FURMAN SELZ CAPITAL MANAGEMENT LLC/NY
13F-HR/A, 2000-11-13
Previous: NATIONSRENT INC, 4, 2000-11-13
Next: ALLIED CAPITAL MANAGEMENT LLC, 13F-NT, 2000-11-13



<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 09/30/00

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            11/07/00
       ---------------------            -------------            --------
            (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:         701

Form 13F Information Table Value Total:  $9,139,110 (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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/     SOLE         SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL     (A)           (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----     ---           ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>   <C>           <C>       <C>   <C>
ADC TELECOMMUNICATIONS INC         COM      000886101         48,780     1,814,001   SH           1,703,661     110,340
ACT MFG INC                        COM      000973107          4,115        78,014   SH              78,014
AMR CORP                           COM      001765106         22,620       692,000   SH             684,700       7,300
A T & T CORP.                      COM      001957109         50,270     1,711,314   SH           1,677,005      34,309
AT&T CORP LIBERTY MED              COM      001957208         33,776     1,870,139   SH           1,780,329      89,810
AXA FINL INC                       COM      002451102         22,922       450,000   SH             450,000
ABBOTT LABS                        COM      002824100         55,610     1,169,200   SH           1,157,200      12,000
ABERCROMBIE & FITCH CO             COM      002896207          1,069        56,072   SH              56,072
ABGENIX INC                        COM      00339B107          2,351        29,093   SH              26,293       2,800
ACLARA BIOSCIENCES                 COM      00461P106            658        21,675   SH              21,675
ACTUANT CORPORATION                COM      00508X104          1,363       320,728   SH             320,728
ACXIOM CORP                        COM      005125109          8,179       257,593   SH             246,193      11,400
ADVANCED NEUROMODULATION SYS       COM      00757T101            146         7,500   SH               7,500
ADVENT SOFTWARE INC                COM      007974108         12,561       179,765   SH             179,765
AEGON NV ORD.                      COM      007924103            491        13,219   SH              13,219
AFFYMETRIX INC OC-CAP              COM      00826T108          2,745        55,035   SH              50,035       5,000
AGILENT TECHNOLOGIES INC           COM      00846u101         27,315       558,156   SH             551,230       6,926
AIMGLOBAL TECHNOLOGIES             COM      00900N100            242        32,000   SH              32,000
AIRSPAN NETWORKS INC               COM      00950H102            288        25,000   SH              25,000
ALCOA INC                          COM      013817101         65,042     2,569,550   SH           2,540,550      29,000
ALEXANDERS INC                     COM      014752109            229         2,800   SH               2,800
ALEXION PHARMACEUTICAL             COM      015351109            365         3,200   SH               3,200
ALKERMES INC                       COM      01642T108          2,239        57,970   SH              57,970
ALLAIRE CORP                       COM      016714107            676        79,494   SH              79,494
ALLIANCE PHARMACEUTICAL CORP       COM      018773101          2,288       150,000   SH             150,000
ALLSTATE CORP                      COM      020002101          3,140        90,370   SH              90,370
ALTEON WEBSYSTEMS INC              COM      02145A109         16,096       148,500   SH             148,500
AMBAC INC                          COM      023139108          2,627        35,865   SH              32,365       3,500
AMERADA HESS CORP                  COM      023551104            152         2,273   SH               2,273
AMERICA ONLINE INC                 COM      02364J104          3,961        73,685   SH              73,685
AMERICAN EAGLE OUTFIT              COM      02553E106          4,767       151,322   SH             138,822      12,500
AMERICAN EXPRESS CO                COM      025816109          3,769        62,046   SH              62,046
AMERICAN FINL HLDGS                COM      026075101            176        10,000   SH                          10,000
AMERICAN HOME PRODS                COM      026609107          4,943        87,525   SH              87,525
AMERICAN INTL GROUP                COM      026874107         63,231       660,811   SH             633,492      27,319
AMERICAN MGMT SYSTEMS              COM      027352103          5,495       319,721   SH             306,721      13,000
AMERICAN PWR CONVERSION            COM      029066107         23,384     1,218,695   SH           1,182,695      36,000
AMERICAN STD COS INC DEL           COM      029712106         39,732       894,100   SH             883,800      10,300
AMERICAN TOWER CORP                COM      029912201          2,638        70,000   SH              70,000
AMERISOURCE HEALTH CO              COM      03071P102          3,346        71,190   SH              41,190      30,000
AMGEN INC                          COM      031162100         12,646       181,100   SH             181,100
AMPHENOL CORP NEW CL               COM      032095101          6,563       115,260   SH             115,260
AMSOUTH BANCORPORATION             COM      032165102            295        23,624   SH              23,624
</TABLE>
<PAGE>
(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
ADC TELECOMMUNICATIONS INC                    1,078,349                      735,652
ACT MFG INC                                      62,984                       15,030
AMR CORP                                        367,000                      325,000
A T & T CORP.                                   839,770                      871,544
AT&T CORP LIBERTY MED                           968,726                      901,413
AXA FINL INC                                    450,000
ABBOTT LABS                                     631,900                      537,300
ABERCROMBIE & FITCH CO                           56,072
ABGENIX INC                                      21,532                        7,561
ACLARA BIOSCIENCES                                2,300                       19,375
ACTUANT CORPORATION                              85,895                      234,833
ACXIOM CORP                                     205,963                       51,630
ADVANCED NEUROMODULATION SYS                      7,500
ADVENT SOFTWARE INC                             145,612                       34,153
AEGON NV ORD.                                                                 13,219
AFFYMETRIX INC OC-CAP                            42,670                       12,365
AGILENT TECHNOLOGIES INC                        282,786                      275,370
AIMGLOBAL TECHNOLOGIES                            7,000                       25,000
AIRSPAN NETWORKS INC                             25,000
ALCOA INC                                     1,361,130                    1,208,420
ALEXANDERS INC                                    2,800
ALEXION PHARMACEUTICAL                                                         3,200
ALKERMES INC                                     10,790                       47,180
ALLAIRE CORP                                     64,097                       15,397
ALLIANCE PHARMACEUTICAL CORP                    150,000
ALLSTATE CORP                                                                 90,370
ALTEON WEBSYSTEMS INC                           148,500
AMBAC INC                                        28,775                        7,090
AMERADA HESS CORP                                 2,273
AMERICA ONLINE INC                               43,700                       29,985
AMERICAN EAGLE OUTFIT                            50,430                      100,892
AMERICAN EXPRESS CO                              22,915                       39,131
AMERICAN FINL HLDGS                              10,000
AMERICAN HOME PRODS                              34,400                       53,125
AMERICAN INTL GROUP                             374,058                      286,753
AMERICAN MGMT SYSTEMS                           269,649                       50,072
AMERICAN PWR CONVERSION                         695,535                      523,160
AMERICAN STD COS INC DEL                        497,300                      396,800
AMERICAN TOWER CORP                              70,000
AMERISOURCE HEALTH CO                            43,035                       28,155
AMGEN INC                                                                    181,100
AMPHENOL CORP NEW CL                             95,860                       19,400
AMSOUTH BANCORPORATION                           23,624
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                         NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/       SOLE       SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL       (A)         (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----       ---         ---     ---    ---
<S>                                <C>       <C>          <C>         <C>          <C>    <C>         <C>        <C>     <C>    <C>
AMSURG CORP-CL A                   COM      03232P108            315        22,500   SH              22,500
AMSURG CORP-CL B                   COM      03232P207            709        53,000   SH              53,000
ANADARKO PETE CORP                 COM      032511107          4,333        65,203   SH              56,103       9,100
ANALOG DEVICES INC                 COM      032654105         64,209       777,700   SH             762,700      15,000
ANHEUSER BUSCH COS. INC            COM      035229103          1,557        36,800   SH              36,800
ANNALY MORTGAGE MANAGEMENT INC     COM      035710409          3,650       400,000   SH             400,000
ANNUITY & LIFE RE HOLDINGS         COM      G03910109         12,885       534,100   SH             534,100
ANSWERTHINK INC                    COM      036916104            650        40,000   SH              40,000
ANTEC CORP                         COM      03664P105          1,526        51,740   SH              51,740
AON CORP                           COM      037389103         46,956     1,196,326   SH           1,139,526      56,800
APA OPTICS INC                     COM      001853100            557        45,000   SH              45,000
APACHE CORP                        COM      037411105          4,671        79,000   SH              79,000
APARTMENT INVESTMENT               COM      03748R101            230         5,000   SH               5,000
APPLIED MATERIALS INC              COM      038222105         61,294     1,033,400   SH           1,020,400      13,000
APPLIED MICRO CIRCUIT              COM      03822W109          2,342        11,313   SH               9,913       1,400
APW LTD                            COM      G04397108          3,927        80,554   SH              80,554
ARCH CHEMICALS INC                 COM      03937R102         15,742       862,600   SH             856,200       6,400
ARIBA INC                          COM      04033V104          1,261         8,800   SH               7,000       1,800
ARROW ELECTRONICS                  COM      042735100         88,132     2,587,376   SH           2,540,776      46,600
ART TECHNOLOGY GROUP               COM      04289L107          3,607        38,066   SH              32,766       5,300
ARTHROCARE CORP                    COM      043136100          5,240       269,597   SH             260,397       9,200
ASHLAND INC                        COM      044204105            337        10,000   SH                          10,000
ASPECT COMMUNICATIONS              COM      04523Q102          2,395       116,100   SH              86,100      30,000
ASSOCIATES FIRST CAPITAL CORP      COM      046008108         20,072       528,200   SH             528,200
ASTORIA FINL CORP                  COM      046265104          2,080        53,849   SH              53,849
ASYST TECHNOLOGIES                 COM      04648X107            239        11,800   SH                          11,800
AT ROAD INC                        COM      04648K105            719       100,000   SH             100,000
ATMI INC                           COM      00207R101          4,785       204,727   SH             204,727
AUSPEX SYS INC                     COM      052116100          4,928       398,196   SH             398,196
AUTOMATIC DATA PROCESSING          COM      053015103          3,223        48,200   SH              48,200
AVALONBAY COMMUNITIES INC          COM      053484101            477        10,000   SH              10,000
AVANEX CORP                        COM      05348W109          3,679        34,162   SH              31,162       3,000
AVANTGO INC                        COM      05349M100          1,100        55,000   SH              55,000
AVAX TECHNOLOGIES INC              COM      053495305            917       117,400   SH              49,900      67,500
AVIGEN INC                         COM      053690103          2,385        60,000   SH              60,000
AVNET INC                          COM      053807103         63,685     2,244,400   SH           2,220,800      23,600
AXCELIS TECHNOLOGIES INC           COM      054540109          4,756       400,500   SH             400,500
BACOU USA INC                      COM      056439102            908        35,000   SH              35,000
BANCO LATINOAMERICANO DE           COM      P16994132          4,002       144,200   SH             144,200
BANK OF AMERICA CORP               COM      060505104         77,692     1,483,375   SH           1,463,075      20,300
BANK OF NEW YORK INC               COM      064057102         42,051       744,274   SH             707,914      36,360
BANKNORTH GRP                      COM      06646R107          2,794       156,281   SH             156,281
BANYAN STRATEGIC RLTY              COM      06683M102             59        10,000   SH              10,000
</TABLE>


<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
AMSURG CORP-CL A                                 22,500
AMSURG CORP-CL B                                 53,000
ANADARKO PETE CORP                               50,738                       14,465
ANALOG DEVICES INC                              395,800                      381,900
ANHEUSER BUSCH COS. INC                          36,800
ANNALY MORTGAGE MANAGEMENT INC                  400,000
ANNUITY & LIFE RE HOLDINGS                      534,100
ANSWERTHINK INC                                  40,000
ANTEC CORP                                        5,080                       46,660
AON CORP                                        682,530                      513,796
APA OPTICS INC                                   45,000
APACHE CORP                                      79,000
APARTMENT INVESTMENT                              5,000
APPLIED MATERIALS INC                           557,800                      475,600
APPLIED MICRO CIRCUIT                             9,924                        1,389
APW LTD                                          25,300                       55,254
ARCH CHEMICALS INC                              461,800                      400,800
ARIBA INC                                         8,800
ARROW ELECTRONICS                             1,461,984                    1,125,392
ART TECHNOLOGY GROUP                             31,990                        6,076
ARTHROCARE CORP                                 218,333                       51,264
ASHLAND INC                                      10,000
ASPECT COMMUNICATIONS                            50,500                       65,600
ASSOCIATES FIRST CAPITAL CORP                   528,200
ASTORIA FINL CORP                                18,499                       35,350
ASYST TECHNOLOGIES                               11,800
AT ROAD INC                                     100,000
ATMI INC                                        163,838                       40,889
AUSPEX SYS INC                                   95,640                      302,556
AUTOMATIC DATA PROCESSING                        48,200
AVALONBAY COMMUNITIES INC                        10,000
AVANEX CORP                                      29,257                        4,905
AVANTGO INC                                      55,000
AVAX TECHNOLOGIES INC                           117,400
AVIGEN INC                                       60,000
AVNET INC                                     1,221,200                    1,023,200
AXCELIS TECHNOLOGIES INC                                                     400,500
BACOU USA INC                                    35,000
BANCO LATINOAMERICANO DE                        144,200
BANK OF AMERICA CORP                            780,572                      702,803
BANK OF NEW YORK INC                            412,064                      332,210
BANKNORTH GRP                                   111,070                       45,211
BANYAN STRATEGIC RLTY                                                         10,000
</TABLE>


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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/     SOLE         SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL     (A)           (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----     ---           ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>   <C>           <C>       <C>   <C>

BAUSCH & LOMB INC.                 COM      071707103          1,129        29,000   SH              29,000
BAXTER INTL INC                    COM      071813109        128,413     1,608,929   SH           1,564,409      44,520
BEA SYS INC                        COM      073325102          4,081        52,400   SH              36,400      16,000
BELDEN INC                         COM      077459105          3,209       135,818   SH             135,818
BELLSOUTH CORP                     COM      079860102          4,113       102,196   SH             102,196
BESTFOODS                          COM      08658U101        102,105     1,403,500   SH           1,403,500
BEVERLY ENTERPRISES INC NEW        COM      087851309            858       144,500   SH             144,500
BJ SERVICES CO.                    COM      055482103          1,558        25,483   SH              17,983       7,500
BJS WHSL CLUB INC                  COM      05548J106          3,447        99,915   SH              90,915       9,000
BLACK & DECKER CORP                COM      091797100         40,810     1,193,700   SH           1,177,300      16,400
BLOCK DRUG CO INC CLASS A          COM      093644102          2,268        52,600   SH              52,600
BLOCKBUSTER INC                    COM      093679108          1,066       121,000   SH             121,000
BOEING CO                          COM      097023105         31,805       506,768   SH             482,598      24,170
BOOKHAM TECHNOLOGY PL              COM      09856Q108            858        20,000   SH                          20,000
BORON LEPORE & ASSOC.              COM      10001P102            308        30,000   SH                          30,000
BOSTON PROPERTIES INC              COM      101121101            429        10,000   SH              10,000
BOWATER INC                        COM      102183100         33,584       723,200   SH             713,400       9,800
BP AMOCO ADS                       COM      055622104            287         5,424   SH               5,424
BRASS EAGLE INC                    COM      10553F106            945       180,000   SH             180,000
BRISTOL MYERS SQUIBB               COM      110122108          4,618        80,820   SH              80,820
BROADVISION INC                    COM      111412102            795        31,000   SH              11,000      20,000
BROADWING INC                      COM      111620100          1,444        56,500   SH              56,500
BROCADE COMMUNICATION              COM      111621108            236         1,000   SH                           1,000
BROOKS AUTOMATION INC              COM      11434A100          5,575       168,291   SH             168,291
BUSH BOAKE ALLEN INC               COM      123162109         11,958       250,100   SH             250,100
C COR ELECTRS INC COM              COM      125010108          4,836       315,820   SH             305,820      10,000
C H ROBINSON WORLDWIDE             COM      12541W100         11,747       208,439   SH             199,939       8,500
C P & L ENERGY INC                 COM      12614C106            417        10,000   SH              10,000
CABLE DESIGN TECHN CO              COM      126924109          6,269       257,860   SH             257,860
CABLEVISION SYSTEMS CORP-CL A      COM      12686C109            696        10,500   SH              10,500
CAL DIVE INTL INC                  COM      127914109          3,575        62,505   SH              62,505
CALICO COMMERCE INC                COM      129897104            563        92,000   SH              92,000
CALPINE CORP                       COM      131347106          8,342        79,908   SH              71,308       8,600
CAMBREX CORP                       COM      132011107          5,655       152,830   SH             152,830
CAPITAL AUTOMOTIVE RE              COM      139733109          7,902       607,822   SH             607,822
CAPITAL ONE FINL CORP              COM      14040H105            341         4,870   SH               4,870
CARDIODYNAMICS INTL                COM      141597104            934       179,000   SH                         179,000
CAREER ED CORP                     COM      141665109          6,786       152,495   SH             152,495
CAREMARK RX INC                    COM      141705103          1,406       125,000   SH             125,000
CARRAMERICA REALTY CORP            COM      144418100            787        26,000   SH              26,000
CARRIER ACCESS CORP                COM      144460102            693        35,000   SH                          35,000
CATALYTICA INC                     COM      148885106          5,102       412,284   SH             412,284
CATAPULT COMMUNICATIONS CORP       COM      149016107            261        14,000   SH              14,000

</TABLE>
<PAGE>
(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
BAUSCH & LOMB INC.                                                            29,000
BAXTER INTL INC                                 857,987                      750,942
BEA SYS INC                                      39,500                       12,900
BELDEN INC                                       36,060                       99,758
BELLSOUTH CORP                                   70,000                       32,196
BESTFOODS                                     1,403,500
BEVERLY ENTERPRISES INC NEW                     144,500
BJ SERVICES CO.                                  22,583                        2,900
BJS WHSL CLUB INC                                76,942                       22,973
BLACK & DECKER CORP                             575,300                      618,400
BLOCK DRUG CO INC CLASS A                        52,600
BLOCKBUSTER INC                                 121,000
BOEING CO                                       289,270                      217,498
BOOKHAM TECHNOLOGY PL                            20,000
BORON LEPORE & ASSOC.                            30,000
BOSTON PROPERTIES INC                            10,000
BOWATER INC                                     381,400                      341,800
BP AMOCO ADS                                      2,481                        2,943
BRASS EAGLE INC                                 180,000
BRISTOL MYERS SQUIBB                             77,120                        3,700
BROADVISION INC                                  31,000
BROADWING INC                                    56,500
BROCADE COMMUNICATION                             1,000
BROOKS AUTOMATION INC                           134,950                       33,341
BUSH BOAKE ALLEN INC                            250,100
C COR ELECTRS INC COM                           260,356                       55,464
C H ROBINSON WORLDWIDE                          167,885                       40,554
C P & L ENERGY INC                               10,000
CABLE DESIGN TECHN CO                           210,141                       47,719
CABLEVISION SYSTEMS CORP-CL A                    10,500
CAL DIVE INTL INC                                50,890                       11,615
CALICO COMMERCE INC                              92,000
CALPINE CORP                                     65,970                       13,938
CAMBREX CORP                                    123,500                       29,330
CAPITAL AUTOMOTIVE RE                           379,200                      228,622
CAPITAL ONE FINL CORP                               100                        4,770
CARDIODYNAMICS INTL                             179,000
CAREER ED CORP                                  117,495                       35,000
CAREMARK RX INC                                 125,000
CARRAMERICA REALTY CORP                          26,000
CARRIER ACCESS CORP                              35,000
CATALYTICA INC                                  123,230                      289,054
CATAPULT COMMUNICATIONS CORP                     14,000

</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/     SOLE         SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL     (A)           (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----     ---           ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>    <C>           <C>      <C>   <C>
CATELLUS DEVELOPMENT CORP          COM      149111106            499        28,500   SH              28,500
CATERPILLAR INC. DEL               COM      149123101            732        21,700   SH              21,700
CELADON GROUP INC                  COM      150838100            577        65,000   SH              65,000
CELGENE CORP                       COM      151020104          5,689        95,610   SH              86,010       9,600
CENDANT CORPORATION                COM      151313103          1,468       135,000   SH             135,000
CENTRAL PAC MINERALS               COM      154762306            975       276,218   SH             276,218
CFM TECHNOLOGIES INC               COM      12525K106            510        69,700   SH              69,700
CHASE MANHATTAN CORP               COM      16161A108         56,840     1,230,509   SH           1,217,009      13,500
CHECKFREE CORP                     COM      162813109          5,565       132,840   SH             132,840
CHEVRON CORP                       COM      166751107         38,942       456,800   SH             449,000       7,800
CHUBB CORP                         COM      171232101         50,641       640,012   SH             609,292      30,720
CIGNA CORP                         COM      125509109          1,023         9,800   SH               9,800
CISCO SYS INC                      COM      17275R102        155,210     2,809,231   SH           2,789,231      20,000
CITIGROUP INC.                     COM      172967101        135,190     2,500,621   SH           2,480,288      20,333
CITRIX SYS INC                     COM      177376100            248        12,384   SH              12,384
CITY NATL CORP                     COM      178566105          4,914       127,230   SH             113,830      13,400
CLARK (DICK) PRODUCTIONS INC       COM      181512104            383        42,500   SH              42,500
CLEARNET COMMUNICATIONS INC        COM      184902104         23,633       355,000   SH             355,000
CLECO CORP NEW                     COM      12561W105          4,122        88,139   SH              88,139
CNA SURETY CORP                    COM      12612L108          2,805       243,900   SH             243,900
CNF TRANSN INC                     COM      12612w104         45,964     2,065,800   SH           2,040,700      25,100
COASTAL CORP                       COM      190441105         19,783       266,885   SH             266,885
COCA COLA CO                       COM      191216100         27,700       502,500   SH             497,600       4,900
COGNIZANT TECHNLGY SL              COM      192446102          5,276       135,275   SH             135,275
COLGATE PALMOLIVE CO               COM      194162103         32,398       686,400   SH             675,600      10,800
COLUMBIA ENERGY GROUP              COM      197648108         65,909       928,300   SH             928,300
COLUMBIA LABORATORIES INC          COM      197779101          2,222       382,300   SH             382,300
COMMERCE ONE INC                   COM      200693109            236         3,000   SH               3,000
COMMODORE APPLIED TECHNOLOGIES     COM      202630109            219       250,000   SH             250,000
COMMSCOPE INC                      COM      203372107          8,777       358,232   SH             348,232      10,000
COMPAQ COMPUTER CORP               COM      204493100         36,452     1,321,700   SH           1,305,100      16,600
COMPASS BANCSHARES INC             COM      20449H109            124         6,348   SH               6,348
COMPUTER ASSOC INT'L INC           COM      204912109         18,893       750,100   SH             741,100       9,000
COMPUTER NETWORK TECHNOLOGY        COM      204925101          2,062        60,000   SH              60,000
COMVERSE TECHNOLOGY                COM      205862402          7,573        70,117   SH              60,617       9,500
CONCORD CAMERA CORP                COM      206156101         23,908       933,000   SH             933,000
CONCORD COMMUNICATIONS INC         COM      206186108            225         8,500   SH               8,500
CONCORD EFS INC                    COM      206197105          6,496       182,919   SH             163,669      19,250
CONDUCTUS INC                      COM      206784100            885        60,000   SH              60,000
CONEXANT SYSTEMS INC               COM      207142100            209         5,000   SH               5,000
CONOCO INC                         COM      208251405        111,825     4,151,286   SH           4,099,576      51,710
CONSECO INC                        COM      208464107            762       100,000   SH             100,000
CONSOLIDATED STORES                COM      210149100          2,667       197,556   SH             197,556

</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
CATELLUS DEVELOPMENT CORP                        28,500
CATERPILLAR INC. DEL                             21,700
CELADON GROUP INC                                65,000
CELGENE CORP                                     78,053                       17,557
CENDANT CORPORATION                             125,000                       10,000
CENTRAL PAC MINERALS                             78,705                      197,513
CFM TECHNOLOGIES INC                             69,700
CHASE MANHATTAN CORP                            590,961                      639,548
CHECKFREE CORP                                  110,505                       22,335
CHEVRON CORP                                    249,800                      207,000
CHUBB CORP                                      367,630                      272,382
CIGNA CORP                                        9,800
CISCO SYS INC                                 1,481,742                    1,327,489
CITIGROUP INC.                                1,148,826                    1,351,795
CITRIX SYS INC                                    4,858                        7,526
CITY NATL CORP                                  104,418                       22,812
CLARK (DICK) PRODUCTIONS INC                     42,500
CLEARNET COMMUNICATIONS INC                     355,000
CLECO CORP NEW                                   25,340                       62,799
CNA SURETY CORP                                 243,900
CNF TRANSN INC                                1,062,600                    1,003,200
COASTAL CORP                                    265,700                        1,185
COCA COLA CO                                    273,900                      228,600
COGNIZANT TECHNLGY SL                           109,554                       25,721
COLGATE PALMOLIVE CO                            366,200                      320,200
COLUMBIA ENERGY GROUP                           928,300
COLUMBIA LABORATORIES INC                       382,300
COMMERCE ONE INC                                  3,000
COMMODORE APPLIED TECHNOLOGIES                  250,000
COMMSCOPE INC                                   288,657                       69,575
COMPAQ COMPUTER CORP                            684,200                      637,500
COMPASS BANCSHARES INC                            6,348
COMPUTER ASSOC INT'L INC                        396,225                      353,875
COMPUTER NETWORK TECHNOLOGY                      60,000
COMVERSE TECHNOLOGY                              57,834                       12,283
CONCORD CAMERA CORP                             933,000
CONCORD COMMUNICATIONS INC                        8,500
CONCORD EFS INC                                 144,791                       38,128
CONDUCTUS INC                                    60,000
CONEXANT SYSTEMS INC                              5,000
CONOCO INC                                    2,130,112                    2,021,174
CONSECO INC                                     100,000
CONSOLIDATED STORES                              50,600                      146,956
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                         NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/     SOLE        SHARED   OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL     (A)          (B)      (C)    MGR
         ------                     -----     ------        ---------    ------      ---   ----    ---          ---      ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>    <C>           <C>     <C>    <C>
CONSTELLATION ENERGY GROUP INC     COM      210371100          3,980        80,000   SH              80,000
CONVERGYS CORP                     COM      212485106          3,936       101,247   SH              90,247      11,000
COOPER CAMERON CORP                COM      216640102          4,342        58,927   SH              52,027       6,900
CORINTHIAN COLLEGES                COM      218868107          6,135       103,989   SH             103,989
CORNING INC                        COM      219350105          4,336        14,600   SH              14,600
CORVIS CORP                        COM      221009103          1,954        32,000   SH              32,000
COSINE COMMUNICATION INC           COM      221222102            278         5,000   SH               5,000
COSTCO WHSL CORP NEW               COM      22160K105         56,255     1,610,175   SH           1,561,695      48,480
COTT CORP                          COM      22163N106          1,020       170,000   SH             170,000
COUNTRY WIDE CR INDS INC           COM      222372104         24,507       649,200   SH             637,100      12,100
COUSINS PROPERTIES INC             COM      222795106            745        17,300   SH              17,300
CRANE CO                           COM      224399105            206         9,000   SH               9,000
CROWN CASTLE INTL CORP             COM      228227104          2,485        80,000   SH              80,000
CSG SYSTEMS INTERNATIONAL INC      COM      126349109          1,160        40,000   SH              40,000
CULLEN FROST BANKERS               COM      229899109          7,570       232,932   SH             232,932
CURAGEN CORP                       COM      23126R101            362         6,800   SH                           6,800
CV THERAPEUTICS INC                COM      126667104            233         3,000   SH               3,000
CYMER INC                          COM      232572107          5,013       163,360   SH             163,360
CYTYC CORP                         COM      232946103         10,886       252,433   SH             244,433       8,000
D R HORTON INC                     COM      23331A109            749        43,600   SH                          43,600
DATA RETURN CORP                   COM      23785M104          1,013        50,000   SH              50,000
DELHAIZE AMERICA INC               COM      246688105          7,409       424,900   SH             424,900
DELTA & PINE LD CO CO              COM      247357106            514        20,000   SH                          20,000
DELUXE CORP                        COM      248019101          1,717        84,550   SH              84,550
DEVON ENERGY CORP NEW              COM      25179M103          5,397        89,734   SH              80,734       9,000
DEXTER CORP                        COM      252165105         18,000       300,000   SH             300,000
DIANON SYS INC                     COM      252826102          6,759       169,500   SH             169,500
DIGENE CORP                        COM      253752109         11,632       323,118   SH             311,618      11,500
DISNEY (WALT) HOLDING              COM      254687106          1,764        46,106   SH              46,106
DISPATCH MANAGEMENT SERVICES       COM      254927106            201       458,100   SH             458,100
DIVINE INTERVENTURES               COM      255404105             38        10,000   SH              10,000
DONALDSON LUFKIN & JENRETTE        COM      257661108         59,968       670,500   SH             670,500
DOVER CORP                         COM      260003108          3,245        69,127   SH              62,127       7,000
DOW CHEMICAL CO                    COM      260543103          2,584       103,600   SH             103,600
DOWNEY FINL CORP                   COM      261018105          3,241        82,060   SH              82,060
DRIL-QUIP INC                      COM      262037104            239         6,000   SH                           6,000
DSET CORP                          COM      262504103            701        34,000   SH                          34,000
DU PONT E I DE MEMOURS             COM      263534109          1,113        26,856   SH              26,856
DUKE ENERGY CORP                   COM      264399106         10,239       119,400   SH             119,400
DUKE WEEKS REALTY CORP             COM      264411505          2,084        86,400   SH              86,400
DUPONT PHOTOMASKS INC              COM      26613X101          3,755        63,915   SH              59,915       4,000
DURA PHARM 3.500%                  CONV     26632SAA7            735       750,000   SH             750,000
DURA PHARMACEUTICALS INC           COM      26632S109          2,904        82,100   SH              82,100
</TABLE>
<PAGE>
(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
CONSTELLATION ENERGY GROUP INC                   80,000
CONVERGYS CORP                                   79,848                       21,399
COOPER CAMERON CORP                              47,968                       10,959
CORINTHIAN COLLEGES                              81,390                       22,599
CORNING INC                                      14,300                          300
CORVIS CORP                                      32,000
COSINE COMMUNICATION INC                                                       5,000
COSTCO WHSL CORP NEW                            827,170                      783,005
COTT CORP                                       170,000
COUNTRY WIDE CR INDS INC                        336,300                      312,900
COUSINS PROPERTIES INC                           17,300
CRANE CO                                                                       9,000
CROWN CASTLE INTL CORP                           80,000
CSG SYSTEMS INTERNATIONAL INC                    40,000
CULLEN FROST BANKERS                            186,073                       46,859
CURAGEN CORP                                      6,800
CV THERAPEUTICS INC                               3,000
CYMER INC                                       133,545                       29,815
CYTYC CORP                                      214,013                       38,420
D R HORTON INC                                   43,600
DATA RETURN CORP                                 50,000
DELHAIZE AMERICA INC                            424,900
DELTA & PINE LD CO CO                            20,000
DELUXE CORP                                      10,525                       74,025
DEVON ENERGY CORP NEW                            89,000                          734
DEXTER CORP                                     300,000
DIANON SYS INC                                  141,835                       27,665
DIGENE CORP                                     266,628                       56,490
DISNEY (WALT) HOLDING                            27,000                       19,106
DISPATCH MANAGEMENT SERVICES                    458,100
DIVINE INTERVENTURES                             10,000
DONALDSON LUFKIN & JENRETTE                     670,500
DOVER CORP                                       52,792                       16,335
DOW CHEMICAL CO                                 103,600
DOWNEY FINL CORP                                 71,205                       10,855
DRIL-QUIP INC                                     6,000
DSET CORP                                        34,000
DU PONT E I DE MEMOURS                           26,436                          420
DUKE ENERGY CORP                                119,400
DUKE WEEKS REALTY CORP                           86,400
DUPONT PHOTOMASKS INC                            50,405                       13,510
DURA PHARM 3.500%                               750,000
DURA PHARMACEUTICALS INC                         82,100
</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/       SOLE       SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL       (A)         (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----       ---         ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>      <C>           <C>   <C>    <C>
DYNEGY INC (HOLDING CO)            COM      26816Q101         10,203       179,000   SH             179,000
E M C CORP                         COM      268648102         42,223       424,554   SH             409,454      15,100
E TRADE GROUP INC                  COM      269246104            164        10,000   SH              10,000
E W SCRIPPS CO NEW-CL A            COM      811054204          1,242        23,000   SH              23,000
EASTERN ENTERPRISES INC            COM      27637F100         51,669       809,700   SH             809,700
EASTMAN KODAK CO                   COM      277461109            560        13,700   SH              13,700
EATON CORP                         COM      278058102         53,207       863,400   SH             852,700      10,700
ECHOSTAR COMMUNICATIONS CORP       COM      278762109          1,213        23,000   SH              23,000
EDISON INT'L                       COM      281020107          1,162        60,183   SH              60,183
EL PASO ELECTRIC CO NEW            COM      283677854          1,913       138,900   SH             138,900
EL PASO ENERGY CORP D              COM      283905107          1,580        25,634   SH              10,334      15,300
ELAN PLC ADR                       FOREIGN  284131208          1,214        22,167   SH              22,167
ELASTIC NETWORKS INC               COM      284159100            697        50,000   SH              50,000
ELECTRONICS BOUTIQUE HOLDINGS      COM      286045109            269        12,500   SH              12,500
ELI LILLY & CO                     COM      532457108          5,708        70,360   SH              70,360
ELOYALTY CORP                      COM      290151109          6,630       520,000   SH             520,000
EMC CORP-MASS                      COM      268648102            962         9,700   SH               9,700
ENHANCE FIN'L SERVICES             COM      293310108          2,059       158,400   SH             158,400
ENRON CORP                         COM      293561106          5,520        63,000   SH              63,000
ENTEGRIS INC                       COM      29362U104            956       100,000   SH              10,000      90,000
ENTERGY CORP NEW                   COM      29364G103            745        20,000   SH              20,000
ENTRAVISION COMMUNICATIONS         COM      29382R107          4,146       238,600   SH             238,600
EOG RES INC                        COM      26875P101          5,714       146,973   SH             134,473      12,500
EQUITY OFFICE PPTYS                COM      294741103         32,944     1,061,579   SH           1,010,319      51,260
EQUITY OIL CO                      COM      294749106             94        30,970   SH              30,970
EQUITY RESIDENTIAL PROPERTIES      COM      29476L107          1,498        31,200   SH              31,200
ERICSSON L M TEL CO A              FOREIGN  294821400         19,964     1,347,780   SH           1,330,580      17,200
EXABYTE CORP                       COM      300615101            338        30,000   SH              30,000
EXCEL LEGACY CORP                  COM      300665106             77        32,500   SH              32,500
EXCITE @HOME                       COM      045919107            964        68,243   SH              68,243
EXFO ELECTRO-OPTICAL               COM      302043104          2,897        66,500   SH              27,500      39,000
EXPEDITORS INTL WASH               COM      302130109         12,442       276,116   SH             268,716       7,400
EXPRESS SCRIPTS INC                COM      302182100         25,888       358,305   SH             342,085      16,220
EXXON CORP                         COM      30231G102        106,040     1,189,791   SH           1,176,666      13,125
FEDERAL HOME LN MTG CORP           COM      313400301          6,244       115,500   SH             115,500
FEDERAL NAT MORTGAGE               COM      313586109         92,128     1,288,500   SH           1,274,600      13,900
FEDERATED DEPT STORES INC          COM      31410H101            481        18,400   SH              18,400
FEDEX CORP                         COM      31428X106          1,233        27,800   SH              27,800
FIDELITY NATIONAL FINANCIAL        COM      316326107            247        10,000   SH              10,000
FINOVA GROUP INC                   COM      317928109             73        10,000   SH              10,000
FIRST DATA CORP                    COM      319963104         75,237     1,926,058   SH           1,872,578      53,480
FIRST TENNESSEE NATIONAL CORP      COM      337162101            604        29,538   SH              29,538
FIRST UN CORP                      COM      337358105         39,922     1,240,300   SH           1,230,800       9,500
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
DYNEGY INC (HOLDING CO)                         179,000
E M C CORP                                      239,610                      184,944
E TRADE GROUP INC                                10,000
E W SCRIPPS CO NEW-CL A                          23,000
EASTERN ENTERPRISES INC                         809,700
EASTMAN KODAK CO                                 13,700
EATON CORP                                      453,300                      410,100
ECHOSTAR COMMUNICATIONS CORP                     23,000
EDISON INT'L                                     40,000                       20,183
EL PASO ELECTRIC CO NEW                         138,900
EL PASO ENERGY CORP D                            25,616                           18
ELAN PLC ADR                                                                  22,167
ELASTIC NETWORKS INC                             50,000
ELECTRONICS BOUTIQUE HOLDINGS                    12,500
ELI LILLY & CO                                   66,100                        4,260
ELOYALTY CORP                                   520,000
EMC CORP-MASS                                     9,700
ENHANCE FIN'L SERVICES                                                       158,400
ENRON CORP                                       63,000
ENTEGRIS INC                                    100,000
ENTERGY CORP NEW                                 20,000
ENTRAVISION COMMUNICATIONS                      238,600
EOG RES INC                                     118,302                       28,671
EQUITY OFFICE PPTYS                             613,180                      448,399
EQUITY OIL CO                                                                 30,970
EQUITY RESIDENTIAL PROPERTIES                    31,200
ERICSSON L M TEL CO A                           544,040                      803,740
EXABYTE CORP                                     30,000
EXCEL LEGACY CORP                                32,500
EXCITE @HOME                                      8,173                       60,070
EXFO ELECTRO-OPTICAL                             66,500
EXPEDITORS INTL WASH                            224,202                       51,914
EXPRESS SCRIPTS INC                             197,562                      160,743
EXXON CORP                                      635,534                      554,257
FEDERAL HOME LN MTG CORP                         44,400                       71,100
FEDERAL NAT MORTGAGE                            664,725                      623,775
FEDERATED DEPT STORES INC                        18,400
FEDEX CORP                                       27,800
FIDELITY NATIONAL FINANCIAL                      10,000
FINOVA GROUP INC                                 10,000
FIRST DATA CORP                               1,030,947                      895,111
FIRST TENNESSEE NATIONAL CORP                    29,538
FIRST UN CORP                                   649,200                      591,100

</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>         <C>         <C>    <C>      <C>          <C>     <C>    <C>
FIRSTENERGY CORP                   COM      337932107          1,616        60,000   SH              60,000
FISERV INC                         COM      337738108          3,649        60,948   SH              53,448       7,500
FLAMEL TECHNOLOGIES SA             COM      338488109            214        30,000   SH              30,000
FLEETBOSTON FINL CORP              COM      339030108         55,298     1,417,900   SH           1,396,000      21,900
FLEMING COS INC                    COM      339130106          2,635       201,734   SH             201,734
FLEXTRONICS INTERNATIONAL          COM      Y2573F102         58,867       716,800   SH             707,600       9,200
FLORIDA PROGRESS CORP              COM      341109106         18,618       351,700   SH             351,700
FOOTSTAR INC                       COM      344912100          3,769       116,644   SH             116,644
FORD MTR CO DEL                    COM      345370860         51,001     2,014,855   SH           1,988,633      26,222
FOREST OIL CORP                    COM      346091606          5,295       327,100   SH             317,100      10,000
FORT JAMES CORP                    COM      347471104         18,277       598,000   SH             598,000
FOUNDRY NETWORKS INC               COM      35063R100         11,006       164,425   SH             164,425
FRANCHISE FINANCE CORP OF          COM      351807102            540        24,000   SH              24,000
FREQUENCY ELECTRONICS              COM      358810106            482        21,000   SH              21,000
FULTON FINANCIAL CORP-PA           COM      360271100            124         6,272   SH               6,272
GALLAGHER ARTHUR J & CO            COM      363576109            786        13,300   SH              13,300
GANNETT INC                        COM      364730101            959        18,100   SH              18,100
GAP INC DEL                        COM      364760108            486        24,162   SH              24,162
GELTEX PHARMACEUTICALS INC         COM      368538104          9,868       210,800   SH             210,800
GEMINI TECHNOLOGY INT              COM      36866E106              0        10,000   SH              10,000
GEMSTAR TV GUIDE INTE              COM      36866W106          4,135        47,425   SH              47,425
GENERAL DYNAMICS CORP              COM      369550108         43,905       698,983   SH             662,353      36,630
GENERAL ELEC CO                    COM      369604103        286,384     4,962,745   SH           4,922,915      39,830
GENERAL MTRS CORP                  COM      370442105         72,113     1,109,428   SH           1,074,339      35,089
GENERAL MTRS CORP CL               COM      370442832         52,653     1,416,134   SH           1,370,088      46,046
GENTEX CORP                        COM      371901109         12,064       482,540   SH             470,540      12,000
GENUITY INC                        COM      37248E103            163        25,000   SH              25,000
GEORGIA PACIFIC CORP               COM      373298702          1,948        72,500   SH              72,500
GETTY IMAGES INC                   COM      374276103          3,653       120,000   SH             120,000
GILLETTE CO                        COM      375766102          1,257        40,700   SH              40,700
GLAXO WELLCOME PLC                 COM      37733W105          1,511        25,000   SH              25,000
GLENBOROUGH REALTY TRUST INC       COM      37803P105            691        38,400   SH              38,400
GLOBALSTAR TELECOMMUNICATIONS      COM      G3930H104             95        11,000   SH              11,000
GLOBESPAN INC                      COM      379571102          3,908        32,036   SH              29,536       2,500
GO2NET INC                         COM      383486107          4,200        77,400   SH              77,400
GOLF TRUST OF AMERICA INC          COM      38168B103            196        14,500   SH              14,500
GOODRICH B F CO                    COM      382388106         57,864     1,476,600   SH           1,456,800      19,800
GRAND UNION CO                     COM      386532402             18       113,500   SH             113,500
GREY WOLF INC                      COM      397888108            460        80,000   SH              80,000
GROVE PROPERTY TRUST               COM      399613108            498        30,200   SH              30,200
GUIDANT CORP                       COM      401698105          1,329        18,800   SH              18,800
HALLIBURTON CO                     COM      406216101         39,080       798,564   SH             789,564       9,000
HANOVER COMPRESSOR CO              COM      410768105            247         7,500   SH               7,500
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
FIRSTENERGY CORP                                 60,000
FISERV INC                                       51,835                        9,113
FLAMEL TECHNOLOGIES SA                           30,000
FLEETBOSTON FINL CORP                           734,100                      683,800
FLEMING COS INC                                  49,265                      152,469
FLEXTRONICS INTERNATIONAL                       362,700                      354,100
FLORIDA PROGRESS CORP                           351,700
FOOTSTAR INC                                     31,052                       85,592
FORD MTR CO DEL                               1,062,482                      952,373
FOREST OIL CORP                                  92,730                      234,370
FORT JAMES CORP                                 598,000
FOUNDRY NETWORKS INC                            164,425
FRANCHISE FINANCE CORP OF                        24,000
FREQUENCY ELECTRONICS                                                         21,000
FULTON FINANCIAL CORP-PA                          6,272
GALLAGHER ARTHUR J & CO                          13,300
GANNETT INC                                      18,100
GAP INC DEL                                      24,162
GELTEX PHARMACEUTICALS INC                      210,800
GEMINI TECHNOLOGY INT                                                         10,000
GEMSTAR TV GUIDE INTE                             5,845                       41,580
GENERAL DYNAMICS CORP                           399,070                      299,913
GENERAL ELEC CO                               2,593,551                    2,369,194
GENERAL MTRS CORP                               579,136                      530,292
GENERAL MTRS CORP CL                            762,580                      653,554
GENTEX CORP                                     383,944                       98,596
GENUITY INC                                      25,000
GEORGIA PACIFIC CORP                             72,500
GETTY IMAGES INC                                120,000
GILLETTE CO                                      22,300                       18,400
GLAXO WELLCOME PLC                               25,000
GLENBOROUGH REALTY TRUST INC                     38,400
GLOBALSTAR TELECOMMUNICATIONS                     1,000                       10,000
GLOBESPAN INC                                    25,700                        6,336
GO2NET INC                                       77,400
GOLF TRUST OF AMERICA INC                        14,500
GOODRICH B F CO                                 731,200                      745,400
GRAND UNION CO                                  113,500
GREY WOLF INC                                    80,000
GROVE PROPERTY TRUST                             30,200
GUIDANT CORP                                     18,800
HALLIBURTON CO                                  413,264                      385,300
HANOVER COMPRESSOR CO                             7,500
</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>     <C>          <C>     <C>    <C>
HARCOURT GENERAL INC               COM      41163G101         14,467       245,200   SH             245,200
HARTE HANKS INC                    COM      416196103          2,356        86,463   SH              86,463
HARTFORD FIN'L SERVICE GROUP       COM      416515104            117         1,600   SH               1,600
HAWAIIAN ELECTRIC INDUSTRIES       COM      419870100            666        19,100   SH              19,100
HCA-THE HEALTHCARE CO              COM      404119109         48,717     1,312,237   SH           1,249,167      63,070
HCC INSURANCE HOLDINGS INC         COM      404132102            406        20,000   SH              20,000
HEALTH MANAGEMENT ASSOCIATES       COM      421933102         29,775     1,430,598   SH           1,291,598     139,000
HEALTH MANAGEMENT SYSTEM INC       COM      42219M100             90        45,000   SH              45,000
HECLA MNG CO                       COM      422704106              8        10,500   SH              10,500
HEINZ H J CO                       COM      423074103            934        25,200   SH              25,200
HELLER FINL INC CL A               COM      423328103          3,539       123,914   SH             123,914
HELMERICH & PAYNE INC              COM      423452101          5,952       164,755   SH             164,755
HERSHEY FOODS CORP                 COM      427866108            704        13,000   SH              13,000
HEWLETT PACKARD CO.                COM      428236103         54,999       567,000   SH             560,900       6,100
HISPANIC BROADCASTING CORP         COM      43357B104          4,181       150,000   SH             150,000
HOME DEPOT INC                     COM      437076102        104,703     1,973,338   SH           1,960,138      13,200
HONEYWELL INTERNATION              COM      438516106         26,498       743,792   SH             708,730      35,062
HOUGHTON MIFFLIN CO                COM      441560109          5,622       143,229   SH             137,329       5,900
HOUSEHOLD INTERNATIONAL INC        COM      441815107         91,682     1,619,100   SH           1,596,700      22,400
HUDSON UTD BANCORP CO              COM      444165104          4,794       173,553   SH             173,553
HUNTINGTON BANCSHARES INC          COM      446150104            282        19,229   SH              19,229
I2 TECHNOLOGIES INC                COM      465754109          1,008         5,390   SH               5,390
IDEC PHARMACEUTICALS               COM      449370105          1,263         7,200   SH                           7,200
IGEN INTERNATIONAL INC-DEL         COM      449536101          6,068       301,500   SH             301,500
ILEX ONCOLOGY INC                  COM      451923106          5,915       196,332   SH             196,332
IMMUNE RESPONSE CORP               COM      45252T106            138        20,000   SH                          20,000
IMPATH INC                         COM      45255G101         16,372       259,365   SH             259,365
INAMED CORP                        COM      453235103          2,433        86,500   SH              86,500
INFINITY BROADCASTING              COM      45662S102         24,985       757,121   SH             757,121
INFORMATICA CORP                   COM      45666Q102          2,397        25,705   SH              25,705
INFORMIX CORP                      COM      456779107          2,865       694,543   SH             694,543
INGERSOLL-RAND CO                  COM      456866102         35,071     1,035,300   SH           1,022,000      13,300
INKINE PHARMACEUTICAL              COM      457214104            285        26,500   SH                          26,500
INNERDYNE INC                      COM      45764D102            105        15,000   SH              15,000
INPUT/OUTPUT INC                   COM      457652105          5,657       587,785   SH             527,785      60,000
INTEGRATED DEVICE TECHNOLOGY       COM      458118106            453         5,000   SH               5,000
INTEL CORP                         COM      458140100        130,262     3,134,101   SH           3,102,501      31,600
INTERMAGNETICS GENERAL CORP        COM      458771102            987        37,062   SH              37,062
INTERMEDIA COMMUNICATIONS INC      COM      458801107         10,906       369,700   SH             369,700
INTERNAP NETWORK SVCS CORP         COM      45885A102            226         7,000   SH               7,000
INTERNATIONAL BUSINESSS MACHINES   COM      459200101        109,986       977,650   SH             966,450      11,200
INTERNATIONAL MULTIFOODS           COM      460043102          2,302       132,500   SH             132,500
INTERNATIONAL RECTIFIER            COM      460254105          1,566        31,000   SH              11,000      20,000
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
HARCOURT GENERAL INC                            245,200
HARTE HANKS INC                                  27,695                       58,768
HARTFORD FIN'L SERVICE GROUP                                                   1,600
HAWAIIAN ELECTRIC INDUSTRIES                                                  19,100
HCA-THE HEALTHCARE CO                           731,765                      580,472
HCC INSURANCE HOLDINGS INC                       20,000
HEALTH MANAGEMENT ASSOCIATES                    847,430                      583,168
HEALTH MANAGEMENT SYSTEM INC                     45,000
HECLA MNG CO                                                                  10,500
HEINZ H J CO                                     25,200
HELLER FINL INC CL A                             32,970                       90,944
HELMERICH & PAYNE INC                           133,565                       31,190
HERSHEY FOODS CORP                               13,000
HEWLETT PACKARD CO.                             269,500                      297,500
HISPANIC BROADCASTING CORP                      150,000
HOME DEPOT INC                                1,016,478                      956,860
HONEYWELL INTERNATION                           419,931                      323,861
HOUGHTON MIFFLIN CO                             116,589                       26,640
HOUSEHOLD INTERNATIONAL INC                     828,800                      790,300
HUDSON UTD BANCORP CO                            86,408                       87,145
HUNTINGTON BANCSHARES INC                        19,229
I2 TECHNOLOGIES INC                               5,390
IDEC PHARMACEUTICALS                              7,200
IGEN INTERNATIONAL INC-DEL                      301,500
ILEX ONCOLOGY INC                               159,087                       37,245
IMMUNE RESPONSE CORP                             20,000
IMPATH INC                                      227,145                       32,220
INAMED CORP                                      86,500
INFINITY BROADCASTING                           750,000                        7,121
INFORMATICA CORP                                 21,690                        4,015
INFORMIX CORP                                   174,680                      519,863
INGERSOLL-RAND CO                               524,800                      510,500
INKINE PHARMACEUTICAL                            26,500
INNERDYNE INC                                    15,000
INPUT/OUTPUT INC                                195,520                      392,265
INTEGRATED DEVICE TECHNOLOGY                      5,000
INTEL CORP                                    1,646,436                    1,487,665
INTERMAGNETICS GENERAL CORP                      37,062
INTERMEDIA COMMUNICATIONS INC                   369,700
INTERNAP NETWORK SVCS CORP                        7,000
INTERNATIONAL BUSINESSS MACHINES                464,950                      512,700
INTERNATIONAL MULTIFOODS                                                     132,500
INTERNATIONAL RECTIFIER                          31,000
</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>   <C>      <C>          <C>     <C>    <C>
INTERNET SEC SYS INC               COM      46060X107            481         6,400   SH               6,400
INTERSIL HLDG CORP                 COM      46069S109          5,212       104,500   SH             104,500
INT'L PAPER CO                     COM      460146103         31,524     1,098,873   SH           1,085,321      13,552
INTL RESEARCH DEV INC              COM      460263106              0        10,000   SH              10,000
INTUIT INC                         COM      461202103            576        10,100   SH                 100      10,000
INVERNESS MED TECHNOLOGY INC       COM      461268104            616        32,000   SH              32,000
INVITROGEN CORP                    COM      46185R100          8,201       115,302   SH             108,302       7,000
IOMEGA CORP                        COM      462030107             75        15,000   SH              15,000
IRON MOUNTAIN INC PA               COM      462846106            296         8,000   SH               8,000
ISIS PHARMACEUTICALS INC.          COM      464330109            230        20,000   SH              20,000
ISTAR FINANCIAL INC                COM      45031U101            617        27,500   SH              27,500
ITT EDUCATIONAL SVCS               COM      45068B109          3,562       131,305   SH             118,305      13,000
IVAX CORP                          COM      465823102          9,415       204,683   SH             183,833      20,850
JABIL CIRCUIT INC                  COM      466313103          6,215       109,524   SH              96,324      13,200
JDS UNIPHASE CORP                  COM      46612J101         15,966       168,620   SH             166,720       1,900
JEFFERSON PILOT CORP               COM      475070108          1,072        15,800   SH              15,800
JOHNSON & JOHNSON                  COM      478160104        102,523     1,091,393   SH           1,065,593      25,800
K MART CORP                        COM      482584109          1,554       259,000   SH             259,000
KANA COMMUNICATIONS                COM      483600102            463        20,800   SH               5,800      15,000
KEEBLER FOODS CO                   COM      487256109          8,077       192,300   SH             192,300
KENNAMETAL INC                     COM      489170100         25,601       994,200   SH             981,800      12,400
KEY ENERGY SERVICES INC            COM      492914106          7,684       783,000   SH             783,000
KEYCORP NEW                        COM      493267108         55,186     2,180,200   SH           2,151,200      29,000
KEYNOTE SYS INC                    COM      493308100          2,290        85,600   SH               6,600      79,000
KEYSPAN CORP                       COM      49337W100            413        10,300   SH              10,300
KIMBERLY CLARK CORP                COM      494368103         62,681     1,123,064   SH           1,109,464      13,600
KING PHARMACEUTICALS               COM      495582108         13,353       399,347   SH             372,910      26,437
KLA-TENCOR CORP                    COM      482480100          1,186        28,806   SH              25,306       3,500
KORN FERRY INTL                    COM      500643200         13,395       354,257   SH             342,257      12,000
KROGER CO                          COM      501044101         32,063     1,421,055   SH           1,351,655      69,400
LABORATORY CORP AMER               COM      50540R409          6,085        50,817   SH              48,717       2,100
LAM RESEARCH CORP                  COM      512807108            295        14,100   SH                          14,100
LAMAR ADVERTISING CO               COM      512815101            292         7,700   SH                           7,700
LG&E ENERGY CORP                   COM      501917108          1,180        48,300   SH              48,300
LIBERTY LIVEWIRE CORP              COM      530709104            646        21,000   SH              21,000
LIFEMINDERS INC                    COM      53220Q105          5,734       250,000   SH             250,000
LIFEPOINT HOSPS INC                COM      53219L109          5,608       157,965   SH             157,965
LILLY ELI & CO                     COM      532457108         51,283       632,150   SH             625,250       6,900
LILLY INDUSTRIES INC-CL A          COM      532491107         11,806       400,200   SH             400,200
LINEAR TECHNOLOGY CORP             COM      535678106         10,794       166,704   SH             150,704      16,000
LITTLEFUSE INC.                    COM      537008104          5,385       181,375   SH             175,075       6,300
LIVENT INC                         COM      537902108              0        66,500   SH              66,500
LOEWS CORP                         COM      540424108          6,412        76,900   SH              76,900
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
INTERNET SEC SYS INC                              6,400
INTERSIL HLDG CORP                              104,500
INT'L PAPER CO                                  573,773                      525,100
INTL RESEARCH DEV INC                                                         10,000
INTUIT INC                                       10,100
INVERNESS MED TECHNOLOGY INC                     32,000
INVITROGEN CORP                                  89,443                       25,859
IOMEGA CORP                                      15,000
IRON MOUNTAIN INC PA                              8,000
ISIS PHARMACEUTICALS INC.                                                     20,000
ISTAR FINANCIAL INC                              27,500
ITT EDUCATIONAL SVCS                            107,345                       23,960
IVAX CORP                                       140,469                       64,214
JABIL CIRCUIT INC                                91,280                       18,244
JDS UNIPHASE CORP                                77,675                       90,945
JEFFERSON PILOT CORP                             15,800
JOHNSON & JOHNSON                               578,517                      512,876
K MART CORP                                                                  259,000
KANA COMMUNICATIONS                              20,800                            -
KEEBLER FOODS CO                                192,300
KENNAMETAL INC                                  518,700                      475,500
KEY ENERGY SERVICES INC                         783,000
KEYCORP NEW                                   1,126,500                    1,053,700
KEYNOTE SYS INC                                  85,125                          475
KEYSPAN CORP                                                                  10,300
KIMBERLY CLARK CORP                             587,648                      535,416
KING PHARMACEUTICALS                            321,526                       77,821
KLA-TENCOR CORP                                  22,510                        6,296
KORN FERRY INTL                                 253,822                      100,435
KROGER CO                                       774,334                      646,721
LABORATORY CORP AMER                             48,595                        2,222
LAM RESEARCH CORP                                14,100
LAMAR ADVERTISING CO                              7,700
LG&E ENERGY CORP                                 48,300
LIBERTY LIVEWIRE CORP                            21,000
LIFEMINDERS INC                                 250,000
LIFEPOINT HOSPS INC                             126,295                       31,670
LILLY ELI & CO                                  297,200                      334,950
LILLY INDUSTRIES INC-CL A                       400,200
LINEAR TECHNOLOGY CORP                          110,029                       56,675
LITTLEFUSE INC.                                 147,125                       34,250
LIVENT INC                                        5,000                       61,500
LOEWS CORP                                                                    76,900
</TABLE>
<PAGE>


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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>         <C>          <C>    <C>     <C>           <C>    <C>    <C>
LONE STAR TECHNOLOGIES             COM      542312103          6,799       147,325   SH             138,825       8,500
LOWES COS INC                      COM      548661107         25,117       559,700   SH             552,500       7,200
LTX CORP                           COM      502392103          7,167       378,433   SH             287,433      91,000
LUCENT TECHNOLOGIES                COM      549463107         33,323     1,090,369   SH           1,077,839      12,530
LYCOS INC                          COM      550818108         16,751       243,600   SH             243,600
MACERICH CO                        COM      554382101            298        14,000   SH              14,000
MACROMEDIA INC                     COM      556100105         16,020       198,240   SH             188,240      10,000
MALLINCKRODT INC NEW               COM      561232109         36,806       806,700   SH             806,700
MANOR CARE INC NEW                 COM      564055101            267        17,000   SH              17,000
MANPOWER INC                       COM      56418H100          2,902        90,862   SH              82,762       8,100
MARINE DRILLING COMPANIES INC      COM      568240204          5,992       209,775   SH             209,775
MARKETING SERVICES GROUP INC       COM      570907105             75        25,000   SH              25,000
MARSH & MCLENNAN COS INC           COM      571748102          1,089         8,200   SH               8,200
MATTEL INC                         COM      577081102            717        64,132   SH              64,132
MBIA INC                           COM      55262C100          3,176        44,659   SH              44,659
MCDATA CORP                        COM      580031102          9,831        80,000   SH              80,000
MCDONALDS CORP                     COM      580135101         47,847     1,585,000   SH           1,566,000      19,000
MCGRAW HILL COS INC                COM      580645109          1,424        22,400   SH              22,400
MCK COMMUNICATIONS INC             COM      581243102            102         4,500   SH               4,500
MCLEOD USA INC                     COM      582266102            365        25,500   SH                          25,500
MCN ENERGY GROUP INC               COM      55267J100         11,611       453,100   SH             453,100
MCNAUGHTON APPAREL GROUP           COM      582524104            573        35,000   SH                          35,000
MEDAREX INC                        COM      583916101          1,842        15,700   SH                          15,700
MEDIA 100 INC                      COM      58440W105            187        17,000   SH              17,000
MEDICAL ASSURANCE INC              COM      58449U100            613        50,000   SH              50,000
MEDTRONIC INC                      COM      585055106         10,710       206,700   SH             206,700
MELLON FIN'L CORP                  COM      58551A108          2,374        51,200   SH              51,200
MERCATOR SOFTWARE INC              COM      587587106            759        45,800   SH              45,800
MERCK & CO INC                     COM      589331107         88,783     1,192,714   SH           1,178,714      14,000
MERCURY INTERACTIVE                COM      589405109         11,443        73,000   SH              60,000      13,000
MEREDITH CORP                      COM      589433101          1,239        42,000   SH              42,000
MERRILL LUNCH & CO INC             COM      590188108         54,589       827,100   SH             820,500       6,600
METASOLV SOFTWARE INC              COM      591393103          4,872       119,200   SH              58,700      60,500
METLIFE INC                        COM      59156R108          8,511       325,000   SH             325,000
METROMEDIA FIBER NETWORK INC       COM      591689104            311        12,782   SH              12,782
METROMEDIA INTL GROUP              COM      591695101          1,435       383,700   SH             383,700
MICHAELS STORES INC                COM      594087108          5,806       145,145   SH             145,145
MICREL INC                         COM      594793101         19,356       288,901   SH             278,101      10,800
MICROCELL TELECOMMUNIONS           COM      59501T304          1,564        53,800   SH               6,000      47,800
MICROCHIP TECHNOLOGY               COM      595017104          2,311        69,913   SH              59,788      10,125
MICRON TECHNOLOGY INC              COM      595112103          1,439        31,275   SH              31,275
MICROSOFT CORP                     COM      594918104         84,278     1,397,363   SH           1,382,563      14,800
MIDWAY GAMES INC                   COM      598148104          1,113       159,000   SH             159,000

</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
LONE STAR TECHNOLOGIES                          118,515                       28,810
LOWES COS INC                                   284,500                      275,200
LTX CORP                                        329,213                       49,220
LUCENT TECHNOLOGIES                             587,512                      502,857
LYCOS INC                                       243,600
MACERICH CO                                      14,000
MACROMEDIA INC                                  159,886                       38,354
MALLINCKRODT INC NEW                            806,700
MANOR CARE INC NEW                               17,000
MANPOWER INC                                     68,403                       22,459
MARINE DRILLING COMPANIES INC                   171,450                       38,325
MARKETING SERVICES GROUP INC                     25,000
MARSH & MCLENNAN COS INC                          8,200
MATTEL INC                                       64,132
MBIA INC                                         34,795                        9,864
MCDATA CORP                                      80,000
MCDONALDS CORP                                  835,200                      749,800
MCGRAW HILL COS INC                              22,400
MCK COMMUNICATIONS INC                            4,500
MCLEOD USA INC                                   25,500
MCN ENERGY GROUP INC                            453,100
MCNAUGHTON APPAREL GROUP                         35,000
MEDAREX INC                                      15,700
MEDIA 100 INC                                    17,000
MEDICAL ASSURANCE INC                            50,000
MEDTRONIC INC                                    30,600                      176,100
MELLON FIN'L CORP                                44,000                        7,200
MERCATOR SOFTWARE INC                            45,800
MERCK & CO INC                                  637,300                      555,414
MERCURY INTERACTIVE                              73,000                            -
MEREDITH CORP                                    42,000
MERRILL LUNCH & CO INC                          436,700                      390,400
METASOLV SOFTWARE INC                           119,200                            -
METLIFE INC                                     325,000
METROMEDIA FIBER NETWORK INC                     12,782
METROMEDIA INTL GROUP                           345,200                       38,500
MICHAELS STORES INC                             116,715                       28,430
MICREL INC                                      229,890                       59,011
MICROCELL TELECOMMUNIONS                         53,800                            -
MICROCHIP TECHNOLOGY                             53,028                       16,885
MICRON TECHNOLOGY INC                             7,575                       23,700
MICROSOFT CORP                                  750,880                      646,483
MIDWAY GAMES INC                                159,000
</TABLE>
<PAGE>



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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>          <C>     <C>    <C>
MILLICOM INTERNATIONAL             COM      L6388F102            782        22,000   SH              22,000
MINIMED INC                        COM      60365K108         21,326       238,611   SH             226,611      12,000
MINNESOTA MNG & MFG CO             COM      604059105          1,121        12,300   SH              12,300
MISSION WEST PPTYS INC MD          COM      605203108            232        16,700   SH              16,700
MMC NETWORKS INC                   COM      55308N102         23,301       184,200   SH             184,200
MORGAN J P & CO INC.               COM      616880100          1,813        11,100   SH              11,100
MORGAN STANLEY DEAN WITTER         COM      617446448         28,684       313,696   SH             299,796      13,900
MOTIENT CORP                       COM      619908106            247        17,500   SH              17,500
MOTOROLA INC                       COM      620076109         67,840     2,347,689   SH           2,275,474      72,215
NABISCO HOLDINGS CORP-CL A         COM      629526104         58,915     1,096,100   SH           1,096,100
NABORS INDS INC                    COM      629568106         12,976       247,634   SH             243,034       4,600
NASDAQ 100 SHARES                  COM      631100104            710         8,000   SH               8,000
NATIONAL COMM BANCORP              COM      635449101          2,392       119,983   SH             109,983      10,000
NATIONAL INSTRS CORP               COM      636518102         16,442       372,630   SH             353,630      19,000
NATIONAL-OILWELL INC               COM      637071101          7,430       237,747   SH             225,247      12,500
NATL SEMICONDUCTOR                 COM      637640103          2,115        51,890   SH              51,890
NATURAL MICROSYSTEMS               COM      638882100          3,592        66,765   SH              66,765
NETRO CORP                         COM      64114R109         11,850       200,000   SH             160,000      40,000
NEWGEN RESULTS CORPORATION         COM      651359101          3,615       241,000   SH             241,000
NEWMONT MINING CORP                COM      651639106          1,020        60,000   SH              60,000
NEWPORT CORP                       COM      651824104            319         2,000   SH                           2,000
NEXTEL COMMUNICATIONS              COM      65332V103          1,900        40,650   SH              40,650
NEXTEL PARTNERS INC                COM      65333F107          1,430        49,100   SH              41,600       7,500
NIAGARA MOHAWK HOLDINGS INC        COM      653520106          3,150       200,000   SH             200,000
NIKE INC                           COM      654106103            733        18,300   SH              18,300
NISOURCE INC                       COM      65473P105          1,219        50,000   SH              50,000
NOBLE DRILLING CORP                COM      655042109          3,492        69,149   SH              60,249       8,900
NOKIA CORP CLASS A                 FOREIGN  654902204            240         6,000   SH               6,000
NOKIA CORP ORD.A SHS               COM      X61873133            486        12,000   SH              12,000
NORTEL NETWORKS CORP NEW           COM      656568102         41,319       693,700   SH             685,500       8,200
NORTH FORK BANCORP                 COM      659424105          2,888       133,553   SH             121,053      12,500
NORTHROP GRUMMAN CORP              COM      666807102            909        10,000   SH              10,000
NOVELLUS SYSTEMS INC               COM      670008101          4,435        95,254   SH              72,554      22,700
NTL INC                            COM      629407107         34,270       739,963   SH             716,928      23,035
OCEAN ENERGY INC TEX (NEW)         COM      67481E106          8,243       532,762   SH             532,762
OLD KENT FINANCIAL CORP            COM      679833103            215         7,422   SH               7,422
OM GROUP INC                       COM      670872100          5,384       123,420   SH             123,420
OMNICARE INC                       COM      681904108          7,496       464,840   SH             464,840
OMNICOM GROUP                      COM      681919106            219         3,000   SH               3,000
OMNISKY CORP                       COM      68213L103          2,488       122,500   SH             122,500
ON ASSIGNMENT INC                  COM      682159108          7,634       243,310   SH             243,310
ON SEMICONDUCTOR CORP              COM      682189105          6,723       618,200   SH             618,200
ONYX SOFTWARE CORP                 COM      683402101            454        22,000   SH              22,000
</TABLE>


<PAGE>

(RESTUBBED TABLE)

<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
MILLICOM INTERNATIONAL                           22,000
MINIMED INC                                     191,645                       46,966
MINNESOTA MNG & MFG CO                           12,300
MISSION WEST PPTYS INC MD                        16,700
MMC NETWORKS INC                                184,200
MORGAN J P & CO INC.                             11,100
MORGAN STANLEY DEAN WITTER                      185,748                      127,948
MOTIENT CORP                                     17,500
MOTOROLA INC                                  1,259,358                    1,088,331
NABISCO HOLDINGS CORP-CL A                    1,096,100
NABORS INDS INC                                 201,954                       45,680
NASDAQ 100 SHARES                                 8,000
NATIONAL COMM BANCORP                            93,954                       26,029
NATIONAL INSTRS CORP                            307,157                       65,473
NATIONAL-OILWELL INC                            188,164                       49,583
NATL SEMICONDUCTOR                                5,315                       46,575
NATURAL MICROSYSTEMS                             54,600                       12,165
NETRO CORP                                      200,000
NEWGEN RESULTS CORPORATION                      241,000
NEWMONT MINING CORP                              60,000
NEWPORT CORP                                      2,000
NEXTEL COMMUNICATIONS                             5,550                       35,100
NEXTEL PARTNERS INC                              29,100                       20,000
NIAGARA MOHAWK HOLDINGS INC                     200,000
NIKE INC                                         18,300
NISOURCE INC                                     50,000
NOBLE DRILLING CORP                              54,404                       14,745
NOKIA CORP CLASS A                                                             6,000
NOKIA CORP ORD.A SHS                                                          12,000
NORTEL NETWORKS CORP NEW                        378,600                      315,100
NORTH FORK BANCORP                              122,901                       10,652
NORTHROP GRUMMAN CORP                            10,000
NOVELLUS SYSTEMS INC                             70,432                       24,822
NTL INC                                         521,580                      218,383
OCEAN ENERGY INC TEX (NEW)                      312,215                      220,547
OLD KENT FINANCIAL CORP                           7,422
OM GROUP INC                                     99,814                       23,606
OMNICARE INC                                    194,470                      270,370
OMNICOM GROUP                                     3,000                            0
OMNISKY CORP                                    122,500
ON ASSIGNMENT INC                               183,095                       60,215
ON SEMICONDUCTOR CORP                           285,400                      332,800
ONYX SOFTWARE CORP                               22,000
</TABLE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>         <C>      <C>    <C>
ORACLE SYS CORP                    COM      68389X105         39,004       495,284   SH             487,184       8,100
ORTHODONTIC CENTERS OF AMERICA     COM      68750P103          1,239        37,200   SH              37,200
OUTBACK STEAKHOUSE                 COM      689899102          4,124       152,038   SH             152,038
OWENS ILL                          COM      690768403         22,578     2,440,900   SH           2,410,800      30,100
PACIFIC SUNWEAR CALIFORNIA         COM      694873100          9,772       521,185   SH             506,185      15,000
PACKAGING CORP AMER                COM      695156109         31,264     2,826,100   SH           2,790,500      35,600
PAINE WEBBER GROUP INC             COM      695629105         26,003       381,700   SH             381,700
PALATIN TECHNOLOGIES INC NEW       COM      696077304            203        34,500   SH              34,500
PALL CORPORATION                   COM      696429307          2,492       125,000   SH             125,000
PARAMETRIC TECHNOLOGY              COM      699173100          1,602       146,475   SH             146,475
PARK PL ENTMT CORP                 COM      700690100            756        50,000   SH              50,000
PARKER HANNIFIN CORP               COM      701094104         37,311     1,105,500   SH           1,092,200      13,300
PARTNERRE LTD                      COM      G6852T105          3,795        80,000   SH              80,000
PATTERSON DENTAL                   COM      703412106          6,278       279,000   SH             279,000
PAYCHEX INC                        COM      704326107          6,208       118,245   SH             103,995      14,250
PE BIOSYSTEMS GROUP                COM      69332S102         18,924       162,432   SH             158,932       3,500
PE CELERA GENOMICS GRP             COM      69332S201          3,308        33,200   SH              33,200
PENTAIR INC                        COM      709631105          2,650        99,060   SH              99,060
PEPSICO INC                        COM      713448108         48,502     1,054,385   SH           1,005,035      49,350
PEREGRINE SYSTEMS INC              COM      71366Q101         17,196       908,000   SH             908,000
PERFORMANCE FOOD GROUP             COM      713755106          5,965       158,530   SH             158,530
PETROLEUM GEO-SERVICES ASA         COM      716597109          6,038       350,000   SH             350,000
PFIZER INC                         COM      717081103         88,213     1,963,064   SH           1,948,364      14,700
PHILIP MORRIS COS INC              COM      718154107         23,609       802,000   SH             794,600       7,400
PHILLIPS PETROLEUM CO.             COM      718507106          5,020        80,000   SH              80,000
PHONE.COM INC                      COM      71920Q100          7,954        70,000   SH              70,000
PHOTOMEDEX INC                     COM      719358103            579        45,000   SH              45,000
PHYCOR INC                         CONV     71940FAB6            373     3,245,000   SH           3,245,000
PIER 1 IMPORTS INC SH              COM      720279108          4,906       361,722   SH             301,722      60,000
PIONEER GROUP INC                  COM      723684106         12,162       276,600   SH             276,600
PLAINS RESOURCES INC NEW           COM      726540503            189        10,000   SH              10,000
PLANTRONICS INC NEW                COM      727493108         11,730       308,680   SH             298,180      10,500
PLEXUS CORP                        COM      729132100         14,603       207,135   SH             195,135      12,000
PNC FIN'L SVCS GROUP INC           COM      693475105          1,515        23,300   SH              23,300
POLAROID CORP                      COM      731095105          8,125       604,601   SH             604,601
POLYCOM INC                        COM      73172K104         17,094       255,250   SH             242,250      13,000
PORTAL SOFTWARE INC                COM      736126103          2,600        65,000   SH              65,000
POTOMAC ELECTRIC POWER             COM      737679100            559        22,200   SH              22,200
POWERTEL INC                       COM      73936C109            761        10,000   SH                          10,000
POWERWAVE TECHNOLOGIE              COM      739363109          7,227       190,345   SH             173,845      16,500
PREDICTIVE SYSTEMS INC             COM      74036W102          3,129       162,000   SH             162,000
PRIMIX SOLUTIONS INC               COM      741620108            192       109,800   SH             109,800
PROCTER & GAMBLE CO                COM      742718109         48,990       731,200   SH             723,500       7,700

</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
ORACLE SYS CORP                                 267,500                      227,784
ORTHODONTIC CENTERS OF AMERICA                   37,200
OUTBACK STEAKHOUSE                               39,265                      112,773
OWENS ILL                                     1,283,600                    1,157,300
PACIFIC SUNWEAR CALIFORNIA                      424,263                       96,922
PACKAGING CORP AMER                           1,427,300                    1,398,800
PAINE WEBBER GROUP INC                          381,700
PALATIN TECHNOLOGIES INC NEW                     34,500
PALL CORPORATION                                                             125,000
PARAMETRIC TECHNOLOGY                            30,525                      115,950
PARK PL ENTMT CORP                                                            50,000
PARKER HANNIFIN CORP                            576,700                      528,800
PARTNERRE LTD                                    80,000
PATTERSON DENTAL                                229,947                       49,053
PAYCHEX INC                                      92,851                       25,394
PE BIOSYSTEMS GROUP                              31,676                      130,756
PE CELERA GENOMICS GRP                                                        33,200
PENTAIR INC                                      27,480                       71,580
PEPSICO INC                                     587,817                      466,568
PEREGRINE SYSTEMS INC                           908,000
PERFORMANCE FOOD GROUP                          126,440                       32,090
PETROLEUM GEO-SERVICES ASA                      350,000
PFIZER INC                                      862,450                    1,100,614
PHILIP MORRIS COS INC                           418,900                      383,100
PHILLIPS PETROLEUM CO.                                                        80,000
PHONE.COM INC                                    70,000
PHOTOMEDEX INC                                   45,000
PHYCOR INC                                    3,245,000
PIER 1 IMPORTS INC SH                           141,820                      219,902
PIONEER GROUP INC                               276,600
PLAINS RESOURCES INC NEW                         10,000
PLANTRONICS INC NEW                             249,094                       59,586
PLEXUS CORP                                     171,659                       35,476
PNC FIN'L SVCS GROUP INC                         23,300
POLAROID CORP                                   451,060                      153,541
POLYCOM INC                                     201,403                       53,847
PORTAL SOFTWARE INC                              65,000
POTOMAC ELECTRIC POWER                                                        22,200
POWERTEL INC                                     10,000
POWERWAVE TECHNOLOGIE                           153,148                       37,197
PREDICTIVE SYSTEMS INC                          162,000
PRIMIX SOLUTIONS INC                            109,800
PROCTER & GAMBLE CO                             390,300                      340,900
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                         NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>          <C>     <C>    <C>
PROGENICS PHARMACEUTICALS INC      COM      743187106          2,812       102,500   SH             102,500
PROLOGIS TRUST                     COM      743410102            808        34,000   SH              34,000
PROTEIN DESIGN LABS                COM      74369L103            675         5,600   SH                           5,600
PROXICOM INC                       COM      744282104          7,805       400,282   SH             382,282      18,000
PROXIM INC                         COM      744284100          4,676       105,073   SH             105,073
PSINET INC                         COM      74437C101          8,935       928,273   SH             923,043       5,230
QUALCOMM INC                       COM      747525103          2,369        33,255   SH              33,255
QUICKSILVER RESOURCES INC          COM      74837R104          1,170       120,000   SH             120,000
QUORUM HEALTH GROUP INC            COM      749084109          1,430       110,000   SH             110,000
QWEST COMMUNICATIONS               COM      749121109            481        10,000   SH              10,000
RADIO ONE INC CL D NO              COM      75040P405          3,477       464,000   SH             444,000      20,000
RADIOSHACK CORP                    COM      750438103         29,139       450,900   SH             442,000       8,900
RAYTHEON CO-CL B                   COM      755111408          1,194        42,000   SH              42,000
RECKSON ASSOCS RLTY CORP           COM      75621K304            386        14,900   SH              14,900
REGENERON PHARMACEUTICALS INC      COM      75886F107          1,827        56,000   SH              56,000
REGIONS FINANCIAL CORP             COM      758940100            481        21,182   SH              21,182
REGISTER.COM INC                   COM      75914G101          1,140       120,000   SH             120,000
RESOURCEPHOENIX                    COM      76122L106             61        35,000   SH              35,000
RETEK INC                          COM      76128Q109          4,505        85,000   SH              85,000
RIBOZYME PHARMACEUTICALS INC       COM      762567105          4,843       167,000   SH             167,000
RIO ALGOM LTD                      COM      766889109         21,123       740,000   SH             740,000
RITE AID CORP                      COM      767754104            120        30,000   SH              30,000
ROHN INDUSTRIES INC                COM      775381106            570       120,000   SH             120,000
ROPER INDS INC NEW CO              COM      776696106          3,756       113,177   SH             113,177
ROSLYN BANCORP INC CO              COM      778162107            366        16,372   SH              16,372
ROWAN COS INC                      COM      779382100          4,006       138,146   SH             138,146
ROYAL CARIBBEAN CRUISES            COM      V7780t103         18,636       724,000   SH             716,000       8,000
ROYAL DUTCH PETE CO                COM      780257804          2,931        48,900   SH              48,900
RSA SEC INC                        COM      749719100          7,284       168,897   SH             163,897       5,000
RYDER SYSTEM INC                   COM      783549108          1,475        80,000   SH              80,000
SAKS INC                           COM      79377W108          3,062       310,100   SH             291,600      18,500
SANDISK CORP                       COM      80004C101          8,249       123,583   SH              89,483      34,100
SANMINA CORP                       COM      800907107          6,559        70,051   SH              62,051       8,000
SANTA FE INT'L CORP                COM      G7805c108         22,365       496,300   SH             489,900       6,400
SBA COMMUNICATIONS CO              COM      78388J106            562        13,400   SH               3,400      10,000
SBC COMMUNICATIONS                 COM      78387G103         94,589     1,893,377   SH           1,846,747      46,630
SCHERING PLOUGH CORP               COM      806605101         35,825       770,430   SH             763,730       6,700
SCHLUMBERGER LTD.                  COM      806857108         69,651       846,176   SH             821,236      24,940
SCI SYSTEMS INC                    COM      783890106            205         5,000   SH               5,000
SCIENTIFIC ATLANTA                 COM      808655104          5,976        93,918   SH              83,918      10,000
SCOTTS CO CL A                     COM      810186106          3,438       102,619   SH             102,619
SDL INC                            COM      784076101         12,074        39,200   SH              39,200
SEAGATE TECHNOLOGY INC             COM      811804103         55,235       800,500   SH             800,500
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
PROGENICS PHARMACEUTICALS INC                   102,500
PROLOGIS TRUST                                   34,000
PROTEIN DESIGN LABS                               5,600
PROXICOM INC                                    323,497                       76,785
PROXIM INC                                       79,010                       26,063
PSINET INC                                      539,949                      388,324
QUALCOMM INC                                     10,320                       22,935
QUICKSILVER RESOURCES INC                       120,000
QUORUM HEALTH GROUP INC                         110,000
QWEST COMMUNICATIONS                             10,000
RADIO ONE INC CL D NO                           464,000
RADIOSHACK CORP                                 229,900                      221,000
RAYTHEON CO-CL B                                 40,000                        2,000
RECKSON ASSOCS RLTY CORP                         14,900
REGENERON PHARMACEUTICALS INC                    56,000
REGIONS FINANCIAL CORP                           21,182
REGISTER.COM INC                                120,000
RESOURCEPHOENIX                                  35,000
RETEK INC                                        85,000
RIBOZYME PHARMACEUTICALS INC                    167,000
RIO ALGOM LTD                                   740,000
RITE AID CORP                                    30,000
ROHN INDUSTRIES INC                             120,000
ROPER INDS INC NEW CO                            32,975                       80,202
ROSLYN BANCORP INC CO                                                         16,372
ROWAN COS INC                                   113,166                       24,980
ROYAL CARIBBEAN CRUISES                         390,100                      333,900
ROYAL DUTCH PETE CO                              48,900
RSA SEC INC                                     135,448                       33,449
RYDER SYSTEM INC                                 80,000
SAKS INC                                         48,500                      261,600
SANDISK CORP                                    111,289                       12,294
SANMINA CORP                                     58,721                       11,330
SANTA FE INT'L CORP                             250,600                      245,700
SBA COMMUNICATIONS CO                            12,000                        1,400
SBC COMMUNICATIONS                            1,035,946                      857,431
SCHERING PLOUGH CORP                            414,700                      355,730
SCHLUMBERGER LTD.                               445,447                      400,729
SCI SYSTEMS INC                                   5,000
SCIENTIFIC ATLANTA                               77,962                       15,956
SCOTTS CO CL A                                   26,780                       75,839
SDL INC                                          39,200
SEAGATE TECHNOLOGY INC                          800,500
</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>          <C>     <C>    <C>
SEAGRAM CO LTD                     COM      811850106         33,751       587,600   SH             587,600
SECURITY CAPITAL GROUP INC         COM      81413P204            625        33,000   SH              33,000
SENSAR CORP                        COM      817253107            287        15,000   SH              15,000
SERVICE MERCHANDISE CO INC         COM      817587108              2        15,000   SH              15,000
SHOPKO STORES INC                  COM      824911101            311        30,000   SH              30,000
SIEBEL SYS INC                     COM      826170102         61,011       548,109   SH             525,149      22,960
SIGNAL TECHNOLOGY CORP             COM      826675100          1,284        81,500   SH              15,000      66,500
SILICON IMAGE INC                  COM      82705T102          2,149        86,600   SH              35,000      51,600
SILICON STORAGE TECHNOLOGIES       COM      827057100            204         7,500   SH                           7,500
SILICON VALLEY GROUP               COM      827066101          3,973       151,000   SH             151,000
SINCLAIR BROADCAST GROUP INC       COM      829226109            875        80,000   SH              80,000
SIX FLAGS INC                      COM      83001P109          2,480       160,000   SH             160,000
SNAP ON TOOLS CORP                 COM      833034101          2,848       120,865   SH             120,865
SOFTWARE                           COM      83402P104         21,301       117,400   SH             117,400
SOLECTRON CORP                     COM      834182107         57,375     1,243,900   SH           1,227,100      16,800
SOUTHERN CO                        COM      842587107          1,427        44,000   SH              44,000
SOUTHERN ENERGY INC                COM      842816100          4,832       154,000   SH             154,000
SOUTHWEST BANCORPORATION           COM      84476R109          6,146       188,038   SH             188,038
SPANISH BROADCASTING SYSTEM        COM      846425882            235        20,000   SH              20,000
SPARTECH CORP                      COM      847220209          1,192        76,573   SH              76,573
SPECTRASITE HLDGS INC              COM      84760T100          7,331       394,926   SH             374,526      20,400
SPIEKER PROPERTIES INC             COM      848497103            461         8,000   SH               8,000
SPRINT CORP                        COM      852061100         24,472       834,864   SH             795,884      38,980
STEELCASE INC                      COM      858155203            829        49,500   SH              49,500
STERICYCLE INC                     COM      858912108            735        30,000   SH              30,000
STEWART & STEVENSON                COM      860342104          3,935       225,691   SH             225,691
STOLT NIELSEN SA                   COM      861565109            260        13,500   SH              13,500
STONE ENERGY CORP                  COM      861642106            550        10,000   SH                          10,000
SUMMIT BANCORP                     COM      866005101          8,453       245,000   SH             245,000
SUN MICROSYSTEMS INC               COM      866810104         89,547       767,000   SH             755,000      12,000
SUNRISE ASSISTED LIVING INC        COM      86768K106            234        10,800   SH              10,800
SUNRISE MEDICAL INC                COM      867910101            723       120,500   SH             120,500
SUNTRUST BANKS INC                 COM      867914103            243         4,872   SH               4,872
SUPPORT                            COM      868587106          1,991        65,000   SH              65,000
SWIFT ENERGY CO                    COM      870738101            623        15,000   SH                          15,000
SYKES ENTERPRISES INC.             COM      871237103             73        13,500   SH              13,500
SYLVAN LEARNING SYSTEMS            COM      871399101            296        20,000   SH                          20,000
SYMANTEC CORP                      COM      871503108          3,962        90,053   SH              80,053      10,000
SYMBOL TECHNOLOGIES                COM      871508107          6,069       168,868   SH             153,868      15,000
TAKE-TWO INTERACTIVE SOFTWARE      COM      874054109            251        20,000   SH              20,000
TARGET CORP                        COM      87612E106          1,215        47,400   SH              47,400
TCF FINL CORP                      COM      872275102          4,179       111,080   SH              98,080      13,000
TECH DATA CORP                     COM      878237106          7,708       180,304   SH             171,704       8,600

</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
SEAGRAM CO LTD                                  587,600
SECURITY CAPITAL GROUP INC                       33,000
SENSAR CORP                                      15,000
SERVICE MERCHANDISE CO INC                       15,000
SHOPKO STORES INC                                30,000
SIEBEL SYS INC                                  336,488                      211,621
SIGNAL TECHNOLOGY CORP                           81,500
SILICON IMAGE INC                                86,600
SILICON STORAGE TECHNOLOGIES                      7,500
SILICON VALLEY GROUP                                                         151,000
SINCLAIR BROADCAST GROUP INC                     80,000
SIX FLAGS INC                                   160,000
SNAP ON TOOLS CORP                               31,300                       89,565
SOFTWARE                                        117,400
SOLECTRON CORP                                  653,500                      590,400
SOUTHERN CO                                      44,000
SOUTHERN ENERGY INC                             154,000
SOUTHWEST BANCORPORATION                        167,353                       20,685
SPANISH BROADCASTING SYSTEM                      20,000
SPARTECH CORP                                    57,251                       19,322
SPECTRASITE HLDGS INC                           355,228                       39,698
SPIEKER PROPERTIES INC                            8,000
SPRINT CORP                                     478,043                      356,821
STEELCASE INC                                    49,500
STERICYCLE INC                                   30,000
STEWART & STEVENSON                              60,390                      165,301
STOLT NIELSEN SA                                 13,500
STONE ENERGY CORP                                10,000
SUMMIT BANCORP                                  245,000
SUN MICROSYSTEMS INC                            414,300                      352,700
SUNRISE ASSISTED LIVING INC                      10,800
SUNRISE MEDICAL INC                             120,500
SUNTRUST BANKS INC                                4,872
SUPPORT                                          65,000
SWIFT ENERGY CO                                  15,000
SYKES ENTERPRISES INC.                                                        13,500
SYLVAN LEARNING SYSTEMS                          20,000
SYMANTEC CORP                                    69,433                       20,620
SYMBOL TECHNOLOGIES                             115,143                       53,725
TAKE-TWO INTERACTIVE SOFTWARE                    20,000
TARGET CORP                                      47,400
TCF FINL CORP                                    88,760                       22,320
TECH DATA CORP                                  143,884                       36,420
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                         NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/     SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>          <C>     <C>    <C>
TECHNE CORP                        COM      878377100         10,454        93,339   SH              88,439       4,900
TECHNOLOGY FLAVORS & FRAGRANCES    COM      87869A104             30        20,000   SH              20,000
TELECOMMUNICATIONS SYSTEMS INC     COM      87929J103          1,434        75,000   SH              75,000
TELEFONOS DE MEXICO                FOREIGN  879403780            870        16,369   SH              16,369
TELEPHONE & DATA SYSTEMS           COM      879433100          3,697        33,396   SH              30,896       2,500
TELIGENT INC-CL A                  COM      87959Y103            299        23,000   SH              23,000
TELLABS INC                        COM      879664100          1,392        29,150   SH              29,150
TENET HEALTHCARE CORP              COM      88033G100         59,312     1,627,874   SH           1,550,254      77,620
TENNANT COMPANY                    COM      880345103            664        15,000   SH              15,000
TERADYNE INC                       COM      880770102         32,701       934,300   SH             925,000       9,300
TESCO CORP                         COM      88157K101          9,578       928,700   SH             928,700
TETRA TECH INC NEW                 COM      88162G103         10,721       375,365   SH             375,365
TEVA PHARMACEUTICAL                FOREIGN  881624209            454         6,200   SH               6,200
TEXACO INC                         COM      881694103         64,838     1,235,000   SH           1,221,100      13,900
TEXAS INSTRUMENTS INC              COM      882508104         60,371     1,279,259   SH           1,264,259      15,000
TEXTRON INC                        COM      883203101            812        17,600   SH              17,600
THE HAIN CELESTIAL GR              COM      405217100         10,719       305,173   SH             292,173      13,000
3DO CO                             COM      88553W105            193        28,900   SH              28,900
TIBCO SOFTWARE INC CO              COM      88632Q103          1,564        18,523   SH              15,223       3,300
TIME WARNER INC                    COM      887315109         88,207     1,126,891   SH           1,107,091      19,800
TITAN CORP                         COM      888266103          5,097       308,933   SH             298,933      10,000
TJX COMPANIES INC                  COM      872540109         33,373     1,483,250   SH           1,413,400      69,850
TMP WORLDWIDE INC                  COM      872941109         26,646       331,000   SH             331,000
TOM BROWN INC NEW                  COM      115660201            453        18,500   SH              18,500
TRANSKARYOTIC THERAPIES INC        COM      893735100          8,031       186,500   SH             186,500
TRANSOCEAN SEDCO FORE              COM      G90078109          1,115        19,012   SH                  12      19,000
TRANSWITCH CORP                    COM      894065101         15,320       240,320   SH             230,620       9,700
TRIAD HOSPS INC                    COM      89579K109          6,896       234,750   SH             234,750
TRIBUNE CO NEW                     COM      896047107          1,143        26,200   SH              26,200
TRIMERIS INC                       COM      896263100          1,224        17,500   SH              17,500
TRIPLE S PLASTICS INC              COM      896926102          1,757        54,900   SH              54,900
TRIQUINT SEMICONDUCTOR             COM      89674K103          3,472        95,280   SH              67,680      27,600
TRITON ENERGY LTD-ORD CL A         COM      G90751101            390        10,000   SH              10,000
TRITON NETWORK SYSTEMS INC         COM      896775103            656        50,000   SH              50,000
TRIZEC HAHN CORP-SUB VTG           COM      896938107          1,656        98,500   SH              98,500
TUT SYS INC                        COM      901103101          4,474        51,839   SH              51,839
24/7 MEDIA INC                     COM      901314104            505        50,000   SH              50,000
TYCO INTL LTD NEW                  COM      902124106         54,319     1,047,113   SH           1,036,113      11,000
TYCOM LTD                          COM      G9144B106          1,343        35,000   SH              35,000
U.S. INDUSTRIES, INC.              COM      912080108          2,528       254,433   SH             254,433
UNIFY CORP                         COM      904743101              0        10,365   SH                 365      10,000
UNILEVER N V                       COM      904784709            931        19,285   SH              19,285
UNION PACIFIC CORP                 COM      907818108          2,698        69,400   SH              69,400
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
TECHNE CORP                                      75,601                       17,738
TECHNOLOGY FLAVORS & FRAGRANCES                  20,000
TELECOMMUNICATIONS SYSTEMS INC                   75,000
TELEFONOS DE MEXICO                                                           16,369
TELEPHONE & DATA SYSTEMS                         27,378                        6,018
TELIGENT INC-CL A                                23,000
TELLABS INC                                       3,275                       25,875
TENET HEALTHCARE CORP                           953,984                      673,890
TENNANT COMPANY                                                               15,000
TERADYNE INC                                    395,100                      539,200
TESCO CORP                                      928,700
TETRA TECH INC NEW                              305,789                       69,576
TEVA PHARMACEUTICAL                                 600                        5,600
TEXACO INC                                      633,100                      601,900
TEXAS INSTRUMENTS INC                           674,871                      604,388
TEXTRON INC                                      17,600
THE HAIN CELESTIAL GR                           242,557                       62,616
3DO CO                                           28,900
TIBCO SOFTWARE INC CO                            16,482                        2,041
TIME WARNER INC                                 586,525                      540,366
TITAN CORP                                      246,706                       62,227
TJX COMPANIES INC                               812,451                      670,799
TMP WORLDWIDE INC                               331,000
TOM BROWN INC NEW                                18,500
TRANSKARYOTIC THERAPIES INC                     186,500
TRANSOCEAN SEDCO FORE                            19,000                           12
TRANSWITCH CORP                                 203,116                       37,204
TRIAD HOSPS INC                                 196,270                       38,480
TRIBUNE CO NEW                                   26,200
TRIMERIS INC                                     17,500
TRIPLE S PLASTICS INC                            54,900
TRIQUINT SEMICONDUCTOR                           83,190                       12,090
TRITON ENERGY LTD-ORD CL A                       10,000
TRITON NETWORK SYSTEMS INC                       50,000
TRIZEC HAHN CORP-SUB VTG                         98,500
TUT SYS INC                                      41,525                       10,314
24/7 MEDIA INC                                   50,000
TYCO INTL LTD NEW                               520,608                      526,505
TYCOM LTD                                        35,000
U.S. INDUSTRIES, INC.                            65,470                      188,963
UNIFY CORP                                       10,195                          170
UNILEVER N V                                     19,285
UNION PACIFIC CORP                                                            69,400
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
FORM 13F                                         NAME OF REPORTING MANAGER:  FURMAN SELZ CAPITAL MANAGEMENT LLC

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>          <C>     <C>    <C>
UNIROYAL TECHNOLOGY                COM      909163107            173        11,500   SH                          11,500
UNITED DOMINION INDUSTRIES         COM      909914103         13,345       375,000   SH             375,000
UNITED PARCEL SERVICE INC          COM      911312106          2,035        36,100   SH              25,100      11,000
UNITED TECHNOLOGIES CORP           COM      913017109            263         3,794   SH                           3,794
UNITEDGLOBALCOM CL A               COM      913247508          6,274       209,125   SH             159,125      50,000
UNITEDHEALTH GROUP INC             COM      91324P102          1,659        16,800   SH              16,800
UNIVERSAL HEALTH SERVICES INC      COM      913903100          1,396        16,300   SH              16,300
UNIVISION COMMUNICATIONS INC       COM      914906102          3,177        85,000   SH              85,000
UNOCAL CORP                        COM      915289102         71,538     2,018,700   SH           1,993,800      24,900
URBAN SHOPPING CENTERS INC         COM      917060105         26,586       559,700   SH             559,700
US BANCORP DEL                     COM      902973106         34,889     1,533,600   SH           1,508,900      24,700
USA NETWORKS INC                   COM      902984103         22,036     1,004,480   SH             957,650      46,830
V F CORP                           COM      918204108            247        10,000   SH              10,000
VALERO ENERGY CORP NEW             COM      91913Y100          2,111        60,000   SH              60,000
VALICERT INC                       COM      91915Q105          1,750       100,000   SH             100,000
VARIAN MEDICAL SYSTEMS             COM      92220P105          8,419       186,300   SH             186,300
VASTERA INC                        COM      92239N109          1,100        50,000   SH              50,000
VENTAS INC                         COM      92276F100             90        18,000   SH              18,000
VERISIGN INC                       COM      92342E102         13,369        66,000   SH              66,000
VERITAS DGC INC                    COM      92343P107          1,140        39,400   SH              10,000      29,400
VERITAX SOFTWARE CO                COM      923436109            994         7,000   SH                           7,000
VERIZON COMMUNICATIONS             COM      92343V104        119,090     2,458,642   SH           2,406,288      52,354
VERSATA INC                        COM      925298101          1,458        55,000   SH              55,000
VERSICOR INC                       COM      925314106          1,650       110,000   SH             110,000
VIACOM INC NON-VTG CL              COM      925524308        101,155     1,729,149   SH           1,685,110      44,039
VIANT CORP                         COM      92553N107            352        60,000   SH              60,000
VICAL INC                          COM      925602104            279        10,800   SH                          10,800
VICINITY CORP                      COM      925653107            440        40,000   SH              40,000
VIGNETTE CORP                      COM      926734104          4,750       159,000   SH             139,000      20,000
VIRATA CORP                        COM      927646109            265         4,000   SH               4,000
VISHAY INTERTECHNOLOGS             COM      928298108          2,226        71,801   SH              56,801      15,000
VISIBLE GENETICS INC               COM      92829S104            202         5,000   SH               5,000
VISX INC-DEL                       COM      92844S105            202         7,500   SH               7,500
VITESSE SEMICONDUCTOR              COM      928497106          7,771        87,374   SH              77,374      10,000
VODAFONE GROUP PLC                 COM      92857W100         17,213       465,222   SH             446,142      19,080
VOICESTREAM WIRELESS CORP          COM      928615103         32,707       281,800   SH             281,800
WAL MART STORES INC                COM      931142103         91,214     1,895,350   SH           1,881,350      14,000
WASHINGTON MUTUAL INC              COM      939322103          1,212        30,450   SH              30,450
WATCHGUARD TECHNOLOGIES            COM      941105108            255         4,250   SH                           4,250
WATERS CORP                        COM      941848103          8,686        97,595   SH              84,795      12,800
WEATHERFORD INTERNATIONAL INC      COM      947074100          4,481       104,218   SH              94,218      10,000
WEBSENSE INC                       COM      947684106            595        25,000   SH              25,000
WEBSTER FINL CORP                  COM      947890109          2,386        88,588   SH              88,588
</TABLE>
<PAGE>

(RESTUBBED TABLE)
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
UNIROYAL TECHNOLOGY                              11,500
UNITED DOMINION INDUSTRIES                      375,000
UNITED PARCEL SERVICE INC                        36,100
UNITED TECHNOLOGIES CORP                          3,794
UNITEDGLOBALCOM CL A                            209,000                          125
UNITEDHEALTH GROUP INC                           16,800
UNIVERSAL HEALTH SERVICES INC                    16,300
UNIVISION COMMUNICATIONS INC                     85,000
UNOCAL CORP                                   1,038,100                      980,600
URBAN SHOPPING CENTERS INC                      559,700
US BANCORP DEL                                  780,600                      753,000
USA NETWORKS INC                                579,730                      424,750
V F CORP                                         10,000
VALERO ENERGY CORP NEW                           60,000
VALICERT INC                                    100,000
VARIAN MEDICAL SYSTEMS                                                       186,300
VASTERA INC                                      50,000
VENTAS INC                                       18,000
VERISIGN INC                                     66,000
VERITAS DGC INC                                  39,400
VERITAX SOFTWARE CO                               7,000
VERIZON COMMUNICATIONS                        1,318,869                    1,139,773
VERSATA INC                                      55,000
VERSICOR INC                                    110,000
VIACOM INC NON-VTG CL                           904,374                      824,775
VIANT CORP                                       60,000
VICAL INC                                        10,800
VICINITY CORP                                    40,000
VIGNETTE CORP                                   159,000
VIRATA CORP                                       4,000
VISHAY INTERTECHNOLOGS                           59,716                       12,085
VISIBLE GENETICS INC                              5,000
VISX INC-DEL                                      7,500
VITESSE SEMICONDUCTOR                            70,277                       17,097
VODAFONE GROUP PLC                              221,314                      243,908
VOICESTREAM WIRELESS CORP                       281,800
WAL MART STORES INC                           1,010,500                      884,850
WASHINGTON MUTUAL INC                            30,450
WATCHGUARD TECHNOLOGIES                           4,250
WATERS CORP                                      81,489                       16,106
WEATHERFORD INTERNATIONAL INC                    85,697                       18,521
WEBSENSE INC                                     25,000
WEBSTER FINL CORP                                24,060                       64,528
</TABLE>
<PAGE>

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

                                                                                                    INVESTMENT DISCRETION

          NAME                      TITLE                               SHARES OR   SH                                  SHARED
           OF                        OF       CUSIP          VALUE      PRINCIPAL   OR    PUT/      SOLE        SHARED  OTHER
         ISSUER                     CLASS     NUMBER        (X $1000)    AMOUNT     PRN   CALL      (A)          (B)     (C)    MGR
         ------                     -----     ------        ---------    ------     ---   ----      ---          ---     ---    ---
<S>                                <C>       <C>            <C>          <C>        <C>    <C>      <C>          <C>     <C>    <C>
WELLS FARGO & CO NEW               COM      949746101          1,424        31,000   SH              31,000
WESLEY JESSEN VISIONCARE INC       COM      951018100          1,149        29,900   SH              29,900
WESTAMERICA BANCORP                COM      957090103          5,851       174,985   SH             174,985
WESTELL TECHNOLOGIES               COM      957541105            297        23,100   SH                          23,100
WHIRLPOOL CORP                     COM      963320106          3,783        97,300   SH              97,300
WILLIAMS CO                        COM      969457100         43,662     1,033,420   SH             994,340      39,080
WMS INDUSTRIES INC                 COM      929297109          6,999       311,070   SH             311,070
WORLD WIRELESS COMMUNICATIONS      COM      98155B102            155        40,000   SH              40,000
WORLDCOM INC GA NEW                COM      98157D106         52,685     1,734,500   SH           1,713,000      21,500
XEROX CORP                         COM      984121103            572        38,000   SH              38,000
YOUNG & RUBICAM INC                COM      987425105         35,452       716,200   SH             716,200
ZALE CORP                          COM      988858106          8,303       255,969   SH             255,969
ZEBRA TECHNOLOGIES CO              COM      989207105          7,604       158,213   SH             152,713       5,500

                       TOTALS                              9,139,110   239,625,965              233,941,903   5,684,062

</TABLE>
<TABLE>
<CAPTION>
                                                            9/30/00

                                                        VOTING AUTHORITY

          NAME
           OF                                    SOLE         SHARED          NONE
         ISSUER                                  (A)           (B)            (C)
         ------                                  ---           ---            ---
<S>                                           <C>            <C>           <C>
WELLS FARGO & CO NEW                             31,000
WESLEY JESSEN VISIONCARE INC                     29,900
WESTAMERICA BANCORP                             140,350                       34,635
WESTELL TECHNOLOGIES                             23,100
WHIRLPOOL CORP                                                                97,300
WILLIAMS CO                                     482,189                      551,231
WMS INDUSTRIES INC                              254,790                       56,280
WORLD WIRELESS COMMUNICATIONS                    40,000
WORLDCOM INC GA NEW                             911,000                      823,500
XEROX CORP                                       38,000
YOUNG & RUBICAM INC                             716,200
ZALE CORP                                       160,609                       95,360
ZEBRA TECHNOLOGIES CO                           128,519                       29,694

                       TOTALS               156,201,718                   83,424,247
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission