COLUMBUS CIRCLE TRUST CO /FA/
13F-HR, 2000-05-11
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<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: March 31, 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              MAY 12, 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:   Columbus Circle Investors
                                                                                               Item 6
                                                                                               Inv. Discretion          Item 7
Item 1                        Item 2    Item 3       Item 4                Item 5         S    S            S           Managers
Name of Issuer                Title of  Cusip        Fair Market          Shares or       O    H            H           Instr. V
                              Class     Number       Value                Principal       L    R            R
                                                                           Amount         E    D.V          D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>      <C>         <C>                   <C>              <C>
ACT MANUFACTURING INC         Equity   000973107   $   11,187,500.00     200,000.0000     X
AES CORP                      Equity   00130H105   $   49,246,312.50     625,350.0000     X
AMFM INC                      Equity   001693100   $   39,160,493.75     630,350.0000     X
APAC CUSTOMER SERVICE INC     Equity   00185E106   $    7,532,931.25     867,100.0000     X
ABGENIX INC                   Equity   00339B107   $    2,009,718.75      14,550.0000     X
ACCREDO HEALTH INC            Equity   00437V104   $   17,670,531.25     533,450.0000     X
ACCRUE SOFTWARE INC           Equity   00437W102   $   20,375,029.69     444,900.0000     X
ACE*COMM CORP                 Equity   004404109   $    5,228,125.00     478,000.0000     X
ADVANCED DIGITAL INFO CORP    Equity   007525108   $   11,333,325.00     330,900.0000     X
ADVANCED ENERGY INDUSTRIES    Equity   007973100   $   10,562,100.00     207,100.0000     X
ADVENT SOFTWARE INC           Equity   007974108   $   27,538,762.50     600,300.0000     X
AFFYMETRIX INC                Equity   00826T108   $    3,235,937.50      21,800.0000     X
AGILENT TECHNOLOGIES INC      Equity   00846U101   $   47,730,800.00     458,950.0000     X
AIRGATE PCS INC               Equity   009367103   $    5,602,050.00      53,100.0000     X
ALBANY MOLECULAR RESEARCH     Equity   012423109   $    8,779,600.00     150,400.0000     X
ALLAIRE CORP                  Equity   016714107   $   21,457,383.75     283,734.0000     X
ALLIED RISER                  Equity   019496108   $   17,375,000.00     500,000.0000     X
ALLSCRIPTS INC                Equity   019886100   $   34,644,025.00     576,200.0000     X
ALPHARMA INC CLASS A          Equity   020813101   $   17,463,600.00     475,200.0000     X
ALTERA CORP                   Equity   021441100   $    3,819,900.00      42,800.0000     X
AMERICA ONLINE INC            Equity   02364J104   $   42,257,416.50     626,616.0000     X
AMERICAN MOBILE SATELLITE     Equity   02755R103   $   20,880,000.00     870,000.0000     X
AMERICAN SOFTWARE             Equity   029683109   $    6,815,200.00     486,800.0000     X
AMERICAN TOWER CORP CLASS A   Equity   029912201   $   13,020,187.50     263,700.0000     X
AMERICREDIT CORP              Equity   03060R101   $   17,945,381.25   1,100,100.0000     X
AMERITRADE HOLDING CORP       Equity   03072H109   $    5,229,967.97     250,350.0000     X
ANCOR COMMUNICATIONS INC      Equity   03332K108   $   22,738,012.50     552,900.0000     X
ANHEUSER BUSCH COS            Equity   035229103   $   57,708,862.50     927,050.0000     X
APACHE CORP                   Equity   037411105   $   11,758,412.50     236,350.0000     X
APPLEBEE'S INTL INC           Equity   037899101   $   12,557,812.50     446,500.0000     X
APPLIED FILMS CORP            Equity   038197109   $    5,000,000.00     250,000.0000     X
APPLIED MICRO CIRCUITS        Equity   03822W109   $    6,737,806.25      44,900.0000     X
APPNET INC                    Equity   03831Q101   $   41,646,700.00     886,100.0000     X
ARGOSY GAMING COMPANY         Equity   040228108   $   15,874,500.00   1,114,000.0000     X
ARIBA INC                     Equity   04033V104   $    2,180,100.00      10,400.0000     X
- ------------------------------------------------------------------------------------------------------------------------------------

             Page Market Value        $ 644,303,485.41
</TABLE>

                                           I.D.# 28-4974              Qtr 1 2000

                                                            Item 8
                                                            Voting Authority
                                                               (Shares)

                                           Sole             Shared       None
- --------------------------------------------------------------------------------

ACT MANUFACTURING INC                      105,100            -         94,900
AES CORP                                   563,350            -         62,000
AMFM INC                                   566,850            -         63,500
APAC CUSTOMER SERVICE INC                  867,100            -              -
ABGENIX INC                                 14,550            -              -
ACCREDO HEALTH INC                         388,050            -        145,400
ACCRUE SOFTWARE INC                        444,900            -              -
ACE*COMM CORP                              478,000            -              -
ADVANCED DIGITAL INFO CORP                 168,800            -        162,100
ADVANCED ENERGY INDUSTRIES                 180,300            -         26,800
ADVENT SOFTWARE INC                        585,500            -         14,800
AFFYMETRIX INC                              21,800            -              -
AGILENT TECHNOLOGIES INC                   416,650            -         42,300
AIRGATE PCS INC                             35,800            -         17,300
ALBANY MOLECULAR RESEARCH                  150,400            -              -
ALLAIRE CORP                               215,200            -         68,534
ALLIED RISER                               340,000            -        160,000
ALLSCRIPTS INC                             397,200            -        179,000
ALPHARMA INC CLASS A                       414,900            -         60,300
ALTERA CORP                                 42,800            -              -
AMERICA ONLINE INC                         564,516            -         62,100
AMERICAN MOBILE SATELLITE                  870,000            -              -
AMERICAN SOFTWARE                          486,800            -              -
AMERICAN TOWER CORP CLASS A                205,300            -         58,400
AMERICREDIT CORP                           936,800            -        163,300
AMERITRADE HOLDING CORP                    196,400            -         53,950
ANCOR COMMUNICATIONS INC                   525,100            -         27,800
ANHEUSER BUSCH COS                         837,400            -         89,650
APACHE CORP                                178,200            -         58,150
APPLEBEE'S INTL INC                        256,500            -        190,000
APPLIED FILMS CORP                         250,000            -              -
APPLIED MICRO CIRCUITS                      44,900            -              -
APPNET INC                                 793,300            -         92,800
ARGOSY GAMING COMPANY                      971,000            -        143,000
ARIBA INC                                   10,400            -              -
- --------------------------------------------------------------------------------
<PAGE>

<TABLE>
<CAPTION>
Page: 2                                       Form 13F                       Reporting Manager:   Columbus Circle Investors
                                                                                                           Item 6
                                                                                                      Inv. Discretion      Item 7
Item 1                             Item 2     Item 3             Item 4             Item 5        S    S            S      Managers
Name of Issuer                     Title of   Cusip            Fair Market         Shares or      O    H            H      Instr. V
                                   Class      Number             Value             Principal      L    R            R
                                                                                    Amount        E    D.V          D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                  <C>      <C>         <C>                   <C>              <C>  <C>         <C>      <C>
ARTHROCARE CORP                      Equity   043136100   $    13,726,400.00       149,200.0000 X
ASPEN TECHNOLOGY                     Equity   045327103   $    21,358,375.00       529,000.0000 X
ASYST TECHNOLOGIES INC               Equity   04648X107   $    18,170,100.00       310,600.0000 X
ATLAS AIR INC                        Equity   049164106   $     8,896,875.00       325,000.0000 X
ATMEL CORP                           Equity   049513104   $    76,962,550.00     1,490,800.0000 X
AVISTA CORP                          Equity   05379B107   $    43,749,200.00     1,073,600.0000 X
AWARE INC/MASS                       Equity   05453N100   $     9,621,975.00       239,800.0000 X
B J SERVICES                         Equity   055482103   $    40,276,650.00       545,200.0000 X
BALLY TOTAL FITNESS HLDGS            Equity   05873K108   $     9,136,050.00       372,900.0000 X
BATTLE MOUNTAIN GOLD CO              Equity   071593107   $     8,976,050.00     4,632,800.0000 X
BEA SYSTEMS INC                      Equity   073325102   $     1,672,950.00        22,800.0000 X
BERINGER WINE ESTATES-B              Equity   084102102   $     7,318,500.00       204,000.0000 X
BLACKROCK                            Equity   09247X101   $     4,971,375.00       245,500.0000 X
BLUE WAVE SYSTEMS INC                Equity   096081104   $    10,193,600.00       637,100.0000 X
BRAUNS FASHIONS CORP      DOMESTIC   Equity   105658108   $     3,661,250.00       145,000.0000 X
BROADCOM CORP  CLASS A               Equity   111320107   $     3,837,425.00        15,800.0000 X
BROOKS-AUTOMATION INC                Equity   11434A100   $     8,437,500.00       135,000.0000 X
BSQUARE                              Equity   11776U102   $     2,539,950.00       114,800.0000 X
BUSINESS OBJECTS ADR                 Equity   12328X107   $     4,467,550.00        44,900.0000 X
CEC ENTERTAINMENT INC                Equity   125137109   $    12,866,743.75       474,350.0000 X
CIGNA                                Equity   125509109   $    47,517,975.00       627,300.0000 X
CLECO CORPORATION                    Equity   12561W105   $    10,872,750.00       327,000.0000 X
CSG SYSTEMS INT'L INC                Equity   126349109   $     7,209,606.25       147,700.0000 X
CALPINE CORPORATION                  Equity   131347106   $    73,949,800.00       786,700.0000 X
CAMINUS CORP                         Equity   133766105   $     2,000,000.00       100,000.0000 X
CAPROCK COMMUNICATIONS CORP          Equity   140667106   $    20,947,500.00       427,500.0000 X
CELADON GROUP INC                    Equity   150838100   $     7,503,750.00       290,000.0000 X
CENDANT CORPORATION                  Equity   151313103   $    33,854,275.00     1,811,600.0000 X
CHARTERED SEMICONDUCTOR              Equity   16133R106   $     6,974,500.00        74,000.0000 X
CHASE MANHATTAN CORP                 Equity   16161A108   $    43,646,062.50       500,600.0000 X
CHICO'S FAS INC                      Equity   168615102   $    10,239,687.50       604,000.0000 X
CIENA CORP                           Equity   171779101   $   105,831,487.50       839,100.0000 X
CIMA LABS INC                        Equity   171796105   $     4,296,875.00       250,000.0000 X
CISCO                                Equity   17275R102   $    81,522,166.32     1,054,450.0090 X
CITADEL COMMUNICATION CORP           Equity   172853202   $    10,745,156.25       254,700.0000 X
- ------------------------------------------------------------------------------------------------------------------------------------
             Page Market Value           $ 777,952,660.07
</TABLE>

<TABLE>
<CAPTION>
                                    I.D.# 28-4974                 Qtr 1 2000

                                                        Item 8
                                                        Voting Authority
                                                           (Shares)

                                       Sole             Shared       None
                                     ---------------------------------------
<S>                                  <C>                <C>         <C>
ARTHROCARE CORP                          149,200            -              -
ASPEN TECHNOLOGY                         529,000            -              -
ASYST TECHNOLOGIES INC                   284,800            -         25,800
ATLAS AIR INC                            120,000            -        205,000
ATMEL CORP                             1,321,900            -        168,900
AVISTA CORP                              816,600            -        257,000
AWARE INC/MASS                           187,000            -         52,800
B J SERVICES                             473,400            -         71,800
BALLY TOTAL FITNESS HLDGS                307,300            -         65,600
BATTLE MOUNTAIN GOLD CO                3,999,400            -        633,400
BEA SYSTEMS INC                           22,800            -              -
BERINGER WINE ESTATES-B                  141,600            -         62,400
BLACKROCK                                213,400            -         32,100
BLUE WAVE SYSTEMS INC                    559,500            -         77,600
BRAUNS FASHIONS CORP      DOMESTIC       145,000            -              -
BROADCOM CORP  CLASS A                    15,800            -              -
BROOKS-AUTOMATION INC                    135,000            -              -
BSQUARE                                   83,800            -         31,000
BUSINESS OBJECTS ADR                      44,900            -              -
CEC ENTERTAINMENT INC                    459,550            -         14,800
CIGNA                                    565,300            -         62,000
CLECO CORPORATION                        263,000            -         64,000
CSG SYSTEMS INT'L INC                    100,600            -         47,100
CALPINE CORPORATION                      704,400            -         82,300
CAMINUS CORP                                   -            -        100,000
CAPROCK COMMUNICATIONS CORP              247,500            -        180,000
CELADON GROUP INC                         40,000            -        250,000
CENDANT CORPORATION                    1,628,050            -        183,550
CHARTERED SEMICONDUCTOR                   55,500            -         18,500
CHASE MANHATTAN CORP                     449,800            -         50,800
CHICO'S FAS INC                          310,000            -        294,000
CIENA CORP                               745,700            -         93,400
CIMA LABS INC                                  -            -        250,000
CISCO                                    953,450            -        101,000
CITADEL COMMUNICATION CORP               254,700            -              -
- ----------------------------------------------------------------------------
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
Page: 3                                 Form 13F                          Reporting Manager:   Columbus Circle Investors
                                                                                               Item 6
                                                                                               Inv. Discretion           Item 7
Item 1                        Item 2    Item 3       Item 4                Item 5          S    S            S           Managers
Name of Issuer                Title of  Cusip        Fair Market          Shares or        O    H            H           Instr. V
                              Class     Number       Value                Principal        L    R            R
                                                                           Amount          E    D.V          D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------

<S>                           <C>      <C>         <C>                   <C>               <C>
CITIGROUP INC                   Equity   172967101   $   70,121,109.53     1,171,125.0026   X
CITIZENS UTILITIES CO           Equity   177342201   $    6,644,975.00       405,800.0000   X
CITY NATIONAL CORP              Equity   178566105   $    7,023,843.75       208,500.0000   X
CLARENT CORP                    Equity   180461105   $    5,055,009.38        56,050.0000   X
COASTAL CORP                    Equity   190441105   $   20,286,000.00       441,000.0000   X
COCA-COLA ENTERPRISES           Equity   191219104   $   21,034,218.75       975,500.0000   X
COGNEX CORP                     Equity   192422103   $    7,849,538.13       136,070.0000   X
COHERENT INC                    Equity   192479103   $   34,892,000.00       671,000.0000   X
KENNETH COLE PRODUCTIONS-A      Equity   193294105   $   14,300,737.50       364,350.0000   X
COLUMBIA/HCA HEALTHCARE CORP    Equity   197677107   $   70,190,296.88     2,772,950.0000   X
COMPAQ                          Equity   204493100   $   38,726,100.00     1,434,300.0000   X
COMPUTER NETWORK TECH CORP      Equity   204925101   $    6,438,250.00       367,900.0000   X
CONCORD CAMERA CORP             Equity   206156101   $   12,100,000.00       220,000.0000   X
CONEXANT SYSTEMS INC            Equity   207142100   $    3,102,700.00        43,700.0000   X
COORS (ADOLPH)CLASS B           Equity   217016104   $    7,036,800.00       146,600.0000   X
COPPER MOUNTAIN NETWORKS INC    Equity   217510106   $    3,760,931.25        45,900.0000   X
CORPORATE EXECUTIVE BOARD CO    Equity   21988R102   $    9,388,750.00       185,000.0000   X
COST PLUS INC/CALIFORNIA        Equity   221485105   $   17,944,293.75       530,700.0000   X
CREE RESEARCH INC               Equity   225447101   $    5,322,056.25        47,150.0000   X
CREO PRODUCTS INC-W/I           Equity   225606102   $   12,284,800.00       281,600.0000   X
CRITICAL PATH INC               Equity   22674V100   $    6,383,500.00        75,100.0000   X
CYPRESS COMMUNICATIONS INC      Equity   232743104   $    8,624,000.00       352,000.0000   X
CYTYC CORPORATION               Equity   232946103   $   61,605,600.00     1,276,800.0000   X
DSP GROUP                       Equity   23332B106   $   52,602,000.00       797,000.0000   X
DAL-TILE INTERNATIONAL          Equity   23426R108   $    5,907,881.25       744,300.0000   X
DATALINK INC                    Equity   237934104   $    3,000,000.00       150,000.0000   X
DIGITAL LIGHTWAVE INC           Equity   253855100   $   51,650,831.25       828,900.0000   X
WALT DISNEY PRODUCTIONS         Equity   254687106   $   30,347,625.00       735,700.0000   X
DOLLAR THRIFTY                  Equity   256743105   $    8,456,250.00       492,000.0000   X
DOWNEY FINANCIAL CORP           Equity   261018105   $    4,705,812.50       221,450.0000   X
DSET CORP                       Equity   262504103   $    7,882,031.25       427,500.0000   X
DYCOM INDUSTRIES INC            Equity   267475101   $   38,523,468.75       790,225.0000   X
ETRADE GROUP                    Equity   269246104   $   22,545,550.00       748,400.0000   X
J.D. EDWARDS & COMPANY          Equity   281667105   $   35,444,281.25     1,088,500.0000   X
ELCOR CORP                      Equity   284443108   $    8,597,400.00       249,200.0000   X
- ------------------------------------------------------------------------------------------------------------------------------------
                 Page Market Value         $ 719,778,641.41
</TABLE>

I.D.# 28-4974                 Qtr 1 2000

                 Item 8
                 Voting Authority
                    (Shares)

      Sole          Shared         None
- ---------------------------------------------
      1,051,550            -        119,575
        276,000            -        129,800
        208,500            -              -
         38,200            -         17,850
        397,500            -         43,500
        878,300            -         97,200
        104,000            -         32,070
        567,700            -        103,300
        315,600            -         48,750
      2,497,950            -        275,000
      1,298,100            -        136,200
        367,900            -              -
        176,900            -         43,100
         29,100            -         14,600
        112,500            -         34,100
         45,900            -              -
         51,000            -        134,000
        520,200            -         10,500
         36,700            -         10,450
         79,700            -        201,900
         51,200            -         23,900
        352,000            -              -
        926,600            -        350,200
        637,000            -        160,000
        744,300            -              -
         40,000            -        110,000
        650,700            -        178,200
        659,900            -         75,800
        219,400            -        272,600
        160,000            -         61,450
        308,400            -        119,100
        531,100            -        259,125
        673,100            -         75,300
        964,700            -        123,800
        208,700            -         40,500
- ---------------------------------------------
<PAGE>

<TABLE>
<CAPTION>
Page: 4                                 Form 13F                          Reporting Manager:   Columbus Circle Investors
                                                                                               Item 6
                                                                                               Inv. Discretion          Item 7
Item 1                         Item 2    Item 3       Item 4                Item 5          S    S           S          Managers
Name of Issuer                 Title of  Cusip        Fair Market          Shares or        O    H           H          Instr. V
                               Class     Number       Value                Principal        L    R           R
                                                                            Amount          E    D.V         D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------

<S>                             <C>      <C>         <C>                     <C>            <C>
ELECTRONICS BOUTIQUE HOLDINGS   Equity   286045109   $    5,645,700.00       295,200.0000   X
ELOQUENT INC                    Equity   290140102   $   10,146,750.00       498,000.0000   X
ELTRAX SYSTEMS INC              Equity   290375104   $    7,068,937.50       531,000.0000   X
EMCORE CORP                     Equity   290846104   $   29,536,543.75       256,700.0000   X
EMISPHERE TECHNOLOGIES          Equity   291345106   $   21,631,875.00       417,000.0000   X
EMMIS COMMUNICATIONS CL A       Equity   291525103   $    4,045,500.00        87,000.0000   X
ENDOCARE INC                    Equity   29264P104   $    4,303,125.00       225,000.0000   X
ENRON CORP                      Equity   293561106   $   64,766,875.00       865,000.0000   X
ENTRUST TECHNOLOGIES INC        Equity   293848107   $    4,079,494.90        47,950.0000   X
ERICSSON LM TEL.                Equity   294821400   $    2,434,434.38        25,950.0000   X
ESPEED INC                      Equity   296643109   $    5,703,637.50       108,900.0000   X
FEI COMPANY                     Equity   30241L109   $   10,050,000.00       335,000.0000   X
F.Y.I. INC                      Equity   302712104   $    3,309,250.00       122,000.0000   X
FACTORY 2-U STORES INC          Equity   303072102   $    7,125,000.00       285,000.0000   X
FAIRCHILD SEMICON INTL          Equity   303726103   $    3,737,600.00       102,400.0000   X
FAIRMARKET INC                  Equity   305158107   $      341,250.00        15,000.0000   X
FIRSTWORLD COMMUNICATIONS       Equity   337625305   $    3,667,500.00       180,000.0000   X
FORWARD AIR CORPORATION         Equity   349853101   $    8,416,168.75       355,300.0000   X
FOURFRONT TECHNOLOGIES INC      Equity   351042106   $    5,814,150.00       280,200.0000   X
GADZOOX NETWORKS INC            Equity   362555104   $   19,175,000.00       400,000.0000   X
GENE LOGIC INC                  Equity   368689105   $   31,774,012.50       755,400.0000   X
GENENTECH INC                   Equity   368710406   $   20,717,600.00       136,300.0000   X
GEON COMPANY                    Equity   37246W105   $   15,733,700.00       731,800.0000   X
GEORGIA GULF                    Equity   373200203   $   20,142,200.00       774,700.0000   X
GETTY IMAGES INC                Equity   374276103   $   11,453,281.25       318,700.0000   X
GILDAN ACTIVEWEAR INC-CL A      Equity   375916103   $    5,122,125.00       157,000.0000   X
GLENAYRE TECHNOLOGIES INC.      Equity   377899109   $    3,753,106.25       213,700.0000   X
GLOBIX CORPORATION              Equity   37957F101   $   42,944,000.00     1,126,400.0000   X
GRIC COMMUNICATIONS INC         Equity   398081109   $    8,923,500.00       264,400.0000   X
HANOVER COMPRESSOR              Equity   410768105   $   26,446,875.00       465,000.0000   X
HAVERTY FURNITURE               Equity   419596101   $    3,440,375.00       323,800.0000   X
HEALTH MGT ASSOC. CLASS A       Equity   421933102   $    3,962,925.00       278,100.0000   X
HOME DEPOT                      Equity   437076102   $   60,944,018.26       944,868.5001   X
HOOPER HOLMES INC.              Equity   439104100   $   30,997,912.50       903,400.0000   X
HOT TOPIC                       Equity   441339108   $   15,400,000.00       440,000.0000   X
- ------------------------------------------------------------------------------------------------------------------------------------
                 Page Market Value        $ 522,754,422.53
</TABLE>

I.D.# 28-4974                 Qtr 1 2000

                 Item 8
                 Voting Authority
                    (Shares)

      Sole          Shared         None
- ---------------------------------------------
         263,700            -         31,500
         448,000            -         50,000
         531,000            -              -
         179,600            -         77,100
         386,000            -         31,000
          66,000            -         21,000
               -            -        225,000
         779,200            -         85,800
          35,400            -         12,550
          25,950            -              -
          50,900            -         58,000
         240,000            -         95,000
         122,000            -              -
         186,600            -         98,400
         102,400            -              -
          15,000            -              -
         180,000            -              -
         251,800            -        103,500
         280,200            -              -
         313,900            -         86,100
         631,500            -        123,900
         123,000            -         13,300
         610,100            -        121,700
         661,700            -        113,000
         298,700            -         20,000
         127,000            -         30,000
         213,700            -              -
         899,800            -        226,600
         264,400            -              -
         291,000            -        174,000
         266,400            -         57,400
         276,300            -          1,800
         853,794            -         91,075
         903,400            -              -
         440,000            -              -
- ---------------------------------------------
<PAGE>

<TABLE>
<CAPTION>
Page: 5                                 Form 13F                          Reporting Manager:   Columbus Circle Investors
                                                                                               Item 6
                                                                                               Inv. Discretion          Item 7
Item 1                         Item 2    Item 3       Item 4                Item 5          S    S           S          Managers
Name of Issuer                 Title of  Cusip        Fair Market          Shares or        O    H           H          Instr. V
                               Class     Number       Value                Principal        L    R           R
                                                                            Amount          E    D.V         D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------

<S>                             <C>      <C>         <C>                     <C>            <C>
ICG COMMUNICATIONS INC.         Equity   449246107   $   17,491,725.00       484,200.0000    X
ITC DELTACOM INC                Equity   45031T104   $   16,886,250.00       474,000.0000    X
IBASIS INC                      Equity   450732102   $    9,752,343.75       237,500.0000    X
IMAGEX.COM INC                  Equity   45244D102   $   11,833,500.00       588,000.0000    X
IMPERIAL BANCORP                Equity   452556103   $   12,638,700.00       407,700.0000    X
INFOCUS SYSTEMS                 Equity   452919103   $   15,471,000.00       432,000.0000    X
INDEPENDENT ENERGY HLDGS-ADR    Equity   45384X108   $   23,088,187.50       514,500.0000    X
INHALE THERAPEUTIC SYS INC      Equity   457191104   $    4,961,700.00        66,600.0000    X
INKTOMI CORP                    Equity   457277101   $    2,749,500.00        14,100.0000    X
INTEL CORP                      Equity   458140100   $   48,368,287.50       366,600.0000    X
INTERLINK ELECTRONICS INC       Equity   458751104   $   22,193,762.50       232,700.0000    X
INTERMEDIA COMMUNICATIONS       Equity   458801107   $   18,875,693.75       390,700.0000    X
INTRANET SOLUTIONS INC          Equity   460939309   $   33,929,600.00       737,600.0000    X
INTERTAN INC                    Equity   461120107   $    8,857,062.50       644,150.0000    X
INTERVU INC                     Equity   46114R106   $   21,015,000.00       233,500.0000    X
INTIMATE BRANDS INC.            Equity   461156101   $   10,995,826.88       266,970.0000    X
INVESTMENT TECHNOLOGY GROUP     Equity   46145F105   $    5,287,500.00       150,000.0000    X
INVITROGEN CORP                 Equity   46185R100   $   12,773,750.00       220,000.0000    X
IVAX CORP                       Equity   465823102   $   14,122,312.50       518,250.0000    X
JDS UNIPHASE CORP.              Equity   46612J101   $    4,364,362.50        36,200.0000    X
JAKKS PACIFIC INC               Equity   47012E106   $   13,126,171.88       608,750.0000    X
JUPITER COMMUNICATIONS INC      Equity   482050101   $    6,992,000.00       304,000.0000    X
KLA TENCOR                      Equity   482480100   $    3,214,137.50        38,150.0000    X
KEY ENERGY SERVICES INC         Equity   492914106   $   34,647,031.25     2,996,500.0000    X
KINDER MORGAN                   Equity   49455P101   $    7,983,300.00       231,400.0000    X
KINROSS GOLD CORP FORHQ         Equity   496902107   $    1,875,625.00     1,200,400.0000    X
KNIGHT/TRIMARK GROUP INC CLAS   Equity   499068104   $   29,391,300.00       576,300.0000    X
KOPIN CORP                      Equity   500600101   $   24,392,500.00       354,800.0000    X
LCC INTERNATIONAL               Equity   501810105   $    7,211,750.00       182,000.0000    X
L-3 COMMUNICATIONS CORP         Equity   502424104   $    6,959,625.00       134,000.0000    X
LAMAR ADVERTISING INC           Equity   512815101   $    3,173,625.00        69,750.0000    X
LANDSTAR SYSTEM INC             Equity   515098101   $    6,750,675.00       123,300.0000    X
LATITUDE COMMUNICATIONS         Equity   518292107   $   10,941,000.00       416,800.0000    X
LEGG MASON                      Equity   524901105   $    3,555,150.00        82,200.0000    X
LENDING TREE INC                Equity   52602Q105   $    4,738,500.00       351,000.0000    X
- ------------------------------------------------------------------------------------------------------------------------------------
        Page Market Value             $ 480,608,455.00
</TABLE>

                                I.D.# 28-4974                 Qtr 1 2000

                                                 Item 8
                                                 Voting Authority
                                                    (Shares)

                                      Sole          Shared         None
- -----------------------------------------------------------------------------
ICG COMMUNICATIONS INC.              413,000            -         71,200
ITC DELTACOM INC                     208,300            -        265,700
IBASIS INC                           191,000            -         46,500
IMAGEX.COM INC                       588,000            -              -
IMPERIAL BANCORP                     207,036            -        200,664
INFOCUS SYSTEMS                      387,000            -         45,000
INDEPENDENT ENERGY HLDGS-ADR         414,500            -        100,000
INHALE THERAPEUTIC SYS INC            66,600            -              -
INKTOMI CORP                          14,100            -              -
INTEL CORP                           329,650            -         36,950
INTERLINK ELECTRONICS INC            174,200            -         58,500
INTERMEDIA COMMUNICATIONS            318,500            -         72,200
INTRANET SOLUTIONS INC               457,100            -        280,500
INTERTAN INC                         307,400            -        336,750
INTERVU INC                          193,700            -         39,800
INTIMATE BRANDS INC.                 207,495            -         59,475
INVESTMENT TECHNOLOGY GROUP          150,000            -              -
INVITROGEN CORP                      220,000            -              -
IVAX CORP                            400,800            -        117,450
JDS UNIPHASE CORP.                    36,200            -              -
JAKKS PACIFIC INC                    570,350            -         38,400
JUPITER COMMUNICATIONS INC           281,800            -         22,200
KLA TENCOR                            38,150            -              -
KEY ENERGY SERVICES INC            2,231,500            -        765,000
KINDER MORGAN                        161,600            -         69,800
KINROSS GOLD CORP FORHQ            1,200,400            -              -
KNIGHT/TRIMARK GROUP INC CLAS        520,400            -         55,900
KOPIN CORP                            84,800            -        270,000
LCC INTERNATIONAL                    182,000            -              -
L-3 COMMUNICATIONS CORP              115,000            -         19,000
LAMAR ADVERTISING INC                 47,500            -         22,250
LANDSTAR SYSTEM INC                  123,300            -              -
LATITUDE COMMUNICATIONS              378,000            -         38,800
LEGG MASON                            56,100            -         26,100
LENDING TREE INC                     351,000            -              -
- -----------------------------------------------------------------------------
<PAGE>

<TABLE>
<CAPTION>

Page: 6                                  Form 13F                          Reporting Manager: Columbus Circle Investors
                                                                                                  Item 6
                                                                                                  Inv. Discretion
Item 1                         Item 2    Item 3       Item 4                Item 5            S    S            S
Name of Issuer                 Title of  Cusip        Fair Market          Shares or          O    H            H
                               Class     Number       Value                Principal          L    R            R
                                                                            Amount            E    D.V          D.Othr
- ------------------------------------------------------------------------------------------------------------------------
<S>                            <C>      <C>         <C>                   <C>                 <C>  <C>          <C>
LINCARE HOLDINGS INC           Equity   532791100   $    1,980,575.00        69,800.0000 X
LONE STAR TECHNOLOGIES INC     Equity   542312103   $   14,686,875.00       315,000.0000 X
LONGVIEW FIBER                 Equity   543213102   $   10,246,825.00       694,700.0000 X
LOUDEYE TECHNOLOGIES INC       Equity   545754103   $    2,894,625.00        83,000.0000 X
MDSI MOBILE DATA SOLUTIONS     Equity   55268N100   $   12,668,075.00       267,400.0000 X
MGC COMMUNICATIONS INC         Equity   552763302   $   46,024,550.00       643,700.0000 X
MKS INSTRUMENTS INC            Equity   55306N104   $    6,039,800.00       119,600.0000 X
MSC INDUSTRIAL DIRECT          Equity   553530106   $    8,298,000.00       461,000.0000 X
MTI TECHNOLOGY CORP            Equity   553903105   $   34,509,050.00     1,308,400.0000 X
MACROVISION CORP               Equity   555904101   $   16,096,762.50       186,900.0000 X
MARINE DRILLING                Equity   568240204   $   61,095,081.25     2,226,700.0000 X
MARSHALL & ISLEY CORP          Equity   571834100   $    6,352,500.00       110,000.0000 X
MASTEC INC                     Equity   576323109   $   22,534,800.00       253,200.0000 X
MAVERICK TUBE CORP             Equity   577914104   $   15,764,625.00       486,000.0000 X
MCK COMMUNICATIONS             Equity   581243102   $   17,053,075.00       356,200.0000 X
MEDIA METRIX                   Equity   58440X103   $   19,561,500.00       465,750.0000 X
MEDICIS PHARMACEUTICAL         Equity   584690309   $   29,488,000.00       737,200.0000 X
MENTOR GRAPHICS CORP           Equity   587200106   $    8,653,012.50       572,100.0000 X
METTLER-TOLEDO INTERNATIONAL   Equity   592688105   $   17,210,125.00       420,400.0000 X
MICHAEL STORES                 Equity   594087108   $   10,187,500.00       250,000.0000 X
MICROSOFT                      Equity   594918104   $   88,761,250.00       835,400.0000 X
MICROCELL TELECOMMUNICATIONS   Equity   59501T304   $   23,030,625.00       519,000.0000 X
MICROMUSE INC                  Equity   595094103   $    4,358,712.50        31,400.0000 X
MINIMED INC                    Equity   60365K108   $    5,503,750.00        42,500.0000 X
MISSION CRITICAL SOFTWARE      Equity   605047109   $   30,189,637.50       493,900.0000 X
MONACO COACH                   Equity   60886R103   $    8,255,500.00       434,500.0000 X
MONTANA POWER CO               Equity   612085100   $    7,043,200.00       110,050.0000 X
MOTOROLA                       Equity   620076109   $   62,860,300.00       430,550.0000 X
MUELLER INDUSTRIES             Equity   624756102   $   13,398,412.50       441,100.0000 X
MYLAN LABS INC                 Equity   628530107   $    8,992,500.00       327,000.0000 X
MYRIAD GENETICS INC            Equity   62855J104   $   16,044,575.00       266,300.0000 X
NANOGEN INC                    Equity   630075109   $   10,200,000.00       300,000.0000 X
NATIONAL COMPUTER SYSTEMS      Equity   635519101   $   13,956,250.00       275,000.0000 X
NATIONAL DISCOUNT BROKERS      Equity   635646102   $   26,465,000.00       536,000.0000 X
NATIONAL-OILWELL INC           Equity   637071101   $   17,135,625.00       555,000.0000 X
- ------------------------------------------------------------------------------------------------------------------------
              Page Market Value         $ 697,540,693.75

<CAPTION>
                                           I.D.# 28-4974                 Qtr 1 2000

                               Item 7                       Item 8
Item 1                          Managers                    Voting Authority
Name of Issuer                  Instr. V                       (Shares)

                                                 Sole          Shared         None
- ----------------------------------------------------------------------------------------
<S>                                          <C>               <C>         <C>
LINCARE HOLDINGS INC                             5,800            -         64,000
LONE STAR TECHNOLOGIES INC                     291,100            -         23,900
LONGVIEW FIBER                                 694,700            -              -
LOUDEYE TECHNOLOGIES INC                         3,000            -         80,000
MDSI MOBILE DATA SOLUTIONS                     127,000            -        140,400
MGC COMMUNICATIONS INC                         392,000            -        251,700
MKS INSTRUMENTS INC                            119,600            -              -
MSC INDUSTRIAL DIRECT                          199,000            -        262,000
MTI TECHNOLOGY CORP                          1,104,400            -        204,000
MACROVISION CORP                               143,300            -         43,600
MARINE DRILLING                              1,925,800            -        300,900
MARSHALL & ISLEY CORP                           75,200            -         34,800
MASTEC INC                                     244,700            -          8,500
MAVERICK TUBE CORP                             486,000            -              -
MCK COMMUNICATIONS                             335,300            -         20,900
MEDIA METRIX                                   465,750            -              -
MEDICIS PHARMACEUTICAL                         657,000            -         80,200
MENTOR GRAPHICS CORP                           572,100            -              -
METTLER-TOLEDO INTERNATIONAL                   185,400            -        235,000
MICHAEL STORES                                 237,300            -         12,700
MICROSOFT                                      754,250            -         81,150
MICROCELL TELECOMMUNICATIONS                   404,800            -        114,200
MICROMUSE INC                                   31,400            -              -
MINIMED INC                                     29,000            -         13,500
MISSION CRITICAL SOFTWARE                      427,200            -         66,700
MONACO COACH                                   434,500            -              -
MONTANA POWER CO                                74,900            -         35,150
MOTOROLA                                       390,000            -         40,550
MUELLER INDUSTRIES                             441,100            -              -
MYLAN LABS INC                                 225,500            -        101,500
MYRIAD GENETICS INC                            199,900            -         66,400
NANOGEN INC                                    235,000            -         65,000
NATIONAL COMPUTER SYSTEMS                      275,000            -              -
NATIONAL DISCOUNT BROKERS                      387,000            -        149,000
NATIONAL-OILWELL INC                           350,000            -        205,000
- ----------------------------------------------------------------------------------------
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 7                                 Form 13F                          Reporting Manager:   Columbus Circle Investors

                                                                                               Item 6
                                                                                               Inv. Discretion          Item 7

Item 1                         Item 2    Item 3       Item 4                Item 5          S    S          S           Managers

Name of Issuer                 Title of  Cusip        Fair Market          Shares or        O    H          H           Instr. V

                               Class     Number       Value                Principal        L    R          R
                                                                            Amount          E    D.V        D.Othr

- ------------------------------------------------------------------------------------------------------------------------------------

<S>                             <C>      <C>         <C>                   <C>              <C>  <C>        <C>         <C>
NATIONAL SEMICONDUCTOR          Equity   637640103   $    8,905,950.00       146,600.0000 X
NETWORKS                        Equity   640938106   $   33,891,525.00     1,050,900.0000 X
NET.GENESIS CORP                Equity   64107E107   $      939,750.00        21,000.0000 X
NET PERCEPTIONS INC             Equity   64107U101   $   22,299,168.75       603,700.0000 X
NETWORK PLUS CORP               Equity   64122D506   $   27,758,700.00       685,400.0000 X
NET2000 COMMUNICATIONS INC      Equity   64122G103   $    7,576,250.00       319,000.0000 X
NEWFIELD EXPLORATION            Equity   651290108   $   26,416,350.00       749,400.0000 X
NEWPORT CORP                    Equity   651824104   $   35,059,500.00       259,700.0000 X
NEXT LEVEL COMMUNICATION INC    Equity   65333U104   $    7,797,375.00        71,700.0000 X
NOKIA CORP                      Equity   654902204   $    4,617,600.00        20,800.0000 X
NOBLE DRILLING CORP             Equity   655042109   $    9,191,456.25       222,150.0000 X
NOVELLUS SYS. INC               Equity   670008101   $    6,106,400.00       108,800.0000 X
OTG SOFTWARE INC                Equity   671059103   $   12,900,000.00       320,000.0000 X
OAK TECHNOLOGY INC              Equity   671802106   $   29,065,575.00     1,509,900.0000 X
OAKLEY INC                      Equity   673662102   $    6,063,687.50       570,700.0000 X
OCEAN ENERGY INC                Equity   67481E106   $   18,989,375.00     1,321,000.0000 X
OFFICIAL PAYMENTS CORP          Equity   676235104   $    6,715,800.00       159,900.0000 X
OMNICOM GROUP INC               Equity   681919106   $   51,198,831.25       546,850.0000 X
OPEN MARKET INC                 Equity   68370M100   $   37,579,550.00     1,459,400.0000 X
ORACLE CORPORATION              Equity   68389X105   $    3,161,531.25        40,500.0000 X
ORTHOLOGIC CORP                 Equity   68750J107   $    5,726,875.00       935,000.0000 X
OSTEOTECH INC                   Equity   688582105   $    7,115,500.00       532,000.0000 X
PE BIOSYSTEMS                   Equity   69332S102   $   64,384,800.00       667,200.0000 X
P.F. CHANGS CHINA BISTRO INC    Equity   69333Y108   $   12,620,625.00       381,000.0000 X
PACIFIC SUNWEAR OF CALIFORNIA   Equity   694873100   $   40,940,900.00     1,063,400.0000 X
PACKETEER                       Equity   695210104   $   11,515,000.00       329,000.0000 X
PATTERSON ENERGY                Equity   703414102   $   28,200,350.00       888,200.0000 X
PEPSICO                         Equity   713448108   $   57,637,912.50     1,652,700.0000 X
PERFORMANCE TECHNOLOGIES INC    Equity   71376K102   $   17,744,218.75       408,500.0000 X
PHARMACYCLICS INC               Equity   716933106   $    4,232,250.00        76,000.0000 X
PHARMACOPIA INC                 Equity   71713B104   $   19,570,600.00       399,400.0000 X
PHILADELPHIA SUBURBAN CORP      Equity   718009608   $    3,262,500.00       180,000.0000 X
PHOTON DYNAMICS INC             Equity   719364101   $   21,700,500.00       314,500.0000 X
POLAROID                        Equity   731095105   $   23,750,000.00     1,000,000.0000 X
POPE AND TALBOT INC             Equity   732827100   $    3,720,937.50       202,500.0000 X
- ------------------------------------------------------------------------------------------------------------------------------------

            Page Market Value      $ 678,357,343.75
</TABLE>

<TABLE>
<CAPTION>

                               I.D. # 28-4974               Qtr 1 2000
                                             Item 8
Item 1                                       Voting Authority
Name of Issuer                                  (Shares)
                                  Sole           Shared       None
- ---------------------------------------------------------------------------
<S>                              <C>         <C>              <C>
NATIONAL SEMICONDUCTOR            108,000            -         38,600
NETWORKS                          951,900            -         99,000
NET.GENESIS CORP                   21,000            -              -
NET PERCEPTIONS INC               473,800            -        129,900
NETWORK PLUS CORP                 632,300            -         53,100
NET2000 COMMUNICATIONS INC        269,000            -         50,000
NEWFIELD EXPLORATION              596,000            -        153,400
NEWPORT CORP                      240,800            -         18,900
NEXT LEVEL COMMUNICATION INC       55,600            -         16,100
NOKIA CORP                         20,800            -              -
NOBLE DRILLING CORP               151,700            -         70,450
NOVELLUS SYS. INC                  83,300            -         25,500
OTG SOFTWARE INC                  320,000            -              -
OAK TECHNOLOGY INC              1,390,500            -        119,400
OAKLEY INC                        570,700            -              -
OCEAN ENERGY INC                  796,000            -        525,000
OFFICIAL PAYMENTS CORP            139,500            -         20,400
OMNICOM GROUP INC                 494,400            -         52,450
OPEN MARKET INC                 1,252,000            -        207,400
ORACLE CORPORATION                 40,500            -              -
ORTHOLOGIC CORP                   935,000            -              -
OSTEOTECH INC                      75,000            -        457,000
PE BIOSYSTEMS                     604,300            -         62,900
P.F. CHANGS CHINA BISTRO INC      299,700            -         81,300
PACIFIC SUNWEAR OF CALIFORNIA     764,700            -        298,700
PACKETEER                         289,000            -         40,000
PATTERSON ENERGY                  793,200            -         95,000
PEPSICO                         1,492,600            -        160,100
PERFORMANCE TECHNOLOGIES INC      298,500            -        110,000
PHARMACYCLICS INC                  59,300            -         16,700
PHARMACOPIA INC                   330,600            -         68,800
PHILADELPHIA SUBURBAN CORP        180,000            -              -
PHOTON DYNAMICS INC               314,500            -              -
POLAROID                          718,500            -        281,500
POPE AND TALBOT INC               106,500            -         96,000
- --------------------------------------------------------------------------
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page: 8                                 Form 13F                          Reporting Manager: Columbus Circle Investors
                                                                                                    Item 6
                                                                                               Inv. Discretion          Item 7

Item 1                         Item 2    Item 3       Item 4                Item 5          S    S          S           Managers

Name of Issuer                 Title of  Cusip        Fair Market          Shares or        O    H          H           Instr. V

                               Class     Number       Value                Principal        L    R          R
                                                                            Amount          E    D.V        D.Othr

- ------------------------------------------------------------------------------------------------------------------------------------

<S>                             <C>      <C>         <C>                   <C>              <C>  <C>        <C>         <C>
PORTAL SOFTWARE                 Equity   736126103   $    2,308,815.63       40,550.0000 X
POWERWAVE TECHNOLOGIES          Equity   739363109   $    3,475,000.00       27,800.0000 X
PRECISION DRILLING CORP         Equity   74022D100   $   30,528,112.50      914,700.0000 X
PRICELINE.COM INC               Equity   741503106   $   29,488,000.00      368,600.0000 X
PRIMUS KNOWLEDGE SOLUTIONS      Equity   74163Q100   $   12,831,200.00      149,200.0000 X
PRIMUS TELECOMMUNICATIONS GP    Equity   741929103   $   54,189,175.00    1,048,400.0000 X
PRIORITY HEALTHCARE CORP        Equity   74264T102   $   17,185,500.00      342,000.0000 X
PSI TECHNOLOGIES HLDGS          Equity   74438Q109   $      997,500.00       60,000.0000 X
QLT PHOTOTHERAPEUTICS INC       Equity   746927102   $   31,663,775.00      573,100.0000 X
QUANTA SERVICES INC             Equity   74762E102   $   33,796,868.75      556,900.0000 X
RF MICRO DEVICES INC            Equity   749941100   $    6,033,437.50       44,900.0000 X
RADISYS CORP                    Equity   750459109   $   23,929,750.00      398,000.0000 X
RARE HOSPITALITY INTL INC       Equity   753820109   $    6,083,937.50      313,000.0000 X
RARE MEDIUM GROUP INC           Equity   75382N109   $   20,222,487.50      458,300.0000 X
REDBACK NETWORKS                Equity   757209101   $    3,359,300.00       11,200.0000 X
RENT WAY INC                    Equity   76009U104   $    5,584,800.00      286,400.0000 X
RESEARCH IN MOTION              Equity   760975102   $   56,152,125.00      527,250.0000 X
ROBITIC VISION SYSTEMS          Equity   771074101   $   12,576,000.00      786,000.0000 X
ROGERS CANTEL MOBILE COMM-B     Equity   775102205   $    4,872,718.75      120,500.0000 X
ROWAN COMPANIES INC             Equity   779382100   $   43,932,525.00    1,492,400.0000 X
S1 CORPORATION                  Equity   78463B101   $    7,686,168.75       89,700.0000 X
S3 INCORPORATED                 Equity   784849101   $   33,123,300.00    1,577,300.0000 X
SCHLUMBERGER LTD                Equity   806857108   $   62,271,000.00      814,000.0000 X
SCIQUEST.COM INC                Equity   80908Q107   $    3,277,975.00      127,300.0000 X
SENSORMATIC ELECTRONICS CORP    Equity   817265101   $    4,478,525.00      199,600.0000 X
SEPRACOR INC                    Equity   817315104   $    7,528,812.50      103,400.0000 X
SHAW GROUP INC                  Equity   820280105   $   17,015,175.00      482,700.0000 X
SIEBEL SYSTEMS INC              Equity   826170102   $   32,534,775.00      272,400.0000 X
SILICON STORAGE TECHNOLOGY      Equity   827057100   $   39,523,125.00      535,000.0000 X
SILICON VALLEY BANCSHARES       Equity   827064106   $   18,895,937.50      262,900.0000 X
SITEL CORP                      Equity   82980K107   $    4,812,500.00      700,000.0000 X
SKILLSOFT CORP                  Equity   83066P101   $    4,025,156.25      138,500.0000 X
SMARTDISK CORPORATION           Equity   83169Q105   $    2,968,000.00      112,000.0000 X
SONIC FOUNDRY INC               Equity   83545R108   $   30,566,250.00      313,500.0000 X
SPANISH BROADCASTING            Equity   846425882   $    8,665,929.69      369,500.0000 X
- ------------------------------------------------------------------------------------------------------------------------------------

               Page Market Value         $ 676,583,657.81

<CAPTION>
                         I.D. 28-4974               Qtr 1 2000
Item 1                                 Item 8
                                       Voting Authority
                                          (Shares)

Name of Issuer                 Sole        Shared     None
- --------------------------------------------------------------
<S>                            <C>     <C>            <C>
PORTAL SOFTWARE                  40,500       -              -
POWERWAVE TECHNOLOGIES           19,200       -          8,600
PRECISION DRILLING CORP         714,700       -        200,000
PRICELINE.COM INC               335,000       -         33,600
PRIMUS KNOWLEDGE SOLUTIONS       54,900       -         94,300
PRIMUS TELECOMMUNICATIONS GP  1,048,400       -              -
PRIORITY HEALTHCARE CORP        342,000       -              -
PSI TECHNOLOGIES HLDGS           60,000       -              -
QLT PHOTOTHERAPEUTICS INC       519,700       -         53,400
QUANTA SERVICES INC             442,000       -        114,900
RF MICRO DEVICES INC             29,900       -         15,000
RADISYS CORP                    376,000       -         22,000
RARE HOSPITALITY INTL INC       133,500       -        179,500
RARE MEDIUM GROUP INC           266,400       -        171,900
REDBACK NETWORKS                 11,200       -              -
RENT WAY INC                    286,400       -              -
RESEARCH IN MOTION              466,750       -         61,500
ROBITIC VISION SYSTEMS          416,000       -        370,000
ROGERS CANTEL MOBILE COMM-B      60,400       -         40,100
ROWAN COMPANIES INC           1,471,900       -         20,500
S1 CORPORATION                   66,000       -         23,700
S3 INCORPORATED               1,044,400       -        532,900
SCHLUMBERGER LTD                733,500       -         80,500
SCIQUEST.COM INC                115,500       -         11,800
SENSORMATIC ELECTRONICS CORP    148,100       -         51,500
SEPRACOR INC                     72,300       -         31,100
SHAW GROUP INC                  470,100       -         12,600
SIEBEL SYSTEMS INC              238,400       -         34,000
SILICON STORAGE TECHNOLOGY      399,100       -        135,900
SILICON VALLEY BANCSHARES       282,900       -              -
SITEL CORP                            -       -        700,000
SKILLSOFT CORP                   86,600       -         52,900
SMARTDISK CORPORATION           112,000       -              -
SONIC FOUNDRY INC               247,000       -         66,500
SPANISH BROADCASTING             79,200       -        290,300
- --------------------------------------------------------------
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page: 9                                 Form 13F                          Reporting Manager:   Columbus Circle Investors
                                                                                               Item 6
                                                                                               Inv. Discretion             Item 7
Item 1                            Item 2    Item 3       Item 4                Item 5          S    S          S           Managers
Name of Issuer                    Title of  Cusip        Fair Market          Shares or        O    H          H           Instr. V
                                  Class     Number       Value                Principal        L    R          R
                                                                               Amount          E    D.V        D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>      <C>         <C>                  <C>
SPARTECH CORP                      Equity   847220209   $    8,586,875.00      249,800.0000 X
SPECTRASITE HOLDINGS INC           Equity   84760T100   $    8,757,056.25      309,300.0000 X
SPINNAKER EXPLORATION CO           Equity   84855W109   $    8,003,450.00      351,800.0000 X
STARBASE CORP                      Equity   854910205   $   16,312,500.00    1,740,000.0000 X
STILLWATER MINING                  Equity   86074Q102   $   35,952,000.00      898,800.0000 X
STONE ENERGY CORP                  Equity   861642106   $   32,519,775.00      660,300.0000 X
STRATEGIC DIAGNOSTICS INC          Equity   862700101   $    3,309,250.00      434,000.0000 X
SYMYX TECHNOLOGIES INC             Equity   87155S108   $    1,725,000.00       40,000.0000 X
SYSCO CORP                         Equity   871829107   $   41,194,782.50    1,140,340.0000 X
SYSTEMS & COMPUTER TECH CORP       Equity   871873105   $   20,296,512.50      868,300.0000 X
TALBOTS INC                        Equity   874161102   $   13,541,250.00      230,000.0000 X
TELECORP PCS INC                   Equity   879299105   $    7,715,925.00      149,100.0000 X
TELESCAN INC                       Equity   879516102   $    4,909,275.00      207,800.0000 X
TELETECH HOLDINGS INC              Equity   879939106   $   29,276,700.00      848,600.0000 X
TERADYNE INC                       Equity   880770102   $    3,128,300.00       38,150.0000 X
TESORO PETROLEUM CORP              Equity   881609101   $    8,809,000.00      766,000.0000 X
TEVA PHARMACEUTICAL - SP ADR ADR   Equity   881624209   $   32,223,075.00      863,600.0000 X
TETRA TECH INC                     Equity   88162G103   $    7,824,752.07      329,463.2450 X
THERMA-WAVE INC                    Equity   88343A108   $    3,230,000.00       95,000.0000 X
THOMSON MULTIMEDIA                 Equity   885118109   $    7,042,200.00       72,600.0000 X
THREE-FIVE SYSTEMS INC             Equity   88554L108   $   12,319,999.80      205,333.3300 X
TITAN CORP                         Equity   888266103   $   73,654,200.00    1,444,200.0000 X
TOO INC                            Equity   890333107   $   12,309,375.00      390,000.0000 X
TOWER AUTOMOTIVE INC               Equity   891707101   $   13,247,375.00      809,000.0000 X
TRIAD HOSPITALS                    Equity   89579K109   $   13,170,525.00      786,300.0000 X
TWEETER HOME ENTERTAINMENT         Equity   901167106   $   15,487,500.00      350,000.0000 X
U.S. PLASTIC LUMBER CO             Equity   902948108   $    7,145,625.00      772,500.0000 X
UTI ENERGY CORP                    Equity   903387108   $   20,536,000.00      544,000.0000 X
UNITED STATIONERS INC              Equity   913004107   $   12,883,187.50      361,000.0000 X
UNIVISION COMMUNICATION INC        Equity   914906102   $   33,967,800.00      300,600.0000 X
UTSTARCOM INC                      Equity   918076100   $    2,060,850.00       26,400.0000 X
VALERO ENERGY CORP                 Equity   91913Y100   $   29,340,318.75      956,100.0000 X
VALUEVISION INTL INC-CL A          Equity   92047K107   $   38,520,125.00      931,000.0000 X
VARI-L COMPANY INC                 Equity   922150107   $    8,268,000.00      318,000.0000 X
VERITAS SOFTWARE CORP              Equity   923436109   $    4,414,700.00       33,700.0000 X
- ------------------------------------------------------------------------------------------------------------------------------------

               Page Market Value           $ 591,683,259.37

<CAPTION>

                                    I.D.# 28-4974                 Qtr 1 2000
                                                    Item 8
Item 1                                              Voting Authority
Name of Issuer                                         (Shares)
                                         Sole          Shared         None
- --------------------------------------------------------------------------------
<S>                                   <C>              <C>          <C>
SPARTECH CORP                           155,500            -         94,300
SPECTRASITE HOLDINGS INC                211,200            -         98,100
SPINNAKER EXPLORATION CO                207,200            -        144,600
STARBASE CORP                         1,740,000            -              -
STILLWATER MINING                       655,800            -        243,000
STONE ENERGY CORP                       530,300            -        130,000
STRATEGIC DIAGNOSTICS INC               312,000            -        122,000
SYMYX TECHNOLOGIES INC                   40,000            -              -
SYSCO CORP                              993,550            -        146,790
SYSTEMS & COMPUTER TECH CORP            868,300            -              -
TALBOTS INC                             200,000            -         30,000
TELECORP PCS INC                        102,200            -         46,900
TELESCAN INC                            207,800            -              -
TELETECH HOLDINGS INC                   664,200            -        184,400
TERADYNE INC                             38,150            -              -
TESORO PETROLEUM CORP                   766,000            -              -
TEVA PHARMACEUTICAL - SP ADR ADR        778,000            -         85,600
TETRA TECH INC                          304,441            -         25,022
THERMA-WAVE INC                               -            -         95,000
THOMSON MULTIMEDIA                       48,900            -         23,700
THREE-FIVE SYSTEMS INC                  205,333            -              -
TITAN CORP                            1,183,000            -        261,200
TOO INC                                 390,000            -              -
TOWER AUTOMOTIVE INC                    579,000            -        230,000
TRIAD HOSPITALS                         643,000            -        143,300
TWEETER HOME ENTERTAINMENT              350,000            -              -
U.S. PLASTIC LUMBER CO                  529,500            -        243,000
UTI ENERGY CORP                         416,000            -        128,000
UNITED STATIONERS INC                   361,000            -              -
UNIVISION COMMUNICATION INC             270,750            -         29,850
UTSTARCOM INC                            26,400            -              -
VALERO ENERGY CORP                      869,600            -         86,500
VALUEVISION INTL INC-CL A               755,400            -        175,600
VARI-L COMPANY INC                      318,000            -              -
VERITAS SOFTWARE CORP                    33,700            -              -
- --------------------------------------------------------------------------------
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

Page: 10                                Form 13F                          Reporting Manager:   Columbus Circle Investors
                                                                                               Item 6
                                                                                               Inv. Discretion             Item 7
Item 1                            Item 2    Item 3       Item 4                Item 5          S    S          S           Managers
Name of Issuer                    Title of  Cusip        Fair Market          Shares or        O    H          H           Instr. V
                                  Class     Number       Value                Principal        L    R          R
                                                                               Amount          E    D.V        D.Othr
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>      <C>         <C>                   <C>
VERITAS                          Equity   92343P107   $   31,322,812.50     1,113,700.0000 X
VINTAGE PETROLEUM INC            Equity   927460105   $   21,056,787.50     1,046,300.0000 X
VOICESTREAM WIRELESS CORP        Equity   928615103   $   33,252,946.88       258,150.0000 X
WALMART STORES                   Equity   931142103   $   34,100,575.00       603,550.0000 X
WARNER LAMBERT CO                Equity   934488107   $   63,848,550.00       653,600.0000 X
WATCHGUARD TECHNOLOGIES INC      Equity   941105108   $   16,695,000.00       185,500.0000 X
WATERS CORP                      Equity   941848103   $   50,653,950.00       531,800.0000 X
WATSON PHARMACEUTICAL INC        Equity   942683103   $    6,465,093.75       162,900.0000 X
WEATHERFORD INTERNATIONAL        Equity   947074100   $   14,622,075.00       249,950.0000 X
WEBSTER FINANCIAL CORP           Equity   947890109   $    9,296,600.00       404,200.0000 X
WEBTRENDS CORP                   Equity   94844D104   $   66,808,800.00       927,900.0000 X
WEIRTON STEEL CORP               Equity   948774104   $    6,784,375.00       835,000.0000 X
WELLS FARGO & COMPANY            Equity   949746101   $   43,561,750.00     1,069,000.0000 X
WESTELL INC                      Equity   957541105   $   43,560,375.00     1,366,600.0000 X
WESTERN DIGITAL CORP             Equity   958102105   $   21,010,937.50     2,825,000.0000 X
WILLAMETTE                       Equity   969133107   $    4,662,525.00       116,200.0000 X
WIRELESS FACILITIES INC          Equity   97653A103   $   10,346,075.00        98,300.0000 X
WIT CAPITAL GROUP INC            Equity   97737K309   $   13,986,843.75       816,750.0000 X
WORLDQUEST NETWORKS INC          Equity   98156W105   $    6,311,250.00       255,000.0000 X
XM SATELLITE RADIO HOLD-CL A     Equity   983759101   $    4,973,175.00       142,600.0000 X
YAHOO                            Equity   984332106   $   43,743,468.75       255,250.0000 X
XICOR                            Equity   984903104   $   14,054,375.00       995,000.0000 X
ZORAN CORP                       Equity   98975F101   $   28,263,243.75       501,900.0000 X
ZOLL MEDICAL CORP                Equity   989922109   $   19,070,125.00       372,100.0000 X
AMDOCS LTD                       Equity   G02602103   $   17,900,600.00       241,900.0000 X
TRITON ENERGY LTD                Equity   G90751101   $   21,598,500.00       616,000.0000 X
AUDIOCODES LTD                   Equity   M15342104   $   13,450,250.00       134,000.0000 X
CHECK POINT SOFTWARE TECH        Equity   M22465104   $   12,111,225.00        70,800.0000 X
COMMTOUCH SOFTWARE LTD           Equity   M25596103   $   28,919,906.25       614,500.0000 X
METALINK LTD                     Equity   M69897102   $   12,583,162.50       327,900.0000 X
M-SYSTEMS FLASH DISK PIONEER     Equity   M7061C100   $   25,010,700.00       471,900.0000 X
OPTIBASE LTD                     Equity   M7524R108   $   11,338,250.00       477,400.0000 X
ORCKIT COMMUNICATIONS LTD        Equity   M7531S107   $   46,993,800.00       701,400.0000 X
CORE LABORATORIES N.V            Equity   N22717107   $   20,683,781.25       711,700.0000 X
- ------------------------------------------------------------------------------------------------------------------------------------

          Page Market Value        $ 819,041,884.38
Total Market Value                                   $ 6,608,604,503.47

<CAPTION>
                                  I.D.# 28-4974                Qtr 1 2000
                                                     Item 8
Item 1                                           Voting Authority
Name of Issuer                                      (Shares)
                                      Sole          Shared       None
- -----------------------------------------------------------------------------
<S>                              <C>             <C>           <C>
VERITAS                            806,000            -        307,700
VINTAGE PETROLEUM INC              885,600            -        160,700
VOICESTREAM WIRELESS CORP          232,450            -         25,700
WALMART STORES                     543,000            -         60,550
WARNER LAMBERT CO                  588,700            -         64,900
WATCHGUARD TECHNOLOGIES INC        166,100            -         19,400
WATERS CORP                        480,800            -         51,000
WATSON PHARMACEUTICAL INC          162,900            -              -
WEATHERFORD INTERNATIONAL          195,000            -         54,950
WEBSTER FINANCIAL CORP             386,200            -         18,000
WEBTRENDS CORP                     752,500            -        175,400
WEIRTON STEEL CORP                  80,000            -        755,000
WELLS FARGO & COMPANY            1 963,000            -        106,000
WESTELL INC                      1,312,400            -         54,200
WESTERN DIGITAL CORP              ,865,000            -        960,000
WILLAMETTE                          91,800            -         24,400
WIRELESS FACILITIES INC             76,200            -         22,100
WIT CAPITAL GROUP INC              765,000            -         51,750
WORLDQUEST NETWORKS INC            255,000            -              -
XM SATELLITE RADIO HOLD-CL A        97,100            -         45,500
YAHOO                              231,550            -         23,700
XICOR                              995,000            -              -
ZORAN CORP                         501,900            -              -
ZOLL MEDICAL CORP                  372,100            -              -
AMDOCS LTD                         197,800            -         44,100
TRITON ENERGY LTD                  598,000            -         18,000
AUDIOCODES LTD                      57,279            -         76,721
CHECK POINT SOFTWARE TECH           56,800            -         14,000
COMMTOUCH SOFTWARE LTD             343,700            -        270,800
METALINK LTD                       210,900            -        117,000
M-SYSTEMS FLASH DISK PIONEER       247,400            -        224,500
OPTIBASE LTD                       432,400            -         45,000
ORCKIT COMMUNICATIONS LTD          472,500            -        228,900
CORE LABORATORIES N.V              711,700            -              -
- ------------------------------------------------------------------------------
</TABLE>


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