FURMAN SELZ CAPITAL MANAGEMENT LLC/NY
13F-HR, 2000-05-12
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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 03/31/00

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:  Robert J. Miller
Title: Vice President, Secretary and Treasurer
Phone: 212-309-8399

Signature, Place and Date of Signing:

       /s/ Robert J. Miller              New York, NY            05/15/00
       ---------------------            -------------            --------
            (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-_________                       Robert J. Miller
                                    ----------------------------

<PAGE>

                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:         1
                                         -----
Form 13F Information Table Entry Total:         679

Form 13F Information Table Value Total:  $9,430,626 (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                                  3/31/00

                                                                                  INVESTMENT DISCRETION            VOTING AUTHORITY

    NAME                     TITLE                        SHARES OR  SH                            SHARED
     OF                        OF     CUSIP      VALUE    PRINCIPAL  OR   PUT/  SOLE   SHARED-DEF  OTHER        SOLE  SHARED  NONE
   ISSUER                    CLASS    NUMBER   (X $1000)   AMOUNT    PRN  CALL   (A)      (B)       (C)   MGR    (A)   (B)     (C)
   ------                    -----    ------   ---------  ---------  ---  ----  ----   ----------  ------ ---  ----  ------   ----
<S>                             <C>    <C>        <C>         <C>      <C>  <C>   <C>    <C>        <C>    <C>  <C>   <C>     <C>
AAR CORP                       COM   000361105    1,669     100,000  SH         100,000                        100,000  0          0
ADC TELECOMMUNICATIONS         COM   000886101   54,639   1,014,175  SH         953,875   60,300               669,313  0    344,862
AMR CORP                       COM   001765106   23,030     722,500  SH         722,500                        390,300  0    332,200
AMFM INC                       COM   001693100    4,038      65,000  SH          65,000                         65,000  0          0
ARC INTL CORP                  COM   001905108       22      29,000  SH          29,000                              0  0     29,000
A T & T CORP.                  COM   001957109   87,306   1,550,378  SH       1,528,050   22,329               857,068  0    693,311
AT&T CORP LIBERTY MEDIA GROUP  COM   001957208   59,579   1,004,520  SH         960,520   44,000               584,620  0    419,900
ATMI INC                       COM   00207R101   10,650     223,042  SH         223,042                        187,067  0     35,975
ABBOTT LABS                    COM   002824100   42,566   1,209,700  SH       1,209,700                        666,400  0    543,300
ABERCROMBIE &  FITCH CO        COM   002896207      897      56,072  SH          56,072                         56,072  0          0
ACLARA BIOSCIENCES INC         COM   00461P106      923      23,400  SH          23,400                          4,650  0     18,750
ACXIOM CORP                    COM   005125109      270       8,122  SH           8,122                          7,207  0        915
ADAPTEC INC                    COM   00651F108      266       6,890  SH           6,890                            850  0      6,040
ADVANCED DIGITAL INFO          COM   007525108   12,117     353,780  SH         353,780                        294,161  0     59,619
ADVENT SOFTWARE INC            COM   007974108   12,126     264,317  SH         264,317                        225,327  0     38,990
ADVO INC                       COM   007585102    1,094      43,752  SH          43,752                         33,870  0      9,882
AFFYMETRIX INC OC-CAP          COM   00826T108    4,956      33,389  SH          30,889    2,500                26,866  0      6,523
AIMGLOBAL TECHNOLOGIES         COM   00900N100      786      64,125  SH          64,125                         11,475  0     52,650
AIR PRODUCTS & CHEMICALS INC   COM   009158106      119       4,173  SH           4,173                          4,173  0          0
AKORN INC                      COM   009728106    1,330     140,000  SH         140,000                        140,000  0          0
ALCOA INC                      COM   013817101   93,454   1,330,300  SH       1,330,300                        716,500  0    613,800
ALEXION PHARMACEUTICAL         COM   015351109      209       3,000  SH           3,000                              0  0      3,000
ALKERMES INC                   COM   01642T108    1,335      14,430  SH          14,430                          2,230  0     12,200
ALLAIRE CORP                   COM   016714107    8,211     108,578  SH         108,578                         93,693  0     14,885
ALLSTATE CORP                  COM   020002101    8,541     358,661  SH         358,661                        358,661  0          0
ALPHA MICROSYSTEMS CO          COM   020903100      106      12,800  SH          12,800                              0  0     12,800
ALTERA CORP                    COM   021441100    7,864      88,112  SH          77,612    10,500               73,958  0     14,154
AMERICA ONLINE INC             COM   02364J104    3,497      51,860  SH          51,860                         41,970  0      9,890
AMERICAN EXPRESS CO            COM   025816109      894       6,000  SH           6,000                          6,000  0          0
AMERICAN GENERAL CORP          COM   026351106      770      13,713  SH          13,713                         13,713  0          0
AMERICAN HOME PRODS            COM   026609107    3,925      73,025  SH          73,025                         34,550  0     38,475
AMERICAN INTL GROUP            COM   026874107   45,843     418,655  SH         400,582    18,073              258,325  0    160,330
AMERICAN MGMT SYSTEMS          COM   027352103   18,863     430,549  SH         417,548    13,000              363,150  0     67,398
AMERICAN PWR CONVERSION        COM   029066107   58,037   1,353,622  SH       1,329,622    24,000              809,452  0    544,170
AMERICAN STD COS INC DEL       COM   029712106   34,432     930,600  SH         930,600                        525,100  0    405,500
AMGEN INC                      COM   031162100      663      10,800  SH          10,800                              0  0     10,800
AMPHENOL CORP NEW CL           COM   032095101    5,344      52,260  SH          52,260                         44,355  0      7,905
AMSOUTH BANCORPORATION         COM   032165102      101       6,758  SH           6,758                          6,758  0          0
ANADIGICS INC                  COM   032515108      717      10,860  SH             860    10,000               10,860  0          0
ANALOG DEVICES INC             COM   032654105   65,498     813,633  SH         813,633                        423,533  0    390,100

</TABLE>

                                     Page 1
<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/  SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL   (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----  ----   ----------  ------ ---   ----  ------    ----
<S>                          <C>    <C>        <C>         <C>     <C>  <C>   <C>      <C>        <C>   <C>   <C>     <C>     <C>
ANDOVER.NET INC                COM  034318105    1,171     54,600  SH          54,600                          54,600   0          0
ANHEUSER BUSCH COS INC         COM  035229103    1,145     18,400  SH          18,400                          18,400   0          0
ANNALY MORTGAGE MANAGEMENT INC COM  035710409    3,550    400,000  SH         400,000                         400,000   0          0
ANTEC CORP                     COM  03664P105    1,919     42,827  SH          42,827                           7,952   0     34,875
APPLIED MATLS INC              COM  038222105  121,158  1,285,500  SH       1,285,500                         700,100   0    585,400
APPLIED POWER                  COM  038225108   12,782    448,475  SH         434,475    14,000               379,295   0     69,180
ARCH CHEMICALS INC             COM  03937R102   17,968    898,400  SH         898,400                         488,900   0    409,500
ARROW ELECTRONICS INC          COM  042735100   95,839  2,718,845  SH       2,704,845    14,000             1,568,780   0  1,150,065
ARTHROCARE CORP                COM  043136100    7,690     83,589  SH          83,589                          70,504   0     13,085
ASK JEEVES INC                 COM  045174109    1,956     32,000  SH          32,000                          32,000   0          0
ASPECT COMMUNICATIONS CORP     COM  04523Q102    2,108     56,885  SH          47,885     9,000                26,760   0     30,125
ASPECT DEVELOPMENT INC         COM  045234101    5,704     88,600  SH          88,600                          88,600   0          0
ASTORIA FINL CORP COM          COM  046265104      693     24,427  SH          24,427                          19,732   0      4,695
ASYST TECHNOLOGIES INC         COM  04648X107      690     11,800  SH               -    11,800                11,800   0          0
AT HOME CORP-SER A             COM  045919107      165      5,000  SH           5,000                           5,000   0          0
ATLANTIC RICHFIELD CO          COM  048825103   57,120    672,000  SH         672,000                         419,300   0    252,700
AUDIOVOX CORP CL A             COM  050757103    9,024    206,845  SH         206,845                         174,332   0     32,513
AUSPEX SYS INC                 COM  052116100      706     64,200  SH          64,200                          49,430   0     14,770
AUTOMATIC DATA PROCESSING      COM  053015103    2,326     48,200  SH          48,200                          48,200   0          0
AVNET INC                      COM  053807103   73,666  1,169,300  SH       1,169,300                         646,700   0    522,600
BALLANTYNE OMAHA INC           COM  058516105      751    200,373  SH         200,373                          37,283   0    163,090
BANK OF AMERICA                COM  060505104   81,277  1,549,975  SH       1,549,975                         826,772   0    723,203
BANK OF NEW YORK INC           COM  064057102   40,277    969,060  SH         920,760    48,300               597,544   0    371,516
BANK ONE CORP                  COM  06423A103   51,251  1,485,530  SH       1,485,530                         784,400   0    701,130
BANYAN STRATEGIC RLTY          COM  06683M102       53     10,000  SH          10,000                               0   0     10,000
BAUSCH & LOMB INC              COM  071707103   15,468    296,395  SH         277,395    19,000               182,330   0    114,065
BAXTER INTL INC                COM  071813109   87,854  1,401,565  SH       1,380,165    21,400               783,587   0    617,978
BB&T CORP                      COM  054937107      136      4,833  SH           4,833                           4,833   0          0
BCAM INTL INC                  COM  055293104       19    125,000  SH         125,000                          20,000   0    105,000
BCE INC                        COM  05534B109    2,258     18,000  SH          18,000                          18,000   0          0
BEA SYSTEMS INC                COM  073325102    1,761     24,000  SH          16,000     8,000                24,000   0          0
BELDEN INC                     COM  077459105    1,577     57,330  SH          57,330                          45,330   0     12,000
BELL ATLANTIC CORP             COM  077853109   99,378  1,625,810  SH       1,591,710    34,100               932,362   0    693,448
BELLSOUTH CORP                 COM  079860102    4,790    102,196  SH         102,196                          70,000   0     32,196
BEN & JERRYS HOMEMADE INC-CL A COM  081465106    5,766    171,800  SH         171,800                         171,800   0          0
BIOGEN N V                     COM  090597105    4,930     70,558  SH          62,758     7,800                61,144   0      9,414
BJ SERVICES CO.                COM  055482103      378      5,115  SH           5,115         -                 3,261   0      1,854
BJS WHSL CLUB INC              COM  05548J106    4,696    122,365  SH         113,365     9,000                99,385   0     22,980
BESTFOODS                      COM  08658U101   54,349  1,161,000  SH       1,161,000                         614,900   0    546,100
BLACK & DECKER CORP            COM  091797100   44,072  1,173,300  SH       1,173,300                         613,000   0    560,300
BLACK BOX CORP                 COM  091826107   12,174    175,840  SH         175,840                         144,926   0     30,914

</TABLE>

                                     Page 2
<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
BLAZE SOFTWARE INC CO          COM  09347T109      428     15,000  SH                -   15,000                 15,000  0          0
BLYTH INDS INC                 COM  09643P108      436     15,971  SH           15,971                          15,296  0        675
BOEING CO                      COM  097023105      805     21,300  SH           21,300                          21,300  0          0
BORON LEPORE & ASSOC           COM  10001P102      266     30,000  SH                -   30,000                 30,000  0          0
BOWATER INC                    COM  102183100   31,710    594,100  SH          594,100                         320,400  0    273,700
BRASS EAGLE INC                COM  10553F106      726    135,000  SH          135,000                         135,000  0          0
BRISTOL MYERS SQUIBB           COM  110122108   58,623  1,010,745  SH        1,010,745                         538,520  0    472,225
BROADWING INC                  COM  111620100    3,024     39,100  SH           39,100                          39,100  0          0
BROCADE COMMUNICATIONS SYS INC COM  111621108    6,545     36,500  SH           36,500                          36,500  0          0
BURLINGTON NORTHN SANTA        COM  12189T104    9,628    423,200  SH          423,200                         218,700  0    204,500
BURLINGTON RESOURCES INC       COM  122014103      147      3,960  SH            3,960                           3,960  0          0
BURR BROWN CORP                COM  122574106   12,168    223,775  SH          213,275   10,500                183,947  0     39,828
CBS CORPORATION                COM  12490K107  100,121  1,768,141  SH        1,737,091   31,050              1,068,587  0    699,554
C COR ELECTRS INC              COM  125010108   13,483    275,155  SH          270,655    4,500                231,087  0     44,068
C-CUBE MICROSYSTEMS INC        COM  125015107   12,349    169,600  SH          169,600                         169,600  0          0
C H ROBINSON WORLDWIDE         COM  12541W100   10,034    269,374  SH          260,874    8,500                225,488  0     43,886
CIGNA CORP                     COM  125509109      742      9,800  SH            9,800                           9,800  0          0
CNA SURETY CORP                COM  12612L108    3,484    250,000  SH          250,000                         250,000  0          0
CNF TRANSN INC                 COM  12612W104   59,862  2,157,200  SH        2,157,200                       1,132,200  0  1,025,000
CABLE DESIGN TECHNICAL CO      COM  126924109    7,053    207,828  SH          207,828                         173,411  0     34,417
CABLETEL COMMUNICATION         COM  126925106      346     49,900  SH           49,900                          16,000  0     33,900
CABLEVISION SYSTEMS CORP-CL A  COM  12686C109      942     15,500  SH           15,500                          15,500  0          0
CACI INTL INC CL A             COM  127190304    6,005    200,580  SH          200,580                         174,840  0     25,740
CALICO COMMERCE INC            COM  129897104    1,245     38,000  SH           38,000                          38,000  0          0
CALPINE CORP                   COM  131347106    4,406     46,870  SH           42,570    4,300                 40,615  0      6,255
CALTON INC NEW                 COM  131380206      267     83,600  SH           83,600                          83,600  0          0
CAMBREX CORP                   COM  132011107    7,947    182,680  SH          182,680                         149,050  0     33,630
CAMPBELL SOUP CO               COM  134429109      203      6,589  SH            6,589                           6,589  0          0
CAPITAL AUTOMOTIVE REIT-SBI    COM  139733109    5,138    428,129  SH          428,129                         401,170  0     26,959
CAPITAL ONE FINL CORP          COM  14040H105      233      4,870  SH            4,870                             100  0      4,770
CAREER ED CORP                 COM  141665109    1,891     54,040  SH           54,040                          41,570  0     12,470
CAREINSITE INC                 COM  14170M106      281     12,000  SH           12,000                          12,000  0          0
CAREMARK RX INC                COM  141705103      419    100,000  SH          100,000                         100,000  0          0
CAREY INTL INC                 COM  141750109    3,389    199,340  SH          199,340                         182,680  0     16,660
CARMIKE CINEMAS INC            COM  143436103      554    101,886  SH          101,886                          80,060  0     21,826
CATERPILLAR INC DEL            COM  149123101      856     21,700  SH           21,700                          21,700  0          0
CELADON GROUP INC              COM  150838100      652     25,200  SH           25,200                          25,200  0          0
CENDANT CORPORATION            COM  151313103    1,684     91,000  SH           91,000                          80,000  0     11,000
CHAMPION INTERNATIONAL CORP    COM  158525105    4,260     80,000  SH           80,000                          80,000  0          0
CHASE MANHATTAN CORP           COM  16161A108   66,914    767,470  SH          767,470                         416,136  0     51,334
CHATCOM INC COM                COM  161723101        1     38,666  SH           38,666                               0  0     38,666

</TABLE>


                                     Page 3

<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
CHECKFREE HOLDINGS CORP        COM  162816102   51,460    729,935  SH          711,235   18,700                643,305  0     86,630
CHEVRON CORPORATION            COM  166751107    3,291     35,600  SH           35,600                          35,600  0          0
CHIREX INC                     COM  170038103    1,013     52,630  SH           52,630                          41,050  0     11,580
CHUBB CORP                     COM  171232101   27,747    410,681  SH          386,181   24,500                231,846  0    178,835
CIRCUIT CITY STORES            COM  172737108   11,241    184,655  SH          170,655   14,000                135,415  0     49,240
CISCO SYSTEMS INC              COM  17275R102  228,943  2,961,262  SH        2,961,262                       1,616,548  0  1,344,714
CITADEL COMMUNICATIONS         COM  172853202    1,266     30,000  SH                -   30,000                 30,000  0          0
CITIGROUP INC.                 COM  172967101  116,574  1,946,983  SH        1,946,983                         919,559  0  1,027,424
CITRIX SYS INC                 COM  177376100    6,032     91,054  SH           85,054    6,000                 58,208  0     32,846
CITY NATL CORP                 COM  178566105    4,757    141,204  SH          127,804   13,400                122,359  0     18,845
CLARK (DICK) PRODUCTIONS INC   COM  181512104      334     25,000  SH           25,000                          25,000  0          0
COASTAL CORP                   COM  190441105      327      6,822  SH            6,822                           4,876  0      1,946
COCA COLA CO                   COM  191216100   23,994    511,200  SH          511,200                         280,700  0    230,500
COGNIZANT TECHNLGY SL          COM  192446102    8,033    128,526  SH          128,526                         110,540  0     17,986
COLGATE PALMOLIVE CO           COM  194162103   40,302    714,900  SH          714,900                         387,900  0    327,000
COLUMBIA ENERGY GROUP          COM  197648108   35,189    593,900  SH          593,900                         593,900  0          0
COLUMBIA/HCA HEALTHCARE        COM  197677107   31,334  1,237,890  SH        1,175,290   62,600                760,173  0    477,717
COMCAST CORP-SPECIAL CL A      COM  200300200      108      2,500  SH            2,500                           2,500  0          0
COMDISCO INC                   COM  200336105    6,417    145,420  SH          136,420    9,000                121,945  0     23,475
COMERICA INC                   COM  200340107      334      7,968  SH            7,968                           7,968  0          0
COMMODORE APPLIED TECHNOLOGIE  COM  202630109      169    100,000  SH          100,000                         100,000  0          0
COMMSCOPE INC                  COM  203372107   20,574    450,310  SH          440,310   10,000                373,875  0     76,435
COMMUNICATION INTELLIGENCE     COM  20338K106       60     10,000  SH           10,000                          10,000  0          0
COMPAQ COMPUTER CORP           COM  204493100      780     28,900  SH           28,900                          28,900  0          0
COMPUTER ASSOC INT'L           COM  204912109   46,077    778,500  SH          778,500                         416,925  0    361,575
COMPUWARE CORP                 COM  205638109   21,996  1,044,300  SH        1,044,300                         538,400  0    505,900
COMVERSE TECHNOLOGY            COM  205862402    9,746     51,565  SH           46,815    4,750                 44,437  0      7,128
CONCENTRIC NETWORK CORP-DEL    COM  20589R107   18,684    339,700  SH          339,700                         339,700  0          0
COM21 INC                      COM  205937105      611     13,000  SH                -   13,000                 13,000  0          0
CONCORD CAMERA CORP            COM  206156101   34,375    625,000  SH          625,000                         625,000  0          0
CONCORD EFS INC                COM  206197105    5,434    236,903  SH          217,653   19,250                191,299  0     45,604
CONEXANT SYSTEMS INC           COM  207142100      419      5,900  SH            5,900                           5,900  0          0
CONMED CORP                    COM  207410101    1,792     71,505  SH           71,505                          58,075  0     13,430
CONOCO INC-CL B                COM  208251405  103,115  4,023,986  SH        4,023,986                       2,105,612  0  1,918,374
CONSOLIDATED PAPERS INC        COM  209759109    6,780    176,400  SH          176,400                         176,400  0          0
CONSOLIDATED STORES CORP       COM  210149100   13,973  1,228,400  SH        1,228,400                         635,400  0    593,000
CONTINUUS SOFTWARE CORP        COM  21218R104      519     55,000  SH           11,500   43,500                 55,000  0          0
CONVERGYS CORP                 COM  212485106    4,643    120,010  SH          109,010   11,000                 99,135  0     20,875
COOPER CAMERON CORP            COM  216640102      297      4,434  SH            4,434                           4,434  0          0
CORDANT TECHNOLOGIES INC       COM  218412104   15,136    267,600  SH          267,600                         267,600  0          0
CORECOMM LIMITED               COM  G2422R109   22,798    518,125  SH          518,125                         518,125  0          0

</TABLE>

                                     Page 4

<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                             SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
CORNING INC                    COM  219350105    3,080     15,874  SH           15,874                          15,455  0        419
COST PLUS INC CALIF            COM  221485105      309      9,150  SH                -       9,150               9,150  0          0
COSTCO WHSL CORP NEW           COM  22160K105   38,084    724,550  SH          724,550                         359,360  0    365,190
CRANE CO                       COM  224399105      212      9,000  SH            9,000                               0  0      9,000
CROWN CASTLE INTL CORP         COM  228227104    5,303    140,000  SH          140,000                         140,000  0          0
CSG SYSTEMS INTERNATIONAL INC  COM  126349109    5,369    110,000  SH          110,000                         110,000  0          0
CTS CORP                       COM  126501105   12,922    226,702  SH          226,702                         188,987  0     37,715
COUNTRYWIDE CR INDS INC        COM  222372104   11,118    408,000  SH          408,000                         221,900  0    186,100
CULLEN FROST BANKERS           COM  229899109    8,031    303,775  SH          303,775                         251,471  0     52,304
CURAGEN CORP                   COM  23126R101      318      6,800  SH                -       6,800               6,800  0          0
CVC INC                        COM  126945104      159      5,000  SH            5,000                           5,000  0          0
CYBERCASH INC                  COM  232462101      270     20,000  SH           20,000                          20,000  0          0
CYBERGOLD INC                  COM  23246N105    1,290    120,000  SH          120,000                         120,000  0          0
CYCOMM INTL INC                COM  23255B208       58     25,000  SH           25,000                               0  0     25,000
CYMER INC                      COM  232572107    8,551    171,020  SH          171,020                         143,525  0     27,495
CYTYC CORP                     COM  232946103   42,361    877,945  SH          877,945                         827,330  0     50,615
D R HORTON INC                 COM  23331A109      271     20,784  SH           20,784                          19,884  0        900
DATA TRANSMISSION NETWORK CORP COM  238017107   13,923    489,600  SH          489,600                         489,600  0          0
DAVOX CORP                     COM  239208101    7,733    289,100  SH          289,100                         244,800  0     44,300
DEL LABS INC                   COM  245091103      480     57,329  SH           57,329                           7,683  0     49,646
DELUXE CORP                    COM  248019101    1,756     66,275  SH           66,275                          11,475  0     54,800
DEVRY INC                      COM  251893103      440     14,410  SH           14,410                          10,990  0      3,420
DIAMOND TECHNOLOGY PARTNERS    COM  252762109    3,156     48,000  SH           28,000      20,000              48,000  0          0
DIGENE CORP                    COM  253752109    7,683    167,020  SH          162,520       4,500             143,585  0     23,435
DII GROUP INC                  COM  232949107   38,501    340,530  SH          340,530                         312,355  0     28,175
DIME BANCORP INC NEW           COM  25429Q102    7,881    426,000  SH          426,000                         426,000  0          0
DISNEY (WALT) HOLDING          COM  254687106    1,943     47,091  SH           47,091                          27,000  0     20,091
DISPATCH MANAGEMENT SERVICES   COM  254927106    2,019    850,000  SH          850,000                         850,000  0          0
DONALDSON INC                  COM  257651109    2,606    115,515  SH          115,515                         100,415  0     15,100
DOUBLECLICK INC                COM  258609304   10,767    115,000  SH          115,000                         115,000  0          0
DOVER CORP                     COM  260003108    4,160     86,885  SH           79,885       7,000              69,340  0     17,545
DUFF & PHELPS CREDIT RATING CO COM  26432F109   16,738    167,900  SH          167,900                         167,900  0          0
DUKE ENERGY CORP               COM  264399106    1,544     29,400  SH           29,400                          29,400  0          0
DURA PHARM 3.500%              CONV 26632SAA7      605    750,000  SH          750,000                         750,000  0          0
DURA PHARMACEUTICALS           COM  26632S109    7,316    594,156  SH          594,156                         495,886  0     98,270
E I DU PONT DE NEMOURS & CO    COM  263534109    1,796     33,936  SH           33,936                          33,936  0          0
E M C CORP                     COM  268648102   24,904    197,654  SH          190,154       7,500             123,659  0     73,995
EASTERN ENTERPRISES INC        COM  27637F100   23,214    387,700  SH          387,700                         387,700  0          0
EASTMAN KODAK CO               COM  277461109      744     13,700  SH           13,700                          13,700  0          0
EATON CORP                     COM  278058102   48,001    615,400  SH          615,400                         335,700  0    279,700
EBAY INC                       COM  278642103      352      2,000  SH            2,000                           2,000  0          0
</TABLE>


                                     Page 5

<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
EBENX INCTWARE INC CO          COM  278668108      472     16,000  SH           16,000                          16,000  0          0
EDISON INT'L                   COM  281020107      663     40,000  SH           40,000                          40,000  0          0
EGAIN COMMUNICATIONS CORP      COM  28225C103    3,705     95,000  SH           95,000                          95,000  0          0
EGLOBE INC                     COM  282339100      523     55,000  SH           55,000                          55,000  0          0
EL PASO ELECTRIC CO NEW        COM  283677854    1,598    154,000  SH          154,000                         154,000  0          0
EL PASO ENERGY CORP D          COM  283905107      450     11,134  SH              834     10,300               11,116  0         18
ELAN PLC ADR                   COM  284131208    1,067     22,470  SH           22,470                               0  0     22,470
ELECTRONIC ARTS INC            COM  285512109    3,786     53,185  SH           49,685      3,500               44,525  0      8,660
ELECTRONICS FOR IMAGING        COM  286082102    9,118    151,973  SH          139,473     12,500              120,132  0     31,841
ELOQUENT INC                   COM  290140102    1,630     80,000  SH           80,000                          80,000  0          0
ELOYALTY CORP                  COM  290151109   13,609    570,000  SH          570,000                         570,000  0          0
EMC CORP-MASS                  COM  268648102      550      4,400  SH            4,400                           4,400  0          0
EMCORE CORP                    COM  290846104    2,301     20,000  SH           20,000                          20,000  0          0
EMUSIC COM INC                 COM  292476108      259     41,000  SH                -     41,000               41,000  0          0
EOG RES INC                    COM  26875P101    3,820    180,280  SH          167,780     12,500              145,750  0     34,530
EPRISE CORP                    COM  294352109    1,103     70,000  SH           70,000                          70,000  0          0
EQUITY OIL CO                  COM  294749106       52     34,270  SH           34,270                               0  0     34,270
ERICSSON L M TEL CO A          COM  294821400   78,160    833,149  SH          810,549     22,600              450,345  0    382,804
ETEC SYSTEMS INC               COM  26922C103   13,061    104,800  SH          104,800                         104,800  0          0
E-TEK DYNAMICS INC             COM  269240107    2,353     10,000  SH           10,000                          10,000  0          0
ETHAN ALLEN INTERIORS          COM  297602104      376     15,046  SH           15,046                          10,095  0      4,951
EVEREST MEDICAL CORP           COM  299806109      142     30,000  SH           30,000                          30,000  0          0
EXCELON CORP                   COM  300691102      956     85,000  SH           20,000     65,000               85,000  0          0
EXCHANGE APPLICATIONS          COM  300867108    7,080    133,789  SH          133,789                         116,261  0     17,528
EXCITE @HOME                   COM   45919107    1,375     41,754  SH           41,754                           6,553  0     35,201
EXPEDITORS INTL WASH           COM  302130109   15,374    386,757  SH          379,357      7,400              320,782  0     65,975
EXPRESS SCRIPTS INC            COM  302182100   18,650    444,057  SH          421,957     22,100              269,969  0    174,088
EXXON CORPORATION              COM  30231G102   95,440  1,224,565  SH        1,224,565                         666,597  0    557,968
FAMILY DLR STORES INC          COM  307000109      223     10,726  SH           10,726                          10,321  0        405
FANNIE MAE                     COM  313586109      147      2,600  SH            2,600                           2,600  0          0
FED HOME LOAN MTG CORP         COM  313400301    2,229     50,440  SH           50,440                          44,440  0      6,000
FEDERAL NAT MORTGAGE           COM  313586109   75,051  1,326,875  SH        1,326,875                         703,300  0    623,575
FEDERATED DEPARTMENT STORES    COM  31410H101    6,045    144,570  SH          144,570                         144,570  0          0
FEDEX CORP                     COM  31428X106    1,079     27,800  SH           27,800                          27,800  0          0
FINANCIAL SECURITY ASSURANCE   COM  31769P100   21,113    287,500  SH          287,500                         287,500  0          0
FINOVA GROUP INC.              COM  317928109      346     20,600  SH            4,600     16,000               16,100  0      4,500
FIRST DATA CORP                COM  319963104   82,286  1,854,333  SH        1,822,533     31,800            1,042,527  0    811,806
FIRST SEC CORP DEL             COM  336294103      235     19,615  SH           19,615                          11,183  0      8,432
FIRST UN CORP                  COM  337358105   48,224  1,294,600  SH        1,294,600                         690,400  0    604,200
FIRSTWORLD COMMUNICATIONS INC  COM  337625305      143      7,000  SH            7,000                           7,000  0          0
FISERV INC                     COM  337738108    3,518     94,615  SH           87,115      7,500               80,200  0     14,415

</TABLE>


                                     Page 6

<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
FLAMEL TECHNOLOGIES SA         COM  338488109      143     30,000  SH           30,000                          30,000  0          0
FLEETBOSTON FINL CORP          COM  339030108   67,777  1,856,900  SH        1,856,900                         973,000  0    883,900
FLEXTRONICS INT'L LTD          COM  Y2573F102   26,189    371,800  SH          371,800                         191,800  0    180,000
FOOTSTAR INC                   COM  344912100    1,346     47,642  SH           47,642                          37,702  0      9,940
FORD MOTOR CO DEL              COM  345370100   55,435  1,206,758  SH        1,206,758                         650,075  0    556,683
FOUNDRY NETWORKS INC           COM  35063R100    5,750     40,000  SH           40,000                          40,000  0          0
FOUR MEDIA CO                  COM  350872107      494     32,000  SH           32,000                               0  0     32,000
GALAGEN INC                    COM  362913105      130     50,000  SH           50,000                          50,000  0          0
GANNETT INC                    COM  364730101    1,274     18,100  SH           18,100                          18,100  0          0
GAP INC DEL                    COM  364760108    1,204     24,162  SH           24,162                          24,162  0          0
GEMINI TECHNOLOGY INT          COM  36866E106        -     10,000  SH           10,000                               0  0     10,000
GEMSTAR INTERNATIONL           COM  G3788V106   13,293    154,575  SH          154,575                         126,445  0     28,130
GENERAL DYNAMICS CORP          COM  369550108      179      3,600  SH            3,600                           3,600  0          0
GENERAL ELECTRIC CO            COM  369604103  291,506  1,873,140  SH        1,873,140                       1,022,290  0    850,850
GENERAL MTRS CORP              COM  370442105  109,981  1,328,075  SH        1,308,375     19,700              773,920  0    554,155
GENTA INC COM NEW              COM  37245M207      194     20,000  SH              -       20,000               20,000  0          0
GENTEX CORP                    COM  371901109   15,418    415,994  SH          415,994                         340,047  0     75,947
GEORGIA PACIFIC CORP           COM  373298702      103      4,003  SH            4,003                           4,003  0          0
GERBER SCIENTIFIC INC          COM  373730100      193     10,000  SH              -       10,000               10,000  0          0
GETTY IMAGES INC               COM  374276103    7,906    220,000  SH          220,000                         220,000  0          0
GILAT SATELLITE NETWORKS       COM  M51474100    1,173     10,000  SH           10,000                          10,000  0          0
GILEAD SCIENCES INC            COM  375558103    4,119     65,000  SH           65,000                          65,000  0          0
GILLETTE CO                    COM  375766102    1,545     41,000  SH           41,000                          22,300  0     18,700
GLOBAL MARINE INC NEW          COM  379352404      101      3,974  SH            3,974                           3,974  0          0
GLOBALSTAR TELECOMMUNTIONS     COM  G3930H104      201     14,500  SH           14,500                           4,500  0     10,000
GLOBESPAN INC                  COM  379571102    1,209     11,861  SH           11,861                           9,064  0      2,797
GOODRICH B F CO                COM  382388106   44,075  1,536,400  SH        1,536,400                         776,500  0    759,900
GRAINER W W INC                COM  384802104   54,380  1,002,400  SH        1,002,400                         537,400  0    465,000
GRAND UNION CO                 COM  386532402      425    144,648  SH          144,648                         144,648  0          0
GREAT PLAINS SOFTWARE          COM  39119E105    3,896     72,990  SH           72,990                          61,405  0     11,585
GTE CORP                       COM  362320103   79,818  1,124,200  SH        1,124,200                         732,800  0    391,400
GUIDANT CORP                   COM  401698105    1,107     18,800  SH           18,800                          18,800  0          0
HAIN FOOD GROUP INC            COM  405219106   12,311    434,834  SH          420,834     14,000              366,674  0     68,160
HALLIBURTON CO                 COM  406216101   45,299  1,101,500  SH        1,072,700     28,800              709,050  0    392,450
HANNAFORD BROS CO              COM  410550107   27,583    374,000  SH          374,000                         374,000  0          0
HARMONIC INC                   COM  413160102      208      2,500  SH              -        2,500                2,500  0          0
HARRIS INTERACTIVE INC         COM  414549105      365     56,100  SH           56,100                          10,050  0     46,050
HARTE HANKS INC                COM  416196103      857     37,791  SH           37,791                          30,086  0      7,705
HARTFORD LIFE INC-CL A         COM  416592103    5,817    124,090  SH          124,090                         124,090  0          0
HASBRO BRADLEY INC             COM  418056107    1,717    102,912  SH          102,912                          19,307  0     83,605
HEALTH MANAGEMENT SYSTEM INC   COM  42219M100      385     80,000  SH           80,000                          80,000  0          0

</TABLE>


                                     Page 7

<PAGE>

<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
HEALTH MGMT ASSOC INC           COM 421933102   25,811  1,811,290  SH         1,663,490    147,800           1,186,067  0    625,223
HECLA MNG CO                    COM 422704106       14     10,500  SH            10,500                              0  0     10,500
HEIDRICK & STRUGGLES INTL INC   COM 422819102    5,216    130,000  SH           130,000                        130,000  0          0
HEINZ H J CO                    COM 423074103      879     25,200  SH            25,200                         25,200  0          0
HERSHEY FOODS CORP              COM 427866108      634     13,000  SH            13,000                         13,000  0          0
HEWLETT PACKARD CO              COM 428236103   70,835    533,100  SH           533,100                        288,700  0    244,400
HISPANIC BROADCASTING           COM 43357B104      294      2,600  SH               -        2,600               2,600  0          0
HNC SOFTWARE INC                COM 40425P107    5,405     75,000  SH            75,000                         75,000  0          0
HOLLINGER INTERNATIONAL INC     COM 435569108      147     13,677  SH            13,677                         13,677  0          0
HOME DEPOT INC                  COM 437076102  134,360  2,083,095  SH         2,083,095                      1,112,023  0    971,072
HONEYWELL INTERNATIONAL         COM 438516106   27,940    530,305  SH           505,193     25,112             333,582  0    196,723
HORACE MANN EDUCATORS           COM 440327104      338     18,329  SH            18,329                         11,704  0      6,625
HOUSEHOLD INTERNATIONAL INC     COM 441815107   63,081  1,690,600  SH         1,690,600                        883,000  0    807,600
HOWMET INTERNATIONAL INC        COM 443208103    7,367    364,900  SH           364,900                        364,900  0          0
HUDSON UTD BANCORP CO           COM 444165104    2,298    105,948  SH           105,948                         77,172  0     28,776
HYPERION SOLUTIONS CORP         COM 44914M104    1,178     36,253  SH            12,253     24,000              36,253  0        -
ICN PHARMACEUTICAL INC          COM 448924100      204      7,500  SH             7,500                              0  0      7,500
IDEC PHARMACEUTICALS            COM 449370105      707      7,200  SH               -        7,200               7,200  0          0
IDX SYSTEMS CORP                COM 449491109      342     12,500  SH            12,500                         12,500  0          0
IGEN INTERNATIONAL INC-DEL      COM 449536101    9,425    377,000  SH           377,000                        377,000  0          0
IMATION CORP                    COM 45245A107    5,231    196,010  SH           196,010                        164,385  0     31,625
IMMERSION CORP                  COM 452521107    2,520     42,000  SH            42,000                         42,000  0          0
IMPATH INC                      COM 45255G101    2,874     78,200  SH            78,200                         64,900  0     13,300
IMS HEALTH INC                  COM 449934108   21,765  1,285,000  SH         1,285,000                        780,600  0    504,400
INAMED CORP                     COM 453235103    6,064    122,500  SH           122,500                        122,500  0          0
INFINITY BROADCASTING           COM 45662S102   17,248    532,771  SH           497,371     35,400             331,020  0    201,751
INFORMATION ARCHITECTS CORP     COM 45669R107      938     54,000  SH            24,000     30,000              54,000  0          0
INFORMIX CORP                   COM 456779107   21,139  1,248,030  SH         1,191,030     57,000             800,963  0    447,067
INKINE PHARMACEUTICAL CO INC    COM 457214104    1,006    139,000  SH            85,000     54,000             139,000  0          0
INKTOMI CORP                    COM 457277101      312      1,600  SH               -        1,600               1,600  0          0
INPRISE CORP                    COM 45766C102    2,278    334,400  SH           324,400     10,000             334,400  0          0
INPUT/OUTPUT INC                COM 457652105    1,503    245,405  SH           215,405     30,000             197,635  0     47,770
INSO CORP                       COM 457674109    1,542    114,225  SH           114,225                         88,600  0     25,625
INTEL CORP                      COM 458140100  213,980  1,621,830  SH         1,621,830                        874,356  0    747,474
INTERLEAF INC-NEW               COM 458729209   10,279    218,700  SH           218,700                        218,700  0          0
INTERMAGNETICS GENERAL CORP     COM 458771102      298     17,500  SH            17,500                         17,500  0          0
INTERMEDIA COMMUNICATIONS INC   COM 458801107    1,498     31,000  SH            31,000                         31,000  0          0
INTERNATIONAL BUSINESS MACHINES COM 459200101   89,468    758,200  SH           758,200                        413,700  0    344,500
INT'L PAPER CO                  COM 460146103    1,829     42,773  SH            42,773                         42,773  0          0
INTERNATIONAL RECTIFING         COM 460254105      858     22,500  SH               -       22,500              22,500  0          0
INTERVU INC                     COM 46114R106   15,930    177,000  SH           177,000                        177,000  0          0
</TABLE>

                                     Page 8
<PAGE>



<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
INTRABIOTICS PHARMACETUICAL    COM  46116T100     525      35,000  SH               -       35,000              35,000  0          0
INTUIT INC                     COM  461202103   1,251      23,000  SH          11,100       11,900              23,000  0          0
ISS GROUP INC OC               COM  450306105     920       7,900  SH           4,400        3,500               7,900  0          0
IVAX CORP                      COM  465823102   9,325     342,211  SH         318,961       23,250             217,647  0    124,564
IXL ENTERPRISES INC            COM  450718101   5,572     199,000  SH         159,000       40,000             199,000  0          0
IXNET INC                      COM  46601C109   7,579     165,200  SH         165,200                          165,200  0          0
JABIL CIRCUIT INC              COM  466313103  10,073     232,897  SH         207,897       25,000             198,947  0     33,950
JDS UNIPHASE                   COM  46612J101     345       2,858  SH           1,258        1,600               2,804  0         54
JEFFERSON PILOT CORP           COM  475070108   2,766      41,550  SH          41,550                           36,700  0      4,850
JOHNSON & JOHNSON              COM  478160104  76,567   1,089,931  SH       1,079,731       10,200             596,727  0    493,204
JONES APPAREL GROUP            COM  480074103   6,051     191,342  SH         175,342       16,000             163,457  0     27,885
JONES PHARMA INC               COM  480236108   8,472     278,902  SH         265,402       13,500             235,367  0     43,535
JOSTENS INC                    COM  481088102  12,643     518,700  SH         518,700                          518,700  0          0
KENNAMETAL INC                 COM  489170100  31,178   1,037,100  SH       1,037,100                          551,200  0    485,900
KEY ENERGY SERVICES INC        COM  492914106   6,975     600,000  SH         600,000                          600,000  0          0
KEYCORP NEW                    COM  493267108  34,954   1,839,698  SH       1,839,698                          986,498  0    853,200
KIMBERLY CLARK CORP            COM  494368103  65,681   1,171,564  SH       1,171,564                          624,548  0    547,016
KLA-TENCOR CORP                COM  482480100   9,336     110,814  SH          91,214       19,600              94,159  0     16,655
KORN FERRY INTL                COM  500643200  11,696     393,147  SH         381,147       12,000             297,172  0     95,975
KROGER CO                      COM  501044101  23,516   1,339,011  SH       1,270,111       68,900             806,423  0    532,588
LAM RESEARCH CORP COM          COM  512807108     635      14,100  SH             -         14,100              14,100  0          0
LAMAR ADVERTISING CO           COM  512815101     350       7,700  SH             -          7,700               7,700  0          0
LANTE CORP                     COM  516540101   1,822      60,000  SH          60,000                           60,000  0          0
LEADING BRANDS INC CO          COM  52170U108      95      33,000  SH          33,000                                0  0     33,000
LEGATO SYSTEMS INC             COM  524651106  19,203     430,310  SH         409,410       20,900             269,940  0    160,370
LENDINGTREE INC                COM  52602Q105     169      12,500  SH          12,500                           12,500  0          0
LEXMARK INTL GROUP IN          COM  529771107   8,276      78,258  SH          72,258        6,000              66,214  0     12,044
LIFEMINDERS.COM INC            COM  53219H108  18,733     276,000  SH         276,000                          276,000  0          0
LILLY ELI & CO                 COM  532457108  43,944     701,700  SH         701,700                          375,500  0    326,200
LINC CAPITAL INC               COM  501942106     479     156,500  SH         156,500                          156,500  0          0
LINEAR TECHNOLOGY COR          COM  535678106  12,140     220,730  SH         202,730       18,000             165,980  0     54,750
LINENS N THINGS INC            COM  535679104     354      10,329  SH          10,329                            9,089  0      1,240
LIPOSOME CO INC                COM  536310105   6,991     400,200  SH         400,200                          400,200  0          0
LITTLEFUSE INC.                COM  537008104   4,727     128,835  SH         128,835                          109,925  0     18,910
LIVENT INC                     COM  537902108     -        66,500  SH          66,500                            5,000  0     61,500
LORONIX INFORMATION SYSTEMS    COM  544183106   2,749      75,700  SH          75,700                           75,700  0          0
LSI LOGIC CORP                 COM  502161102     291       4,004  SH           4,004                            4,004  0          0
LTX CORP                       COM  502392103  20,733     458,809  SH         412,809       46,000             429,164  0     29,645
LUCENT TECHNOLOGIES            COM  549463107  88,083   1,437,924  SH       1,437,924                          781,336  0    656,588
MACROMEDIA INC                 COM  556100105  26,005     287,946  SH         277,946       10,000             239,522  0     48,424
MADGE NETWORKS N V OR          COM  N5424G106     255      30,000  SH             -         30,000              30,000  0          0
</TABLE>




                                     Page 9
<PAGE>



<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
MANPOWER INC                   COM  56418H100   3,871     109,045  SH         100,945        8,100              86,135  0     22,910
MARKEL CORP HOLDING CO         COM  570535104   4,126      28,354  SH          28,354                           28,354  0          0
MARTIN MARIETTA MTLS           COM  573284106  33,219     699,342  SH         664,442       34,900             426,004  0    273,338
MCDONALDS CORP                 COM  580135101  61,901   1,656,200  SH       1,656,200                          890,100  0    766,100
MCI WORLDCOM INC               COM  55268B106  50,083   1,105,275  SH       1,105,275                          597,900  0    507,375
MCLEOD USA INC COM             COM  582266102     721       8,500  SH             -          8,500               8,500  0          0
MCN ENERGY GROUP INC           COM  55267J100  12,258     490,300  SH         490,300                          490,300  0          0
MARSH & MCLENNAN COS INC       COM  571748102     905       8,200  SH           8,200                            8,200  0          0
MATTEL INC                     COM  577081102     358      34,132  SH          34,132                           34,132  0          0
MCGRAW HILL COS INC            COM  580645109   1,019      22,400  SH          22,400                           22,400  0          0
MEAD CORP                      COM  582834107     213       6,083  SH           6,083                            6,083  0          0
MEDAREX INC COM                COM  583916101     789      15,700  SH             -         15,700              15,700  0          0
MEDIA 100 INC                  COM  58440W105     384      11,000  SH          11,000                           11,000  0          0
MEDIAONE GROUP INC             COM  58440J104  80,020     987,900  SH         987,900                          987,900  0          0
MEDICAL ASSURANCE INC          COM  58449U100   1,611      84,525  SH          84,525                           84,525  0          0
MEDICAL MANAGER CORP NEW       COM  58461U103     898      25,600  SH          25,600                           25,600  0          0
MEDICALOGIC INC                COM  584642102     434      25,000  SH          25,000                           25,000  0          0
MEDQUIST INC                   COM  584949101     224       8,236  SH           8,236                            7,891  0        345
MEDTRONIC INC                  COM  585055106   1,574      30,600  SH          30,600                           30,600  0          0
MELLON FINL CORP               COM  58551A108   2,165      73,012  SH          73,012                           73,012  0          0
MERCK & CO INC                 COM  589331107  77,435   1,246,440  SH       1,246,440                          676,000  0    570,440
MERCURY INTERACTIVE CORP       COM  589405109  14,939     188,500  SH         175,500       13,000             188,500  0          0
MERIDIAN DIAGNOSTICS INC       COM  589602101     431      50,000  SH          50,000                           50,000  0          0
MERRILL LYNCH & CO INC         COM  590188108  45,276     431,200  SH         431,200                          231,800  0    199,400
METASOLV SOFTWARE INC          COM  591393103   2,097      35,500  SH          15,500       20,000              35,500  0          0
METHODE ELECTRS INC            COM  591520200   1,017      20,140  SH             140       20,000              20,000  0        140
METROMEDIA INTL GROUP          COM  591695101     169      30,000  SH          30,000                                0  0     30,000
MICHAEL FOODS INC NEW          COM  594079105   1,079      51,400  SH          51,400                           51,400  0          0
MICREL INC                     COM  594793101  17,447     181,735  SH         176,335        5,400             150,438  0     31,297
MICRO LINEAR CORP              COM  594850109     170      20,000  SH          20,000                           20,000  0         0
MICROCHIP TECHNOLOGY           COM  595017104   1,017      15,467  SH           8,717        6,750              13,057  0      2,410
MICROS SYS INC                 COM  594901100  13,554     215,350  SH         215,350                          179,385  0     35,965
MICROSOFT CORP                 COM  594918104 153,039   1,440,368  SH       1,440,368                          796,725  0    643,643
MILLENNIUM PHARMACEUTICALS INC COM  599902103     649       5,000  SH           5,000                            5,000  0          0
MINIMED INC                    COM  60365K108  24,220     187,027  SH         179,027        8,000             152,411  0     34,616
MINNESOTA MNG & MFG CO         COM  604059105   1,089      12,300  SH          12,300                           12,300  0          0
MIRAGE RESORTS INC             COM  60462E104   9,232     476,500  SH         476,500                          476,500  0          0
MONSANTO CO                    COM  611662107   9,919     192,600  SH         192,600                          192,600  0          0
MORGAN J P & CO INC            COM  616880100   1,462      11,100  SH          11,100                           11,100  0          0
MORGAN STANLEY DEAN WITTER     COM  617446448  31,432     379,276  SH         360,676       18,600             247,433  0    131,843
MOTOROLA INC                   COM  620076109  65,765     450,442  SH         435,837       14,605             279,381  0    171,061
</TABLE>



                                    Page 10

<PAGE>


<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
NABORS INDS INC                COM  629568106   1,190      30,670  SH         30,670                             6,390  0     24,280
NATIONAL CITY CORP             COM  635405103     282      13,682  SH         13,682                            13,682  0          0
NATIONAL COMM BANCORP          COM  635449101   2,885     155,939  SH        145,939       10,000              125,914  0     30,025
NATIONAL COMPUTER SYS          COM  635519101  16,139     318,009  SH        305,009       13,000              268,045  0     49,964
NATIONAL INSTRS CORP           COM  636518102  20,742     441,910  SH        427,510       14,400              375,386  0     66,524
NATL SEMICONDUCTOR             COM  637640103   1,979      32,582  SH         32,582                             5,982  0     26,600
NAVIDEC INC                    COM  63934Q101     403      26,000  SH         26,000                            26,000  0          0
NEOMAGIC CORP                  COM  640497103     119      24,000  SH            -         24,000               24,000  0          0
NET.GENESIS CORP               COM  64107E107   1,208      27,000  SH         27,000                            27,000  0          0
NETEGRITY INC                  COM  64110P107     206       3,000  SH          3,000                             3,000  0          0
NETIQ CORP                     COM  64115P102   1,470      22,000  SH         22,000                            22,000  0          0
NETOPIA INC                    COM  64114K104     432       6,000  SH            -          6,000                6,000  0          0
NETWORK APPLIANCE INC          COM  64120L104     348       4,200  SH            -          4,200                4,200  0          0
NETWORK SOLUTIONS INC          COM  64121Q102     922       6,000  SH          6,000                             6,000  0          0
NEW YORK TIMES CO CL           COM  650111107   3,401      79,215  SH         72,415        6,800               64,255  0     14,960
NEWBRIDGE NETWORKS CORP        COM  650901101  15,473     477,000  SH        477,000                           477,000  0          0
NEXTEL COMMUNICATIONS          COM  65332V103   2,202      14,850  SH         14,850                             2,650  0     12,200
NEXTEL PARTNERS INC            COM  65333F107   1,441      49,700  SH         49,700                            29,700  0     20,000
NFO WORLDWIDE INC              COM  62910N108   8,339     357,900  SH        357,900                           357,900  0          0
NIKE INC-CL B                  COM  654106103   1,121      28,300  SH         28,300                            28,300  0          0
NOBLE DRILLING CORP            COM  655042109     104       2,514  SH          2,514                             2,514  0          0
NOKIA CORP CLASS A             COM  654902204     444       2,000  SH          2,000                                 0  0      2,000
NOKIA CORP ORD A SHS           COM  X61873133     634       3,000  SH          3,000                                 0  0      3,000
NORTEK INC                     COM  656559101     111       5,000  SH          5,000                             5,000  0          0
NORTEL NETWORKS CORP           COM  656569100   3,456      27,400  SH         27,400                            27,400  0          0
NORTH FORK BANCORP INC         COM  659424105   3,550     198,584  SH        186,084       12,500              170,946  0     27,638
NORTHERN TR CORP               COM  665859104     201       2,980  SH          2,980                               850  0      2,130
NOVA CORP GA                   COM  669784100   4,641     159,355  SH        152,355        7,000              128,315  0     31,040
NOVELL INC                     COM  670006105   1,437      50,200  SH         50,200                             8,675  0     41,525
NOVELLUS SYSTEMS INC           COM  670008101   4,247      75,670  SH         48,970       26,700               63,650  0     12,020
NTL INC                        COM  629407107  39,531     425,918  SH        406,043       19,875              245,556  0    180,362
O REILLY AUTOMOTIVE INC        COM  686091109   1,277      90,000  SH         90,000                            90,000  0          0
OCEAN ENERGY INC               COM  67481E106   2,018     140,385  SH        140,385                           107,830  0     32,555
OCULAR SCIENCES INC            COM  675744106     157      10,000  SH         10,000                            10,000  0          0
OEA INC                        COM  670826106   3,369     350,000  SH        350,000                           350,000  0          0
OFFICE DEPOT INC               COM  676220106     233      20,150  SH            150       20,000               20,000  0        150
OM GROUP INC                   COM  670872100   5,437     119,501  SH        119,501                            92,393  0     27,108
OMNICARE INC                   COM  681904108   1,875     155,425  SH        155,425                           119,890  0     35,535
OMNICOM GROUP                  COM  681919106     281       3,000  SH          3,000                             3,000  0          0
ON ASSIGNMENT INC              COM  682159108   5,231     116,236  SH        116,236                            79,981  0     36,255
ONESOURCE INFORMATION SERVICES COM  68272J106     371      45,000  SH         45,000                            45,000  0          0
</TABLE>



                                    Page 11


<PAGE>


<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
OPEN MKT INC                   COM  68370M100  10,688     415,071  SH        374,571       40,500              362,700  0     52,371
ORACLE CORP                    COM  68389X105  40,358     517,000  SH        517,000                           290,400  0    226,600
OPTI INC                       COM  683960108     115      21,957  SH         21,957                             3,000  0     18,957
OPTIBASE LTD ORD               COM  M7524R108     475      20,000  SH            -         20,000               20,000  0          0
ORACLE SYS CORP                COM  68389X105   1,074      13,758  SH         13,758                             7,874  0      5,884
ORTEL CORP                     COM  68749W102  35,079     186,900  SH        186,900                           186,900  0          0
ORTHODONTIC CENTERS OF AMERICA COM  68750P103  17,719     945,000  SH        945,000                           945,000  0          0
OUTBACK STEAKHOUSE INC         COM  689899102     913      28,480  SH         28,480                            16,334  0     12,146
OWENS ILLINOIS INC NEW         COM  690768403  48,904   2,898,000  SH      2,898,000                         1,543,000  0  1,355,000
PNC FINL SVCS GROUP INC        COM  693475105   1,050      23,300  SH         23,300                            23,300  0          0
PACIFIC SUNWEAR CALIF          COM  694873100  27,475     713,627  SH        698,627       15,000              590,672  0    122,955
PACKAGING CORP AMERICA         COM  695156109  31,012   2,953,500  SH      2,953,500                         1,524,300  0  1,429,200
PAIRGAIN TECHNOLOGIES INC      COM  695934109   7,475     400,000  SH        390,000       10,000              400,000  0          0
PALATIN TECHNOLOGIES INC NEW   COM  696077304     345      65,000  SH         65,000                            65,000  0          0
PARAMETRIC TECHNOLOGY          COM  699173100   2,110     100,200  SH        100,200                            16,045  0     84,155
PARKER HANNIFIN CORP           COM  701094104  45,502   1,101,400  SH      1,101,400                           586,200  0    515,200
PATTERSON DENTAL CO            COM  703412106   7,886     206,164  SH        206,164                           178,209  0     27,955
PAYCHEX INC                    COM  704326107   7,923     151,274  SH        140,774       10,500              126,365  0     24,909
PAYLESS SHOESOURCE INC         COM  704379106     623      12,000  SH         12,000                            12,000  0          0
PENTAIR INC                    COM  709631105   1,391      37,525  SH         37,525                            29,654  0      7,871
PEOPLES HERITAGE FINL          COM  711147108   3,073     204,855  SH        204,855                           152,676  0     52,179
PEPSICO INC                    COM  713448108  34,130     978,647  SH        933,147       45,500              595,997  0    382,650
PEREGRINE SYSTEMS INC          COM  71366Q101   9,724     145,000  SH        145,000                           145,000  0          0
PERFORMANCE FOOD GROUP         COM  713755106   2,201     100,630  SH        100,630                            83,150  0     17,480
PETCO ANIMAL SUPPLIES          COM  716016100   1,138      95,824  SH         95,824                            75,619  0     20,205
PFIZER INC                     COM  717081103  56,661   1,549,700  SH      1,549,700                           848,700  0    701,000
PHILIP MORRIS COS INC          COM  718154107  17,335     820,600  SH        820,600                           444,500  0    376,100
PHOTOWORKS INC                 COM  71940B109     562      82,500  SH         82,500                            82,500  0          0
PHOTRONICS INC COM             COM  719405102     353      10,000  SH            -         10,000               10,000  0          0
PICTURETEL CORP NEW            COM  720035302     219      25,000  SH         25,000                            25,000  0          0
PIER 1 IMPORTS INC SH          COM  720279108   2,232     217,749  SH        177,749       40,000              180,094  0     37,655
PIMCO ADVISORS HOLDINGS LP     COM  69338P102  14,046     366,600  SH        366,600                           366,600  0          0
PINNACLE HOLDINGS INC          COM  72346N101   7,459     135,000  SH        135,000                           135,000  0          0
PLANTRONICS INC NEW            COM  727493108  11,134     119,483  SH        115,983        3,500              101,744  0     17,739
PLEXUS CORP                    COM  729132100  17,650     264,910  SH        258,910        6,000              221,490  0     43,420
POLYCOM INC                    COM  73172K104  15,029     189,790  SH        184,590        5,200              159,690  0     30,100
PREDICTIVE SYS INC             COM  74036W102   7,518     165,000  SH        165,000                           165,000  0          0
PREMIER PARKS INC NEW          COM  740540208   5,670     270,000  SH        270,000                           270,000  0          0
PREVIEW SYS INC                COM  741379101   2,105      44,500  SH         44,500                            44,500  0          0
PRI AUTOMATION INC             COM  69357H106   9,780     160,000  SH        160,000                           160,000  0          0
PRIME RESPONSE INC             COM  74158B100   1,144      75,000  SH         75,000                            75,000  0          0
</TABLE>




                                    Page 12



<PAGE>


<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
PROCTER & GAMBLE CO            COM  742718109  43,002     761,100  SH        761,100                           413,300  0    347,800
PROFIT RECOVERY GRP            COM  743168106   6,884     372,105  SH        362,405     9,700                 360,687  0     11,418
PROGENICS PHARMACEUTICAL       COM  743187106     364       5,200  SH            -       5,200                   5,200  0          0
PROTECTIVE LIFE CORP           COM  743674103   3,653     115,059  SH        107,759     7,300                 102,254  0     12,805
PROTEIN DESIGN LABS            COM  74369L103     700       8,800  SH            -       8,800                   8,800  0          0
PROXIM INC                     COM  744284100   5,919      49,454  SH         49,454                            42,103  0      7,351
PSINET INC                     COM  74437C101   8,756     257,400  SH        257,400                           136,400  0    121,000
PURCHASEPRO COM INC            COM  746144104     326       4,500  SH            -       4,500                   4,500  0          0
QRS CORP                       COM  74726X105     865      11,500  SH          4,500     7,000                  11,500  0          0
QUALCOMM INC                   COM  747525103   1,195       8,000  SH          8,000                             8,000  0          0
QUANTUM EFFECT DEVICE          COM  74764T107     637       8,000  SH            -       8,000                   8,000  0          0
QUANTUM CORP                   COM  747906204     322      27,000  SH         27,000                            27,000  0          0
QUICKSILVER RESOURCES INC      COM  74837R104     720     120,000  SH        120,000                           120,000  0          0
QUORUM HEALTH GROUP INC        COM  749084109   1,107     110,000  SH        110,000                           110,000  0          0
RAMP NETWORKS INC              COM  751567108     101       5,000  SH          5,000                             5,000  0          0
RARE HOSPITALITY INTL          COM  753820109     858      44,153  SH         44,153                            34,320  0      9,833
RARE MEDIUM GROUP INC          COM  75382N109     441      10,000  SH             -     10,000                  10,000  0          0
RAZORFISH INC CL A             COM  755236106     275      10,000  SH             -     10,000                  10,000  0          0
REALNETWORKS INC               COM  75605L104   3,824      67,167  SH         59,567     7,600                  56,139  0     11,028
REGIONS FINANCIAL CORP         COM  758940100     136       5,947  SH          5,947                             5,947  0          0
REGIS CORP MINN                COM  758932107   1,310      88,428  SH         88,428                            70,211  0     18,217
REGISTER.COM INC               COM  75914G101   5,650      81,300  SH         81,300                            81,300  0          0
REHABCARE GROUP INC            COM  759148109     494      20,000  SH         20,000                            20,000  0          0
REMEDY CORP                    COM  759548100   1,411      33,500  SH         13,500    20,000                  33,500  0          0
REPUBLIC SERVICES INC          COM  760759100     547      50,000  SH         50,000                            50,000  0          0
RESOURCEPHOENIX COM INC        COM  76122L106     813      62,500  SH         62,500                            62,500  0          0
REYNOLDS METALS CO             COM  761763101  11,594     173,370  SH        173,370                           170,070  0      3,300
RHYTHMS NETCONNECTIONS         COM  762430205     276       7,500  SH            -       7,500                   7,500  0          0
RIBOZYME PHARMACEUTICALS INC   COM  762567105     506      20,000  SH         20,000                            20,000  0          0
RICHMOND CNTY FINL CO          COM  764556106   1,317      81,697  SH         81,697                            66,840  0     14,857
RITE AID CORP                  COM  767754104  10,305   1,832,000  SH      1,832,000                           959,300  0    872,700
ROHN INDUSTRIES INC            COM  775381106     325     100,000  SH        100,000                           100,000  0          0
ROPER INDS INC NEW CO          COM  776696106   6,601     194,501  SH        194,501                           163,305  0     31,196
ROSLYN BANCORP INC CO          COM  778162107     292      16,372  SH         16,372                                 0  0     16,372
ROWAN COMPANIES INC            COM  779382100     154       5,224  SH          5,224                             5,224  0          0
RSA SEC INC                    COM  749719100   3,371      65,055  SH         60,055     5,000                  53,905  0     11,150
ROYAL CARIBBEAN CRUISES        COM  V7780T103  21,115     754,100  SH        754,100                           412,900  0    341,200
ROYAL DUTCH PETE CO            COM  780257804   2,827      48,900  SH         48,900                            48,900  0          0
RUDOLPH TECHNOLOGIES INC       COM  781270103   3,375      75,000  SH         75,000                            75,000  0          0
S3 INC                         COM  784849101   3,231     153,850  SH        153,850                           110,050  0     43,800
SANMINA CORP                   COM  800907107   8,943     132,370  SH        124,370     8,000                 114,945  0     17,425
</TABLE>



                                    Page 13

<PAGE>


<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
SANTA FE SNYDER CORP           COM  80218K105   2,256     237,495  SH        237,495                           186,020  0     51,475
SAWTEK INC                     COM  805468105   2,271      43,200  SH         32,000     11,200                 43,200  0          0
SBA COMMUNICATIONS CO          COM  78388J106     440      10,000  SH            -       10,000                 10,000  0          0
SBC COMMUNICATIONS INC         COM  78387G103  80,003   1,899,196  SH      1,869,896     29,300              1,087,293  0    811,903
SABRE HLDGS CORP               COM  785905100  19,058     522,149  SH        522,149                           282,084  0    240,065
SAKS INC                       COM  79377W108  26,277   1,812,200  SH      1,812,200                           946,900  0    865,300
SCHERING PLOUGH CORP           COM  806605101   1,953      52,600  SH         52,600                            52,600  0          0
SCHLUMBERGER LTD.              COM  806857108  55,768     728,999  SH        728,999                           358,961  0    370,038
SCIENTIFIC ATLANTA IN          COM  808655104   8,048     127,234  SH        117,234     10,000                108,725  0     18,509
SCOTTS CO CL A                 COM  810186106   1,461      34,790  SH         34,790                            27,020  0      7,770
SEAGATE TECHNOLOGY INC         COM  811804103  21,588     358,300  SH        358,300                           358,300  0          0
SELECTICA INC DEL              COM  816288104   1,324      15,000  SH         15,000                            15,000  0          0
SFX ENTERTAINMENT INC-CL A     COM  784178105   2,816      69,000  SH         69,000                            69,000  0          0
SHAW INDS INC                  COM  820286102   1,205      79,354  SH         79,354                            58,760  0     20,594
SHOP AT HOME INC NEW           COM  825066301     690      80,000  SH         80,000                            80,000  0          0
SIEBEL SYSTEMS INC             COM  826170102  37,917     317,463  SH        300,363     17,100                192,481  0    124,982
SINCLAIR BROADCAST GROUP INC   COM  829226109     760      85,000  SH         85,000                            85,000  0          0
SNAP ON TOOLS CORP             COM  833034101   1,064      40,630  SH         40,630                            31,600  0      9,030
SNYDER COMMUNICATIONS INC      COM  832914105  13,039     579,500  SH        579,500                           579,500  0          0
SOLECTRON CORP                 COM  834182107  37,557     936,000  SH        936,000                           509,600  0    426,400
SONY CORP-ADR NEW              COM  835699307   2,801      10,000  SH         10,000                            10,000  0          0
SOUTHDOWN INC                  COM  841297104  12,986     220,100  SH        220,100                           220,100  0          0
SOUTHERN CO                    COM  842587107     957      44,000  SH         44,000                            44,000  0          0
SOUTHERN PAC PETE N L          COM  843581307     495     223,109  SH        223,109                           190,010  0     33,099
SOUTHWEST BANCORPORAT          COM  84476R109   4,226     217,440  SH        217,440                           192,415  0     25,025
SPANISH BROADCASTING SYSTEM    COM  846425882   2,159      92,050  SH         92,050                            48,975  0     43,075
SPARTECH CORP COM NEW          COM  847220209   4,146     120,622  SH        120,622                            88,950  0     31,672
SPECTRASITE HLDGS INC          COM  84760T100   4,701     166,030  SH        153,030     13,000                133,990  0     32,040
SPLITROCK SERVICES INC         COM  848636304  12,821     312,700  SH        312,700                           312,700  0          0
SPRINT CORP                    COM  852061100   1,176      18,600  SH         18,600                            18,600  0          0
SPYGLASS INC                   COM  852192103   5,979      77,100  SH         77,100                            77,100  0          0
STAMPS.COM INC                 COM  852857101   1,895      98,100  SH         73,100     25,000                 98,100  0          0
STAPLES INC                    COM  855030102   1,481      74,065  SH         74,065                            14,350  0     59,715
STATEN IS BANCORP INC          COM  857550107     257      15,000  SH         15,000                                 0  0     15,000
STEELCASE INC                  COM  858155203     624      52,000  SH         52,000                            52,000  0          0
STRATASYS INC                  COM  862685104     233      30,000  SH         30,000                            30,000  0          0
SUMMIT BANCORP                 COM  866005101     131       4,985  SH          4,985                             4,985  0          0
SUN MICROSYSTEMS INC           COM  866810104  89,584     956,044  SH        956,044                           587,040  0    369,004
SUNOCO INC                     COM  86764P109     154       5,608  SH          5,608                             5,608  0          0
SUNTRUST BANKS INC             COM  867914103     412       7,137  SH          7,137                             7,137  0          0
SURGE COMPONENTS INC-N.Y.      COM  868908104     304      40,000  SH         10,000     30,000                 40,000  0          0
</TABLE>



                                     Page 14



<PAGE>



<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
SYBRON CORP DEL                COM  87114F106   6,842     235,946  SH        215,946     20,000                200,881  0     35,065
SYLVAN LEARNING SYSTEMS INC    COM  871399101   2,085     130,845  SH        100,845     30,000                129,975  0        870
SYMANTEC CORP                  COM  871503108   9,184     122,255  SH        112,255     10,000                 97,005  0     25,250
SYMBOL TECHNOLOGIES            COM  871508107  11,715     142,319  SH        132,319     10,000                105,208  0     37,111
TALBOTS INC                    COM  874161102     712      12,100  SH            -       12,100                 12,100  0          0
TCI SATELLITE ENTMT            COM  872298104     531      27,760  SH         27,760                             5,500  0     22,260
TANDY CORP                     COM  875382103  23,680     466,600  SH        466,600                           240,900  0    225,700
TARGET CORP                    COM  87612E106   1,772      23,700  SH         23,700                            23,700  0          0
TECHNE CORP                    COM  878377100   8,999     130,425  SH        130,425                           100,280  0     30,145
TECHNOLOGY FLAVORS             COM  87869A104     226      88,200  SH         88,200                            20,000  0     68,200
TELEFONICA DE ARGENTINA SA     COM  879378206  24,119     614,500  SH        614,500                           614,500  0          0
TELEFONOS DE MEXICO A          COM  879403780   1,098      16,474  SH         16,474                                 0  0     16,474
TELEPHONE & DATA SYSTEMS INC   COM  879433100   4,421      39,828  SH         37,328      2,500                 34,530  0      5,298
TELLABS INC COM                COM  879664100   2,123      33,700  SH         33,700                             5,525  0     28,175
TELOCITY INC                   COM  87971D103     990      80,000  SH         80,000                            80,000  0          0
TENET HEALTHCARE CORP          COM  88033G100  36,993   1,608,411  SH      1,531,311     77,100              1,040,024  0    568,387
TERADYNE INC                   COM  880770102  63,583     775,000  SH        775,000                           463,500  0    311,500
TESCO CORP                     COM  88157K101   5,961     851,600  SH        851,600                           851,600  0          0
TETRA TECH INC NEW             COM  88162G103   7,151     301,082  SH        301,082                           243,391  0     57,691
TEVA PHARMACEUTICAL            COM  881624209     231       6,200  SH          6,200                               600  0      5,600
TEXACO INC                     COM  881694103  86,799   1,614,901  SH      1,589,601     25,300                902,432  0    712,469
TEXAS INSTRUMENTS INC          COM  882508104  82,960     518,501  SH        518,501                           283,701  0    234,800
TEXTRON INC                    COM  883203101   1,071      17,600  SH         17,600                            17,600  0          0
THQ INC COM NEW                COM  872443403   7,372     412,400  SH        412,400                           342,753  0     69,647
3COM CORP                      COM  885535104  21,126     379,800  SH        379,800                           196,500  0    183,300
THREE FIVE SYSTEMS INC         COM  88554L108     344       5,733  SH          5,733                             5,733  0          0
TIME WARNER INC                COM  887315109 118,218   1,182,179  SH      1,166,479     15,700                649,422  0    532,757
TITAN CORP                     COM  888266103  19,058     375,628  SH        340,628     35,000                315,765  0     59,863
TJX COMPANIES INC              COM  872540109  30,213   1,361,699  SH      1,292,399     69,300                816,433  0    545,266
TMP WORLDWIDE INC              COM  872941109  51,626     664,000  SH        664,000                           664,000  0          0
TODD AO CORP-CL A              COM  888896107   4,002     116,000  SH        116,000                           116,000  0          0
TOWER AUTOMOTIVE INC           COM  891707101     280      17,080  SH         17,080                            16,090  0        990
TRANSKARYOTIC THERAPIES INC    COM  893735100   3,894      70,000  SH         70,000                            70,000  0          0
TRANSOCEAN SEDCO FOREX INC     COM  G90078109     272       5,304  SH          5,304                             5,304  0          0
TRANSWITCH CORP                COM  894065101   4,311      44,843  SH         44,843                            40,958  0      3,885
TRAVELERS PROPERTY CASUALTY    COM  893939108  18,418     446,500  SH        446,500                           446,500  0          0
TRIAD HOSPITAL INC             COM  89579K109   1,591      95,000  SH         95,000                            95,000  0          0
TRIMERIS INC                   COM  896263100   3,645      73,000  SH         73,000                            73,000  0          0
TRIBUNE CO NEW                 COM  896047107     958      26,200  SH         26,200                            26,200  0          0
TRIQUINT SEMICONDUCTOR INC     COM  89674K103   1,455      19,800  SH          6,000     13,800                 19,800  0          0
TSI INC-MINN                   COM  872876107   1,623     110,000  SH        110,000                           110,000  0          0
</TABLE>


                                    Page 15



<PAGE>


<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
TSI INTL SOFTWARE LTD          COM  872879101   6,927      83,400  SH         65,400     18,000                 83,400  0          0
TYCO INTL LTD NEW              COM  902124106  75,292   1,502,088  SH      1,502,088                           772,258  0    729,830
TYSON FOODS INC-CL A           COM  902494103     112      10,032  SH         10,032                            10,032  0          0
U S FOODSERVICE                COM  90331R101  31,974   1,241,700  SH      1,241,700                         1,241,700  0          0
U S WEST INC NEW               COM  91273H101  15,048     207,200  SH        207,200                           207,200  0          0
U.S. INDUSTRIES, INC.          COM  912080108     820      74,110  SH         74,110                            58,760  0     15,350
U S G CORP                     COM  903293405  14,569     347,400  SH        347,400                           177,100  0    170,300
UBID INC                       COM  903469104   4,130     140,900  SH        140,900                           140,900  0          0
UNIFY CORP                     COM  904743101   4,897     239,585  SH        239,585                           199,470  0     40,115
UNILEVER N V                   COM  904784709     928      19,285  SH         19,285                            19,285  0          0
UNION PAC RES GROUP            COM  907834105   2,814     194,055  SH        174,055     20,000                153,385  0     40,670
UNITED HEALTHCARE COPR         COM  910581107   1,002      16,800  SH         16,800                            16,800  0          0
UNITED PARCEL SERVICE INC      COM  911312106   2,343      37,200  SH         37,200                            37,200  0          0
UNITED TECHNOLOGIES CORP       COM  913017109     240       3,794  SH          3,794                             3,794  0          0
UNITEDGLOBALCOM                COM  913247508  50,792     649,100  SH        649,100                           649,100  0          0
UNIVERSAL HEALTH SERVICES INC  COM  913903100   1,862      38,000  SH         38,000                            38,000  0          0
UNOCAL CORP                    COM  915289102  62,713   2,108,000  SH      2,108,000                         1,106,100  0  1,001,900
US CELLULAR CORP               COM  911684108     852      12,000  SH         12,000                            12,000  0          0
US FOODSERVICE                 COM  90331R101     287      11,129  SH         11,129                             8,979  0      2,150
US FREIGHTWAYS CORP C          COM  916906100  10,638     284,155  SH        284,155                           239,585  0     44,570
US ONCOLOGY                    COM  90338W103     975     216,685  SH        216,685                           169,789  0     46,896
VALASSIS COMMUNICATIONS        COM  918866104   3,230      96,964  SH         89,564      7,400                 79,989  0     16,975
VALERO ENERGY CORP NEW         COM  91913Y100     101       3,311  SH          3,311                             3,311  0          0
VASTAR RESOURCES INC           COM  922380100  16,468     221,600  SH        221,600                           221,600  0          0
VERIO INC                      COM  923433106  37,409     830,165  SH        795,565     34,600                564,780  0    265,385
VERITAS SOFTWARE CO            COM  923436109     216       1,650  SH            -        1,650                  1,650  0          0
VERSATA INC                    COM  925298101   2,708      45,000  SH         45,000                            45,000  0          0
VIACOM INC NON-VTG CL          COM  925524308   2,959      56,100  SH         56,100                            42,400  0     13,700
VIANT CORP                     COM  92553N107     972      29,000  SH         11,000     18,000                 29,000  0          0
VICAL INC                      COM  925602104     362      10,800  SH            -       10,800                 10,800  0          0
VICINITY CORP                  COM  925653107   2,085      60,000  SH         60,000                            60,000  0          0
VIGNETTE CORP                  COM  926734104     641       4,000  SH          4,000                             4,000  0          0
VIRATA CORP                    COM  927646109     300       3,000  SH          3,000                             3,000  0          0
VISHAY INTERTECHNOLOGS         COM  928298108   8,086     145,375  SH        128,875     16,500                123,185  0     22,190
VITESSE SEMICONDUCTOR CORP     COM  928497106  11,658     121,126  SH        111,126     10,000                103,904  0     17,222
VOCALTEC COMMUNICATIONS LTD    COM  M97601104   2,039      70,000  SH         70,000                            70,000  0          0
VODAFONE AIRTOUCH PLC          COM  92857T107  28,333     509,924  SH        488,074     21,850                292,059  0    217,865
WALKER INTERACTIVE SYSTEMS INC COM  931664106     202      25,000  SH         25,000                            25,000  0          0
WAL-MART STORES INC            COM  931142103 111,544   1,974,307  SH      1,974,307                         1,076,457  0    897,850
WARNER-LAMBERT CO              COM  934488107  11,918     122,200  SH        122,200                           122,200  0          0
WASHINGTON MUTUAL INC          COM  939322103     807      30,450  SH         30,450                            30,450  0          0
</TABLE>


                                    Page 16


<PAGE>



<TABLE>
<CAPTION>

FORM 13F                   NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC                                  3/31/00

                                                                                INVESTMENT DISCRETION           VOTING AUTHORITY

    NAME                     TITLE                      SHARES OR  SH                            SHARED
     OF                        OF     CUSIP     VALUE   PRINCIPAL  OR   PUT/   SOLE   SHARED-DEF  OTHER        SOLE   SHARED   NONE
   ISSUER                    CLASS    NUMBER  (X $1000)  AMOUNT    PRN  CALL    (A)      (B)       (C)   MGR    (A)    (B)      (C)
   ------                    -----    ------  --------- ---------  ---  ----   ----   ----------  ------ ---   ----   ------    ----
<S>                           <C>    <C>        <C>      <C>      <C>   <C>   <C>       <C>       <C>   <C>    <C>     <C>     <C>
WATCHGUARD TECHNOLOGIES        COM  941105108     383       4,250  SH            -         4,250              4,250     0          0
WATERS CORP                    COM  941848103   6,634      69,651  SH         63,251       6,400             56,949     0     12,702
WEATHERFORD INTERNATIONAL INC  COM  947074100     103       1,747  SH          1,747                          1,747     0          0
WEBSENSE INC                   COM  947684106   1,442      30,000  SH         30,000                         30,000     0          0
WEBSTER FINL CORP              COM  947890109     713      30,990  SH         30,990                         24,280     0      6,710
WELLS FARGO & CO-NEW           COM  949746101   1,448      35,519  SH         35,519                         35,519     0          0
WESLEY JESSEN VISIONCARE INC   COM  951018100   7,608     211,700  SH        211,700                        211,700     0          0
WESTAMERICA BANCORP            COM  957090103   5,589     201,419  SH        201,419                        163,574     0     37,845
WESTELL TECHNOLOGIES INC-CL A  COM  957541105   4,944     155,100  SH        115,500      39,600            155,100     0          0
WESTVACO CORP                  COM  961548104     105       3,152  SH          3,152                          3,152     0          0
WILD OATS MKTS INC CO          COM  96808B107   1,563      76,257  SH         76,257                         60,906     0     15,351
WILLIAMS CO                    COM  969457100  30,663     697,872  SH        663,772      34,100            439,607     0    258,265
WILLIAMS SONOMA INC            COM  969904101   9,643     311,069  SH        311,069                        261,674     0     49,395
WITNESS SYS INC                COM  977424100     607      20,000  SH         20,000                         20,000     0          0
WORLD WIRELESS COMMUNICATIONS  COM  98155B102     210      40,000  SH         40,000                         40,000     0          0
WORLDGATE COMMUNICATIONS       COM  98156L307     241       8,000  SH          2,000       6,000              6,000     0      2,000
WORLDWATER CORP                COM  98155N106     176     117,100  SH        117,100                        117,100     0          0
XEROX CORP                     COM  984121103     988      38,000  SH         38,000                         38,000     0          0
YAHOO INC                      COM  984332106   1,079       6,296  SH          6,296                          1,174     0      5,122
YOUNG & RUBICAM INC            COM  987425105   3,970      84,470  SH         77,470       7,000             73,380     0     11,090
ZALE CORP                      COM  988858106  12,559     266,143  SH        266,143                        218,278     0     47,865
ZAMBA CORPORATION              COM  988881108     672      64,200  SH         44,200      20,000             64,200     0          0
ZEBRA TECHNOLOGIES CO          COM  989207105  14,156     283,128  SH        272,128      11,000            240,143     0     42,985
ZIONS BANCORP                  COM  989701107   1,186      28,500  SH         26,000       2,500             26,020     0      2,480
- ------------------------------------------------------------------------------------------------------------------------------------
                        TOTAL               9,430,626 201,934,876        198,448,832   3,486,044        135,220,833       66,714,043
</TABLE>


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