JUVONEN RONALD
13F-HR, 1999-07-13
Previous: GALILEO FUNDS INC, N-1A, 1999-07-13
Next: ADVANCED MICRO DEVICES INC, 8-K/A, 1999-07-14



<TABLE>                    <C>                                  <C>
FORM 13F INFORMATION TABLE

                           TITLE
                             OF               VALUE  SHARES/ SH/PUT/INVSTMT   OTHER     VOTINGAUTHORITY
      NAME OF ISSUER       CLASS    CUSIP    (X$1000)PRN AMT PRNCALLDSCRETN  MANAGERS   SOLE   SHARED   NONE


AIR EXPRESS INT'L CORP     COM   009104100     685.125  27000SH     SOLE    01           27000
ASHWORTH INC               COM   04516H101     1383.8  299200SH     SOLE    01          299200
BORDERS GROUP INC          COM   099709107     948.75   60000SH     DEFINED 02 03 04             60000
CIRCUIT CITY STORES INC    COM   172737108     4580.25  49250SH     SOLE    01           49250
CCC INFO SRVC GRP INC      COM   12487Q109     5211.15 404750SH     SOLE    01          404750
CCC INFO SRVC GRP INC      COM   12487Q109     2077.38 161350SH     DEFINED 02 03 04            161350
CENTURA SOFTWARE CORP      COM   15640W103     30.00    30000SH     DEFINED 02 03 04             30000
EGGHEAD INC                COM   282330109     223.75   20000SH     DEFINED 02 03 04             20000
EAGLE USA AIRFREIGHT INC   COM   270018104     51.688   13000SH     SOLE    01           13000
GENTEX CORP                COM   371901109     7823.2  279400SH     SOLE    01          279400
GENTEX CORP                COM   371901109     4788.0  171000SH     DEFINED 02 03 04            171000
HA-LO INDUSTRIES INC       COM   404429102     4017.15 406800SH     SOLE    01          406800
HA-LO INDUSTRIES INC       COM   404429102     510.53   51700SH     DEFINED 02 03 04             51700
HYPERION SOLUTIONS         COM   44914M104     6700.17 376150SH     SOLE    01          376150
HYPERION SOLUTIONS         COM   44914M104     2302.26 129250SH     DEFINED 02 03 04    129250
INVESTMENT TECH GRP INC    COM   461450108     8866.5  276000SH     SOLE    01          276000
INVESTMENT TECH GRP INC    COM   461450108     3029.86 115700SH     DEFINED 02 03 04             115700
INFOUSA INC NEW            CL A  456818202     1533.6  167300SH     SOLE    01          167300
INFOUSA INC NEW            CL A  456818202     226.31   25500SH     DEFINED 02 03 04             25500
INFOUSA INC NEW            CL B  456818103     602.65   70900SH     SOLE    01          70900
CIRCUIT CITY STORES INC    CARMAX172737306     1201.85 223600SH     SOLE    01          223600
CIRCUIT CITY STORES INC    CARMAX172737306     303.15   56400SH     DEFINED 02 03 04             56400
MOORE HANDLEY INC          COM   615762101     249.56  121000SH     DEFINED 02 03 04            121000
REXALL SUNDOWN INC         COM   761648104     3188.25 261600SH     SOLE    01          261600
REXALL SUNDOWN INC         COM   761648104     1096.87  90000SH     DEFINED 02 03 04             90000
TRAVIS BOATS & MOTORS INC  COM   894363100     4171.65 287700SH     SOLE    01          287700
TRAVIS BOATS & MOTORS INC  COM   894363100     1399.25  96500SH     DEFINED 02 03 04             96500
TECHNOLOGY SOLUTIONS INC   COM   87872T108     3504.33 324100SH     SOLE    01          324100
TECHNOLOGY SOLUTIONS INC   COM   87872T108     1351.56 125000SH     DEFINED 02 03 04            125000
WHOLE FOODS MARKET INC     COM   966837106     8290.78 172500SH     SOLE    01          172500
WHOLE FOODS MARKET INC     COM   966837106     961.251  20000SH     DEFINED 02 03 04             20000
WABASH NATIONAL CORP       COM   929566107     1898.75  98000SH     SOLE    01           98000
WABASH NATIONAL CORP       COM   929566107     980.375  50600SH     DEFINED 02 03 04             50600




</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission