<PAGE>
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: Columbus Circle Investors
Address: Metro Center
One Station Place
Stamford, CT 06902
Form 13F File Number: 28-4974
----------------
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: Anthony Rizza
Title: Managing Director and CEO
Phone: (203) 353-6000
Signature, Place, and Date of Signing:
/s/ ANTHONY RIZZA Stamford, Connecticut November 4, 1999
- -------------------------------------------------------------------------------
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
are reported in this report.)
[_] 13F NOTICE. (Check here if no holdings reported are in this report, and all
holdings are reported by other reporting manager(s).)
[_] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
reporting manager are reported in this report and a portion are reported by
other reporting manager(s).)
List of Other Managers Reporting for this Manager:
-none-
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<TABLE>
<CAPTION>
Page: 1 Form 13F Reporting Manager:
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Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
AES CORP. Equity 00130H105 37,600,700.00 637,300.0000 X
AMFM INC Equity 001693100 38,995,425.00 641,900.0000 X
ATMI INC Equity 00207R101 10,522,125.00 282,000.0000 X
AVX CORP. Equity 002444107 5,405,737.50 153,900.0000 X
ACCREDO HEALTH INC Equity 00437V104 7,764,750.00 246,500.0000 X
ACTIVISION INC. Equity 004930202 4,582,500.00 260,000.0000 X
ADAPTIVE BROADBAND CORP Equity 00650M104 502,500.00 15,000.0000 X
ADAPTEC INC. Equity 00651F108 35,770,343.75 901,300.0000 X
ADELPHIA COMMUNICATIONS CO. Equity 006848105 2,934,743.75 49,900.0000 X
ADOBE SYSTEMS, INC. Equity 00724F101 13,506,500.00 119,000.0000 X
ADVANCED DIGITAL INFO CORP Equity 007525108 6,953,125.00 250,000.0000 X
ADVANCED FIBRE COMMUNICATION Equity 00754A105 14,117,625.00 634,500.0000 X
ADVANCED ENERGY INDUSTRIES Equity 007973100 6,465,225.00 209,400.0000 X
ADVENT SOFTWARE INC. Equity 007974108 11,425,987.50 183,550.0000 X
AFFYMETRIX INC. Equity 00826T108 11,812,500.00 120,000.0000 X
ALBANY MOLECULAR INC Equity 012423109 2,100,450.00 83,600.0000 X
ALCOA Equity 013817101 30,156,168.75 485,900.0000 X
ALLAIRE CORP. Equity 016714107 6,417,600.00 114,600.0000 X
ALLEGIANCE TELECOM INC Equity 01747T102 5,488,787.50 104,300.0000 X
ALPHA INDUSTRIES INC Equity 020753109 23,030,671.88 408,300.0000 X
A L PHARMACEUTICAL INC. Equity 020813101 17,165,406.25 486,100.0000 X
AMAZON COMPANY Equity 023135106 479,625.00 6,000.0000 X
AMERICA ONLINE INC. Equity 02364J104 47,197,338.75 453,548.0000 X
AMERICAN ITALIAN PASTA CO. Equity 027070101 10,877,500.00 380,000.0000 X
AMERICAN MOBILE SATELLITE Equity 02755R103 10,106,250.00 577,500.0000 X
AMERICREDIT Equity 03060R101 13,219,687.50 885,000.0000 X
AMES DEPT STORES INC Equity 030789507 16,243,500.00 509,600.0000 X
AMGEN INC. Equity 031162100 34,767,900.00 426,600.0000 X
ANCOR COMMUNICATIONS INC Equity 03332K108 9,942,500.00 410,000.0000 X
ANHEUSER BUSCH COS. Equity 035229103 49,029,737.50 699,800.0000 X
ANN TAYLOR STORES CORP. Equity 036115103 16,129,275.00 394,600.0000 X
ANTEC CORP. Equity 03664P105 29,197,500.00 549,600.0000 X
APACHE CORP. Equity 037411105 4,465,587.50 103,400.0000 X
APPLIED MICRO CIRCUITS Equity 03822W109 570,000.00 10,000.0000 X
APPLIED SCIENCE & TECHNOLOGY Equity 038236105 3,640,312.50 176,500.0000 X
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Page Market Value 538,585,585.63
<CAPTION>
Page: 1 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S Managers Voting Authority
Name of Issuer H H Instr. V (Shares)
R R
--------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
AES CORP. 530,400.0000 106,900.0000
AMFM INC 533,700.0000 108,200.0000
ATMI INC 282,000.0000
AVX CORP. 112,600.0000 41,300.0000
ACCREDO HEALTH INC 181,700.0000 64,800.0000
ACTIVISION INC. 260,000.0000
ADAPTIVE BROADBAND CORP 15,000.0000
ADAPTEC INC. 742,400.0000 158,900.0000
ADELPHIA COMMUNICATIONS CO. 33,200.0000 16,700.0000
ADOBE SYSTEMS, INC. 99,800.0000 19,200.0000
ADVANCED DIGITAL INFO CORP 152,800.0000 97,200.0000
ADVANCED FIBRE COMMUNICATION 447,600.0000 186,900.0000
ADVANCED ENERGY INDUSTRIES 182,600.0000 26,800.0000
ADVENT SOFTWARE INC. 174,550.0000 9,000.0000
AFFYMETRIX INC. 58,400.0000 61,600.0000
ALBANY MOLECULAR INC 83,600.0000
ALCOA 401,800.0000 84,100.0000
ALLAIRE CORP. 105,500.0000 9,100.0000
ALLEGIANCE TELECOM INC 104,300.0000
ALPHA INDUSTRIES INC 283,800.0000 124,500.0000
A L PHARMACEUTICAL INC. 425,800.0000 60,300.0000
AMAZON COMPANY 6,000.0000
AMERICA ONLINE INC. 379,148.0000 74,400.0000
AMERICAN ITALIAN PASTA CO. 380,000.0000
AMERICAN MOBILE SATELLITE 577,500.0000
AMERICREDIT 721,700.0000 163,300.0000
AMES DEPT STORES INC 481,900.0000 27,700.0000
AMGEN INC. 355,500.0000 71,100.0000
ANCOR COMMUNICATIONS INC 383,600.0000 26,400.0000
ANHEUSER BUSCH COS. 577,300.0000 122,500.0000
ANN TAYLOR STORES CORP. 373,500.0000 21,100.0000
ANTEC CORP. 453,300.0000 96,300.0000
APACHE CORP. 76,000.0000 27,400.0000
APPLIED MICRO CIRCUITS 10,000.0000
APPLIED SCIENCE & TECHNOLOGY 63,300.0000 113,200.0000
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</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 2 Form 13F Reporting Manager:
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Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
ARDENT SOFTWARE INC. Equity 039794102 16,394,162.50 608,600.0000 X
ASTEC INDUSTRIES, INC. Equity 046224101 2,895,000.00 120,000.0000 X
ASYST TECHNOLOGIES Equity 04648X107 9,843,900.00 298,300.0000 X
ATMEL CORP. Equity 049513104 32,301,081.25 955,300.0000 X
AUSPEX SYSTEMS INC Equity 052116100 8,116,187.50 914,500.0000 X
BALLY TOTAL FITNESS HLDGS Equity 05873K108 9,168,750.00 300,000.0000 X
BARRETT RESOURCES Equity 068480201 17,434,500.00 472,000.0000 X
BASIN EXPLORATION INC Equity 070107107 9,204,000.00 383,500.0000 X
BATTLE MOUNTAIN GOLD Equity 071593107 12,292,593.75 3,856,500.0000 X
BAUSCH & LOMB INC. Equity 071707103 3,923,281.25 59,500.0000 X
BEBE STORES INC. Equity 075571109 8,569,200.00 355,200.0000 X
BED BATH & BEYOND Equity 075896100 5,726,256.25 163,900.0000 X
BERINGER WINE ESTATE HOLDINGS Equity 084102102 7,346,081.25 178,900.0000 X
BINDLEY WESTERN INDUSTRIES INC. Equity 090324104 8,956,705.30 625,796.0036 X
BIOGEN INC. Equity 090597105 551,687.50 7,000.0000 X
BIOVAIL CORP. Equity 09067K106 13,550,250.00 267,000.0000 X
BUCA INC Equity 117769109 1,755,000.00 135,000.0000 X
BUSINESS OBJECTIVES Equity 12328X107 10,767,500.00 182,500.0000 X
CBT GROUP PLC Equity 124853300 20,438,750.00 830,000.0000 X
CEC ENTERTAINMENT INC Equity 125137109 15,732,981.25 438,550.0000 X
CLECO CORPORATION Equity 12561W105 6,552,375.00 202,000.0000 X
CTS CORP Equity 126501105 20,406,750.00 354,900.0000 X
CVS CORPORATION Equity 126650100 36,131,306.25 885,300.0000 X
CALPINE CORP. Equity 131347106 12,555,225.00 147,600.0000 X
CANADAIGUA BRANDS CLASS A Equity 137219200 5,975,000.00 100,000.0000 X
CAPROCK COMMUNICATIONS CORP Equity 140667106 8,544,375.00 367,500.0000 X
CARRIER ACCESS Equity 144460102 25,522,350.00 610,400.0000 X
CATALINA MARKETING CORP. Equity 148867104 6,352,456.25 74,900.0000 X
CELESTICA INC. Equity 15101Q108 3,288,375.00 66,600.0000 X
CENDANT CORPORATION Equity 151313103 49,345,000.00 2,780,000.0000 X
CENTEX CONSTRUCTION PRODUCTS Equity 15231R109 9,281,250.00 250,000.0000 X
CHASE MANHATTAN CORP. Equity 16161A108 33,089,625.00 439,000.0000 X
CHEMDEX CORP Equity 163595101 9,243,750.00 300,000.0000 X
CHICOS FAS INC Equity 168615102 5,913,250.00 217,000.0000 X
CHURCH & DWIGHT Equity 171340102 4,725,000.00 189,000.0000 X
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Page Market Value 451,893,955.30
<CAPTION>
Page: 2 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ---------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ---------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
ARDENT SOFTWARE INC. 595,600.0000 13,000.0000
ASTEC INDUSTRIES, INC. 113,800.0000 6,200.0000
ASYST TECHNOLOGIES 278,700.0000 19,600.0000
ATMEL CORP. 782,200.0000 173,100.0000
AUSPEX SYSTEMS INC 401,700.0000 512,800.0000
BALLY TOTAL FITNESS HLDGS 234,400.0000 65,600.0000
BARRETT RESOURCES 414,800.0000 57,200.0000
BASIN EXPLORATION INC 283,500.0000 100,000.0000
BATTLE MOUNTAIN GOLD 3,245,800.0000 610,700.0000
BAUSCH & LOMB INC. 42,700.0000 16,800.0000
BEBE STORES INC. 300,600.0000 54,600.0000
BED BATH & BEYOND 122,100.0000 41,800.0000
BERINGER WINE ESTATE HOLDINGS 135,500.0000 43,400.0000
BINDLEY WESTERN INDUSTRIES INC. 625,796.0036
BIOGEN INC. 7,000.0000
BIOVAIL CORP. 150,700.0000 116,300.0000
BUCA INC 135,000.0000
BUSINESS OBJECTIVES 138,500.0000 44,000.0000
CBT GROUP PLC 574,000.0000 256,000.0000
CEC ENTERTAINMENT INC 438,550.0000
CLECO CORPORATION 202,000.0000
CTS CORP 354,900.0000
CVS CORPORATION 736,200.0000 149,100.0000
CALPINE CORP. 143,600.0000 4,000.0000
CANADAIGUA BRANDS CLASS A 100,000.0000
CAPROCK COMMUNICATIONS CORP 197,500.0000 170,000.0000
CARRIER ACCESS 520,400.0000 90,000.0000
CATALINA MARKETING CORP. 54,800.0000 20,100.0000
CELESTICA INC. 44,800.0000 21,800.0000
CENDANT CORPORATION 2,312,300.0000 467,700.0000
CENTEX CONSTRUCTION PRODUCTS 120,000.0000 130,000.0000
CHASE MANHATTAN CORP. 365,200.0000 73,800.0000
CHEMDEX CORP 282,100.0000 17,900.0000
CHICOS FAS INC 70,000.0000 147,000.0000
CHURCH & DWIGHT 126,200.0000 62,800.0000
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</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 3 Form 13F Reporting Manager:
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Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
CIENA CORP Equity 171779101 46,767,450.00 1,281,300.0000 X
CINAR CORP -CL B SUB VTG Equity 171905300 10,675,225.00 352,900.0000 X
CIRCUIT CITY STORES INC. Equity 172737108 40,980,937.50 971,400.0000 X
CISCO Equity 17275R102 38,466,993.86 561,050.0472 X
CITADEL COMMUNICATIONS CORP Equity 172853202 11,090,625.00 325,000.0000 X
CITIGROUP INC. Equity 172967101 45,378,300.51 1,031,325.0116 X
CITIZENS UTILITIES CO Equity 177342201 4,064,581.25 359,300.0000 X
CITRIX SYSTEMS INC. Equity 177376100 433,562.50 7,000.0000 X
CITY NATIONAL CORP. Equity 178566105 6,997,781.25 208,500.0000 X
CLEARNET COMMUNICATIONS Equity 184902104 361,250.00 20,000.0000 X
KENNETH COLE PRODUCTIONS Equity 193294105 5,419,375.00 145,000.0000 X
COLUMBIA/HCA HEALTHCARE CORP Equity 197677107 30,713,400.00 1,449,600.0000 X
COMMERCE ONE INC Equity 200693109 8,843,546.88 90,500.0000 X
COMMSCOPE INC. Equity 203372107 23,530,000.00 724,000.0000 X
CONEXANT SYSTEMS INC Equity 207142100 3,705,468.75 51,000.0000 X
CONMED CORP Equity 207410101 6,196,050.00 252,900.0000 X
CORPORATE EXECUTIVE BOARD CO. Equity 21988R102 5,093,750.00 125,000.0000 X
COST PLUS INC/CALIFORNIA Equity 221485105 18,721,000.00 386,000.0000 X
CREDENCE SYSTEMS Equity 225302108 13,709,312.50 305,500.0000 X
CREO PRODUCTS INC-W/I Equity 225606102 5,759,906.25 234,500.0000 X
CYBERONICS Equity 23251P102 5,451,875.00 305,000.0000 X
DII GROUP Equity 232949107 22,287,762.50 633,400.0000 X
DSP GROUP Equity 23332B106 9,968,750.00 250,000.0000 X
DAL-TILE INTERNATIONAL INC. Equity 23426R108 5,903,912.50 743,800.0000 X
DIGITAL MICROWAVE Equity 253859102 18,738,718.75 1,194,500.0000 X
DOLLAR THRIFTY Equity 256743105 8,854,250.00 428,000.0000 X
DOUBLECLICK INC Equity 258609304 714,750.00 6,000.0000 X
DOWNEY FINANCIAL CORP Equity 261018105 4,456,681.25 221,450.0000 X
DURA AUTOMOTIVE Equity 265903104 5,125,312.50 213,000.0000 X
DYCOM INDUSTRIES INC. Equity 267475101 17,670,234.39 418,850.0004 X
EAGLE USA AIRFREIGHT INC Equity 270018104 12,305,809.38 411,050.0000 X
EARTHWEB INC Equity 27032C108 10,665,000.00 270,000.0000 X
ECLIPSE SURGICAL TECHNOLOGIES Equity 278849104 13,497,000.00 818,000.0000 X
ELECTRONIC ARTS INCORPORATED Equity 285512109 28,703,925.00 396,600.0000 X
EMULEX CORP Equity 292475209 8,845,125.00 103,000.0000 X
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Page Market Value 500,097,622.51
<CAPTION>
Page: 3 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
CIENA CORP 1,057,900.0000 223,400.0000
CINAR CORP -CL B SUB VTG 204,900.0000 148,000.0000
CIRCUIT CITY STORES INC. 793,200.0000 178,200.0000
CISCO 467,950.0390 93,100.0082
CITADEL COMMUNICATIONS CORP 325,000.0000
CITIGROUP INC. 857,850.0089 173,475.0027
CITIZENS UTILITIES CO 239,900.0000 119,400.0000
CITRIX SYSTEMS INC. 7,000.0000
CITY NATIONAL CORP. 208,500.0000
CLEARNET COMMUNICATIONS 20,000.0000
KENNETH COLE PRODUCTIONS 120,000.0000 25,000.0000
COLUMBIA/HCA HEALTHCARE CORP 1,205,600.0000 244,000.0000
COMMERCE ONE INC 90,500.0000
COMMSCOPE INC. 515,000.0000 209,000.0000
CONEXANT SYSTEMS INC 33,700.0000 17,300.0000
CONMED CORP 244,900.0000 8,000.0000
CORPORATE EXECUTIVE BOARD CO. 125,000.0000
COST PLUS INC/CALIFORNIA 379,000.0000 7,000.0000
CREDENCE SYSTEMS 210,800.0000 94,700.0000
CREO PRODUCTS INC-W/I 40,500.0000 194,000.0000
CYBERONICS 35,000.0000 270,000.0000
DII GROUP 538,400.0000 95,000.0000
DSP GROUP 250,000.0000
DAL-TILE INTERNATIONAL INC. 743,800.0000
DIGITAL MICROWAVE 944,500.0000 250,000.0000
DOLLAR THRIFTY 192,800.0000 235,200.0000
DOUBLECLICK INC 6,000.0000
DOWNEY FINANCIAL CORP 160,000.0000 61,450.0000
DURA AUTOMOTIVE 163,000.0000 50,000.0000
DYCOM INDUSTRIES INC. 249,800.0001 169,050.0003
EAGLE USA AIRFREIGHT INC 411,050.0000
EARTHWEB INC 222,000.0000 48,000.0000
ECLIPSE SURGICAL TECHNOLOGIES 754,000.0000 64,000.0000
ELECTRONIC ARTS INCORPORATED 324,300.0000 72,300.0000
EMULEX CORP 55,700.0000 47,300.0000
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</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 4 Form 13F Reporting Manager:
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Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
ENRON CORP. Equity 293561106 50,781,993.75 1,236,700.0000 X
EVERGREEN RESOURCES Equity 299900308 3,850,000.00 160,000.0000 X
EXPRESS SCRIPTS INC CLASS A Equity 302182100 6,369,550.00 81,400.0000 X
FYI INC. Equity 302712104 5,120,500.00 152,000.0000 X
FACTORY 2-U STORES INC Equity 303072102 7,812,312.50 261,500.0000 X
FEDERATED DEPT STORES INC. Equity 31410H101 27,842,043.75 637,300.0000 X
FIRST DATA CORP Equity 319963104 29,992,950.00 683,600.0000 X
FIRSTAR CORPORATION Equity 33763V109 3,436,517.50 134,108.0000 X
FOODMAKER INC Equity 344839204 20,142,018.75 807,700.0000 X
FOREST OIL CORP Equity 346091606 14,673,750.00 860,000.0000 X
FORWARD AIR CORPORATION Equity 349853101 3,635,887.50 153,900.0000 X
FOSSIL INC. Equity 349882100 6,929,339.60 256,049.5004 X
GENESYS TELECOMMUNICATIONS INC. Equity 371931106 17,699,337.50 387,400.0000 X
GENESIS MICROCHIP INC Equity 371933102 12,015,118.75 679,300.0000 X
GEON COMPANY Equity 37246W105 18,843,850.00 731,800.0000 X
GETTY IMAGES INC. Equity 374276103 5,681,437.50 235,500.0000 X
GLOBAL INDUSTRIES LTD. Equity 379336100 9,632,187.50 1,185,500.0000 X
GLOBAL TELESYSTEMS INC Equity 37936U104 19,992,840.63 1,013,900.0000 X
GLOBIX CORPORATION Equity 37957F101 13,926,825.00 297,900.0000 X
GO2NET INC Equity 383486107 12,801,075.00 197,700.0000 X
GUCCI INC. Equity 401566104 3,156,300.00 37,800.0000 X
GUIDANT CORPORATION Equity 401698105 23,959,328.25 446,794.0000 X
HAIN FOOD GROUP INC Equity 405219106 4,247,100.00 171,600.0000 X
HANOVER COMPRESSOR Equity 410768105 8,016,750.00 252,000.0000 X
HARMONIC INC. Equity 413160102 19,948,906.25 152,500.0000 X
HAVERTY FURNITURE Equity 419596101 4,695,100.00 323,800.0000 X
HOLLYWOOD PARK INC. Equity 436255103 7,898,137.50 513,700.0000 X
HOME DEPOT Equity 437076102 41,106,992.64 599,009.0002 X
HOT TOPIC Equity 441339108 5,995,000.00 220,000.0000 X
IDEC PHARMACEUTICALS Equity 449370105 2,266,153.13 24,100.0000 X
IMCO RECYCLING INC Equity 449681105 1,105,500.00 73,700.0000 X
ITC DELTACOM INC Equity 45031T104 13,109,250.00 476,700.0000 X
IXL ENTERPRISES INC Equity 450718101 4,830,131.25 136,300.0000 X
IMATION CORPORATION Equity 45245A107 15,713,900.00 506,900.0000 X
INDEPENDENT ENERGY HLDGS-ADR Equity 45384X108 3,799,125.00 198,000.0000 X
- ----------------------------------------------------------------------------------------------------------------------------------
Page Market Value 451,027,209.24
<CAPTION>
Page: 4 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
ENRON CORP. 1,030,700.0000 206,000.0000
EVERGREEN RESOURCES 131,500.0000 28,500.0000
EXPRESS SCRIPTS INC CLASS A 56,700.0000 24,700.0000
FYI INC. 152,000.0000
FACTORY 2-U STORES INC 163,100.0000 98,400.0000
FEDERATED DEPT STORES INC. 530,100.0000 107,200.0000
FIRST DATA CORP 570,200.0000 113,400.0000
FIRSTAR CORPORATION 89,436.0000 44,672.0000
FOODMAKER INC 579,700.0000 228,000.0000
FOREST OIL CORP 839,300.0000 20,700.0000
FORWARD AIR CORPORATION 106,600.0000 47,300.0000
FOSSIL INC. 256,049.5004
GENESYS TELECOMMUNICATIONS INC. 252,700.0000 134,700.0000
GENESIS MICROCHIP INC 648,400.0000 30,900.0000
GEON COMPANY 624,400.0000 107,400.0000
GETTY IMAGES INC. 215,500.0000 20,000.0000
GLOBAL INDUSTRIES LTD. 894,200.0000 291,300.0000
GLOBAL TELESYSTEMS INC 846,900.0000 167,000.0000
GLOBIX CORPORATION 220,700.0000 77,200.0000
GO2NET INC 154,000.0000 43,700.0000
GUCCI INC. 25,100.0000 12,700.0000
GUIDANT CORPORATION 372,694.0000 74,100.0000
HAIN FOOD GROUP INC 171,600.0000
HANOVER COMPRESSOR 188,000.0000 64,000.0000
HARMONIC INC. 152,500.0000
HAVERTY FURNITURE 266,400.0000 57,400.0000
HOLLYWOOD PARK INC. 513,700.0000
HOME DEPOT 498,609.0002 100,400.0000
HOT TOPIC 220,000.0000
IDEC PHARMACEUTICALS 15,900.0000 8,200.0000
IMCO RECYCLING INC 73,700.0000
ITC DELTACOM INC 211,000.0000 265,700.0000
IXL ENTERPRISES INC 111,500.0000 24,800.0000
IMATION CORPORATION 476,900.0000 30,000.0000
INDEPENDENT ENERGY HLDGS-ADR 88,000.0000 110,000.0000
- ----------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 5 Form 13F Reporting Manager:
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Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
INET TECHNOLOGIES INC Equity 45662V105 9,537,593.75 239,000.0000 X
INFOSPACE.COM INC. Equity 45678T102 3,828,737.50 93,100.0000 X
INSIGHT COMMUNICATIONS INC Equity 45768V108 3,809,987.50 133,100.0000 X
INTEL CORP Equity 458140100 58,320,450.00 784,800.0000 X
INTRANET SOLUTIONS INC Equity 460939309 733,125.00 85,000.0000 X
INTERSPEED INC Equity 46070W107 7,561,125.00 429,000.0000 X
INTERTAN INC Equity 461120107 12,952,500.00 660,000.0000 X
INTIMATE BRANDS INC. Equity 461156101 5,329,375.63 136,870.0001 X
INTUIT Equity 461202103 2,410,546.88 27,500.0000 X
ISLE OF CAPRI CASINOS Equity 464592104 4,950,000.00 495,000.0000 X
JDS UNIPHASE CORP Equity 46612J101 569,062.50 5,000.0000 X
JAKKS PACIFIC INC Equity 47012E106 11,576,250.00 308,700.0000 X
JOHNSON & JOHNSON Equity 478160104 33,102,562.50 360,300.0000 X
JONES APPAREL GROUP INC Equity 480074103 4,654,625.00 161,900.0000 X
JONES PHARMACEUTICAL INC. Equity 480236108 30,212,562.51 916,400.0002 X
KLA TENCOR Equity 482480100 520,000.00 8,000.0000 X
K N ENERGY INC Equity 482620101 4,296,781.25 191,500.0000 X
KAISER ALUMINUM CORP Equity 483007100 3,679,112.50 442,600.0000 X
KEMET CORP. Equity 488360108 17,972,831.25 562,200.0000 X
KEY ENERGY SERVICES INC Equity 492914106 7,164,312.50 1,451,000.0000 X
KIMBERLY CLARK Equity 494368103 21,912,350.00 415,400.0000 X
KOPIN CORPORATION Equity 500600101 3,510,375.00 126,500.0000 X
LSI LOGIC CORP. Equity 502161102 260,000.00 5,000.0000 X
L-3 COMMUNICATIONS CORP Equity 502424104 3,850,500.00 102,000.0000 X
LAMAR ADVERTISING Equity 512815101 2,821,500.00 57,000.0000 X
LANDS END INC. Equity 515086106 4,316,400.00 65,400.0000 X
LINEAR TECHNOLOGY CORP. Equity 535678106 2,051,465.63 34,900.0000 X
LONGVIEW FIBER Equity 543213102 3,900,400.00 313,600.0000 X
LYCOS INC. Equity 550818108 3,593,962.50 71,700.0000 X
MBNA CORP. Equity 55262L100 25,983,437.50 1,139,000.0000 X
MGC COMMUNICATIONS INC Equity 552763302 6,225,000.00 300,000.0000 X
MMC NETWORKS Equity 55308N102 12,412,625.00 398,000.0000 X
MTI TECHNOLOGY CORP Equity 553903105 24,962,850.00 1,082,400.0000 X
MACROVISION Equity 555904101 9,718,125.00 219,000.0000 X
STEVEN MADDEN LTD Equity 556269108 2,587,500.00 200,000.0000 X
- ----------------------------------------------------------------------------------------------------------------------------------
Page Market Value 351,288,031.89
<CAPTION>
Page: 5 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
INET TECHNOLOGIES INC 230,000.0000 9,000.0000
INFOSPACE.COM INC. 15,000.0000 78,100.0000
INSIGHT COMMUNICATIONS INC 94,000.0000 39,100.0000
INTEL CORP 654,500.0000 130,300.0000
INTRANET SOLUTIONS INC 85,000.0000
INTERSPEED INC 429,000.0000
INTERTAN INC 275,900.0000 384,100.0000
INTIMATE BRANDS INC. 102,295.0000 34,575.0001
INTUIT 18,500.0000 9,000.0000
ISLE OF CAPRI CASINOS 295,000.0000 200,000.0000
JDS UNIPHASE CORP 5,000.0000
JAKKS PACIFIC INC 283,100.0000 25,600.0000
JOHNSON & JOHNSON 299,400.0000 60,900.0000
JONES APPAREL GROUP INC 124,200.0000 37,700.0000
JONES PHARMACEUTICAL INC. 735,300.0002 181,100.0000
KLA TENCOR 8,000.0000
K N ENERGY INC 126,400.0000 65,100.0000
KAISER ALUMINUM CORP 179,000.0000 263,600.0000
KEMET CORP. 542,900.0000 19,300.0000
KEY ENERGY SERVICES INC 1,451,000.0000
KIMBERLY CLARK 345,800.0000 69,600.0000
KOPIN CORPORATION 81,500.0000 45,000.0000
LSI LOGIC CORP. 5,000.0000
L-3 COMMUNICATIONS CORP 90,000.0000 12,000.0000
LAMAR ADVERTISING 38,000.0000 19,000.0000
LANDS END INC. 43,700.0000 21,700.0000
LINEAR TECHNOLOGY CORP. 23,400.0000 11,500.0000
LONGVIEW FIBER 313,600.0000
LYCOS INC. 47,400.0000 24,300.0000
MBNA CORP. 947,500.0000 191,500.0000
MGC COMMUNICATIONS INC 91,100.0000 208,900.0000
MMC NETWORKS 398,000.0000
MTI TECHNOLOGY CORP 867,400.0000 215,000.0000
MACROVISION 157,700.0000 61,300.0000
STEVEN MADDEN LTD 168,100.0000 31,900.0000
- ----------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 6 Form 13F Reporting Manager:
- ----------------------------------------------------------------------------------------------------------------------------------
Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
MARINE DRILLING Equity 568240204 17,472,812.50 1,105,000.0000 X
MEDIA METRIX INC Equity 58440X103 8,821,718.75 126,250.0000 X
MEDICIS PHARMACEUTICAL Equity 584690309 13,537,500.00 475,000.0000 X
MEDIMMUNE INC Equity 584699102 5,132,296.88 51,500.0000 X
MEDQUIST INC Equity 584949101 15,026,812.50 449,400.0000 X
MESA AIRLINES Equity 590479101 3,071,075.00 501,400.0000 X
METTLER-TOLEDO INTERNATIONAL Equity 592688105 11,778,900.00 397,600.0000 X
MICROSOFT Equity 594918104 58,548,656.25 646,500.0000 X
MICROMUSE INC. Equity 595094103 25,854,200.00 402,400.0000 X
MIDWAY GAMES INC. Equity 598148104 4,725,000.00 300,000.0000 X
MONACO COACH Equity 60886R103 11,821,875.01 485,000.0005 X
MONTANA POWER CO. Equity 612085100 3,299,425.00 108,400.0000 X
MOTOROLA Equity 620076109 50,635,200.00 575,400.0000 X
NCO GROUP INC. Equity 628858102 12,126,000.00 258,000.0000 X
NATIONAL COMPUTER SYSTEMS Equity 635519101 7,668,750.00 200,000.0000 X
NATIONAL INFO CONSORTIUM INC Equity 636491102 2,567,500.00 104,000.0000 X
NATIONAL RV HOLDINGS Equity 637277104 7,742,000.00 392,000.0001 X
NATIONAL SEMICONDUCTOR Equity 637640103 32,362,631.25 1,058,900.0000 X
NAVIGANT CONSULTING CO. Equity 63935N107 13,991,337.50 301,700.0000 X
NETOPIA INC Equity 64114K104 19,937,500.00 500,000.0000 X
NETWORK ACCESS SOLUTIONS CRP Equity 64120S109 5,472,250.00 413,000.0000 X
NEWBRIDGE NETWORKS CORP. Equity 650901101 364,875.00 14,000.0000 X
NEWFIELD EXPLORATION Equity 651290108 16,725,662.50 507,800.0000 X
NEWPARK RESOURCES INC Equity 651718504 4,347,750.00 561,000.0000 X
NIKE INC. Equity 654106103 35,234,062.50 619,500.0000 X
NOBLE DRILLING CORP. Equity 655042109 3,195,937.50 146,100.0000 X
NOVOSTE CORPORATION Equity 67010C100 7,569,318.75 424,200.0000 X
OCEAN ENERGY INC. Equity 67481E106 9,446,868.75 927,300.0000 X
OMNICOM GROUP INC. Equity 681919106 43,933,225.00 554,800.0000 X
ONEMAIN.COM INC Equity 68267P109 4,931,250.00 300,000.0000 X
OPEN MARKET Equity 68370M100 19,687,500.00 1,500,000.0000 X
OXFORD HEALTH PLANS INC. Equity 691471106 28,335,000.00 2,266,800.0000 X
PE CORP-PE BIOSYSTEMS Equity 69332S102 24,218,200.00 335,200.0000 X
P.F. CHANGS CHINA BISTRO Equity 69333Y108 4,065,500.00 188,000.0000 X
PACIFIC SUNWEAR OF CALIFORNIA Equity 694873100 11,212,500.00 400,000.0000 X
- ----------------------------------------------------------------------------------------------------------------------------------
Page Market Value 544,861,090.64
<CAPTION>
Page: 6 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ---------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ---------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
MARINE DRILLING 962,600.0000 142,400.0000
MEDIA METRIX INC 126,250.0000
MEDICIS PHARMACEUTICAL 407,100.0000 67,900.0000
MEDIMMUNE INC 37,800.0000 13,700.0000
MEDQUIST INC 320,600.0000 128,800.0000
MESA AIRLINES 501,400.0000
METTLER-TOLEDO INTERNATIONAL 162,600.0000 235,000.0000
MICROSOFT 539,300.0000 107,200.0000
MICROMUSE INC. 374,100.0000 28,300.0000
MIDWAY GAMES INC. 125,000.0000 175,000.0000
MONACO COACH 485,000.0005
MONTANA POWER CO. 72,200.0000 36,200.0000
MOTOROLA 479,800.0000 95,600.0000
NCO GROUP INC. 168,000.0000 90,000.0000
NATIONAL COMPUTER SYSTEMS 200,000.0000
NATIONAL INFO CONSORTIUM INC 85,700.0000 18,300.0000
NATIONAL RV HOLDINGS 47,000.0000 345,000.0001
NATIONAL SEMICONDUCTOR 865,000.0000 193,900.0000
NAVIGANT CONSULTING CO. 292,300.0000 9,400.0000
NETOPIA INC 462,900.0000 37,100.0000
NETWORK ACCESS SOLUTIONS CRP 413,000.0000
NEWBRIDGE NETWORKS CORP. 14,000.0000
NEWFIELD EXPLORATION 426,400.0000 81,400.0000
NEWPARK RESOURCES INC 508,100.0000 52,900.0000
NIKE INC. 515,100.0000 104,400.0000
NOBLE DRILLING CORP. 96,000.0000 50,100.0000
NOVOSTE CORPORATION 337,100.0000 87,100.0000
OCEAN ENERGY INC. 463,000.0000 464,300.0000
OMNICOM GROUP INC. 466,500.0000 88,300.0000
ONEMAIN.COM INC 300,000.0000
OPEN MARKET 1,289,500.0000 210,500.0000
OXFORD HEALTH PLANS INC. 1,852,600.0000 414,200.0000
PE CORP-PE BIOSYSTEMS 276,400.0000 58,800.0000
P.F. CHANGS CHINA BISTRO 132,000.0000 56,000.0000
PACIFIC SUNWEAR OF CALIFORNIA 238,700.0000 161,300.0000
- ---------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 7 Form 13F Reporting Manager:
- ----------------------------------------------------------------------------------------------------------------------------------
Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
PACKETEER INC Equity 695210104 6,775,031.25 198,900.0000 X
PARADYNE NETWORKS INC Equity 69911G107 11,200,000.00 400,000.0000 X
PEPSICO Equity 713448108 24,515,900.00 803,800.0000 X
PHARMACYCLICS INC Equity 716933106 4,700,625.00 115,000.0000 X
PHILADELPHIA SUBURBAN CORP Equity 718009608 4,241,250.00 180,000.0000 X
PHOTON DYNAMICS INC Equity 719364101 3,286,500.00 156,500.0000 X
PINNACLE SYSTEMS Equity 723481107 6,186,750.00 146,000.0000 X
PITNEY BOWES INC. Equity 724479100 29,786,250.00 488,800.0000 X
POLYCOM INC. Equity 73172K104 35,360,937.50 742,000.0000 X
POWER INTEGRATIONS INC. Equity 739276103 17,728,000.00 256,000.0000 X
POWER ONE INC. Equity 739308104 8,925,000.00 350,000.0000 X
POWERTEL INC Equity 73936C109 2,753,125.00 50,000.0000 X
PREPAID LEGAL SERVICES INC Equity 740065107 3,098,812.50 78,700.0000 X
PRECISION DRILLING CORP. Equity 74022D100 14,288,137.50 616,200.0000 X
PRIMUS TELECOMMUNICATIONS GP Equity 741929103 10,378,200.00 494,200.0000 X
PROFIT RECOVERY GROUP Equity 743168106 21,812,700.00 488,800.0001 X
PROVIDIAN FINANCIAL CORPORATION Equity 74406A102 27,838,365.76 351,550.0017 X
PROXICOM INC Equity 744282104 10,237,500.00 175,000.0000 X
PROXIM INC. Equity 744284100 14,480,800.00 314,800.0000 X
PSINET Equity 74437C101 4,553,643.75 126,600.0000 X
PURCHASEPRO.COM Equity 746144104 4,156,100.00 119,600.0000 X
QUALCOMM INC. Equity 747525103 6,848,587.50 36,200.0000 X
QUANTA SERVICES INC. Equity 74762E102 6,460,475.00 220,400.0000 X
QUEST SOFTWARE INC Equity 74834T103 1,162,500.00 25,000.0000 X
RF MICRO DEVICES Equity 749941100 3,641,700.00 79,600.0000 X
RARE HOSPITALITY INTL INC Equity 753820109 6,740,512.50 311,700.0000 X
RATIONAL SOFTWARE Equity 75409P202 439,218.75 15,000.0000 X
READERS DIGEST ASSN INC. Equity 755267101 2,761,200.00 94,400.0000 X
RENT WAY INC Equity 76009U104 5,441,600.00 286,400.0000 X
RESEARCH IN MOTION Equity 760975102 6,441,187.50 208,200.0000 X
ROGERS CANTEL MOBILE COMM-B Equity 775102205 4,005,556.25 169,100.0000 X
SPX CORP Equity 784635104 6,779,025.00 74,700.0000 X
SANCHEZ COMPUTER ASSOCIATES Equity 799702105 24,432,950.00 695,600.0000 X
SCHERING PLOUGH Equity 806605101 35,113,762.50 804,900.0000 X
SEMTECH CORPORATION Equity 816850101 16,862,150.00 460,400.0000 X
- ----------------------------------------------------------------------------------------------------------------------------------
Page Market Value 393,434,053.26
<CAPTION>
Page: 7 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
PACKETEER INC 198,900.0000
PARADYNE NETWORKS INC 350,800.0000 49,200.0000
PEPSICO 668,300.0000 135,500.0000
PHARMACYCLICS INC 89,000.0000 26,000.0000
PHILADELPHIA SUBURBAN CORP 180,000.0000
PHOTON DYNAMICS INC 156,500.0000
PINNACLE SYSTEMS 51,300.0000 94,700.0000
PITNEY BOWES INC. 406,200.0000 82,600.0000
POLYCOM INC. 551,000.0000 191,000.0000
POWER INTEGRATIONS INC. 150,000.0000 106,000.0000
POWER ONE INC. 329,100.0000 20,900.0000
POWERTEL INC 50,000.0000
PREPAID LEGAL SERVICES INC 40,100.0000 38,600.0000
PRECISION DRILLING CORP. 386,200.0000 230,000.0000
PRIMUS TELECOMMUNICATIONS GP 494,200.0000
PROFIT RECOVERY GROUP 322,450.0000 166,350.0001
PROVIDIAN FINANCIAL CORPORATION 285,350.0013 66,200.0004
PROXICOM INC 137,100.0000 37,900.0000
PROXIM INC. 218,400.0000 96,400.0000
PSINET 97,800.0000 28,800.0000
PURCHASEPRO.COM 46,500.0000 73,100.0000
QUALCOMM INC. 27,200.0000 9,000.0000
QUANTA SERVICES INC. 110,400.0000 110,000.0000
QUEST SOFTWARE INC 17,700.0000 7,300.0000
RF MICRO DEVICES 51,400.0000 28,200.0000
RARE HOSPITALITY INTL INC 180,700.0000 131,000.0000
RATIONAL SOFTWARE 15,000.0000
READERS DIGEST ASSN INC. 66,300.0000 28,100.0000
RENT WAY INC 286,400.0000
RESEARCH IN MOTION 151,800.0000 56,400.0000
ROGERS CANTEL MOBILE COMM-B 113,000.0000 56,100.0000
SPX CORP 54,600.0000 20,100.0000
SANCHEZ COMPUTER ASSOCIATES 675,200.0000 20,400.0000
SCHERING PLOUGH 669,000.0000 135,900.0000
SEMTECH CORPORATION 172,600.0000 287,800.0000
- ----------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 8 Form 13F Reporting Manager:
- ----------------------------------------------------------------------------------------------------------------------------------
Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
SHAW GROUP Equity 820280105 5,026,000.00 224,000.0000 X
SKYWEST INC Equity 830879102 8,972,437.50 409,000.0000 X
SMITHFIELD FOODS Equity 832248108 10,427,150.00 389,800.0000 X
SOFTNET SYSTEMS Equity 833964109 11,951,062.50 490,300.0000 X
SOFTWARE.COM INC Equity 83402P104 11,319,000.00 264,000.0000 X
SONIC AUTOMOTIVE INC. Equity 83545G102 3,465,800.00 266,600.0000 X
SPARTECH CORP Equity 847220209 5,671,968.75 193,500.0000 X
STATION CASINOS INC Equity 857689103 17,163,150.00 738,200.0000 X
STILLWATER MINING Equity 86074Q102 16,125,000.00 600,000.0000 X
STONE ENERGY CORP Equity 861642106 20,757,000.00 407,000.0000 X
STRATEGIC DIAGNOSTICS Equity 862700101 5,138,437.50 567,000.0000 X
STRYKER CORP. Equity 863667101 2,505,125.00 49,000.0000 X
SYMBOL TECHNOLOGY Equity 871508107 4,383,018.75 130,350.0000 X
SYSCO CORP. Equity 871829107 23,439,281.25 668,500.0000 X
THQ INC. Equity 872443403 24,533,812.50 568,900.0000 X
T.J. INTERNATIONAL INC. Equity 872534102 3,015,000.00 120,000.0000 X
TMP WORLDWIDE Equity 872941109 9,654,775.00 158,600.0000 X
TACO CABANA CLASS A Equity 873425102 1,356,250.00 140,000.0000 X
TELLABS INC. Equity 879664100 455,500.00 8,000.0000 X
TERADYNE INC. Equity 880770102 352,500.00 10,000.0000 X
TERAYON COMMUNICATIONS SYSTEMS Equity 880775101 12,370,262.50 253,100.0000 X
TETRA TECH INC. Equity 88162G103 12,751,782.37 764,151.7525 X
TOWER AUTOMOTIVE INC. Equity 891707101 13,151,537.50 663,800.0000 X
TRANSWITCH CORP. Equity 894065101 13,261,050.05 232,650.0008 X
TRICO MARINE INC. Equity 896106101 6,483,750.00 780,000.0000 X
TUBOSCOPE VETCO Equity 898600101 6,064,525.00 487,600.0000 X
TWEETER HOME ENTERTAINMENT GRP. Equity 901167106 6,540,625.00 175,000.0000 X
TYCO INTERNATIONAL Equity 902124106 56,540,629.25 547,609.0000 X
U.S. PLASTIC LUMBER CO Equity 902948108 4,393,125.00 355,000.0000 X
UNION PACIFIC Equity 907818108 26,078,712.50 542,600.0000 X
UNITED RENTAL Equity 911363109 7,687,798.50 353,462.0000 X
UNIVISION COMMUNICATION INC. Equity 914906102 16,144,800.00 198,400.0000 X
US FREIGHTWAYS Equity 916906100 2,676,687.50 56,500.0000 X
USINTERNETWORKING INC Equity 917311805 7,562,500.00 242,000.0000 X
USWEB CORP. Equity 917327108 37,627,087.50 1,096,600.0000 X
- ----------------------------------------------------------------------------------------------------------------------------------
Page Market Value 415,047,141.42
<CAPTION>
Page: 8 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
SHAW GROUP 224,000.0000
SKYWEST INC 299,000.0000 110,000.0000
SMITHFIELD FOODS 238,700.0000 151,100.0000
SOFTNET SYSTEMS 341,800.0000 148,500.0000
SOFTWARE.COM INC 106,000.0000 158,000.0000
SONIC AUTOMOTIVE INC. 216,600.0000 50,000.0000
SPARTECH CORP 99,200.0000 94,300.0000
STATION CASINOS INC 700,800.0000 37,400.0000
STILLWATER MINING 456,600.0000 143,400.0000
STONE ENERGY CORP 324,200.0000 82,800.0000
STRATEGIC DIAGNOSTICS 476,600.0000 90,400.0000
STRYKER CORP. 32,400.0000 16,600.0000
SYMBOL TECHNOLOGY 96,550.0000 33,800.0000
SYSCO CORP. 539,800.0000 128,700.0000
THQ INC. 510,400.0000 58,500.0000
T.J. INTERNATIONAL INC. 120,000.0000
TMP WORLDWIDE 158,600.0000
TACO CABANA CLASS A 140,000.0000
TELLABS INC. 8,000.0000
TERADYNE INC. 10,000.0000
TERAYON COMMUNICATIONS SYSTEMS 204,200.0000 48,900.0000
TETRA TECH INC. 739,129.2508 25,022.5017
TOWER AUTOMOTIVE INC. 433,800.0000 230,000.0000
TRANSWITCH CORP. 135,950.0003 96,700.0005
TRICO MARINE INC. 455,000.0000 325,000.0000
TUBOSCOPE VETCO 487,600.0000
TWEETER HOME ENTERTAINMENT GRP. 175,000.0000
TYCO INTERNATIONAL 455,609.0000 92,000.0000
U.S. PLASTIC LUMBER CO 355,000.0000
UNION PACIFIC 451,400.0000 91,200.0000
UNITED RENTAL 300,112.0000 53,350.0000
UNIVISION COMMUNICATION INC. 164,900.0000 33,500.0000
US FREIGHTWAYS 37,300.0000 19,200.0000
USINTERNETWORKING INC 242,000.0000
USWEB CORP. 863,300.0000 233,300.0000
- ----------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 9 Form 13F Reporting Manager:
- ----------------------------------------------------------------------------------------------------------------------------------
Item 1 Item 2 Item 3 Item 4 Item 5 S
Name of Issuer Title of Cusip Fair Market Shares or O
Class Number Value Principal L
Amount E
- ----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
VALASSIS COMMUNICATION Equity 918866104 4,380,568.75 99,700.0000 X
VALUEVISION INTL INC-CL A Equity 92047K107 23,860,200.00 917,700.0000 X
VERIO INC Equity 923433106 1,085,000.00 35,000.0000 X
VERITAS SOFTWARE CORP. Equity 923436109 3,842,437.50 50,600.0000 X
VERITY INC. Equity 92343C106 28,825,556.25 418,900.0000 X
VERISIGN Equity 92343E102 4,664,700.00 43,800.0000 X
VERITAS DGC INC. Equity 92343P107 19,250,000.00 1,000,000.0000 X
VERTICALNET INC Equity 92532L107 4,832,200.00 130,600.0000 X
VINTAGE PETROLEUM INC Equity 927460105 8,077,050.00 598,300.0000 X
VISUAL NETWORKS INC. Equity 928444108 29,600,156.25 697,500.0000 X
VOICESTREAM WIRELESS CORP Equity 928615103 40,290,000.00 652,800.0000 X
WALMART STORES Equity 931142103 35,881,150.00 754,400.0000 X
WATCHGUARD TECHNOLOGIES INC Equity 941105108 2,572,500.00 171,500.0000 X
WEATHERFORD INTL Equity 947074100 3,875,200.00 121,100.0000 X
WEBSTER FINANCIAL CORP. Equity 947890109 11,487,750.00 450,500.0000 X
WEBTRENDS CORP. Equity 94844D104 23,435,418.75 525,900.0000 X
WELLS FARGO Equity 949746101 31,751,512.50 801,300.0000 X
WILLAMETTE Equity 969133107 4,493,625.00 104,200.0000 X
WINNEBAGO INDUSTRIES Equity 974637100 6,738,406.25 281,500.0000 X
WIT CAPITAL GROUP INC Equity 97737K309 7,012,562.50 384,250.0000 X
XILINX INC. Equity 983919101 458,718.75 7,000.0000 X
YAHOO Equity 984332106 25,489,000.00 142,000.0000 X
ZIONS BANCORPORATION Equity 989701107 4,839,975.00 87,800.0000 X
ZORAN CORP Equity 98975F101 8,962,100.00 330,400.0000 X
ZOLL MEDICAL CORP Equity 989922109 1,300,750.00 43,000.0000 X
AMDOCS LTD Equity G02602103 4,735,500.00 225,500.0000 X
AUDIOCODES LTD Equity M15342104 5,470,675.00 145,400.0000 X
CHECK POINT SOFTWARE TECH Equity M22465104 7,700,700.00 91,200.0000 X
GALILEO TECHNOLOGY Equity M47298100 14,515,000.00 580,600.0000 X
M-SYSTEMS FLASH DISK PIONEER Equity M7061C100 4,360,500.00 408,000.0000 X
ORCKIT COMMUNICATIONS LTD Equity M7531S107 17,408,037.50 492,100.0000 X
CORE LABS Equity N22717107 9,836,250.00 524,600.0000 X
- ----------------------------------------------------------------------------------------------------------------------------------
Page Market Value 401,033,200.00
Total Market Value 4,047,267,889.89
<CAPTION>
Page: 9 Columbus Circle Investors I.D.# 28-4974 Qtr 3 1999
- ----------------------------------------------------------------------------------------------------------------------
Item 6
Item 1 Inv. Discretion Item 7 Item 8
Name of Issuer S S Managers Voting Authority
H H Instr. V (Shares)
R R --------------------------------------------
D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------
<S> <C> <C>
VALASSIS COMMUNICATION 65,700.0000 34,000.0000
VALUEVISION INTL INC-CL A 749,300.0000 168,400.0000
VERIO INC 23,300.0000 11,700.0000
VERITAS SOFTWARE CORP. 37,100.0000 13,500.0000
VERITY INC. 320,900.0000 98,000.0000
VERISIGN 32,400.0000 11,400.0000
VERITAS DGC INC. 718,100.0000 281,900.0000
VERTICALNET INC 58,900.0000 71,700.0000
VINTAGE PETROLEUM INC 532,300.0000 66,000.0000
VISUAL NETWORKS INC. 456,100.0000 241,400.0000
VOICESTREAM WIRELESS CORP 537,100.0000 115,700.0000
WALMART STORES 627,800.0000 126,600.0000
WATCHGUARD TECHNOLOGIES INC 146,400.0000 25,100.0000
WEATHERFORD INTL 91,700.0000 29,400.0000
WEBSTER FINANCIAL CORP. 432,500.0000 18,000.0000
WEBTRENDS CORP. 436,900.0000 89,000.0000
WELLS FARGO 667,000.0000 134,300.0000
WILLAMETTE 78,500.0000 25,700.0000
WINNEBAGO INDUSTRIES 281,500.0000
WIT CAPITAL GROUP INC 342,500.0000 41,750.0000
XILINX INC. 7,000.0000
YAHOO 118,700.0000 23,300.0000
ZIONS BANCORPORATION 57,900.0000 29,900.0000
ZORAN CORP 330,400.0000
ZOLL MEDICAL CORP 43,000.0000
AMDOCS LTD 174,200.0000 51,300.0000
AUDIOCODES LTD 133,679.0000 11,721.0000
CHECK POINT SOFTWARE TECH 68,400.0000 22,800.0000
GALILEO TECHNOLOGY 309,000.0000 271,600.0000
M-SYSTEMS FLASH DISK PIONEER 210,000.0000 198,000.0000
ORCKIT COMMUNICATIONS LTD 289,500.0000 202,600.0000
CORE LABS 524,600.0000
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</TABLE>