BARBARY COAST CAPITAL
13F-HR, 2000-05-12
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<TABLE>
<CAPTION>
                                                            FORM 13F

                                                                                                                       03/31/2000
              REPORTING MANAGER: Furman Selz LLC                                                                       Page     1
- ---------------------------------------------------------------------------------------------------------------------------------
                                                   VALUATION CURRENCY: USD
         ITEM 1                  ITEM 2       ITEM 3        ITEM 4   ITEM 5        ITEM 6     ITEM 7           ITEM 8
    NAME OF ISSUER               TITLE         CUSIP         FAIR   SHARES OF   INVEST.DISC   MANA-      VOTING AUTHORITY
                                  OF          NUMBER        MARKET  PRINCIPAL      SHARED      GERS
                                 CLASS                      VALUE    AMOUNT    SOLE SHARED OTHER      SOLE      SHARED       NONE
                                                                                (A)  (B)    (C)        (A)        (B)         (C)
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>         <C>         <C>          <C>         <C>         <C>          <C>
INTEGRAL SYSTEMS INC. COM        OTC EQ      8P83929     2,475,000   55,000 N     X          BARB       55,000

UNIGLOBE.COM PRIVATE PLACE       OTC EQ      8P83993       899,601  389,060 N     X          BARB      389,060

ACACIA RESEARCH CORP RSTD        OTC EQ      9301027     3,334,491   78,114 N     X          BARB       78,114

ACACIA RESEARCH CORP             OTC EQ      003881109   1,891,056   44,300 N     X          BARB       44,300

ADVANCE PARADIGM INC             OTC EQ      007491103     204,250   17,200 N     X          BARB       17,200

AHL SERVICES INC                 OTC EQ      001296102     604,463   59,700 N     X          BARB       59,700

AKORN INC                        OTC EQ      009728106   1,607,400  169,200 N     X          BARB      169,200

AMES DEPARTMENT STORES INC       OTC EQ      030789507   1,100,400   44,800 N     X          BARB       44,800

APEX INC                         OTC EQ      037548104     230,175    6,200 N     X          BARB        6,200

ASK JEEVES INC                   OTC EQ      045174109     495,113    8,100 N     X          BARB        8,100

AVON PRODUCTS INC                COMMON      054303102   1,409,850   48,200 N     X          BARB       48,200

AVT CORPORATION                  OTC EQ      002420107   1,214,325  102,800 N     X          BARB      102,800

AXENT TECHNOLOGIES INC           OTC EQ      05459C108     545,563   29,000 N     X          BARB       29,000

AMERICAN XTAL TECHNOLOGY         OTC EQ      030514103   1,129,888   34,900 N     X          BARB       34,900

BARRA INC                        OTC EQ      068313105   3,221,513   95,100 N     X          BARB       95,100

BAXTER INTERNATIONAL INC         COMMON      071813109   1,216,138   19,400 N     X          BARB       19,400

BLACK BOX CORP-DEL               OTC EQ      091826107   1,730,860   25,000 N     X          BARB       25,000

BEST BUY COMPANY INC             COMMON      086516101   1,659,800   19,300 N     X          BARB       19,300

BERINGER WINE ESTATES HOLD       OTC EQ      084102102     828,713   23,100 N     X          BARB       23,100

BLACKBEARD SECURITIES PRIV       COMMON      BLACKBSEC     104,920  104,920 N     X          BARB      104,920

BAUSCH & LOMB INC                COMMON      071707103   1,069,844   20,500 N     X          BARB       20,500

COMPLETE BUSINESS SOLUTION       OTC EQ      20452F107     501,200   22,400 N     X          BARB       22,400

ATLAS AIR INC                    COMMON      049164106     621,413   22,700 N     X          BARB       22,700

COLGATE PALMOLIVE CO             COMMON      194162103   1,274,075   22,600 N     X          BARB       22,600

COMPUTER LEARNING CENTER I       OTC EQ      205199102      73,744   41,400 N     X          BARB       41,400

CANDELA CORP                     OTC EQ      136907102   2,167,688  157,650 N     X          BARB      157,650

COMPAQ COMPUTER CORP             COMMON      204493100   1,493,100   55,300 N     X          BARB       55,300


     PAGE COLUMN TOTALS                                 ----------
                                                        33,104,583
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
                                                            FORM 13F

                                                                                                                       03/31/2000
              REPORTING MANAGER: Furman Selz LLC                                                                       Page     2
- ---------------------------------------------------------------------------------------------------------------------------------
                                                   VALUATION CURRENCY: USD
         ITEM 1                  ITEM 2       ITEM 3        ITEM 4   ITEM 5        ITEM 6     ITEM 7           ITEM 8
    NAME OF ISSUER               TITLE         CUSIP         FAIR   SHARES OF   INVEST.DISC   MANA-      VOTING AUTHORITY
                                  OF          NUMBER        MARKET  PRINCIPAL      SHARED      GERS
                                 CLASS                      VALUE    AMOUNT    SOLE SHARED OTHER      SOLE      SHARED       NONE
                                                                                (A)  (B)    (C)        (A)        (B)         (C)
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>         <C>         <C>          <C>         <C>         <C>          <C>
CHOICEPOINT INC                  COMMON      170388102   1,513,688   40,500 N     X          BARB       40,500

CUMMINS ENGINE CO INC            COMMON      231021106   1,262,100   33,600 N     X          BARB       33,600

CYBERONICS INC                   OTC EQ      23251P102     534,463   28,600 N     X          BARB       28,600

CYTOCLONAL PHARMACEUTICS I       OTC EQ      23282G105   1,204,500  116,800 N     X          BARB      116,800

DIGI INTERNATIONAL INC           OTC EQ      253798102     539,275   58,300 N     X          BARB       58,300

WALT DISNEY CO                   COMMON      254687106   1,629,375   39,500 N     X          BARB       39,500

DIGITAL MICROWAVE CORP           OTC EQ      253859102   2,804,850   82,800 N     X          BARB       82,800

***DIVERSINET CORP NEW           OTC EQ      25536K204     439,725   24,600 N     X          BARB       24,600

DYNEX CAPITAL INC-9.55% CO       PREFER      26817Q308     581,250   62,000 N     X          BARB       62,000

EBAY INC                         OTC EQ      278642103   2,288,000   13,000 N     X          BARB       13,000

ECLIPSE CORP                     OTC EQ      278856109     883,500   45,600 N     X          BARB       45,600

ELECTRONICS FOR IMAGING IN       OTC EQ      286082102   1,350,000   22,500 N     X          BARB       22,500

E TRADE GROUP INC                OTC EQ      269246104     367,525   12,200 N     X          BARB       12,200

ESTEELAUDER COMPANIES  INC       COMMON      518439104   1,366,706   27,300 N     X          BARB       27,300

ELCOR CORP                       COMMON      284443108     238,050    6,900 N     X          BARB        6,900

ECHELON CORP                     OTC EQ      27874N105   2,823,050   43,100 N     X          BARB       43,100

EUROWEB INTERNATIONAL CORP       OTC EQ      298801101      68,750   10,000 N     X          BARB       10,000

FIRST CONSULTING GROUP INC       OTC EQ      31986R103     840,125   51,700 N     X          BARB       51,700

FEDEX CORP                       COMMON      31428X106   1,063,463   27,400 N     X          BARB       27,400

F5 NETWORKS INC                  OTC EQ      315616102     779,125   11,500 N     X          BARB       11,500

GILLETTE CO                      COMMON      375766102   1,564,031   41,500 N     X          BARB       41,500

GREAT PLAINS SOFTWARE INC        OTC EQ      39119E105     982,100   18,400 N     X          BARB       18,400

HAUPPAGUE DIGITAL INC            OTC EQ      419131107     678,500   36,800 N     X          BARB       36,800

HMT TECHNOLOGY CORP              OTC EQ      403917107   1,560,850  471,200 N     X          BARB      471,200

HARTCOURT COMPANIES INC NE       OTC EQ      416187201     309,600   25,800 N     X          BARB       25,800

INTL BUSINESS MACHINES COR       COMMON      459200101     472,000    4,000 N     X          BARB        4,000

INTERACTIVE INTELLIGENCE I       OTC EQ      45839M103     649,300   15,100 N     X          BARB       15,100
                                                        ----------
     PAGE COLUMN TOTALS                                 29,793,901
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                            FORM 13F

                                                                                                                       03/31/2000
              REPORTING MANAGER: Furman Selz LLC                                                                       Page     3
- ---------------------------------------------------------------------------------------------------------------------------------
                                                   VALUATION CURRENCY: USD
         ITEM 1                  ITEM 2       ITEM 3        ITEM 4   ITEM 5        ITEM 6     ITEM 7           ITEM 8
    NAME OF ISSUER               TITLE         CUSIP         FAIR   SHARES OF   INVEST.DISC   MANA-      VOTING AUTHORITY
                                  OF          NUMBER        MARKET  PRINCIPAL      SHARED      GERS
                                 CLASS                      VALUE    AMOUNT    SOLE SHARED OTHER      SOLE      SHARED       NONE
                                                                                (A)  (B)    (C)        (A)        (B)         (C)
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>         <C>         <C>          <C>         <C>         <C>          <C>
VIALINK COMPANY                  OTC EQ      IQIQ          950,400   28,800 N     X          BARB       28,800

INTEGRAL SYSTEMS INC-MD          OTC EQ      45810H107   2,934,000   65,200 N     X          BARB       65,200

INTRAWARE INC                    OTC EQ      46118M103   1,024,550   24,800 N     X          BARB       24,800

IVILLAGE INC                     OTC EQ      46588H105     242,914   15,500 N     X          BARB       15,500

JB OXFORD HOLDINGS INC           OTC EQ      466107109      79,063   11,500 N     X          BARB       11,500

COCA COLA CO                     COMMON      191216100   1,154,663   24,600 N     X          BARB       24,600

KOHLS CORP                       COMMON      500255104   1,404,250   13,700 N     X          BARB       13,700

LASERSIGHT INC                   OTC EQ      517924106     253,313   38,600 N     X          BARB       38,600

INTERLINK ELECTRONICS            OTC EQ      458751104   2,155,475   22,600 N     X          BARB       22,600

LOG ON AMERICA INC               OTC EQ      540473105     338,625   30,100 N     X          BARB       30,100

LABOR READY INC NEW              COMMON      505401208     199,969   20,250 N     X          BARB       20,250

LITRONIC INC                     OTC EQ      537004103     494,100   24,400 N     X          BARB       24,400

LEARNING TREE INTERNATIONA       OTC EQ      522015106     695,800   19,600 N     X          BARB       19,600

METRICOM INC                     OTC EQ      591596101   1,484,000   32,000 N     X          BARB       32,000

MEDIMMUNE INC                    OTC EQ      584699102   1,236,288    7,100 N     X          BARB        7,100

MENTOR GRAPHICS CORP             OTC EQ      587200106   1,113,200   73,600 N     X          BARB       73,600

MP3.COM INC                      OTC EQ      62473M109     606,900   28,900 N     X          BARB       28,900

MODIS PROFESSIONAL SVCS IN       COMMON      607830106     610,088   49,300 N     X          BARB       49,300

MARIMBA INC                      OTC EQ      56781Q109     683,938   15,500 N     X          BARB       15,500

MICROSTRATEGY INC CL A           OTC EQ      594972101     696,500    8,000 N     X          BARB        8,000

MTI TECHNOLOGY CORP              OTC EQ      553903105     406,175   15,400 N     X          BARB       15,400

MICROVISION INC                  OTC EQ      595148107   1,123,625   20,200 N     X          BARB       20,200

METRIS COMPANIES INC             COMMON      591598107   1,286,763   33,100 N     X          BARB       33,100

MAXTOR CORP (NEW)                OTC EQ      577729205     693,450   53,600 N     X          BARB       53,600

MYTURN.COM INC                   OTC EQ      628690109   1,425,988   60,200 N     X          BARB       60,200

NEW ERA OF NETWORKS INC          OTC EQ      644312100     573,050   14,600 N     X          BARB       14,600
                                                       -----------
     PAGE COLUMN TOTALS                                 23,867,087
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                            FORM 13F

                                                                                                                       03/31/2000
              REPORTING MANAGER: Furman Selz LLC                                                                       Page     4
- ---------------------------------------------------------------------------------------------------------------------------------
                                                   VALUATION CURRENCY: USD
         ITEM 1                  ITEM 2       ITEM 3        ITEM 4   ITEM 5        ITEM 6     ITEM 7           ITEM 8
    NAME OF ISSUER               TITLE         CUSIP         FAIR   SHARES OF   INVEST.DISC   MANA-      VOTING AUTHORITY
                                  OF          NUMBER        MARKET  PRINCIPAL      SHARED      GERS
                                 CLASS                      VALUE    AMOUNT    SOLE SHARED OTHER      SOLE      SHARED       NONE
                                                                                (A)  (B)    (C)        (A)        (B)         (C)
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>         <C>         <C>          <C>         <C>         <C>          <C>
KNIGHT/TRIMARK GROUP INC-C       OTC EQ      499068104   1,438,200   28,200 N     X          BARB       28,200

NETOPIA INC                      OTC EQ      64114K104   1,625,788   22,600 N     X          BARB       22,600

*** NEW TEL LTD                  OTC EQ      648867109     496,800   21,600 N     X          BARB       21,600

OSI SYSTEMS INC                  OTC EQ      671044105     991,200   67,200 N     X          BARB       67,200

PACCAR INC -DEL- W/RTS TO        OTC EQ      693718108   1,240,000   24,800 N     X          BARB       24,800

PRICELINE.COM INC                OTC EQ      741503106   1,328,000   16,600 N     X          BARB       16,600

PACIFIC INTERNET LIMITED         OTC EQ      Y66183107     717,444   19,100 N     X          BARB       19,100

PERINI CORP                      COMMON      713839108   1,432,869  322,900 N     X          BARB      322,900

PARAMETRIC TECHNOLOGY CORP       OTC EQ      699173100     631,875   30,000 N     X          BARB       30,000

PURCHASEPRO.COM INC              OTC EQ      746144104     812,000   11,200 N     X          BARB       11,200

PHOENIX TECHNOLOGIES LTD         OTC EQ      719153108   3,033,550  143,600 N     X          BARB      143,600

POWER-ONE INC                    OTC EQ      739308104   2,113,125   35,000 N     X          BARB       35,000

PAINE WEBBER GROUP INC           COMMON      695629105   1,192,400   27,100 N     X          BARB       27,100

QUADRAMED CORPORATION            OTC EQ      74730W101     356,500   62,000 N     X          BARB       62,000

***ROYAL CARIBBEAN CRUISES       COMMON      V7780T103     585,200   20,900 N     X          BARB       20,900

READ RITE CORP                   OTC EQ      755246105   1,408,594  300,500 N     X          BARB      300,500

RF MICRO DEVICES INC             OTC EQ      749941100   1,585,625   11,800 N     X          BARB       11,800

RAMBUS INC-DEL                   OTC EQ      750917106   2,267,650    7,700 N     X          BARB        7,700

RARE MEDIUM GROUP INC            OTC EQ      75382N109     697,175   15,800 N     X          BARB       15,800

***RSL COMMUNICATIONS LTD-       OTC EQ      G7702U102     748,800   31,200 N     X          BARB       31,200

SANMINA CORP                     OTC EQ      800907107   1,452,594   21,500 N     X          BARB       21,500

SANCHEZ COMPUTER ASSOCIATE       OTC EQ      799702105   1,292,600   36,800 N     X          BARB       36,800

SEROLOGICALS HOLDINGS INC        OTC EQ      817523103     318,094   58,500 N     X          BARB       58,500

SYLVAN LEARNING SYSTEMS IN       OTC EQ      871399101     285,281   17,900 N     X          BARB       17,900

SEMTECH CORP                     OTC EQ      816850101   1,550,313   24,200 N     X          BARB       24,200
                                                        ----------
     PAGE COLUMN TOTALS                                 29,601,677
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                            FORM 13F

                                                                                                                       03/31/2000
              REPORTING MANAGER: Furman Selz LLC                                                                       Page     5
- ---------------------------------------------------------------------------------------------------------------------------------
                                                   VALUATION CURRENCY: USD
         ITEM 1                  ITEM 2       ITEM 3        ITEM 4   ITEM 5        ITEM 6     ITEM 7           ITEM 8
    NAME OF ISSUER               TITLE         CUSIP         FAIR   SHARES OF   INVEST.DISC   MANA-      VOTING AUTHORITY
                                  OF          NUMBER        MARKET  PRINCIPAL      SHARED      GERS
                                 CLASS                      VALUE    AMOUNT    SOLE SHARED OTHER      SOLE      SHARED       NONE
                                                                                (A)  (B)    (C)        (A)        (B)         (C)
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>         <C>         <C>          <C>         <C>         <C>          <C>
SONERA CORP PLC                  OTC EQ      835433202   1,612,913   24,300 N     X          BARB       24,300

SUNRISE TECHNOLOGIES INC         OTC EQ      86769L103     361,505   51,300 N     X          BARB       51,300

SERENA SOFTWARE INC              OTC EQ      817492101     698,063   21,900 N     X          BARB       21,900

STRAYER EDUCATION INC            OTC EQ      863236105   1,092,000   42,000 N     X          BARB       42,000

TERADYNE INC                     COMMON      880770102     902,000   11,000 N     X          BARB       11,000

TERA COMPUTER CO                 OTC EQ      88076P108     110,081   17,100 N     X          BARB       17,100

24/7 MEDIA INC                   OTC EQ      901314104     845,300   21,400 N     X          BARB       21,400

3DO CO                           OTC EQ      88553W105   1,339,781  138,300 N     X          BARB      138,300

TUMBLEWEED COMMUNICATIONS        OTC EQ      899690101   1,972,019   16,900 N     X          BARB       16,900

TRW INC                          COMMON      872649108   1,386,450   23,700 N     X          BARB       23,700

TRANSACTION SYSTEMS ARCHIT       OTC EQ      893416107     880,688   30,500 N     X          BARB       30,500

***UNIGLOBE.COM INC CL B         OTC EQ      904918208      39,617   21,000 N     X          BARB       21,000

U S INTERACITVE INC              OTC EQ      90334M109     593,450   16,600 N     X          BARB       16,600

U S WIRELESS CORP                OTC EQ      90339C106     213,900    6,900 N     X          BARB        6,900

URSUS TELECOM CORP               OTC EQ      917287104     577,463   35,400 N     X          BARB       35,400

VENTRO CORP                      OTC EQ      922815105     775,763   13,700 N     X          BARB       13,700

VISUAL NETWORKS INC              OTC EQ      928444108   1,032,850   18,200 N     X          BARB       18,200

VIASAT INC                       OTC EQ      92552V100   1,548,000   21,500 N     X          BARB       21,500

WALKER INTERACTIVE SYSTEMS       OTC EQ      931664106     588,563   73,000 N     X          BARB       73,000

WORLDGATE COMMUNICATIONS I       OTC EQ      98156L307     676,406   22,500 N     X          BARB       22,500

WIND RIVER SYSTEMS INC           OTC EQ      973149107   2,744,125   75,700 N     X          BARB       75,700

WATSON PHARMACEUTICALS INC       COMMON      942683103   1,262,063   31,800 N     X          BARB       31,800

YAHOO INC                        OTC EQ      984332106   1,268,175    7,400 N     X          BARB        7,400

TRICON GLOBAL RESTAURANTS        COMMON      895953107   1,130,675   36,400 N     X          BARB       36,400

ZIXIT CORP                       OTC EQ      98974P100     487,844    6,700 N     X          BARB        6,700

ZOLTEK COMPANIES INC             OTC EQ      98975W104     172,391   18,700 N     X          BARB       18,700
                                                       -----------
     PAGE COLUMN TOTALS                                 24,312,085
                                                       -----------
     AGGREGATE COLUMN TOTALS                           139,679,333
                                                       ===========

</TABLE>




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