<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>