<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30, 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 NOVEMBER 9, 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-
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<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
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<S> <C> <C> <C> <C>
AES CORP. Equity 00130H105 $ 77,221,762.50 1,127,325
ABGENIX INC Equity 00339B107 $ 5,572,021.88 68,950
ACCREDO HEALTH INC Equity 00437V104 $ 11,429,418.75 233,850
ACCRUE SOFTWARE INC Equity 00437W102 $ 5,310,993.75 444,900
ADMINISTAFF INC Equity 007094105 $ 25,283,800.00 334,000
ADOBE SYSTEMS INC Equity 00724F101 $ 2,204,550.00 14,200
ADVANTAGE LEARNING SYSTEMS Equity 00757K100 $ 9,291,562.50 265,000
ADVANCED ENERGY INDUSTRIES Equity 007973100 $ 4,917,000.00 149,000
ADVENT SOFTWARE INC Equity 007974108 $ 23,897,250.00 342,000
AFFYMETRIX INC. Equity 00826T108 $ 22,797,862.50 457,100
AIRGATE PCS INC Equity 009367103 $ 2,490,562.50 55,500
ALBANY MOLECULAR RESEARCH Equity 012423109 $ 22,092,925.00 393,200
ALPHARMA INC CLASS A Equity 020813101 $ 20,715,262.50 338,900
ALTERA CORP. Equity 021441100 $ 3,564,537.50 74,650
ALZA CORP Equity 022615108 $ 12,343,550.00 142,700
AMERICA ONLINE INC. Equity 02364J104 $ 35,266,235.00 656,116
AMERICAN EAGLE OUTFITTERS Equity 02553E106 $ 8,127,000.00 258,000
AMERICAN SUPERCONDUCTOR CORP Equity 030111108 $ 22,955,968.75 467,000
AMERICREDIT CORP Equity 03060R101 $ 36,905,931.25 1,280,900
AMGEN INC. Equity 031162100 $ 2,653,467.80 38,000
ANALOG DEVICES Equity 032654105 $ 4,379,940.63 53,050
ANCHOR GAMING Equity 033037102 $ 11,536,562.50 145,000
ANHEUSER BUSCH COS. Equity 035229103 $ 68,880,518.75 1,627,900
ANIXTER INTERNATIONAL INC Equity 035290105 $ 21,669,000.00 744,000
APACHE CORP. Equity 037411105 $ 6,997,443.75 118,350
APPLIED FILMS CORP Equity 038197109 $ 7,676,375.00 283,000
APPLIED MATERIALS CORPORATION Equity 038222105 $ 40,118,975.00 676,400
APPLIED MICRO CIRCUITS Equity 03822W109 $ 13,583,300.00 65,600
ARENA PHARMACEUTICALS Equity 040047102 $ 4,859,000.00 113,000
ARGOSY GAMING COMPANY Equity 040228108 $ 21,097,500.00 1,164,000
ARIBA INC Equity 04033V104 $ 49,548,407.76 345,850
ASPEN TECHNOLOGY Equity 045327103 $ 24,683,375.00 547,000
ASTROPOWER INC Equity 04644A101 $ 15,988,687.50 403,500
ASYST TECHNOLOGIES INC Equity 04648X107 $ 6,435,450.00 317,800
ATLAS AIR INC. Equity 049164106 $ 9,941,425.00 235,300
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Page Market Value $ 662,437,623.06
Columbus Circle Investors I.D.# 28-4974 Qtr 3 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
------------------------------------------------------------------------------------------------------------------------------------
AES CORP. X 980,325 147,000
ABGENIX INC X 68,950
ACCREDO HEALTH INC X 170,950 62,900
ACCRUE SOFTWARE INC X 444,900
ADMINISTAFF INC X 334,000
ADOBE SYSTEMS INC X 14,200
ADVANTAGE LEARNING SYSTEMS X 260,000 5,000
ADVANCED ENERGY INDUSTRIES X 126,800 22,200
ADVENT SOFTWARE INC X 332,000 10,000
AFFYMETRIX INC. X 399,300 57,800
AIRGATE PCS INC X 35,800 19,700
ALBANY MOLECULAR RESEARCH X 361,400 31,800
ALPHARMA INC CLASS A X 292,100 46,800
ALTERA CORP. X 74,650
ALZA CORP X 142,100 600
AMERICA ONLINE INC. X 559,616 96,500
AMERICAN EAGLE OUTFITTERS X 165,000 93,000
AMERICAN SUPERCONDUCTOR CORP X 296,800 170,200
AMERICREDIT CORP X 1,100,500 180,400
AMGEN INC. X 38,000
ANALOG DEVICES X 53,050
ANCHOR GAMING X 107,000 38,000
ANHEUSER BUSCH COS. X 1,400,200 227,700
ANIXTER INTERNATIONAL INC X 621,300 122,700
APACHE CORP. X 117,900 450
APPLIED FILMS CORP X 273,000 10,000
APPLIED MATERIALS CORPORATION X 580,900 95,500
APPLIED MICRO CIRCUITS X 65,400 200
ARENA PHARMACEUTICALS X 38,000 75,000
ARGOSY GAMING COMPANY X 1,005,000 159,000
ARIBA INC X 302,250 43,600
ASPEN TECHNOLOGY X 547,000
ASTROPOWER INC X 403,500
ASYST TECHNOLOGIES INC X 284,800 33,000
ATLAS AIR INC. X 130,300 105,000
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</TABLE>
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<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>
AURORA BIOSCIENCES CORP Equity 051920106 $ 28,016,000.00 412,000
AUSPEX SYSTEMS INC Equity 052116100 $ 3,093,750.00 250,000
AWARE INC/MASS Equity 05453N100 $ 29,375,500.00 763,000
AZTAR CORP Equity 054802103 $ 5,904,000.00 384,000
B J SERVICES Equity 055482103 $ 45,085,800.00 737,600
BANC ONE CORP. Equity 06423A103 $ 29,563,575.00 765,400
BEA SYSTEMS INC. Equity 073325102 $ 83,254,215.63 1,069,075
BELDEN INC Equity 077459105 $ 6,440,175.00 272,600
BELL MICROPRODUCTS INC Equity 078137106 $ 10,517,187.50 336,550
BERKLEY (WR) CORP Equity 084423102 $ 8,018,500.00 232,000
BLACKROCK Equity 09247X101 $ 2,976,000.00 93,000
BOEING CO. Equity 097023105 $ 2,520.00 40
BOSTON COMMUNICATIONS GROUP Equity 100582105 $ 6,930,000.00 360,000
BROADCOM CORP CLASS A Equity 111320107 $ 4,698,281.25 19,275
BUCKEYE TECHNOLOGIES INC Equity 118255108 $ 7,573,750.00 365,000
BUSINESS OBJECTS ADR Equity 12328X107 $ 9,819,478.13 86,850
CLECO CORPORATION Equity 12561W105 $ 15,287,250.00 327,000
CABOT OIL & GAS Equity 127097103 $ 7,477,625.00 367,000
CABOT MICROEOECTRONICS CORP Equity 12709P103 $ 5,760,000.00 120,000
CALIFORNIA PIZZA KITCHEN INC Equity 13054D109 $ 4,704,000.00 168,000
CALPINE CORPORATION Equity 131347106 $ 96,888,312.50 930,500
CAMINUS CORP Equity 133766105 $ 6,161,250.00 155,000
CAREMARK RX INC Equity 141705103 $ 2,257,875.00 200,700
CATAPULT COMMUNICATIONS CORP Equity 149016107 $ 3,389,750.00 182,000
CHASE MANHATTAN CORP. Equity 16161A108 $ 36,386,512.50 787,800
CHESAPEAKE ENERGY CORP Equity 165167107 $ 23,136,562.50 3,219,000
CHICO'S FAS INC. Equity 168615102 $ 19,924,000.00 586,000
CIENA CORP Equity 171779101 $122,720,390.63 999,250
CIMA LABS INC Equity 171796105 $ 12,854,231.25 246,900
CISCO Equity 17275R102 $ 84,234,150.50 1,524,600
CINTAS CORPORATION Equity 172908105 $ 2,692,162.50 61,800
CITIGROUP INC. Equity 172967101 $ 77,147,006.26 1,426,997
CITIZENS UTILITIES CO Equity 17453B101 $ 4,361,587.50 326,100
CITY NATIONAL CORP. Equity 178566105 $ 8,053,312.50 208,500
COASTAL CORP Equity 190441105 $ 40,724,275.00 549,400
------------------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 855,428,986.13
Columbus Circle Investors I.D.# 28-4974 Qtr 3 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
------------------------------------------------------------------------------------------------------------------------------------
AURORA BIOSCIENCES CORP X 376,000 36,000
AUSPEX SYSTEMS INC X 250,000
AWARE INC/MASS X 595,600 167,400
AZTAR CORP X 384,000
B J SERVICES X 651,600 86,000
BANC ONE CORP. X 656,900 108,500
BEA SYSTEMS INC. X 932,175 136,900
BELDEN INC X 272,600
BELL MICROPRODUCTS INC X 186,400 150,150
BERKLEY (WR) CORP X 232,000
BLACKROCK X 63,400 29,600
BOEING CO. X 40
BOSTON COMMUNICATIONS GROUP X 237,400 122,600
BROADCOM CORP CLASS A X 19,275
BUCKEYE TECHNOLOGIES INC X 217,000 148,000
BUSINESS OBJECTS ADR X 86,650 200
CLECO CORPORATION X 263,000 64,000
CABOT OIL & GAS X 313,000 54,000
CABOT MICROEOECTRONICS CORP X 120,000
CALIFORNIA PIZZA KITCHEN INC X 168,000
CALPINE CORPORATION X 828,500 102,000
CAMINUS CORP X 50,000 105,000
CAREMARK RX INC X 200,700
CATAPULT COMMUNICATIONS CORP X 117,000 65,000
CHASE MANHATTAN CORP. X 681,350 106,450
CHESAPEAKE ENERGY CORP X 2,389,000 830,000
CHICO'S FAS INC. X 341,000 245,000
CIENA CORP X 882,450 116,800
CIMA LABS INC X 33,900 213,000
CISCO X 1,313,800 210,800
CINTAS CORPORATION X 61,400 400
CITIGROUP INC. X 1,226,298 200,699
CITIZENS UTILITIES CO X 324,200 1,900
CITY NATIONAL CORP. X 208,500
COASTAL CORP X 473,300 76,100
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</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 3 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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
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<S> <C> <C> <C> <C>
COGNEX CORP. Equity 192422103 $ 4,542,016.88 115,170
COHERENT INC. Equity 192479103 $ 30,688,400.00 451,300
KENNETH COLE PRODUCTIONS-A Equity 193294105 $ 12,844,921.88 363,750
COMMERCE ONE INC. Equity 200693109 $ 16,995,250.00 216,500
COMMUNITY HEALTH SYSTEMS Equity 203668108 $ 19,275,000.00 600,000
COMPAQ Equity 204493100 $ 41,660,969.00 1,510,550
COMSTOCK RESOURCES INC. Equity 205768203 $ 5,687,500.00 500,000
COMVERSE TECHNOLOGY INC. Equity 205862402 $ 2,332,800.00 21,600
CONCORD CAMERA CORP. Equity 206156101 $ 16,681,875.00 651,000
CONCURRENT COMPUTER CORP. Equity 206710204 $ 15,925,800.00 838,200
CONSTELLATION ENERGY GROUP Equity 210371100 $ 4,029,750.00 81,000
COORS (ADOLPH) CLASS B Equity 217016104 $ 7,772,062.50 123,000
CORILLIAN CORP. Equity 218725109 $ 962,500.00 100,000
CORPORATE EXECUTIVE BOARD CO. Equity 21988R102 $ 11,954,250.00 297,000
COST PLUS INC/CALIFORNIA Equity 221485105 $ 16,023,487.50 531,900
CREE RESEARCH INC. Equity 225447101 $ 11,758,687.50 101,150
CROSS TIMBERS Equity 227573102 $ 20,238,975.00 1,054,800
DDI CORP/CA Equity 233162106 $ 4,026,750.00 91,000
DSP GROUP Equity 23332B106 $ 30,135,462.50 806,300
DIAGNOSTIC PRODUCTS CORP. Equity 252450101 $ 6,687,500.00 125,000
DIGITAL LIGHTWAVE INC. Equity 253855100 $ 4,088,787.50 56,300
DOWNEY FINANCIAL CORP. Equity 261018105 $ 10,027,075.00 253,850
DSET CORP. Equity 262504103 $ 9,718,500.00 471,200
DYCOM INDUSTRIES INC. Equity 267475101 $ 12,950,578.13 311,125
DYNEGY INC. Equity 26816Q101 $ 5,902,350.00 103,550
EDWARD LIFESCIENCES CORP. Equity 28176E108 $ 18,872,218.63 865,202
EL PASO ELECTRIC COMPANY Equity 283677854 $ 6,572,421.00 477,300
ELECTRO SCIENTIFIC Equity 285229100 $ 14,050,000.00 400,000
EMCORE CORP. Equity 290846104 $ 15,458,737.58 371,800
EMISPHERE TECHNOLOGIES Equity 291345106 $ 15,238,187.50 509,000
EMULEX CORP. Equity 292475209 $ 5,855,500.00 47,800
ENDOCARE INC. Equity 29264P104 $ 5,855,875.00 296,500
ENRON CORP. Equity 293561106 $ 65,622,362.50 748,900
ESPEED INC. Equity 296643109 $ 3,096,843.75 108,900
EXE TECHNOLOGIES INC. Equity 301504106 $ 5,445,000.00 363,000
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Page Market Value $ 478,978,394.33
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
------------------------------------------------------------------------------------------------------------------------------------
COGNEX CORP. X 114,600 570
COHERENT INC. X 376,200 75,100
KENNETH COLE PRODUCTIONS-A X 315,000 48,750
COMMERCE ONE INC. X 186,500 30,000
COMMUNITY HEALTH SYSTEMS X 600,000
COMPAQ X 1,314,550 196,000
COMSTOCK RESOURCES INC. X 500,000
COMVERSE TECHNOLOGY INC. X 21,600
CONCORD CAMERA CORP. X 525,000 126,000
CONCURRENT COMPUTER CORP. X 613,000 225,200
CONSTELLATION ENERGY GROUP X 80,700 300
COORS (ADOLPH) CLASS B X 122,500 500
CORILLIAN CORP. X 100,000
CORPORATE EXECUTIVE BOARD CO. X 97,000 200,000
COST PLUS INC/CALIFORNIA X 521,400 10,500
CREE RESEARCH INC. X 100,900 250
CROSS TIMBERS X 932,550 122,250
DDI CORP/CA X 46,000 45,000
DSP GROUP X 626,300 180,000
DIAGNOSTIC PRODUCTS CORP. X 125,000
DIGITAL LIGHTWAVE INC. X 56,100 200
DOWNEY FINANCIAL CORP. X 176,000 77,850
DSET CORP. X 323,300 147,900
DYCOM INDUSTRIES INC. X 277,000 34,125
DYNEGY INC. X 103,550
EDWARD LIFESCIENCES CORP. X 816,602 48,600
EL PASO ELECTRIC COMPANY X 111,200 366,100
ELECTRO SCIENTIFIC X 376,500 23,500
EMCORE CORP. X 281,800 90,000
EMISPHERE TECHNOLOGIES X 471,000 38,000
EMULEX CORP. X 47,600 200
ENDOCARE INC. X 46,500 250,000
ENRON CORP. X 642,300 106,600
ESPEED INC. X 50,900 58,000
EXE TECHNOLOGIES INC. X 169,400 193,600
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</TABLE>
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<TABLE>
<CAPTION>
Page: 4 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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
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<S> <C> <C> <C> <C>
EXTENDED STAY AMERICA INC. Equity 30224P101 $ 6,670,050.00 503,400
EXTREME NETWORKS INC. Equity 30226D106 $ 3,546,637.50 30,975
FEI COMPANY Equity 30241L109 $ 7,417,125.00 342,000
F.Y.I. INC. Equity 302712104 $ 4,559,750.00 122,000
FANNIE MAE Equity 313586109 $ 36,322,000.00 508,000
FIDELITY NATIONAL FINANCIAL Equity 316326107 $ 11,053,125.00 450,000
FIRST AMERICAN CORP. Equity 318522307 $ 6,784,375.00 325,000
FOREST LABORATORIES INC. Equity 345838106 $ 4,828,343.75 42,100
FORWARD AIR CORPORATION Equity 349853101 $ 7,818,662.50 222,200
FUELCELL ENERGY INC. Equity 35952H106 $ 13,665,281.25 142,000
GALLAGHER (ARTHUR J.) & CO. Equity 363576109 $ 2,997,637.50 50,700
GEMSTAR TV GUIDE INT'L Equity 36866W106 $ 3,759,960.94 43,125
GILDAN ACTIVEWEAR INC -CL A Equity 375916103 $ 4,539,000.00 136,000
GLOBIX CORPORATION Equity 37957F101 $ 30,518,393.75 1,309,100
GOLDEN WEST FINANCIAL CORP. Equity 381317106 $ 19,653,562.50 366,500
GREATER BAY BANCORP Equity 391648102 $ 10,651,712.50 153,400
GRIC COMMUNICATIONS INC. Equity 398081109 $ 1,826,275.00 251,900
THE HEALTHCARE COMPANY Equity 404119109 $ 76,509,056.25 2,060,850
HCC INSURANCE HOLDINGS INC. Equity 404132102 $ 7,617,187.50 375,000
HALL KINION & ASSOCIATES INC. Equity 406069104 $ 5,232,500.00 184,000
HANOVER COMPRESSOR Equity 410768105 $ 26,514,687.50 805,000
HEALTH MGT ASSOC. CLASS A Equity 421933102 $ 8,489,418.75 407,900
HOME DEPOT Equity 437076102 $ 40,824,616.04 769,369
HOT TOPIC Equity 441339108 $ 10,380,000.00 346,000
IBASIS INC. Equity 450732102 $ 8,672,512.50 546,300
IDACORP INC. Equity 451107106 $ 19,517,500.00 422,000
ILLUMINET HOLDINGS INC. Equity 452334105 $ 1,523,475.00 54,900
IMPATH INC. Equity 45255G101 $ 22,630,312.50 358,500
INHALE THERAPEUTIC SYS INC. Equity 457191104 $ 7,565,525.00 134,200
INSILICON CORP. Equity 45769H108 $ 2,804,300.00 193,400
INTERLINK ELECTRONICS INC. Equity 458751104 $ 8,081,312.50 417,100
INTERMAGNETICS GENERAL CORP. Equity 458771102 $ 3,115,125.00 117,000
INTERNATIONAL BUSINESS MACHINES Equity 459200101 $ 33,131,250.00 294,500
INTERNATIONAL GAME TECHNOLOGY Equity 459902102 $ 2,155,362.50 64,100
INTRANET SOLUTIONS INC. Equity 460939309 $ 23,515,000.00 470,300
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Page Market Value $ 484,891,033.22
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
------------------------------------------------------------------------------------------------------------------------------------
EXTENDED STAY AMERICA INC. X 503,400
EXTREME NETWORKS INC. X 30,975
FEI COMPANY X 240,000 102,000
F.Y.I. INC. X 122,000
FANNIE MAE X 435,800 72,200
FIDELITY NATIONAL FINANCIAL X 391,600 58,400
FIRST AMERICAN CORP. X 228,400 96,600
FOREST LABORATORIES INC. X 41,800 300
FORWARD AIR CORPORATION X 149,000 73,200
FUELCELL ENERGY INC. X 107,200 34,800
GALLAGHER (ARTHUR J.) & CO. X 50,400 300
GEMSTAR TV GUIDE INT'L X 43,125
GILDAN ACTIVEWEAR INC -CL A X 112,000 24,000
GLOBIX CORPORATION X 957,800 351,300
GOLDEN WEST FINANCIAL CORP. X 323,300 43,200
GREATER BAY BANCORP X 149,400 4,000
GRIC COMMUNICATIONS INC. X 243,000 8,900
THE HEALTHCARE COMPANY X 1,856,250 204,600
HCC INSURANCE HOLDINGS INC. X 341,400 33,600
HALL KINION & ASSOCIATES INC. X 57,000 127,000
HANOVER COMPRESSOR X 501,000 304,000
HEALTH MGT ASSOC. CLASS A X 406,200 1,700
HOME DEPOT X 659,994 109,375
HOT TOPIC X 346,000
IBASIS INC. X 452,500 93,800
IDACORP INC. X 285,600 136,400
ILLUMINET HOLDINGS INC. X 23,300 31,600
IMPATH INC. X 261,700 96,800
INHALE THERAPEUTIC SYS INC. X 134,200
INSILICON CORP. X 114,000 79,400
INTERLINK ELECTRONICS INC. X 307,150 109,950
INTERMAGNETICS GENERAL CORP. X 117,000
INTERNATIONAL BUSINESS MACHINES X 256,500 38,000
INTERNATIONAL GAME TECHNOLOGY X 64,100
INTRANET SOLUTIONS INC. X 348,300 122,000
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</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 5 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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
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<S> <C> <C> <C> <C>
INTERTAN INC. Equity 461120107 $ 9,600,937.50 665,000
INVERNESS MEDICAL TECHNOLOGY Equity 461268104 $ 5,813,500.00 302,000
INVESTMENT TECHNOLOGY GROUP Equity 46145F105 $ 18,251,437.50 457,000
I2 TECHNOLOGY Equity 465754109 $ 8,069,876.25 43,140
JDS UNIPHASE CORP. Equity 46612J101 $ 4,360,359.38 46,050
JNI CORP Equity 46622G105 $ 46,903,000.00 527,000
JACK IN THE BOX INC. Equity 466367109 $ 12,868,931.25 600,300
KLA TENCOR Equity 482480100 $ 3,826,318.75 92,900
KEITHLEY INSTRUMENTS INC. Equity 487584104 $ 21,000,000.00 300,000
KINDER MORGAN Equity 49455P101 $ 8,167,031.25 199,500
KING PHARMACEUTICALS INC. Equity 495582108 $ 9,971,062.50 298,200
KOHL'S CORP. Equity 500255104 $ 37,156,518.75 644,100
L-3 COMMUNICATIONS CORP. Equity 502424104 $ 7,571,000.00 134,000
LABRANCHE & CO INC. Equity 505447102 $ 6,675,000.00 200,000
LEARNING TREE INTERNATIONAL Equity 522015106 $ 6,191,250.00 130,000
LEGG MASON Equity 524901105 $ 5,353,312.50 92,100
LENDING TREE INC. Equity 52602Q105 $ 2,025,000.00 450,000
LENNAR CORP. Equity 526057104 $ 36,824,550.00 1,237,800
LEXENT INC. Equity 52886Q102 $ 2,380,000.00 80,000
LIFEPOINT Equity 53219L109 $ 14,519,500.00 409,000
LONE STAR TECHNOLOGIES INC. Equity 542312103 $ 22,895,015.00 496,100
LOUIS DREYFUS NATURAL GAS Equity 546011107 $ 24,844,875.00 627,000
MDC HOLDINGS INC. Equity 552676108 $ 5,980,000.00 230,000
MDU RESOURCES GROUP INC. Equity 552690109 $ 10,323,250.00 347,000
MCSI INC. Equity 55270M108 $ 5,665,812.50 168,500
MKS INSTRUMENTS INC. Equity 55306N104 $ 1,609,650.00 58,800
MMC NETWORKS Equity 55308N102 $ 227,700.00 1,800
MSC INDUSTRIAL DIRECT Equity 553530106 $ 7,013,475.00 459,900
MACROVISION CORP. Equity 555904101 $ 3,410,100.00 42,100
MANHATTAN ASSOCIATES INC. Equity 562750109 $ 25,847,500.00 422,000
MANOR CARE Equity 564055101 $ 2,538,237.50 161,800
MARINE DRILLING Equity 568240204 $ 35,540,318.75 1,244,300
MASTEC INC. Equity 576323109 $ 14,125,000.00 452,000
MAVERICK TUBE CORP. Equity 577914104 $ 14,249,937.50 529,000
MCDATA CORPORATION Equity 580031102 $ 7,480,966.80 60,875
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Page Market Value $ 449,280,423.67
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
------------------------------------------------------------------------------------------------------------------------------------
INTERTAN INC. X 286,150 378,850
INVERNESS MEDICAL TECHNOLOGY X 302,000
INVESTMENT TECHNOLOGY GROUP X 303,700 153,300
I2 TECHNOLOGY X 43,140
JDS UNIPHASE CORP. X 46,050
JNI CORP. X 473,500 53,500
JACK IN THE BOX INC. X 560,900 39,400
KLA TENCOR X 92,900
KEITHLEY INSTRUMENTS INC. X 254,000 46,000
KINDER MORGAN X 198,300 1,200
KING PHARMACEUTICALS INC. X 262,200 36,000
KOHL'S CORP. X 551,200 92,900
L-3 COMMUNICATIONS CORP. X 115,000 19,000
LABRANCHE & CO INC. X 200,000
LEARNING TREE INTERNATIONAL X 127,000 3,000
LEGG MASON X 91,600 500
LENDING TREE INC. X 450,000
LENNAR CORP. X 967,300 270,500
LEXENT INC. X 30,000 50,000
LIFEPOINT X 255,000 154,000
LONE STAR TECHNOLOGIES INC. X 467,100 29,000
LOUIS DREYFUS NATURAL GAS X 502,000 125,000
MDC HOLDINGS INC. X 194,000 36,000
MDU RESOURCES GROUP INC. X 347,000
MCSI INC. X 168,500
MKS INSTRUMENTS INC. X 58,800
MMC NETWORKS X 1,800
MSC INDUSTRIAL DIRECT X 197,900 262,000
MACROVISION CORP. X 41,800 300
MANHATTAN ASSOCIATES INC. X 356,500 65,500
MANOR CARE X 160,800 1,000
MARINE DRILLING X 1,097,900 146,400
MASTEC INC. X 375,000 77,000
MAVERICK TUBE CORP. X 520,000 9,000
MCDATA CORPORATION X 60,675 200
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 6 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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>
MCGRAW HILL INC. Equity 580645109 $ 35,181,843.75 553,500
MCK COMMUNICATIONS Equity 581243102 $ 16,018,500.00 708,000
MEDICIS PHARMACEUTICAL Equity 584690309 $ 29,077,200.00 472,800
MERCURY INTERACTIVE CORP. Equity 589405109 $ 3,820,781.25 24,375
METASOLV SOFTWARE INC. Equity 591393103 $ 16,799,625.00 411,000
MICROSOFT Equity 594918104 $ 31,612,796.88 524,150
MICROMUSE INC. Equity 595094103 $ 4,043,867.19 20,125
MILLER (HERMAN) INC. Equity 600544100 $ 5,761,631.25 179,700
MINIMED INC. Equity 60365K108 $ 5,839,762.50 65,340
MOTIENT CORPORATION Equity 619908106 $ 10,523,125.00 745,000
MUTUAL RISK MANAGEMENT LTD. Equity 628351108 $ 13,162,500.00 600,000
MYRIAD GENETICS INC. Equity 62855J104 $ 72,865,950.00 843,600
NRG ENERGY INC. Equity 629377102 $ 171,550.00 4,700
NATIONAL-OILWELL INC. Equity 637071101 $ 9,034,375.00 289,100
NETRO CORP. Equity 64114R109 $ 2,198,175.00 37,100
NETIQ CORP. Equity 64115P102 $ 49,713,573.02 756,819
NETWORK APPLIANCES Equity 64120L104 $ 5,314,721.88 41,725
NETWORK ENGINES INC. Equity 64121A107 $ 7,450,625.00 182,000
NEWFIELD EXPLORATION Equity 651290108 $ 21,340,856.25 457,100
NEWPORT NEWS SHIPBUILDING Equity 652228107 $ 20,464,325.00 471,800
99 CENTS ONLY STORES Equity 65440K106 $ 4,100,318.75 81,700
NOBLE DRILLING CORP. Equity 655042109 $ 7,380,575.00 146,150
NVIDIA CORP. Equity 67066G104 $ 8,736,062.50 106,700
OM GROUP INC. Equity 670872100 $ 5,016,875.00 115,000
OTG SOFTWARE INC. Equity 671059103 $ 18,025,875.00 441,000
OAK TECHNOLOGY INC. Equity 671802106 $ 38,747,237.50 1,412,200
OBJECTIVE SYSTEMS INTEGRATOR Equity 674424106 $ 2,551,518.75 293,700
OCEAN ENERGY INC. Equity 67481E106 $ 10,411,050.00 674,400
OMNIVISION TECHNOLOGIES Equity 682128103 $ 2,388,375.00 66,000
OPNET TECHNOLOGIES Equity 683757108 $ 7,373,000.00 202,000
ORACLE CORPORATION Equity 68389X105 $ 52,045,875.00 660,900
O2WIRELESS SOLUTIONS INC. Equity 689803104 $ 10,569,731.25 547,300
OVERSEAS SHIPHOLDING GROUP Equity 690368105 $ 8,048,250.00 294,000
PC CONNECTION Equity 69318J100 $ 6,612,000.00 116,000
PC-TEL Equity 69325Q105 $ 6,858,750.00 295,000
------------------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 549,261,277.71
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
------------------------------------------------------------------------------------------------------------------------------------
MCGRAW HILL INC. X 475,100 78,400
MCK COMMUNICATIONS X 676,200 31,800
MEDICIS PHARMACEUTICAL X 412,000 60,800
MERCURY INTERACTIVE CORP. X 24,375
METASOLV SOFTWARE INC. X 336,600 74,400
MICROSOFT X 454,700 69,450
MICROMUSE INC. X 20,125
MILLER (HERMAN) INC. X 178,600 1,100
MINIMED INC. X 64,900 440
MOTIENT CORPORATION X 745,000
MUTUAL RISK MANAGEMENT LTD X 353,600 246,400
MYRIAD GENETICS INC. X 648,800 194,800
NRG ENERGY INC. X 4,700
NATIONAL-OILWELL INC. X 192,200 96,900
NETRO CORP. X 36,900 200
NETIQ CORP. X 649,027 107,792
NETWORK APPLIANCES X 41,725
NETWORK ENGINES INC. X 82,400 99,600
NEWFIELD EXPLORATION X 360,700 96,400
NEWPORT NEWS SHIPBUILDING X 465,800 6,000
99 CENTS ONLY STORES X 81,200 500
NOBLE DRILLING CORP. X 145,300 850
NVIDIA CORP. X 106,300 400
OM GROUP INC. X 115,000
OTG SOFTWARE INC. X 441,000
OAK TECHNOLOGY INC. X 1,276,800 135,400
OBJECTIVE SYSTEMS INTEGRATOR X 293,700
OCEAN ENERGY INC. X 494,500 179,900
OMNIVISION TECHNOLOGIES X 66,000
OPNET TECHNOLOGIES X 202,000
ORACLE CORPORATION X 574,300 86,600
O2WIRELESS SOLUTIONS INC. X 409,600 137,700
OVERSEAS SHIPHOLDING GROUP X 187,000 107,000
PC CONNECTION X 110,000 6,000
PC-TEL X 202,000 93,000
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 7 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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>
PE BIOSYSTEMS Equity 69332S102 $ 63,981,800.00 549,200
P.F. CHANGS CHINA BISTRO INC. Equity 69333Y108 $ 13,313,475.00 385,200
PACKETEER Equity 695210104 $ 23,445,375.00 618,000
PALM INC. Equity 696642107 $ 65,160,768.75 1,230,900
PANERA BREAD COMPANY-CL A Equity 69840W108 $ 5,051,750.00 242,000
PARKER DRILLING Equity 701081101 $ 10,878,000.00 1,554,000
PATTERSON ENERGY Equity 703414102 $ 31,996,250.00 930,800
PEPSICO Equity 713448108 $ 76,976,400.00 1,673,400
PERKINELMER INC. Equity 714046109 $ 3,058,187.50 29,300
PFIZER INC. Equity 717081103 $ 68,407,232.81 1,522,275
PHARMACIA CORP. Equity 71713U102 $ 70,581,881.25 1,172,700
PHILADELPHIA SUBURBAN CORP. Equity 718009608 $ 2,712,937.50 117,000
PHONE.COM Equity 71920Q100 $ 2,272,500.00 20,000
PIER 1 IMPORTS Equity 720279108 $ 18,648,437.50 1,375,000
PLATO LEARNING INC. Equity 72764Y100 $ 5,092,576.56 247,100
POLYCOM INC. Equity 73172K104 $ 8,859,972.24 132,300
POMEROY COMPUTER Equity 731822102 $ 2,973,187.50 157,000
POPE AND TALBOT INC. Equity 732827100 $ 3,414,962.50 238,600
PORTAL SOFTWARE Equity 736126103 $ 7,134,000.00 178,350
PRECISION DRILLING CORP. Equity 74022D100 $ 33,982,687.50 953,900
PRIMUS KNOWLEDGE SOLUTIONS Equity 74163Q100 $ 2,167,068.75 146,300
PRIORITY HEALTHCARE CORP. Equity 74264T102 $ 20,282,500.00 266,000
PROVIDIAN FINANCIAL CORPORATION Equity 74406A102 $ 37,058,600.00 291,800
PUBLIC SERVICE CO. OF N MEX. Equity 744499104 $ 10,350,000.00 400,000
PULTE CORP. Equity 745867101 $ 25,307,700.00 766,900
PURCHASEPRO.COM INC. Equity 746144104 $ 74,869,500.00 852,000
RADIOSHACK CORP. Equity 750438103 $ 4,245,862.50 65,700
RARE HOSPITALITY INTL INC. Equity 753820109 $ 7,411,406.25 363,750
REDBACK NETWORKS Equity 757209101 $ 3,378,400.00 20,600
RENT WAY INC. Equity 76009U104 $ 8,426,025.00 277,400
RESEARCH IN MOTION Equity 760975102 $ 12,803,268.75 129,900
RITA MEDICAL SYSTEMS INC. Equity 76774E103 $ 2,400,835.76 215,200
RUBY TUESDAY Equity 781182100 $ 5,827,500.00 518,000
RUDOLPH TECHNOLOGIES INC. Equity 781270103 $ 7,490,000.00 224,000
SCHLUMBERGER LTD. Equity 806857108 $ 57,849,225.00 702,800
------------------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 797,810,273.63
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
------------------------------------------------------------------------------------------------------------------------------------
PE BIOSYSTEMS X 471,500 77,700
P.F. CHANGS CHINA BISTRO INC. X 303,900 81,300
PACKETEER X 545,800 72,200
PALM INC. X 1,071,400 159,500
PANERA BREAD COMPANY-CL A X 202,000 40,000
PARKER DRILLING X 1,344,000 210,000
PATTERSON ENERGY X 816,900 113,900
PEPSICO X 1,440,900 232,500
PERKINELMER INC. X 29,100 200
PFIZER INC. X 1,369,825 152,450
PHARMACIA CORP. X 1,061,300 111,400
PHILADELPHIA SUBURBAN CORP. X 107,000 10,000
PHONE.COM X 20,000
PIER 1 IMPORTS X 1,134,700 240,300
PLATO LEARNING INC. X 44,600 202,500
POLYCOM INC. X 131,500 800
POMEROY COMPUTER X 157,000
POPE AND TALBOT INC. X 167,000 71,600
PORTAL SOFTWARE X 177,850 500
PRECISION DRILLING CORP. X 783,900 170,000
PRIMUS KNOWLEDGE SOLUTIONS X 52,000 94,300
PRIORITY HEALTHCARE CORP. X 266,000
PROVIDIAN FINANCIAL CORPORATION X 251,000 40,800
PUBLIC SERVICE CO. OF N MEX. X 386,600 13,400
PULTE CORP. X 541,900 225,000
PURCHASEPRO.COM INC. X 745,400 106,600
RADIOSHACK CORP. X 65,300 400
RARE HOSPITALITY INTL INC. X 151,500 212,250
REDBACK NETWORKS X 20,600
RENT WAY INC. X 277,400
RESEARCH IN MOTION X 129,500 400
RITA MEDICAL SYSTEMS INC. X 215,200
RUBY TUESDAY X 518,000
RUDOLPH TECHNOLOGIES INC. X 212,000 12,000
SCHLUMBERGER LTD. X 607,200 95,600
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 8 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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>
SEPRACOR INC. Equity 817315104 $ 9,643,237.50 78,600
SHAW GROUP INC. Equity 820280105 $ 33,762,450.00 478,900
SIEBEL SYSTEMS INC. Equity 826170102 $ 98,060,746.88 880,950
SILICON VALLEY BANCSHARES Equity 827064106 $ 13,679,254.69 234,900
SKECHERS USA INC -CL A Equity 830566105 $ 6,201,250.00 410,000
SKILLSOFT CORP. Equity 83066P101 $ 2,544,937.50 138,500
SKYWEST INC. Equity 830879102 $ 25,112,500.00 490,000
SMARTDISK CORPORATION Equity 83169Q105 $ 728,812.50 50,700
SONICWALL INC. Equity 835470105 $ 11,958,600.00 419,600
SOUTHWEST BANCORP OF TEXAS Equity 84476R109 $ 9,629,737.50 294,600
SPECTRASITE HOLDINGS INC. Equity 84760T100 $ 3,487,893.75 187,900
SPINNAKER EXPLORATION CO. Equity 84855W109 $ 10,434,600.00 299,200
STANCORP FINANCIAL GROUP Equity 852891100 $ 8,913,375.00 208,500
STANDARD PACIFIC Equity 85375C101 $ 7,547,400.00 419,300
STARBASE CORP. Equity 854910205 $ 9,896,250.00 1,740,000
STONE ENERGY CORP. Equity 861642106 $ 22,605,000.00 411,000
SUIZA FOOD CORP. Equity 865077101 $ 14,297,500.00 280,000
SUN MICROSYSTEMS INC. Equity 866810104 $ 5,930,900.00 50,800
SUPERTEX INC. Equity 868532102 $ 6,599,125.00 131,000
SYMYX TECHNOLOGIES INC. Equity 87155S108 $ 3,170,712.50 73,100
SYNCOR INTERNATIONAL Equity 87157J106 $ 7,524,475.00 204,400
SYSCO CORP. Equity 871829107 $ 77,876,321.25 1,681,540
TALBOTS INC. Equity 874161102 $ 9,361,125.00 141,300
TEKTRONIX INC. Equity 879131100 $ 10,638,531.25 138,500
TELECOMMUNICATION SYSTEMS Equity 87929J103 $ 4,284,000.00 224,000
TELETECH HOLDINGS INC. Equity 879939106 $ 21,836,925.00 882,300
TEVA PHARMACEUTICAL - SP ADR ADR Equity 881624209 $ 52,614,493.75 718,900
TETRA TECH INC. Equity 88162G103 $ 9,410,293.94 329,463
THERMA-WAVE INC. Equity 88343A108 $ 10,393,125.00 361,500
THOMSON MULTIMEDIA - SPON ADR Equity 885118109 $ 4,094,250.00 79,500
3COM CORP. Equity 885535104 $ 2,477,106.25 129,100
TITAN CORP. Equity 888266103 $ 26,505,600.00 1,606,400
TOLL BROTHERS INC. Equity 889478103 $ 14,929,062.50 434,300
TOO INC. Equity 890333107 $ 7,509,750.00 316,200
TOSCO CORP. Equity 891490302 $ 3,178,006.25 101,900
------------------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 566,837,348.00
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
------------------------------------------------------------------------------------------------------------------------------------
SEPRACOR INC. X 50,400 28,200
SHAW GROUP INC. X 462,900 16,000
SIEBEL SYSTEMS INC. X 783,450 97,500
SILICON VALLEY BANCSHARES X 234,900
SKECHERS USA INC -CL A X 389,000 21,000
SKILLSOFT CORP. X 85,600 52,900
SKYWEST INC. X 490,000
SMARTDISK CORPORATION X 43,700 7,000
SONICWALL INC. X 284,200 135,400
SOUTHWEST BANCORP OF TEXAS X 187,100 107,500
SPECTRASITE HOLDINGS INC. X 186,800 1,100
SPINNAKER EXPLORATION CO. X 170,200 129,000
STANCORP FINANCIAL GROUP X 186,700 21,800
STANDARD PACIFIC X 419,300
STARBASE CORP. X 1,740,000
STONE ENERGY CORP. X 358,700 52,300
SUIZA FOOD CORP. X 280,000
SUN MICROSYSTEMS INC. X 50,800
SUPERTEX INC. X 120,300 10,700
SYMYX TECHNOLOGIES INC. X 67,100 6,000
SYNCOR INTERNATIONAL X 98,400 106,000
SYSCO CORP. X 1,468,750 212,790
TALBOTS INC. X 122,500 18,800
TEKTRONIX INC. X 138,000 500
TELECOMMUNICATION SYSTEMS X 170,500 53,500
TELETECH HOLDINGS INC. X 673,500 208,800
TEVA PHARMACEUTICAL - SP ADR ADR X 609,500 109,400
TETRA TECH INC. X 304,441 25,022
THERMA-WAVE INC. X 207,500 154,000
THOMSON MULTIMEDIA - SPON ADR X 79,000 500
3COM CORP. X 129,100
TITAN CORP. X 1,309,300 297,100
TOLL BROTHERS INC. X 402,900 31,400
TOO INC. X 309,200 7,000
TOSCO CORP. X 101,300 600
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 9 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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>
TRIAD HOSPITALS Equity 89579K109 $ 23,229,750.00 790,800
TWEETER HOME ENTERTAINMENT Equity 901167106 $ 7,262,500.00 200,000
UTI ENERGY CORP. Equity 903387108 $ 20,371,312.50 456,500
ULTICOM COM. Equity 903844108 $ 13,077,187.50 277,500
UNITED STATIONERS INC. Equity 913004107 $ 7,487,375.00 278,600
UNIVERSAL COMPRESSION HLDGS. Equity 913431102 $ 11,261,250.00 364,000
VANS INC. Equity 921930103 $ 4,996,875.00 325,000
VARIAN INC. Equity 922206107 $ 18,861,375.00 438,000
VENATOR GROUP INC. Equity 922944103 $ 2,019,600.00 163,200
VERITAS Equity 92343P107 $ 23,042,931.25 796,300
VINTAGE PETROLEUM INC. Equity 927460105 $ 11,286,275.00 496,100
VITRIA TECHNOLOGY INC. Equity 92849Q104 $ 6,286,706.25 134,475
W J COMMUNICATIONS Equity 929284107 $ 1,110,000.00 30,000
WMS INDUSTRIES INC. Equity 929297109 $ 12,015,000.00 534,000
WALMART STORES Equity 931142103 $ 35,270,840.63 731,950
WASTE CONNECTIONS Equity 941053100 $ 8,328,125.00 325,000
WASTE MANAGEMENT INC. Equity 94106L109 $ 30,730,106.25 1,762,300
WATCHGUARD TECHNOLOGIES INC. Equity 941105108 $ 46,674,000.00 777,900
WATERS CORP. Equity 941848103 $ 88,443,750.00 993,750
WATSON PHARMACEUTICAL INC. Equity 942683103 $ 10,257,650.00 157,810
WEBB DEL E CORP. Equity 947423109 $ 6,743,250.00 243,000
WEBTRENDS CORP. Equity 94844D104 $ 37,565,612.50 1,005,100
WELLS FARGO & COMPANY Equity 949746101 $ 34,503,656.25 751,100
WILLIAMS SONOMA INC. Equity 969904101 $ 6,334,925.00 182,300
WIRELESS FACILITIES INC. Equity 97653A103 $ 8,122,400.00 140,800
WIT CAPITAL GROUP INC. Equity 977383108 $ 4,324,050.00 480,450
XILINX INC. Equity 983919101 $ 3,279,437.50 38,300
ZORAN CORP. Equity 98975F101 $ 24,950,250.00 511,800
ZOLL MEDICAL CORP. Equity 989922109 $ 14,415,375.00 295,700
AMDOCS LTD. Equity G02602103 $ 9,131,700.00 146,400
NORDIC AMER TANKER SHIPPING Equity G65773106 $ 3,957,375.00 183,000
TRITON ENERGY LTD. Equity G90751101 $ 22,951,500.00 588,500
AUDIOCODES LTD. Equity M15342104 $ 6,435,450.00 75,600
BREEZECOM LIMITED Equity M20385106 $ 15,773,768.75 478,900
CHECK POINT SOFTWARE TECH. Equity M22465104 $ 80,006,062.50 507,975
------------------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 660,507,421.88
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
------------------------------------------------------------------------------------------------------------------------------------
TRIAD HOSPITALS X 710,200 80,600
TWEETER HOME ENTERTAINMENT X 200,000
UTI ENERGY CORP. X 327,500 129,000
ULTICOM COM. X 178,400 99,100
UNITED STATIONERS INC. X 278,600
UNIVERSAL COMPRESSION HLDGS. X 357,200 6,800
VANS INC. X 325,000
VARIAN INC. X 438,000
VENATOR GROUP INC. X 162,200 1,000
VERITAS X 689,600 106,700
VINTAGE PETROLEUM INC. X 411,900 84,200
VITRIA TECHNOLOGY INC. X 134,175 300
W J COMMUNICATIONS X 30,000
WMS INDUSTRIES INC. X 534,000
WALMART STORES X 627,500 104,450
WASTE CONNECTIONS X 325,000
WASTE MANAGEMENT INC. X 1,510,100 252,200
WATCHGUARD TECHNOLOGIES INC. X 677,500 100,400
WATERS CORP. X 854,950 138,800
WATSON PHARMACEUTICAL INC. X 157,200 610
WEBB DEL E CORP. X 243,000
WEBTRENDS CORP. X 789,700 215,400
WELLS FARGO & COMPANY X 644,600 106,500
WILLIAMS SONOMA INC. X 181,400 900
WIRELESS FACILITIES INC. X 140,200 600
WIT CAPITAL GROUP INC. X 450,000 30,450
XILINX INC. X 38,300
ZORAN CORP. X 511,800
ZOLL MEDICAL CORP. X 295,700
AMDOCS LTD. X 146,000 400
NORDIC AMER TANKER SHIPPING X 73,000 110,000
TRITON ENERGY LTD. X 455,500 133,000
AUDIOCODES LTD. X 37,479 38,121
BREEZECOM LIMITED X 375,500 103,400
CHECK POINT SOFTWARE TECH. X 452,575 55,400
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 10 Form 13F Reporting Manager: Columbus Circle Investors I.D.# 28-4974 Qtr 3 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>
METALINK LTD Equity M69897102 $ 8,613,600.00 465,600
M-SYSTEMS FLASH DISK PIONEER Equity M7061C100 $ 15,504,125.00 406,000
OPTIBASE LTD Equity M7524R108 $ 6,533,250.00 372,000
OMI CORP. Equity Y6476W104 $ 7,035,000.00 840,000
TEEKAY SHIPPING CORP. Equity Y8564W103 $ 25,102,700.00 534,100
------------------------------------------------------------------------------------------------------------------------------------
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
------------------------------------------------------------------------------------------------------------------------------------
METALINK LTD X 337,800 127,800
M-SYSTEMS FLASH DISK PIONEER X 246,000 160,000
OPTIBASE LTD X 353,000 19,000
OMI CORP. X 790,000 50,000
TEEKAY SHIPPING CORP. X 397,000 137,100
------------------------------------------------------------------------------------------------------------------------------------
Page Market Value $ 62,788,675.00
Total Market Value $ 5,568,221,456.63
</TABLE>