AWAD ASSET MANAGEMENT INC /ADV
13F-HR, 2000-02-08
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                                  UNITED STATES
                        SECURITIES AND EXCHANGE COMMISSION
                              Washington, D.C.  20549
                                    FORM 13F
                                 FORM 13F COVER PAGE

Report for the Calendar Year of Quarter Ended:         12/31/99
Institutional Investment Manager Filing this Report:

Name:                Awad Asset Management
Address:            250 Park Avenue,  2nd Floor
                           New York,   NY  10177
13F File Number 28-7480
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:                   Jeffrey A. Dowdle
Title:                    Chief Operating Officer
Phone:                  727-573-3800


Report Type (Check only one):
_____________   13F Holding Report
_____________   13F Notice
______X_____    13F Combination Report
List of Other Managers Reporting for this Manager:      0
I am signing this report as required by the Securities Exchange Act of 1934











                                 FORM 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                   0

Form 13F Information Table Entry Total               54

Form 13F Information Table Value Total:          $558,884 (in thousands)


List of Other Included Managers:              0


<TABLE>
PAGE    1                                        FORM 13F: INFORMATION TABLE                                         DATE: 12/31/99

                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>                                              <C>
D AUDIBLE INCORPORATED           EQUITIES         05069A104     2661   177400 SH       SOLE                 173600        0     3800
D ANNUITY AND LIFE RE LTD        EQUITIES         G03910109    12746   487901 SH       SOLE                 384102        0   103800
D AMERICAN RETIREMENT CORPORATIO Convertible Bond 028913AA9     1969  2735000 PRN      SOLE                2535000        0   200000
D AMERICAN TOWER SYSTEMS         EQUITIES         029912201    19747   646125 SH       SOLE                 504600        0   141525
D ASSISTED LIVING CONCEPTS       Convertible Bond 04543LAD1      596  1000000 PRN      SOLE                1000000        0        0
D BARRA INCORPORATED             EQUITIES         068313105    15763   496500 SH       SOLE                 395050        0   101450
D BECKMAN COULTER INCORPORATED   EQUITIES         075811109    13932   273852 SH       SOLE                 207052        0    66800
D BRADLEES INCORPORATED          EQUITIES         104499207    10919  1284640 SH       SOLE                1062675        0   221965
D CAPITAL CROSSING BANK          EQUITIES         140071101     7020   561600 SH       SOLE                 435000        0   126600
D COMDISCO INC                   EQUITIES         200336105    27654   742399 SH       SOLE                 597131        0   145270
D CUNNINGHAM GRAPHICS            EQUITIES         231157108     7223   518265 SH       SOLE                 432525        0    85740
D COOPER COMPANIES INCORPORATED  EQUITIES         216648402    22839   758153 SH       SOLE                 611260        0   146893
D CORN PRODUCTS INTERNATIONAL    EQUITIES         219023108    16488   503480 SH       SOLE                 417778        0    85702
D C-CUBE MICROSYSTEMS INC        EQUITIES         125015107    20123   323275 SH       SOLE                 261675        0    61600
D DORAL FINANCIAL CORPORATION    EQUITIES         25811P100    14494  1177254 SH       SOLE                1003355        0   173900
D ECLIPSYS CORPORATION           EQUITIES         278856109    18822   734555 SH       SOLE                 608706        0   125874
D EMISPHERE TECHNOLOGIES INC     EQUITIES         291345106     6012   200000 SH       SOLE                 200000        0        0
D GENESEE & WYOMING INCORPORATED EQUITIES         371559105     2055   159650 SH       SOLE                 102450        0    57200
D QUANTUM CORPORATION            EQUITIES         747906303     5701   821800 SH       SOLE                 642750        0   179050
D HEALTH MANAGEMENT SYSTEMS      EQUITIES         42219M100    10313  1633850 SH       SOLE                1314800        0   319050
D HORIZON OFFSHORE INCORPORATED  EQUITIES         44043J105      645   120000 SH       SOLE                 120000        0        0
D HOUGHTON MIFFLIN CO            EQUITIES         441560109    25159   596370 SH       SOLE                 451483        0   144885
D INVESTORS FINANCIAL SERVICES   EQUITIES         461915100    15566   338400 SH       SOLE                 319950        0    18450
D IRON MOUNTAIN INCORPORATED     EQUITIES         46284P104    15610   397100 SH       SOLE                 312800        0    84300
D INVESTMENT TECHNOLOGY GROUP    EQUITIES         46145F105     7595   264175 SH       SOLE                 217725        0    46450
D WILEY,JOHN & SONS CL A         EQUITIES         968223206    21710  1296131 SH       SOLE                1007706        0   288425
D KAYDON CORP                    EQUITIES         486587108     2374    88550 SH       SOLE                  88350        0      200
D L T C PROPERTIES INC           EQUITIES         502175102     4927   583945 SH       SOLE                 497680        0    86266
D LTC PROPERTIES 9.50% SERIES A  EQUITIES         502175201      283    20650 SH       SOLE                  20650        0        0
D LTC PROPERTIES INCORPORATED    EQUITIES         502175300      471    36650 SH       SOLE                  36650        0        0
D LTC PROP INC CONV              Convertible Bond 502175AF9      283   315000 PRN      SOLE                 255000        0    60000
D LTX CORPORATION                EQUITIES         502392103    16710   746825 SH       SOLE                 571025        0   175800
D NEW HORIZONS WORLDWIDE         EQUITIES         645526104     6652   560178 SH       SOLE                 493650        0    66531
D NORTH FORK BANCORPORATION INC  EQUITIES         659424105     7941   457082 SH       SOLE                 358682        0    98400
D NOVA CORPORATION               EQUITIES         669784100    10896   345225 SH       SOLE                 280925        0    64300
D NEWELL RUBBERMAID INCORPORATED EQUITIES         651229106      342    11824 SH       SOLE                  11824        0        0
D PRESIDENTIAL LIFE CORP         EQUITIES         740884101    10372   564480 SH       SOLE                 463181        0   101300
D PENTON MEDIA INCORPORATED      EQUITIES         709668107    23689   987052 SH       SOLE                 770402        0   216650
D PRINTRONIX INCORPORATED        EQUITIES         742578107    14882   654175 SH       SOLE                 516325        0   137850
D RESEARCH IN MOTION LIMITED     EQUITIES         760975102    21683   469475 SH       SOLE                 362625        0   106850
D SHOE CARNIVAL INCORPORATED     EQUITIES         824889109     7488   744200 SH       SOLE                 570350        0   173850
D SMITHFIELD FOODS INC           EQUITIES         832248108     8721   363415 SH       SOLE                 278175        0    85240
D STATEN ISLAND BANCORP          EQUITIES         857550107     1254    69700 SH       SOLE                  69600        0      100
D S THREE INCORPORATED           EQUITIES         784849101     6120   529350 SH       SOLE                 424350        0   105000
D SMUCKER J M COMPANY CL B       EQUITIES         832696207    10634   654435 SH       SOLE                 525900        0   128535
D SOUTHTRUST CORP                EQUITIES         844730101     1119    29601 SH       SOLE                  29201        0      400
D STAR TEK                       EQUITIES         85569C107     5979   164950 SH       SOLE                 153050        0    11900
D SILICON STORAGE TECHNOLOGY     EQUITIES         827057100    21634   524475 SH       SOLE                 409525        0   114950
D STERLING SOFTWARE INCORPORATED EQUITIES         859547101    20449   649200 SH       SOLE                 502650        0   146550
D TRAVELERS P&C CAPITAL II       EQUITIES         89420B209      571    25550 SH       SOLE                  24250        0     1300
D TRANSACTION NETWORK SERVICES   EQUITIES         893414102      958    21000 SH       SOLE                  21000        0        0


 PAGE    2                                        FORM 13F: INFORMATION TABLE                                         DATE: 12/31/99

                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- -x$1000-  PRN AMT PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>                                              <C>
D TELETECH HOLDINGS              EQUITIES         879939106     9716   288300 SH       SOLE                 252975        0    35325
D U S VISION INCORPORATED        EQUITIES         90339M104      674   263100 SH       SOLE                 262600        0      500
D ZEBRA TECHNOLOGY CORP CLASS A  EQUITIES         989207105    18675   319238 SH       SOLE                 233965        0    85273
S REPORT SUMMARY                 54 DATA RECORDS              558884            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED

</TABLE>


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