NWI MANAGEMENT LP
13F-HR, 2000-02-14
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FORM 13
FROM 13 F COVER PAAGE

Report for the Calendar Year or Quarter Ended: December 31, 1999

Check here if Amendment [  ]; Amendment Number:
This Amendment (Check only one) : [   ] is a restatement
                                  [   ] adds new holdings entries


Institutional Investment Manager Filing this Report:

Name:           NWI Management, LP
Address:        45 East 53rd Street
                New York, NY 10022


13F File Number: initial filing

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 reqired items,
statements, schedules, lists, and tables, are considered integral parts
of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name : CHANDRIKA HARIHARAN
Title: CHIEF FINANCIAL OFFICER
Phone: 212-297-2967
Signature, Place, and Date of Signing:

CHANDRIKA HARIHARAN   NEW YORK, NEW YORK     FEBRUARY 14, 2000

Report Type (Check only one):

[X]     13F HOLDINGS REPORT
[ ]     13F NOTICE
[ ]     13F COMBINATION REPORT


< PAGE >

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       1

Form 13F Information Table Entry Total:  87

Form 13F Information Table Value Total:  $467,947


List of Other Included Managers:

No.     13F File Number         Name

01      28-6420                 Soros Fund Management LLC

<TABLE>                    <C>                            <C>
                                               Value    SHRS OR   SH/   PUT/ INVESTMENT  OTHER   Voting Authority (Shar
      Name of Issuer       Title of  CUSIP    (x$1000)  PRN AMT   PRN   CALL DISCRETION MANAGERS   Sole   Shared  None
ACTIVISION INC NEW         COM NEW 004930202      2,297   150,000  SH           SOLE              150,000
AETNA INC                    COM   008117103     28,799   516,000  SH           SOLE              516,000
AETNA INC                    CALL  008117903     16,744   300,000  SH   CALL    SOLE
AGENCY COM LTD               COM   008447104        765    15,000  SH           SOLE               15,000
AGILE SOFTWARE CORP DEL      COM   00846X105        217     1,000  SH           SOLE                1,000
AKAMAI TECHNOLOGIES INC      COM   00971T101      1,638     5,000  SH           SOLE                5,000
ALASKA COMMUNICATIONS SYS G  COM   01167P101      1,238   100,000  SH           SOLE              100,000
AMERICA ONLINE INC DEL       COM   02364J104     18,969   250,000  SH           SOLE              250,000
BROADCOM CORP                CL A  111320107      7,627    28,000  SH           SOLE               28,000
BURLINGTON RES INC           COM   122014103     17,035   515,225  SH           SOLE              515,225
BURLINGTON RES INC           CALL  122014903     19,837   600,000  SH   CALL    SOLE
C-CUBE MICROSYSTEMS INC      COM   125015107     42,019   675,000  SH           SOLE              675,000
CACHEFLOW INC                COM   126946102        653     5,000  SH           SOLE              653,438
CITIGROUP INC                COM   172967101      5,556   100,000  SH           SOLE              100,000
CLARENT CORP DEL             COM   180461105      2,333    30,000  SH           SOLE               30,000
COMMUNICATION INTELLIGENCE   COM   20338K106      4,950   600,000  SH           SOLE              600,000
COMPAQ COMPUTER CORP         CALL  204493900      1,353    50,000  SH   CALL    SOLE
CONEXANT SYSTEMS INC         COM   207142100      8,377   126,200  SH           SOLE              126,200
CYBERGOLD INC                COM   23246N105        884    50,000  SH           SOLE               50,000
DELTATHREE COM INC           CL A  24783N102        515    20,000  SH           SOLE               20,000
DIGITAL IMPACT INC DEL       COM   25385G106        627    12,500  SH           SOLE               12,500
DONALDSON LUFKIN & JENRETTECOM DLJ 257661108      2,419    50,000  SH           SOLE               50,000
DOUBLECLICK INC              COM   258609304      9,110    36,000  SH           SOLE               36,000
E TRADE GROUP INC            COM   269246104        784    30,000  SH           SOLE               30,000
EL SITO INC                  ORD   G30177102        919    25,000  SH           SOLE               25,000
ESPEED INC                   CL A  296643109      1,778    50,000  SH           SOLE               50,000
FAIRCHILD SEMICONDUCTOR INT  CL A  303726103      5,031   169,100  SH           SOLE              169,100
FOGDOG INC                   COM   344167101        855    90,000  SH           SOLE               90,000
FREEMARKETS INC              COM   356602102      3,413    10,000  SH           SOLE               10,000
GEMSTAR INTL GROUP LTD       ORD   G3788V106      3,919    55,000  SH           SOLE               55,000
HEALTHEXTRAS INC             COM   422211102      3,600   300,000  SH           SOLE              300,000
HIGH SPEED ACCESS CORP       COM   42979U102        353    20,000  SH           SOLE               20,000
ILLUMINET HLDGS INC          COM   452334105        275     5,000  SH           SOLE                5,000
INTERTRUST TECHNOLOGIES COR  COM   46113Q109      4,117    35,000  SH           SOLE               35,000
INTUIT                       COM   461202103     10,789   180,000  SH           SOLE              180,000
ITXC CORP                    COM   45069F109      1,009    30,000  SH           SOLE               30,000
JUNIPER NETWORKS INC         COM   48203R104      5,100    15,000  SH           SOLE               15,000
KNOT INC                     COM   499184109        532    63,000  SH           SOLE               63,000
LIQUID AUDIO INC             COM   53631T102        263    10,000  SH           SOLE               10,000
MARIMBA INC.                 COM   56781Q109        230     5,000  SH           SOLE                5,000
MCAFEE COM CORP              CL A  579062100        225     5,000  SH           SOLE                5,000
MCI WORLD COM INC            CALL  55268B906         12       225  SH   CALL    SOLE
MEDIAONE GROUP INC           COM   58440J104      6,913    90,000  SH           SOLE               90,000
MERRILL LYNCH & CO INC       COM   590188108        451     5,400  SH           SOLE                5,400
MICROSOFT CORP               COM   594918104     29,188   250,000  SH           SOLE              250,000
MOTOROLA INC                 COM   620076109     12,597    85,550  SH           SOLE               85,550
MP3 COM INC                  COM   62473M109      4,683   147,800  SH           SOLE              147,800
NETCENTIVES INC              COM   64108P101     18,382   295,000  SH           SOLE              295,000
NETIQ CORP                   COM   64115P102        911    17,500  SH           SOLE               17,500
NETRATINGS INC               COM   64116M108        481    10,000  SH           SOLE               10,000
NEXT LEVEL COMM INC          COM   65333U104      1,872    25,000  SH           SOLE               25,000
NEXTEL COMMUNICATIONS INC    CL A  65332V103      6,188    60,000  SH           SOLE               60,000
NOBLE AFFILIATES INC         COM   654894104     11,986   559,100  SH           SOLE              559,100
NTL INC                      COM   629407107     11,228    90,000  SH           SOLE               90,000
OMNIPOINT CORP               COM   68212D102      3,619    30,000  SH           SOLE               30,000
ORACLE CORP                  COM   68389X105     16,809   150,000  SH           SOLE              150,000
PEGASUS COMMUNICATIONS CORP  CL A  705904100      3,666    37,500  SH           SOLE               37,500
PHARMACIA & UPJOHN INC       COM   716941109      4,500   100,000  SH           SOLE              100,000
PHILIP MORRIS COS INC        COM   718154107      2,017    87,000  SH           SOLE               87,000
PLUG POWER INC               COM   72919P103      1,610    57,000  SH           SOLE               57,000
PREMIER PKS INC            COM NEW 740540208      1,499    51,900  SH           SOLE               51,900
PRODIGY COMMUNICATIONS CORP  COM   74283P107        291    15,000  SH           SOLE               15,000
QUALCOMM INC.                COM   747525103      2,115    12,000  SH           SOLE               12,000
RADIO ONE INC                CL A  75040P108      1,380    15,000  SH           SOLE               15,000
RARE MEDIUM GROUP INC        COM   75382N109      3,583   105,000  SH           SOLE              105,000
RAYTHEON CO                  CL B  755111408      1,594    60,000  SH           SOLE               60,000
REALNETWORKS INC             COM   75605L104      2,166    18,000  SH           SOLE               18,000
RETEK INC                    COM   76128Q109        941    12,500  SH           SOLE               12,500
SABRATEK CORP                COM   78571U108         22   270,000  SH           SOLE              270,000
SAFEWAY INC                COM NEW 786514208        711    20,000  SH           SOLE               20,000
SANTA FE SNYDER CORP         COM   80218K105        928   116,000  SH           SOLE              116,000
SILICON IMAGE INC            COM   82705T102        350     5,000  SH           SOLE                5,000
SPANISH BROADCASTING SYS IN  CL A  846425882      1,409    35,000  SH           SOLE               35,000
SUN MICROSYSTEMS INC         COM   866810104      9,293   120,000  SH           SOLE              120,000
TALK CITY INC                COM   874263106        523    20,000  SH           SOLE               20,000
TELLABS INC                  COM   879664100      6,900   107,500  SH           SOLE              107,500
TIBCO SOFTWARE INC           COM   88632Q103     14,130    92,350  SH           SOLE               92,350
TIVO INC                     COM   888706108        253     7,500  SH           SOLE                7,500
TMP WORLDWIDE INC            COM   872941109      2,769    19,500  SH           SOLE               19,500
TRITEL INC                   CL A  89675X104        158     5,000  SH           SOLE                5,000
UNION PAC RES GROUP INC      COM   907834105      2,996   235,000  SH           SOLE              235,000
UNITEDGLOBALCOM              CL A  913247508     19,789   280,200  SH           SOLE              280,200
VA LINUX SYSTEMS INC         COM   91819B105      3,719    18,000  SH           SOLE               18,000
VERTICALNET INC              COM   92532L107      9,512    58,000  SH           SOLE               58,000
VIATEL INC                   COM   925529208      1,609    30,000  SH           SOLE               30,000
VIRATA CORP                  COM   927646109      1,643    55,000  SH           SOLE               55,000
XEROX CORP                   COM   984121103      3,403   150,000  SH           SOLE              150,000

</TABLE>


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