<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>