOLE                       128300                                   
XYLAN CORP                                                   SOLE                       405000                                   
YPF SOCIEDAD ANOMIMA                                         SOLE                       270000                                   
ZALE CORP                                                    SOLE                       162190                          517263   
ZEBRA TECHNOLOGIES CORP CL A                                 SOLE                            0                           17768   
ZENIX INCOME FD INC COM                                      SOLE                            0                            45812   
ZIONS BANCORP                                                SOLE                        16900                           18730   
                                                                                                                  
- ------------------------------------------------------------------------------------------------------------------------------------
TOTAL                                                                                 

</TABLE>



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