CAMPBELL ADVISORS INC
13F-HR, 1999-05-17
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                                                   UNITED STATES
                                        SECURITIES AND EXCHANGE COMMISSION
                                              Washington, D.C.  20549

                                                    Form 13F-HR

                                                Form 13F COVER PAGE


Report for the Calendar Year of Quarter Ended:   March 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:          Campbell Advisors, Inc.                        
Address:       565 Fifth Avenue, 16th Floor                       
               New York, New York  10017                   
                                                                  

Form 13F File Number:  28-846

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:     Jeffrey Silva                                           
Title:    Chief Financial Officer                                 
Phone:    (212) 935-4595                                          

Signature, Place, and Date of Signing:

           /s/ Jeffrey Silva                      New York, New York     5/14/99
              [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).)



<PAGE>

                                               Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                            0            

Form 13F Information Table Entry Total:                       104          

Form 13F Information Table Value Total:                   $   150,138      
                                                              (thousands)


List of Other Included Managers:




None


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<TABLE> 
<S>                                          <C>          <C>             <C>         <C>          <C>            <C>

                                                                                                                           
         Item 1:                             Item 2:      Item 3:         Item 4:      Item 5:     Item 6:    Item 7:  Item 8:    
      Name of Issuer                         Title of     CUSIP           Value       Shares or    Investment Other    Voting
                                             Class                        (x$1000)     Prn Amt     Discretion Managers Authority
                                                                                                                       SOLE     
                                                                                                      

ACTION PERFORMANCE COMPANIES                   COM         004933107         2802       93010 SH         SOLE               93010
ACXIOM CORP                                    COM         005125109         2337       88195 SH         SOLE               88195
ADVANTA CORP-CL B NON-VTG                      COM         007942204         523        58500 SH         SOLE               58500
AIRTOUCH COMMUNICATION COM                     COM         00949T100         2005       20755 SH         SOLE               20755
ALIGN-RITE INTERNATIONAL                       COM         016251100         293        25300 SH         SOLE               25300
ALPHANET SOLUTIONS INC                         COM         020787107         281        77500 SH         SOLE               77500
AMERICAN INTL GROUP COM                        COM         026874107         3478       28834 SH         SOLE               28834
AT&T - LIBERTY MEDIA-A                         COM         001957208         1064       20230 SH         SOLE               20230
AT&T CORP COM                                  COM         001957109         1282       16065 SH         SOLE               16065
ATWOOD OCEANICS INC                            COM         050095108         1455       48500 SH         SOLE               48500
AUTODESK INC COM                               COM         052769106         586        14500 SH         SOLE               14500
AUTOMATIC DATA PROCESS COM                     COM         053015103         4139       100045 SH        SOLE               100045
BANKAMERICA CORP COM                           COM         06605F102         242        3431 SH          SOLE               3431
BED BATH & BEYOND INC                          COM         075896100         933        25575 SH         SOLE               25575
BIOTIME INC                                    COM         09066L105         2703       168965 SH        SOLE               168965
BMC SOFTWARE INC.                              COM         055921100         3721       100410 SH        SOLE               100410
BRISTOL MYERS SQUIBB COM                       COM         110122108         218        3400 SH          SOLE               3400
BRITE VOICE SYSTEMS INC                        COM         110411105         400        50000 SH         SOLE               50000
CARDIOTECH INTERNATIONAL INC                   COM         14160C100         178        129100 SH        SOLE               129100
CENDANT CORPORATION                            COM         151313103         943        59165 SH         SOLE               59165
CERIDIAN CORP                                  COM         15677T106         2696       73740 SH         SOLE               73740
CHANCELLOR MEDIA CORP                          COM         158915108         2718       57675 SH         SOLE               57675
CHASE MANHATTAN NEW COM                        COM         16161A108         309        3800 SH          SOLE               3800
CHILDRENS COMPREHENSIVE                        COM         16875K202         509        90500 SH         SOLE               90500
CISCO SYS INC COM                              COM         17275R102         4657       42508 SH         SOLE               42508
CLEAR CHANNEL COMMUNICATIONS                   COM         184502102         740        11040 SH         SOLE               11040
COACH USA INC                                  COM         18975L106         1100       40000 SH         SOLE               40000
COMARCO INC                                    COM         200080109         1699       75500 SH         SOLE               75500
COMPUWARE CORP                                 COM         205638109         2420       101375 SH        SOLE               101375
CONSECO INC                                    COM         208464107         772        25000 SH         SOLE               25000
CONSOLIDATED STORES CORP                       COM         210149100         1480       48825 SH         SOLE               48825
CORNELL CORRECTIONS INC                        COM         219141108         263        15000 SH         SOLE               15000
COUNSEL CORP                                   COM         22226R102         1173       177000 SH        SOLE               177000
CREATIVE MASTER INTL INC                       COM         22528Y201         180        30000 SH         SOLE               30000
CYPROS PHARMACEUTICAL CORP                     COM         232808105         269        100000 SH        SOLE               100000
DII GROUP INC                                  COM         232949107         439        15000 SH         SOLE               15000
DORCHESTER HUGOTON LTD DEPOSTA                 COM         258205202         145        14283 SH         SOLE               14283
E'TOWN CORP                                    COM         269242103         1198       29710 SH         SOLE               29710
ETEC SYSTEMS INC                               COM         26922C103         681        23140 SH         SOLE               23140
FANNIE MAE                                     COM         313586109         930        13425 SH         SOLE               13425
FLEXTRONICS INTL LTD                           COM         Y2573F102         1218       23890 SH         SOLE               23890
FREDDIE MAC                                    COM         313400301         4957       86490 SH         SOLE               86490
GOODRICH (B.F.) CO                             COM         382388106         236        6881 SH          SOLE               6881
HANSEN NATURAL CORP                            COM         411310105         549        148900 SH        SOLE               148900
HNC SOFTWARE                                   COM         40425P107         1294       39510 SH         SOLE               39510
HOME DEPOT INC                                 COM         437076102         429        6885 SH          SOLE               6885
HOUSEHOLD INTERNATIONAL INC                    COM         441815107         518        11364 SH         SOLE               11364
HYPERION SOLUTIONS CORP                        COM         44914M104         473        32600 SH         SOLE               32600
INFINITY BROADCASTING CORP-A                   COM         45662S102         900        34970 SH         SOLE               34970
INTEL CORP COM                                 COM         458140100         547        4600 SH          SOLE               4600
JACOR COMMUNICATIONS INC                       COM         469858401         306        4030 SH          SOLE               4030
LILLY (ELI) & CO                               COM         532457108         3553       41865 SH         SOLE               41865
LINEAR TECHNOLOGY CORP COM                     COM         535678106         620        12100 SH         SOLE               12100
LINENS 'N THINGS INC                           COM         535679104         571        12595 SH         SOLE               12595
LOWE'S COMPANIES                               COM         548661107         1176       19430 SH         SOLE               19430
LUCENT TECHNOLOGIES COM                        COM         549463107         324        3000 SH          SOLE               3000
MANUGISTICS GROUP INC                          COM         565011103         207        31235 SH         SOLE               31235
MARSHALL & ILSLEY CORP COM                     COM         571834100         410        7402 SH          SOLE               7402
MATRIA HEALTHCARE INC                          COM         576817100         821        305500 SH        SOLE               305500
MCI WORLDCOM INC                               COM         55268B106         10857      122591 SH        SOLE               122591
MENTOR CORP MINN COM                           COM         587188103         799        54400 SH         SOLE               54400
MERCK & CO INC COM                             COM         589331107         7978       99564 SH         SOLE               99564
METROTRANS CORP                                COM         592665103         54         18900 SH         SOLE               18900
NETWORKS ASSOCIATES INC                        COM         640938106         614        20000 SH         SOLE               20000
NPC INTERNATIONAL INC                          COM         629360306         847        54200 SH         SOLE               54200
OFFICE DEPOT INC                               COM         676220106         2564       68475 SH         SOLE               68475

<PAGE>

PAYCHEX INC COM                                COM         704326107         3610       76103 SH         SOLE               76103
PERCON ACQUISITION INC                         COM         71361E103         348        52500 SH         SOLE               52500
PHILADELPHIA SUBURBAN CORP                     COM         718009608         796        35065 SH         SOLE               35065
PHYSIOMETRIX INC                               COM         718928104         128        102500 SH        SOLE               102500
PIMCO ADVISORS HOLDINGS LP                     COM         69338P102         1974       62793 SH         SOLE               62793
PLATINUM TECHNOLOGY INTERNATIO                 COM         72764T101         314        12300 SH         SOLE               12300
POLYMEDICA CORP                                COM         731738100         690        92000 SH         SOLE               92000
PRIMEX TECHNOLOGIES INC                        COM         741597108         892        43000 SH         SOLE               43000
QRS CORP                                       COM         74726X105         2957       47260 SH         SOLE               47260
QUALITY SYSTEMS INC                            COM         747582104         221        59000 SH         SOLE               59000
SANMINA CORP                                   COM         800907107         2192       34380 SH         SOLE               34380
SOLECTRON CORP COM                             COM         834182107         5240       107905 SH        SOLE               107905
SPRINT CORP (PCS GRP)                          COM         852061506         2821       63670 SH         SOLE               63670
STAAR SURGICAL CO NEW                          COM         852312305         577        74400 SH         SOLE               74400
STAR TELECOMMUNICATIONS INC                    COM         854923109         366        38000 SH         SOLE               38000
STERLING COMMERCE INC                          COM         859205106         3974       129251 SH        SOLE               129251
SUNGARD DATA SYSTEMS INC                       COM         867363103         896        22400 SH         SOLE               22400
SYBRON INTL CORP-WISCONSIN                     COM         87114F106         927        37085 SH         SOLE               37085
TECHNOLOGY SOLUTIONS CO                        COM         87872T108         120        16875 SH         SOLE               16875
TELETECH HOLDINGS INC                          COM         879939106         217        33000 SH         SOLE               33000
TRIDEX CORP                                    COM         895906105         304        135000 SH        SOLE               135000
UNIMED INC                                     COM         904801107         379        70600 SH         SOLE               70600
UNITED HEALTHCARE CORP COM                     COM         910581107         452        8585 SH          SOLE               8585
UNITED NATURAL FOODS INC                       COM         911163103         631        27000 SH         SOLE               27000
UNUM CORP COM                                  COM         903192102         2849       59893 SH         SOLE               59893
VODAFONE GROUP PLC SPONSORED A                 COM         92857T107         3081       16410 SH         SOLE               16410
WEST TELESERVICES CORP                         COM         956188106         340        40000 SH         SOLE               40000
WILLIAMS COS INC                               COM         969457100         1674       42375 SH         SOLE               42375
ZEBRA TECHNOLOGIES CORP CL-A                   COM         989207105         772        32500 SH         SOLE               32500
BANK OF NEW YORK CO INC                        CNV         064057870         2503       9420 SH          SOLE               9420
CHANCELLOR MEDIA 7.0%                          CNV         158915306         1723       13040 SH         SOLE               13040
ACTION PERFORMANCE REGISTERED         SB NT CV 4.75% 05    004933AB3         1005       1155000 PRN      SOLE               1155000
AFFILIATED COMPUTER SVCS              SB NT CV 4% 05       008190AD2         1996       1595000 PRN      SOLE               1595000
HNC SOFTWARE INC                      SB NT CV 4.75% 03    40425PAA5         1551       1585000  PRN     SOLE               1585000
PLATINUM TECHNOLOGY INTERNATIO        SB NT CV 6.75% 02    72764TAA9         3567       1910000 PRN      SOLE               1910000
PLATINUM TECHNOLOGY INTERNATIO        SB NT CV 6.25% 02    72764TAD3         263        280000 PRN       SOLE               280000
SYSTEMS & COMPUTER TECH               SUB DB CONV 5% 04    871873AB1         997        1395000 PRN      SOLE               1395000
TELXON CORP CONV SUB DEB              SUB DB VC 7.5% 12    879700AA0         7          10000 PRN        SOLE               10000




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