CHILTON INVESTMENT CO INC
13F-HR, 1999-08-13
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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 or Quarter Ended: June 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:     CHILTON INVESTMENT CO INC
Address:  65 LOCUST AVENUE, 2ND FL.
          NEW CANAAN, CT. 06840

13 File Number:

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
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:      PATRICIA  MALLON
Title:
Phone:
Signature, Place and Date of Signing:

    PATRICIA  MALLON  August 12, 1999


Report Type (Check only one.):
[ X]        13F HOLDINGS REPORT.
[  ]        13F NOTICE.
[  ]        13F COMBINATION REPORT.


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934
<PAGE>
                           FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:         0

Form 13F Information Table Entry Total:    95

Form 13F Information Table Value Total:    1840639



<PAGE>
<TABLE>                          <C>                                            <C>
                                                                FORM 13F INFORMATION TABLE
                                                              VALUE   SHARES/ SH/ PUT/ INVSTMT   OTHER        VOTING AUTHORITY
           NAME OF ISSUER        TITLE OF CLASS     CUSIP   x($1000) PRN AMT  PRN CALL DISCRETN MANAGERS   SOLE    SHARED    NONE
  ------------------------------ ---------------- --------- -------- -------- --- ---- -------- --------- -------- -------- --------
D ABERCROMBIE & FITCH CO CL A CO COMMON STOCK     002896207      350     7310 SH       SOLE                   7310        0        0
D ACE LTD COM                    COMMON STOCK     G0070K103     3531   125000 SH       SOLE                 125000        0        0
D ADVANCED MICRO DEVIC ES INC US COMMON STOCK     007903107      450    24917 SH       SOLE                  24917        0        0
D ALCATEL SA SPONSORED ADREACH   ADRS STOCKS      013904305     1029    36267 SH       SOLE                  36267        0        0
D ALLIANCE CAPITAL MGMT L.P.     COMMON STOCK     018548107     8239   255000 SH       SOLE                 255000        0        0
D AMGEN INC USD.0001 COM         COMMON STOCK     031162100     6087   100000 SH       SOLE                 100000        0        0
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208    62475  1700000 SH       SOLE                1700000        0        0
D AURORA FOODS INC COM           COMMON STOCK     05164B106    24382  1393300 SH       SOLE                1393300        0        0
D BANK NEW YORK INC COM          COMMON STOCK     064057102     7337   200000 SH       SOLE                 200000        0        0
D BANKBOSTON CORP COM            COMMON STOCK     06605R106    20450   400000 SH       SOLE                 400000        0        0
D BARNESANDNOBLE.COM INC         COMMON STOCK     067846105     2700   150000 SH       SOLE                 150000        0        0
D BERKSHIRE HATHAWAY CL A INC DE COMMON STOCK     084670108    44096      640 SH       SOLE                    640        0        0
D BERKSHIRE HATHAWAY INC CLASS B COMMON STOCK     084670207    13440     6000 SH       SOLE                   6000        0        0
D BRASS EAGLE INC COM STK        COMMON STOCK     10553F106     9202   490784 SH       SOLE                 490784        0        0
D CABLEVISION SYSTEMS CORP COM   COMMON STOCK     12686C109    41650   595000 SH       SOLE                 595000        0        0
D CARDINAL HEALTH INC COM        COMMON STOCK     14149Y108    19237   300000 SH       SOLE                 300000        0        0
D CBRL GROUP INC COM             COMMON STOCK     12489V106    14715   850000 SH       SOLE                 850000        0        0
D CHASE MANHATTAN CORP COM NEW   COMMON STOCK     16161A108    12975   150000 SH       SOLE                 150000        0        0
D CINAR CORP CAD NPV SUB VTG SH  COMMON STOCK     171905300     2634   107518 SH       SOLE                 107518        0        0
D CITIGROUP INC COM STK          COMMON STOCK     172967101    35624   749997 SH       SOLE                 749997        0        0
D CLEAR CHANNEL COMMUNICATIONS I COMMON STOCK     184502102    15510   225000 SH       SOLE                 225000        0        0
D CLEVELAND INDIANS BASEBALL INC COMMON STOCK     186202107     3858   210000 SH       SOLE                 210000        0        0
D COCA COLA CO COM USD .25       COMMON STOCK     191216100     9300   150000 SH       SOLE                 150000        0        0
D COMCAST CORP CL A SPECIAL      COMMON STOCK     200300200    82640  2150000 SH       SOLE                2150000        0        0
D CONCUR TECHNOLOGIES INC        COMMON STOCK     206708109     8100   288000 SH       SOLE                 288000        0        0
D COSTCO COMPANIES INC COM       COMMON STOCK     22160Q102    24018   300000 SH       SOLE                 300000        0        0
D DAYTON HUDSON CORP COM         COMMON STOCK     239753106    32500   500000 SH       SOLE                 500000        0        0
D DELL COMPUTER CORP COM         COMMON STOCK     247025109    66600  1800000 SH       SOLE                1800000        0        0
D ESTEE LAUDER COS INC  CL A     COMMON STOCK     518439104      320     6400 SH       SOLE                   6400        0        0
D EXODUS COMMUNICATION INC COM   COMMON STOCK     302088109     7316    61000 SH       SOLE                  61000        0        0
D FAMILY GOLF CTRS INC           OPTIONS - PUTS   30701A0TD      922   120000 SH  PUT  SOLE                 120000        0        0
D GENERAL MOTORS CLASS H COM     COMMON STOCK     370442832     8446   150000 SH       SOLE                 150000        0        0
D GOLDMAN SACHS GROUP INC        COMMON STOCK     38141G104     3612    50000 SH       SOLE                  50000        0        0
D GRAND UNION CO COM STK         COMMON STOCK     386532402    25716  2378400 SH       SOLE                2378400        0        0
D HOUSEHOLD INTL CORP COM        COMMON STOCK     441815107    26056   550000 SH       SOLE                 550000        0        0
D INTEL CORP COM                 COMMON STOCK     458140100    11363   190988 SH       SOLE                 190988        0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON STOCK     459902102     6937   375000 SH       SOLE                 375000        0        0
D INTL BUSINESS MACHS CORP COM   COMMON STOCK     459200101    16156   125000 SH       SOLE                 125000        0        0
D INTUIT INC COM                 COMMON STOCK     461202103     1802    20000 SH       SOLE                  20000        0        0
D INVESTMENT TECHNOLOGY GROUP    COMMON STOCK     46145F105     3212   100000 SH       SOLE                 100000        0        0
D JONES INTERCABLE INC CL A      COMMON STOCK     480206200    18693   381500 SH       SOLE                 381500        0        0
D KEEBLER FOODS CO COM STK       COMMON STOCK     487256109     6100   200000 SH       SOLE                 200000        0        0
D LAI WORLDWIDE INC COM          COMMON STOCK     501718100     2006   300000 SH       SOLE                 300000        0        0
D LINDSAY MFG CO COM             COMMON STOCK     535555106     1756   100000 SH       SOLE                 100000        0        0
D LONE STAR STEAKHOUSE SALOON    COMMON STOCK     542307103    16517  1699520 SH       SOLE                1699520        0        0
D MATTEL INC COM                 COMMON STOCK     577081102    15675   600000 SH       SOLE                 600000        0        0
D MBNA CORP COM                  COMMON STOCK     55262L100    19906   650000 SH       SOLE                 650000        0        0
D MCLEOD USA INC CL A COM        COMMON STOCK     582266102     5500   100000 SH       SOLE                 100000        0        0
D MEDIAONE GROUP INC COM STK     COMMON STOCK     58440J104    59909   805500 SH       SOLE                 805500        0        0
D MORGAN STANLEY DEAN WITTER & C COMMON STOCK     617446448     7696    75000 SH       SOLE                  75000        0        0
D MORRISON KNUDSEN CORP NEW      WARRANTS         61844A117       48    13942 SH       SOLE                  13942        0        0
D MOTIVEPOWER INDS INC  COM      COMMON STOCK     61980K101    36075  1950000 SH       SOLE                1950000        0        0
D NABISCO GROUP HOLDINGS         COMMON STOCK     62952P102     3912   200000 SH       SOLE                 200000        0        0
D NETEGRITY INC COM              COMMON STOCK     64110P107     2227   135000 SH       SOLE                 135000        0        0
D NEWS CORP LTD ADR NEW          ADRS STOCKS      652487703    24718   700000 SH       SOLE                 700000        0        0
D NOKIA CORP ADS SHRS EACH       ADRS STOCKS      654902204    45781   500000 SH       SOLE                 500000        0        0
D NORTEL NETWORKS CORP NPV COM   COMMON STOCK     656569100      674     7775 SH       SOLE                   7775        0        0
D NTL INCORPORATED COM           COMMON STOCK     629407107    11204   130000 SH       SOLE                 130000        0        0
D ORACLE CORPORATION U SD.01 COM COMMON STOCK     68389X105    16706   450000 SH       SOLE                 450000        0        0
D P.F. CHANGS CHINA BISTRO INC   COMMON STOCK     69333Y108    14056   650000 SH       SOLE                 650000        0        0
D PAINE WEBBER GROUP INC   COM   COMMON STOCK     695629105    46750  1000000 SH       SOLE                1000000        0        0
D PANTRY INC COM STK             COMMON STOCK     698657103    29025  1800000 SH       SOLE                1800000        0        0
D PARK PLACE ENTERTAIN MENT CORP COMMON STOCK     700690100     1911   200000 SH       SOLE                 200000        0        0
D PEGASUS COMMUNICATIONS CORP    COMMON STOCK     705904100     1971    50000 SH       SOLE                  50000        0        0
D PHILIP MORRIS CO INC           COMMON STOCK     718154107    29135   725000 SH       SOLE                 725000        0        0
D PIXAR COM                      COMMON STOCK     725811103     1078    25000 SH       SOLE                  25000        0        0
D PIXAR COM                      OPTIONS - PUTS   7258110SK     4312   100000 SH  PUT  SOLE                 100000        0        0
D QUALCOMM INC COM               COMMON STOCK     747525103    28700   200000 SH       SOLE                 200000        0        0
D REPUBLIC SERVICES INC COM      COMMON STOCK     760759100   113850  4600000 SH       SOLE                4600000        0        0
D REUTERS GRP PLC SP ADR         ADRS STOCKS      76132M102      433     5342 SH       SOLE                   5342        0        0
D RHYTHMS NETCONNECTIO NS INC CO COMMON STOCK     762430205     8756   150000 SH       SOLE                 150000        0        0
D ROBERT MONDAVI CL A COM        COMMON STOCK     609200100     3637   100000 SH       SOLE                 100000        0        0
D RUBIOS RESTARAUNTS INC         COMMON STOCK     78116B102     3473   225000 SH       SOLE                 225000        0        0
D SEAGRAM COMPANY LTD CAD COM NP COMMON STOCK     811850106     5037   100000 SH       SOLE                 100000        0        0
D SIEBEL SYS INC COM             COMMON STOCK     826170102    11936   180000 SH       SOLE                 180000        0        0
D TANDY CORP USD1 COM            COMMON STOCK     875382103    39100   800000 SH       SOLE                 800000        0        0
D TIFFANY AND CO NEW COM         COMMON STOCK     886547108    22195   230000 SH       SOLE                 230000        0        0
D TIME WARNER INC USD COM        COMMON STOCK     887315109    65362   900000 SH       SOLE                 900000        0        0
D TMP WORLDWIDE COM              COMMON STOCK     872941109    20002   315000 SH       SOLE                 315000        0        0
D TOMMY HILFIGER CORP            COMMON STOCK     G8915Z102     3662    50000 SH       SOLE                  50000        0        0
D TRICON GLOBAL RESTAURANTS INC  COMMON STOCK     895953107   111335  2057000 SH       SOLE                2057000        0        0
D TSI INTERNATIOAL SOFTWARE LTD  COMMON STOCK     872879101    62708  2210000 SH       SOLE                2210000        0        0
D USA NETWORKS INC COM STK (NEW) COMMON STOCK     902984103    35310   880000 SH       SOLE                 880000        0        0
D VIACOM INC CL B COM            COMMON STOCK     925524308    37400   850000 SH       SOLE                 850000        0        0
D VISX INC (DELAWARE)  USD.01 CO COMMON STOCK     92844S105     7918   100000 SH       SOLE                 100000        0        0
D WASTE MANAGEMENT INC COM STK   COMMON STOCK     94106L109    53750  1000000 SH       SOLE                1000000        0        0
D WASTE SYSTEMS INTL INC COM     COMMON STOCK     94106P209     3485   504700 SH       SOLE                 504700        0        0
D WELLS FARGO COMPANY            COMMON STOCK     949746101    12825   300000 SH       SOLE                 300000        0        0
D WESTWOOD ONE INC COM           COMMON STOCK     961815107      890    24950 SH       SOLE                  24950        0        0
D WHITE CAP INDUSTRIES INC COM   COMMON STOCK     963505102     3596   304425 SH       SOLE                 304425        0        0
D WILLIAMS SONOMA INC COM        COMMON STOCK     969904101     9399   270000 SH       SOLE                 270000        0        0
D WPP GROUP PLC SPONS ADR NEW    ADRS STOCKS      929309300    21609   252000 SH       SOLE                 252000        0        0
D YAHOO INC COM                  COMMON STOCK     984332106    17225   100000 SH       SOLE                 100000        0        0
D YOUNG & RUBICAM INC COM STK    COMMON STOCK     987425105    22718   500000 SH       SOLE                 500000        0        0
D ZALE CORP NEW COM              COMMON STOCK     988858106     6000   150000 SH       SOLE                 150000        0        0
S REPORT SUMMARY                 95 DATA RECORDS             1840639        0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>


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