UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter ended: September 30, 1999
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: Seth Tobias
Address: 153 East 53rd Street
Suite 4801
New York, NY 10022
13F File Number: 028-03469
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: Seth Tobias
Title: Manager
Phone: 212-521-5050
Signature, Place, and Date of Signing:
/s/ S. Tobias New York, NY 11-9-99
(Signature) (City, State) (Date)
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Manager 0
Form 13F Information Table Entry 97
Form 13F Information Table Value $187,220
List of Other Included Managers: None
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FORM 13F-HR
qtr ending 9/30/99
COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COL 7 COLUMN 8
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VALUE SHRS OR SH/ PUT/ INV. DISCR. VOT AUTHOR.
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL SOLE SHRD OTH MGR SOLE SHRD NONE
<S> <C> <C> <C> <C> <C> <C> <C>
American Eagle Outfitters OTC IS 02553E106 1500 31000 SH x 31000
Apria Healthcare Group Inc COMMON 037933108 2180 130100 SH x 130100
Standard Aotumotive COMMON 853097103 1247 105000 SH x 105000
American Home Products COMMON 026609107 622 15000 SH x 15000
AMR Corp COMMON 001765106 3679 67500 SH x 67500
Abercrombie & Fitch COMMON 002896207 681 20000 SH x 20000
America Online COMMON 02364J104 4691 45000 SH x 45000
Art Technology Group OTC IS 04289L107 1713 45000 SH x 45000
At Home Corp. Ser A OTC IS 045919107 3116 75200 SH x 75200
Atmel Corp. OTC IS 049513104 1352 40000 SH x 40000
American Express Co COMMON 025816109 2700 2000 SH x 2000
American XTAL Technology OTC IS 030514103 534 25000 SH x 25000
Baker Hughes Inc. COMMON 057224107 1160 40000 SH x 40000
BJ Services COMMON 055482103 1909 60000 SH x 60000
Bristol Myers Squib Co. COMMON 110122108 506 7500 SH x 7500
Anheuser Busch Companies COMMON 035229103 525 7500 SH x 7500
Citigroup Inc. COMMON 172967101 8844 201000 SH x 201000
Continental Airlines Inc. COMMON 210795308 2620 80000 SH x 80000
Cooper Cameron Corp. COMMON 216640102 944 25000 SH x 25000
Creative Biomolecules Inc. OTC IS 225270107 649 173000 SH x 173000
Champion Intl. Corp. COMMON 158525105 514 10000 SH x 10000
Chevron Corp COMMON 166751107 887 10000 SH x 10000
Copper Mountain Networks OTC IS 217510106 1314 15000 SH x 15000
Concur Technologies Inc. OTC IS 206708109 484 17000 SH x 17000
Corel Corp. OTC IS 21868Q109 667 90000 SH x 90000
Delta Air Lines Inc. COMMON 247361108 2498 51500 SH x 51500
DBS Industries Inc New OTC IS 233041300 256 100000 SH x 100000
Dayton Hudson COMMON 239753106 1622 27000 SH x 27000
Diamond Offshore COMMON 25271C102 1335 40000 SH x 40000
DSP Group OTC IS 23332B106 2193 55000 SH x 55000
Dura Pharmaceuticals Inc. OTC IS 26632S109 1394 100000 SH x 100000
Ensco International Inc. COMMON 26874Q100 1721 95300 SH x 95300
Federated Department Stores COMMON 31410H101 3242 74200 SH x 74200
R&B Falcon Corp COMMON 74912E101 4331 330000 SH x 330000
Federal Mogul Corp COMMON 313549107 1378 50000 SH x 50000
Sprint Corp. COMMON 852061100 2577 47500 SH x 47500
Freeshop Com. Inc. OTC IS 356873109 287 25000 SH x 25000
Global Crossing Ltd OTC IS G3921A100 7660 289050 SH x 289050
General Electric Co. COMMON 369604103 593 5000 SH x 5000
GAP Inc. COMMON 364760108 3856 120500 SH x 120500
Goldman Sachs Group Inc. COMMON 38141G104 305 5000 SH x 5000
Grey Wolf Inc. COMMON 397888108 3600 1200000 SH x 1200000
Halliburton Co COMMON 406216101 6150 150000 SH x 150000
Homeseekers.com-pvt place. OTC IS 437605108 1875 150000 SH x 150000
Igen Inc. OTC IS 449536101 1845 74000 SH x 74000
International Paper COMMON 460146103 961 20000 SH x 20000
Jagnotesom Inc. OTC IS 47008C106 201 31000 SH x 31000
Jagnotes.Com Inc. pvt. Pl. OTC IS 47008C106 2118 327400 SH x 327400
Johnson & Johnson COMMON 478160104 5053 55000 SH x 55000
J P Morgan COMMON 616880100 571 5000 SH x 5000
K-Swiss Inc. Cl. A OTC IS 482686102 1894 60000 SH x 60000
Lear Seating Corp. COMMON 521865105 1759 50000 SH x 50000
Eli Liily & Co. COMMON 532457108 4461 69500 SH x 69500
Loislaw Com Inc OTC IS 541431102 290 20000 SH x 20000
Lowes Co. COMMON 548661107 487 10000 SH x 10000
Southwest Airlines Co. COMMON 844741108 1594 105000 SH x 105000
Microchip Technology Inc. OTC IS 595017104 256 5000 SH x 5000
Medtronic Inc. COMMON 585055106 731 20000 SH x 20000
Merrill Lynch & Co. Inc. COMMON 590188108 371 5500 SH x 5500
MGM Grand Inc. COMMON 552953101 3067 60000 SH x 60000
Merck & Co. COMMON 589331107 6481 100000 SH x 100000
Medial Manager Corp. OTC IS 58461U103 1741 35000 SH x 35000
Micron Electronics Inc. OTC IS 595100108 525 50000 SH x 50000
Morgan Stanley Dean Witter COMMON 617446448 3122 35000 SH x 35000
Nabors Industries Inc. COMMON 629568106 1250 50000 SH x 50000
Newmont Mining Corp. COMMON 651639106 2329 90000 SH x 90000
Network Associates Inc. OTC IS 640938106 2869 150000 SH x 150000
Pairgain Technologies Inc. OTC IS 695934109 637 50000 SH x 50000
Asia Pulp and Paper Co. COMMON 04516V100 1762 300000 SH x 300000
Park Place Entmt Corp. COMMON 700690100 1250 100000 SH x 100000
Peapod Inc OTC IS 704718105 352 35000 SH x 35000
Radware Ltd OTC IS M81873107 412 15000 SH x 15000
Transocean Offshore Inc. COMMON 893817106 2297 75000 SH x 75000
Rambus Inc. OTC IS 750917106 331 5000 SH x 5000
Royal Olympic Cruise Lines OTC IS 780636106 857 343000 SH x 343000
Rex Stores Corp. COMMON 761624105 845 27250 SH x 27250
Santa Cruz Operation Inc. OTC IS 801833104 597 50000 SH x 50000
Santa Fe Intl COMMON G7805C108 1078 50000 SH x 50000
Smith International Inc. COMMON 832110100 3645 90000 SH x 90000
Sky Lynx Inc.-pvt.pl. PFD OTC IS 500 500000 SH x 500000
Schlumberger Ltd COMMON 806857108 4362 70000 SH x 70000
Symantec Corp. OTC IS 871503108 1079 30000 SH x 30000
AT&T Corp. COMMON 001957109 5002 115000 SH x 115000
Tel-Save Holdings OTC IS 874264104 1484 115000 SH x 115000
Temple Inland Inc. COMMON 879868107 2806 46000 SH x 46000
Tktmstr-Online Citysearch OTC IS 88633P203 1209 50000 SH x 50000
Tumbleweed Communications OTC IS 899690101 2809 105000 SH x 105000
TheStreet.Com Inc. OTC IS 88368Q103 961 53000 SH x 53000
Crown Castle Intl Corp. OTC IS 228227104 1872 100000 SH x 100000
Time Warner Inc. COMMON 887315109 364 6000 SH x 6000
Texaco Inc. COMMON 881694103 631 10000 SH x 10000
US West Inc COMMON 91273H101 5136 90000 SH x 90000
Vang'd Tech. Pfd. Ser. BPP 1100 2707549 SH x 2707549
Value America Inc. OTC IS 92038N102 287 22500 SH x 22500
MCI Worldcom Inc. OTC IS 55268B106 6109 85000 SH x 85000
Venator Group COMMON 922944103 2141 250000 SH x 250000
Zale Corp COMMON 988858106 1843 48100 SH x 48100
187,220
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