<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: June 30, 2000
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: MARC FELMAN
Title: COMPLIANCE OFFICER
Phone: (203) 353-6000
Signature, Place, and Date of Signing:
/s/ MARC FELMAN Stamford, Connecticut AUGUST 4, 2000
-------------------------------------------------------------------------------
[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-
<PAGE>
<TABLE>
<CAPTION>
Page: 1 Form 13F Reporting Manager:
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
-----------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
AES CORP. Equity 00130H105 $ 62,077,375.00 1,360,600.0000
AMFM INC. Equity 001693100 $ 32,129,850.00 465,650.0000
APAC CUSTOMER SERVICE INC Equity 00185E106 $ 8,278,068.75 748,300.0000
ABGENIX INC Equity 00339B107 $ 3,871,457.81 32,300.0000
ACCREDO HEALTH INC Equity 00437V104 $ 10,180,384.38 294,550.0000
ACCRUE SOFTWARE INC Equity 00437W102 $ 15,793,950.00 444,900.0000
ACLARA BIOSCIENCES INC Equity 00461P106 $ 2,801,562.50 55,000.0000
ADMINISTAFF INC Equity 007094105 $ 21,209,000.00 334,000.0000
ADVANCED ENERGY INDUSTRIES Equity 007973100 $ 8,781,687.50 149,000.0000
ADVENT SOFTWARE INC Equity 007974108 $ 37,790,550.00 585,900.0000
AFFYMETRIX INC. Equity 00826T108 $ 32,546,137.50 197,100.0000
AIRGATE PCS INC Equity 009367103 $ 2,854,143.75 54,300.0000
ALBANY MOLECULAR RESEARCH Equity 012423109 $ 7,180,306.25 131,900.0000
ALLAIRE CORP Equity 016714107 $ 11,209,999.50 305,034.0000
ALLIED RISER Equity 019496108 $ 3,672,500.00 260,000.0000
ALLSCRIPTS INC Equity 019886100 $ 15,232,900.00 662,300.0000
ALPHARMA INC CLASS A Equity 020813101 $ 29,649,675.00 476,300.0000
ALTERA CORP. Equity 021441100 $ 3,221,225.00 31,600.0000
ALZA CORP Equity 022615108 $ 3,251,875.00 55,000.0000
AMERICA ONLINE INC. Equity 02364J104 $ 34,868,594.00 661,016.0000
AMERICAN TOWER CORP CLASS A Equity 029912201 $ 9,067,031.25 217,500.0000
AMERICREDIT CORP Equity 03060R101 $ 18,701,700.00 1,100,100.0000
ANDREW CORP Equity 034425108 $ 5,571,375.00 166,000.0000
ANHEUSER BUSCH COS. Equity 035229103 $ 59,835,890.63 801,150.0000
ANIXTER INTERNATIONAL INC Equity 035290105 $ 13,250,000.00 500,000.0000
APACHE CORP. Equity 037411105 $ 9,707,003.13 165,050.0000
APPLEBEE'S INTL INC Equity 037899101 $ 14,049,843.75 463,500.0000
APPLIED FILMS CORP Equity 038197109 $ 10,364,875.00 283,000.0000
APPLIED MATERIALS CORPORATION Equity 038222105 $ 44,370,000.00 489,600.0000
APPLIED MICRO CIRCUITS Equity 03822W109 $ 3,167,406.25 32,075.0000
ARGOSY GAMING COMPANY Equity 040228108 $ 16,588,750.00 1,154,000.0000
ARIBA INC Equity 04033V104 $ 3,313,985.22 33,800.0000
ASPEN TECHNOLOGY Equity 045327103 $ 20,405,000.00 530,000.0000
ASYST TECHNOLOGIES INC Equity 04648X107 $ 10,884,650.00 317,800.0000
ATLAS AIR INC. Equity 049164106 $ 11,132,012.50 310,300.0000
-----------------------------------------------------------------------------------------------------------------
Page Market Value $ 597,010,764.66
<CAPTION>
Page: 1 Columbus Circle Investors I.D.# 28-4974 Qtr 2 2000
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
-------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
AES CORP. X 1,168,700 191,900 94,900
AMFM INC. X 399,550 66,100 62,000
APAC CUSTOMER SERVICE INC X 748,300 63,500
ABGENIX INC X 32,300 0
ACCREDO HEALTH INC X 216,850 77,700 0
ACCRUE SOFTWARE INC X 444,900 145,400
ACLARA BIOSCIENCES INC X 55,000 0
ADMINISTAFF INC X 334,000 0
ADVANCED ENERGY INDUSTRIES X 126,800 22,200 162,100
ADVENT SOFTWARE INC X 571,100 14,800 26,800
AFFYMETRIX INC. X 171,800 25,300 14,800
AIRGATE PCS INC X 35,800 18,500 0
ALBANY MOLECULAR RESEARCH X 131,900 42,300
ALLAIRE CORP X 223,900 81,134 17,300
ALLIED RISER X 260,000 0
ALLSCRIPTS INC X 462,800 199,500 68,534
ALPHARMA INC CLASS A X 416,000 60,300 160,000
ALTERA CORP. X 31,600 179,000
ALZA CORP X 54,600 400 60,300
AMERICA ONLINE INC. X 562,316 98,700 0
AMERICAN TOWER CORP CLASS A X 216,700 800 62,100
AMERICREDIT CORP X 936,800 163,300 0
ANDREW CORP X 165,300 700 0
ANHEUSER BUSCH COS. X 685,700 115,450 58,400
ANIXTER INTERNATIONAL INC X 377,300 122,700 163,300
APACHE CORP. X 164,300 750 53,950
APPLEBEE'S INTL INC X 291,500 172,000 27,800
APPLIED FILMS CORP X 273,000 10,000 89,650
APPLIED MATERIALS CORPORATION X 422,200 67,400 58,150
APPLIED MICRO CIRCUITS X 32,075 190,000
ARGOSY GAMING COMPANY X 995,000 159,000 0
ARIBA INC X 33,800 0
ASPEN TECHNOLOGY X 530,000 92,800
ASYST TECHNOLOGIES INC X 284,800 33,000 143,000
ATLAS AIR INC. X 130,300 180,000 0
-------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 2 Form 13F Reporting Manager:
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
---------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
ATMEL CORP. Equity 049513104 $ 40,776,375.00 1,105,800.0000
AURORA BIOSCIENCES CORP Equity 051920106 $ 19,433,437.50 285,000.0000
AWARE INC/MASS Equity 05453N100 $ 27,827,337.50 544,300.0000
AZTAR CORP Equity 054802103 $ 5,952,000.00 384,000.0000
B J SERVICES Equity 055482103 $ 37,337,500.00 597,400.0000
BANK UNITED CORP Equity 065412108 $ 10,274,750.00 292,000.0000
BEA SYSTEMS INC. Equity 073325102 $ 62,449,450.00 1,263,200.0000
BELDEN INC Equity 077459105 $ 6,985,375.00 272,600.0000
BERINGER WINE ESTATES-B Equity 084102102 $ 7,203,750.00 204,000.0000
BLACKROCK Equity 09247X101 $ 3,317,125.00 111,500.0000
BLUE WAVE SYSTEMS INC Equity 096081104 $ 6,570,093.75 637,100.0000
BRAUNS FASHIONS CORP DOMESTIC Equity 105658108 $ 733,750.00 20,000.0000
BROADCOM CORP CLASS A Equity 111320107 $ 3,787,618.75 17,300.0000
BROOKS-AUTOMATION INC Equity 11434A100 $ 6,713,437.50 105,000.0000
BUSINESS OBJECTS ADR Equity 12328X107 $ 3,476,531.25 39,450.0000
CIGNA Equity 125509109 $ 34,417,350.00 368,100.0000
CLECO CORPORATION Equity 12561W105 $ 10,954,600.00 327,000.0000
CABOT OIL & GAS Equity 127097103 $ 7,775,812.50 367,000.0000
CABOT MICROEOECTRONICS CORP Equity 12709P103 $ 2,745,000.00 60,000.0000
CALIFORNIA MICRO DEVICES Equity 130439102 $ 6,226,875.00 205,000.0000
CALLAWAY GOLF COMPANY Equity 131193104 $ 2,544,750.00 156,000.0000
CALPINE CORPORATION Equity 131347106 $ 87,467,225.00 1,330,300.0000
CAMINUS CORP Equity 133766105 $ 3,797,500.00 155,000.0000
CAPROCK COMMUNICATIONS CORP Equity 140667106 $ 8,433,750.00 432,500.0000
CHASE MANHATTAN CORP. Equity 16161A108 $ 33,317,006.25 723,300.0000
CHESAPEAKE ENERGY CORP Equity 165167107 $ 23,397,250.00 3,019,000.0000
CHICO'S FAS INC. Equity 168615102 $ 14,340,000.00 717,000.0000
CIENA CORP Equity 171779101 $ 100,395,881.25 602,300.0000
CIMA LABS INC Equity 171796105 $ 5,971,725.00 294,900.0000
CISCO Equity 17275R102 $ 90,967,472.45 1,431,150.0090
CITADEL COMMUNICATION CORP Equity 172853202 $ 7,253,025.00 207,600.0000
CINTAS CORPORATION Equity 172908105 $ 2,659,843.75 72,500.0000
CITIGROUP INC. Equity 172967101 $ 61,980,681.41 1,028,725.0026
CITIZENS UTILITIES CO Equity 17453B101 $ 5,266,425.00 305,300.0000
CITY NATIONAL CORP. Equity 178566105 $ 7,401,750.00 208,500.0000
---------------------------------------------------------------------------------------------------------------
Page Market Value $ 760,152,353.85
<CAPTION>
Page: 2 Columbus Circle Investors I.D.# 28-4974 Qtr 2 2000
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
ATMEL CORP. X 955,500 150,300
AURORA BIOSCIENCES CORP X 249,000 36,000
AWARE INC/MASS X 400,000 144,300
AZTAR CORP X 384,000
B J SERVICES X 518,600 78,800
BANK UNITED CORP X 170,000 122,000
BEA SYSTEMS INC. X 1,092,400 170,800
BELDEN INC X 272,600
BERINGER WINE ESTATES-B X 141,600 62,400
BLACKROCK X 79,400 32,100
BLUE WAVE SYSTEMS INC X 559,500 77,600
BRAUNS FASHIONS CORP DOMESTIC X 20,000
BROADCOM CORP CLASS A X 17,300
BROOKS-AUTOMATION INC X 105,000
BUSINESS OBJECTS ADR X 39,450
CIGNA X 330,000 38,100
CLECO CORPORATION X 263,000 64,000
CABOT OIL & GAS X 313,000 54,000
CABOT MICROEOECTRONICS CORP X 60,000
CALIFORNIA MICRO DEVICES X 205,000
CALLAWAY GOLF COMPANY X 155,300 700
CALPINE CORPORATION X 1,169,500 160,800
CAMINUS CORP X 50,000 105,000
CAPROCK COMMUNICATIONS CORP X 247,500 185,000
CHASE MANHATTAN CORP. X 647,100 76,200
CHESAPEAKE ENERGY CORP X 2,359,000 660,000
CHICO'S FAS INC. X 412,000 305,000
CIENA CORP X 528,400 73,900
CIMA LABS INC X 33,900 261,000
CISCO X 1,230,250 200,900
CITADEL COMMUNICATION CORP X 207,600
CINTAS CORPORATION X 72,000 500
CITIGROUP INC. X 879,250 149,475
CITIZENS UTILITIES CO X 303,700 1,600
CITY NATIONAL CORP. X 208,500
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page:3 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 2 2000
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
COASTAL CORP Equity 190441105 $33,207,312.50 545,500.0000
COGNEX CORP. Equity 192422103 $ 6,068,722.50 117,270.0000
COHERENT INC. Equity 192479103 $54,225,187.50 646,500.0000
KENNETH COLE PRODUCTIONS-A Equity 193294105 $14,550,000.00 363,750.0000
COMPAQ Equity 204493100 $38,139,250.00 1,492,000.0000
CONCORD CAMERA CORP Equity 206156101 $13,589,625.00 651,000.0000
COORS (ADOLPH) CLASS B Equity 217016104 $ 7,260,000.00 120,000.0000
COPPER MOUNTAIN NETWORKS INC Equity 217510106 $17,677,875.00 200,600.0000
CORPORATE EXECUTIVE BOARD CO. Equity 21988R102 $ 8,891,437.50 148,500.0000
COST PLUS INC/CALIFORNIA Equity 221485105 $15,258,881.25 531,900.0000
CREE RESEARCH INC. Equity 225447101 $14,351,250.00 107,500.0000
CREO PRODUCTS INC-W/I Equity 225606102 $ 5,259,800.00 231,200.0000
CROSS TIMBERS Equity 227573102 $15,558,300.00 703,200.0000
CYPRESS COMMUNICATIONS INC Equity 232743104 $ 2,629,575.00 362,700.0000
CYTYC CORPORATION Equity 232946103 $41,184,150.00 771,600.0000
DDI CORP/CA Equity 233162106 $ 3,990,000.00 140,000.0000
DSP GROUP Equity 23332B106 $44,200,800.00 789,300.0000
DAL-TILE INTERNATIONAL Equity 23426R108 $ 6,496,550.00 764,300.0000
DELTA AIRLINES Equity 247361108 $ 6,279,862.50 124,200.0000
DIGITAL LIGHTWAVE INC Equity 253855100 $91,592,325.00 910,800.0000
DIGITAL MICROWAVE Equity 253859102 $ 2,725,937.50 71,500.0000
WALT DISNEY PRODUCTIONS Equity 254687106 $35,094,262.50 904,200.0000
DOLLAR THRIFTY Equity 256743105 $11,045,906.25 599,100.0000
DOWNEY FINANCIAL CORP Equity 261018105 $ 7,361,650.00 253,850.0000
DREYERS GRAND ICE CREAM INC. Equity 261878102 $ 516,600.00 24,600.0000
DSET CORP. Equity 262504103 $13,410,562.50 441,500.0000
DYCOM INDUSTRIES INC. Equity 267475101 $14,311,750.00 311,125.0000
DYNEGY INC Equity 26816Q101 $ 3,207,271.88 46,950.0000
EDWARD LIFESCIENCES CORP Equity 28176E108 $14,749,200.00 771,200.0000
ELECTROGLAS INC Equity 285324109 $ 6,235,000.00 290,000.0000
ELOQUENT INC Equity 290140102 $ 5,755,500.00 639,500.0000
EMCORE CORP Equity 290846104 $24,108,000.00 200,900.0000
EMISPHERE TECHNOLOGIES Equity 291345106 $21,688,184.60 509,000.0000
EMMIS COMMUNICATIONS CL A Equity 291525103 $ 4,840,875.00 117,000.0000
ENDOCARE INC Equity 29264P104 $ 5,751,000.00 284,000.0000
-------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 611,212,603.98
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D. D.Othr Sole Shared None
--------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
COASTAL CORP X 467,500 78,000
COGNEX CORP. X 116,400 870
COHERENT INC. X 543,200 103,300
KENNETH COLE PRODUCTIONS-A X 315,000 48,750
COMPAQ X 1,290,900 201,100
CONCORD CAMERA CORP X 525,000 126,000
COORS (ADOLPH) CLASS B X 119,500 500
COPPER MOUNTAIN NETWORKS INC X 171,700 28,900
CORPORATE EXECUTIVE BOARD CO. X 48,500 100,000
COST PLUS INC/CALIFORNIA X 521,400 10,500
CREE RESEARCH INC. X 88,550 18,950
CREO PRODUCTS INC-W/I X 72,900 158,300
CROSS TIMBERS X 621,700 81,500
CYPRESS COMMUNICATIONS INC X 357,100 5,600
CYTYC CORPORATION X 588,100 183,500
DDI CORP/CA X 69,000 71,000
DSP GROUP X 617,300 172,000
DAL-TILE INTERNATIONAL X 744,300 20,000
DELTA AIRLINES X 123,700 500
DIGITAL LIGHTWAVE INC X 734,700 176,100
DIGITAL MICROWAVE X 71,500
WALT DISNEY PRODUCTIONS X 771,100 133,100
DOLLAR THRIFTY X 279,500 319,600
DOWNEY FINANCIAL CORP X 176,000 77,850
DREYERS GRAND ICE CREAM INC. X 24,600
DSET CORP. X 307,400 134,100
DYCOM INDUSTRIES INC. X 277,000 34,125
DYNEGY INC X 46,950
EDWARD LIFESCIENCES CORP X 722,600 48,600
ELECTROGLAS INC X 169,800 120,200
ELOQUENT INC X 562,900 76,600
EMCORE CORP X 140,900 60,000
EMISPHERE TECHNOLOGIES X 471,000 38,000
EMMIS COMMUNICATIONS CL A X 86,000 31,000
ENDOCARE INC X 35,000 249,000
---------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page:4 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 2 2000
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
ENRON CORP. Equity 293561106 $ 56,508,450.00 876,100.0000
ERICSSON LM TEL. Equity 294821400 $ 2,868,000.00 143,400.0000
ESPEED INC Equity 296643109 $ 4,730,343.75 108,900.0000
FEI COMPANY Equity 30241L109 $ 10,348,650.00 339,300.0000
F.Y.I. INC Equity 302712104 $ 4,109,875.00 122,000.0000
FACTORY 2-U STORES INC Equity 303072102 $ 10,776,562.50 285,000.0000
FAIRCHILD SEMICON INTL Equity 303726103 $ 3,252,150.00 80,300.0000
FIRST HEALTH GROUP CORP Equity 320960107 $ 1,706,250.00 52,000.0000
FORWARD AIR CORPORATION Equity 349853101 $ 14,212,000.00 355,300.0000
FUELCELL ENERGY INC Equity 35952H106 $ 5,594,062.50 81,000.0000
GEON COMPANY Equity 37246W105 $ 10,454,350.00 565,100.0000
GEORGIA GULF Equity 373200203 $ 17,211,937.50 827,000.0000
GILDAN ACTIVEWEAR INC -CL A Equity 375916103 $ 4,998,000.00 136,000.0000
GLOBIX CORPORATION Equity 37957F101 $ 36,033,856.25 1,229,300.0000
GREATER BAY BANCORP Equity 391648102 $ 7,171,450.00 153,400.0000
GRIC COMMUNICATIONS INC Equity 398081109 $ 4,518,456.25 251,900.0000
THE HEALTHCARE COMPANY Equity 404119109 $ 61,307,381.25 2,018,350.0000
HALL KINION & ASSOCIATES INC Equity 406069104 $ 6,129,500.00 184,000.0000
HANOVER COMPRESSOR Equity 410768105 $ 30,590,000.00 805,000.0000
HEALTH MGT ASSOC. CLASS A Equity 421933102 $ 4,015,412.50 307,400.0000
HOME DEPOT Equity 437076102 $ 33,871,033.22 678,268.5001
HOOPER HOLMES INC. Equity 439104100 $ 15,085,600.00 1,885,700.0000
HOT TOPIC Equity 441339108 $ 11,072,000.00 346,000.0000
ICG COMMUNICATIONS INC. Equity 449246107 $ 20,257,787.50 918,200.0000
IBASIS INC Equity 450732102 $ 19,455,637.50 451,800.0000
ILLUMINET HOLDINGS INC Equity 452334105 $ 2,793,037.50 54,900.0000
IMPERIAL BANCORP Equity 452556103 $ 6,370,312.50 407,700.0000
INHALE THERAPEUTIC SYS INC Equity 457191104 $ 6,808,556.48 67,100.0000
INKTOMI CORP Equity 457277101 $ 1,856,525.00 15,700.0000
INSIGHT ENTERPRISES INC Equity 45765U103 $ 23,262,362.50 392,200.0000
INSILICON CORP Equity 45769H108 $ 1,406,250.00 90,000.0000
INTEL CORP Equity 458140100 $ 52,258,443.75 390,900.0000
INTERLINK ELECTRONICS INC Equity 458751104 $ 12,859,812.50 307,100.0000
INTRANET SOLUTIONS INC Equity 460939309 $ 22,913,712.50 597,100.0000
INTERTAN INC Equity 461120107 $ 6,974,800.00 593,600.0000
------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 533,782,558.45
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D. D.Othr Sole Shared None
--------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
ENRON CORP. X 747,600 128,500
ERICSSON LM TEL. X 143,400
ESPEED INC X 50,900 58,000
FEI COMPANY X 240,000 99,300
F.Y.I. INC X 122,000
FACTORY 2-U STORES INC X 186,600 98,400
FAIRCHILD SEMICON INTL X 80,300
FIRST HEALTH GROUP CORP X 52,000
FORWARD AIR CORPORATION X 251,800 103,500
FUELCELL ENERGY INC X 61,000 20,000
GEON COMPANY X 550,100 15,000
GEORGIA GULF X 704,000 123,000
GILDAN ACTIVEWEAR INC -CL A X 112,000 24,000
GLOBIX CORPORATION X 910,000 319,300
GREATER BAY BANCORP X 149,400 4,000
GRIC COMMUNICATIONS INC X 243,000 8,900
THE HEALTHCARE COMPANY X 1,809,150 209,200
HALL KINION & ASSOCIATES INC X 57,000 127,000
HANOVER COMPRESSOR X 501,000 304,000
HEALTH MGT ASSOC. CLASS A X 305,700 1,700
HOME DEPOT X 579,294 98,975
HOOPER HOLMES INC. X 1,871,700 14,000
HOT TOPIC X 346,000
ICG COMMUNICATIONS INC. X 862,000 56,200
IBASIS INC X 375,800 76,000
ILLUMINET HOLDINGS INC X 23,300 31,600
IMPERIAL BANCORP X 207,036 200,664
INHALE THERAPEUTIC SYS INC X 67,100
INKTOMI CORP X 15,700
INSIGHT ENTERPRISES INC X 372,700 19,500
INSILICON CORP X 44,200 45,800
INTEL CORP X 331,450 59,450
INTERLINK ELECTRONICS INC X 214,950 92,150
INTRANET SOLUTIONS INC X 453,100 144,000
INTERTAN INC X 256,850 336,750
--------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
Page:5 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974
Qtr 2 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
-------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
INTIMATE BRANDS INC. Equity 461156101 $ 8,539,702.50 432,390.0000
INVERNESS MEDICAL TECHNOLOGY Equity 461268104 $ 1,440,000.00 160,000.0000
INVESTMENT TECHNOLOGY GROUP Equity 46145F105 $ 16,514,250.00 388,000.0000
INVITROGEN CORP Equity 46185R100 $ 16,582,289.06 220,500.0000
I2 TECHNOLOGY Equity 465754109 $ 2,626,451.09 25,190.0000
IVAX CORP Equity 465823102 $ 8,602,950.00 207,300.0000
JDS UNIPHASE CORP. Equity 46612J101 $ 5,094,687.50 42,500.0000
JACK IN THE BOX INC. Equity 466367109 $ 14,857,425.00 600,300.0000
KLA TENCOR Equity 482480100 $ 3,592,809.38 61,350.0000
KEY ENERGY SERVICES INC Equity 492914106 $ 24,807,475.00 2,577,400.0000
KINDER MORGAN Equity 49455P101 $ 6,504,662.50 188,200.0000
KING PHARMACEUTICALS INC Equity 495582108 $ 8,059,837.50 183,700.0000
KOHL`S CORP Equity 500255104 $ 31,556,062.50 567,300.0000
KOPIN CORP Equity 500600101 $ 16,377,625.00 236,500.0000
KULICKE & SOFFA INDUSTRIES Equity 501242101 $ 16,126,250.00 271,600.0000
L-3 COMMUNICATIONS CORP Equity 502424104 $ 7,646,375.00 134,000.0000
LANDSTAR SYSTEM INC Equity 515098101 $ 9,398,962.50 157,800.0000
LASER PHOTONICS INC Equity 517903308 $ 3,968,750.00 250,000.0000
LEGG MASON Equity 524901105 $ 4,435,000.00 88,700.0000
LENDING TREE INC Equity 52602Q10 $ 4,125,000.00 550,000.0000
LIFEPOINT Equity 53219L109 $ 7,898,750.00 355,000.0000
LONE STAR TECHNOLOGIES INC Equity 542312103 $ 22,944,625.00 496,100.0000
LONGVIEW FIBER Equity 543213102 $ 5,909,587.50 534,200.0000
LOUDEYE TECHNOLOGIES INC Equity 545754103 $ 1,422,900.00 81,600.0000
LOUIS DREYFUS NATURAL GAS Equity 546011107 $ 19,632,937.50 627,000.0000
MDSI MOBILE DATA SOLUTIONS Equity 55268N100 $ 6,150,200.00 267,400.0000
MGC COMMUNICATIONS INC Equity 552763302 $ 42,741,431.25 713,100.0000
MKS INSTRUMENTS INC Equity 55306N104 $ 1,921,037.50 49,100.0000
MSC INDUSTRIAL DIRECT Equity 553530106 $ 9,629,156.25 459,900.0000
MACRO MEDIA INC. Equity 556100105 $ 3,335,718.75 34,500.0000
MARINE DRILLING Equity 568240204 $ 50,355,200.00 1,798,400.0000
MAVERICK TUBE CORP Equity 577914104 $ 15,407,125.00 529,000.0000
MCK COMMUNICATIONS Equity 581243102 $ 13,551,250.00 586,000.0000
MEDICIS PHARMACEUTICAL Equity 584690309 $ 39,255,900.00 688,700.0000
MERCATOR SOFTWARE INC Equity 587587106 $ 60,376,250.00 878,200.0000
-----------------------------------------------------------------------------------------------------------------------
Page Market Value $ 511,388,633.28
<CAPTION>
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L A R
E D.V D.Othr Sole Shared None
----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
INTIMATE BRANDS INC. X 430,790 1,600
INVERNESS MEDICAL TECHNOLOGY X 160,000
INVESTMENT TECHNOLOGY GROUP X 234,700 153,300
INVITROGEN CORP X 217,000 3,500
I2 TECHNOLOGY X 25,190
IVAX CORP X 206,500 800
JDS UNIPHASE CORP. X 42,500
JACK IN THE BOX INC. X 560,900 39,400
KLA TENCOR X 61,350
KEY ENERGY SERVICES INC X 2,057,400 520,000
KINDER MORGAN X 187,000 1,200
KING PHARMACEUTICALS INC X 183,000 700
KOHL`S CORP X 484,400 82,900
KOPIN CORP X 76,500 160,000
KULICKE & SOFFA INDUSTRIES X 246,200 25,400
L-3 COMMUNICATIONS CORP X 115,000 19,000
LANDSTAR SYSTEM INC X 151,800 6,000
LASER PHOTONICS INC X 250,000
LEGG MASON X 88,200 500
LENDING TREE INC X 550,000
LIFEPOINT X 201,000 154,000
LONE STAR TECHNOLOGIES INC X 467,100 29,000
LONGVIEW FIBER X 534,200
LOUDEYE TECHNOLOGIES INC X 81,600
LOUIS DREYFUS NATURAL GAS X 502,000 125,000
MDSI MOBILE DATA SOLUTIONS X 127,000 140,400
MGC COMMUNICATIONS INC X 531,100 182,000
MKS INSTRUMENTS INC X 49,100
MSC INDUSTRIAL DIRECT X 197,900 262,000
MACRO MEDIA INC. X 34,300 200
MARINE DRILLING X 1,522,200 276,200
MAVERICK TUBE CORP X 520,000 9,000
MCK COMMUNICATIONS X 557,000 29,000
MEDICIS PHARMACEUTICAL X 604,000 84,700
MERCATOR SOFTWARE INC X 689,600 188,600
---------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
Page: 6 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974
Qtr 2 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
---------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
MERCK & CO. INC. Equity 589331107 $ 21,232,787.50 277,100.0000
MERCURY INTERACTIVE CORP. Equity 589405109 $ 2,186,550.00 22,600.0000
MICHAEL STORES Equity 594087108 $ 11,517,262.50 251,400.0000
MICROSOFT Equity 594918104 $ 39,276,000.00 490,950.0000
MICROCELL TELECOMMUNICATIONS Equity 59501T304 $ 18,719,975.00 518,200.0000
MICROMUSE INC. Equity 595094103 $ 3,739,947.44 22,600.0000
MILLER (HERMAN) INC Equity 600544100 $ 3,813,975.00 147,400.0000
MINIMED INC. Equity 60365K108 $ 3,719,360.00 31,520.0000
MOTIENT CORPORATION Equity 619908106 $ 11,687,187.50 745,000.0000
MOTOROLA Equity 620076109 $ 28,243,968.75 969,750.0000
MUELLER INDUSTRIES Equity 624756102 $ 12,328,400.00 440,300.0000
MYRIAD GENETICS INC Equity 62855J104 $ 59,349,712.50 400,800.0000
NANOGEN INC Equity 630075109 $ 16,936,806.25 399,100.0000
NATIONAL COMPUTER SYSTEMS Equity 635519101 $ 8,160,725.00 165,700.0000
NATIONAL-OILWELL INC Equity 637071101 $ 18,245,625.00 555,000.0000
NATIONAL SEMICONDUCTOR Equity 637640103 $ 6,944,300.00 117,700.0000
NET PERCEPTIONS INC Equity 64107U101 $ 9,659,937.50 608,500.0000
NETRIX CORP Equity 641148101 $ 7,301,312.50 593,000.0000
NETRO CORP Equity 64114R109 $ 2,731,050.00 47,600.0000
NETIQ CORP. Equity 64115P102 $ 44,135,580.53 740,219.3800
NETWORK APPLIANCES Equity 64120L104 $ 2,173,500.00 27,000.0000
NETWORK PLUS CORP Equity 64122D506 $ 10,827,900.00 763,200.0000
NET2000 COMMUNICATIONS INC Equity 64122G103 $ 9,613,762.50 587,100.0000
NEWFIELD EXPLORATION Equity 651290108 $ 24,586,150.00 628,400.0000
NEWPORT CORP Equity 651824104 $ 78,491,125.00 731,000.0000
NEWPORT NEWS SHIPBUILDING Equity 652228107 $ 15,582,000.00 424,000.0000
NEXT LEVEL COMMUNICATION INC Equity 65333U104 $ 8,214,850.00 95,800.0000
NOKIA CORP. Equity 654902204 $ 3,061,168.75 61,300.0000
NOBLE DRILLING CORP. Equity 655042109 $ 5,797,140.63 140,750.0000
NORTHERN TELECOM LTD Equity 656568102 $ 3,828,825.00 56,100.0000
NOVELLUS SYS. INC. Equity 670008101 $ 6,255,812.50 110,600.0000
NVIDIA CORP Equity 67066G104 $ 5,847,750.00 92,000.0000
OM GROUP INC Equity 670872100 $ 5,060,000.00 115,000.0000
OTG SOFTWARE INC Equity 671059103 $ 12,596,062.50 441,000.0000
OAK TECHNOLOGY INC Equity 671802106 $ 36,604,500.00 1,697,600.0000
-----------------------------------------------------------------------------------------------------------------------
Page Market Value $ 558,471,009.85
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
MERCK & CO. INC. X 227,500 49,600
MERCURY INTERACTIVE CORP. X 22,600
MICHAEL STORES X 238,700 12,700
MICROSOFT X 419,800 71,150
MICROCELL TELECOMMUNICATIONS X 404,000 114,200
MICROMUSE INC. X 22,600
MILLER (HERMAN) INC X 146,500 900
MINIMED INC. X 31,300 220
MOTIENT CORPORATION X 745,000
MOTOROLA X 827,700 142,050
MUELLER INDUSTRIES X 440,300
MYRIAD GENETICS INC X 303,400 97,400
NANOGEN INC X 319,100 80,000
NATIONAL COMPUTER SYSTEMS X 162,500 3,200
NATIONAL-OILWELL INC X 350,000 205,000
NATIONAL SEMICONDUCTOR X 117,200 500
NET PERCEPTIONS INC X 473,800 134,700
NETRIX CORP X 577,000 16,000
NETRO CORP X 47,300 300
NETIQ CORP. X 632,427 107,792
NETWORK APPLIANCES X 27,000
NETWORK PLUS CORP X 710,100 53,100
NET2000 COMMUNICATIONS INC X 499,000 88,100
NEWFIELD EXPLORATION X 495,700 132,700
NEWPORT CORP X 690,000 41,000
NEWPORT NEWS SHIPBUILDING X 418,000 6,000
NEXT LEVEL COMMUNICATION INC X 95,300 500
NOKIA CORP. X 61,300
NOBLE DRILLING CORP. X 139,900 850
NORTHERN TELECOM LTD X 56,100
NOVELLUS SYS. INC. X 110,100 500
NVIDIA CORP X 91,600 400
OM GROUP INC X 115,000
OTG SOFTWARE INC X 441,000
OAK TECHNOLOGY INC X 1,549,100 148,500
-----------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
Page: 7 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974
Qtr 2 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
--------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
OAKLEY INC Equity 673662102 $ 6,974,750.00 606,500.0000
OCEAN ENERGY INC. Equity 67481E106 $ 13,584,531.25 957,500.0000
OMNICOM GROUP INC. Equity 681919106 $ 47,252,109.38 530,550.0000
ORACLE CORPORATION Equity 68389X105 $ 54,346,406.25 646,500.0000
ORTHOLOGIC CORP Equity 68750J107 $ 1,826,875.00 370,000.0000
OVERSEAS SHIPHOLDING GROUP Equity 690368105 $ 3,176,625.00 129,000.0000
PC-TEL Equity 69325Q105 $ 11,210,000.00 295,000.0000
PE BIOSYSTEMS Equity 69332S102 $ 37,281,956.25 565,950.0000
P.F. CHANGS CHINA BISTRO INC. Equity 69333Y108 $ 12,302,325.00 385,200.0000
PACKETEER Equity 695210104 $ 10,202,487.50 350,300.0000
PALM INC Equity 696642107 $ 2,002,500.00 60,000.0000
PARKER DRILLING Equity 701081101 $ 7,326,000.00 1,184,000.0000
PATTERSON ENERGY Equity 703414102 $ 26,003,400.00 912,400.0000
PEPSICO Equity 713448108 $ 72,735,300.00 1,636,800.0000
PHARMACYCLICS INC Equity 716933106 $ 1,817,800.00 29,800.0000
PFIZER INC. Equity 717081103 $ 59,466,000.00 1,238,875.0000
PHARMACIA CORP Equity 71713U102 $ 19,284,606.25 373,100.0000
PHILADELPHIA SUBURBAN CORP Equity 718009608 $ 1,203,500.00 58,000.0000
PHOTON DYNAMICS INC Equity 719364101 $ 23,399,593.75 313,300.0000
POLYCOM INC. Equity 73172K104 $ 5,993,775.06 63,700.0000
POPE AND TALBOT INC. Equity 732827100 $ 5,134,400.00 320,900.0000
PORTAL SOFTWARE Equity 736126103 $ 7,221,068.75 113,050.0000
POWERWAVE TECHNOLOGIES Equity 739363109 $ 5,244,800.00 119,200.0000
PRECISION DRILLING CORP. Equity 74022D100 $ 36,963,625.00 953,900.0000
PRIMUS KNOWLEDGE SOLUTIONS Equity 74163Q100 $ 6,583,500.00 146,300.0000
PRIMUS TELECOMMUNICATIONS GP Equity 741929103 $ 26,123,725.00 1,050,200.0000
PRIORITY HEALTHCARE CORP Equity 74264T102 $ 19,767,125.00 266,000.0000
QLT PHOTOTHERAPEUTICS INC Equity 746927102 $ 45,111,843.75 583,500.0000
QUANTA SERVICES INC. Equity 74762E102 $ 16,744,750.00 304,450.0000
RF MICRO DEVICES INC. Equity 749941100 $ 2,979,250.00 34,000.0000
RARE HOSPITALITY INTL INC Equity 753820109 $ 6,850,625.00 242,500.0000
REDBACK NETWORKS Equity 757209101 $ 4,478,125.00 25,000.0000
RENT WAY INC Equity 76009U104 $ 8,466,700.00 286,400.0000
ROBITIC VISION SYSTEMS Equity 771074101 $ 14,148,000.00 786,000.0000
ROWAN COMPANIES INC. Equity 779382100 $ 21,171,375.00 697,000.0000
--------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 644,379,453.19
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
OAKLEY INC X 300,700 305,800
OCEAN ENERGY INC. X 657,500 300,000
OMNICOM GROUP INC. X 452,900 77,650
ORACLE CORPORATION X 558,000 88,500
ORTHOLOGIC CORP X 370,000
OVERSEAS SHIPHOLDING GROUP X 22,000 107,000
PC-TEL X 202,000 93,000
PE BIOSYSTEMS X 487,250 78,700
P.F. CHANGS CHINA BISTRO INC. X 303,900 81,300
PACKETEER X 293,300 57,000
PALM INC X 60,000
PARKER DRILLING X 1,029,000 155,000
PATTERSON ENERGY X 810,900 101,500
PEPSICO X 1,404,600 232,200
PHARMACYCLICS INC X 13,100 16,700
PFIZER INC. X 1,110,725 128,150
PHARMACIA CORP X 334,200 38,900
PHILADELPHIA SUBURBAN CORP X 50,000 8,000
PHOTON DYNAMICS INC X 313,300
POLYCOM INC. X 63,300 400
POPE AND TALBOT INC. X 212,900 108,000
PORTAL SOFTWARE X 112,650 400
POWERWAVE TECHNOLOGIES X 118,600 600
PRECISION DRILLING CORP. X 783,900 170,000
PRIMUS KNOWLEDGE SOLUTIONS X 52,000 94,300
PRIMUS TELECOMMUNICATIONS GP X 1,050,200
PRIORITY HEALTHCARE CORP X 266,000
QLT PHOTOTHERAPEUTICS INC X 505,000 78,500
QUANTA SERVICES INC. X 238,900 65,550
RF MICRO DEVICES INC. X 33,800 200
RARE HOSPITALITY INTL INC X 101,000 141,500
REDBACK NETWORKS X 25,000
RENT WAY INC X 286,400
ROBITIC VISION SYSTEMS X 416,000 370,000
ROWAN COMPANIES INC. X 697,000
----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
Page: 8 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974
Qtr 2 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
---------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
RUBY TUESDAY Equity 781182100 $ 6,507,375.00 518,000.0000
RUSSEL CORP Equity 782352108 $ 5,000,000.00 250,000.0000
SCHLUMBERGER LTD. Equity 806857108 $ 58,065,712.50 778,100.0000
SEMITOOL INC Equity 816909105 $ 3,462,500.00 200,000.0000
SENSORMATIC ELECTRONICS CORP. Equity 817265101 $ 3,749,143.75 237,100.0000
SEPRACOR INC Equity 817315104 $ 19,191,437.50 159,100.0000
SHAW GROUP INC Equity 820280105 $ 22,982,862.50 487,700.0000
SIEBEL SYSTEMS INC Equity 826170102 $ 76,956,156.25 470,500.0000
SILICON STORAGE TECHNOLOGY Equity 827057100 $ 28,524,937.50 323,000.0000
SILICON VALLEY BANCSHARES Equity 827064106 $ 10,012,612.50 234,900.0000
SITEL CORP Equity 82980K107 $ 3,500,000.00 700,000.0000
SKECHERS USA INC -CL A Equity 830566105 $ 6,483,125.00 410,000.0000
SKILLSOFT CORP Equity 83066P101 $ 1,956,312.50 138,500.0000
SMARTDISK CORPORATION Equity 83169Q105 $ 1,394,250.00 50,700.0000
SONIC FOUNDRY INC Equity 83545R108 $ 13,293,000.00 633,000.0000
SONICWALL INC Equity 835470105 $ 18,475,512.50 209,800.0000
SPANISH BROADCASTING Equity 846425882 $ 7,597,843.75 369,500.0000
SPARTECH CORP Equity 847220209 $ 6,733,800.00 249,400.0000
SPECTRASITE HOLDINGS INC Equity 84760T100 $ 7,998,912.50 281,900.0000
SPINNAKER EXPLORATION CO Equity 84855W109 $ 7,667,000.00 299,200.0000
STARBASE CORP Equity 854910205 $ 18,487,500.00 1,740,000.0000
STATION CASINOS INC Equity 857689103 $ 8,125,000.00 325,000.0000
STILLWATER MINING Equity 86074Q102 $ 22,171,775.00 795,400.0000
STONE ENERGY CORP Equity 861642106 $ 32,306,825.00 540,700.0000
STRATEGIC DIAGNOSTICS INC Equity 862700101 $ 2,414,125.00 434,000.0000
SUIZA FOOD CORP Equity 865077101 $ 13,685,000.00 280,000.0000
SUN MICROSYSTEMS INC Equity 866810104 $ 2,864,531.25 31,500.0000
SUPERTEX INC Equity 868532102 $ 6,582,750.00 131,000.0000
SYMYX TECHNOLOGIES INC Equity 87155S108 $ 3,114,747.14 73,100.0000
SYNCOR INTERNATIONAL Equity 87157J106 $ 4,032,000.00 56,000.0000
SYSCO CORP. Equity 871829107 $ 53,829,010.00 1,277,840.0000
TALBOTS INC Equity 874161102 $ 10,108,500.00 184,000.0000
TEKTRONIX INC. Equity 879131100 $ 2,797,200.00 37,800.0000
TELESCAN INC Equity 879516102 $ 1,519,537.50 207,800.0000
TELETECH HOLDINGS INC Equity 879939106 $ 26,359,637.50 848,600.0000
---------------------------------------------------------------------------------------------------------------------
Page Market Value $ 517,950,632.14
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
RUBY TUESDAY X 518,000
RUSSEL CORP X 250,000
SCHLUMBERGER LTD. X 671,600 106,500
SEMITOOL INC X 200,000
SENSORMATIC ELECTRONICS CORP. X 236,100 1,000
SEPRACOR INC X 132,900 26,200
SHAW GROUP INC X 470,100 17,600
SIEBEL SYSTEMS INC X 414,700 55,800
SILICON STORAGE TECHNOLOGY X 259,300 63,700
SILICON VALLEY BANCSHARES X 234,900
SITEL CORP X 700,000
SKECHERS USA INC -CL A X 389,000 21,000
SKILLSOFT CORP X 85,600 52,900
SMARTDISK CORPORATION X 43,700 7,000
SONIC FOUNDRY INC X 494,000 139,000
SONICWALL INC X 142,100 67,700
SPANISH BROADCASTING X 79,200 290,300
SPARTECH CORP X 155,100 94,300
SPECTRASITE HOLDINGS INC X 280,300 1,600
SPINNAKER EXPLORATION CO X 170,200 129,000
STARBASE CORP X 1,740,000
STATION CASINOS INC X 250,000 75,000
STILLWATER MINING X 552,400 243,000
STONE ENERGY CORP X 445,700 95,000
STRATEGIC DIAGNOSTICS INC X 312,000 122,000
SUIZA FOOD CORP X 280,000
SUN MICROSYSTEMS INC X 31,500
SUPERTEX INC X 120,300 10,700
SYMYX TECHNOLOGIES INC X 67,100 6,000
SYNCOR INTERNATIONAL X 44,700 11,300
SYSCO CORP. X 1,114,750 163,090
TALBOTS INC X 159,000 25,000
TEKTRONIX INC. X 37,500 300
TELESCAN INC X 207,800
TELETECH HOLDINGS INC X 664,200 184,400
----------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
Page: 9 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974
Qtr 2 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
TERADYNE INC. Equity 880770102 $ 3,314,850.00 45,100.0000
TEVA PHARMACEUTICAL - SP ADR ADR Equity 881624209 $ 39,255,293.75 708,100.0000
TETRA TECH INC. Equity 88162G103 $ 7,536,471.73 329,463.2450
THERMA-WAVE INC Equity 88343A108 $ 2,119,687.50 95,000.0000
THOMSON MULTIMEDIA Equity 885118109 $ 6,680,200.00 105,200.0000
THREE-FIVE SYSTEMS INC Equity 88554L108 $ 11,634,741.00 197,199.0000
TITAN CORP Equity 888266103 $ 58,148,150.00 1,299,400.0000
TOO INC Equity 890333107 $ 10,098,687.50 397,000.0000
TRIAD HOSPITALS Equity 89579K109 $ 18,946,068.75 783,300.0000
TRIMBLE NAVIGATION LTD Equity 896239100 $ 6,589,687.50 135,000.0000
TWEETER HOME ENTERTAINMENT Equity 901167106 $ 6,075,000.00 200,000.0000
UTI ENERGY CORP. Equity 903387108 $ 17,589,250.00 437,000.0000
ULTICOM COM Equity 903844108 $ 4,322,812.50 180,000.0000
UNITED STATIONERS INC Equity 913004107 $ 9,019,675.00 278,600.0000
UNIVERSAL COMPRESSION HLDGS Equity 913431102 $ 14,096,800.00 420,800.0000
UNIVISION COMMUNICATION INC. Equity 914906102 $ 31,691,700.00 306,200.0000
VANS INC. Equity 921930103 $ 4,021,875.00 275,000.0000
VARIAN INC Equity 922206107 $ 20,202,750.00 438,000.0000
VERITAS SOFTWARE CORP. Equity 923436109 $ 3,187,040.63 28,200.0000
VERITAS Equity 92343P107 $ 20,703,800.00 796,300.0000
VIANT CORP Equity 92553N107 $ 23,314,875.00 787,000.0000
VIGNETTE CORPORATION Equity 926734104 $ 6,553,968.75 126,000.0000
VINTAGE PETROLEUM INC Equity 927460105 $ 18,451,612.50 817,800.0000
VITRIA TECHNOLOGY INC Equity 92849Q104 $ 3,270,187.50 53,500.0000
VOICESTREAM WIRELESS CORP Equity 928615103 $ 30,475,602.65 262,050.0000
WALMART STORES Equity 931142103 $ 42,530,131.25 738,050.0000
WASTE CONNECTIONS Equity 941053100 $ 4,345,000.00 220,000.0000
WASTE MANAGEMENT INC. Equity 94106L109 $ 27,804,600.00 1,463,400.0000
WATCHGUARD TECHNOLOGIES INC Equity 941105108 $ 24,826,256.25 451,900.0000
WATERS CORP. Equity 941848103 $ 61,307,900.00 491,200.0000
WATSON PHARMACEUTICAL INC. Equity 942683103 $ 8,310,287.50 154,610.0000
WEATHERFORD INTERNATIONAL Equity 947074100 $ 5,348,809.38 134,350.0000
WEBTRENDS CORP. Equity 94844D104 $ 38,884,806.25 1,005,100.0000
WELLS FARGO & COMPANY Equity 949746101 $ 31,457,250.00 811,800.0000
WESTERN DIGITAL CORP. Equity 958102105 $ 14,164,000.00 2,832,800.0000
----------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 636,279,827.87
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
TERADYNE INC. X 45,100
TEVA PHARMACEUTICAL - SP ADR ADR X 604,400 103,700
TETRA TECH INC. X 304,441 25,022
THERMA-WAVE INC X 95,000
THOMSON MULTIMEDIA X 104,600 600
THREE-FIVE SYSTEMS INC X 197,199
TITAN CORP X 1,127,300 172,100
TOO INC X 390,000 7,000
TRIAD HOSPITALS X 702,700 80,600
TRIMBLE NAVIGATION LTD X 130,000 5,000
TWEETER HOME ENTERTAINMENT X 200,000
UTI ENERGY CORP. X 309,000 128,000
ULTICOM COM X 60,000 120,000
UNITED STATIONERS INC X 278,600
UNIVERSAL COMPRESSION HLDGS X 412,800 8,000
UNIVISION COMMUNICATION INC. X 261,850 44,350
VANS INC. X 275,000
VARIAN INC X 438,000
VERITAS SOFTWARE CORP. X 28,200
VERITAS X 689,600 106,700
VIANT CORP X 746,000 41,000
VIGNETTE CORPORATION X 125,500 500
VINTAGE PETROLEUM INC X 682,700 135,100
VITRIA TECHNOLOGY INC X 53,500
VOICESTREAM WIRELESS CORP X 224,050 38,000
WALMART STORES X 630,500 107,550
WASTE CONNECTIONS X 220,000
WASTE MANAGEMENT INC. X 1,249,800 213,600
WATCHGUARD TECHNOLOGIES INC X 420,500 31,400
WATERS CORP. X 424,700 66,500
WATSON PHARMACEUTICAL INC. X 154,000 610
WEATHERFORD INTERNATIONAL X 133,800 550
WEBTRENDS CORP. X 789,700 215,400
WELLS FARGO & COMPANY X 692,800 119,000
WESTERN DIGITAL CORP. X 1,872,800 960,000
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</TABLE>
<PAGE>
Page: 10 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974
Qtr 2 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5
Name of Issuer Title of Cusip Fair Market Shares or
Class Number Value Principal
Amount
---------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
WIRELESS FACILITIES INC Equity 97653A103 $ 3,947,656.25 77,500.0000
WIT CAPITAL GROUP INC Equity 977383108 $ 8,753,366.48 815,450.0000
WORLDQUEST NETWORKS INC Equity 98156W105 $ 1,816,875.00 255,000.0000
YAHOO Equity 984332106 $ 23,461,925.00 189,400.0000
ZORAN CORP Equity 98975F101 $ 27,786,062.50 421,400.0000
ZOLL MEDICAL CORP Equity 989922109 $ 18,869,900.00 385,100.0000
AMDOCS LTD Equity G02602103 $ 13,385,200.00 174,400.0000
TRITON ENERGY LTD Equity G90751101 $ 19,129,462.50 486,600.0000
AUDIOCODES LTD Equity M15342104 $ 13,560,000.00 113,000.0000
BREEZECOM LIMITED Equity M20385106 $ 11,044,650.00 253,900.0000
CHECK POINT SOFTWARE TECH. Equity M22465104 $ 39,014,937.50 184,250.0000
COMMTOUCH SOFTWARE LTD Equity M25596103 $ 19,132,750.00 588,700.0000
METALINK LTD Equity M69897102 $ 13,793,400.00 465,600.0000
M-SYSTEMS FLASH DISK PIONEER Equity M7061C100 $ 29,802,762.50 382,700.0000
OPTIBASE LTD Equity M7524R108 $ 6,533,250.00 372,000.0000
TEFRON LTD Equity M87482101 $ 1,649,993.75 96,350.0000
TEEKAY SHIPPING CORP Equity Y8564W103 $ 11,082,162.50 337,100.0000
-----------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 262,764,353.98
Total Market Value $ 5,633,392,191.25
<CAPTION>
Item 6
Inv. Discretion Item 7 Item 8
Item 1 S S S Managers Voting Authority
Name of Issuer O H H Instr. V (Shares)
L R R
E D.V D.Othr Sole Shared None
--------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
WIRELESS FACILITIES INC X 77,100 400
WIT CAPITAL GROUP INC X 763,700 51,750
WORLDQUEST NETWORKS INC X 255,000
YAHOO X 163,700 25,700
ZORAN CORP X 421,400
ZOLL MEDICAL CORP X 385,100
AMDOCS LTD X 174,000 400
TRITON ENERGY LTD X 394,600 92,000
AUDIOCODES LTD X 48,879 64,121
BREEZECOM LIMITED X 171,200 82,700
CHECK POINT SOFTWARE TECH. X 164,350 19,900
COMMTOUCH SOFTWARE LTD X 343,700 245,000
METALINK LTD X 337,800 127,800
M-SYSTEMS FLASH DISK PIONEER X 222,600 160,100
OPTIBASE LTD X 353,000 19,000
TEFRON LTD X 96,350
TEEKAY SHIPPING CORP X 200,000 137,100
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</TABLE>