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: Ron Pollack
Name: Bulldog Capital Partners L.P.
Address: 33 North Garden Ave
Suite 750
Clearwater, FL 33755
13F File Number: 28-99999
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:Paul Magnie
Title: Controller
Phone: 727 298-5412
Paul Magnie, Clearwater FL, 5/14/99
Report Type (Check only one.) :
[ X ] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager: none
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES
EXHANGE ACT OF 1934.
<PAGE>
Form 13f Summary Page
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 158
Form 13F Information Table Value Total: $243,326
List of Other Included Managers:
No. 13F File Number Name
none
<PAGE>
Bulldog Capital Management L.P
33 North Garden Ave #750
Clearwater, Fl. 33755
<TABLE>
Information Table
Voting Authority
- --------------------------
Value
Shares/
Sh/
Put/
Invstmt
Other
Name of Issuer
Title of class
CUSIP
(x$1000)
Prn Amt
Prn
Call
Dscretn
Managers
Sole
Shared
None
- ------------------------------
- ----------------
- ---------
- --------
- --------
- ---
- ----
- -------
- ------------
- --------
- --------
- --------
<S>
<C>
<C>
<C>
<C>
<C>
<C>
<C>
<C>
<C>
<C>
<C>
*** PUMA AG RUDOLF DASSLER
COM
488
30500
SH
Sole
30500
***APEX SILVER MINES LTD
COM
g04074103
1767
148800
SH
Sole
148800
***CHIEFTAIN INTERNATIONAL INC
COM
16867c101
503
27200
SH
Sole
27200
***PROFESSIONAL STAFF PLC
COM
74315r105
497
82000
SH
Sole
82000
***SANTA FE INTERNATIONAL CORP
COM
g7805c108
580
27800
SH
Sole
27800
***SEVEN SEAS PETROLEUM INC
COM
817917107
186
63300
SH
Sole
63300
***STELLARTON ENERGY CORP CL A
COM
249
169600
SH
Sole
169600
***TECNOMATIX TECHNOLOGIES LTD
COM
570
30000
SH
Sole
30000
***TEEKAY SHIPPING CORP
COM
v89564104
938
56000
SH
Sole
56000
4 KIDS ENTERTAINMENT INC
COM
749
20000
SH
Sole
20000
ACCRUE SOFTWARE INC
COM
00437w102
427
35000
SH
Sole
35000
ADELPHIA COMMUNICATIONS CORP
COM
2435
40000
SH
Sole
40000
AMERICREDIT CORP
COM
03060r101
1517
100687
SH
Sole
100687
AMKOR TECHNOLOGY INC
COM
031652100
615
40000
SH
Sole
40000
ANADARKO PETROLEUM CORP
COM
032511107
7790
204000
SH
Sole
204000
ANTEC CORP
COM
03664p105
1678
40000
SH
Sole
40000
APEX INC
COM
037548104
2547
97500
SH
Sole
97500
APPLIED MATERIALS INC
COM
038222105
2158
30000
SH
Sole
30000
AREMISSOFT CORP DEL
COM
040026106
149
20000
SH
Sole
20000
ART TECHNOLOGY GROUP INC
COM
04289l107
685
40000
SH
Sole
40000
AT&T CORP
COM
001957109
2346
45000
SH
Sole
45000
AT&T CORP LIBERTY MEDIA GROUP
COM
001957208
6456
174500
SH
Sole
174500
ATLANTIC BK & TRUST CO
COM
04822g102
229
15000
SH
Sole
15000
ATMEL CORP
COM
049513104
596
20000
SH
Sole
20000
AVANT CORP
COM
053487104
287
20000
SH
Sole
20000
BANK UNITED CORP-CL A
COM
1155
30000
SH
Sole
30000
BASIN EXPLORATION INC
COM
070107107
945
45000
SH
Sole
45000
BIKERS DREAM INC NEW
COM
090008202
972
398834
SH
Sole
398834
BJ SERVICES CO
COM
055482103
1070
35000
SH
Sole
35000
BMC SOFTWARE INC
COM
055921100
1077
20000
SH
Sole
20000
BRAINBUZZ.COM
COM
250
250000
SH
Sole
250000
CABLETRON SYSTEMS INC
COM
126920107
3016
250000
SH
Sole
250000
CAMBRIDGE TECHNOLOGY PARTNERS
COM
132524109
1199
70000
SH
Sole
70000
CAREERBUILDER INC
COM
141684100
599
63500
SH
Sole
63500
CHEMDEX CORP
COM
163595101
795
26500
SH
Sole
26500
CIDCO INC
COM
171768104
823
85000
SH
Sole
85000
CITRIX SYSTEMS
COM
177376100
1302
25000
SH
Sole
25000
COMPLETE BUSINESS SOLUTIONS IN
COM
20452f107
674
35500
SH
Sole
35500
CONRAD INDS INC
COM
208305102
190
35000
SH
Sole
35000
CORNERSTONE INTERNET SOLUTIONS
COM
21923c103
521
245300
SH
Sole
245300
COYOTE NETWORK SYSTEMS INC
COM
500
100000
SH
Sole
100000
CREATIVE BIOMOLECULES INC
COM
225270107
1491
367000
SH
Sole
367000
CURATIVE TECHNOLOGIES INC
COM
231264102
1328
226000
SH
Sole
226000
CUSTOMTRACKS CORPORATION
COM
232046102
1665
40000
SH
Sole
40000
CYPRESS SEMICONDUCTOR CORP
COM
232806109
1320
66000
SH
Sole
66000
DBS INDUSTRIES INC NEW
COM
233041300
364
149500
SH
Sole
149500
DELL COMPUTER CORP
COM
247025109
204
5000
SH
Sole
5000
DIAMOND GENL DEV CORP RSTD
COM
300
37500
SH
Sole
37500
DOT COM RSTD
COM
386
119264
SH
Sole
119264
DSP COMMUNICATIONS INC
COM
23332k106
469
20000
SH
Sole
20000
DUSA PHARMACEUTICALS INC
COM
266898105
9507
869200
SH
Sole
869200
E-SIM LTD
COM
m40990109
1282
115200
SH
Sole
115200
EARTHLINK NETWORK INC
COM
270322100
1449
30000
SH
Sole
30000
ECLIPSE SURGICAL TECHNOLOGIES
COM
278849104
479
35000
SH
Sole
35000
ENSCO INTERNATIONAL INC
COM
26874q100
507
24800
SH
Sole
24800
ENTERTAINMENT BOULEVARD INC
COM
101
35000
SH
Sole
35000
ENZON INC
COM
293904108
5669
235000
SH
Sole
235000
FILA HOLDING SPA
COM
159
15000
SH
Sole
15000
FLORIDA PANTHERS HOLDINGS INC
COM
341064103
1498
150700
SH
Sole
150700
GADZOOKS INC
COM
362553109
323
30200
SH
Sole
30200
GENESCO INC
COM
371532102
1206
100000
SH
Sole
100000
GLOBAL INDUSTRIES LTD
COM
379336100
1600
145500
SH
Sole
145500
GLOBAL MARINE INC NEW
COM
379352404
446
26800
SH
Sole
26800
GREY WOLF INC
COM
397888108
1241
536500
SH
Sole
536500
HCIA INC
COM
403908106
1332
139300
SH
Sole
139300
HORIZON OFFSHORE INC
COM
44043j105
1572
209600
SH
Sole
209600
IMPERIAL CREDIT INDUSTRIES INC
COM
193
30000
SH
Sole
30000
INDUS INTERNATIONAL INC
COM
45578l100
44
10000
SH
Sole
10000
INFOSPACE COM INC
COM
45678t102
459
10000
SH
Sole
10000
INSURANCE MANAGEMENT SOLUTIONS
COM
458045101
2544
370000
SH
Sole
370000
INTEGRATED SURGICAL SYSTEMS
COM
45812y108
866
247500
SH
Sole
247500
INTERNATIONAL INTERGRATION INC
COM
459698106
3360
160000
SH
Sole
160000
JABIL CIRCUIT INC
COM
466313103
4206
100000
SH
Sole
100000
JCC HOLDINGS CO CL A
COM
46611q205
2117
308000
SH
Sole
308000
K N ENERGY INC
COM
482620101
292
15000
SH
Sole
15000
KEMET CORP
COM
488360108
910
38300
SH
Sole
38300
KEY ENERGY GROUP INC
COM
191
50000
SH
Sole
50000
KINDER MORGAN ENERGY PARTNERS
COM
494550106
621
15200
SH
Sole
15200
LABOR READY INC NEW
COM
505401208
1289
75000
SH
Sole
75000
LCC INTERNATIONAL INC CL A
COM
153
25000
SH
Sole
25000
LOCAL FINANCIAL CORP
COM
1062
100000
SH
Sole
100000
LONE STAR TECHNOLOGIES INC
COM
431
25000
SH
Sole
25000
LSI LOGIC CORP
COM
502161102
4539
90100
SH
Sole
90100
MARINE DRILLING COMPANIES INC
COM
568240204
2613
174900
SH
Sole
174900
MAXIM INTERGRATED PRODUCTS INC
COM
57772k101
2082
32500
SH
Sole
32500
MEMC ELECTRONIC MATERIALS
COM
552715104
1554
120100
SH
Sole
120100
METRICOM INC
COM
591596101
763
30000
SH
Sole
30000
METROMEDIA FIBER NETWORK INC
COM
591689104
1606
50000
SH
Sole
50000
MP3.COM INC
COM
62473m109
1828
50000
SH
Sole
50000
NATIONAL INFORMATION
COM
636491102
4159
254000
SH
Sole
254000
NATIONAL SEMICONDUCTOR CORP
COM
637640103
4455
180000
SH
Sole
180000
NEWFIELD EXPLORATION CO
COM
651290108
883
30500
SH
Sole
30500
NEWGEN RESULTS CORP
COM
651359101
2812
225000
SH
Sole
225000
NEWPARK RESOURCES INC NEW
COM
651718504
598
63000
SH
Sole
63000
NEWSEDGE CORP
COM
65249q106
2371
305900
SH
Sole
305900
NFRONT INC
COM
65334n109
198
11000
SH
Sole
11000
NOVELLUS SYSTEMS INC
COM
670008101
1287
20000
SH
Sole
20000
NS GROUP INC
COM
628916108
2853
275000
SH
Sole
275000
NUEVO ENERGY CO
COM
670509108
267
17000
SH
Sole
17000
OCEAN ENERGY INC TEX (NEW)
COM
67481e106
2821
255000
SH
Sole
255000
OPTI INC
COM
683960108
544
78000
SH
Sole
78000
ORACLE SYSTEMS CORP
COM
68389x105
571
15000
SH
Sole
15000
ORGANOGENESIS INC
COM
685906109
934
97000
SH
Sole
97000
PACKETEER INC
COM
695210104
1204
40800
SH
Sole
40800
PARADIGM4 RSTD
COM
1000
476190
SH
Sole
476190
PARK PLACE ENTERTAINMENT CORP
COM
700690100
2623
257500
SH
Sole
257500
PATTERSON ENERGY INC
COM
703414102
794
82500
SH
Sole
82500
PERSISTENCE SOFTWARE INC
COM
715329108
1844
109300
SH
Sole
109300
PICTURETEL CORP NEW
COM
720035302
1182
190000
SH
Sole
190000
PRIDE INTERNATIONAL INC
COM
741932107
500
42100
SH
Sole
42100
PROVIDENT AMERICA CORP
COM
743832107
2663
106800
SH
Sole
106800
RATIONAL SOFTWARE CORP
COM
75409p202
14184
425000
SH
Sole
425000
RAYMOND JAMES FINANCIAL INC
COM
754730109
1233
57500
SH
Sole
57500
RECKSON SERVICE INDUSTRIES INC
COM
75621j109
3986
242500
SH
Sole
242500
RENT A CENTER INC - NEW
COM
76009n100
634
35000
SH
Sole
35000
RH NUMBER ONE LLC RSTD
COM
500
1286770
SH
Sole
1286770
RIGHT START INC
COM
766574206
75
10000
SH
Sole
10000
ROSLYN BANCORP INC
COM
778162107
2141
125000
SH
Sole
125000
ROWAN COMPANIES INC
COM
779382100
668
35500
SH
Sole
35500
SCHLUMBERGER LTD
COM
806857108
1302
21500
SH
Sole
21500
SEEC INC
COM
784110108
450
100000
SH
Sole
100000
SEGUE SOFTWARE INC
COM
815807102
1253
153000
SH
Sole
153000
SERP-QUERY OBJECT SER A CONV
COM
352
176000
SH
Sole
176000
SERP-QUERY OBJECT WTS RSTD
COM
0
109000
SH
Sole
109000
SIEBEL SYSTEMS INC
COM
826170102
7613
128764
SH
Sole
128764
SILICON GRAPHICS INC
COM
827056102
6773
382900
SH
Sole
382900
SMITH-GARDNER & ASSO INC
COM
525
50000
SH
Sole
50000
SUN MICROSYSTEMS INC
COM
866810104
2036
30000
SH
Sole
30000
SUNRISE TECHNOLOGIES INC
COM
269
50000
SH
Sole
50000
SUNTERRA CORP
COM
86787d109
2714
202000
SH
Sole
202000
SWIFT ENERGY CO
COM
870738101
684
65500
SH
Sole
65500
TCI MUSIC INC
COM
87229n101
2111
69500
SH
Sole
69500
TCI SATELLITE ENTERTAINMENT
COM
872298104
2704
627000
SH
Sole
627000
TCSI CORP.
COM
87233r106
618
318800
SH
Sole
318800
TELCOM SEMICONDUCTOR INC
COM
87921p107
817
65000
SH
Sole
65000
TEXACO INC
COM
881694103
935
15000
SH
Sole
15000
TIBCO SOFTWARE INC
COM
900
30000
SH
Sole
30000
TICKETMASTER ONLINE-CITY SEARC
COM
88633p203
2370
72500
SH
Sole
72500
TIME WARNER INC
COM
887315109
2160
30000
SH
Sole
30000
TITAN CORP
COM
160
15000
SH
Sole
15000
TITAN EXPLORTION INC
COM
888289105
259
50000
SH
Sole
50000
TRANSOCEAN OFFSHORE INC
COM
g90076103
3268
106500
SH
Sole
106500
TRIAD HOSPITAL INC
COM
106
10000
SH
Sole
10000
TRIDENT MICROSYSTEMS INC
COM
895919108
434
50000
SH
Sole
50000
U S FRANCHISE SYSTEMS INC CL-A
COM
902956309
2929
139500
SH
Sole
139500
UNITED PANAM FINANCIAL CORP
COM
911301109
27
11000
SH
Sole
11000
USCI INC
COM
27
72000
SH
Sole
72000
UTI ENERGY CORP
COM
903387108
371
22300
SH
Sole
22300
VANS INC
COM
347
30000
SH
Sole
30000
VANTIVE CORP
COM
922091103
467
50000
SH
Sole
50000
VARIAN SEMICONDUCTOR EQUIPMENT
COM
922207105
5364
230700
SH
Sole
230700
VITESSE SEMICONDUCTOR CORP
COM
928497106
1277
20000
SH
Sole
20000
WATCHGUARD TECH INC
COM
941105108
303
25000
SH
Sole
25000
WESTERN GAS RESOURCES INC
COM
330
20000
SH
Sole
20000
WHITMAN EDUCATION GROUP INC
COM
966524100
529
156700
SH
Sole
156700
WINSTAR COMMUNICATIONS INC
COM
975515107
8662
165000
SH
Sole
165000
WORLDPORT COMMUNICATIONS INC
COM
98155j105
495
165000
SH
Sole
165000
XTL BIOPHARMACEUTICALS RSTD
COM
250
68493
SH
Sole
68493
REPORT SUMMARY
158
DATA RECORDS
243326
0
OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>