BEAR STEARNS ASSET MANAGEMENT INC
13F-HR, 2000-02-15
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F


       INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
  TO SECTION 13(f) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER


           Report for the Calendar Year or Quarter Ended December 31, 1999

- --------------------------------------------------------------------------------
                (Please read instructions before preparing form.)
- --------------------------------------------------------------------------------

If amended report check here: |_|


Bear Stearns Asset Management Inc.
- --------------------------------------------------------------------------------
Name of Institutional Investment Manager


575 Lexington Avenue,                   New York,           NY             10022
- --------------------------------------------------------------------------------
Business Address         (Street)       (City)            (State)          (Zip)


Jack Malick,                         212-272-2434             Associate Director
- --------------------------------------------------------------------------------
Name, Phone No., and Title of Person Duly Authorized to Submit This Report.


- ------------------------------------ATTENTION-----------------------------------
           Intentional misstatements or omissions of facts constitute
                          Federal Criminal Violations.
                    See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
- --------------------------------------------------------------------------------

     The  institutional   investment   manager  submitting  this  Form  and  its
attachments  and the  person  by whom it is  signed  represent  hereby  that all
information  contained therein is true,  correct and complete.  It is understood
that all required items,  statements and schedules are considered integral parts
of this  Form and that  the  submission  of any  amendment  represents  that all
unamended items,  statements and schedules remain true,  correct and complete as
previously submitted.

     Pursuant  to the  requirements  of  Securities  Exchange  Act of 1934,  the
undersigned institutional investment manager has caused this report to be signed
on its  behalf  in the City of New York and State of New York on the 12th day of
April, 1999.


                                      Bear Stearns Asset Management Inc.
                                      ------------------------------------------
                                      (Name of Institutional Investment Manager)


                                      /s/ Jack Malick
                                      ------------------------------------------
                                           (Manual Signature of Person Duly
                                          Authorized to Submit This Report)


Name and 13F file numbers of ALL Institutional  Investment Managers with respect
to which this schedule is filed (other than the one filing this  report):  (List
in alphabetical order).

13F File Numbers will be assigned to  Institutional  Investment  Managers  after
they file their first report.


Name:                   13F File No.:   Name:                   13F File No.:
- ----------------------- -------------   ----------------------- -------------
1.  Soros Fund Mgmt       28-6420       6.
- ----------------------- -------------   ----------------------- -------------
2.  Marvin & Palmer       28-2633       7.
- ----------------------- -------------   ----------------------- -------------
3.                                      8.
- ----------------------- -------------   ----------------------- -------------
4.                                      9.
- ----------------------- -------------   ----------------------- -------------
5.                                      10.
- ----------------------- -------------   ----------------------- -------------


SEC 1685 (7-88)
<PAGE>

                                    FORM 13F

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
Item 1:                          Item 2:        Item 3:     Item 4:    Item 5:        Item 6:  Item 7:              Item 8:
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   VALUE(K) SH/P AMT S/P P/C  INV DSC   MANAGERS     SOLE    SHARED    NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                            <C>              <C>         <C>     <C>     <C>      <C>                   <C>            <C> <C>

A D C TELECOMMUNICATIONS        COMMON            000886101       109     1500    SH      SOLE    1500    0       0
AT&T CORP                       COMMON            001957109       53034   1043720 SH      SOLE    959195  0       84525
AXA FINL INC                    COMMON            002451102       68422   2012401 SH      SOLE    1683437 0       328964
ABBOTT LABS                     COMMON            002824100       1917    52800   SH      SOLE    52800   0       0
ACTUATE CORP                    COMMON            00508B102       1415    33000   SH      SOLE    33000   0       0
ADOBE SYS INC                   COMMON            00724F101       15420   229300  SH      SOLE    229300  0       0
AFFILIATED COMPUTER SERV        CL A              008190100       1159    25200   SH      SOLE    25200   0       0
ALLIANCE SEMICONDUCTOR C        COMMON            01877H100       8978    538000  SH      SOLE    538000  0       0
ALLSTATE CORP                   COMMON            020002101       52684   2189455 SH      SOLE    1866655 0       322800
ALTERA CORP                     COMMON            021441100       5452    110000  SH      SOLE    110000  0       0
AMERICA ONLINE INC DEL          COMMON            02364J104       2671    35200   SH      SOLE    35200   0       0
AMERICAN EXPRESS CO             COMMON            025816109       22876   137600  SH      SOLE    137600  0       0
AMERICAN HOME PRODS CORP        COMMON            026609107       1590    40500   SH      SOLE    40500   0       0
AMERICAN INTL GROUP INC         COMMON            026874107       2027    18750   SH      SOLE    18750   0       0
ANTEC CORP                      COMMON            03664P105       8899    243800  SH      SOLE    243800  0       0
AON CORP                        COMMON            037389103       38524   963110  SH      SOLE    808510  0       154600
APPLIED MATLS INC               COMMON            038222105       16406   129500  SH      SOLE    129500  0       0
ARTISOFT INC                    COMMON            04314L106       1647    91500   SH      SOLE    91500   0       0
ATLANTIC RICHFIELD CO           COMMON            048825103       66860   772950  SH      SOLE    655125  0       117825
ATMEL CORP                      COMMON            049513104       23103   781500  SH      SOLE    781500  0       0
AVON PRODS INC                  COMMON            054303102       19697   596880  SH      SOLE    499280  0       97600
BISYS GROUP INC                 COMMON            055472104       1370    21000   SH      SOLE    21000   0       0
BP AMOCO P L C                  DEPOSITORY RECEI  055622104       613     10338   SH      SOLE    10338   0       0
BMC SOFTWARE INC                COMMON            055921100       14389   180000  SH      SOLE    180000  0       0
BALLY TOTAL FITNESS HLDG        COMMON            05873K108       6715    251600  SH      SOLE    251600  0       0
BANK OF AMERICA CORP            COMMON            060505104       43397   864705  SH      SOLE    736280  0       128425
BANK NEW YORK INC               COMMON            064057102       41800   1045012 SH      SOLE    843332  0       201680
BANK UTD CORP                   CL A              065412108       2842    104300  SH      SOLE    102300  0       2000
BAXTER INTL INC                 COMMON            071813109       68466   1090002 SH      SOLE    897172  0       192830
BEA SYS INC                     COMMON            073325102       27821   397800  SH      SOLE    397800  0       0
BELL ATLANTIC CORP              COMMON            077853109       40674   660692  SH      SOLE    557392  0       103300
BRISTOL-MYERS SQUIBB            COMMON            110122108       44468   692788  SH      SOLE    588238  0       104550
BROADWING INC                   COMMON            111620100       2028    55000   SH      SOLE    55000   0       0
BUTLER INTL INC NEW             COMMON            123649105       8581    780050  SH      SOLE    780050  0       0
CBS CORP                        COMMON            12490K107       1279    20000   SH      SOLE    20000   0       0
CVS CORP                        COMMON            126650100       23088   579000  SH      SOLE    579000  0       0
CABLEVISION SYS CORP            CL A              12686C109       21933   290500  SH      SOLE    290500  0       0
CABLETRON SYS INC               COMMON            126920107       20982   807000  SH      SOLE    807000  0       0
CACI INTL INC                   CL A              127190304       5430    240000  SH      SOLE    240000  0       0
CADENCE DESIGN SYSTEM IN        COMMON            127387108       9802    408400  SH      SOLE    408400  0       0
CARDINAL HEALTH INC             COMMON            14149Y108       20696   432300  SH      SOLE    432300  0       0
CELADON GROUP INC               COMMON            150838100       620     107900  SH      SOLE    107900  0       0
CERIDIAN CORP                   COMMON            15677T106       23288   1080000 SH      SOLE    1080000 0       0
CHIREX INC                      COMMON            170038103       3805    260200  SH      SOLE    260200  0       0
CIENA CORP                      COMMON            171779101       7533    131000  SH      SOLE    131000  0       0
CIRCUIT CITY STORE INC          CIRCT CITY GRP    172737108       13969   310000  SH      SOLE    310000  0       0
CISCO SYS INC                   COMMON            17275R102       92618   864580  SH      SOLE    818498  0       46082
CITIGROUP INC                   COMMON            172967101       84501   1517407 SH      SOLE    1243200 0       274207
CLAIRES STORES INC              COMMON            179584107       1940    86700   SH      SOLE    86700   0       0
COCA COLA CO                    COMMON            191216100       3287    56422   SH      SOLE    55422   0       1000
COLUMBIA/HCA HEALTHCARE         COMMON            197677107       1466    50000   SH      SOLE    50000   0       0
COMARCO INC                     COMMON            200080109       6111    260050  SH      SOLE    260050  0       0
COMCAST CORP                    CL A SPL          200300200       53088   1049950 SH      SOLE    978750  0       71200
COMPUTER ASSOC INTL INC         COMMON            204912109       3497    50000   SH      SOLE    50000   0       0
COMPUTER NETWORK TECHNOL        COMMON            204925101       4014    175000  SH      SOLE    175000  0       0
COMPUWARE CORP                  COMMON            205638109       15619   419300  SH      SOLE    419300  0       0
CONEXANT SYSTEMS INC            COMMON            207142100       232     3500    SH      SOLE    3500    0       0
CONSOLIDATED PRODS INC          COMMON            209798107       5996    592240  SH      SOLE    592240  0       0
CONVERGYS CORP                  COMMON            212485106       11378   370000  SH      SOLE    370000  0       0
COSTCO WHSL CORP NEW            COMMON            22160K105       23068   252800  SH      SOLE    252800  0       0
COX RADIO INC                   CL A              224051102       12997   130300  SH      SOLE    130300  0       0
CRANE CO                        COMMON            224399105       2158    108600  SH      SOLE    108600  0       0
CUBIC CORP                      COMMON            229669106       1357    62050   SH      SOLE    60850   0       1200
CYMER INC                       COMMON            232572107       2686    58400   SH      SOLE    58400   0       0
DARDEN RESTAURANTS INC          COMMON            237194105       997     55000   SH      SOLE    55000   0       0
DATA CRITICAL CORP DEL          COMMON            237622105       2380    160000  SH      SOLE    160000  0       0
DATA TRANSMISSION NETWOR        COMMON            238017107       6879    398800  SH      SOLE    398800  0       0
DIAGEO P L C  ADR               DEPOSITORY RECEI  25243Q205       768     24000   SH      SOLE    24000   0       0
DIAL CORP NEW                   COMMON            25247D101       32161   1322838 SH      SOLE    1210038 0       112800
DISNEY WALT CO                  COM DISNEY        254687106       313     10700   SH      SOLE    10700   0       0
DUFF & PHELPS CR RATING         COMMON            26432F109       40471   455050  SH      SOLE    455050  0       0
DUN & BRADSTREET CORP DE        COMMON            26483B106       82123   2783820 SH      SOLE    2301820 0       482000
ECI TELECOM LTD                 ORD               268258100       11423   361200  SH      SOLE    361200  0       0
E M C CORP MASS                 COMMON            268648102       23478   214900  SH      SOLE    214900  0       0
EATON VANCE CORP                COM NON VTG       278265103       18232   479800  SH      SOLE    479800  0       0
ELCOR CORP                      COMMON            284443108       7861    260950  SH      SOLE    260950  0       0
EMERSON ELEC CO                 COMMON            291011104       9843    171555  SH      SOLE    149255  0       22300
ENTRUST TECHNOLOGIES INC        COMMON            293848107       300     5000    SH      SOLE    5000    0       0
EXPRESS SCRIPTS INC             CL A              302182100       6560    102500  SH      SOLE    102500  0       0
EXTREME NETWORKS INC            COMMON            30226D106       6680    80000   SH      SOLE    80000   0       0
EXXON MOBIL CORP                COMMON            30231G102       49476   614128  SH      SOLE    506528  0       107600
FPL GROUP INC                   COMMON            302571104       25908   605155  SH      SOLE    532555  0       72600
FAIRCHILD SEMICONDUCTOR         CL A              303726103       11555   388400  SH      SOLE    388400  0       0
FEDERAL NATL MTG ASSN           COMMON            313586109       72886   1167345 SH      SOLE    980549  0       186796
FEDERATED DEPT STORES IN        COMMON            31410H101       8100    160200  SH      SOLE    160200  0       0
FINISAR                         COMMON            31787A101       1375    15300   SH      SOLE    15300   0       0
FORD MTR CO DEL                 COMMON            345370100       45978   862425  SH      SOLE    723025  0       139400
FOUR MEDIA CO                   COMMON            350872107       7710    518300  SH      SOLE    518300  0       0
FURNITURE BRANDS INTL IN        COMMON            360921100       4233    192400  SH      SOLE    192400  0       0
GAP INC DEL                     COMMON            364760108       18043   392238  SH      SOLE    354130  0       38108
GARTNER GROUP INC NEW           COMMON            366651107       15195   996421  SH      SOLE    996421  0       0
GENERAL ELEC CO                 COMMON            369604103       63957   413290  SH      SOLE    335906  0       77384
GENERAL MTRS CORP               COMMON            370442105       41652   573034  SH      SOLE    480519  0       92515
GENERAL MTRS CORP CL H          CL H NEW          370442832       25039   260826  SH      SOLE    260826  0       0
GENUINE PARTS CO                COMMON            372460105       44340   1787010 SH      SOLE    1528310 0       258700
GILLETTE CO                     COMMON            375766102       51569   1252060 SH      SOLE    1041660 0       210400
GLENBOROUGH RLTY TR INC         COMMON            37803P105       738     55200   SH      SOLE    55200   0       0
GLOBAL MARINE INC               COMMON            379352404       42582   2561300 SH      SOLE    2561300 0       0
HADCO CORP                      COMMON            404681108       15377   301500  SH      SOLE    301500  0       0
HEINZ H J CO                    COMMON            423074103       69445   1744300 SH      SOLE    1463250 0       281050
HEWLETT PACKARD CO              COMMON            428236103       74539   655290  SH      SOLE    545215  0       110075
HIBERNIA FOODS PLC              DEPOSITORY RECEI  428660104       4852    732350  SH      SOLE    732350  0       0
HUTTIG BLDG PRODS INC           COMMON            448451104       119     24132   SH      SOLE    24132   0       0
IMC GLOBAL INC                  COMMON            449669100       1690    103200  SH      SOLE    103200  0       0
IMMERSION CORP                  COMMON            452521107       1266    33000   SH      SOLE    33000   0       0
IMPAX LABORATORIES INC          COMMON            45256B101       6976    1468554 SH      SOLE    1468554 0       0
INAMED CORP                     COMMON            453235103       1022    23300   SH      SOLE    23300   0       0
INFONET SVCS CORP               CL B              45666T106       774     29500   SH      SOLE    29500   0       0
INTEL CORP                      COMMON            458140100       108687  1320415 SH      SOLE    1219665 0       100750
INTEL CORP                      CALL OPT JAN   4  458140100       12347   150000  SH      CALL SOLE       150000  0       0
INTERNATIONAL BUSINESS M        COMMON            459200101       76409   708309  SH      SOLE    608058  0       100251
INTERTAN INC                    COMMON            461120107       6691    256100  SH      SOLE    256100  0       0
IONA TECHNOLOGIES PLC           DEPOSITORY RECEI  46206P109       17429   319800  SH      SOLE    319800  0       0
JACK IN THE BOX INC             COMMON            466367109       3655    176700  SH      SOLE    176700  0       0
JOHNSON & JOHNSON               COMMON            478160104       1865    20000   SH      SOLE    20000   0       0
KEMET CORP                      COMMON            488360108       9923    220200  SH      SOLE    220200  0       0
KIMBERLY CLARK CORP             COMMON            494368103       122779  1876283 SH      SOLE    1663057 0       213226
KROGER CO                       COMMON            501044101       15572   825000  SH      SOLE    825000  0       0
LSI LOGIC CORP                  COMMON            502161102       22856   338600  SH      SOLE    338600  0       0
LABORATORY CORP AMER HLD        PFD CV EXCH% A    50540R201       683     9900    SH      SOLE    9900    0       0
LATTICE SEMICONDUCTOR CO        COMMON            518415104       26027   552300  SH      SOLE    552300  0       0
LEGATO SYS INC                  COMMON            524651106       13818   200800  SH      SOLE    200800  0       0
LEHMAN BROS HLDGS INC           COMMON            524908100       237     2800    SH      SOLE    2800    0       0
LEVEL 8 SYS INC                 COMMON            52729M102       3715    107500  SH      SOLE    107500  0       0
LIMITED INC                     COMMON            532716107       1949    45000   SH      SOLE    45000   0       0
MBIA INC                        COMMON            55262C100       19271   364900  SH      SOLE    314700  0       50200
MCI WORLDCOM INC                COMMON            55268B106       27023   509275  SH      SOLE    438675  0       70600
MMC NETWORKS INC                COMMON            55308N102       2836    82500   SH      SOLE    82500   0       0
MATTEL INC                      COMMON            577081102       53244   4056660 SH      SOLE    3454960 0       601700
MCDONALDS CORP                  COMMON            580135101       67368   1671140 SH      SOLE    1425940 0       245200
MERCK & CO INC                  COMMON            589331107       81276   1209690 SH      SOLE    1071760 0       137930
MERCURY GENL CORP NEW           COMMON            589400100       792     35600   SH      SOLE    35600   0       0
MERRILL LYNCH & CO INC          COMMON            590188108       208     2500    SH      SOLE    2500    0       0
MICROSOFT CORP                  COMMON            594918104       7910    67750   SH      SOLE    67750   0       0
MILLENNIUM PHARMACEUTICA        COMMON            599902103       6100    50000   SH      SOLE    50000   0       0
MILLIPORE CORP                  COMMON            601073109       7918    205000  SH      SOLE    205000  0       0
MORGAN STANLEY DEAN WITT        COM NEW           617446448       12805   89700   SH      SOLE    89700   0       0
MUELLER INDS INC                COMMON            624756102       5129    141500  SH      SOLE    109500  0       32000
NETOPIA INC                     COMMON            64114K104       9206    169500  SH      SOLE    169500  0       0
NORTEL NETWORKS CORP            COMMON            656569100       60125   595300  SH      SOLE    595300  0       0
NOVELL INC                      COMMON            670006105       25716   643900  SH      SOLE    643900  0       0
NOVELLUS SYS INC                COMMON            670008101       22031   179800  SH      SOLE    179800  0       0
OLIN CORP                       COM PAR $1        680665205       9575    483300  SH      SOLE    483300  0       0
ORACLE CORP                     COMMON            68389X105       235     2100    SH      SOLE    2100    0       0
OUTBACK STEAKHOUSE INC          COMMON            689899102       27266   1051200 SH      SOLE    1051200 0       0
PNC BK CORP                     COMMON            693475105       59711   1341826 SH      SOLE    1177576 0       164250
PENN TREATY AMERN CORP          COMMON            707874103       4887    310300  SH      SOLE    310300  0       0
PENTAIR INC                     COMMON            709631105       14572   378500  SH      SOLE    378500  0       0
PEPSI BOTTLING GROUP INC        COMMON            713409100       911     55000   SH      SOLE    55000   0       0
PERKINELMER INC                 COMMON            714046109       1042    25000   SH      SOLE    25000   0       0
PHILIP MORRIS COS INC           COMMON            718154107       29052   1263152 SH      SOLE    1010725 0       252427
PITNEY BOWES INC                COMMON            724479100       870     18000   SH      SOLE    18000   0       0
POTASH CORP SASK INC            COMMON            73755L107       1205    25000   SH      SOLE    25000   0       0
PROJECT SOFTWARE & DEV I        COMMON            74339P101       2664    48000   SH      SOLE    48000   0       0
QUALCOMM INC                    COMMON            747525103       37479   212800  SH      SOLE    212800  0       0
QWEST COMMUNICATIONS INT        COMMON            749121109       4429    103000  SH      SOLE    103000  0       0
RAYOVAC CORP                    COMMON            755081106       5425    287400  SH      SOLE    287400  0       0
REHABCARE GROUP INC             COMMON            759148109       14259   671000  SH      SOLE    671000  0       0
REYNOLDS & REYNOLDS CO          CL A              761695105       5850    260000  SH      SOLE    260000  0       0
ROHM & HAAS CO                  COMMON            775371107       2034    50000   SH      SOLE    50000   0       0
ROPER INDS INC NEW              COMMON            776696106       7922    209500  SH      SOLE    209500  0       0
SBC COMMUNICATIONS INC          COMMON            78387G103       65913   1352070 SH      SOLE    1138620 0       213450
SFX ENTMT INC                   CL A              784178105       1086    30000   SH      SOLE    30000   0       0
SLM HLDG CORP                   COMMON            78442A109       99169   2347195 SH      SOLE    2031795 0       315400
SALON COM                       COMMON            79549F108       3659    731830  SH      SOLE    731830  0       0
SCHOLASTIC CORP                 COMMON            807066105       19471   313100  SH      SOLE    313100  0       0
SOLECTRON CORP                  COMMON            834182107       1427    15000   SH      SOLE    15000   0       0
SOLUTIA INC                     COMMON            834376105       38642   2503100 SH      SOLE    2156000 0       347100
SPRINT CORP                     COM FON GROUP     852061100       236     3500    SH      SOLE    3500    0       0
SPRINT CORP PCS                 PCS COM SER 1     852061506       39042   380900  SH      SOLE    380900  0       0
STAPLES INC                     COMMON            855030102       13276   639800  SH      SOLE    639800  0       0
STATION CASINOS INC             COMMON            857689103       2740    122100  SH      SOLE    122100  0       0
STERLING SOFTWARE INC           COMMON            859547101       38740   1229850 SH      SOLE    1173250 0       56600
SUMMIT BANCORP                  COMMON            866005101       214     6999    SH      SOLE    1485    0       5514
SUN MICROSYSTEMS INC            COMMON            866810104       15116   195200  SH      SOLE    195200  0       0
TSI INTERNATIONAL SOFTWA        COMMON            872879101       11750   207500  SH      SOLE    207500  0       0
TEKELEC                         COMMON            879101103       3825    170000  SH      SOLE    170000  0       0
TEREX CORP NEW                  COMMON            880779103       4304    155100  SH      SOLE    155100  0       0
TEXACO INC                      COMMON            881694103       64473   1187072 SH      SOLE    990390  0       196682
TEXAS INSTRS INC                COMMON            882508104       1131    11700   SH      SOLE    11700   0       0
THESTREET COM                   COMMON            88368Q103       8137    424100  SH      SOLE    424100  0       0
TICKETMASTER ONLINE-CITY        CL B              88633P203       1384    36000   SH      SOLE    36000   0       0
TIME WARNER INC                 COMMON            887315109       19329   267300  SH      SOLE    267300  0       0
TORCHMARK CORP                  COMMON            891027104       62345   2145190 SH      SOLE    1765840 0       379350
TOYS R US INC                   COMMON            892335100       53316   3725160 SH      SOLE    3082410 0       642750
TRIBUNE CO NEW                  COMMON            896047107       6400    116232  SH      SOLE    93252   0       22980
TYCO INTL LTD NEW               COMMON            902124106       17878   458400  SH      SOLE    458400  0       0
UCAR INTL INC                   COMMON            90262K109       1781    100000  SH      SOLE    100000  0       0
U S FRANCHISE SYS INC           CL A NEW          902956309       3343    742900  SH      SOLE    742900  0       0
U S RESTAURANT PPTYS INC        COMMON            902971100       1667    117000  SH      SOLE    117000  0       0
USA NETWORKS INC                COMMON            902984103       1437    26000   SH      SOLE    26000   0       0
UNITED RENTALS INC              COMMON            911363109       4694    274100  SH      SOLE    274100  0       0
U S WEST COM                    COMMON            91273H101       5760    80000   SH      SOLE    80000   0       0
UNITED TECHNOLOGIES CORP        COMMON            913017109       63737   980563  SH      SOLE    791803  0       188760
UNIVERSAL STAINLESS & AL        COMMON            913837100       4998    740500  SH      SOLE    740500  0       0
UNIVISION COMMUNICA CL A        CL A              914906102       11343   111000  SH      SOLE    111000  0       0
USFREIGHTWAYS CORP              COMMON            916906100       9637    201300  SH      SOLE    201300  0       0
USWEB CORP                      COMMON            917327108       11220   252500  SH      SOLE    252500  0       0
VIAD CORP                       COMMON            92552R109       71734   2573405 SH      SOLE    2127255 0       446150
VISHAY INTERTECHNOLOGY I        COMMON            928298108       66668   2108075 SH      SOLE    2108075 0       0
VODAFONE AIRTOUCH PLC           DEPOSITORY RECEI  92857T107       9878    199555  SH      SOLE    199555  0       0
WPP GROUP PLC                   DEPOSITORY RECEI  929309300       42106   506540  SH      SOLE    433440  0       73100
WASHINGTON MUT INC              COMMON            939322103       43815   1693325 SH      SOLE    1441490 0       251835
WENDYS INTL INC                 COMMON            950590109       59608   2864035 SH      SOLE    2418235 0       445800
WHITTMAN-HART INC               COMMON            966834103       14039   261800  SH      SOLE    261800  0       0
XILINX INC                      COMMON            983919101       19097   420000  SH      SOLE    420000  0       0
XEROX CORP                      COMMON            984121103       2485    109536  SH      SOLE    73136   0       36400
ZI CORP                         COMMON            988918108       11680   556200  SH      SOLE    556200  0       0
ZEBRA TECHNOLOGIES CORP         CL A              989207105       17012   290800  SH      SOLE    290800  0       0
ZORAN CORP                      COMMON            98975F101       5018    90000   SH      SOLE    90000   0       0
OPENTV CORP                     CL A              G67543101       1605    20000   SH      SOLE    20000   0       0
SANTA FE INTL CORP              ORD               G7805C108       21735   840000  SH      SOLE    840000  0       0
ECTEL LTD                       ORD               M29925100       4380    240000  SH      SOLE    240000  0       0
ASM INTL N V                    COMMON            N07045102       3795    165000  SH      SOLE    165000  0       0
STEINER LEISURE LTD             ORD               P8744Y102       7451    446500  SH      SOLE    446500  0       0

                                                                 4349071 111574355              101559434 0       10014921


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