UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
REPORT FOR THE CALENDAR QUARTER ENDED: 06/30/1999
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: THE CHASE MANHATTAN CORPORATION
ADDRESS: 270 PARK AVENUE
N.Y., N.Y. 10017-2070
13F FILE NUMBER: 28-694
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: ANTHONY HORAN
TITLE: CORPORATE SECRETARY
PHONE: 212-270-7122
SIGNATURE, PLACE AND DATE OF SIGNING:
ANTHONY HORAN, N.Y., N.Y. 08/09/1999
REPORT TYPE (CHECK ONLY ONE):
(X) 13F HOLDINGS REPORT
( ) 13F NOTICE
( ) 13F COMBINATION REPORT
LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF
1934.
<PAGE>
FORM 13F SUMMARY PAGE
REPORT SUMMARY:
NUMBER OF OTHER INCLUDED MANAGERS: 11
LIST OF OTHER INCLUDED MANAGERS:
NO. 13F FILE NUMBER NAME
01 28-694 CAPITAL MARKET TRANSACTIONS INC.
02 28-694 CHASE ASSET MANAGEMENT INC.
03 28-694 CHASE EQUITY ASSOCIATES, L.P.
04 28-694 CHASE MANHATTAN PRIVATE BANK, NATIONAL
ASSOCIATION
05 28-694 CHASE MANHATTAN BANK AND TRUST COMPANY, NATIONAL
ASSOCIATION
06 28-694 CHASE SECURITIES INC.
07 28-694 CHASE VENTURE CAPITAL ASSOCIATES, L.P.
08 28-694 CHASE BANK OF TEXAS, NATIONAL ASSOCIATION
09 28-694 THE CHASE MANHATTAN BANK
10 28-694 OTHER CAPITAL VENTURE
11 28-694 CHASE MANHATTAN CAPITAL
<PAGE>
<TABLE>
<C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 1 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DAIMLERCHRYSLER AG D1668R12 3,274 36,786 ORD
0 94 1,051 X 04 800 0 251
0 66 747 X X 04 747 0 0
0 36 400 X 05 400 0 0
0 89 1,000 X X 05 0 0 1,000
0 2,440 27,414 X 08 27,414 0 0
0 2,010 22,582 X X 08 9,441 124 13,017
0 21,648 243,232 X 09 232,314 2,000 8,918
0 1,933 21,716 X X 09 15,603 600 5,513
- -
0 ACE LIMITED G0070K10 127 4,500 X 04 4,100 0 400
ORD
0 21 750 X X 04 450 300 0
0 295 10,460 X X 08 7,560 0 2,900
0 5,144 182,075 X 09 129,475 0 52,600
0 834 29,536 X X 09 3,900 10,036 15,600
- -
0 CREDICORP LTD G2519Y10 275 25,000 X 09 0 0 25,000
COM
- -
0 GEMSTAR INTL GROUP LTD G3788V10 307 4,700 X X 08 0 0 4,700
ORD
0 104 1,600 X 09 1,600 0 0
- -
0 GLOBAL CROSSING LTD G3921A10 177 4,150 X 09 400 0 3,750
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 2 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 104 2,450 X X 09 0 450 2,000
- -
0 LORAL SPACE & COMMUNICATIONS G5646210 9 500 X 04 500 0 0
COM
0 2 100 X X 08 100 0 0
0 155 8,600 X 09 8,600 0 0
0 128 7,094 X X 09 4,000 100 2,994
- -
0 TERRA NOVA BERMUDA HLDGS LTD G8761510 6,760 250,948 X 03 250,948 0 0
ORD CL A
- -
0 HILFIGER TOMMY CORP G8915Z10 33 454 X X 08 454 0 0
ORD
0 154 2,100 X 09 0 0 2,100
0 37 500 X X 09 0 0 500
- -
0 TRITON ENERGY LTD G9075110 159 15,000 X 02 0 0 15,000
ORD
0 61 5,700 X 08 5,700 0 0
0 420 39,550 X 09 32,950 0 6,600
0 100 9,400 X X 09 8,000 0 1,400
- -
0 XL CAP LTD G9825510 2,211 39,135 X 02 0 0 39,135
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 3 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 529 9,366 X 04 6,712 0 2,654
0 108 1,914 X X 04 714 0 1,200
0 11 200 X 05 0 0 200
0 1,130 20,000 X X 05 20,000 0 0
0 32,069 567,586 X 09 516,824 1,532 49,230
0 5,252 92,961 X X 09 67,776 4,493 20,692
- -
0 CHECK POINT SOFTW TECH M2246510 1,687 31,463 X 09 31,463 0 0
ORD
0 1,788 33,345 X X 09 33,345 0 0
- -
0 GILAT SATELLITE NETWKS M5147410 2,961 56,400 X 09 56,400 0 0
ORD
- -
0 TVG TECHNOLOGIES LTD M9027810 21 10,000 X 04 10,000 0 0
ORD
- -
0 VOCALTEC COMMUNICATIONS LTD M9760110 1 100 X 09 0 0 100
ORD
0 250 20,000 X X 09 0 20,000 0
- -
0 ASM LITHOGRAPHY HLDG N V N0705911 1,781 30,000 X 09 30,000 0 0
N Y SHS
- -
0 BAAN CO NV N0804410 70 4,400 X 05 4,400 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 4 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 87 5,500 X X 05 0 0 5,500
0 2,137 134,590 X 09 132,590 0 2,000
0 38 2,400 X X 09 200 0 2,200
- -
0 NEW HOLLAND N V N6264810 171 10,000 X X 08 10,000 0 0
ORD
- -
0 STEINER LEISURE LTD P8744Y10 3,165 104,400 X 08 104,400 0 0
ORD
0 758 25,000 X 09 25,000 0 0
- -
0 AAR CORP 00036110 3,490 153,825 X 06 153,825 0 0
COM
0 4,866 214,460 X 08 214,460 0 0
0 1,085 47,825 X 09 47,825 0 0
- -
0 A D C TELECOMMUNICATIONS 00088610 105 2,300 X 04 2,300 0 0
COM
0 91 2,000 X X 04 2,000 0 0
0 94 2,064 X 05 0 0 2,064
0 46 1,000 X 08 1,000 0 0
0 64 1,400 X X 09 0 0 1,400
- -
0 AFLAC INC 00105510 70 1,460 X 04 1,200 0 260
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 5 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 96 2,000 X X 08 2,000 0 0
0 2,767 57,794 X 09 54,334 1,160 2,300
0 891 18,618 X X 09 18,222 0 396
- -
0 AGCO CORP 00108410 5 459 X 08 459 0 0
COM
0 143 12,666 X 09 2,800 0 9,866
- -
0 AES CORP 00130HAN 6,238 5,031,000 X 09 0 0 0
SDCV 4.500% 8/15/05
0 62 50,000 X X 09 0 0 0
- -
0 AES CORP 00130H10 29 500 X X 04 0 0 500
COM
0 1,084 18,650 X 08 18,050 0 600
0 715 12,300 X X 08 8,400 0 3,900
0 22,356 384,620 X 09 382,800 1,120 700
0 1,593 27,412 X X 09 0 27,062 350
- -
0 AK STL HLDG CORP 00154710 12,184 541,500 X 09 541,500 0 0
COM
0 36,000 1,600,000 X X 09 0 0 1,600,000
- -
0 AMB PROPERTY CORP 00163T10 24 1,000 X 08 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 6 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 893 38,000 X 09 38,000 0 0
- -
0 AMR CORP 00176510 14 200 X 04 0 0 200
COM
0 55 800 X 05 400 0 400
0 612 8,970 X 08 8,970 0 0
0 371 5,440 X X 08 5,440 0 0
0 58,759 860,940 X 09 757,620 0 103,320
0 651 9,538 X X 09 4,848 1,550 3,140
- -
0 ARM FINANCIAL GROUP 00194410 2,778 326,800 X 09 326,800 0 0
CL A
0 222 26,158 X 10 26,158 0 0
- -
0 AT&T CORP 00195710 11,631 208,400 X 01 0 0 208,400
COM
0 6,784 121,542 X 02 0 0 121,542
0 6,339 113,574 X 04 89,706 600 23,268
0 4,316 77,337 X X 04 42,607 7,957 26,773
0 957 17,142 X 05 14,264 300 2,578
0 2,302 41,245 X X 05 37,220 0 4,025
0 15,374 275,461 X 06 275,461 0 0
0 58,832 1,054,100 X 08 1,045,250 1,500 7,350
0 20,226 362,391 X X 08 315,572 31,090 15,729
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 7 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 194,853 3,491,182 X 09 3,029,963 55,960 405,259
0 86,381 1,547,693 X X 09 856,487 289,541 401,665
- -
0 AT&T CORP 00195720 1,424 38,750 X 02 0 0 38,750
COM LIB GRP A
0 16 448 X 04 448 0 0
0 1,424 38,750 X X 05 38,750 0 0
0 198 5,400 X 08 5,400 0 0
0 526 14,308 X X 08 6,908 0 7,400
0 115,881 3,153,213 X 09 2,853,403 3,112 296,698
0 11,842 322,230 X X 09 185,608 136,080 542
- -
0 ASI SOLUTIONS INC 00206F10 165 20,000 X 03 20,000 0 0
COM
- -
0 ABACUS DIRECT CORP 00255310 2,690 29,400 X 01 0 0 29,400
COM
0 4,026 44,000 X 09 44,000 0 0
- -
0 ABB AB 00256Q10 14 1,000 X 04 0 0 1,000
SPONSORED ADR
0 109 8,000 X 09 0 0 8,000
0 41 3,000 X X 09 3,000 0 0
- -
0 ABBOTT LABS 00282410 3,455 76,150 X 04 39,700 0 36,450
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 8 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,719 59,922 X X 04 19,200 2,200 38,522
0 421 9,284 X 05 8,000 0 1,284
0 18 400 X X 05 0 0 400
0 7,632 168,195 X 06 168,195 0 0
0 41,908 923,603 X 08 912,003 1,200 10,400
0 14,242 313,880 X X 08 188,478 80,982 44,420
0 137,153 3,022,663 X 09 2,789,879 43,363 189,421
0 147,782 3,256,906 X X 09 800,810 874,352 1,581,744
- -
0 ABERCROMBIE & FITCH CO 00289620 22,646 471,784 X 09 45,550 0 426,234
CL A
0 11,808 245,994 X X 09 20 10,342 235,632
- -
0 ABLE TELCOM HLDG CORP 00371230 138 19,000 X X 08 19,000 0 0
COM NEW
- -
0 ABOVENET COMMUNICATIONS INC 00374310 1,827 45,250 X 09 45,250 0 0
COM
- -
0 ACNIELSEN CORP 00483310 12 400 X X 04 0 400 0
COM
0 3 111 X 05 111 0 0
0 1 33 X 08 33 0 0
0 18,764 620,291 X 09 599,176 566 20,549
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 9 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 313 10,356 X X 09 3,830 4,629 1,897
- -
0 ACTIVISION INC NEW 00493020 2,564 176,050 X 06 176,050 0 0
COM NEW
0 3,457 237,400 X 08 237,400 0 0
0 1,123 77,100 X 09 77,100 0 0
- -
0 ACTEL CORP 00493410 3,742 253,700 X 06 253,700 0 0
COM
0 4,837 327,950 X 08 327,950 0 0
0 1,207 81,800 X 09 81,800 0 0
- -
0 ACX TECHNOLOGIES INC 00512310 489 30,100 X 09 30,100 0 0
COM
- -
0 ACXIOM CORP 00512510 668 26,800 X 01 0 0 26,800
COM
0 5 200 X X 09 0 200 0
- -
0 ADAPTEC INC 00651F10 198 5,600 X X 08 0 0 5,600
COM
0 4,654 131,800 X 09 131,800 0 0
- -
0 ADELPHIA COMMUNICATIONS CORP 00684810 1,813 28,500 X 09 28,500 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 10 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ADOBE SYS INC 00724F10 82 1,000 X X 05 0 0 1,000
COM
0 3,122 38,000 X 08 37,400 600 0
0 427 5,200 X X 08 5,000 200 0
0 1,542 18,775 X 09 13,275 500 5,000
0 1,015 12,350 X X 09 3,100 7,450 1,800
- -
0 ADVANCE PARADIGM INC 00749110 4,078 66,850 X 06 66,850 0 0
COM
0 5,460 89,500 X 08 89,500 0 0
0 2,239 36,700 X 09 36,700 0 0
- -
0 ADVANTAGE LEARNING SYSTEMS 00757K10 604 27,300 X 09 27,300 0 0
COM
- -
0 AEGON N V 00792410 641 8,667 X 04 7,331 0 1,336
ORD AMER REG
0 81 1,089 X X 04 564 0 525
0 352 4,754 X 08 4,754 0 0
0 210 2,840 X X 08 2,840 0 0
0 710 9,608 X 09 6,676 523 2,409
0 1,060 14,336 X X 09 4,479 0 9,857
- -
0 ADVANTA CORP 00794210 242 13,400 X 09 13,400 0 0
CL A
- -
0 ADVENT SOFTWARE INC 00797410 1,085 16,200 X 09 16,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 11 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AETNA INC 00811710 2,939 32,860 X 02 0 0 32,860
COM
0 47 525 X 04 465 0 60
0 197 2,200 X X 04 1,200 1,000 0
0 1,073 12,000 X X 05 12,000 0 0
0 95 1,067 X 08 1,067 0 0
0 273 3,050 X X 08 0 750 2,300
0 44,703 499,819 X 09 345,758 100 153,961
0 1,769 19,775 X X 09 14,775 2,300 2,700
- -
0 AFFILIATED COMPUTER SERVICES 00819010 10,378 205,000 X 09 205,000 0 0
CL A
- -
0 AFFILIATED MANAGERS GROUP 00825210 38,397 1,271,929 X 03 0 0 1,271,929
COM
0 960 31,800 X 09 31,800 0 0
- -
0 AFTERMARKET TECHNOLOGY CORP 00831810 975 85,716 X 03 85,716 0 0
COM
- -
0 AGRIBRANDS INTL INC 00849R10 4 101 X 05 0 0 101
COM
0 3 80 X X 08 80 0 0
0 448 11,318 X 09 11,318 0 0
0 26 662 X X 09 340 160 162
- -
0 AIR EXPRESS INTL CORP 00910410 1,279 50,400 X 04 39,700 600 10,100
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 12 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 15 600 X X 04 0 0 600
0 102 4,000 X 05 0 0 4,000
0 3,528 139,028 X 08 139,028 0 0
0 2,341 92,250 X X 08 56,700 11,800 23,750
0 3,278 129,200 X 09 129,200 0 0
0 48 1,900 X X 09 1,700 0 200
- -
0 AIR PRODS & CHEMS INC 00915810 1,289 32,030 X 04 24,680 400 6,950
COM
0 499 12,400 X X 04 11,400 0 1,000
0 64 1,600 X 05 950 500 150
0 1,264 31,399 X 08 31,399 0 0
0 16 400 X X 08 400 0 0
0 14,067 349,488 X 09 299,392 4,900 45,196
0 13,528 336,094 X X 09 82,800 124,840 128,454
- -
0 AIRGAS INC 00936310 4,165 340,000 X 09 340,000 0 0
COM
- -
0 AIRTOUCH COMMUNICATNS 00949T10 0 8,155 X 04 6,585 0 1,570
COM
0 0 11,623 X X 04 4,802 620 6,201
0 0 876 X 05 876 0 0
0 0 1,300 X X 05 400 0 900
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 13 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 0 162,010 X 08 161,760 0 250
0 0 59,824 X X 08 56,604 300 2,920
0 0 401,010 X 09 342,516 11,427 47,067
0 0 215,503 X X 09 76,883 95,848 42,772
- -
0 ALASKA AIR GROUP INC 01165910 4 105 X X 08 105 0 0
COM
0 681 16,300 X 09 16,300 0 0
- -
0 ALBANY INTL CORP 01234810 4,454 212,081 X 09 208,585 120 3,376
CL A
- -
0 ALBEMARLE CORP 01265310 451 19,500 X 09 19,500 0 0
COM
0 34 1,450 X X 09 0 0 1,450
- -
0 ALBERTSONS INC 01310410 1,098 21,299 X 04 18,842 0 2,457
COM
0 198 3,843 X X 04 3,843 0 0
0 165 3,200 X 05 3,200 0 0
0 160 3,100 X X 05 400 0 2,700
0 7,945 154,075 X 06 154,075 0 0
0 14,102 273,495 X 08 271,295 200 2,000
0 2,351 45,600 X X 08 24,600 14,400 6,600
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 14 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 21,955 425,783 X 09 403,619 1,000 21,164
0 3,016 58,500 X X 09 49,527 2,784 6,189
- -
0 ALCAN ALUM LTD 01371610 18 550 X 04 400 0 150
COM
0 64 2,000 X X 08 0 0 2,000
0 131 4,100 X 09 0 0 4,100
0 1,004 31,450 X X 09 4,950 26,500 0
- -
0 ALCOA INC 01381710 7,478 120,852 X 02 0 0 120,852
COM
0 730 11,800 X 04 7,900 400 3,500
0 167 2,700 X X 04 1,900 600 200
0 186 3,000 X X 05 2,400 0 600
0 1,723 27,850 X 06 27,850 0 0
0 6,992 113,007 X 08 112,507 0 500
0 2,638 42,628 X X 08 26,032 8,596 8,000
0 68,113 1,100,809 X 09 906,699 4,292 189,818
0 14,695 237,500 X X 09 179,066 36,126 22,308
- -
0 ALCATEL 01390430 114 4,000 X 04 0 0 4,000
SPONSORED ADR
0 12 407 X 05 0 0 407
0 73 2,563 X 08 2,563 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 15 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 231 8,150 X X 08 8,150 0 0
0 14,158 498,960 X 09 492,545 2,015 4,400
0 28 1,000 X X 09 1,000 0 0
- -
0 ALEXANDRIA REAL ESTATE EQ IN 01527110 3,844 123,000 X 06 123,000 0 0
COM
0 5,163 165,200 X 08 165,200 0 0
0 1,300 41,600 X 09 41,600 0 0
- -
0 ALIANT COMMUNICATIONS 01609010 92 2,000 X 09 0 0 2,000
COM
0 2,476 53,600 X X 09 14,600 0 39,000
- -
0 ALICO INC 01623010 488 31,500 X X 09 0 0 31,500
COM
- -
0 ALLEGHENY ENERGY INC 01736110 96 3,000 X 04 0 0 3,000
COM
0 71 2,200 X X 04 800 0 1,400
0 6 200 X 08 200 0 0
0 19 600 X X 08 600 0 0
0 894 27,880 X 09 19,180 0 8,700
0 872 27,212 X X 09 11,112 12,200 3,900
- -
0 ALLEGHENY TELEDYNE INC 01741510 272 12,037 X 08 12,037 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 16 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 142 6,256 X X 08 6,256 0 0
0 681 30,085 X 09 29,200 385 500
0 3,136 138,592 X X 09 125,592 0 13,000
- -
0 ALLERGAN INC 01849010 83 750 X 08 750 0 0
COM
0 555 5,000 X 09 1,800 0 3,200
0 668 6,017 X X 09 4,637 0 1,380
- -
0 ALLIANCE CAP MGMT L P 01854810 90 2,800 X 04 0 0 2,800
UNIT LTD PARTN
0 26 800 X 08 800 0 0
0 97 3,000 X 09 3,000 0 0
- -
0 ALLIANT CORP 01880210 27 956 X 04 956 0 0
COM
0 4 150 X X 04 150 0 0
0 37 1,295 X X 08 740 0 555
0 830 29,242 X 09 26,290 0 2,952
0 1,092 38,500 X X 09 26,267 7,217 5,016
- -
0 ALLIANT TECHSYSTEMS INC 01880410 545 6,300 X 09 6,300 0 0
COM
- -
0 ALLIED CAP CORP NEW 01903Q10 128 5,316 X 09 5,316 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 17 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 122 5,101 X X 09 5,101 0 0
- -
0 ALLIEDSIGNAL INC 01951210 5,475 86,900 X 01 0 0 86,900
COM
0 930 14,760 X 04 14,120 0 640
0 1,220 19,372 X X 04 6,416 900 12,056
0 38 600 X 05 0 0 600
0 4,839 76,804 X X 05 46,000 0 30,804
0 3,834 60,852 X 08 60,852 0 0
0 3,652 57,964 X X 08 18,718 1,910 37,336
0 108,539 1,722,835 X 09 1,519,453 8,200 195,182
0 9,024 143,233 X X 09 90,389 32,752 20,092
- -
0 ALLIED WASTE INDS INC 01958930 594 30,100 X 08 30,100 0 0
COM PAR$.01NEW
0 470 23,800 X X 08 13,800 0 10,000
0 2,792 141,365 X 09 120,865 0 20,500
0 497 25,150 X X 09 22,200 1,000 1,950
- -
0 ALLMERICA FINL CORP 01975410 286 4,700 X X 08 0 0 4,700
COM
0 414 6,802 X 09 5,502 0 1,300
- -
0 ALLSTATE CORP 02000210 756 21,073 X 04 16,575 0 4,498
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 18 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 333 9,280 X X 04 200 5,162 3,918
0 104 2,900 X 05 1,700 0 1,200
0 265 7,398 X X 05 2,400 0 4,998
0 3,680 102,579 X 08 102,579 0 0
0 1,040 28,994 X X 08 23,456 3,384 2,154
0 57,858 1,612,779 X 09 1,282,093 8,042 322,644
0 16,605 462,862 X X 09 173,415 147,966 141,481
- -
0 ALLTEL CORP 02003910 88 1,227 X 04 727 0 500
COM
0 32 450 X X 04 450 0 0
0 5,652 79,049 X 08 78,049 500 500
0 1,443 20,175 X X 08 18,175 1,000 1,000
0 1,864 26,068 X 09 16,093 0 9,975
0 2,120 29,648 X X 09 19,572 148 9,928
- -
0 ALTERA CORP 02144110 6,810 185,000 X 02 0 0 185,000
COM
0 412 11,200 X 04 11,200 0 0
0 103 2,800 X X 04 0 0 2,800
0 37 1,000 X 05 1,000 0 0
0 2,798 76,000 X X 05 76,000 0 0
0 136 3,700 X 08 3,700 0 0
0 491 13,350 X X 08 13,350 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 19 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 84,626 2,298,800 X 09 2,010,200 3,800 284,800
0 633 17,200 X X 09 2,000 1,400 13,800
- -
0 ALTERRA HEALTHCARE CORP 02146C10 3,300 240,000 X 09 240,000 0 0
COM
- -
0 ALZA CORP 022615AC 131 200,000 X X 09 0 0 0
NOTE 7/14/14
- -
0 ALZA CORP 022615AD 138 100,000 X 04 0 0 0
SDCV 5.000% 5/01/06
0 69 50,000 X X 04 0 0 0
0 3,154 2,290,000 X 09 0 0 0
0 4,032 2,927,000 X X 09 0 0 0
- -
0 ALZA CORP 02261510 336 6,600 X 04 6,600 0 0
COM
0 214 4,200 X X 04 3,700 500 0
0 4,915 96,603 X 08 96,603 0 0
0 7,399 145,442 X X 08 113,660 27,282 4,500
0 14,226 279,629 X 09 249,079 1,850 28,700
0 13,948 274,158 X X 09 161,758 52,600 59,800
- -
0 AMAZON COM INC 02313510 275 2,200 X 01 0 0 2,200
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 20 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 75 600 X X 08 600 0 0
0 652 5,213 X 09 5,213 0 0
0 838 6,700 X X 09 5,800 600 300
- -
0 AMBAC FINL GROUP INC 02313910 3,428 60,000 X 02 0 0 60,000
COM
0 29 500 X 08 500 0 0
0 55,240 967,000 X 09 967,000 0 0
- -
0 AMCAST INDL CORP 02339510 3,297 202,100 X 09 198,400 120 3,580
COM
0 21 1,300 X X 09 0 1,300 0
- -
0 AMERADA HESS CORP 02355110 27 450 X X 08 450 0 0
COM
0 885 14,882 X 09 12,800 0 2,082
0 648 10,884 X X 09 6,223 3,361 1,300
- -
0 AMEREN CORP 02360810 134 3,500 X 04 0 0 3,500
COM
0 83 2,157 X X 04 500 0 1,657
0 8 200 X X 05 0 0 200
0 15 400 X 08 400 0 0
0 29 750 X X 08 750 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 21 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 525 13,687 X 09 8,730 0 4,957
0 1,893 49,337 X X 09 44,306 2,410 2,621
- -
0 AMERICA ONLINE INC DEL 02364JAB 9,617 4,687,000 X 01 0 0 0
NOTE 4.000%11/15/02
- -
0 AMERICA ONLINE INC DEL 02364J10 2,200 20,000 X 04 17,100 0 2,900
COM
0 249 2,265 X X 04 400 765 1,100
0 121 1,100 X 05 0 0 1,100
0 11 100 X X 05 0 0 100
0 12,506 113,689 X 08 113,489 0 200
0 1,252 11,380 X X 08 10,800 230 350
0 86,942 790,378 X 09 768,955 5,605 15,818
0 6,497 59,065 X X 09 30,850 11,245 16,970
- -
0 AMERICA WEST HLDG CORP 02365720 713 37,800 X 09 37,800 0 0
CL B
- -
0 AMERICAN BANKERS INS GROUP I 02445610 2,034 37,360 X 09 18,410 0 18,950
COM
0 991 18,200 X X 09 8,700 3,400 6,100
- -
0 AMERICAN BANKERS INS GROUP I 02445620 405 3,700 X 09 3,700 0 0
PFD B CV$3.125
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 22 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 290 2,650 X X 09 300 0 2,350
- -
0 AMERICAN EAGLE OUTFITTERS NE 02553E10 182 4,000 X X 08 0 0 4,000
COM
0 4,095 90,000 X 09 90,000 0 0
- -
0 AMERICAN ELEC PWR INC 02553710 90 2,400 X 04 400 0 2,000
COM
0 98 2,600 X X 04 2,056 0 544
0 128 3,419 X 08 3,419 0 0
0 449 11,946 X X 08 5,800 300 5,846
0 1,025 27,287 X 09 20,920 1,660 4,707
0 1,665 44,336 X X 09 22,986 10,172 11,178
- -
0 AMERICAN EXPRESS CO 02581610 2,323 17,855 X 04 15,125 0 2,730
COM
0 1,966 15,105 X X 04 11,905 0 3,200
0 521 4,000 X 05 4,000 0 0
0 1,952 15,000 X X 05 14,000 0 1,000
0 12,368 95,050 X 06 95,050 0 0
0 62,939 483,680 X 08 480,680 0 3,000
0 10,855 83,419 X X 08 54,689 12,830 15,900
0 87,677 673,792 X 09 586,422 13,520 73,850
0 51,134 392,958 X X 09 159,166 63,145 170,647
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 23 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AMERICAN FINL GROUP INC OHIO 02593210 57 1,666 X X 08 0 1,666 0
COM
0 422 12,401 X 09 12,400 0 1
0 20,013 587,518 X X 09 0 0 587,518
- -
0 AMERICAN GENERAL CORP 02635110 15 205 X 04 100 0 105
COM
0 118 1,566 X 05 1,566 0 0
0 3,088 40,975 X 06 40,975 0 0
0 23,628 313,468 X 08 313,468 0 0
0 28,905 383,476 X X 08 254,436 34,684 94,356
0 4,208 55,823 X 09 53,529 1,694 600
0 2,534 33,617 X X 09 28,055 4,418 1,144
- -
0 AMERICAN GREETINGS CORP 02637510 88 2,924 X X 08 2,924 0 0
CL A
0 12 400 X 09 400 0 0
0 151 5,000 X X 09 5,000 0 0
- -
0 AMERICAN HEALTH PPTYS INC 02649410 317 15,740 X 09 6,700 0 9,040
COM
0 91 4,500 X X 09 4,500 0 0
- -
0 AMERICAN HOME PRODS CORP 02660910 2,986 52,050 X 04 45,650 0 6,400
COM
0 4,832 84,216 X X 04 46,556 21,560 16,100
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 24 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 750 13,067 X 05 12,567 0 500
0 2,628 45,800 X X 05 35,600 0 10,200
0 10,241 178,500 X 06 178,500 0 0
0 54,618 951,955 X 08 870,705 79,950 1,300
0 18,343 319,698 X X 08 201,402 23,396 94,900
0 134,901 2,351,215 X 09 2,101,843 98,572 150,800
0 149,628 2,607,890 X X 09 941,626 1,001,116 665,148
- -
0 AMERICAN INTL GROUP INC 02687410 4,274 36,450 X 01 0 0 36,450
COM
0 5,441 46,407 X 04 38,559 0 7,848
0 2,231 19,029 X X 04 10,864 641 7,524
0 1,198 10,218 X 05 7,768 0 2,450
0 4,990 42,560 X X 05 37,500 0 5,060
0 21,461 183,037 X 06 183,037 0 0
0 86,328 736,276 X 08 734,034 0 2,242
0 23,801 202,996 X X 08 165,582 30,474 6,940
0 235,621 2,009,558 X 09 1,827,377 31,877 150,304
0 169,495 1,445,586 X X 09 419,224 481,756 544,606
- -
0 AMERICAN ITALIAN PASTA CO 02707010 996 32,800 X 09 32,800 0 0
CL A
- -
0 AMERICAN MGMT SYS INC 02735210 74,276 2,316,550 X 09 2,312,950 0 3,600
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 25 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AMERICAN PWR CONVERSION CORP 02906610 28 1,400 X 04 1,400 0 0
COM
0 5 250 X 08 250 0 0
0 189 9,400 X X 08 9,400 0 0
0 157 7,800 X 09 0 0 7,800
0 32 1,600 X X 09 0 0 1,600
- -
0 AMERICAN STANDARD COS 02971210 389 8,100 X 01 0 0 8,100
COM
0 2 40 X 04 0 0 40
0 14 300 X 08 300 0 0
0 67 1,400 X X 08 0 0 1,400
0 38 800 X 09 0 0 800
- -
0 AMERICAN STS WTR CO 02989910 1,697 59,800 X 06 59,800 0 0
COM
0 2,364 83,300 X 08 83,300 0 0
0 558 19,650 X 09 19,650 0 0
- -
0 AMERICAN TOWER CORP 02991220 58,743 2,447,631 X 03 24,827 0 2,422,804
CL A
0 295 12,300 X X 08 12,300 0 0
0 21,324 888,500 X 09 888,500 0 0
0 91,919 3,829,969 X 11 3,829,969 0 0
- -
0 AMERICAN WTR WKS INC 03041110 25 800 X X 08 800 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 26 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,817 59,100 X X 09 25,920 31,900 1,280
- -
0 AMERICREDIT CORP 03060R10 888 55,500 X 09 55,500 0 0
COM
- -
0 AMERISOURCE HEALTH CORP 03071P10 984 38,600 X 09 38,600 0 0
CL A
- -
0 AMERUS LIFE HLDGS INC 03073210 18 672 X 08 672 0 0
COM
0 556 20,600 X 09 20,600 0 0
- -
0 AMES DEPARTMENT STORES 03078950 6,194 135,750 X 06 135,750 0 0
COM NEW
0 8,333 182,650 X 08 182,650 0 0
0 68 1,500 X X 08 0 0 1,500
0 12,570 275,500 X 09 275,500 0 0
- -
0 AMERITECH CORP NEW 03095410 18,640 253,600 X 01 0 0 253,600
COM
0 1,939 26,381 X 04 21,432 0 4,949
0 2,244 30,528 X X 04 10,288 800 19,440
0 163 2,224 X 05 2,224 0 0
0 29 400 X X 05 0 0 400
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 27 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8,302 112,950 X 06 112,950 0 0
0 26,122 355,405 X 08 352,505 1,000 1,900
0 6,239 84,878 X X 08 72,816 9,558 2,504
0 41,385 563,061 X 09 533,581 2,872 26,608
0 24,863 338,275 X X 09 181,768 72,326 84,181
- -
0 AMGEN INC 03116210 3,750 61,600 X 04 39,400 0 22,200
COM
0 430 7,070 X X 04 0 400 6,670
0 91 1,500 X 05 0 0 1,500
0 11,709 192,350 X 06 192,350 0 0
0 24,839 408,030 X 08 408,030 0 0
0 3,577 58,764 X X 08 55,644 3,120 0
0 41,551 682,570 X 09 478,295 1,400 202,875
0 3,371 55,370 X X 09 38,030 11,440 5,900
- -
0 AMSOUTH BANCORPORATION 03216510 511 22,049 X 08 22,049 0 0
COM
0 1,235 53,249 X X 08 53,249 0 0
0 317 13,687 X 09 13,687 0 0
0 215 9,260 X X 09 0 9,260 0
- -
0 AMVESCAP PLC 03235E10 8,138 175,000 X 09 175,000 0 0
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 28 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ANADARKO PETE CORP 03251110 59 1,600 X X 04 0 400 1,200
COM
0 125 3,400 X 08 3,400 0 0
0 339 9,221 X X 08 1,900 0 7,321
0 7,434 201,930 X 09 120,630 2,600 78,700
0 2,670 72,532 X X 09 24,232 15,600 32,700
- -
0 ANALOG DEVICES INC 03265410 25 500 X 04 500 0 0
COM
0 903 18,000 X X 04 18,000 0 0
0 791 15,760 X X 08 11,460 0 4,300
0 10,198 203,197 X 09 165,366 3,483 34,348
0 8,121 161,815 X X 09 141,482 6,600 13,733
- -
0 ANALYSTS INTL CORP 03268110 164 11,400 X 09 11,400 0 0
COM
- -
0 ANALYTICAL SURVEYS INC 03268330 2,160 86,850 X 06 86,850 0 0
COM NEW
0 3,127 125,700 X 08 125,700 0 0
0 734 29,500 X 09 29,500 0 0
- -
0 ANGELICA CORP 03466310 682 38,700 X 09 38,700 0 0
COM
- -
0 ANHEUSER BUSCH COS INC 03522910 482 6,800 X 04 4,000 400 2,400
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 29 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 802 11,300 X X 04 500 0 10,800
0 9 130 X 05 0 0 130
0 14 200 X X 05 0 200 0
0 5,744 80,975 X 06 80,975 0 0
0 35,047 494,051 X 08 494,051 0 0
0 12,436 175,313 X X 08 68,130 7,450 99,733
0 143,058 2,016,661 X 09 890,537 1,013,050 113,074
0 125,871 1,774,380 X X 09 156,833 1,168,209 449,338
- -
0 ANIXTER INTL INC 03529010 1,922 105,300 X 08 104,700 0 600
COM
0 911 49,900 X X 08 21,800 26,200 1,900
0 334 18,300 X 09 18,300 0 0
0 2 122 X X 09 122 0 0
- -
0 ANNTAYLOR STORES CORP 03611510 18 400 X 08 0 0 400
COM
0 513 11,400 X 09 11,400 0 0
- -
0 ANTHRACITE CAP INC 03702310 1,483 225,900 X 09 225,900 0 0
COM
- -
0 AON CORP 03738910 251 6,074 X X 08 6,074 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 30 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 440 10,678 X 09 10,678 0 0
0 350 8,473 X X 09 0 0 8,473
- -
0 APACHE CORP 03741110 98 2,500 X 04 1,000 0 1,500
COM
0 429 11,000 X X 04 0 0 11,000
0 3,970 101,800 X 08 101,800 0 0
0 897 23,000 X X 08 16,300 5,500 1,200
0 601 15,400 X 09 14,600 0 800
0 413 10,600 X X 09 2,100 3,400 5,100
- -
0 APARTMENT INVT & MGMT CO 03748R10 1,221 28,571 X 09 26,571 0 2,000
CL A
0 239 5,587 X X 09 3,096 1,400 1,091
- -
0 APOLLO GROUP INC 03760410 930 35,000 X 09 35,000 0 0
CL A
0 21 800 X X 09 800 0 0
- -
0 APPLE COMPUTER INC 03783310 14 312 X 08 312 0 0
COM
0 139 3,000 X X 08 0 0 3,000
0 478 10,325 X 09 2,850 0 7,475
0 516 11,150 X X 09 4,300 500 6,350
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 31 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
APPLEBEES INTL INC 03789910 166 5,505 X 04 0 0 5,505
COM
0 75 2,500 X X 08 0 0 2,500
0 753 25,000 X 09 25,000 0 0
- -
0 APPLIED GRAPHICS TECHS 03793710 1,855 146,970 X 09 146,970 0 0
COM
0 1 90 X X 09 0 0 90
- -
0 APPLIED DIGITAL ACCESS INC 03818110 50 11,032 X X 04 0 0 11,032
COM
- -
0 APPLIED INDL TECHNOLOGIES IN 03820C10 4,668 245,675 X 09 241,875 180 3,620
COM
0 63 3,300 X X 09 0 1,800 1,500
- -
0 APPLIED MICRO CIRCUITS CORP 03822W10 666 8,100 X 09 8,100 0 0
COM
- -
0 APPLIED MATLS INC 03822210 1,478 20,000 X X 05 20,000 0 0
COM
0 12,374 167,500 X 06 167,500 0 0
0 18,940 256,375 X 08 255,975 0 400
0 3,826 51,795 X X 08 37,195 14,600 0
0 36,836 498,630 X 09 302,630 2,600 193,400
0 2,648 35,850 X X 09 13,050 5,800 17,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 32 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
APPLIED PWR INC 03822510 5 170 X 05 0 0 170
CL A
0 13,648 499,675 X 09 496,030 120 3,525
0 136 4,972 X X 09 0 4,037 935
- -
0 APTARGROUP INC 03833610 216 7,200 X 09 7,200 0 0
COM
- -
0 ARCHER DANIELS MIDLAND CO 03948310 61 3,959 X X 04 3,959 0 0
COM
0 7 463 X X 05 0 0 463
0 140 9,038 X X 08 9,038 0 0
0 951 61,605 X 09 41,605 0 20,000
0 225 14,563 X X 09 12,913 464 1,186
- -
0 ARCHSTONE CMNTYS TR 03958110 768 35,000 X 02 0 0 35,000
SH BEN INT
0 768 35,000 X X 05 35,000 0 0
0 1,178 53,686 X 08 51,585 2,101 0
0 756 34,442 X 09 23,142 2,000 9,300
0 347 15,800 X X 09 1,900 5,000 8,900
- -
0 ARDEN RLTY GROUP INC 03979310 3,490 141,725 X 09 120,725 3,000 18,000
COM
- -
0 ARGONAUT GROUP INC 04015710 9 360 X 08 360 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 33 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 38 1,600 X X 08 0 1,600 0
0 229 9,522 X X 09 5,622 0 3,900
- -
0 ARMSTRONG WORLD INDS INC 04247610 146 2,520 X 09 2,520 0 0
COM
0 491 8,500 X X 09 4,500 0 4,000
- -
0 ARROW ELECTRS INC 04273510 2 100 X 04 0 0 100
COM
0 6 300 X 08 300 0 0
0 68 3,600 X X 08 0 0 3,600
0 1,246 65,560 X 09 56,660 0 8,900
- -
0 ARTESYN TECHNOLOGIES INC 04312710 14,194 639,700 X 09 637,700 0 2,000
COM
0 27 1,200 X X 09 0 0 1,200
- -
0 ARVIN INDS INC 04333910 390 10,300 X 09 10,300 0 0
COM
- -
0 ASHLAND INC 04420410 405 10,100 X 01 0 0 10,100
COM
0 193 4,800 X X 04 0 0 4,800
0 12 300 X 08 300 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 34 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 104 2,600 X X 08 0 0 2,600
0 172 4,281 X 09 2,331 0 1,950
0 116 2,895 X X 09 2,895 0 0
- -
0 ASIA PULP & PAPER LTD 04516V10 153 15,900 X 09 15,900 0 0
SPONSORED ADR
- -
0 ASSISTED LIVING CONCEPTS INC 04543LAD 218 400,000 X 09 0 0 0
SDCV 6.000%11/01/02
- -
0 ASSISTED LIVING CONCEPTS INC 04543LAE 436 800,000 X 09 0 0 0
SDCV 5.625% 5/01/03
- -
0 ASSOCIATED GROUP INC 04565110 378 5,800 X 09 5,800 0 0
CL A
- -
0 AT HOME CORP 04591910 11 200 X 04 200 0 0
COM SER A
0 113 2,100 X X 08 2,100 0 0
0 8,203 152,087 X 09 152,087 0 0
0 551 10,224 X X 09 9,600 624 0
- -
0 ASSOCIATES FIRST CAP CORP 04600810 9,589 217,310 X 02 0 0 217,310
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 35 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,006 45,460 X 04 39,460 1,000 5,000
0 487 11,045 X X 04 6,007 1,038 4,000
0 234 5,308 X 05 5,308 0 0
0 2,305 52,234 X X 05 52,000 0 234
0 609 13,810 X 06 13,810 0 0
0 8,635 195,698 X 08 195,298 0 400
0 5,727 129,797 X X 08 70,352 10,567 48,878
0 91,590 2,075,688 X 09 1,808,646 1,562 265,480
0 18,188 412,192 X X 09 33,548 20,046 358,598
- -
0 ASTORIA FINL CORP 04626510 165 3,765 X X 08 0 0 3,765
COM
0 6,239 142,005 X 09 142,000 0 5
0 101 2,300 X X 09 1,150 0 1,150
- -
0 ASTRAZENECA PLC 04635310 157 3,999 X 04 0 0 3,999
SPONSORED ADR
0 55 1,407 X 09 600 0 807
0 53 1,344 X X 09 1,344 0 0
- -
0 ATLANTIC RICHFIELD CO 04882510 5,014 60,000 X 01 0 0 60,000
COM
0 945 11,307 X 04 10,457 0 850
0 646 7,729 X X 04 6,112 1,200 417
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 36 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 370 4,430 X 05 3,530 200 700
0 100 1,200 X X 05 200 200 800
0 7,868 94,156 X 08 94,156 0 0
0 7,242 86,671 X X 08 68,414 10,850 7,407
0 27,945 334,413 X 09 305,142 7,350 21,921
0 37,517 448,966 X X 09 196,418 158,630 93,918
- -
0 ATLAS AIR INC 04916410 136 4,205 X X 08 4,205 0 0
COM
0 727 22,550 X 09 22,550 0 0
0 15 450 X X 09 0 450 0
- -
0 ATMEL CORP 04951310 45 1,730 X X 08 1,730 0 0
COM
0 19,701 752,280 X 09 737,930 0 14,350
0 447 17,050 X X 09 12,250 0 4,800
- -
0 ATWOOD OCEANICS INC 05009510 2,136 68,350 X 06 68,350 0 0
COM
0 2,891 92,500 X 08 92,500 0 0
0 666 21,300 X 09 21,300 0 0
- -
0 AURA SYS INC 05152610 3 13,000 X 09 13,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 37 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AURORA FOODS INC 05164B10 121 6,900 X X 08 0 0 6,900
COM
0 4,463 255,000 X 09 255,000 0 0
- -
0 AUTODESK INC 05276910 2,417 81,763 X 09 72,197 200 9,366
COM
0 1,398 47,300 X X 09 13,250 22,700 11,350
- -
0 AUTOLIV INC 05280010 35 1,150 X X 08 1,150 0 0
COM
0 147 4,866 X 09 4,366 500 0
0 211 6,976 X X 09 6,568 0 408
- -
0 AUTOMATIC DATA PROCESSING IN 05301510 1,746 39,680 X 04 24,880 0 14,800
COM
0 1,126 25,600 X X 04 20,600 1,000 4,000
0 141 3,200 X 05 1,600 0 1,600
0 2,547 57,875 X 08 57,575 300 0
0 5,099 115,885 X X 08 110,235 4,100 1,550
0 59,294 1,347,581 X 09 1,070,531 45,600 231,450
0 70,181 1,595,033 X X 09 306,980 703,614 584,439
- -
0 AUTONATION INC 05329W10 3,222 180,900 X 01 0 0 180,900
COM
0 307 17,241 X 08 17,241 0 0
0 228 12,800 X 09 10,800 2,000 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 38 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AVALONBAY CMNTYS INC 05348410 1,992 53,825 X 09 33,484 2,500 17,841
COM
0 281 7,604 X X 09 1,152 384 6,068
- -
0 AVATAR HLDGS INC 053494AD 919 1,015,000 X 09 0 0 0
NOTE 7.000% 4/01/05
- -
0 AVATAR HLDGS INC 05349410 57 3,000 X 09 0 0 3,000
COM
0 180 9,500 X X 09 9,500 0 0
- -
0 AVERY DENNISON CORP 05361110 954 15,800 X 04 13,900 0 1,900
COM
0 266 4,400 X X 04 2,500 0 1,900
0 72 1,200 X 05 1,200 0 0
0 1,938 32,100 X X 05 32,100 0 0
0 1,073 17,775 X 08 17,775 0 0
0 1,733 28,700 X X 08 18,700 1,800 8,200
0 18,477 306,030 X 09 249,180 4,040 52,810
0 16,772 277,795 X X 09 44,550 126,000 107,245
- -
0 AVISTA CORP 05379B10 2 116 X X 04 116 0 0
COM
0 39 2,384 X 08 2,384 0 0
0 16 1,000 X X 08 0 0 1,000
0 322 19,800 X 09 19,800 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 39 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 55 3,400 X X 09 1,800 400 1,200
- -
0 AVIS RENT A CAR INC 05379010 1,873 64,300 X 09 64,300 0 0
COM
0 23 800 X X 09 800 0 0
- -
0 AVNET INC 05380710 2 50 X 04 0 0 50
COM
0 7 150 X 08 150 0 0
0 22 465 X X 08 465 0 0
0 396 8,525 X 09 5,300 25 3,200
0 20 440 X X 09 0 440 0
- -
0 AVON PRODUCTS INC 05430310 4,599 82,869 X 04 72,905 0 9,964
COM
0 555 10,000 X X 04 8,600 0 1,400
0 169 3,050 X 05 0 0 3,050
0 4,367 78,690 X 08 78,690 0 0
0 3,663 66,000 X X 08 62,400 2,600 1,000
0 27,113 488,514 X 09 470,760 500 17,254
0 2,477 44,622 X X 09 25,888 1,400 17,334
- -
0 AXA SA 05453610 224 3,600 X 04 2,300 0 1,300
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 40 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 19 300 X X 05 0 0 300
0 1,097 17,600 X 08 17,600 0 0
0 7,531 120,855 X 09 97,230 8,100 15,525
0 131 2,100 X X 09 1,000 1,100 0
- -
0 BCE INC 05534B10 49 1,000 X X 04 0 0 1,000
COM
0 212 4,300 X 08 4,300 0 0
0 11,114 225,384 X 09 224,384 1,000 0
0 3,541 71,800 X X 09 21,700 41,400 8,700
- -
0 BEC ENERGY 05538M10 21 500 X 04 500 0 0
COM
0 58 1,410 X X 04 0 0 1,410
0 21 500 X X 08 0 500 0
0 29 700 X 09 500 0 200
0 124 3,004 X X 09 1,004 0 2,000
- -
0 BHC COMMUNICATIONS INC 05544810 2 18 X 05 0 0 18
CL A
0 630 4,844 X 09 4,844 0 0
- -
0 BJS WHOLESALE CLUB INC 05548J10 4,831 160,700 X 06 160,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 41 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8,640 287,400 X 08 287,400 0 0
0 454 15,100 X X 08 0 0 15,100
0 2,585 86,000 X 09 86,000 0 0
- -
0 BJ SVCS CO 05548210 909 30,870 X 04 26,570 0 4,300
COM
0 59 2,000 X 05 0 0 2,000
0 1,335 45,350 X 08 45,350 0 0
0 792 26,900 X X 08 24,200 1,200 1,500
0 13,892 471,900 X 09 464,250 2,400 5,250
0 379 12,880 X X 09 10,480 0 2,400
- -
0 BOK FINL CORP 05561Q20 232 9,200 X 09 9,200 0 0
COM NEW
- -
0 BP AMOCO P L C 05562210 1,464 13,497 X 02 0 0 13,497
SPONSORED ADR
0 2,134 19,672 X 04 17,425 0 2,247
0 2,917 26,883 X X 04 10,254 2,927 13,702
0 477 4,397 X 05 2,597 0 1,800
0 209 1,923 X X 05 1,323 0 600
0 2,537 23,379 X 06 23,379 0 0
0 38,990 359,355 X 08 355,939 264 3,152
0 18,069 166,531 X X 08 127,168 25,968 13,395
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 42 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 137,557 1,267,806 X 09 1,146,631 22,403 98,772
0 87,892 810,067 X X 09 417,934 244,113 148,020
- -
0 BRE PROPERTIES INC 05564E10 34 1,312 X 05 400 912 0
CL A
0 130 5,000 X X 05 3,800 700 500
0 42 1,600 X 08 1,600 0 0
0 28 1,070 X 09 1,070 0 0
0 817 31,420 X X 09 3,420 25,000 3,000
- -
0 BMC SOFTWARE INC 05592110 4,601 85,210 X 08 84,910 0 300
COM
0 2,960 54,808 X X 08 42,758 8,550 3,500
0 16,064 297,480 X 09 297,480 0 0
0 416 7,700 X X 09 7,700 0 0
- -
0 BAKER HUGHES INC 05722410 489 14,600 X 02 0 0 14,600
COM
0 23 700 X 04 700 0 0
0 1,881 56,137 X 08 56,137 0 0
0 1,790 53,444 X X 08 46,004 4,800 2,640
0 44,855 1,338,954 X 09 1,321,754 1,350 15,850
0 2,746 81,958 X X 09 11,750 64,608 5,600
- -
0 BAKER J INC 05723210 142 16,450 X 09 2,350 0 14,100
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 43 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 17 2,000 X X 09 0 0 2,000
- -
0 BALLY TOTAL FITNESS HLDG COR 05873K10 877 30,900 X 09 30,900 0 0
COM
- -
0 BANCO BILBAO VIZCAYA S A 05945820 25 1,710 X 04 0 0 1,710
SPONSORED ADR
0 416 28,440 X 09 28,440 0 0
- -
0 BANCO DE GALICIA Y BUENOS AI 05953820 474 23,403 X 09 23,403 0 0
SPNS ADR B NEW
- -
0 BANCO FRANCES DEL RIO DE LA 05959110 515 27,089 X 09 27,089 0 0
SPONSORED ADR
- -
0 BANCO SANTANDER CENT HISPANO 05964H10 129 12,240 X X 04 0 0 12,240
ADR
0 39 3,672 X 09 0 0 3,672
0 65 6,120 X X 09 6,120 0 0
- -
0 BANCWEST CORP NEW 05979010 223 6,000 X 09 6,000 0 0
COM
0 11 300 X X 09 300 0 0
- -
0 BANK OF AMERICA CORP 06050510 514 7,010 X 01 0 0 7,010
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 44 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 9,833 134,117 X 02 0 0 134,117
0 6,199 84,559 X 04 60,570 0 23,989
0 4,183 57,055 X X 04 31,704 5,747 19,604
0 441 6,021 X 05 5,277 0 744
0 3,822 52,131 X X 05 49,131 0 3,000
0 1,987 27,107 X 06 27,107 0 0
0 26,592 362,724 X 08 362,424 0 300
0 8,646 117,926 X X 08 75,470 19,120 23,336
0 130,235 1,776,419 X 09 1,640,249 10,632 125,538
0 36,423 496,811 X X 09 303,845 93,955 99,011
- -
0 BANK NEW YORK INC 06405710 456 12,420 X 04 12,420 0 0
COM
0 1,899 51,760 X X 04 51,760 0 0
0 4,107 111,950 X 06 111,950 0 0
0 33,955 925,503 X 08 917,153 0 8,350
0 8,924 243,236 X X 08 203,336 33,700 6,200
0 13,388 364,907 X 09 267,097 28,110 69,700
0 24,259 661,226 X X 09 131,748 386,914 142,564
- -
0 BANK ONE CORP 06423A10 237 3,979 X 04 3,798 0 181
COM
0 816 13,694 X X 04 5,554 6,050 2,090
0 840 14,106 X 05 9,246 0 4,860
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 45 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 235 3,938 X X 05 0 0 3,938
0 1,256 21,090 X 08 21,090 0 0
0 3,543 59,484 X X 08 33,679 9,821 15,984
0 136,426 2,290,445 X 09 2,006,845 9,116 274,484
0 23,253 390,386 X X 09 68,997 196,924 124,465
- -
0 BANK UTD CORP 06541210 2,023 50,350 X 06 50,350 0 0
CL A
0 784 19,500 X 08 19,500 0 0
0 1,113 27,700 X 09 27,700 0 0
- -
0 BANKBOSTON CORP 06605R10 153 3,000 X 04 0 0 3,000
COM
0 92 1,800 X X 04 400 0 1,400
0 279 5,448 X X 08 5,448 0 0
0 12,449 243,494 X 09 228,114 4,000 11,380
0 1,394 27,265 X X 09 12,780 1,200 13,285
- -
0 BANKNORTH GROUP INC DEL 06646L10 221 6,700 X X 09 0 0 6,700
COM
- -
0 BANTA CORP 06682110 7,441 354,335 X 09 332,535 140 21,660
COM
0 1,281 61,000 X X 09 8,850 0 52,150
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 46 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BARCLAYS BK PLC 06738C80 148 5,500 X 04 2,000 0 3,500
ADR UNIT SERD2
0 603 22,400 X X 04 1,100 21,300 0
0 19 700 X 09 700 0 0
- -
0 BARCLAYS BK PLC 06738C83 50 2,000 X X 08 2,000 0 0
AM DEP NT RCPT
0 75 3,000 X 09 2,000 0 1,000
0 877 34,900 X X 09 0 0 34,900
- -
0 BARD C R INC 06738310 77 1,600 X X 08 0 0 1,600
COM
0 497 10,400 X 09 10,400 0 0
- -
0 BARNES & NOBLE INC 06777410 85 3,100 X 04 2,300 0 800
COM
0 22 800 X X 04 0 0 800
0 22 800 X 05 0 0 800
0 38 1,400 X 08 1,400 0 0
0 5,699 208,190 X 09 169,965 10,700 27,525
0 3,682 134,510 X X 09 53,550 49,380 31,580
- -
0 BARRA INC 06831310 223 8,850 X 08 8,850 0 0
COM
0 111 4,400 X X 09 4,400 0 0
- -
0 BARRETT RESOURCES CORP 06848020 4 100 X 08 100 0 0
COM PAR $0.01
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 47 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,218 31,729 X 09 31,729 0 0
- -
0 BAUSCH & LOMB INC 07170710 654 8,550 X 08 8,550 0 0
COM
0 218 2,850 X X 08 2,850 0 0
0 232 3,030 X 09 3,030 0 0
0 107 1,400 X X 09 1,400 0 0
- -
0 BAXTER INTERNATIONAL 07181310 221 3,650 X 04 3,150 0 500
COM
0 309 5,100 X X 04 5,100 0 0
0 87 1,432 X 05 500 500 432
0 61 1,000 X X 05 1,000 0 0
0 4,725 77,935 X 08 77,935 0 0
0 2,585 42,644 X X 08 27,794 9,350 5,500
0 9,863 162,695 X 09 131,456 2,100 29,139
0 4,193 69,157 X X 09 23,066 27,169 18,922
- -
0 BAY VIEW CAP CORP DEL 07262L10 599 29,200 X 09 29,200 0 0
COM
- -
0 BEAR STEARNS COS INC 07390210 114 2,438 X 04 2,438 0 0
COM
0 10,986 235,000 X 09 235,000 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 48 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6 136 X X 09 136 0 0
- -
0 BEAUTICONTROL COSMETICS INC 07465510 414 89,436 X X 08 0 89,436 0
COM
- -
0 BEBE STORES INC 07557110 357 10,500 X 09 10,500 0 0
COM
- -
0 BECKMAN COULTER INC 07581110 3,825 78,669 X 09 71,369 0 7,300
COM
0 527 10,845 X X 09 7,732 0 3,113
- -
0 BECTON DICKINSON & CO 07588710 215 7,180 X 04 6,900 0 280
COM
0 42 1,400 X X 04 1,400 0 0
0 7 220 X 08 220 0 0
0 4 120 X X 08 120 0 0
0 1,215 40,490 X 09 38,890 0 1,600
0 1,379 45,964 X X 09 28,952 11,300 5,712
- -
0 BED BATH & BEYOND INC 07589610 23 600 X 04 0 0 600
COM
0 639 16,600 X 05 12,800 0 3,800
0 6,162 160,050 X 06 160,050 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 49 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,624 301,925 X 08 301,225 0 700
0 780 20,250 X X 08 19,950 200 100
0 6,151 159,758 X 09 152,258 600 6,900
0 537 13,950 X X 09 4,900 5,850 3,200
- -
0 BEDFORD PPTY INVS INC 07644630 930 52,000 X 09 52,000 0 0
COM PAR $0.02
- -
0 BELL & HOWELL CO 07785210 11,677 308,800 X 09 308,800 0 0
COM
- -
0 BELL ATLANTIC CORP 07785310 3,837 58,697 X 04 50,527 100 8,070
COM
0 3,916 59,896 X X 04 26,832 11,604 21,460
0 64 974 X 05 974 0 0
0 1,850 28,300 X 06 28,300 0 0
0 20,484 313,334 X 08 311,902 0 1,432
0 7,566 115,727 X X 08 97,411 13,332 4,984
0 112,494 1,720,744 X 09 1,616,542 27,801 76,401
0 70,551 1,079,174 X X 09 419,625 397,060 262,489
- -
0 BELLSOUTH CORP 07986010 7,382 160,037 X 04 119,721 500 39,816
COM
0 5,905 128,026 X X 04 55,900 21,052 51,074
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 50 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,402 30,390 X 05 23,540 0 6,850
0 1,482 32,132 X X 05 32,132 0 0
0 3,767 81,660 X 06 81,660 0 0
0 30,962 671,266 X 08 665,266 1,000 5,000
0 14,429 312,819 X X 08 218,301 15,398 79,120
0 143,448 3,109,992 X 09 2,834,552 37,540 237,900
0 80,415 1,743,414 X X 09 673,951 692,738 376,725
- -
0 BELO A H CORP DEL 08055510 134 6,824 X 08 5,824 0 1,000
COM SER A
0 1,748 88,800 X X 08 68,000 20,800 0
0 219 11,100 X 09 11,100 0 0
0 5,191 263,666 X X 09 203,622 0 60,044
- -
0 BEMIS INC 08143710 16 400 X 04 0 0 400
COM
0 346 8,700 X X 04 8,000 0 700
0 12 300 X 09 300 0 0
0 95 2,400 X X 09 0 600 1,800
- -
0 BENCHMARK ELECTRS INC 08160H10 3,892 108,300 X 08 108,300 0 0
COM
0 1,094 30,450 X 09 30,450 0 0
- -
0 BERKSHIRE HATHAWAY INC DEL 08467010 10 1 X X 04 1 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 51 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,040 104 X X 08 70 0 34
0 770 77 X 09 74 0 3
0 390 39 X X 09 23 13 3
- -
0 BERKSHIRE HATHAWAY INC DEL 08467020 374 167 X 04 62 0 105
CL B
0 643 287 X X 04 225 15 47
0 4,845 2,163 X 08 2,163 0 0
0 2,242 1,001 X X 08 723 254 24
0 25,254 11,274 X 09 10,124 86 1,064
0 19,620 8,759 X X 09 3,473 3,773 1,513
- -
0 BEST BUY INC 08651610 149 2,200 X 04 1,700 0 500
COM
0 14 200 X X 04 200 0 0
0 10,295 152,525 X 06 152,525 0 0
0 24,962 369,805 X 08 369,805 0 0
0 2,911 43,130 X X 08 35,930 7,200 0
0 9,681 143,415 X 09 139,115 400 3,900
0 405 6,000 X X 09 3,200 2,700 100
- -
0 BEST SOFTWARE INC 08657910 353 21,900 X 09 21,900 0 0
COM
- -
0 BESTFOODS 08658U10 313 6,315 X 01 0 0 6,315
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 52 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,475 70,195 X 02 0 0 70,195
0 80 1,620 X 04 1,620 0 0
0 671 13,550 X X 04 2,750 4,800 6,000
0 125 2,534 X 05 2,534 0 0
0 2,475 50,000 X X 05 50,000 0 0
0 1,639 33,108 X 08 33,108 0 0
0 1,749 35,340 X X 08 22,940 5,200 7,200
0 37,923 766,115 X 09 707,124 5,200 53,791
0 28,701 579,816 X X 09 246,156 193,096 140,564
- -
0 BIG FLOWER HLDGS INC 08915910 1,367 42,900 X 09 42,900 0 0
COM
- -
0 BINDLEY WESTN INDS INC 09032410 41 1,792 X 04 1,792 0 0
COM
0 1,691 73,331 X 09 72,265 0 1,066
0 68 2,951 X X 09 2,241 0 710
- -
0 BINDVIEW DEV CORP 09032710 458 19,300 X 09 19,300 0 0
COM
- -
0 BIOGEN INC 09059710 6,377 99,150 X 06 99,150 0 0
COM
0 7,968 123,900 X 08 123,900 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 53 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 45 700 X X 08 700 0 0
0 30,041 467,100 X 09 313,300 2,000 151,800
0 772 12,000 X X 09 0 12,000 0
- -
0 BIOMET INC 09061310 239 6,000 X 04 6,000 0 0
COM
0 242 6,100 X X 04 4,100 0 2,000
0 2,628 66,115 X 09 62,515 0 3,600
0 759 19,100 X X 09 0 12,200 6,900
- -
0 BLACK & DECKER CORP 09179710 215 3,400 X 04 2,400 0 1,000
COM
0 82 1,300 X X 04 800 500 0
0 63 1,000 X X 05 400 0 600
0 6 100 X 08 100 0 0
0 4,712 74,640 X 09 68,285 0 6,355
0 715 11,325 X X 09 7,225 0 4,100
- -
0 BLACK BOX CORP 09182610 4,153 82,850 X 06 82,850 0 0
COM
0 5,526 110,235 X 08 110,235 0 0
0 1,386 27,650 X 09 27,650 0 0
- -
0 BLACKROCK 2001 TERM TR INC 09247710 135 15,000 X 08 15,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 54 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BLOCK DRUG INC 09364410 1 24 X 08 24 0 0
CL A
0 258 6,200 X 09 6,200 0 0
- -
0 BLOCK H & R INC 09367110 58 1,150 X 05 400 0 750
COM
0 2,926 58,514 X 08 58,114 0 400
0 989 19,786 X X 08 6,900 11,186 1,700
0 285 5,700 X 09 5,700 0 0
0 700 14,000 X X 09 0 1,000 13,000
- -
0 BOEING CO 09702310 480 10,900 X 04 8,700 0 2,200
COM
0 370 8,400 X X 04 8,400 0 0
0 13 300 X 05 0 300 0
0 541 12,300 X X 05 11,100 0 1,200
0 3,402 77,309 X 08 77,309 0 0
0 2,428 55,193 X X 08 46,233 3,560 5,400
0 16,048 364,719 X 09 268,178 13,900 82,641
0 9,696 220,372 X X 09 114,323 10,136 95,913
- -
0 BOISE CASCADE CORP 09738310 135 3,150 X 05 3,150 0 0
COM
0 34 800 X X 05 0 0 800
0 32,279 752,865 X 09 749,365 0 3,500
0 467 10,901 X X 09 6,801 0 4,100
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 55 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BOOKS-A-MILLION INC 09857010 79 10,500 X X 09 10,500 0 0
COM
- -
0 BORG-WARNER AUTOMOTIVE 09972410 248 4,500 X 09 4,500 0 0
COM
0 78 1,426 X X 09 400 0 1,026
- -
0 BOSTON PROPERTIES INC 10112110 1,471 41,000 X 09 34,000 2,500 4,500
COM
- -
0 BOSTON SCIENTIFIC CORP 10113710 26 600 X 08 600 0 0
COM
0 330 7,500 X X 08 4,000 0 3,500
- -
0 BOTTOMLINE TECH DEL INC 10138810 3 50 X 04 50 0 0
COM
0 254 4,800 X 09 4,800 0 0
0 11 200 X X 09 200 0 0
- -
0 BOWNE & CO INC 10304310 16 1,200 X 05 0 1,200 0
COM
0 12 900 X X 05 0 0 900
0 2,520 188,400 X 09 188,400 0 0
- -
0 BRADLEY REAL ESTATE INC 10458010 6 300 X 05 300 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 56 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 507 24,450 X 09 7,850 0 16,600
0 224 10,772 X X 09 1,250 1,372 8,150
- -
0 BRANDYWINE RLTY TR 10536820 852 43,000 X 02 0 0 43,000
SH BEN INT NEW
0 55 2,800 X 04 2,800 0 0
0 20 1,000 X X 04 1,000 0 0
0 852 43,000 X X 05 43,000 0 0
0 3,420 172,600 X 09 166,600 0 6,000
0 432 21,800 X X 09 17,300 0 4,500
- -
0 BRIGGS & STRATTON CORP 10904310 263 4,550 X 08 4,550 0 0
COM
0 225 3,900 X X 08 3,900 0 0
0 306 5,300 X 09 5,300 0 0
- -
0 BRINKER INTL INC 10964110 129 4,700 X 08 4,700 0 0
COM
0 1,430 52,000 X 09 52,000 0 0
- -
0 BRISTOL MYERS SQUIBB CO 11012210 76,865 1,091,240 X 01 0 0 1,091,240
COM
0 6,276 89,094 X 04 63,154 600 25,340
0 6,561 93,150 X X 04 44,014 20,736 28,400
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 57 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,458 20,700 X 05 13,000 600 7,100
0 2,660 37,760 X X 05 32,200 600 4,960
0 15,097 214,330 X 06 214,330 0 0
0 89,252 1,267,095 X 08 1,264,695 600 1,800
0 30,131 427,769 X X 08 354,423 41,164 32,182
0 243,164 3,452,167 X 09 2,972,986 80,460 398,721
0 204,389 2,901,681 X X 09 1,228,258 1,275,754 397,669
- -
0 BRITISH TELECOMMUNICATIONS P 11102140 257 1,500 X X 04 0 0 1,500
ADR FINAL INST
0 171 1,000 X 08 1,000 0 0
0 86 500 X 09 0 0 500
0 120 700 X X 09 700 0 0
- -
0 BROADCAST COM INC 11131010 11,313 84,700 X 01 0 0 84,700
COM
- -
0 BROADCOM CORP 11132010 29 200 X X 08 0 0 200
CL A
0 289 2,000 X 09 2,000 0 0
0 159 1,100 X X 09 1,100 0 0
- -
0 BROWN & BROWN INC 11523610 11,601 305,300 X 09 303,050 0 2,250
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 58 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 46 1,200 X X 09 0 0 1,200
- -
0 BROWN FORMAN CORP 11563720 450 6,900 X X 08 6,900 0 0
CL B
0 391 6,000 X 09 6,000 0 0
0 261 4,000 X X 09 0 4,000 0
- -
0 BROWN TOM INC 11566020 342 22,000 X X 08 22,000 0 0
COM NEW
- -
0 BROWNING FERRIS INDS 11588510 11 250 X X 04 250 0 0
COM
0 13 300 X 08 300 0 0
0 189 4,400 X X 08 1,200 0 3,200
0 667 15,500 X 09 14,800 400 300
0 573 13,322 X X 09 6,822 1,900 4,600
- -
0 BUCA INC 11776910 206 12,500 X 09 12,500 0 0
COM
- -
0 BUCKEYE PARTNERS L P 11823010 292 10,600 X 09 1,400 1,200 8,000
UNIT LTD PARTN
0 17 600 X X 09 400 0 200
- -
0 BUCKEYE TECHNOLOGIES INC 11825510 476 31,350 X 09 15,850 0 15,500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 59 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BUDGET GROUP INC 11900310 3,223 261,748 X 03 261,748 0 0
CL A
0 140 11,350 X 09 11,350 0 0
0 1,002 81,375 X 10 81,375 0 0
- -
0 BURLINGTON NORTHN SANTA FE C 12189T10 211 6,805 X 04 6,805 0 0
COM
0 17 549 X X 04 249 0 300
0 84 2,700 X 05 2,100 0 600
0 1,972 63,600 X X 05 61,800 0 1,800
0 544 17,549 X 08 17,549 0 0
0 647 20,867 X X 08 16,400 3,267 1,200
0 10,421 336,173 X 09 282,482 2,050 51,641
0 9,601 309,721 X X 09 108,132 134,659 66,930
- -
0 BURLINGTON RES INC 12201410 475 10,981 X 02 0 0 10,981
COM
0 143 3,311 X 04 3,311 0 0
0 1,099 25,400 X X 04 25,400 0 0
0 4 100 X 05 0 0 100
0 15 350 X X 05 0 0 350
0 368 8,504 X 08 8,004 0 500
0 827 19,124 X X 08 17,854 264 1,006
0 32,585 753,415 X 09 747,489 0 5,926
0 1,914 44,244 X X 09 20,499 10,011 13,734
- -
0 CCB FINL CORP 12487510 317 6,000 X 09 6,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 60 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CBS CORP 12490K10 8,753 200,930 X 02 0 0 200,930
COM
0 209 4,800 X 04 4,800 0 0
0 300 6,894 X X 04 2,953 0 3,941
0 15 350 X 05 0 0 350
0 3,659 84,000 X X 05 84,000 0 0
0 87 2,000 X 08 2,000 0 0
0 161 3,700 X X 08 3,700 0 0
0 88,125 2,022,922 X 09 1,774,832 300 247,790
0 7,286 167,261 X X 09 29,250 128,158 9,853
- -
0 C D I CORP 12507110 555 16,300 X 09 16,300 0 0
COM
0 27 800 X X 09 0 800 0
- -
0 CD RADIO INC 12512710 15 500 X X 08 0 500 0
COM
0 640 21,000 X 09 21,000 0 0
0 18 600 X X 09 0 600 0
- -
0 CDW COMPUTER CTRS INC 12512910 282 6,400 X 09 6,400 0 0
COM
- -
0 CEC ENTERTAINMENT INC 12513710 237 5,600 X 09 5,600 0 0
COM
- -
0 C H ROBINSON WORLDWIDE 12541W10 7,725 210,200 X 09 210,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 61 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CIGNA CORP 12550910 3,548 39,860 X 02 0 0 39,860
COM
0 141 1,582 X 04 1,507 0 75
0 37 414 X X 04 0 0 414
0 1,068 12,000 X X 05 12,000 0 0
0 2,576 28,943 X 08 28,943 0 0
0 4,830 54,272 X X 08 3,172 39,000 12,100
0 39,186 440,292 X 09 354,662 6,555 79,075
0 9,195 103,316 X X 09 87,796 1,390 14,130
- -
0 CLECO CORP 12561M10 91 3,000 X 04 0 0 3,000
COM
0 12 410 X X 04 410 0 0
0 201 6,624 X X 08 624 0 6,000
0 340 11,194 X X 09 3,640 2,554 5,000
- -
0 CMGI INC 12575010 57 500 X 04 500 0 0
COM
0 125 1,100 X X 04 0 300 800
0 228 2,000 X 09 2,000 0 0
0 137 1,200 X X 09 1,200 0 0
- -
0 CMP GROUP INC 12588710 372 14,200 X 09 14,200 0 0
COM
0 13 500 X X 09 500 0 0
- -
0 CMS ENERGY CORP 12589610 603 14,400 X 04 11,500 0 2,900
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 62 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 838 20,000 X X 05 20,000 0 0
0 64,652 1,543,930 X 09 1,542,430 0 1,500
0 54 1,285 X X 09 0 10 1,275
- -
0 CPI CORP 12590210 1,040 31,500 X 09 24,500 0 7,000
COM
- -
0 CSS INDS INC 12590610 9,336 331,950 X 09 329,000 130 2,820
COM
0 79 2,800 X X 09 0 2,000 800
- -
0 CPI AEROSTRUCTURES INC 12591910 0 100,000 X 10 100,000 0 0
COM
- -
0 CNET INC 12594510 452 7,850 X 09 7,850 0 0
COM
0 899 15,600 X X 09 15,600 0 0
- -
0 CNA FINL CORP 12611710 121 3,000 X X 04 3,000 0 0
COM
0 121 3,000 X X 09 0 3,000 0
- -
0 CNF TRANSN INC 12612W10 85 2,200 X X 08 0 0 2,200
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 63 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,391 166,000 X 09 166,000 0 0
- -
0 CSG SYS INTL INC 12634910 31 1,200 X X 08 0 0 1,200
COM
0 5,175 197,600 X 09 197,600 0 0
- -
0 CSX CORP 12640810 77 1,700 X 04 1,700 0 0
COM
0 77 1,700 X X 04 300 0 1,400
0 70 1,550 X X 05 1,000 0 550
0 683 15,050 X 08 15,050 0 0
0 1,131 24,924 X X 08 17,524 0 7,400
0 6,589 145,215 X 09 123,201 4,190 17,824
0 3,946 86,967 X X 09 50,487 14,900 21,580
- -
0 CTS CORP 12650110 3,966 56,650 X 06 56,650 0 0
COM
0 5,471 78,150 X 08 78,150 0 0
0 1,586 22,650 X 09 22,650 0 0
- -
0 CVS CORP 12665010 540 10,650 X 04 8,650 0 2,000
COM
0 91 1,800 X X 04 600 0 1,200
0 147 2,900 X 05 1,400 0 1,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 64 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,040 40,200 X X 05 40,000 0 200
0 529 10,420 X 08 10,420 0 0
0 552 10,880 X X 08 10,880 0 0
0 25,109 494,750 X 09 343,125 16,300 135,325
0 3,203 63,105 X X 09 15,980 12,100 35,025
- -
0 CABLE & WIRELESS COMMUNICATI 12682P10 1,188 24,500 X 01 0 0 24,500
SPONSORED ADR
- -
0 CABLEVISION SYS CORP 12686C10 6,598 94,250 X 09 88,900 350 5,000
CL A
- -
0 CABLE DESIGN TECHNOLOGIES CO 12692410 529 34,240 X 03 34,240 0 0
COM
- -
0 CABOT CORP 12705510 10 400 X 04 0 0 400
COM
0 7 300 X 08 300 0 0
0 25 1,040 X X 08 0 0 1,040
0 600 24,800 X 09 14,400 0 10,400
0 544 22,500 X X 09 8,000 7,500 7,000
- -
0 CABOT INDUSTRIAL TRUST 12707210 1,148 54,000 X 09 54,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 65 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CAL DIVE INTL INC 12791410 598 20,000 X 09 20,000 0 0
COM
- -
0 CALGON CARBON CORP 12960310 77 13,000 X 09 13,000 0 0
COM
- -
0 CALPINE CORP 13134710 675 12,500 X 09 12,500 0 0
COM
- -
0 CAMBREX CORP 13201110 10,070 383,635 X 09 383,635 0 0
COM
0 131 5,000 X X 09 0 5,000 0
- -
0 CAMBRIDGE TECH PARTNER 13252410 910 51,800 X 09 51,800 0 0
COM
- -
0 CAMDEN PPTY TR 13313110 111 4,000 X 09 0 0 4,000
SH BEN INT
0 242 8,733 X X 09 3,036 759 4,938
- -
0 CAMDEN PPTY TR 13313120 1,597 63,700 X 09 59,700 0 4,000
PFD A CV $2.25
- -
0 CAMPBELL SOUP CO 13442910 73 1,575 X 01 0 0 1,575
COM
0 97 2,100 X 04 2,100 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 66 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,699 58,200 X 08 57,900 0 300
0 3,050 65,772 X X 08 49,022 5,150 11,600
0 2,347 50,600 X 09 42,000 4,800 3,800
0 1,323 28,536 X X 09 15,236 8,200 5,100
- -
0 CANADIAN PAC LTD NEW 13592310 793 33,300 X 02 0 0 33,300
COM
0 31 1,300 X 04 950 0 350
0 83 3,500 X 05 3,500 0 0
0 14 600 X 08 600 0 0
0 341 14,325 X 09 10,325 0 4,000
0 547 22,959 X X 09 14,100 2,709 6,150
- -
0 CANANDAIGUA BRANDS INC 13721920 18 337 X 08 337 0 0
CL A
0 341 6,500 X 09 6,500 0 0
0 72 1,375 X X 09 675 0 700
- -
0 CAPITAL ONE FINANCIAL 14040H10 6,909 124,062 X 09 122,862 1,200 0
COM
- -
0 CAPITAL RE CORP 14043210 307 19,100 X 09 19,100 0 0
COM
- -
0 CAPROCK COMMUNICATIONS CORP 14066710 405 10,000 X X 08 10,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 67 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CARAUSTAR INDS INC 14090910 370 15,000 X 09 15,000 0 0
COM
- -
0 CARDIMA INC 14147M10 1,026 505,069 X 07 505,069 0 0
COM
- -
0 CARDINAL HEALTH INC 14149Y10 3 49 X 04 49 0 0
COM
0 73 1,144 X X 04 1,144 0 0
0 32 500 X 08 500 0 0
0 97 1,510 X X 08 1,510 0 0
0 1,104 17,221 X 09 10,330 775 6,116
0 643 10,024 X X 09 4,799 2,266 2,959
- -
0 CAREINSITE INC 14170M10 699 14,800 X 09 14,800 0 0
COM
- -
0 CARLISLE COS INC 14233910 16,873 350,600 X 09 346,300 0 4,300
COM
0 375 7,800 X X 09 7,000 800 0
- -
0 CARNIVAL CORP 14365810 3,967 81,800 X 02 0 0 81,800
COM
0 3,708 76,450 X 04 59,600 0 16,850
0 2,131 43,928 X X 04 11,488 5,400 27,040
0 2,522 52,000 X X 05 52,000 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 68 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,104 63,990 X 08 63,990 0 0
0 858 17,700 X X 08 13,700 500 3,500
0 37,744 778,235 X 09 686,045 21,340 70,850
0 14,851 306,200 X X 09 80,450 92,900 132,850
- -
0 CARRIAGE SVCS INC 14390510 654 35,000 X 09 35,000 0 0
CL A
- -
0 CAROLINA PWR & LT CO 14414110 270 6,300 X 04 3,300 0 3,000
COM
0 295 6,886 X X 04 6,886 0 0
0 43 1,000 X 08 1,000 0 0
0 411 9,594 X X 08 2,700 294 6,600
0 1,861 43,476 X 09 39,196 4,248 32
0 2,076 48,480 X X 09 26,080 14,700 7,700
- -
0 CARPENTER TECHNOLOGY CORP 14428510 86 3,000 X 09 3,000 0 0
COM
0 149 5,200 X X 09 3,000 2,200 0
- -
0 CARRAMERICA RLTY CORP 14441810 2,150 86,000 X 09 81,000 0 5,000
COM
0 103 4,100 X X 09 3,600 500 0
- -
0 CARRIER ACCESS CORP 14446010 508 11,600 X 09 11,600 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 69 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CARTER-WALLACE INC 14628510 7,826 430,300 X 09 426,300 0 4,000
COM
0 4 200 X X 09 0 0 200
- -
0 CASE CORP 14743R10 1,203 25,000 X 01 0 0 25,000
COM
0 3 55 X 04 55 0 0
0 29 600 X X 05 0 0 600
0 3,238 67,291 X 09 51,800 200 15,291
0 1,125 23,383 X X 09 16,100 0 7,283
- -
0 CASH AMER INTL INC 14754D10 8,821 685,150 X 09 674,750 270 10,130
COM
0 27 2,100 X X 09 0 0 2,100
- -
0 CATALINA MARKETING CP 14886710 20,240 220,000 X X 04 0 0 220,000
COM
- -
0 CATELLUS DEV CORP 14911110 965 63,250 X 09 63,000 0 250
COM
0 13 825 X X 09 125 573 127
- -
0 CATERPILLAR INC DEL 14912310 281 4,688 X 04 3,888 0 800
COM
0 378 6,300 X X 04 3,900 500 1,900
0 132 2,200 X 05 2,200 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 70 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 684 11,400 X X 05 0 0 11,400
0 1,122 18,700 X 08 18,700 0 0
0 1,227 20,444 X X 08 18,644 1,000 800
0 13,265 221,077 X 09 159,495 600 60,982
0 6,034 100,566 X X 09 44,094 7,728 48,744
- -
0 CATO CORP NEW 14920510 3,488 300,000 X 09 300,000 0 0
CL A
- -
0 CEDAR FAIR L P 15018510 227 9,100 X 09 4,000 0 5,100
DEPOSITRY UNIT
0 195 7,800 X X 09 0 0 7,800
- -
0 CELLSTAR CORP 15092510 272 34,600 X 09 34,600 0 0
COM
- -
0 CENDANT CORP 15131310 10 500 X 04 0 0 500
COM
0 285 13,900 X X 08 0 0 13,900
0 19,058 929,650 X 09 929,650 0 0
0 487 23,750 X X 09 12,700 6,050 5,000
- -
0 CENTERPOINT PPTYS TR 15189510 289 7,900 X 09 1,900 0 6,000
SH BEN INT
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 71 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 220 6,000 X X 09 6,000 0 0
- -
0 CENTERTRUST RETAIL PPTYS INC 152038AA 202 215,000 X 09 0 0 0
SDCV 7.500% 1/15/01
0 24 25,000 X X 09 0 0 0
- -
0 CENTERTRUST RETAIL PPTYS INC 15203810 400 34,000 X 09 34,000 0 0
COM
- -
0 CENTEX CONSTRUCTION PRODUCTS 15231R10 297 8,700 X 09 8,700 0 0
COM
- -
0 CENTEX CORP 15231210 146 3,900 X X 08 3,900 0 0
COM
0 500 13,300 X 09 12,700 0 600
- -
0 CENTOCOR INC 15234210 228 4,900 X X 08 0 0 4,900
COM
0 583 12,500 X 09 12,500 0 0
- -
0 CENTRAL & SOUTH WEST CORP 15235710 136 5,800 X 04 5,800 0 0
COM
0 149 6,371 X X 04 3,868 1,352 1,151
0 72 3,100 X X 05 600 600 1,900
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 72 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 210 9,001 X 08 9,001 0 0
0 489 20,900 X X 08 16,300 600 4,000
0 1,503 64,316 X 09 53,313 6,600 4,403
0 2,205 94,336 X X 09 48,680 32,256 13,400
- -
0 CENTRAL HUDSON GAS & ELEC CO 15360910 42 1,000 X 04 1,000 0 0
COM
0 199 4,742 X 09 3,547 0 1,195
- -
0 CENTURA BANKS INC 15640T10 2,819 50,000 X 09 50,000 0 0
COM
- -
0 CENTURY CASINOS INC 15649210 10 10,000 X X 09 10,000 0 0
COM
- -
0 CENTURY COMMUNICATIONS CORP 15650310 1,288 28,000 X 01 0 0 28,000
CL A
0 7,909 171,939 X 09 171,939 0 0
- -
0 CENTURYTEL INC 15670010 143 3,585 X X 04 0 0 3,585
COM
0 2,812 70,732 X 08 70,732 0 0
0 907 22,807 X X 08 22,432 375 0
0 4,626 116,380 X 09 110,035 550 5,795
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 73 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 381 9,595 X X 09 5,350 3,795 450
- -
0 CERIDIAN CORP 15677T10 445 13,600 X 04 4,000 0 9,600
COM
0 183 5,600 X 05 5,600 0 0
0 216 6,600 X X 05 0 0 6,600
0 2,442 74,700 X 08 74,700 0 0
0 962 29,440 X X 08 15,440 7,000 7,000
0 5,076 155,284 X 09 112,800 3,000 39,484
0 1,464 44,800 X X 09 31,500 500 12,800
- -
0 CHAMPION ENTERPRISES INC 15849610 250 13,400 X 09 13,400 0 0
COM
- -
0 CHAMPION INTL CORP 15852510 14 295 X X 04 295 0 0
COM
0 56 1,174 X 08 1,174 0 0
0 297 6,200 X X 08 2,400 0 3,800
0 9,839 205,505 X 09 2,155 0 203,350
0 127 2,650 X X 09 0 2,250 400
- -
0 CHANCELLOR MEDIA CORP 15891510 66 1,200 X 08 1,200 0 0
COM
0 232 4,200 X X 08 0 0 4,200
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 74 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,929 35,000 X 09 35,000 0 0
0 26 464 X X 09 0 0 464
- -
0 CHARTER ONE FINL INC 16090310 46 1,668 X 08 1,668 0 0
COM
0 89 3,200 X X 08 0 0 3,200
0 263 9,462 X 09 9,462 0 0
0 45 1,601 X X 09 1,001 0 600
- -
0 CHASE INDS INC 16156810 190 22,500 X X 09 22,500 0 0
COM
- -
0 CHASE MANHATTAN CORP NEW 16161A10 382 4,413 X 04 2,591 0 1,822
COM
0 1,309 15,134 X X 04 13,882 0 1,252
0 280 3,240 X 05 2,200 0 1,040
0 52 600 X X 05 0 0 600
0 2,690 31,094 X 08 30,694 0 400
0 8,974 103,750 X X 08 48,856 9,320 45,574
0 37,609 434,790 X 09 340,019 10,808 83,963
0 43,175 499,131 X X 09 66,429 230,900 201,802
- -
0 CHATEAU CMNTYS INC 16172610 2 73 X 08 73 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 75 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2 74 X X 08 74 0 0
0 1,435 47,930 X 09 32,917 0 15,013
0 81 2,709 X X 09 0 1,042 1,667
- -
0 CHATTEM INC 16245610 3,010 94,600 X 06 94,600 0 0
COM
0 4,187 131,600 X 08 131,600 0 0
0 1,023 32,150 X 09 32,150 0 0
- -
0 CHEAP TICKETS INC 16267210 1,862 51,000 X 09 51,000 0 0
COM
- -
0 CHESAPEAKE CORP 16515910 6,117 163,400 X 09 163,400 0 0
COM
- -
0 CHEVRON CORPORATION 16675110 1,175 12,356 X 04 11,656 0 700
COM
0 1,404 14,767 X X 04 14,167 600 0
0 2,048 21,546 X 05 3,746 0 17,800
0 2,063 21,702 X X 05 4,836 0 16,866
0 4,057 42,675 X 06 42,675 0 0
0 31,897 335,534 X 08 335,534 0 0
0 12,053 126,785 X X 08 89,545 9,760 27,480
0 100,138 1,053,383 X 09 979,240 9,726 64,417
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 76 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 152,594 1,605,187 X X 09 1,052,736 217,945 334,506
- -
0 CHICOS FAS INC 16861510 2,463 104,800 X 06 104,800 0 0
COM
0 3,372 143,500 X 08 143,500 0 0
0 785 33,400 X 09 33,400 0 0
- -
0 CHILDRENS PL RETAIL STORES I 16890510 1,430 35,300 X 09 35,300 0 0
COM
- -
0 CHINA TELECOM H K LTD 16942810 2,176 38,180 X 09 38,180 0 0
SPONSORED ADR
- -
0 CHIREX INC 17003810 154 4,800 X X 08 0 0 4,800
COM
0 228 7,100 X 09 7,100 0 0
0 145 4,500 X X 09 0 4,500 0
- -
0 CHITTENDEN CORP 17022810 2,496 79,882 X 09 75,000 0 4,882
COM
0 163 5,200 X X 09 0 0 5,200
- -
0 CHOICEPOINT INC 17038810 27 400 X 09 400 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 77 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,341 19,985 X X 09 3,612 0 16,373
- -
0 CHUBB CORP 17123210 243 3,500 X 04 2,100 0 1,400
COM
0 87 1,250 X X 04 800 0 450
0 56 800 X 08 800 0 0
0 118 1,700 X X 08 0 0 1,700
0 17,204 247,535 X 09 229,709 1,200 16,626
0 21,030 302,585 X X 09 219,067 27,444 56,074
- -
0 CHURCH & DWIGHT INC 17134010 250 5,750 X X 08 5,750 0 0
COM
0 19,292 443,500 X 09 345,000 98,500 0
0 5,496 126,350 X X 09 126,350 0 0
- -
0 CIBER INC 17163B10 1,752 91,600 X 01 0 0 91,600
COM
0 1,241 64,898 X 09 64,898 0 0
- -
0 CIENA CORP 17177910 23 750 X X 08 750 0 0
COM
0 362 12,000 X 09 12,000 0 0
0 18 600 X X 09 600 0 0
- -
0 CINCINNATI BELL INC 17187010 70 2,800 X X 08 2,800 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 78 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 307 12,325 X 09 10,725 0 1,600
0 254 10,200 X X 09 4,400 4,000 1,800
- -
0 CINAR CORP 17190530 3,306 134,950 X 06 134,950 0 0
SUB VTG SHS B
0 5,822 237,650 X 08 237,650 0 0
0 5,686 232,100 X 09 232,100 0 0
0 2 100 X X 09 0 0 100
- -
0 CINERGY CORP 17247410 8 261 X X 04 261 0 0
COM
0 11 350 X X 05 0 0 350
0 610 19,051 X 09 17,149 1,500 402
0 1,493 46,654 X X 09 31,515 2,950 12,189
- -
0 CIRCLE INTL GROUP INC 17257410 4,653 212,700 X 09 26,000 186,700 0
COM
- -
0 CIRCUIT CITY STORE-GRP 17273710 26,505 285,000 X 09 285,000 0 0
CIRCT CITY GRP
- -
0 CISCO SYS INC 17275R10 16,689 258,992 X 01 0 0 258,992
COM
0 8,706 135,100 X 04 89,850 1,000 44,250
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 79 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,532 39,300 X X 04 16,700 4,300 18,300
0 2,361 36,634 X 05 22,874 0 13,760
0 4,550 70,610 X X 05 50,000 0 20,610
0 16,616 257,864 X 06 257,864 0 0
0 80,987 1,256,823 X 08 1,246,023 1,500 9,300
0 20,703 321,287 X X 08 237,773 28,064 55,450
0 300,156 4,658,064 X 09 3,941,422 97,332 619,310
0 230,517 3,577,344 X X 09 1,699,287 714,880 1,163,177
- -
0 CINTAS CORP 17290810 47 700 X 08 700 0 0
COM
0 443 6,600 X X 08 6,600 0 0
0 10,009 148,963 X 09 143,852 44 5,067
0 947 14,091 X X 09 0 13,500 591
- -
0 CITIGROUP INC 17296710 4,446 93,606 X 01 0 0 93,606
COM
0 12,706 267,500 X 02 0 0 267,500
0 4,004 84,289 X 04 79,207 0 5,082
0 1,743 36,688 X X 04 27,160 2,256 7,272
0 964 20,299 X 05 10,599 0 9,700
0 2,565 54,000 X X 05 53,250 0 750
0 7,852 165,296 X 06 165,296 0 0
0 52,920 1,114,105 X 08 1,109,005 0 5,100
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 80 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 23,282 490,137 X X 08 331,291 40,275 118,571
0 235,723 4,962,598 X 09 4,388,591 81,661 492,346
0 67,762 1,426,575 X X 09 804,482 308,603 313,490
- -
0 CITIZENS UTILS CO DEL 17734220 82 7,346 X 08 7,346 0 0
CL B
0 126 11,308 X 09 11,308 0 0
0 79 7,145 X X 09 0 0 7,145
- -
0 CITRIX SYS INC 17737610 2,760 48,850 X 06 48,850 0 0
COM
0 3,318 58,734 X 08 58,734 0 0
0 232 4,100 X X 08 300 0 3,800
0 2,000 35,400 X 09 35,400 0 0
- -
0 CITY NATL CORP 17856610 1,778 47,500 X 06 47,500 0 0
COM
0 2,742 73,230 X 08 73,230 0 0
0 936 25,000 X 09 25,000 0 0
0 75 2,000 X X 09 2,000 0 0
- -
0 CLARIFY INC 18049210 528 12,808 X X 04 0 0 12,808
COM
- -
0 CLARUS CORP 18270710 1,919 383,889 X 07 312,501 0 71,388
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 81 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CLEAR CHANNEL COMMUNICATIONS 18450210 21 300 X 04 300 0 0
COM
0 55 800 X 08 800 0 0
0 478 6,932 X X 08 2,650 0 4,282
0 9,319 135,180 X 09 135,180 0 0
- -
0 CLOROX CO DEL 18905410 64 600 X 04 600 0 0
COM
0 225 2,111 X X 04 792 1,079 240
0 53 500 X 05 500 0 0
0 732 6,850 X 06 6,850 0 0
0 13,119 122,824 X 08 122,824 0 0
0 5,788 54,185 X X 08 45,135 6,950 2,100
0 28,637 268,105 X 09 265,375 430 2,300
0 40,542 379,563 X X 09 365,300 5,000 9,263
- -
0 CLOSURE MED CORP 18909310 2,100 70,000 X 06 70,000 0 0
COM
0 2,096 69,850 X 08 69,850 0 0
0 800 26,650 X 09 26,650 0 0
- -
0 COACH USA INC 18975L10 11,634 277,400 X 09 277,400 0 0
COM
- -
0 COACHMEN INDUSTRIES 18987310 1,225 52,700 X 09 52,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 82 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COASTAL CORP 19044110 1,153 28,640 X 04 23,640 0 5,000
COM
0 64 1,592 X X 04 1,592 0 0
0 2,093 52,000 X X 05 52,000 0 0
0 963 23,925 X 08 23,925 0 0
0 603 14,990 X X 08 14,990 0 0
0 62,983 1,564,795 X 09 1,534,895 0 29,900
0 2,612 64,890 X X 09 38,024 7,662 19,204
- -
0 COCA COLA CO 19121610 1,373 22,147 X 01 0 0 22,147
COM
0 2,662 42,932 X 04 39,550 0 3,382
0 952 15,360 X X 04 5,250 5,800 4,310
0 537 8,669 X 05 7,500 0 1,169
0 112 1,800 X X 05 1,200 0 600
0 13,867 223,665 X 06 223,665 0 0
0 78,182 1,261,006 X 08 1,256,806 0 4,200
0 61,538 992,550 X X 08 680,659 61,764 250,127
0 157,029 2,532,719 X 09 2,407,346 40,410 84,963
0 157,723 2,543,927 X X 09 1,110,018 530,017 903,892
- -
0 COCA COLA ENTERPRISES INC 19121910 3,024 101,655 X 01 0 0 101,655
COM
0 179 6,000 X 04 4,000 0 2,000
0 18 600 X X 04 600 0 0
0 4,685 157,468 X 08 156,668 0 800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 83 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,568 52,700 X X 08 44,800 7,100 800
0 2,831 95,150 X 09 72,100 0 23,050
0 676 22,730 X X 09 1,100 14,400 7,230
- -
0 COGNEX CORP 19242210 3,945 125,000 X 09 125,000 0 0
COM
- -
0 COLD METAL PRODS INC 19286110 31 11,500 X 09 11,500 0 0
COM
- -
0 COLGATE PALMOLIVE CO 19416210 1,818 18,456 X 04 13,956 0 4,500
COM
0 1,846 18,746 X X 04 6,616 150 11,980
0 138 1,400 X 05 800 0 600
0 1,773 18,000 X X 05 18,000 0 0
0 2,159 21,915 X 06 21,915 0 0
0 11,919 121,006 X 08 120,506 0 500
0 6,403 65,000 X X 08 58,650 2,750 3,600
0 42,266 429,101 X 09 381,243 7,150 40,708
0 33,678 341,906 X X 09 59,542 116,492 165,872
- -
0 COLONIAL PPTYS TR 19587210 28 1,000 X 04 1,000 0 0
COM SH BEN INT
0 57 2,000 X X 05 0 0 2,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 84 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 28 1,000 X X 08 1,000 0 0
0 1,398 49,500 X 09 17,500 3,000 29,000
0 549 19,450 X X 09 9,850 3,000 6,600
- -
0 COLUMBIA ENERGY GROUP 19764810 40 636 X 08 636 0 0
COM
0 95 1,521 X X 08 1,521 0 0
0 2,194 35,000 X 09 27,500 0 7,500
0 316 5,040 X X 09 150 2,740 2,150
- -
0 COLUMBIA/HCA HEALTHCARE CORP 19767710 2,421 106,140 X 01 0 0 106,140
COM
0 747 32,760 X 04 23,860 0 8,900
0 68 3,000 X X 04 700 0 2,300
0 57 2,500 X 05 2,500 0 0
0 113 4,950 X X 05 0 0 4,950
0 1,781 78,076 X 08 78,076 0 0
0 156 6,860 X X 08 6,860 0 0
0 13,556 594,234 X 09 582,567 100 11,567
0 521 22,846 X X 09 5,550 3,487 13,809
- -
0 COLUMBUS MCKINNON CORP N Y 19933310 4,800 200,000 X 09 200,000 0 0
COM
- -
0 COMAIR HOLDINGS INC 19978910 61 2,945 X X 08 2,945 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 85 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 156 7,487 X 09 6,512 0 975
0 3 150 X X 09 0 0 150
- -
0 COMCAST CORP 20030010 1,264 35,300 X 09 24,700 500 10,100
CL A
0 416 11,625 X X 09 300 2,900 8,425
- -
0 COMCAST CORP 20030020 857 22,300 X 04 18,900 0 3,400
CL A SPL
0 108 2,800 X X 04 0 0 2,800
0 115 3,000 X 05 0 0 3,000
0 31 800 X X 05 0 0 800
0 1,022 26,600 X 08 26,600 0 0
0 175 4,546 X X 08 4,546 0 0
0 170,469 4,434,909 X 09 3,711,825 19,500 703,584
0 4,769 124,075 X X 09 9,550 62,500 52,025
- -
0 COMDISCO INC 20033610 4 161 X 08 161 0 0
COM
0 4 161 X X 08 161 0 0
0 2,958 115,420 X 09 65,720 0 49,700
0 1,038 40,500 X X 09 19,150 0 21,350
- -
0 COMERICA INC 20034010 201 3,385 X 04 2,735 0 650
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 86 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 189 3,180 X X 04 0 0 3,180
0 151 2,536 X 05 0 0 2,536
0 535 9,000 X 08 9,000 0 0
0 65 1,092 X X 08 1,092 0 0
0 30,041 505,420 X 09 397,130 0 108,290
0 447 7,528 X X 09 2,000 5,528 0
- -
0 COMMERCE BANCORP NJ 20051910 261 6,100 X 09 6,100 0 0
COM
- -
0 COMMERCE BANCSHARES INC 20052510 81 2,019 X 08 2,019 0 0
COM
0 157 3,900 X X 09 0 3,900 0
- -
0 COMMERCIAL METALS CO 20172310 969 34,000 X 09 34,000 0 0
COM
- -
0 COMMONWEALTH TEL ENTRP 20334910 239 5,900 X 09 5,900 0 0
COM
- -
0 COMMSCOPE INC 20337210 26 832 X X 05 0 0 832
COM
0 275 8,932 X 09 8,866 0 66
0 2 66 X X 09 66 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 87 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COMPANHIA BRASILEIRA DE DIST 20440T20 1,047 56,000 X 09 11,000 0 45,000
ADR
- -
0 COMPANHIA PARANAENSE ENERG C 20441B40 1,282 153,100 X 09 78,100 0 75,000
SPONS ADR PFD
- -
0 COMPANIA ANONIMA NACIONL TEL 20442110 459 16,850 X 09 16,850 0 0
SPN ADR 7D SHS
- -
0 COMPANIA TELECOM CHILE 20444930 588 23,739 X 09 23,739 0 0
SPNSRD ADR NEW
- -
0 COMPAQ COMPUTER CORP 20449310 1,504 63,500 X 01 0 0 63,500
COM
0 1,955 82,520 X 04 58,320 0 24,200
0 439 18,517 X X 04 11,300 1,600 5,617
0 1,788 75,500 X X 05 73,200 700 1,600
0 1,162 49,060 X 06 49,060 0 0
0 14,406 608,174 X 08 608,174 0 0
0 11,526 486,556 X X 08 345,832 91,674 49,050
0 29,176 1,231,697 X 09 1,054,373 4,500 172,824
0 21,714 916,686 X X 09 400,292 82,550 433,844
- -
0 COMPTEK RESH INC 20468210 603 74,800 X 09 74,800 0 0
COM
- -
0 COMPUTER ASSOC INTL INC 20491210 950 17,350 X 04 15,700 0 1,650
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 88 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 798 14,576 X X 04 7,624 750 6,202
0 115 2,100 X 05 0 0 2,100
0 62 1,125 X X 05 675 0 450
0 1,990 36,340 X 08 36,340 0 0
0 550 10,045 X X 08 9,945 100 0
0 59,896 1,093,983 X 09 1,022,546 2,650 68,787
0 10,131 185,035 X X 09 76,364 17,012 91,659
- -
0 COMPUSA INC 20493210 186 25,000 X 08 25,000 0 0
COM
0 11 1,500 X 09 1,500 0 0
- -
0 COMPUTER MOTION INC 20525310 824 80,896 X 07 80,896 0 0
COM
0 1,547 151,827 X 11 151,827 0 0
- -
0 COMPUTER SCIENCES CORP 20536310 2,214 32,000 X 02 0 0 32,000
COM
0 713 10,300 X 04 3,300 0 7,000
0 83 1,200 X 05 600 0 600
0 71 1,020 X 08 1,020 0 0
0 59 850 X X 08 850 0 0
0 11,113 160,622 X 09 134,642 400 25,580
0 1,337 19,320 X X 09 11,000 0 8,320
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 89 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COMPUWARE CORP 20563810 1,432 45,000 X 02 0 0 45,000
COM
0 54 1,700 X 04 1,100 0 600
0 64 2,000 X X 04 0 0 2,000
0 1,527 48,000 X 08 47,700 300 0
0 302 9,500 X X 08 9,500 0 0
0 3,883 122,050 X 09 121,850 0 200
0 51 1,600 X X 09 0 0 1,600
- -
0 COMSAT CORP 20564D10 163 5,000 X X 04 5,000 0 0
COM SER 1
0 39 1,200 X 08 1,200 0 0
0 202 6,200 X 09 6,000 0 200
0 163 5,000 X X 09 5,000 0 0
- -
0 COMVERSE TECHNOLOGY INC 205862AG 2,114 6,500,000 X 09 0 0 0
SDCV 4.500% 7/01/05
- -
0 COMVERSE TECHNOLOGY INC 20586240 7,352 97,375 X 06 97,375 0 0
COM PAR $0.10
0 8,958 118,645 X 08 118,645 0 0
0 21,166 280,350 X 09 280,050 0 300
- -
0 CONAGRA INC 20588710 505 18,960 X 04 17,400 0 1,560
COM
0 117 4,400 X X 04 2,400 0 2,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 90 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 31 1,150 X 05 950 0 200
0 96 3,600 X X 08 0 0 3,600
0 2,012 75,558 X 09 57,644 1,014 16,900
0 1,056 39,663 X X 09 22,547 1,110 16,006
- -
0 CONCENTRA MANAGED CARE 20589T10 889 60,000 X 02 0 0 60,000
COM
0 52 3,496 X X 04 0 0 3,496
0 2,161 145,900 X 09 90,300 0 55,600
0 650 43,900 X X 09 28,300 2,000 13,600
- -
0 CONCORD COMMUNICATIONS INC 20618610 414 9,200 X 09 9,200 0 0
COM
- -
0 CONCORD EFS INC 20619710 19,040 449,973 X 09 447,480 0 2,493
COM
0 57 1,350 X X 09 0 0 1,350
- -
0 CONECTIV INC 20682910 18 750 X X 04 750 0 0
COM
0 6 262 X 05 0 0 262
0 689 28,186 X 09 28,036 0 150
0 227 9,269 X X 09 2,265 2,354 4,650
- -
0 CONEXANT SYSTEMS INC 20714210 245 4,220 X 08 4,220 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 91 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 505 8,700 X X 08 2,900 4,500 1,300
0 888 15,299 X 09 15,099 0 200
0 701 12,080 X X 09 9,500 1,600 980
- -
0 CONMED CORP 20741010 962 31,400 X 09 31,400 0 0
COM
- -
0 CONNETICS CORP 20819210 4,948 807,848 X 03 0 0 807,848
COM
- -
0 CONNING CORP 20821510 1,625 100,000 X 09 100,000 0 0
COM
- -
0 CONOCO INC 20825130 5 175 X 04 0 0 175
CL A
0 1,544 55,400 X X 05 55,400 0 0
0 45 1,600 X 08 1,600 0 0
0 14 500 X X 08 500 0 0
0 20 700 X 09 0 0 700
- -
0 CONSECO INC 20846410 11 366 X 04 366 0 0
COM
0 976 32,054 X X 04 0 0 32,054
0 15 481 X 08 481 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 92 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 173 5,700 X X 08 5,700 0 0
0 1,595 52,405 X 09 38,226 0 14,179
0 247 8,115 X X 09 490 3,504 4,121
- -
0 CONSOLIDATED EDISON INC 20911510 1,267 28,000 X 02 0 0 28,000
COM
0 652 14,415 X 04 14,415 0 0
0 233 5,153 X X 04 2,600 700 1,853
0 102 2,250 X 05 2,000 0 250
0 107 2,364 X 08 2,364 0 0
0 434 9,600 X X 08 7,800 1,800 0
0 47,121 1,041,353 X 09 982,749 3,900 54,704
0 4,705 103,983 X X 09 23,166 60,039 20,778
- -
0 CONSOLIDATED FGHT CORP 20923210 217 16,900 X 09 16,900 0 0
COM
- -
0 CONSOLIDATED GRAPHICS INC 20934110 3,535 70,700 X 09 70,700 0 0
COM
- -
0 CONSOLIDATED NAT GAS CO 20961510 225 3,700 X 04 1,700 0 2,000
COM
0 371 6,100 X X 04 2,600 3,500 0
0 61 1,000 X 05 0 0 1,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 93 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 225 3,706 X 08 3,706 0 0
0 1,823 30,012 X X 08 29,412 600 0
0 3,344 55,043 X 09 52,519 604 1,920
0 3,905 64,275 X X 09 40,205 18,108 5,962
- -
0 CONSOLIDATED STORES CORP 21014910 1,097 40,626 X 09 35,626 0 5,000
COM
- -
0 CONSTELLATION ENERGY CORP 21037110 9 300 X X 04 300 0 0
COM
0 30 1,000 X 08 1,000 0 0
0 27 897 X X 08 897 0 0
0 340 11,466 X 09 7,644 1,544 2,278
0 599 20,232 X X 09 8,432 5,750 6,050
- -
0 CONTINENTAL AIRLS INC 21079530 233 6,200 X 01 0 0 6,200
CL B
0 345 9,160 X X 08 9,160 0 0
0 731 19,425 X 09 18,725 0 700
- -
0 CONTINENTAL INFORMATN SYS NE 21149710 756 596,978 X 09 596,978 0 0
COM
- -
0 CONVERGYS CORP 21248510 217 11,225 X 09 11,225 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 94 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 225 11,600 X X 09 6,400 4,000 1,200
- -
0 COOPER CAMERON CORP 21664010 41 1,100 X 08 1,100 0 0
COM
0 2,502 67,506 X X 08 64,852 0 2,654
0 18,532 500,000 X 09 500,000 0 0
- -
0 COOPER INDS INC 21666910 130 2,503 X 08 2,503 0 0
COM
0 874 16,811 X X 08 3,108 3,593 10,110
0 977 18,797 X 09 14,717 280 3,800
0 1,945 37,406 X X 09 7,166 10,000 20,240
- -
0 COOPER TIRE & RUBR CO 21683110 215 9,100 X 08 9,100 0 0
COM
0 92 3,900 X X 08 0 0 3,900
0 454 19,204 X 09 18,004 0 1,200
- -
0 CORDANT TECHNOLOGIES 21841210 7,501 166,000 X 09 166,000 0 0
COM
0 217 4,800 X X 09 4,800 0 0
- -
0 CORN PRODS INTL INC 21902310 2 62 X 04 62 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 95 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 25 812 X X 04 62 0 750
0 4 134 X 05 134 0 0
0 70 2,304 X 08 2,304 0 0
0 89 2,921 X X 08 1,521 500 900
0 888 29,176 X 09 25,649 0 3,527
0 800 26,297 X X 09 13,191 6,654 6,452
- -
0 CORNERSTONE PPTYS INC 21922H10 16 1,000 X 08 1,000 0 0
COM
0 1,683 106,000 X 09 93,000 0 13,000
0 279 17,600 X X 09 13,600 0 4,000
- -
0 CORNING INC 21935010 1,381 19,700 X 04 17,000 0 2,700
COM
0 123 1,750 X X 04 1,750 0 0
0 252 3,600 X 05 600 0 3,000
0 6,190 88,268 X 08 87,868 0 400
0 6,017 85,798 X X 08 68,848 10,350 6,600
0 38,793 553,198 X 09 512,393 6,748 34,057
0 27,757 395,819 X X 09 102,935 209,904 82,980
- -
0 CORPORATE EXECUTIVE BRD CO 21988R10 462 13,000 X 09 13,000 0 0
COM
- -
0 CORSAIR COMMUNICATIONS INC 22040610 1,535 361,137 X 09 361,137 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 96 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COSTCO COMPANIES INC 22160Q10 1,365 17,050 X 04 12,700 0 4,350
COM
0 452 5,650 X X 04 2,700 1,050 1,900
0 869 10,850 X 05 9,100 0 1,750
0 1,761 22,000 X X 05 22,000 0 0
0 1,529 19,100 X 08 19,100 0 0
0 292 3,650 X X 08 2,850 500 300
0 19,854 247,976 X 09 198,926 14,150 34,900
0 1,751 21,876 X X 09 3,342 8,604 9,930
- -
0 COUNTRYWIDE CR INDS INC DEL 22237210 86 2,000 X 08 2,000 0 0
COM
0 1 15 X X 08 15 0 0
0 13,872 324,500 X 09 320,500 0 4,000
0 184 4,300 X X 09 4,300 0 0
- -
0 COUSINS PPTYS INC 22279510 68 2,019 X 09 2,000 0 19
COM
0 473 14,000 X X 09 14,000 0 0
- -
0 COVAD COMMUNICATIONS GROUP I 22281420 800 15,000 X 09 15,000 0 0
COM
- -
0 COVANCE INC 22281610 311 13,000 X 04 8,200 0 4,800
COM
0 2,592 108,300 X 08 107,900 0 400
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 97 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 921 38,455 X X 08 20,255 6,000 12,200
0 249 10,400 X 09 3,000 500 6,900
0 461 19,274 X X 09 7,413 10,120 1,741
- -
0 COVENTRY HEALTH CARE INC 22286210 519 47,450 X 09 47,100 0 350
COM
- -
0 COX COMMUNICATIONS INC NEW 22404410 62 1,684 X 09 1,684 0 0
CL A
0 1,124 30,546 X X 09 6,918 0 23,628
- -
0 CRAIG CORP 22417410 141 20,000 X 09 20,000 0 0
COM
- -
0 CRANE CO 22439910 182 5,800 X X 08 0 0 5,800
COM
0 151 4,800 X 09 0 0 4,800
0 108 3,450 X X 09 0 0 3,450
- -
0 CREDIT SUISSE ASSET MGMT INC 22491610 153 20,000 X X 04 0 0 20,000
COM
- -
0 CRESCENT REAL ESTATE EQUITIE 22575610 2,926 123,205 X 08 122,405 0 800
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 98 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,197 92,525 X X 08 73,625 14,200 4,700
0 2,092 88,100 X 09 88,100 0 0
0 12 500 X X 09 0 500 0
- -
0 CROMPTON & KNOWLES CORP 22711110 40 2,000 X 04 0 0 2,000
COM
0 2,891 146,400 X 08 145,800 0 600
0 691 35,000 X X 08 16,500 10,000 8,500
0 259 13,125 X 09 12,425 0 700
0 86 4,348 X X 09 4,348 0 0
- -
0 CROSS TIMBERS OIL CO 22757310 156 10,500 X 09 10,500 0 0
COM
- -
0 CROWN CORK & SEAL INC 22825510 27 950 X 04 950 0 0
COM
0 41 1,450 X X 04 1,450 0 0
0 43 1,525 X 08 1,525 0 0
0 165 5,800 X X 08 500 0 5,300
0 185 6,500 X 09 4,550 0 1,950
0 148 5,200 X X 09 4,800 200 200
- -
0 CULLEN FROST BANKERS INC 22989910 226 8,200 X 04 6,000 0 2,200
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 99 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11 400 X X 04 400 0 0
0 369 13,400 X 08 13,400 0 0
0 138 5,000 X X 08 3,800 1,200 0
0 34,109 1,237,480 X 09 1,179,880 7,100 50,500
0 1,535 55,700 X X 09 17,700 7,000 31,000
- -
0 CURATIVE HEALTH SVCS 23126410 55 10,000 X X 09 0 10,000 0
COM
- -
0 CYPRUS AMAX MINERALS CO 23280910 275 18,000 X 02 0 0 18,000
COM
0 13 850 X X 05 0 0 850
0 2 131 X 08 131 0 0
0 11 740 X X 08 740 0 0
0 458 30,026 X 09 27,324 0 2,702
0 158 10,335 X X 09 7,359 1,810 1,166
- -
0 CYTEC INDS INC 23282010 47 1,500 X 01 0 0 1,500
COM
0 17 555 X 04 555 0 0
0 8 240 X X 04 240 0 0
0 23 738 X X 08 738 0 0
0 7,971 253,049 X 09 252,263 0 786
0 687 21,825 X X 09 15,206 3,664 2,955
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 100 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DLJ HIGH YIELD BD FD 23322Y10 90 10,000 X 09 0 0 10,000
SH BEN INT
- -
0 DQE INC 23329J10 9 225 X 04 225 0 0
COM
0 2,074 51,700 X 06 51,700 0 0
0 8,779 218,800 X 08 218,800 0 0
0 168 4,195 X X 08 3,820 0 375
0 29,607 737,876 X 09 737,276 0 600
0 23 585 X X 09 0 150 435
- -
0 DPL INC 23329310 71 3,825 X 08 3,825 0 0
COM
0 119 6,412 X X 08 6,412 0 0
0 568 30,697 X 09 25,297 0 5,400
0 503 27,189 X X 09 14,989 9,050 3,150
- -
0 DRS TECHNOLOGIES INC 23330X10 328 31,250 X 09 31,250 0 0
COM
- -
0 D R HORTON INC 23331A10 85 5,100 X X 08 0 0 5,100
COM
0 2,775 166,900 X 09 166,900 0 0
0 17 1,000 X X 09 1,000 0 0
- -
0 DTE ENERGY CO 23333110 20 500 X 04 500 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 101 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4 110 X 08 110 0 0
0 565 13,875 X 09 13,875 0 0
0 357 8,759 X X 09 5,659 300 2,800
- -
0 DAISYTEK INTL CORP 23405310 2,485 152,360 X 09 151,100 0 1,260
COM
0 18 1,100 X X 09 0 0 1,100
- -
0 DAL-TILE INTL INC 23426R10 2,649 232,900 X 06 232,900 0 0
COM
0 3,551 312,150 X 08 312,150 0 0
0 894 78,600 X 09 78,600 0 0
0 614 53,948 X X 09 0 0 53,948
- -
0 DALLAS SEMICONDUCTOR CORP 23520410 279 5,500 X 09 5,500 0 0
COM
- -
0 DANA CORP 23581110 15 325 X X 05 325 0 0
COM
0 17 370 X 08 370 0 0
0 248 5,390 X X 08 3,500 1,890 0
0 12,826 278,440 X 09 278,069 0 371
0 10,726 232,848 X X 09 56,716 169,089 7,043
- -
0 DANAHER CORP DEL 23585110 58 1,000 X 04 0 0 1,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 102 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 23 400 X 08 0 0 400
0 3,554 61,150 X 09 56,200 0 4,950
0 482 8,300 X X 09 8,300 0 0
- -
0 DARDEN RESTAURANTS INC 23719410 17 800 X 04 800 0 0
COM
0 141 6,472 X X 04 0 0 6,472
0 22 1,000 X 08 1,000 0 0
0 35 1,600 X X 08 0 1,600 0
0 11,696 536,194 X 09 526,994 0 9,200
0 266 12,200 X X 09 6,100 6,100 0
- -
0 DATA PROCESSING RES CORP 23782310 307 13,000 X 09 13,000 0 0
COM
- -
0 DATASCOPE CORP 23811310 16 500 X X 08 500 0 0
COM
0 186 5,800 X 09 5,800 0 0
0 45 1,400 X X 09 0 0 1,400
- -
0 DAYTON HUDSON CORP 23975310 1,308 20,130 X 04 18,980 400 750
COM
0 1,034 15,900 X X 04 900 0 15,000
0 371 5,700 X 05 5,700 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 103 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 98 1,500 X X 05 1,500 0 0
0 1,840 28,300 X 06 28,300 0 0
0 12,505 192,390 X 08 189,590 0 2,800
0 2,893 44,500 X X 08 33,000 4,300 7,200
0 84,061 1,293,241 X 09 1,092,131 300 200,810
0 13,427 206,572 X X 09 152,260 42,700 11,612
- -
0 DEBT STRATEGIES FUND INC 24276810 111 14,500 X X 08 14,500 0 0
COM
0 31 4,000 X X 09 0 0 4,000
- -
0 DEERE & CO 24419910 92 2,340 X 04 2,340 0 0
COM
0 157 4,000 X X 04 3,000 0 1,000
0 742 18,925 X 08 18,925 0 0
0 1,805 46,050 X X 08 31,750 13,800 500
0 2,886 73,645 X 09 73,545 0 100
0 994 25,375 X X 09 5,975 17,700 1,700
- -
0 DEL GLOBAL TECHNOLOGIES CORP 24507310 301 30,900 X 10 30,900 0 0
COM
- -
0 DEL LABS INC 24509110 185 12,885 X X 09 12,885 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 104 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DELL COMPUTER CORP 24702510 137 3,700 X 04 2,900 0 800
COM
0 659 17,800 X X 04 12,600 800 4,400
0 381 10,300 X 05 4,400 0 5,900
0 78 2,100 X X 05 0 0 2,100
0 11,640 314,600 X 06 314,600 0 0
0 24,699 667,542 X 08 667,542 0 0
0 3,859 104,305 X X 08 101,405 2,300 600
0 83,098 2,245,900 X 09 2,211,900 9,200 24,800
0 5,358 144,800 X X 09 49,050 10,250 85,500
- -
0 DELPHI AUTOMOTIVE SYS 24712610 9 488 X 04 488 0 0
COM
0 109 5,905 X X 04 2,553 698 2,654
0 8 406 X 05 406 0 0
0 579 31,297 X X 05 30,809 0 488
0 336 18,187 X 06 18,187 0 0
0 3,430 185,401 X 08 185,401 0 0
0 699 37,776 X X 08 28,318 8,797 661
0 7,541 407,648 X 09 399,481 139 8,028
0 1,979 106,994 X X 09 64,109 21,219 21,666
- -
0 DELPHI FINL GROUP INC 24713110 123 3,416 X 01 0 0 3,416
CL A
0 2,775 77,356 X 06 77,356 0 0
0 3,747 104,435 X 08 104,435 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 105 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,159 32,319 X 09 29,823 0 2,496
- -
0 DELTA & PINE LD CO 24735710 3,380 107,305 X 08 107,305 0 0
COM
0 4,126 130,971 X X 08 103,833 27,138 0
- -
0 DELTA AIR LINES INC DEL 24736110 830 14,400 X 02 0 0 14,400
COM
0 37 635 X 04 635 0 0
0 207 3,590 X 08 3,590 0 0
0 236 4,100 X X 08 4,100 0 0
0 10,157 176,255 X 09 63,180 0 113,075
0 640 11,106 X X 09 11,031 0 75
- -
0 DELTIC TIMBER CORP 24785010 226 8,400 X 09 8,400 0 0
COM
- -
0 DELUXE CORP 24801910 10,852 279,600 X 09 270,400 2,800 6,400
COM
0 373 9,600 X X 09 7,600 2,000 0
- -
0 DEPARTMENT 56 INC 24950910 5,564 207,020 X 09 205,795 0 1,225
COM
- -
0 DETROIT DIESEL CORP 25083710 441 17,900 X 09 17,900 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 106 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DEVELOPERS DIVERSIFIED RLTY 251591AA 446 450,000 X 09 0 0 0
SDCV 7.000% 8/15/99
0 450 455,000 X X 09 0 0 0
- -
0 DEVELOPERS DIVERSIFIED RLTY 25159110 2,708 160,500 X 09 138,500 0 22,000
COM
0 64 3,800 X X 09 0 1,000 2,800
- -
0 DEVON ENERGY CORP 25179910 82 2,300 X X 08 0 0 2,300
COM
0 236 6,600 X 09 6,600 0 0
- -
0 DEVRY INC DEL 25189310 2,685 120,000 X 09 120,000 0 0
COM
- -
0 DIAGEO P L C 25243Q20 13 296 X X 08 296 0 0
SPNSRD ADR NEW
0 8,662 201,432 X 09 201,432 0 0
- -
0 DIAL CORP NEW 25247D10 357 9,600 X X 08 700 0 8,900
COM
0 781 21,010 X 09 21,010 0 0
0 97 2,600 X X 09 2,000 0 600
- -
0 DIAMOND OFFSHORE DRILLING IN 25271C10 2,105 74,200 X X 05 74,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 107 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 468 16,493 X 08 16,493 0 0
0 226 7,950 X X 08 6,350 0 1,600
0 35,795 1,261,500 X 09 1,259,900 0 1,600
0 11 400 X X 09 0 400 0
- -
0 DIATIDE INC 25284210 7,233 1,522,795 X 07 651,000 0 871,795
COM
- -
0 DIEBOLD INC 25365110 101 3,500 X 04 0 0 3,500
COM
0 86 3,000 X X 04 3,000 0 0
0 86 3,000 X 05 3,000 0 0
0 725 25,223 X 08 24,723 500 0
0 497 17,301 X X 08 16,201 600 500
0 234 8,126 X 09 0 650 7,476
0 593 20,634 X X 09 8,334 5,400 6,900
- -
0 DIME CMNTY BANCSHARES 25392210 2,512 108,050 X 06 108,050 0 0
COM
0 3,385 145,600 X 08 145,600 0 0
0 1,020 43,850 X 09 43,850 0 0
- -
0 DILLARDS INC 25406710 18 500 X 05 0 500 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 108 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 176 5,011 X 08 5,011 0 0
0 116 3,300 X X 08 1,000 0 2,300
0 620 17,650 X 09 17,600 50 0
0 7 200 X X 09 0 200 0
- -
0 DIME BANCORP INC NEW 25429Q10 137 6,800 X X 08 0 0 6,800
COM
0 465 23,100 X 09 23,100 0 0
- -
0 DISNEY WALT COMPANY 25468710 1,249 40,530 X 04 27,930 800 11,800
COM
0 949 30,795 X X 04 26,445 450 3,900
0 426 13,822 X 05 4,800 0 9,022
0 82 2,650 X X 05 2,000 0 650
0 573 18,600 X 06 18,600 0 0
0 17,157 556,796 X 08 555,496 0 1,300
0 13,670 443,638 X X 08 315,947 86,891 40,800
0 84,125 2,730,169 X 09 2,401,557 57,351 271,261
0 88,683 2,878,107 X X 09 1,050,206 909,879 918,022
- -
0 DOLE FOOD INC 25660510 44 1,486 X X 04 1,486 0 0
COM
0 408 13,900 X 09 13,900 0 0
0 22 765 X X 09 0 0 765
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 109 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DOLLAR GEN CORP 25666910 856 29,525 X 08 29,525 0 0
COM
0 267 9,206 X X 08 9,206 0 0
0 66 2,261 X 09 1,868 0 393
0 1,143 39,408 X X 09 29,573 9,835 0
- -
0 DOLLAR THRIFTY AUTOMOTIVE GP 25674310 777 33,400 X 09 33,400 0 0
COM
- -
0 DOMINION RES INC VA 25747010 136 3,149 X 04 450 0 2,699
COM
0 36 825 X X 04 825 0 0
0 22 500 X 08 500 0 0
0 301 6,951 X X 08 6,250 601 100
0 1,469 33,910 X 09 23,550 600 9,760
0 3,199 73,868 X X 09 41,508 17,861 14,499
- -
0 DONALDSON INC 25765110 25 1,000 X X 04 1,000 0 0
COM
0 179 7,300 X X 08 0 0 7,300
- -
0 DONALDSON LUFKIN & JENRETTE 25766110 477 7,921 X 01 0 0 7,921
COM DLJ
0 17,714 294,000 X 09 294,000 0 0
0 18 300 X X 09 300 0 0
- -
0 DONNELLEY R R & SONS CO 25786710 42 1,133 X 05 1,133 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 110 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 130 3,500 X X 08 2,500 0 1,000
0 1,005 27,114 X 09 26,514 600 0
0 2,870 77,441 X X 09 32,725 37,316 7,400
- -
0 DONNELLY CORP 25787010 2,248 142,187 X 09 142,187 0 0
CL A
0 16 1,000 X X 09 1,000 0 0
- -
0 DORAL FINL CORP 25811P10 316 18,300 X 09 18,300 0 0
COM
- -
0 DORCHESTER HUGOTON LTD 25820520 114 10,000 X 09 10,000 0 0
DEPOSTARY RCPT
- -
0 DOUBLECLICK INC 258609AA 4,895 4,000,000 X 01 0 0 0
NOTE 4.750% 3/15/06
- -
0 DOVER CORP 26000310 224 6,400 X X 04 6,400 0 0
COM
0 1,897 54,200 X 06 54,200 0 0
0 10,995 314,140 X 08 314,140 0 0
0 815 23,282 X X 08 17,682 1,800 3,800
0 13,871 396,302 X 09 366,042 7,040 23,220
0 12,247 349,915 X X 09 151,220 147,300 51,395
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 111 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DOW CHEMICAL COMPANY 26054310 1,456 11,475 X 04 7,000 0 4,475
COM
0 1,568 12,357 X X 04 7,290 2,467 2,600
0 203 1,600 X 05 1,600 0 0
0 102 800 X X 05 200 0 600
0 1,827 14,400 X 06 14,400 0 0
0 21,450 169,062 X 08 169,062 0 0
0 12,985 102,344 X X 08 44,244 14,000 44,100
0 52,852 416,571 X 09 397,575 1,575 17,421
0 36,697 289,237 X X 09 147,206 75,438 66,593
- -
0 DOW JONES & CO INC 26056110 117 2,200 X 08 2,200 0 0
COM
0 57 1,070 X 09 1,070 0 0
0 53 1,000 X X 09 0 0 1,000
- -
0 DREYERS GRAND ICECREAM 26187810 1,815 120,000 X 09 120,000 0 0
COM
- -
0 DU PONT E I DE NEMOURS & CO 26353410 4,385 64,190 X 04 60,390 0 3,800
COM
0 2,568 37,591 X X 04 23,437 5,114 9,040
0 266 3,900 X 05 3,700 0 200
0 671 9,818 X X 05 3,058 0 6,760
0 3,810 55,775 X 06 55,775 0 0
0 29,468 431,367 X 08 430,867 0 500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 112 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 25,089 367,269 X X 08 298,578 16,600 52,091
0 151,261 2,214,232 X 09 1,888,069 47,592 278,571
0 129,004 1,888,431 X X 09 642,634 579,399 666,398
- -
0 DUANE READE INC 26357810 3,819 125,200 X 09 125,200 0 0
COM
- -
0 DUFF & PHELPS UTILS INCOME I 26432410 96 9,000 X X 04 0 9,000 0
COM
0 11 1,000 X 08 1,000 0 0
0 5 503 X X 08 503 0 0
0 84 7,915 X X 09 6,400 1,515 0
- -
0 DUKE ENERGY CORP 26439910 1,285 23,605 X 02 0 0 23,605
COM
0 1,182 21,720 X 04 21,408 0 312
0 383 7,028 X X 04 4,202 2,826 0
0 362 6,657 X 05 4,057 0 2,600
0 985 18,100 X X 05 17,250 250 600
0 1,709 31,400 X 06 31,400 0 0
0 13,620 250,186 X 08 247,784 0 2,402
0 7,812 143,504 X X 08 126,938 13,050 3,516
0 8,444 155,111 X 09 127,804 5,300 22,007
0 4,902 90,046 X X 09 27,985 37,098 24,963
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 113 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DUKE REALTY INVT INC 26441150 10,072 446,400 X 09 424,900 0 21,500
COM NEW
- -
0 DUN & BRADSTREET CORP 26483B10 18 500 X 04 500 0 0
COM
0 96 2,700 X X 04 1,500 1,200 0
0 24 667 X 05 667 0 0
0 113 3,200 X 08 3,200 0 0
0 52 1,474 X X 08 1,474 0 0
0 3,120 88,037 X 09 75,186 1,700 11,151
0 4,851 136,882 X X 09 23,696 35,550 77,636
- -
0 DURA AUTOMOTIVE SYSTEMS CORP 26590310 2,713 81,600 X 09 81,600 0 0
CL A
- -
0 DYNEGY INC 26816L10 8,170 401,000 X 09 401,000 0 0
COM
- -
0 ECI TELECOM LTD 26825810 80 2,400 X X 08 2,400 0 0
ORD
0 266 8,000 X X 09 0 0 8,000
- -
0 EG & G INC 26845710 901 25,300 X 04 21,300 0 4,000
COM
0 18 500 X X 04 500 0 0
0 23 650 X 05 450 0 200
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 114 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 52 1,450 X X 05 700 0 750
0 12,066 338,700 X 09 326,700 0 12,000
0 68 1,900 X X 09 700 0 1,200
- -
0 E M C CORP MASS 268648AC 9,490 4,000,000 X 09 0 0 0
NOTE 3.250% 3/15/02
- -
0 E M C CORP MASS 26864810 171 3,100 X 01 0 0 3,100
COM
0 5,060 92,000 X 04 72,800 600 18,600
0 803 14,600 X X 04 4,300 600 9,700
0 1,504 27,350 X 05 19,600 0 7,750
0 5,489 99,800 X X 05 92,000 0 7,800
0 15,428 280,510 X 06 280,510 0 0
0 48,110 874,719 X 08 868,419 0 6,300
0 8,410 152,910 X X 08 136,210 9,600 7,100
0 226,717 4,122,124 X 09 3,424,289 76,910 620,925
0 54,107 983,765 X X 09 403,330 221,500 358,935
- -
0 EMC CORP 26865YAA 365 75,000 X 09 0 0 0
NOTE 3.250% 3/15/02
0 132 27,000 X X 09 0 0 0
- -
0 ENSCO INTL INC 26874Q10 859 43,100 X 09 43,100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 115 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ESSEF CORP 26914510 14,764 729,104 X 09 719,572 425 9,107
COM
- -
0 E TOWN 26924210 210 4,600 X 09 4,600 0 0
COM
- -
0 E TRADE GROUP INC 26924610 225 5,640 X 09 5,640 0 0
COM
0 819 20,500 X X 09 18,500 600 1,400
- -
0 EARTHGRAINS COMPANY 27031910 20 768 X X 04 0 0 768
COM
0 296 11,468 X 08 11,468 0 0
0 36 1,400 X X 08 1,400 0 0
0 2,275 88,152 X 09 9,232 78,864 56
0 3,896 150,924 X X 09 2,512 116,148 32,264
- -
0 EARTHLINK NETWORK INC 27032210 12 200 X 04 200 0 0
COM
0 2,964 48,241 X 09 48,241 0 0
- -
0 EASTERN ENTERPRISES 27637F10 19 481 X 08 481 0 0
COM
0 24 611 X X 08 611 0 0
0 19 472 X 09 472 0 0
0 279 7,031 X X 09 531 0 6,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 116 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
EASTERN UTILS ASSOC 27717310 47 1,600 X 09 1,600 0 0
COM
0 160 5,500 X X 09 5,300 200 0
- -
0 EASTMAN CHEMICAL CO 27743210 54 1,048 X 04 1,048 0 0
COM
0 30 572 X X 04 450 0 122
0 62 1,200 X 05 1,200 0 0
0 91 1,750 X X 05 0 0 1,750
0 108 2,089 X 08 2,089 0 0
0 87 1,672 X X 08 672 0 1,000
0 47,494 917,766 X 09 913,527 56 4,183
0 4,715 91,107 X X 09 77,144 7,199 6,764
- -
0 EASTMAN KODAK CO 27746110 846 12,494 X 04 12,224 0 270
COM
0 252 3,723 X X 04 3,300 0 423
0 68 1,000 X 05 700 300 0
0 3,248 47,943 X 08 47,743 0 200
0 2,133 31,479 X X 08 28,559 2,620 300
0 90,638 1,337,823 X 09 1,314,758 2,732 20,333
0 38,628 570,153 X X 09 373,051 135,420 61,682
- -
0 EATON CORP 27805810 133 1,450 X 04 1,400 0 50
COM
0 28 300 X 08 300 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 117 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 353 3,840 X X 08 1,390 0 2,450
0 1,852 20,135 X 09 17,129 300 2,706
0 1,719 18,688 X X 09 11,918 0 6,770
- -
0 EBAY INC 27864210 893 5,900 X 01 0 0 5,900
COM
0 30 200 X 04 200 0 0
0 591 3,901 X 09 3,901 0 0
0 873 5,765 X X 09 5,315 300 150
- -
0 ECHELON CORP 27874N10 1,301 194,500 X X 09 194,500 0 0
COM
- -
0 ECHOSTAR COMMUNICATNS 27876210 537 3,500 X X 08 3,500 0 0
CL A
0 476 3,100 X 09 3,100 0 0
- -
0 ECOLAB INC 27886510 157 3,600 X 05 0 0 3,600
COM
0 3,389 77,675 X 08 76,500 400 775
0 711 16,300 X X 08 10,150 1,150 5,000
0 8,815 202,065 X 09 200,690 0 1,375
0 563 12,900 X X 09 2,400 0 10,500
- -
0 EDELBROCK CORP 27943410 2,873 194,800 X 09 193,450 0 1,350
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 118 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 1,200 X X 09 0 0 1,200
- -
0 EDISON INTL 28102010 54 2,000 X X 04 2,000 0 0
COM
0 5 200 X X 05 0 0 200
0 113 4,233 X 08 4,233 0 0
0 291 10,868 X X 08 10,250 0 618
0 1,129 42,217 X 09 41,593 0 624
0 1,357 50,728 X X 09 27,888 10,360 12,480
- -
0 EDUCATION MGMT CORP 28139T10 365 17,600 X 09 17,600 0 0
COM
- -
0 J D EDWARDS & CO 28166710 1,306 70,600 X 04 600 0 70,000
COM
0 6 333 X 09 333 0 0
- -
0 EDWARDS AG INC 28176010 29 900 X 05 900 0 0
COM
0 535 16,575 X 09 12,800 0 3,775
0 16 500 X X 09 0 0 500
- -
0 EL PASO ENERGY CORP DEL 28390510 91 2,584 X 04 1,584 0 1,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 119 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 42 1,200 X 05 1,000 0 200
0 203 5,766 X X 05 3,466 600 1,700
0 112 3,190 X 08 3,190 0 0
0 301 8,540 X X 08 8,208 0 332
0 25,433 722,784 X 09 178,802 1,330 542,652
0 6,373 181,108 X X 09 25,740 134,714 20,654
- -
0 ELAN PLC 28413120 863 31,100 X 04 13,900 0 17,200
ADR
0 3,388 122,080 X 08 122,080 0 0
0 987 35,550 X X 08 29,550 2,200 3,800
0 8,907 320,970 X 09 278,030 3,000 39,940
0 1,156 41,670 X X 09 22,950 1,420 17,300
- -
0 ELDERTRUST 28456010 685 67,200 X 09 67,200 0 0
COM SH BEN INT
- -
0 ELDORADO BANCSHARES INC 28467W10 3,135 285,000 X 09 285,000 0 0
COM
- -
0 ELECTRONIC ARTS INC 28551210 255 4,700 X X 08 0 0 4,700
COM
0 8,951 165,000 X 09 165,000 0 0
0 35 650 X X 09 0 0 650
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 120 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ELECTRONIC DATA SYSTEM 28566110 122 2,157 X 04 2,157 0 0
COM
0 73 1,281 X X 04 1,281 0 0
0 62 1,100 X 05 700 400 0
0 102 1,800 X X 05 0 0 1,800
0 5,449 96,228 X 08 93,728 0 2,500
0 8,467 149,530 X X 08 110,119 9,190 30,221
0 5,088 89,849 X 09 59,688 1,000 29,161
0 3,847 67,940 X X 09 41,420 6,408 20,112
- -
0 EMBRATEL PARTICIPACOES S A 29081N10 208 15,000 X 09 0 0 15,000
SPONS ADR PFD
- -
0 EMERSON ELEC CO 29101110 378 6,000 X 04 4,700 0 1,300
COM
0 529 8,400 X X 04 5,400 0 3,000
0 348 5,525 X 05 3,625 0 1,900
0 16 250 X X 05 250 0 0
0 9,206 146,273 X 08 145,573 500 200
0 8,294 131,780 X X 08 94,930 19,250 17,600
0 27,692 439,989 X 09 395,650 9,360 34,979
0 31,982 508,158 X X 09 133,906 215,606 158,646
- -
0 EMERSON RADIO CORP 29108720 614 1,089,800 X 09 1,089,800 0 0
COM NEW
- -
0 EMONS TRANSN GRP INC 29157510 722 288,682 X 09 288,613 0 69
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 121 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 722 288,613 X 10 288,613 0 0
- -
0 ENDESA S A 29258N10 72 3,400 X 04 0 0 3,400
SPONSORED ADR
0 170 8,000 X X 04 0 0 8,000
0 91 4,300 X 09 4,300 0 0
0 712 33,500 X X 09 22,400 0 11,100
- -
0 ENERGY EAST CORP 29266M10 2,974 114,400 X 02 0 0 114,400
COM
0 140 5,400 X 04 5,400 0 0
0 49 1,870 X X 04 1,600 270 0
0 1,820 70,000 X X 05 70,000 0 0
0 52 1,988 X 08 1,988 0 0
0 117 4,500 X X 08 3,500 0 1,000
0 1,553 59,723 X 09 57,323 0 2,400
0 331 12,722 X X 09 7,000 4,800 922
- -
0 ENGELHARD CORP 29284510 10 424 X X 04 424 0 0
COM
0 86 3,785 X X 08 3,785 0 0
0 87 3,850 X 09 1,850 0 2,000
0 1,875 82,880 X X 09 52,137 1,457 29,286
- -
0 ENESCO GROUP INC 29297310 2,428 105,000 X 09 105,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 122 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ENHANCE FINL SVCS GROUP INC 29331010 30 1,500 X X 08 1,500 0 0
COM
0 385 19,500 X 09 14,400 0 5,100
- -
0 ENRON CORP 29356110 361 4,416 X 04 3,916 500 0
COM
0 82 1,000 X X 04 1,000 0 0
0 262 3,200 X X 05 0 0 3,200
0 4,759 58,210 X 06 58,210 0 0
0 29,546 361,415 X 08 360,715 0 700
0 9,396 114,936 X X 08 74,213 35,923 4,800
0 47,921 586,192 X 09 556,425 2,800 26,967
0 16,792 205,405 X X 09 63,577 112,634 29,194
- -
0 ENRON OIL & GAS CO 29356210 30 1,500 X 05 900 600 0
COM
0 81 4,000 X 08 4,000 0 0
0 67 3,300 X X 08 0 0 3,300
0 16,646 822,000 X 09 822,000 0 0
- -
0 ENTERCOM COMMUNICATIONS CORP 29363910 72,490 1,695,669 X 03 1,695,669 0 0
CL A
- -
0 ENTERGY CORP NEW 29364G10 14 456 X X 04 456 0 0
COM
0 18 585 X 08 585 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 123 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 37 1,190 X X 08 1,190 0 0
0 618 19,767 X 09 19,600 0 167
0 227 7,250 X X 09 2,900 0 4,350
- -
0 ENTERTAINMENT PPTYS TR 29380T10 939 53,300 X 09 46,300 0 7,000
COM SH BEN INT
0 46 2,600 X X 09 0 1,600 1,000
- -
0 ENTREMED INC 29382F10 5 200 X 08 200 0 0
COM
0 563 25,000 X X 09 0 0 25,000
- -
0 ENTRUST TECHNOLOGIES INC 29384810 564 16,977 X 10 16,977 0 0
COM
- -
0 EQUALNET COMMUNICATIONS CORP 29440810 459 666,667 X X 08 0 0 666,667
COM
- -
0 EQUANT N V 29440910 2,268 24,000 X 09 23,000 0 1,000
NY REG SHS
0 43 450 X X 09 450 0 0
- -
0 EQUIFAX INC 29442910 2,136 59,860 X 08 59,860 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 124 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,379 38,650 X X 08 22,300 6,350 10,000
0 757 21,200 X 09 10,700 0 10,500
0 6,817 191,017 X X 09 19,283 0 171,734
- -
0 EQUITABLE COS INC 29444G10 1,340 20,000 X 02 0 0 20,000
COM
0 261 3,900 X X 04 3,500 400 0
0 90 1,350 X 08 950 0 400
0 3 39 X X 08 0 39 0
0 43,634 651,248 X 09 600,248 940 50,060
0 405 6,050 X X 09 0 1,400 4,650
- -
0 EQUITABLE RES INC 29454910 49 1,300 X 08 1,300 0 0
COM
0 127 3,362 X 09 3,362 0 0
0 195 5,168 X X 09 1,518 3,100 550
- -
0 EQUITY INCOME FD 29470070 521 2,515 X 08 2,515 0 0
UT 1 EX SR-ATT
0 2,320 11,200 X X 08 11,200 0 0
0 186 900 X 09 900 0 0
0 322 1,556 X X 09 1,556 0 0
- -
0 EQUITY OFFICE PROPERTIES TRU 29474110 718 28,000 X 02 0 0 28,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 125 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 288 11,250 X X 04 0 0 11,250
0 718 28,000 X X 05 28,000 0 0
0 39,341 1,535,249 X 09 1,493,607 2,800 38,842
0 152 5,948 X X 09 1,124 606 4,218
- -
0 EQUITY OFFICE PROPERTIES TRU 29474150 1,796 42,000 X X 09 42,000 0 0
PFD CV B 5.25%
- -
0 EQUITY RESIDENTIAL PPTYS TR 29476L10 86 1,900 X 04 1,400 0 500
SH BEN INT
0 374 8,300 X X 04 2,100 6,200 0
0 811 18,000 X X 05 17,000 0 1,000
0 2,533 56,200 X 08 55,800 0 400
0 1,459 32,375 X X 08 25,325 4,400 2,650
0 60,102 1,333,725 X 09 1,301,585 1,000 31,140
0 1,749 38,805 X X 09 24,790 5,400 8,615
- -
0 ERICSSON L M TEL CO 29482140 1,479 44,900 X 04 21,100 0 23,800
ADR CL B SEK10
0 288 8,740 X X 04 2,800 0 5,940
0 79 2,400 X 05 2,400 0 0
0 40 1,200 X 08 1,200 0 0
0 7 200 X X 08 200 0 0
0 4,102 124,536 X 09 50,600 2,753 71,183
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 126 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,846 207,844 X X 09 35,164 67,000 105,680
- -
0 ESSEX PPTY TR INC 29717810 152 4,300 X 04 4,300 0 0
COM
0 9 250 X X 04 250 0 0
0 5,766 163,000 X 09 150,500 0 12,500
0 1,075 30,400 X X 09 23,300 3,000 4,100
- -
0 ETHAN ALLEN INTERIORS INC 29760210 17,072 452,250 X 09 450,750 0 1,500
COM
0 113 3,000 X X 09 3,000 0 0
- -
0 ETOYS INC 29786210 41 1,000 X 04 1,000 0 0
COM
0 4 100 X X 05 0 0 100
0 434 10,650 X 09 10,550 100 0
- -
0 EVEREN CAPITAL CORP 29976110 596 20,000 X 09 20,000 0 0
COM
- -
0 EVEREST REINS HLDGS INC 29980810 78 2,400 X X 08 0 0 2,400
COM
0 414 12,700 X 09 12,700 0 0
- -
0 EXABYTE CORP 30061510 282 72,900 X 09 72,900 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 127 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
EXCHANGE APPLICATIONS 30086710 3,525 86,500 X 09 86,500 0 0
COM
- -
0 EXIDE CORP 30205110 630 42,700 X 09 42,700 0 0
COM
- -
0 EXODUS COMMUNICATIONS INC 30208810 1,072 8,940 X 09 8,940 0 0
COM
0 1,126 9,390 X X 09 9,390 0 0
- -
0 EXPEDITORS INTL WASH INC 30213010 322 11,800 X 09 11,800 0 0
COM
- -
0 EXPRESS SCRIPTS INC 30218210 560 9,300 X 09 9,300 0 0
CL A
- -
0 EXTREME NETWORKS INC 30226D10 319 5,500 X 09 5,500 0 0
COM
- -
0 EXXON CORP 30229010 5,476 71,000 X 01 0 0 71,000
COM
0 3,727 48,326 X 04 31,796 0 16,530
0 14,038 182,021 X X 04 101,733 39,024 41,264
0 731 9,472 X 05 7,672 400 1,400
0 784 10,164 X X 05 7,100 200 2,864
0 3,083 39,975 X 06 39,975 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 128 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 152,167 1,972,993 X 08 1,971,443 800 750
0 707,812 9,177,465 X X 08 8,171,280 909,952 96,233
0 450,889 5,846,207 X 09 5,324,371 144,986 376,850
0 720,051 9,336,161 X X 09 4,718,658 2,158,529 2,458,974
- -
0 F M C CORP 30249130 3 50 X 04 0 0 50
COM NEW
0 205 3,000 X X 04 0 0 3,000
0 23 333 X 05 333 0 0
0 266 3,900 X X 09 3,700 200 0
- -
0 FPL GROUP INC 30257110 1,327 24,300 X 04 18,450 0 5,850
COM
0 320 5,860 X X 04 4,160 400 1,300
0 281 5,150 X 05 4,400 0 750
0 896 16,400 X X 05 16,400 0 0
0 1,582 28,955 X 08 28,955 0 0
0 826 15,125 X X 08 11,475 650 3,000
0 45,031 824,374 X 09 814,266 2,500 7,608
0 5,182 94,869 X X 09 62,917 16,304 15,648
- -
0 FVNB CORP 30267410 538 18,240 X 08 18,240 0 0
COM
- -
0 FACTSET RESH SYS INC 30307510 1,421 25,100 X 09 25,100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 129 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
FAIR ISAAC & CO INC 30325010 3,024 86,250 X 06 86,250 0 0
COM
0 4,087 116,550 X 08 116,550 0 0
0 1,108 31,600 X 09 31,600 0 0
- -
0 FAIRCHILD CORP 30369810 191 15,000 X 09 15,000 0 0
CL A
- -
0 FAMILY DLR STORES INC 30700010 168 7,000 X X 08 0 0 7,000
COM
0 4,320 180,000 X 09 180,000 0 0
- -
0 FASTENAL COMPANY 31190010 246 4,700 X 09 4,700 0 0
COM
- -
0 FDX CORP 31304N10 11 200 X 04 0 0 200
COM
0 24,111 444,442 X 09 444,442 0 0
0 228 4,200 X X 09 0 0 4,200
- -
0 FEDERAL HOME LN MTG CORP 31340030 992 17,100 X 04 10,900 0 6,200
COM
0 142 2,440 X X 04 2,000 0 440
0 281 4,850 X 05 0 0 4,850
0 3,086 53,200 X X 05 53,200 0 0
0 977 16,840 X 08 16,840 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 130 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 595 10,250 X X 08 10,250 0 0
0 115,492 1,991,245 X 09 1,795,635 22,500 173,110
0 6,361 109,675 X X 09 24,695 22,025 62,955
- -
0 FEDERAL MOGUL CORP 31354910 478 9,200 X X 08 3,700 0 5,500
COM
0 728 14,000 X 09 14,000 0 0
- -
0 FEDERAL NATL MTG ASSN 31358610 470 6,884 X 01 0 0 6,884
COM
0 4,895 71,715 X 04 67,055 0 4,660
0 2,072 30,357 X X 04 23,992 300 6,065
0 334 4,900 X 05 4,200 300 400
0 20 300 X X 05 0 300 0
0 7,830 114,730 X 06 114,730 0 0
0 38,679 566,725 X 08 562,475 0 4,250
0 11,503 168,540 X X 08 109,240 3,500 55,800
0 97,223 1,424,509 X 09 1,276,987 15,078 132,444
0 65,058 953,230 X X 09 482,500 109,880 360,850
- -
0 FEDERAL REALTY INVT TR 31374720 998 43,500 X 09 43,500 0 0
SH BEN INT NEW
0 44 1,900 X X 09 1,500 0 400
- -
0 FEDERAL SIGNAL CORP 31385510 345 16,290 X 09 13,040 3,000 250
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 131 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 295 13,946 X X 09 3,300 7,506 3,140
- -
0 FEDERATED DEPT STORES 31410H10 523 9,875 X 04 5,955 0 3,920
COM
0 69 1,300 X X 04 0 0 1,300
0 434 8,200 X 05 7,800 0 400
0 4,402 83,149 X 08 82,349 0 800
0 4,219 79,700 X X 08 40,600 29,100 10,000
0 47,510 897,473 X 09 643,853 700 252,920
0 709 13,385 X X 09 8,035 1,800 3,550
- -
0 FEDERATED INVS INC PA 31421110 5 300 X 08 300 0 0
CL B
0 3,588 200,000 X 09 200,000 0 0
- -
0 FELCOR LODGING TR INC 31430F10 1,032 49,736 X 09 49,736 0 0
COM
- -
0 FIFTH THIRD BANCORP 31677310 176 2,650 X 05 2,650 0 0
COM
0 57 850 X 08 850 0 0
0 7,368 110,691 X 09 100,942 1,125 8,624
0 98 1,475 X X 09 0 0 1,475
- -
0 FINISH LINE INC 31792310 378 33,600 X 09 33,600 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 132 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
FINOVA GROUP INC 31792810 13 250 X 04 0 0 250
COM
0 195 3,700 X 05 0 0 3,700
0 6,533 124,139 X 08 123,739 0 400
0 1,716 32,610 X X 08 25,010 3,400 4,200
0 3,026 57,499 X 09 54,079 1,300 2,120
0 217 4,123 X X 09 2,315 0 1,808
- -
0 FIRST AMERN FINL CORP 31852230 685 38,300 X 09 38,300 0 0
COM
- -
0 FIRST AUSTRALIA PRIME INCOME 31865310 9 1,440 X X 04 1,440 0 0
COM
0 136 20,965 X X 09 7,465 2,500 11,000
- -
0 FIRST AMER CORP TENN 31890010 77 1,854 X X 08 1,854 0 0
COM
0 249 6,000 X X 09 6,000 0 0
- -
0 FIRST DATA CORP 31996310 487 9,950 X X 04 9,950 0 0
COM
0 105 2,150 X 05 0 0 2,150
0 39 800 X X 05 0 0 800
0 1,491 30,475 X 08 30,475 0 0
0 1,268 25,915 X X 08 24,015 1,200 700
0 10,959 223,934 X 09 185,514 10,599 27,821
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 133 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 10,547 215,519 X X 09 36,100 146,549 32,870
- -
0 FIRST INDUSTRIAL REALTY TRUS 32054K10 5 200 X 08 200 0 0
COM
0 2,033 74,100 X 09 74,100 0 0
0 25 900 X X 09 900 0 0
- -
0 FIRST REP BK SAN FRANCISCO 33615810 1,079 37,300 X 09 37,300 0 0
COM
- -
0 FIRST SEC CORP DEL 33629410 7,632 280,065 X 09 280,065 0 0
COM
- -
0 FIRST SENTINEL BANCORP INC 33640T10 1,632 183,850 X 06 183,850 0 0
COM
0 2,201 247,950 X 08 247,950 0 0
0 551 62,050 X 09 62,050 0 0
- -
0 FIRST TENN NATL CORP 33716210 50 1,300 X 08 1,300 0 0
COM
0 184 4,800 X 09 3,800 0 1,000
0 15 400 X X 09 0 0 400
- -
0 FIRST UN CORP 33735810 467 9,908 X 01 0 0 9,908
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 134 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,192 46,522 X 04 36,562 800 9,160
0 1,405 29,806 X X 04 8,356 500 20,950
0 474 10,053 X 05 4,317 0 5,736
0 2,105 44,668 X X 05 41,434 0 3,234
0 1,621 34,400 X 06 34,400 0 0
0 14,854 315,203 X 08 313,703 1,000 500
0 5,387 114,304 X X 08 96,812 14,800 2,692
0 54,947 1,165,975 X 09 891,737 13,400 260,838
0 31,508 668,614 X X 09 302,069 217,942 148,603
- -
0 FIRST VA BANKS INC 33747710 111 2,250 X 04 2,250 0 0
COM
0 203 4,140 X X 04 0 0 4,140
0 37 750 X X 08 750 0 0
0 18,163 369,728 X 09 342,878 2,400 24,450
0 16,932 344,670 X X 09 67,462 233,278 43,930
- -
0 FIRST WASH BANCORP INC WASH 33748T10 2,056 102,465 X 06 102,465 0 0
COM
0 2,752 137,149 X 08 137,149 0 0
0 691 34,430 X 09 34,430 0 0
- -
0 FIRST WASH RLTY TR INC 33748950 982 42,000 X 09 42,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 135 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
FIRSTAR CORP NEW WIS 33763V10 6,409 228,900 X 02 0 0 228,900
COM
0 129 4,620 X 04 3,480 0 1,140
0 374 13,356 X X 04 0 0 13,356
0 16 570 X 05 0 0 570
0 2,399 85,680 X X 05 85,680 0 0
0 25 900 X 08 0 0 900
0 20,923 747,254 X 09 731,192 6,600 9,462
0 1,683 60,108 X X 09 46,416 3,600 10,092
- -
0 FISERV INC 33773810 211 6,750 X 04 0 0 6,750
COM
0 24 772 X 09 0 0 772
- -
0 FIRSTFED FINL CORP 33790710 587 30,500 X 09 30,500 0 0
COM
- -
0 FIRSTENERGY CORP 33793210 9 300 X 04 0 0 300
COM
0 19 600 X X 04 600 0 0
0 37 1,178 X X 08 300 378 500
0 169 5,448 X 09 3,239 1,400 809
0 547 17,639 X X 09 13,280 4,359 0
- -
0 FISHER SCIENTIFIC INTL INC 33803220 97,448 4,367,335 X 03 0 0 4,367,335
COM NEW
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 136 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
FLEET FINL GROUP INC NEW 33891510 4 100 X X 04 0 0 100
COM
0 457 10,300 X X 05 10,300 0 0
0 104 2,350 X 08 2,350 0 0
0 302 6,800 X X 08 0 0 6,800
0 49,685 1,119,662 X 09 935,050 0 184,612
0 1,636 36,870 X X 09 26,688 7,182 3,000
- -
0 FLEXSTEEL INDS INC 33938210 762 57,200 X 09 57,200 0 0
COM
- -
0 FLORIDA PROGRESS CORP 34110910 118 2,845 X 04 2,845 0 0
COM
0 94 2,275 X X 04 2,275 0 0
0 6 150 X X 05 0 0 150
0 78 1,880 X 08 1,880 0 0
0 1,391 33,667 X 09 24,667 2,500 6,500
0 3,254 78,754 X X 09 33,479 18,750 26,525
- -
0 FLORIDA ROCK INDS INC 34114010 229 5,025 X 09 5,025 0 0
COM
- -
0 FLOWERS INDS INC 34349610 371 17,100 X 04 15,800 0 1,300
COM
0 167 7,717 X 08 7,717 0 0
0 11,908 549,040 X 09 540,440 0 8,600
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 137 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 480 22,124 X X 09 8,100 14,024 0
- -
0 FLOWSERVE CORP 34354P10 3,712 196,000 X 09 195,700 0 300
COM
0 19 1,000 X X 09 0 100 900
- -
0 FLUOR CORP 34386110 12 300 X X 04 0 0 300
COM
0 62 1,525 X 05 875 500 150
0 41 1,000 X X 05 1,000 0 0
0 126 3,100 X 08 2,350 0 750
0 455 11,236 X X 08 8,136 3,000 100
0 330 8,150 X 09 5,300 50 2,800
0 473 11,690 X X 09 0 5,500 6,190
- -
0 FLUSHING FINL CORP 34387310 1,620 105,375 X 06 105,375 0 0
COM
0 2,173 141,325 X 08 141,325 0 0
0 545 35,425 X 09 35,425 0 0
- -
0 FOODMAKER INC NEW 34483920 4,862 171,350 X 06 171,350 0 0
COM NEW
0 6,540 230,500 X 08 230,500 0 0
0 108 3,800 X X 08 0 0 3,800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 138 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,834 64,650 X 09 64,650 0 0
- -
0 FOOTSTAR INC 34491210 3 86 X X 04 86 0 0
COM
0 309 8,317 X 09 8,317 0 0
0 2 57 X X 09 57 0 0
- -
0 FORD MOTOR CO DEL 34537010 3,471 61,500 X 02 0 0 61,500
COM
0 284 5,040 X 04 5,040 0 0
0 825 14,620 X X 04 9,152 3,968 1,500
0 903 16,000 X 05 12,500 0 3,500
0 25 450 X X 05 0 0 450
0 2,950 52,265 X 06 52,265 0 0
0 17,389 308,114 X 08 307,714 0 400
0 7,784 137,914 X X 08 56,071 3,197 78,646
0 84,258 1,492,937 X 09 1,282,960 1,725 208,252
0 33,677 596,700 X X 09 40,921 28,882 526,897
- -
0 FOREST CITY ENTERPRISES INC 34555010 980 35,000 X 09 35,000 0 0
CL A
- -
0 FOREST LABS INC 34583810 259 5,600 X X 08 1,300 0 4,300
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 139 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 146 3,150 X 09 2,000 0 1,150
0 425 9,198 X X 09 7,198 0 2,000
- -
0 FORT JAMES CORP 34747110 651 17,187 X 02 0 0 17,187
COM
0 651 17,187 X X 05 17,187 0 0
0 23 620 X 08 620 0 0
0 7,221 190,643 X 09 190,243 0 400
0 705 18,605 X X 09 828 119 17,658
- -
0 FORTUNE BRANDS INC 34963110 951 22,990 X 04 21,240 800 950
COM
0 538 13,000 X X 04 7,000 6,000 0
0 1,067 25,800 X 08 25,800 0 0
0 219 5,300 X X 08 2,600 1,200 1,500
0 11,917 288,028 X 09 283,224 1,400 3,404
0 1,440 34,802 X X 09 16,966 11,500 6,336
- -
0 FOSSIL INC 34988210 343 7,100 X 09 7,100 0 0
COM
- -
0 FOUNDATION HEALTH SYS INC 35040410 2 130 X 04 0 0 130
COM
0 75 5,000 X X 08 0 0 5,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 140 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 104 6,910 X 09 6,910 0 0
- -
0 FOX ENTMT GROUP INC 35138T10 11 400 X X 04 0 0 400
CL A
0 415 15,400 X X 05 15,400 0 0
0 27 1,000 X 09 1,000 0 0
0 8 300 X X 09 0 0 300
- -
0 FRANKLIN RES INC 35461310 91 2,250 X 04 0 0 2,250
COM
0 1,258 30,974 X 08 30,574 0 400
0 790 19,450 X X 08 17,450 0 2,000
0 284 7,000 X X 09 5,000 0 2,000
- -
0 FREEDOM SECS CORP 35644K10 1,221 71,300 X 09 71,300 0 0
COM
- -
0 FREEPORT-MCM COPR GOLD 35671D85 72 4,000 X X 08 4,000 0 0
CL B
0 7,400 412,557 X 09 411,057 0 1,500
0 31 1,755 X X 09 1,475 280 0
- -
0 FRIEDMAN'S INC 35843810 136 15,700 X 09 15,700 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 141 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
FRITZ COS INC 35884610 124 11,500 X 09 11,500 0 0
COM
- -
0 FRONTIER CORP 35906P10 141 2,402 X X 04 2,402 0 0
COM
0 167 2,850 X X 08 2,850 0 0
0 22,032 375,809 X 09 374,809 1,000 0
0 1,151 19,630 X X 09 12,616 6,664 350
- -
0 FULLER H B CO 35969410 27 400 X 04 400 0 0
COM
0 126 1,850 X 09 600 0 1,250
0 140 2,050 X X 09 1,400 0 650
- -
0 FURNITURE BRANDS INTL INC 36092110 3,763 135,000 X 09 135,000 0 0
COM
0 5 197 X X 09 0 0 197
- -
0 FURON CO 36110610 324 17,074 X X 09 17,074 0 0
COM
- -
0 GATX CORP 36144810 46 1,200 X 04 1,200 0 0
COM
0 980 25,756 X 09 24,816 0 940
0 1,256 32,988 X X 09 28,784 1,908 2,296
- -
0 GPU INC 36225X10 1,418 33,600 X 02 0 0 33,600
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 142 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 84 2,000 X X 04 2,000 0 0
0 34 800 X 05 800 0 0
0 23 550 X X 05 0 0 550
0 422 10,000 X 08 10,000 0 0
0 349 8,280 X X 08 8,280 0 0
0 3,463 82,085 X 09 77,935 0 4,150
0 1,357 32,160 X X 09 25,464 0 6,696
- -
0 GTE CORP 36232010 4,696 62,200 X 01 0 0 62,200
COM
0 2,728 36,134 X 04 28,684 1,100 6,350
0 4,331 57,367 X X 04 26,591 15,426 15,350
0 177 2,350 X 05 1,950 0 400
0 3,435 45,500 X X 05 43,000 0 2,500
0 3,719 49,260 X 06 49,260 0 0
0 39,270 520,138 X 08 514,838 0 5,300
0 15,791 209,147 X X 08 176,002 26,998 6,147
0 118,762 1,573,007 X 09 1,395,942 20,319 156,746
0 52,413 694,218 X X 09 244,511 317,178 132,529
- -
0 GALILEO INTL INC 36354710 43 800 X X 08 800 0 0
COM
0 9,432 176,500 X 09 175,000 0 1,500
- -
0 GALLAGHER ARTHUR J & CO 36357610 3,589 72,500 X 09 71,900 0 600
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 143 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 30 600 X X 09 0 0 600
- -
0 GALLAHER GROUP PLC 36359510 81 3,300 X 04 3,300 0 0
SPONSORED ADR
0 93 3,800 X X 04 3,800 0 0
0 216 8,850 X 08 8,850 0 0
0 109 4,468 X X 08 2,768 1,200 500
0 561 22,964 X 09 16,580 1,400 4,984
0 585 23,936 X X 09 7,500 11,500 4,936
- -
0 GANNETT INC 36473010 685 9,600 X 04 8,000 0 1,600
COM
0 186 2,600 X X 04 1,000 600 1,000
0 514 7,200 X X 05 7,200 0 0
0 2,586 36,234 X 08 36,234 0 0
0 3,466 48,566 X X 08 31,466 3,300 13,800
0 44,387 621,881 X 09 605,186 600 16,095
0 54,986 770,375 X X 09 519,625 187,650 63,100
- -
0 GAP INC DEL 36476010 8,591 170,546 X 04 136,009 0 34,537
COM
0 1,481 29,399 X X 04 5,849 0 23,550
0 353 7,012 X 05 3,862 0 3,150
0 15,834 314,313 X 06 314,313 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 144 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 29,952 594,588 X 08 593,763 0 825
0 3,583 71,134 X X 08 67,834 3,300 0
0 57,302 1,137,509 X 09 1,094,770 8,100 34,639
0 3,256 64,626 X X 09 47,226 6,750 10,650
- -
0 GATEWAY INC 36762610 159 2,700 X 04 1,000 0 1,700
COM
0 89 1,500 X X 04 0 500 1,000
0 53 900 X 05 0 0 900
0 2,224 37,650 X 09 27,610 300 9,740
0 963 16,300 X X 09 14,000 500 1,800
- -
0 GENERAL AMERN INVS INC 36880210 105 3,216 X 09 3,216 0 0
COM
0 1,620 49,453 X X 09 25,924 18,729 4,800
- -
0 GENERAL CIGAR HLDGS INC 36933P10 305 39,000 X X 04 0 0 39,000
CL A
0 102 13,000 X X 09 0 0 13,000
- -
0 GENERAL DYNAMICS CORP 36955010 3,788 55,000 X 02 0 0 55,000
COM
0 234 3,400 X 04 0 400 3,000
0 7 96 X X 04 96 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 145 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 107,531 1,561,250 X 09 1,410,950 0 150,300
0 847 12,300 X X 09 12,300 0 0
- -
0 GENERAL ELEC CO 36960410 5,876 52,000 X 01 0 0 52,000
COM
0 14,462 127,978 X 04 91,033 400 36,545
0 20,018 177,153 X X 04 96,376 25,818 54,959
0 2,894 25,614 X 05 17,007 0 8,607
0 3,847 34,044 X X 05 16,944 0 17,100
0 34,573 305,955 X 06 305,955 0 0
0 213,840 1,892,387 X 08 1,883,037 1,200 8,150
0 117,415 1,039,069 X X 08 763,963 120,100 155,006
0 810,344 7,171,183 X 09 6,204,401 93,919 872,863
0 899,443 7,959,670 X X 09 3,435,120 2,706,994 1,817,556
- -
0 GENERAL INSTR CORP DEL 37012010 4,603 108,300 X 02 0 0 108,300
COM
0 94 2,200 X 05 2,200 0 0
0 4,562 107,350 X X 05 102,700 0 4,650
0 60,688 1,427,950 X 09 1,425,700 200 2,050
0 357 8,400 X X 09 5,400 0 3,000
- -
0 GENERAL MLS INC 37033410 430 5,350 X 04 3,900 0 1,450
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 146 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,006 12,522 X X 04 4,900 150 7,472
0 2,398 29,834 X 08 29,834 0 0
0 3,429 42,659 X X 08 31,673 8,986 2,000
0 20,849 259,396 X 09 250,196 1,200 8,000
0 11,176 139,047 X X 09 41,774 73,760 23,513
- -
0 GENERAL MTRS CORP 37044210 178 2,700 X 04 700 0 2,000
COM
0 558 8,459 X X 04 3,659 1,000 3,800
0 52 782 X 05 782 0 0
0 66 1,000 X X 05 300 0 700
0 1,737 26,325 X 06 26,325 0 0
0 17,704 268,248 X 08 268,248 0 0
0 3,245 49,164 X X 08 35,616 12,600 948
0 69,857 1,058,445 X 09 1,047,741 200 10,504
0 41,425 627,654 X X 09 89,345 30,591 507,718
- -
0 GENERAL MTRS CORP 37044283 1,126 20,000 X 02 0 0 20,000
CL H NEW
0 175 3,110 X 04 1,110 0 2,000
0 40 712 X X 04 712 0 0
0 39 700 X 05 700 0 0
0 839 14,895 X 08 14,895 0 0
0 1,008 17,898 X X 08 15,098 0 2,800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 147 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18,554 329,472 X 09 318,086 0 11,386
0 3,591 63,761 X X 09 54,178 715 8,868
- -
0 GENERAL NUTRITION COS 37047F10 19 800 X 04 800 0 0
COM
0 23 1,000 X 08 1,000 0 0
0 5 200 X X 08 200 0 0
0 466 20,000 X 09 20,000 0 0
0 466 20,000 X X 09 20,000 0 0
- -
0 GENESCO INC 37153210 224 15,400 X 09 15,400 0 0
COM
0 12 800 X X 09 0 100 700
- -
0 GENESEE CORP 37160120 1,142 43,105 X 09 43,105 0 0
CL B
- -
0 GENESIS HEALTH VENTURES INC 37191210 103 34,401 X 10 34,401 0 0
COM
- -
0 GEON CO 37246W10 797 24,700 X 09 24,700 0 0
COM
- -
0 GENUINE PARTS CO 37246010 123 3,500 X 05 2,850 500 150
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 148 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 95 2,700 X X 05 800 0 1,900
0 1,967 56,199 X 08 56,199 0 0
0 3,141 89,749 X X 08 79,274 10,475 0
0 2,553 72,957 X 09 44,334 2,230 26,393
0 5,396 154,182 X X 09 94,200 28,087 31,895
- -
0 GENZYME CORP 37291710 2,445 50,411 X 06 50,411 0 0
COM GENL DIV
0 2,973 61,305 X 08 61,305 0 0
0 315 6,492 X X 08 6,492 0 0
0 1,522 31,383 X 09 31,383 0 0
0 49 1,000 X X 09 0 0 1,000
- -
0 GEORGIA PAC CORP 37329810 19 400 X 08 400 0 0
COM GA PAC GRP
0 57 1,200 X X 08 1,200 0 0
0 17,835 376,464 X 09 154,384 1,380 220,700
0 4,848 102,338 X X 09 25,142 60,100 17,096
- -
0 GEORGIA PAC CORP 37329870 2,517 99,674 X 09 97,844 230 1,600
COM-TIMBER GRP
0 1,298 51,419 X X 09 12,071 31,600 7,748
- -
0 GERBER SCIENTIFIC INC 37373010 2,623 118,900 X 06 118,900 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 149 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,698 167,600 X 08 167,600 0 0
0 887 40,200 X 09 40,200 0 0
0 37 1,687 X X 09 1,687 0 0
- -
0 GIBRALTAR STL CORP 37476F10 215 8,700 X 09 8,700 0 0
COM
- -
0 GILEAD SCIENCES INC 37555810 296 5,660 X X 08 5,660 0 0
COM
- -
0 GILLETTE CO 37576610 2,664 64,980 X 04 51,480 500 13,000
COM
0 746 18,200 X X 04 5,000 3,000 10,200
0 342 8,350 X 05 3,700 0 4,650
0 123 3,000 X X 05 0 0 3,000
0 6,564 160,100 X 06 160,100 0 0
0 38,485 938,655 X 08 932,055 0 6,600
0 18,278 445,814 X X 08 293,032 73,982 78,800
0 52,062 1,269,807 X 09 1,183,777 19,100 66,930
0 34,837 849,672 X X 09 284,737 369,330 195,605
- -
0 GLAXO WELLCOME PLC 37733W10 142 2,500 X 01 0 0 2,500
SPONSORED ADR
0 1,249 22,050 X 04 21,550 0 500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 150 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 582 10,275 X X 04 7,172 0 3,103
0 28 500 X X 05 500 0 0
0 23 400 X 08 400 0 0
0 1,661 29,325 X X 08 19,925 9,400 0
0 8,934 157,770 X 09 118,437 2,000 37,333
0 8,729 154,161 X X 09 45,385 21,988 86,788
- -
0 GLEASON CORP 37733910 1,763 104,865 X 09 104,865 0 0
COM
0 5 300 X X 09 300 0 0
- -
0 GLENBOROUGH RLTY TR INC 37803P10 175 10,000 X X 04 0 0 10,000
COM
0 945 54,000 X 09 47,000 0 7,000
0 63 3,600 X X 09 1,000 1,600 1,000
- -
0 GLOBAL INDUSTRIES LTD 37933610 8,200 640,000 X 09 640,000 0 0
COM
- -
0 GLOBAL TELESYSTEMS GROUP 37936U10 2,770 34,200 X 09 34,200 0 0
COM
- -
0 GLOBO CABO S A 37957X10 43 10,000 X 05 10,000 0 0
SPONS ADR
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 151 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 40 9,300 X X 05 0 0 9,300
0 1,134 266,800 X 09 266,800 0 0
0 30 7,000 X X 09 0 0 7,000
- -
0 GOLDEN STATE BANCORP 38119710 261 11,600 X X 08 0 0 11,600
COM
0 947 42,101 X 09 42,100 0 1
- -
0 GOLDEN STATE BANCORP 38119713 8 6,021 X 09 6,020 0 1
*W EXP 99/99/9999
0 10 7,700 X X 09 7,700 0 0
- -
0 GOLDEN WEST FINL CORP DEL 38131710 60 611 X 08 611 0 0
COM
0 528 5,389 X X 08 0 5,389 0
0 59 600 X X 09 600 0 0
- -
0 GOLDMAN SACHS GROUP INC 38141G10 36 500 X X 04 0 200 300
COM
0 14 200 X X 05 0 0 200
0 1 17 X 08 17 0 0
0 14 200 X X 08 0 200 0
0 2,904 40,200 X 09 36,900 150 3,150
0 939 13,000 X X 09 10,000 1,500 1,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 152 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
GOOD GUYS INC 38209110 750 100,000 X 09 100,000 0 0
COM
- -
0 GOODRICH B F CO 38238810 2 40 X 04 0 0 40
COM
0 13 300 X 08 300 0 0
0 247 5,800 X X 08 2,900 0 2,900
0 13 300 X 09 0 0 300
0 160 3,755 X X 09 900 1,600 1,255
- -
0 GOODYEAR TIRE & RUBR CO 38255010 9 150 X 04 150 0 0
COM
0 381 6,486 X X 04 1,976 0 4,510
0 6 100 X 05 100 0 0
0 35 600 X X 05 300 300 0
0 49 832 X 08 832 0 0
0 454 7,712 X X 08 3,312 0 4,400
0 531 9,024 X 09 4,774 50 4,200
0 658 11,196 X X 09 2,060 1,100 8,036
- -
0 GO2NET INC 38348610 368 4,000 X 09 4,000 0 0
COM
- -
0 GRACE W R & CO DEL NEW 38388F10 53 2,765 X X 04 0 2,041 724
COM
0 368 19,393 X 09 18,100 200 1,093
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 153 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 23 1,200 X X 09 1,000 0 200
- -
0 GRAHAM FIELD HEALTH PRODS IN 38463210 1 500 X 09 500 0 0
COM
0 77 51,050 X X 09 0 50,000 1,050
- -
0 GRAINGER W W INC 38480210 116 2,150 X X 08 0 0 2,150
COM
0 3,817 70,930 X 09 58,200 7,730 5,000
0 10,027 186,332 X X 09 91,300 70,728 24,304
- -
0 GREAT LAKES CHEM CORP 39056810 51 1,100 X 09 1,100 0 0
COM
0 357 7,750 X X 09 5,500 0 2,250
- -
0 GREENPOINT FINL CORP 39538410 587 17,876 X 09 17,876 0 0
COM
0 238 7,260 X X 09 2,000 0 5,260
- -
0 GRIFFIN LD & NURSERIES INC 39823110 356 30,000 X X 09 0 30,000 0
CL A
- -
0 GROUPE DANONE 39944910 246 4,700 X 09 3,950 0 750
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 154 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
GRUPO INDL DURANGO S A DE C 40048E10 4,243 393,500 X 01 0 0 393,500
SPONSORED ADR
- -
0 GRUPO IMSA S A DE C V 40048T10 326 20,400 X 09 20,400 0 0
SPONS ADR 3B2C
- -
0 GRUPO TELEVISA S A 40049J20 2,149 47,950 X 09 24,450 0 23,500
SPN ADR REPORD
- -
0 GTECH HLDGS CORP 40051810 905 38,400 X 09 38,400 0 0
COM
- -
0 GUIDANT CORP 40169810 102 2,000 X 04 1,500 0 500
COM
0 56 1,100 X X 04 0 0 1,100
0 3,653 71,445 X 06 71,445 0 0
0 13,989 273,621 X 08 271,721 0 1,900
0 2,484 48,588 X X 08 42,138 400 6,050
0 27,049 529,070 X 09 521,720 4,900 2,450
0 1,920 37,548 X X 09 22,396 12,452 2,700
- -
0 GUITAR CTR MGMT INC 40204010 53,173 5,094,164 X 07 5,094,164 0 0
COM
- -
0 GULFSTREAM AEROSPACE 40273410 1,757 26,000 X 01 0 0 26,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 155 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 122 1,800 X X 08 1,000 0 800
0 1,540 22,800 X 09 22,800 0 0
- -
0 HCC INS HLDGS INC 40413210 383 16,900 X 01 0 0 16,900
COM
0 8 339 X 08 339 0 0
0 13,687 603,250 X 09 599,250 725 3,275
0 71 3,125 X X 09 0 0 3,125
- -
0 HCR MANOR CARE INC 40413410 134 5,550 X 08 5,550 0 0
COM
0 1,328 54,898 X 09 42,050 600 12,248
0 265 10,950 X X 09 1,500 0 9,450
- -
0 HRPT PPTYS TR 40426W10 31 2,000 X 04 2,000 0 0
COM SH BEN INT
0 240 15,646 X X 04 1,546 14,100 0
0 5 300 X 08 300 0 0
0 8 500 X X 08 0 500 0
0 725 47,350 X 09 47,350 0 0
0 15 1,000 X X 09 0 0 1,000
- -
0 HSB GROUP INC 40428N10 339 8,230 X 09 8,230 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 156 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 253 6,143 X X 09 2,169 3,974 0
- -
0 HS RES INC 40429710 1,475 100,000 X 09 100,000 0 0
COM
- -
0 HADCO CORP 40468110 68 1,700 X 04 1,700 0 0
COM
0 2,767 69,600 X 06 69,600 0 0
0 3,693 92,900 X 08 92,900 0 0
0 946 23,800 X 09 23,800 0 0
- -
0 HAIN FOOD GROUP INC 40521910 852 41,300 X 09 41,200 0 100
COM
- -
0 HALLIBURTON CO 40621610 2,656 58,700 X 04 42,600 500 15,600
COM
0 652 14,400 X X 04 4,400 1,200 8,800
0 226 5,000 X 05 2,000 700 2,300
0 3,566 78,800 X X 05 77,100 400 1,300
0 4,500 99,453 X 08 99,228 0 225
0 1,980 43,749 X X 08 34,067 200 9,482
0 79,146 1,749,092 X 09 1,456,547 9,350 283,195
0 9,728 214,990 X X 09 94,560 38,460 81,970
- -
0 HAMBRECHT & QUIST GRP 40654510 284 7,700 X 09 7,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 157 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
JOHN HANCOCK BK &THRIFT OPP 40973510 8 800 X X 04 800 0 0
SH BEN INT
0 68 7,200 X 08 7,200 0 0
0 68 7,200 X X 09 6,000 0 1,200
- -
0 HANCOCK JOHN PATRIOT PFD DIV 41013J10 117 10,000 X X 09 0 0 10,000
COM
- -
0 HANDLEMAN CO DEL 41025210 135 11,427 X X 04 11,427 0 0
COM
- -
0 HANGER ORTHOPEDIC GROUP INC 41043F20 23,079 1,626,689 X 07 1,626,689 0 0
COM NEW
0 71 5,000 X 09 5,000 0 0
- -
0 HANNA M A CO 41052210 23 1,375 X 08 1,375 0 0
COM
0 199 12,125 X X 08 0 12,125 0
0 3,895 236,969 X 09 227,869 160 8,940
0 85 5,163 X X 09 0 4,316 847
- -
0 HANNAFORD BROS CO 41055010 187 3,500 X X 08 0 0 3,500
COM
0 803 15,000 X 09 15,000 0 0
0 968 18,100 X X 09 17,900 200 0
- -
0 HARBINGER CORP 41145C10 125 10,000 X X 04 0 0 10,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 158 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 100 8,000 X X 09 0 0 8,000
- -
0 HARCOURT GENERAL INC 41163G10 722 14,000 X 02 0 0 14,000
COM
0 26 500 X X 04 500 0 0
0 175 3,400 X X 08 0 0 3,400
0 1,315 25,500 X 09 25,000 0 500
0 413 8,000 X X 09 8,000 0 0
- -
0 HARBOR FLA BANCSHARES INC 41190110 1,757 143,400 X 06 143,400 0 0
COM
0 2,467 201,400 X 08 201,400 0 0
0 590 48,150 X 09 48,150 0 0
- -
0 HARLAND JOHN H CO 41269310 217 10,900 X 09 10,900 0 0
COM
- -
0 HARLEY DAVIDSON INC 41282210 114 2,100 X 04 0 0 2,100
COM
0 22 400 X X 08 200 200 0
0 8,962 164,825 X 09 163,350 875 600
0 98 1,800 X X 09 300 200 1,300
- -
0 HARLEYSVILLE GROUP INC 41282410 2,465 120,250 X 06 120,250 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 159 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,270 159,500 X 08 159,500 0 0
0 830 40,500 X 09 40,500 0 0
- -
0 HARMAN INTL INDS INC 41308610 8,897 202,200 X 09 202,200 0 0
COM
- -
0 HARMON INDS INC NEW 41313610 1,458 73,600 X 09 72,950 0 650
COM
- -
0 HARMONIC INC 41316010 3,084 53,700 X 09 53,700 0 0
COM
- -
0 HARRAHS ENTMT INC 41361910 22 1,000 X X 05 0 0 1,000
COM
0 86 3,900 X X 08 0 0 3,900
0 13,238 600,000 X 09 600,000 0 0
- -
0 HARRIS CORP DEL 41387510 8 200 X 08 200 0 0
COM
0 241 6,160 X 09 3,196 0 2,964
0 478 12,200 X X 09 4,200 4,800 3,200
- -
0 HARTE-HANKS COMMUNCATN 41619610 9,887 364,500 X 09 364,500 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 160 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 564 20,800 X X 09 0 20,800 0
- -
0 HARTFORD FINL SVCS GROUP INC 41651510 484 8,300 X 04 5,300 0 3,000
COM
0 12 200 X X 04 200 0 0
0 64 1,100 X 05 1,100 0 0
0 96 1,650 X X 05 800 0 850
0 378 6,484 X 08 6,484 0 0
0 65 1,116 X X 08 1,116 0 0
0 25,271 433,363 X 09 321,813 2,380 109,170
0 2,739 46,978 X X 09 17,330 8,110 21,538
- -
0 HASBRO INC 41805610 440 15,750 X 02 0 0 15,750
COM
0 8 300 X X 08 300 0 0
0 5,328 190,717 X 09 187,717 0 3,000
0 145 5,175 X X 09 5,175 0 0
- -
0 HAYES LEMMERZ INTL INC 42078110 37,600 1,280,000 X 03 1,130,974 0 149,026
COM
- -
0 HEALTH CARE PPTY INVS INC 42191510 29 1,000 X 04 1,000 0 0
COM
0 13 450 X X 04 150 300 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 161 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 72 2,500 X X 05 500 0 2,000
0 58 2,000 X X 08 2,000 0 0
0 5,683 196,800 X 09 151,700 2,000 43,100
0 2,205 76,359 X X 09 46,210 6,800 23,349
- -
0 HEALTHSOUTH CORP 42192410 467 31,400 X 04 22,900 0 8,500
COM
0 60 4,000 X X 04 0 0 4,000
0 3,832 257,600 X X 05 257,600 0 0
0 50,953 3,425,420 X 09 2,875,070 4,400 545,950
0 1,377 92,594 X X 09 73,619 4,250 14,725
- -
0 HEALTHCARE RLTY TR 42194610 803 38,000 X 02 0 0 38,000
COM
0 74 3,500 X X 04 3,500 0 0
0 803 38,000 X X 05 38,000 0 0
0 3,215 152,193 X 09 152,193 0 0
0 18 851 X X 09 851 0 0
- -
0 HEALTH CARE REIT INC 42217K10 9 400 X 05 400 0 0
COM
0 84 3,600 X X 08 3,600 0 0
0 563 24,200 X 09 24,200 0 0
0 70 3,000 X X 09 500 0 2,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 162 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HEARST-ARGYLE TELEVISION INC 42231710 17 695 X 09 204 0 491
COM
0 236 9,834 X X 09 9,834 0 0
- -
0 HEARX LTD 42236010 9 20,000 X 09 20,000 0 0
COM
- -
0 HEILIG MEYERS CO 42289310 1,552 227,825 X 09 227,825 0 0
COM
- -
0 HEINZ H J CO 42307410 1,709 34,100 X 04 32,600 0 1,500
COM
0 338 6,750 X X 04 5,850 0 900
0 86 1,725 X 05 1,275 450 0
0 68 1,350 X X 05 1,350 0 0
0 5,978 119,267 X 08 117,767 400 1,100
0 3,728 74,376 X X 08 37,201 4,575 32,600
0 12,353 246,441 X 09 222,946 2,100 21,395
0 17,006 339,274 X X 09 148,131 107,618 83,525
- -
0 HELLER FINANCIAL INC 42332810 302 10,860 X X 08 5,160 0 5,700
CL A
- -
0 HELMERICH & PAYNE INC 42345210 3,638 154,000 X 09 153,000 0 1,000
COM
0 111 4,680 X X 09 4,080 0 600
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 163 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HERCULES INC 42705610 12 300 X 08 300 0 0
COM
0 478 12,163 X X 08 4,963 0 7,200
0 894 22,738 X 09 21,438 1,300 0
0 996 25,336 X X 09 14,136 8,200 3,000
- -
0 HERSHEY FOODS CORP 42786610 95 1,600 X 04 1,600 0 0
COM
0 143 2,400 X X 04 2,400 0 0
0 95 1,600 X X 08 1,600 0 0
0 3,485 58,697 X 09 42,497 0 16,200
0 3,699 62,300 X X 09 17,300 21,760 23,240
- -
0 HEWLETT PACKARD CO 42823610 1,246 12,395 X 04 9,045 0 3,350
COM
0 804 8,000 X X 04 4,600 400 3,000
0 1,397 13,900 X 05 12,300 0 1,600
0 905 9,000 X X 05 1,000 0 8,000
0 3,590 35,725 X 06 35,725 0 0
0 32,262 321,011 X 08 321,011 0 0
0 11,239 111,833 X X 08 89,933 10,600 11,300
0 72,502 721,408 X 09 637,389 6,700 77,319
0 138,759 1,380,683 X X 09 635,505 280,531 464,647
- -
0 HI / FN INC 42835810 244 3,200 X 09 3,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 164 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HIGH POINT FINL CORP 42971110 263 15,276 X 09 15,276 0 0
COM
- -
0 HIGHWOODS PPTYS INC 43128410 27 1,000 X X 05 0 0 1,000
COM
0 27 1,000 X 08 1,000 0 0
0 4,843 176,500 X 09 149,500 3,000 24,000
0 310 11,300 X X 09 7,300 2,500 1,500
- -
0 HILLENBRAND INDS INC 43157310 104 2,400 X 08 2,400 0 0
COM
0 272 6,300 X 09 300 0 6,000
0 696 16,100 X X 09 10,100 3,000 3,000
- -
0 HILTON HOTELS CORP 43284810 28 2,000 X 08 2,000 0 0
COM
0 19,528 1,376,400 X X 08 1,376,400 0 0
0 206 14,500 X 09 14,500 0 0
0 213 15,000 X X 09 12,000 2,000 1,000
- -
0 HISPANIC BROADCASTING CORP 43357B10 4,932 65,000 X 09 65,000 0 0
CL A
- -
0 HITACHI LIMITED 43357850 297 3,150 X X 09 0 0 3,150
ADR 10 COM
- -
0 HITOX CORP AMER 43365810 363 153,000 X X 09 0 0 153,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 165 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HOLLYWOOD ENTMT CORP 43614110 248 12,700 X 09 12,700 0 0
COM
- -
0 HOLLYWOOD PK INC NEW 43625510 236 13,900 X 09 13,900 0 0
COM
- -
0 HOLOGIC INC 43644010 403 71,650 X 06 71,650 0 0
COM
0 618 109,950 X 08 109,950 0 0
0 167 29,750 X 09 29,750 0 0
- -
0 HOME DEPOT INC 437076AE 3,791 1,370,000 X 01 0 0 0
NOTE 3.250%10/01/01
0 28 10,000 X 04 0 0 0
0 69 25,000 X X 04 0 0 0
0 346 125,000 X 09 0 0 0
0 484 175,000 X X 09 0 0 0
- -
0 HOME DEPOT INC 43707610 5,772 89,572 X 04 62,870 0 26,702
COM
0 1,446 22,434 X X 04 14,400 0 8,034
0 239 3,702 X 05 0 0 3,702
0 10,712 166,235 X 06 166,235 0 0
0 43,707 678,279 X 08 663,879 0 14,400
0 13,736 213,161 X X 08 158,871 40,090 14,200
0 119,126 1,848,698 X 09 1,625,581 42,390 180,727
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 166 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 57,909 898,681 X X 09 294,221 135,037 469,423
- -
0 HOME PRODS INTL INC 43730510 11,332 1,333,139 X 07 1,333,139 0 0
COM
- -
0 HOME PPTYS N Y INC 43730610 3,217 116,470 X 09 111,970 0 4,500
COM
0 41 1,500 X X 09 0 0 1,500
- -
0 HOMEBASE INC 43738E10 718 113,800 X 09 113,800 0 0
COM
- -
0 HOMESTAKE MNG CO 43761410 4 500 X X 04 500 0 0
COM
0 8 1,000 X 08 0 1,000 0
0 4 484 X 09 484 0 0
0 463 56,560 X X 09 55,360 800 400
- -
0 HONEYWELL INC 43850610 4 35 X 04 35 0 0
COM
0 58 500 X X 04 0 0 500
0 154 1,333 X 05 1,333 0 0
0 98 850 X 08 850 0 0
0 22,833 197,046 X 09 184,246 300 12,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 167 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8,784 75,804 X X 09 23,634 37,700 14,470
- -
0 HORACE MANN EDUCATORS CORP N 44032710 2 81 X 08 81 0 0
COM
0 2 81 X X 08 81 0 0
0 5,410 199,000 X 09 199,000 0 0
- -
0 HOST MARRIOTT SVCS CORP 44091410 259 31,870 X X 04 0 0 31,870
COM
- -
0 HOSPITALITY PPTYS TR 44106M10 1,058 39,000 X 09 39,000 0 0
COM SH BEN INT
- -
0 HOST MARRIOTT CORP NEW 44107P10 19 1,641 X 04 0 0 1,641
COM
0 1,108 93,269 X X 04 0 0 93,269
0 894 75,300 X 09 75,300 0 0
- -
0 HOUSEHOLD INTL INC 44181510 7,187 151,700 X 02 0 0 151,700
COM
0 272 5,750 X X 04 5,750 0 0
0 71 1,500 X 05 1,500 0 0
0 2,255 47,600 X X 05 47,600 0 0
0 403 8,500 X X 08 8,000 0 500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 168 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 54,054 1,140,991 X 09 1,109,741 1,270 29,980
0 3,827 80,771 X X 09 64,749 2,400 13,622
- -
0 HUB GROUP INC 44332010 1,122 50,000 X 09 50,000 0 0
CL A
- -
0 HUBBELL INC 44351010 120 3,000 X 09 3,000 0 0
CL A
0 961 24,100 X X 09 22,000 0 2,100
- -
0 HUBBELL INC 44351020 23 500 X 04 500 0 0
CL B
0 1,443 31,791 X X 04 31,791 0 0
0 3 61 X 08 61 0 0
0 3 62 X X 08 62 0 0
0 221 4,876 X 09 4,343 0 533
0 895 19,718 X X 09 14,668 4,250 800
- -
0 HUDSON HOTELS CORP 44379410 253 245,573 X 09 245,573 0 0
COM
- -
0 HUGOTON RTY TR TEX 44471710 204 20,000 X 04 0 20,000 0
UNIT BEN INT
- -
0 HUMANA INC 44485910 218 16,850 X 08 16,850 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 169 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 273 21,100 X X 08 20,800 300 0
0 23 1,800 X 09 0 0 1,800
0 148 11,470 X X 09 0 3,000 8,470
- -
0 HUMAN GENOME SCIENCES 44490310 770 19,500 X 09 19,500 0 0
COM
- -
0 HUNTINGTON BANCSHARES INC 44615010 310 8,864 X X 04 0 0 8,864
COM
0 256 7,328 X 09 7,328 0 0
0 122 3,488 X X 09 0 0 3,488
- -
0 HUTCHINSON TECHNOLOGY 44840710 777 28,000 X 09 28,000 0 0
COM
- -
0 IBP INC 44922310 15 622 X 08 622 0 0
COM
0 485 20,400 X 09 20,400 0 0
- -
0 ICG COMMUNICATIONS INC 44924610 11 500 X X 08 500 0 0
COM
0 1,248 58,400 X 09 58,400 0 0
- -
0 IDEC PHARMACEUTICALS 44937010 8,901 115,500 X 09 115,000 500 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 170 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
IMC GLOBAL INC 44966910 2 105 X 04 105 0 0
COM
0 16 908 X X 08 0 908 0
0 6,201 356,913 X 09 356,911 0 2
0 72 4,171 X X 09 314 3,057 800
- -
0 IMS HEALTH INC 44993410 13 400 X 04 400 0 0
COM
0 88 2,800 X X 04 0 2,800 0
0 504 16,133 X 05 1,333 0 14,800
0 8,897 284,710 X 08 283,110 1,000 600
0 4,227 135,258 X X 08 79,458 21,300 34,500
0 8,880 284,154 X 09 137,512 4,640 142,002
0 8,220 263,049 X X 09 47,692 94,100 121,257
- -
0 ISB FINL CORP LA 45009110 1,414 65,750 X 06 65,750 0 0
COM
0 1,901 88,400 X 08 88,400 0 0
0 476 22,150 X 09 22,150 0 0
- -
0 ISS GROUP INC 45030610 499 13,224 X X 04 0 0 13,224
COM
0 14 366 X 08 366 0 0
0 955 25,300 X 09 25,300 0 0
- -
0 ITC DELTACOM INC 45031T10 1,120 40,000 X 08 40,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 171 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,080 110,000 X 09 110,000 0 0
- -
0 ITI TECHNOLOGIES INC 45056410 810 35,800 X 09 35,800 0 0
COM
- -
0 ITLA CAP CORP 45056510 1,251 79,400 X 06 79,400 0 0
COM
0 1,705 108,250 X 08 108,250 0 0
0 421 26,750 X 09 26,750 0 0
- -
0 ITT EDUCATIONAL SERVICES INC 45068B10 15,672 601,300 X 09 601,300 0 0
COM
- -
0 IXC COMMUNICATIONS INC 45071310 5,347 136,000 X 09 136,000 0 0
COM
- -
0 IXL ENTERPRISES INC 45071810 213,372 7,939,427 X 10 7,939,427 0 0
COM
- -
0 ITT INDS INC IND 45091110 4 100 X X 04 100 0 0
COM
0 44 1,150 X 05 250 700 200
0 1 33 X 08 33 0 0
0 12 325 X X 08 325 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 172 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 523 13,731 X 09 13,477 0 254
0 367 9,627 X X 09 5,727 1,500 2,400
- -
0 IDACORP INC 45110710 252 8,000 X X 08 8,000 0 0
COM
0 126 4,000 X 09 4,000 0 0
0 63 2,000 X X 09 2,000 0 0
- -
0 IDEXX LABS CORP 45168D10 924 39,650 X 09 39,650 0 0
COM
- -
0 IKON OFFICE SOLUTIONS 45171310 214 14,280 X 09 8,480 0 5,800
COM
0 82 5,449 X X 09 5,200 249 0
- -
0 ILLINOIS TOOL WKS INC 45230810 49 600 X 04 300 0 300
COM
0 82 1,000 X 05 1,000 0 0
0 1,578 19,300 X 06 19,300 0 0
0 16,704 204,335 X 08 201,635 0 2,700
0 7,441 91,026 X X 08 68,476 16,650 5,900
0 48,009 587,268 X 09 553,268 7,000 27,000
0 16,281 199,152 X X 09 30,354 128,870 39,928
- -
0 IMATION CORP 45245A10 12 475 X 04 475 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 173 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 740 X X 04 280 60 400
0 3 130 X 08 130 0 0
0 2 100 X X 08 100 0 0
0 879 35,420 X 09 35,240 0 180
0 147 5,938 X X 09 1,977 1,901 2,060
- -
0 IMCLONE SYSTEMS INC 45245W10 508 20,000 X 09 0 0 20,000
COM
0 51 2,000 X X 09 0 0 2,000
- -
0 IMMUNEX CORP NEW 45252810 273 2,140 X X 08 2,140 0 0
COM
0 51 400 X X 09 0 200 200
- -
0 IMPATH INC 45255G10 3,760 139,250 X 06 139,250 0 0
COM
0 5,069 187,750 X 08 187,750 0 0
0 4,409 163,300 X 09 163,300 0 0
- -
0 IMPERIAL OIL LTD 45303840 9 450 X 08 450 0 0
COM NEW
0 19 1,026 X 09 1,026 0 0
0 341 18,000 X X 09 12,000 0 6,000
- -
0 INCO LTD 45325840 2 100 X 08 100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 174 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 941 52,300 X 09 51,500 0 800
0 68 3,750 X X 09 1,400 550 1,800
- -
0 INCYTE PHARMACEUTICALS INC 45337C10 10 385 X 08 385 0 0
COM
0 475 17,950 X 09 17,950 0 0
- -
0 INDEPENDENCE CMNTY BK CORP 45341410 270 20,000 X 09 20,000 0 0
COM
0 78 5,758 X X 09 0 5,758 0
- -
0 INFINITY BROADCASTING CP NEW 45662S10 263 8,900 X X 08 0 0 8,900
CL A
0 207 7,000 X 09 6,000 0 1,000
0 59 2,000 X X 09 1,000 0 1,000
- -
0 INFOSEEK CORP 45678M10 10 200 X 04 200 0 0
COM
0 240 5,000 X X 09 5,000 0 0
- -
0 ING GROEP N V 45683710 6 100 X X 04 100 0 0
SPONSORED ADR
0 6 101 X 08 101 0 0
0 22 400 X X 08 400 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 175 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,748 31,780 X 09 30,480 0 1,300
0 22 400 X X 09 400 0 0
- -
0 INGERSOLL RAND CO 45686610 854 13,207 X 04 10,582 0 2,625
COM
0 394 6,100 X X 04 1,300 750 4,050
0 2,844 44,000 X X 05 44,000 0 0
0 7,171 110,960 X 08 110,160 500 300
0 6,080 94,088 X X 08 61,352 29,957 2,779
0 77,963 1,206,395 X 09 1,001,415 0 204,980
0 8,139 125,940 X X 09 13,600 65,575 46,765
- -
0 INKTOMI CORP 45727710 26 200 X 04 200 0 0
COM
0 533 4,050 X 09 3,050 0 1,000
0 1,013 7,705 X X 09 7,705 0 0
- -
0 INSURED MUN INCOME FD 45809F10 4 300 X X 04 300 0 0
COM
0 369 28,000 X 08 28,000 0 0
- -
0 INTEGRA INC 45811M10 15 11,748 X X 04 0 0 11,748
COM
- -
0 INTEGRATED HEALTH SVCS 45812C10 1,596 199,458 X 04 0 0 199,458
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 176 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 102 12,783 X 09 2,550 0 10,233
0 64 8,000 X X 09 4,400 500 3,100
- -
0 INTEL CORP 45814010 1,178 19,794 X 01 0 0 19,794
COM
0 7,792 130,960 X 04 106,060 0 24,900
0 4,330 72,770 X X 04 37,050 7,950 27,770
0 643 10,800 X 05 9,200 0 1,600
0 4,891 82,200 X X 05 80,700 0 1,500
0 24,964 419,565 X 06 419,565 0 0
0 93,472 1,570,961 X 08 1,561,361 0 9,600
0 41,612 699,364 X X 08 509,420 80,494 109,450
0 238,399 4,006,699 X 09 3,468,460 72,479 465,760
0 205,972 3,461,712 X X 09 1,566,830 757,402 1,137,480
- -
0 INTELLICORP INC 45815310 11 11,000 X 09 11,000 0 0
COM
- -
0 INTELLIQUEST INFORMATION GRO 45816H10 707 94,301 X 09 92,750 0 1,551
COM
0 10 1,300 X X 09 0 0 1,300
- -
0 INTER TEL INC 45837210 838 45,900 X 09 45,900 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 177 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
INTERFACE INC 45866510 3 400 X X 08 0 400 0
CL A
0 6,009 696,700 X 09 689,600 0 7,100
0 28 3,200 X X 09 0 800 2,400
- -
0 INTERIM SVCS INC 45868P10 825 40,000 X 08 40,000 0 0
COM
0 268 13,000 X 09 7,000 0 6,000
- -
0 INTERMEDIA COMMUNICATIONS IN 45880110 210 7,000 X 09 7,000 0 0
COM
- -
0 INTERNATIONAL BUS MACH 45920010 4,860 37,600 X 01 0 0 37,600
COM
0 12,340 95,472 X 04 80,196 1,000 14,276
0 7,399 57,243 X X 04 43,843 6,400 7,000
0 918 7,100 X 05 5,300 0 1,800
0 4,277 33,088 X X 05 0 0 33,088
0 31,257 241,830 X 06 241,830 0 0
0 116,573 901,915 X 08 901,815 0 100
0 24,675 190,910 X X 08 165,990 21,220 3,700
0 555,108 4,294,841 X 09 3,835,079 56,616 403,146
0 973,439 7,531,445 X X 09 2,105,565 1,149,598 4,276,282
- -
0 INTL FLAVORS FRAGRANCE 45950610 114 2,600 X 08 2,600 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 178 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 317 7,200 X X 08 5,100 0 2,100
0 747 16,970 X 09 15,170 0 1,800
0 1,813 41,198 X X 09 17,398 15,600 8,200
- -
0 INTERNATIONAL HOME FOODS INC 45965510 46,857 2,541,333 X 03 2,541,333 0 0
COM
0 100 5,400 X X 08 0 0 5,400
- -
0 INTERNATIONL GAME TECH 45990210 1,665 90,000 X 05 0 0 90,000
COM
0 21,503 1,162,300 X 09 1,157,000 0 5,300
0 4 200 X X 09 0 0 200
- -
0 INTERNATIONAL NETWORK SVCS 46005310 1,159 28,700 X 09 28,700 0 0
COM
0 371 9,201 X 10 9,201 0 0
- -
0 INTERNATIONAL PAPER CO 46014610 1,307 26,000 X 02 0 0 26,000
COM
0 80 1,584 X 04 1,300 0 284
0 69 1,379 X X 04 0 0 1,379
0 40 800 X 05 600 0 200
0 30 600 X X 05 0 0 600
0 1,030 20,500 X 06 20,500 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 179 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,529 129,934 X 08 129,934 0 0
0 2,727 54,260 X X 08 42,560 6,100 5,600
0 11,945 237,703 X 09 223,157 624 13,922
0 10,698 212,892 X X 09 126,604 45,776 40,512
- -
0 INTL SPECIALTY PRODS INC NEW 46033710 51 5,000 X 09 5,000 0 0
COM
0 66 6,500 X X 09 0 6,500 0
- -
0 INTERPUBLIC GROUP COS INC 46069010 74 850 X 04 850 0 0
COM
0 127 1,470 X X 04 0 0 1,470
0 433 5,000 X 05 3,000 0 2,000
0 91 1,050 X 08 1,050 0 0
0 1,457 16,825 X X 08 16,825 0 0
0 13,089 151,102 X 09 125,052 300 25,750
0 12,070 139,331 X X 09 10,650 63,750 64,931
- -
0 INTRANET SOLUTIONS INC 46093930 254 30,100 X 09 30,100 0 0
COM NEW
- -
0 INTERVOICE INC 46114210 1,011 70,000 X X 04 0 0 70,000
COM
0 358 24,800 X 09 24,800 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 180 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
INTUIT 46120210 442 4,900 X 05 4,900 0 0
COM
0 1,785 19,805 X 08 19,805 0 0
0 1,848 20,510 X X 08 17,260 3,250 0
0 41 450 X 09 450 0 0
0 18 200 X X 09 200 0 0
- -
0 INVESTMENT TECHNOLOGY GRP NE 46145F10 495 15,400 X 09 15,400 0 0
COM
- -
0 INVESTORS FINL SERVICES CORP 46191510 7,700 192,500 X 09 192,500 0 0
COM
0 5 130 X X 09 130 0 0
- -
0 IPALCO ENTERPRISES INC 46261310 64 3,000 X 08 3,000 0 0
COM
0 53 2,500 X X 08 2,500 0 0
0 690 32,552 X X 09 30,152 2,400 0
- -
0 IRON MTN INC DEL 46284P10 4,043 141,250 X 08 141,250 0 0
COM
0 993 34,700 X 09 34,700 0 0
0 34 1,172 X X 09 0 1,172 0
- -
0 IT GROUP INC 46526610 880 54,800 X 09 54,800 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 181 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
IVAX CORP 46582310 162 11,500 X X 08 0 0 11,500
COM
0 44 3,100 X 09 3,000 0 100
0 14 1,000 X X 09 0 0 1,000
- -
0 J & J SNACK FOODS CORP 46603210 4,680 195,000 X 09 195,000 0 0
COM
- -
0 JLG INDUSTRIES INC 46621010 432 21,200 X 09 21,200 0 0
COM
- -
0 JP REALTY INC 46624A10 1,536 74,700 X 09 74,700 0 0
COM
- -
0 JACOBS ENGR GROUP INC DEL 46981410 2,968 78,100 X 06 78,100 0 0
COM
0 4,001 105,300 X 08 105,300 0 0
0 4,912 129,250 X 09 129,250 0 0
- -
0 JACOR COMMUNUNICATIONS INC 469858AB 3,150 6,000,000 X 01 0 0 0
FRNT 2/09/18
- -
0 JEFFERIES GROUP INC NEW 47231910 447 15,400 X 09 15,400 0 0
COM
- -
0 JEFFERSON PILOT CORP 47507010 84 1,264 X 04 0 0 1,264
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 182 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 353 5,330 X X 04 0 0 5,330
0 60 900 X 09 900 0 0
0 243 3,675 X X 09 0 3,675 0
- -
0 JO-ANN STORES INC 47758P10 450 30,000 X 09 30,000 0 0
CL A
- -
0 JO-ANN STORES INC 47758P20 390 30,000 X 09 30,000 0 0
CL B NON VTG
- -
0 JOHNS MANVILLE CORP NEW 47812910 148 10,700 X X 09 10,700 0 0
COM
- -
0 JOHNSON & JOHNSON 47816010 4,342 44,302 X 04 27,702 0 16,600
COM
0 5,126 52,306 X X 04 16,425 6,242 29,639
0 902 9,200 X 05 5,800 0 3,400
0 1,607 16,400 X X 05 16,000 0 400
0 12,488 127,430 X 06 127,430 0 0
0 77,857 794,455 X 08 792,955 500 1,000
0 37,245 380,049 X X 08 271,512 36,131 72,406
0 224,929 2,295,194 X 09 2,066,008 23,162 206,024
0 329,354 3,360,750 X X 09 1,129,502 1,128,534 1,102,714
- -
0 JOHNSON CTLS INC 47836610 2,958 42,680 X 04 36,000 0 6,680
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 183 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 423 6,100 X X 04 5,100 0 1,000
0 72 1,040 X 05 600 0 440
0 94 1,360 X X 05 840 0 520
0 281 4,050 X 08 4,050 0 0
0 31,397 452,981 X 09 313,841 1,300 137,840
0 4,472 64,514 X X 09 47,414 4,800 12,300
- -
0 JOHNSON WORLDWIDE ASSOC INC 47925410 488 53,500 X 09 53,500 0 0
CL A
- -
0 JONES APPAREL GROUP INC 48007410 377 11,000 X X 08 0 0 11,000
COM
0 13,547 394,800 X 09 390,000 0 4,800
- -
0 JUST FOR FEET INC 48213P10 3,000 466,000 X 03 466,000 0 0
COM
0 148 23,000 X X 08 23,000 0 0
0 14 2,250 X X 09 0 0 2,250
- -
0 KLA-TENCOR CORP 48248010 6,157 94,900 X 06 94,900 0 0
COM
0 7,725 119,075 X 08 119,075 0 0
0 65 1,000 X X 08 1,000 0 0
0 30,986 477,625 X 09 476,325 0 1,300
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 184 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 260 4,000 X X 09 0 1,000 3,000
- -
0 K MART CORP 48258410 264 16,000 X 02 0 0 16,000
COM
0 120 7,260 X 08 7,260 0 0
0 3 200 X X 08 200 0 0
0 31,959 1,936,920 X 09 1,922,415 0 14,505
0 684 41,456 X X 09 31,731 1,600 8,125
- -
0 KANSAS CITY SOUTHN INDS INC 48517010 15,698 246,000 X 09 246,000 0 0
COM
0 850 13,320 X X 09 0 6,000 7,320
- -
0 KAYDON CORP 48658710 235 7,000 X 09 0 0 7,000
COM
- -
0 KEEBLER FOODS CO 48725610 1,623 53,200 X 02 0 0 53,200
COM
0 1,129 37,000 X X 05 37,000 0 0
0 2,495 81,800 X 09 81,800 0 0
- -
0 KEITHLEY INSTRS INC 48758410 268 30,000 X 09 30,000 0 0
COM
- -
0 KELLOGG CO 48783610 30 900 X 04 900 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 185 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 119 3,600 X 05 3,600 0 0
0 92 2,800 X X 05 0 0 2,800
0 1,330 40,317 X 08 40,317 0 0
0 2,205 66,825 X X 08 23,600 7,625 35,600
0 5,118 155,093 X 09 141,534 0 13,559
0 8,375 253,776 X X 09 45,810 190,300 17,666
- -
0 KELLEY OIL & GAS CORP 48790610 1,023 4,670,771 X 03 0 0 4,670,771
COM
0 0 420 X X 08 420 0 0
0 1 6,356 X X 09 0 0 6,356
- -
0 KELLSTROM INDS INC 48803510 241 13,200 X 09 13,200 0 0
COM
- -
0 KELLWOOD CO 48804410 397 14,650 X 02 0 0 14,650
COM
0 1,357 50,033 X 09 39,550 0 10,483
0 58 2,133 X X 09 0 0 2,133
- -
0 KEMET CORP 48836010 952 41,500 X 09 41,500 0 0
COM
- -
0 KENNAMETAL INC 48917010 709 22,884 X 08 21,884 500 500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 186 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 313 10,100 X X 08 10,100 0 0
0 1,420 45,816 X 09 37,916 0 7,900
0 182 5,875 X X 09 5,675 0 200
- -
0 KERR-MCGEE CORP 492386AL 248 251,000 X 09 0 0 0
SDCV 7.500% 5/15/14
0 329 332,000 X X 09 0 0 0
- -
0 KERR-MCGEE CORP 49238610 0 2 X 08 2 0 0
COM
0 315 6,269 X X 08 3,969 0 2,300
0 15 300 X 09 300 0 0
0 103 2,053 X X 09 906 0 1,147
- -
0 KEYCORP NEW 49326710 3 100 X 01 0 0 100
COM
0 121 3,762 X 04 3,422 0 340
0 139 4,326 X X 04 1,926 2,400 0
0 45 1,400 X X 05 0 0 1,400
0 48 1,500 X 08 1,500 0 0
0 484 15,074 X X 08 3,374 2,300 9,400
0 1,442 44,894 X 09 33,162 0 11,732
0 2,757 85,834 X X 09 57,412 3,522 24,900
- -
0 KILROY RLTY CORP 49427F10 280 11,500 X 09 5,500 0 6,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 187 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 105 4,300 X X 09 300 0 4,000
- -
0 KIMBERLY CLARK CORP 49436810 8,038 141,020 X 02 0 0 141,020
COM
0 416 7,300 X 04 6,100 0 1,200
0 701 12,300 X X 04 4,550 3,600 4,150
0 325 5,700 X 05 4,200 300 1,200
0 2,143 37,600 X X 05 37,200 0 400
0 4,613 80,924 X 08 80,924 0 0
0 3,771 66,153 X X 08 63,253 900 2,000
0 37,063 650,223 X 09 612,872 13,400 23,951
0 30,059 527,354 X X 09 105,897 393,644 27,813
- -
0 KIMCO REALTY CORP 49446R10 1,262 31,750 X 09 27,250 0 4,500
COM
0 20 500 X X 09 0 0 500
- -
0 KINDER MORGAN ENERGY PARTNER 49455010 89 2,405 X 08 2,405 0 0
UT LTD PARTNER
0 148 4,000 X X 08 4,000 0 0
0 296 8,000 X 09 1,000 0 7,000
0 241 6,500 X X 09 3,000 3,000 500
- -
0 KING PHARMACEUTICALS INC 49558210 5,615 217,000 X 09 217,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 188 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
KLAMATH FIRST BANCORP INC 49842P10 2,433 162,200 X 08 162,200 0 0
COM
0 614 40,950 X 09 40,950 0 0
- -
0 KMART FING I 49877820 23,546 402,500 X 09 402,500 0 0
PFD TRCV 7.75%
- -
0 KNIGHT RIDDER INC 49904010 1,988 36,100 X 01 0 0 36,100
COM
0 446 8,100 X 08 8,100 0 0
0 611 11,100 X X 08 11,100 0 0
0 77,092 1,400,078 X 09 1,400,078 0 0
0 2,398 43,552 X X 09 810 0 42,742
- -
0 KNIGHT/TRIMARK GROUP INC 49906710 1,842 30,200 X 09 30,200 0 0
CL A
- -
0 KOHLS CORP 50025510 150 1,950 X 04 1,950 0 0
COM
0 16 210 X X 04 0 0 210
0 431 5,610 X 08 5,610 0 0
0 784 10,200 X X 08 10,200 0 0
0 31 400 X 09 0 400 0
0 38 500 X X 09 0 500 0
- -
0 KOMAG INC 50045310 133 40,100 X 09 40,100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 189 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
KONINKLIJKE AHOLD N V 50046730 69 2,000 X 04 0 0 2,000
SPNSRD ADR NEW
0 208 6,000 X 05 0 0 6,000
0 14 400 X X 05 0 0 400
0 86 2,484 X X 08 2,484 0 0
0 118 3,400 X 09 1,000 0 2,400
- -
0 KONINKLIJKE PHILIPS ELECTRS 50047220 107 1,058 X 04 598 0 460
SPNSRD ADR NEW
0 247 2,452 X 08 2,452 0 0
0 371 3,680 X X 08 3,680 0 0
0 6,858 67,986 X 09 54,489 0 13,497
0 1,222 12,117 X X 09 8,773 0 3,344
- -
0 KOREA TELECOM 50063P10 1,558 38,938 X 09 38,938 0 0
SPONSORED ADR
- -
0 KOREA FD 50063410 223 15,000 X 09 0 15,000 0
COM
- -
0 KROGER CO 50104410 1,190 42,600 X 04 35,200 800 6,600
COM
0 240 8,600 X X 04 2,600 2,000 4,000
0 671 24,000 X 05 17,000 0 7,000
0 2,613 93,512 X X 05 86,800 0 6,712
0 12,047 431,200 X 06 431,200 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 190 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 23,718 848,944 X 08 838,444 0 10,500
0 1,415 50,650 X X 08 40,450 2,200 8,000
0 150,863 5,399,904 X 09 4,601,454 56,200 742,250
0 6,743 241,360 X X 09 151,160 46,400 43,800
- -
0 LG&E ENERGY CORP 50191710 69 3,300 X 04 3,200 0 100
COM
0 61 2,902 X X 04 2,902 0 0
0 91 4,342 X 08 4,342 0 0
0 96 4,550 X 09 2,750 0 1,800
0 290 13,821 X X 09 2,839 5,137 5,845
- -
0 LTV CORP 50192110 133 20,000 X 02 0 0 20,000
COM
0 2,298 346,908 X 09 344,008 0 2,900
0 8 1,200 X X 09 0 0 1,200
- -
0 LNR PPTY CORP 50194010 385 18,000 X 09 18,000 0 0
COM
- -
0 LSI INDS INC 50216C10 6,659 276,000 X 09 272,800 0 3,200
COM
0 48 2,000 X X 09 0 0 2,000
- -
0 LSI LOGIC CORP 50216110 46 1,000 X 04 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 191 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 219 4,750 X X 08 250 0 4,500
0 23 502 X 09 500 0 2
0 23 500 X X 09 0 0 500
- -
0 LTC PPTYS INC 50217510 52 4,000 X X 08 4,000 0 0
COM
0 35 2,700 X 09 2,700 0 0
0 113 8,700 X X 09 6,400 0 2,300
- -
0 LA Z BOY INC 50533610 587 25,500 X 09 25,500 0 0
COM
- -
0 LACLEDE GAS CO 50558810 1,157 49,750 X 06 49,750 0 0
COM
0 1,580 67,950 X 08 67,950 0 0
0 394 16,950 X 09 16,950 0 0
- -
0 LADISH INC 50575420 133 17,100 X 06 17,100 0 0
COM NEW
- -
0 LAFARGE CORP 50586210 5 130 X 08 130 0 0
COM
0 514 14,500 X 09 14,500 0 0
- -
0 LAKEHEAD PIPE LINE PARTNERS 51155710 7 150 X 08 150 0 0
COM UNIT-CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 192 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 101 2,300 X 09 900 0 1,400
0 580 13,200 X X 09 2,600 5,400 5,200
- -
0 LAM RESEARCH CORP 51280710 934 20,000 X 02 0 0 20,000
COM
0 10,466 224,166 X 09 211,200 0 12,966
0 428 9,166 X X 09 4,600 0 4,566
- -
0 LAMAR ADVERTISING CO 51281510 8 200 X X 08 200 0 0
CL A
0 6,499 158,750 X 09 158,750 0 0
- -
0 LANDEC CORP 51476610 5,115 1,341,527 X 07 1,341,527 0 0
COM
- -
0 LASER-PACIFIC MEDIA CORP 51792310 3,062 512,993 X 09 512,993 0 0
COM
- -
0 LASON INC 51808R10 4,615 93,000 X 09 93,000 0 0
COM
- -
0 LAUDER ESTEE COS INC 51843910 241 4,800 X 04 4,300 0 500
CL A
0 50 1,000 X X 05 0 0 1,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 193 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,309 66,020 X 08 66,020 0 0
0 3,011 60,070 X X 08 55,870 3,600 600
0 2,515 50,180 X 09 50,180 0 0
0 86 1,720 X X 09 320 1,400 0
- -
0 LAWSON PRODS INC 52077610 1,511 60,000 X 09 60,000 0 0
COM
- -
0 LEAR CORP 52186510 234 4,710 X 09 2,110 200 2,400
COM
0 40 800 X X 09 0 0 800
- -
0 LEGGETT & PLATT INC 52466010 89 3,200 X 08 3,200 0 0
COM
0 189 6,800 X X 08 6,800 0 0
0 106 3,800 X 09 0 0 3,800
- -
0 LEHMAN BROS HLDGS INC 52490810 40 650 X 04 650 0 0
COM
0 8 123 X X 04 123 0 0
0 851 13,700 X 08 13,700 0 0
0 3,659 58,890 X 09 56,910 0 1,980
0 2,295 36,941 X X 09 8,187 3,720 25,034
- -
0 LEVEL 3 COMMUNICATIONS INC 52729N10 1,802 30,000 X 09 30,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 194 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
LEXMARK INTL GROUP INC 52977110 2,515 38,400 X 02 0 0 38,400
CL A
0 766 11,700 X 04 6,600 0 5,100
0 20 300 X X 04 300 0 0
0 2,096 32,000 X X 05 32,000 0 0
0 413 6,300 X 08 6,300 0 0
0 18 280 X X 08 280 0 0
0 25,493 389,210 X 09 381,010 600 7,600
0 111 1,700 X X 09 1,700 0 0
- -
0 LIBERTY PPTY TR 53117210 2,811 113,000 X 09 98,000 0 15,000
SH BEN INT
0 157 6,300 X X 09 4,600 0 1,700
- -
0 LIFEPOINT HOSPITALS INC 53219L10 12 919 X 04 773 0 146
COM
0 2 156 X X 04 36 0 120
0 55 4,109 X 08 4,109 0 0
0 7 534 X X 08 534 0 0
0 374 27,831 X 09 27,118 5 708
0 16 1,180 X X 09 284 261 635
- -
0 LILLY ELI & CO 53245710 15 211 X 01 0 0 211
COM
0 566 7,900 X 04 5,100 0 2,800
0 274 3,820 X X 04 2,000 0 1,820
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 195 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 64 900 X 05 400 0 500
0 3,474 48,500 X X 05 46,100 0 2,400
0 10,937 152,700 X 06 152,700 0 0
0 31,268 436,549 X 08 436,549 0 0
0 7,097 99,092 X X 08 59,714 19,578 19,800
0 25,536 356,523 X 09 310,303 6,650 39,570
0 34,608 483,177 X X 09 162,206 95,278 225,693
- -
0 LIMITED INC 53271610 129,168 2,846,672 X 09 0 0 2,846,672
COM
0 89,911 1,981,513 X X 09 750 837 1,979,926
- -
0 LINCOLN ELEC HLDGS INC 53390010 312 15,200 X X 09 15,200 0 0
COM
- -
0 LINCOLN NATL CORP IND 53418710 586 11,200 X X 05 0 0 11,200
COM
0 105 2,000 X 08 2,000 0 0
0 910 17,400 X X 08 1,200 0 16,200
0 565 10,800 X 09 8,800 0 2,000
0 1,569 30,000 X X 09 20,000 0 10,000
- -
0 LINEAR TECHNOLOGY CORP 53567810 54 800 X 04 800 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 196 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 81 1,200 X X 04 0 0 1,200
0 477 7,100 X 05 4,400 0 2,700
0 204 3,030 X X 08 3,030 0 0
0 770 11,450 X 09 11,450 0 0
0 6,375 94,800 X X 09 800 9,000 85,000
- -
0 LINENS N THINGS INC 53567910 9,581 219,000 X 09 219,000 0 0
COM
- -
0 LITHIA MTRS INC 53679710 2,388 116,500 X 06 116,500 0 0
CL A
0 3,251 158,575 X 08 158,575 0 0
0 748 36,500 X 09 36,500 0 0
- -
0 LITTELFUSE INC 53700810 8 400 X 05 0 0 400
COM
0 560 29,072 X 09 4,600 1,400 23,072
0 674 35,000 X X 09 23,200 0 11,800
- -
0 LITTON INDS INC 53802110 296 4,100 X X 08 0 0 4,100
COM
0 404 5,600 X 09 5,000 0 600
0 39 540 X X 09 0 40 500
- -
0 LIZ CLAIBORNE INC 53932010 818 22,400 X 01 0 0 22,400
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 197 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11 300 X 05 300 0 0
0 73 2,000 X X 08 0 0 2,000
0 338 9,250 X 09 9,250 0 0
0 115 3,144 X X 09 0 1,300 1,844
- -
0 LO-JACK CORP 53945110 2,060 245,950 X 06 245,950 0 0
COM
0 2,852 340,550 X 08 340,550 0 0
0 667 79,700 X 09 79,700 0 0
- -
0 LOCKHEED MARTIN CORP 53983010 2 60 X 04 60 0 0
COM
0 35 948 X X 04 948 0 0
0 1,438 38,600 X 06 38,600 0 0
0 6,589 176,894 X 08 176,894 0 0
0 5,514 148,014 X 09 144,446 300 3,268
0 171 4,596 X X 09 488 2,672 1,436
- -
0 LODGIAN INC 54021P10 66 10,000 X X 09 10,000 0 0
COM
- -
0 LOEWS CORP 54042410 4 53 X 04 53 0 0
COM
0 119 1,500 X X 04 1,500 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 198 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 59 750 X 08 750 0 0
0 35 440 X X 08 440 0 0
0 30,694 387,922 X 09 387,772 0 150
0 435 5,500 X X 09 2,300 3,000 200
- -
0 LONE STAR INDS INC 54229040 364 9,700 X 09 9,700 0 0
COM NEW
- -
0 LONE STAR STEAKHOUSE SALOON 54230710 341 35,100 X 09 35,100 0 0
COM
- -
0 LOUIS DREYFUS NAT GAS CORP 54601110 3,263 151,344 X 06 151,344 0 0
COM
0 4,986 231,216 X 08 231,216 0 0
0 1,386 64,278 X 09 64,278 0 0
- -
0 LOUISIANA PAC CORP 54634710 86 3,600 X 05 3,400 0 200
COM
0 16 650 X X 05 0 0 650
0 43 1,782 X X 08 1,782 0 0
0 249 10,432 X 09 10,432 0 0
0 1,832 76,736 X X 09 2,036 74,700 0
- -
0 LOWES COS INC 54866110 170 3,000 X X 04 0 0 3,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 199 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 74 1,300 X 08 1,300 0 0
0 47 830 X X 08 830 0 0
0 129 2,273 X 09 300 1,973 0
0 3,129 55,200 X X 09 29,600 17,600 8,000
- -
0 LUBRIZOL CORP 54927110 11 400 X 05 400 0 0
COM
0 20 750 X X 05 750 0 0
0 12 450 X 08 450 0 0
0 47 1,740 X X 08 1,740 0 0
0 614 22,550 X 09 19,550 0 3,000
0 387 14,200 X X 09 2,500 1,400 10,300
- -
0 LUBYS INC 54928210 150 10,000 X 08 10,000 0 0
COM
0 3 200 X X 08 0 200 0
- -
0 LUCENT TECHNOLOGIES INC 54946310 134,105 1,988,562 X 01 0 0 1,988,562
COM
0 7,800 115,666 X 04 91,638 0 24,028
0 5,525 81,920 X X 04 44,818 11,719 25,383
0 1,835 27,210 X 05 17,084 0 10,126
0 4,051 60,066 X X 05 60,066 0 0
0 23,471 348,042 X 06 348,042 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 200 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 94,086 1,395,145 X 08 1,385,987 1,296 7,862
0 32,755 485,707 X X 08 415,853 51,208 18,646
0 181,953 2,698,079 X 09 2,248,460 70,139 379,480
0 108,575 1,610,004 X X 09 726,129 537,806 346,069
- -
0 LUFKIN INDS INC 54976410 350 17,493 X X 08 17,493 0 0
COM
- -
0 LYDALL INC DEL 55081910 5,599 486,900 X 09 484,300 0 2,600
COM
0 10 900 X X 09 0 0 900
- -
0 LYONDELL CHEMICAL CO 55207810 2,553 123,800 X 06 123,800 0 0
COM
0 3,413 165,500 X 08 165,500 0 0
0 101 4,900 X X 08 0 0 4,900
0 923 44,750 X 09 44,750 0 0
0 41 2,000 X X 09 0 0 2,000
- -
0 M & T BK CORP 55261F10 1,650 3,000 X X 09 0 0 3,000
COM
- -
0 MBIA INC 55262C10 65 1,000 X 04 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 201 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 136 2,100 X X 04 550 0 1,550
0 91 1,400 X 05 200 0 1,200
0 3,382 52,234 X 08 52,234 0 0
0 1,117 17,250 X X 08 12,150 1,900 3,200
0 1,723 26,610 X 09 21,510 0 5,100
0 3,237 49,992 X X 09 30,183 4,709 15,100
- -
0 MBNA CORP 55262L10 153 5,000 X 04 5,000 0 0
COM
0 147 4,800 X X 08 4,800 0 0
0 38,349 1,252,211 X 09 848,636 1,600 401,975
0 40,138 1,310,642 X X 09 316,652 2,250 991,740
- -
0 MCN ENERGY GROUP INC 55267J10 48 2,296 X X 08 1,296 1,000 0
COM
0 68 3,273 X 09 2,507 370 396
0 168 8,104 X X 09 5,332 592 2,180
- -
0 M D C HLDGS INC 55267610 254 11,800 X 09 11,800 0 0
COM
- -
0 MCI WORLDCOM INC 55268B10 8,907 103,490 X 01 0 0 103,490
COM
0 5,354 62,206 X 04 48,370 400 13,436
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 202 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,475 17,144 X X 04 5,950 3,600 7,594
0 448 5,203 X 05 2,603 0 2,600
0 1,799 20,900 X X 05 20,000 0 900
0 16,255 188,870 X 06 188,870 0 0
0 57,189 664,505 X 08 658,605 0 5,900
0 14,641 170,120 X X 08 142,290 11,369 16,461
0 219,777 2,553,676 X 09 2,043,096 49,070 461,510
0 101,850 1,183,441 X X 09 594,082 184,070 405,289
- -
0 MDU RESOURCES GROUP 55269010 161 7,042 X 08 7,042 0 0
COM
0 10 450 X 09 450 0 0
0 164 7,200 X X 09 7,200 0 0
- -
0 MFS INTER INCOME TR 55273C10 40 6,175 X X 04 5,000 0 1,175
SH BEN INT
0 48 7,500 X X 08 7,500 0 0
0 6 900 X 09 0 0 900
- -
0 M S CARRIERS INC 55353310 2,390 80,600 X 06 80,600 0 0
COM
0 3,212 108,300 X 08 108,300 0 0
0 7,196 242,650 X 09 240,450 0 2,200
0 24 800 X X 09 0 0 800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 203 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MACDERMID INC 55427310 2,353 50,600 X 09 50,600 0 0
COM
- -
0 MACERICH CO 55438210 1,352 51,500 X 09 51,500 0 0
COM
- -
0 MACK CALI RLTY CORP 55448910 4,843 156,550 X 09 134,550 3,000 19,000
COM
0 90 2,900 X X 09 400 0 2,500
- -
0 MACROVISION CORP 55590410 7,735 103,300 X 09 38,300 0 65,000
COM
- -
0 MACROMEDIA INC 55610010 303 8,600 X 09 8,600 0 0
COM
- -
0 MADE2MANAGE SYS INC 55646610 131 16,200 X 09 16,200 0 0
COM
- -
0 MAGNA INTL INC 55922240 23 400 X 04 0 0 400
CL A
0 193 3,400 X X 09 3,400 0 0
- -
0 MAIN STR BANCORP INC 55990610 62 4,280 X 09 4,280 0 0
COM
0 114 7,847 X X 09 0 7,847 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 204 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MAIL-WELL INC 56032120 254 15,700 X 09 15,700 0 0
COM
- -
0 MALLINCKRODT INC 56123210 480 13,200 X 09 13,200 0 0
COM
0 288 7,920 X X 09 3,870 4,050 0
- -
0 MANUFACTURED HOME CMNTYS INC 56468210 780 30,000 X 02 0 0 30,000
COM
0 780 30,000 X X 05 30,000 0 0
0 14,526 558,700 X 09 557,700 0 1,000
0 26 1,000 X X 09 0 0 1,000
- -
0 MARINE DRILLING COS INC 56824020 858 62,700 X 09 62,700 0 0
COM PAR $0.01
- -
0 MARINER POST-ACUTE NETWORK I 56845910 1,460 2,592,594 X 03 2,592,594 0 0
COM
- -
0 MARK VII INC 57041410 826 49,700 X 09 49,700 0 0
COM
- -
0 MARKETWATCH COM INC 57061910 236 4,000 X X 09 4,000 0 0
COM
- -
0 MARSH & MCLENNAN COS INC 57174810 2,271 30,000 X 02 0 0 30,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 205 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 61 800 X 04 800 0 0
0 876 11,576 X 08 11,576 0 0
0 2,299 30,379 X X 08 10,580 0 19,799
0 51,153 675,840 X 09 666,090 3,000 6,750
0 6,689 88,382 X X 09 21,537 62,510 4,335
- -
0 MARRIOTT INTL INC NEW 57190320 180 4,820 X 04 1,000 0 3,820
CL A
0 6,580 176,042 X X 04 4,000 0 172,042
0 37 1,000 X 05 1,000 0 0
0 4,408 117,952 X 09 116,102 700 1,150
0 6,872 183,872 X X 09 170,430 4,800 8,642
- -
0 MARSHALL INDS 57239310 1,384 38,500 X 09 38,500 0 0
COM
- -
0 MARVEL ENTERPRISES INC 57383M10 9,505 1,288,778 X 09 1,288,778 0 0
COM
- -
0 MASCO CORP 57459910 375 13,000 X 02 0 0 13,000
COM
0 663 22,950 X 04 18,450 0 4,500
0 370 12,800 X X 04 0 0 12,800
0 13 450 X 05 250 0 200
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 206 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 40 1,400 X X 05 0 0 1,400
0 83 2,882 X 08 1,582 0 1,300
0 144 5,000 X X 08 5,000 0 0
0 42,524 1,472,709 X 09 1,230,159 0 242,550
0 2,425 83,974 X X 09 42,556 11,200 30,218
- -
0 MASCOTECH INC 574670AB 413 500,000 X 09 0 0 0
SDCV 4.500%12/15/03
0 483 585,000 X X 09 0 0 0
- -
0 MASTECH CORP 57632N10 3,298 177,100 X 09 177,100 0 0
COM
0 257 13,800 X X 09 4,000 4,000 5,800
- -
0 MATRIX PHARMACEUTICAL INC 57684410 50 12,000 X X 04 0 0 12,000
COM
0 4 1,000 X 09 1,000 0 0
- -
0 MATTEL INC 57708110 75 2,879 X 04 1,879 1,000 0
COM
0 87 3,326 X X 04 0 0 3,326
0 81 3,100 X 05 1,500 0 1,600
0 4,047 154,926 X 08 154,926 0 0
0 2,842 108,775 X X 08 68,378 35,672 4,725
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 207 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,845 223,735 X 09 215,238 1,400 7,097
0 394 15,090 X X 09 4,660 3,191 7,239
- -
0 MAXIM INTEGRATED PRODS INC 57772K10 2,195 33,000 X X 05 33,000 0 0
COM
0 547 8,220 X X 08 8,220 0 0
0 2,660 40,000 X 09 40,000 0 0
0 1,197 18,000 X X 09 0 18,000 0
- -
0 MAXTOR CORP 57772920 100 19,800 X X 08 19,800 0 0
COM NEW
- -
0 MAXWELL TECHNOLOGIES INC 57776710 2,406 100,000 X 09 100,000 0 0
COM
- -
0 MAY DEPT STORES CO 57777810 176 4,297 X 04 4,125 0 172
COM
0 40 975 X X 04 975 0 0
0 80 1,950 X 05 750 0 1,200
0 1,978 48,400 X 08 47,800 300 300
0 2,295 56,148 X X 08 23,498 2,500 30,150
0 7,875 192,663 X 09 177,354 4,065 11,244
0 5,102 124,812 X X 09 49,479 51,716 23,617
- -
0 MAXIMUS INC 57793310 6,828 237,500 X 09 237,500 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 208 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MAYTAG CORP 57859210 74 1,060 X 08 260 0 800
COM
0 230 3,300 X X 08 3,300 0 0
0 14 200 X 09 0 200 0
0 677 9,700 X X 09 9,400 100 200
- -
0 MCCLATCHY CO 57948910 918 27,700 X 09 27,700 0 0
CL A
- -
0 MCCORMICK & CO INC 57978020 5,004 158,545 X 08 158,545 0 0
COM NON VTG
0 3,818 120,965 X X 08 107,515 12,450 1,000
0 339 10,750 X 09 10,750 0 0
- -
0 MCDERMOTT INTL INC 58003710 34 1,200 X X 08 0 0 1,200
COM
0 22,332 790,500 X 09 785,000 0 5,500
- -
0 MCDONALDS CORP 58013510 2,673 65,000 X 01 0 0 65,000
COM
0 592 14,406 X 04 8,700 0 5,706
0 475 11,540 X X 04 6,400 0 5,140
0 33 800 X 05 800 0 0
0 3,757 91,350 X 06 91,350 0 0
0 13,817 335,969 X 08 335,969 0 0
0 5,512 134,041 X X 08 109,641 1,600 22,800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 209 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 74,730 1,817,151 X 09 1,740,126 9,300 67,725
0 76,624 1,863,195 X X 09 433,919 593,296 835,980
- -
0 MCGRATH RENTCORP 58058910 3,000 150,000 X 09 150,000 0 0
COM
- -
0 MCGRAW HILL COS INC 58064510 189 3,500 X 04 2,500 0 1,000
COM
0 76 1,400 X X 04 1,400 0 0
0 135 2,500 X 05 2,500 0 0
0 97 1,800 X 08 1,800 0 0
0 4,790 88,800 X X 08 59,600 0 29,200
0 6,032 111,836 X 09 107,116 0 4,720
0 7,879 146,072 X X 09 97,100 23,200 25,772
- -
0 MCKESSON HBOC INC 58155Q10 24 740 X 04 0 0 740
COM
0 13 400 X X 04 400 0 0
0 4 125 X 05 125 0 0
0 80 2,500 X X 05 1,000 500 1,000
0 132 4,100 X X 08 4,100 0 0
0 176 5,472 X 09 5,172 300 0
0 405 12,574 X X 09 12,174 400 0
- -
0 MEAD CORP 58283410 919 22,000 X 02 0 0 22,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 210 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 17 400 X 04 400 0 0
0 317 7,600 X X 04 1,000 0 6,600
0 21 500 X X 05 500 0 0
0 17 400 X 08 400 0 0
0 92 2,200 X X 08 0 0 2,200
0 2,323 55,646 X 09 53,646 0 2,000
0 693 16,600 X X 09 6,800 9,800 0
- -
0 MEDAR INC 58402910 620 283,200 X 09 279,300 0 3,900
COM
- -
0 MEDE AMER CORP 58406710 559 14,800 X 09 14,800 0 0
COM
- -
0 MEDIAONE GROUP INC 58440J10 33,893 455,700 X 01 0 0 455,700
COM
0 94 1,269 X 04 869 0 400
0 711 9,560 X X 04 3,455 100 6,005
0 556 7,472 X 08 6,684 0 788
0 636 8,553 X X 08 7,019 894 640
0 6,403 86,088 X 09 73,721 634 11,733
0 18,071 242,975 X X 09 174,588 18,414 49,973
- -
0 MEDIAONE GROUP INC 58440J20 7,642 51,009 X X 09 42,653 0 8,356
PFD CV SER D
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 211 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MEDICAL MANAGER CORP 58461C10 407 9,200 X 09 9,200 0 0
COM
- -
0 MEDQUIST INC 58494910 5,723 130,800 X 06 130,800 0 0
COM
0 7,709 176,200 X 08 176,200 0 0
0 5,893 134,700 X 09 134,700 0 0
- -
0 MEDITRUST CORP 58501TAA 343 350,000 X 09 0 0 0
SDCV 9.000% 1/01/02
0 146 149,000 X X 09 0 0 0
- -
0 MEDITRUST CORP 58501T30 13 1,000 X X 04 1,000 0 0
PAIRED CTF NEW
0 4 298 X 08 298 0 0
0 21 1,632 X X 08 1,320 312 0
0 764 58,487 X 09 56,095 0 2,392
0 126 9,650 X X 09 6,000 1,000 2,650
- -
0 MEDPARTNERS INC 58503X10 98 13,000 X X 08 0 0 13,000
COM
0 18 2,465 X 09 2,042 0 423
0 50 6,697 X X 09 422 302 5,973
- -
0 MEDTRONIC INC 58505510 4,107 52,743 X 04 48,443 0 4,300
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 212 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 623 8,000 X X 04 1,500 800 5,700
0 485 6,225 X 05 700 0 5,525
0 2,336 30,000 X X 05 30,000 0 0
0 3,070 39,425 X 06 39,425 0 0
0 25,820 331,559 X 08 325,959 0 5,600
0 14,795 189,978 X X 08 166,678 11,700 11,600
0 49,121 630,769 X 09 495,491 25,705 109,573
0 33,670 432,362 X X 09 60,625 79,257 292,480
- -
0 MELLON BK CORP 58550910 1,499 41,200 X 04 40,900 0 300
COM
0 73 2,000 X X 04 2,000 0 0
0 22 600 X 05 600 0 0
0 18 500 X X 05 0 0 500
0 7,034 193,380 X 08 192,780 0 600
0 8,245 226,670 X X 08 168,270 58,400 0
0 49,524 1,361,485 X 09 1,322,203 10,400 28,882
0 3,556 97,746 X X 09 31,196 5,200 61,350
- -
0 MEMBERWORKS INC 58600210 708 24,400 X 09 24,400 0 0
COM
- -
0 MENS WEARHOUSE INC 58711810 1,607 63,000 X 09 63,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 213 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MENTOR GRAPHICS CORP 58720010 146 11,400 X 09 11,400 0 0
COM
0 58 4,500 X X 09 0 0 4,500
- -
0 MERCANTILE BANCORP INC 58734210 19,885 348,100 X 09 348,100 0 0
COM
0 422 7,396 X X 09 7,396 0 0
- -
0 MERCANTILE BANKSHARES CORP 58740510 201 5,695 X 09 5,695 0 0
COM
- -
0 MERCK & CO INC 58933110 844 11,464 X 01 0 0 11,464
COM
0 5,206 70,712 X 04 52,222 0 18,490
0 9,582 130,142 X X 04 65,902 14,600 49,640
0 4,373 59,400 X 05 8,850 0 50,550
0 4,359 59,200 X X 05 29,000 0 30,200
0 17,625 239,395 X 06 239,395 0 0
0 114,011 1,548,537 X 08 1,542,337 400 5,800
0 38,161 518,315 X X 08 310,951 50,164 157,200
0 331,654 4,504,634 X 09 4,120,219 47,888 336,527
0 496,119 6,738,458 X X 09 2,722,429 1,483,961 2,532,068
- -
0 MERITOR AUTOMOTIVE INC 59000G10 137 5,379 X 08 5,379 0 0
COM
0 200 7,833 X 09 7,833 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 214 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 144 5,637 X X 09 4,837 0 800
- -
0 MERRILL CORP 59017510 570 39,300 X 09 39,300 0 0
COM
- -
0 MERRILL LYNCH & CO INC 59018810 256 3,226 X 01 0 0 3,226
COM
0 3,180 40,000 X 02 0 0 40,000
0 533 6,700 X 04 5,600 0 1,100
0 689 8,670 X X 04 4,350 0 4,320
0 342 4,300 X 05 4,300 0 0
0 40 500 X X 05 0 0 500
0 6,761 85,050 X 06 85,050 0 0
0 13,485 169,625 X 08 169,625 0 0
0 1,202 15,125 X X 08 14,525 0 600
0 66,101 831,465 X 09 698,040 2,760 130,665
0 8,272 104,053 X X 09 39,850 42,063 22,140
- -
0 MESA AIR GROUP INC 59047910 589 78,400 X 09 78,400 0 0
COM
- -
0 MET PRO CORP 59087630 2,208 176,625 X 09 176,625 0 0
COM
- -
0 METAL MGMT INC 59109710 17 11,000 X 04 11,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 215 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
METAMOR WORLDWIDE INC 59133P10 963 40,000 X 09 40,000 0 0
COM
- -
0 METRIS COS INC 59159810 8,970 220,114 X 09 0 208,114 12,000
COM
- -
0 METROMEDIA FIBER NETWORK INC 59168910 3,666 102,000 X 09 100,000 0 2,000
CL A
0 75 2,100 X X 09 100 0 2,000
- -
0 METRO NETWORKS INC 59191810 2,674 50,100 X 06 50,100 0 0
COM
0 3,437 64,400 X 08 64,400 0 0
0 857 16,050 X 09 16,050 0 0
- -
0 METTLER TOLEDO INTERNATIONAL 59268810 27 1,049 X X 08 1,049 0 0
COM
0 33 1,300 X 09 0 1,300 0
0 3,825 150,000 X X 09 0 0 150,000
- -
0 METZLER GROUP INC 59290310 3,316 120,025 X 06 120,025 0 0
COM
0 4,517 163,500 X 08 163,500 0 0
0 12,202 441,700 X 09 441,700 0 0
- -
0 MICHAELS STORES INC 59408710 31 1,000 X 08 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 216 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,403 45,800 X 09 45,800 0 0
- -
0 MICREL INC 59479310 659 8,900 X 09 8,900 0 0
COM
- -
0 MICROS SYS INC 59490110 5,814 171,000 X 09 171,000 0 0
COM
- -
0 MICROSOFT CORP 59491810 2,660 29,499 X 01 0 0 29,499
COM
0 4,229 46,892 X 04 22,972 1,000 22,920
0 4,208 46,663 X X 04 26,000 1,200 19,463
0 1,165 12,920 X 05 11,670 0 1,250
0 4,554 50,500 X X 05 49,300 0 1,200
0 45,214 501,335 X 06 501,335 0 0
0 169,984 1,884,772 X 08 1,877,320 200 7,252
0 50,980 565,267 X X 08 456,691 79,976 28,600
0 285,941 3,170,494 X 09 2,797,996 44,632 327,866
0 170,086 1,885,908 X X 09 418,775 325,147 1,141,986
- -
0 MICROSOFT CORP 59491820 260 2,600 X X 09 2,600 0 0
PFD A CV EXCH
- -
0 MICROCHIP TECHNOLOGY INC 59501710 76 1,600 X X 08 0 0 1,600
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 217 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 21,177 447,000 X 09 447,000 0 0
- -
0 MICROFINANCIAL INC 59507210 2,362 165,000 X 09 165,000 0 0
COM
- -
0 MICRON TECHNOLOGY INC 59511210 2,228 55,000 X 09 55,000 0 0
COM
0 196 4,850 X X 09 4,850 0 0
- -
0 MID-AMER APT CMNTYS INC 59522J10 289 12,500 X 09 1,000 0 11,500
COM
0 12 500 X X 09 0 500 0
- -
0 MIDAMERICAN ENERGY HLDGS NEW 59562V10 509 14,700 X 09 12,700 0 2,000
COM
- -
0 MIDAS GROUP INC 59562610 20 700 X X 08 700 0 0
COM
0 295 10,400 X 09 10,400 0 0
0 6 200 X X 09 0 0 200
- -
0 MIDCAP SPDR TR 59563510 86 1,095 X X 08 1,095 0 0
UNIT SER 1
0 155 1,970 X 09 0 0 1,970
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 218 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MILACRON INC 59870910 9 500 X X 05 500 0 0
COM
0 39 2,100 X 08 2,100 0 0
0 13,917 752,288 X 09 748,188 0 4,100
0 65 3,500 X X 09 3,500 0 0
- -
0 MILLENNIUM CHEMICALS 59990310 7 300 X 08 300 0 0
COM
0 18,435 782,385 X 09 780,967 0 1,418
0 10 406 X X 09 142 264 0
- -
0 MILLER HERMAN INC 60054410 2,100 100,000 X 09 100,000 0 0
COM
- -
0 MILLER INDUSTRIES INC 60055110 55 14,000 X 09 14,000 0 0
COM
0 59 15,000 X X 09 0 15,000 0
- -
0 MILLIPORE CORP 60107310 24 600 X X 08 0 0 600
COM
0 16 400 X 09 400 0 0
0 264 6,500 X X 09 6,500 0 0
- -
0 MINDSPRING ENTERPRISES INC 60268310 9 200 X 04 200 0 0
COM
0 27 600 X 09 600 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 219 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 323 7,300 X X 09 0 0 7,300
- -
0 MINERALS TECHNOLOGIES INC 60315810 7,898 141,500 X 09 140,500 0 1,000
COM
0 128 2,300 X X 09 0 1,500 800
- -
0 MINIMED INC 60365K10 616 8,000 X 09 8,000 0 0
COM
- -
0 MINNESOTA MNG & MFG CO 60405910 859 9,876 X 04 8,676 0 1,200
COM
0 1,452 16,697 X X 04 6,297 600 9,800
0 104 1,200 X 05 500 0 700
0 391 4,500 X X 05 4,000 0 500
0 6,186 71,152 X 08 70,152 1,000 0
0 7,578 87,171 X X 08 72,381 8,870 5,920
0 37,435 430,599 X 09 391,121 6,898 32,580
0 54,731 629,539 X X 09 246,758 269,567 113,214
- -
0 MINNESOTA PWR INC 60411010 12 584 X X 04 584 0 0
COM
0 16 800 X 09 800 0 0
0 243 12,240 X X 09 12,240 0 0
- -
0 MIRAGE RESORTS INC 60462E10 21 1,250 X 04 0 0 1,250
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 220 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8 500 X 08 500 0 0
0 55 3,300 X X 08 3,300 0 0
0 24,522 1,464,000 X 09 1,440,000 0 24,000
- -
0 MOBIL CORP 60705910 7,801 79,002 X 04 62,682 0 16,320
COM
0 2,266 22,944 X X 04 13,224 3,800 5,920
0 2,500 25,314 X 05 13,600 0 11,714
0 1,995 20,200 X X 05 20,000 0 200
0 5,905 59,800 X 06 59,800 0 0
0 46,114 466,979 X 08 464,479 200 2,300
0 26,232 265,640 X X 08 202,578 9,466 53,596
0 205,377 2,079,770 X 09 1,720,765 29,496 329,509
0 238,180 2,411,946 X X 09 1,206,017 408,258 797,671
- -
0 MOHAWK INDUSTRIES INC 60819010 2,351 77,400 X 06 77,400 0 0
COM
0 3,221 106,055 X 08 106,055 0 0
0 734 24,150 X 09 24,150 0 0
- -
0 MOLECULAR DEVICES CORP 60851C10 6,521 173,900 X 08 173,900 0 0
COM
0 1,494 39,850 X 09 39,850 0 0
- -
0 MOLEX INC 60855410 58 1,562 X 04 1,562 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 221 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 223 6,023 X 08 6,023 0 0
0 75 2,030 X X 08 468 0 1,562
0 7,317 197,761 X 09 153,386 0 44,375
0 4,080 110,260 X X 09 10,850 51,968 47,442
- -
0 MOLEX INC 60855420 1,226 38,921 X 08 38,921 0 0
CL A
0 472 14,983 X X 08 14,783 0 200
0 954 30,278 X 09 23,435 0 6,843
0 2,100 66,669 X X 09 976 3,720 61,973
- -
0 MONACO COACH CORP 60886R10 542 12,800 X 09 12,800 0 0
COM
- -
0 MONSANTO CO 61166210 579 14,640 X 04 8,600 0 6,040
COM
0 248 6,260 X X 04 760 0 5,500
0 1,267 32,023 X 05 25,873 0 6,150
0 127 3,200 X X 05 0 500 2,700
0 3,278 82,855 X 06 82,855 0 0
0 16,800 424,650 X 08 424,650 0 0
0 2,349 59,382 X X 08 53,075 700 5,607
0 23,119 584,352 X 09 532,137 12,650 39,565
0 11,820 298,760 X X 09 142,625 107,990 48,145
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 222 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MONTANA POWER COMPANY 61208510 197 2,800 X 04 0 0 2,800
COM
0 324 4,600 X X 04 4,600 0 0
0 39 560 X X 08 560 0 0
0 4,762 67,550 X 09 63,750 3,800 0
0 1,368 19,399 X X 09 11,100 6,400 1,899
- -
0 MOORE LTD 61578510 129 15,400 X 09 13,000 0 2,400
COM
0 0 17 X X 09 0 0 17
- -
0 MORGAN J P & CO INC 61688010 1,385 9,859 X 04 9,059 0 800
COM
0 2,614 18,605 X X 04 10,099 2,500 6,006
0 70 500 X 05 350 0 150
0 21 150 X X 05 0 0 150
0 1,883 13,400 X 06 13,400 0 0
0 10,595 75,410 X 08 75,410 0 0
0 3,574 25,440 X X 08 15,809 9,506 125
0 81,263 578,387 X 09 518,065 23,466 36,856
0 98,707 702,541 X X 09 262,432 173,700 266,409
- -
0 MORGAN KEEGAN INC 61741010 347 18,300 X 09 18,300 0 0
COM
- -
0 MORGAN STAN DEAN WITTR 61744644 1,671 16,278 X 01 0 0 16,278
COM NEW
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 223 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,832 27,600 X 04 26,100 500 1,000
0 1,519 14,797 X X 04 10,891 1,700 2,206
0 365 3,554 X 05 1,754 0 1,800
0 1,883 18,350 X X 05 18,150 0 200
0 5,549 54,075 X 06 54,075 0 0
0 11,447 111,543 X 08 110,543 0 1,000
0 1,003 9,770 X X 08 8,301 269 1,200
0 128,648 1,253,572 X 09 1,018,136 14,872 220,564
0 15,863 154,572 X X 09 62,489 70,401 21,682
- -
0 MORRISON HEALTH CARE INC 61841L10 2,457 98,283 X 09 97,851 0 432
COM
0 56 2,254 X X 09 2,254 0 0
- -
0 MOTIVEPOWER INDS INC 61980K10 3,497 189,050 X 06 189,050 0 0
COM
0 4,696 253,825 X 08 253,825 0 0
0 6,385 345,125 X 09 345,125 0 0
- -
0 MOTOROLA INC 620076AJ 161 150,000 X 08 0 0 0
NOTE 9/27/13
0 54 50,000 X X 08 0 0 0
- -
0 MOTOROLA INC 62007610 701 7,400 X 04 5,400 0 2,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 224 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 648 6,841 X X 04 4,141 2,400 300
0 291 3,075 X 05 2,000 0 1,075
0 197 2,075 X X 05 300 250 1,525
0 12,419 131,075 X 06 131,075 0 0
0 30,873 325,839 X 08 325,839 0 0
0 10,379 109,536 X X 08 86,941 15,495 7,100
0 87,001 918,218 X 09 876,919 8,099 33,200
0 31,438 331,795 X X 09 231,369 63,426 37,000
- -
0 MUELLER INDS INC 62475610 34 1,000 X 08 1,000 0 0
COM
0 468 13,800 X 09 13,800 0 0
- -
0 MULTEX COM INC 62536710 79,475 3,042,118 X 07 3,042,118 0 0
COM
- -
0 MUNIVEST FD INC 62629510 55 5,800 X X 04 5,300 0 500
COM
0 205 21,539 X 08 21,539 0 0
- -
0 MUNIYIELD FD INC 62629910 15 1,023 X X 04 1,023 0 0
COM
0 144 10,008 X 08 10,008 0 0
- -
0 MUNIYIELD INSD FD INC 62630E10 28 2,000 X X 04 2,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 225 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 769 54,671 X 08 54,671 0 0
0 4 305 X 09 305 0 0
0 28 2,000 X X 09 0 0 2,000
- -
0 MURPHY OIL CORP 62671710 822 16,830 X 09 15,630 0 1,200
COM
0 461 9,450 X X 09 8,050 1,400 0
- -
0 MUTUAL RISK MGMT LTD 62835110 3,037 91,000 X 09 90,000 1,000 0
COM
0 167 5,000 X X 09 0 5,000 0
- -
0 MYERS INDS INC 62846410 6,397 319,866 X 09 316,126 0 3,740
COM
0 103 5,170 X X 09 0 3,740 1,430
- -
0 MYLAN LABS INC 62853010 48 1,828 X 08 1,828 0 0
COM
0 157 5,940 X 09 2,400 0 3,540
0 61 2,300 X X 09 300 0 2,000
- -
0 NABI INC 62871610 1,800 639,900 X X 09 0 0 639,900
COM
- -
0 NCI BUILDING SYS INC 62885210 2,630 123,050 X 06 123,050 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 226 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,548 166,000 X 08 166,000 0 0
0 1,097 51,300 X 09 51,300 0 0
- -
0 NCO GROUP INC 62885810 6,692 176,100 X 09 176,100 0 0
COM
- -
0 NCR CORP NEW 62886E10 153,090 3,136,250 X 03 2,000,000 0 1,136,250
COM
0 3 61 X 04 61 0 0
0 53 1,077 X X 04 432 31 614
0 3 68 X 08 68 0 0
0 52 1,071 X X 08 775 271 25
0 10,656 218,308 X 09 217,078 38 1,192
0 719 14,729 X X 09 8,447 3,660 2,622
- -
0 NEC CORP 62905020 334 5,294 X X 09 0 0 5,294
ADR
- -
0 NFO WORLDWIDE INC 62910N10 11,346 810,450 X 09 805,600 150 4,700
COM
0 79 5,625 X X 09 0 0 5,625
- -
0 NUCO2 INC 62942810 5,697 651,042 X 03 651,042 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 227 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4 500 X 09 500 0 0
- -
0 NABISCO GROUP HLDG CORP 62952P10 2 90 X 04 90 0 0
COM
0 13 642 X X 04 500 0 142
0 16 814 X 05 0 0 814
0 72 3,658 X X 08 3,658 0 0
0 510 26,077 X 09 23,361 40 2,676
0 105 5,357 X X 09 1,754 1,303 2,300
- -
0 NABISCO HLDGS CORP 62952610 275 6,400 X 09 6,400 0 0
CL A
- -
0 NABORS INDS INC 62956810 233 9,570 X X 08 9,570 0 0
COM
- -
0 NACCO INDS INC 62957910 382 5,200 X 09 5,200 0 0
CL A
- -
0 NALCO CHEM CO 62985310 322 6,200 X X 04 6,200 0 0
COM
0 13 250 X 08 250 0 0
0 659 12,700 X X 08 0 0 12,700
0 600 11,574 X 09 8,916 0 2,658
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 228 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 789 15,200 X X 09 9,800 3,000 2,400
- -
0 NATIONAL BANCORP ALASKA 63258710 550 20,736 X X 09 20,736 0 0
COM
- -
0 NATIONAL CITY CORP 63540510 2,001 30,550 X 04 19,400 0 11,150
COM
0 288 4,400 X X 04 300 500 3,600
0 98 1,500 X 05 1,500 0 0
0 46 700 X 08 700 0 0
0 229 3,500 X X 08 3,500 0 0
0 1,947 29,720 X 09 23,420 400 5,900
0 2,659 40,600 X X 09 6,300 30,200 4,100
- -
0 NATIONAL COMM BANCORP 63544910 5,250 240,000 X 09 240,000 0 0
COM
- -
0 NATIONAL COMPUTER SYS INC 63551910 4,334 128,400 X 06 128,400 0 0
COM
0 6,162 182,580 X 08 182,580 0 0
0 1,586 47,000 X 09 47,000 0 0
- -
0 NATIONAL DATA CORP 63562110 86 2,000 X X 08 0 0 2,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 229 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 128 3,000 X 09 3,000 0 0
0 29 675 X X 09 0 0 675
- -
0 NATIONAL FUEL GAS CO N J 63618010 39 800 X 04 0 0 800
COM
0 10 200 X X 08 200 0 0
0 509 10,500 X 09 9,200 0 1,300
0 431 8,886 X X 09 3,326 5,560 0
- -
0 NATIONAL HEALTH INVS INC 63633D10 6 255 X X 08 0 255 0
COM
0 378 16,552 X 09 8,368 2,350 5,834
0 87 3,800 X X 09 0 0 3,800
- -
0 NATIONAL R V HLDGS INC 63727710 410 16,900 X 09 16,900 0 0
COM
- -
0 NATIONAL SEMICONDUCTOR CORP 63764010 13 500 X 08 500 0 0
COM
0 377 14,882 X X 08 82 0 14,800
0 94 3,700 X 09 0 1,000 2,700
- -
0 NATIONAL SVC INDS INC 63765710 25 700 X 04 700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 230 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 162 4,500 X X 04 1,500 3,000 0
0 479 13,300 X 09 10,200 0 3,100
0 590 16,399 X X 09 5,799 6,700 3,900
- -
0 NATIONAL WESTMINSTER BK PLC 63853940 65 500 X X 05 0 0 500
ADR
0 488 3,759 X 09 3,759 0 0
0 134 1,031 X X 09 1,031 0 0
- -
0 NATIONWIDE FINL SVCS 63861210 18,005 397,900 X 09 397,900 0 0
CL A
- -
0 NATIONWIDE HEALTH PPTYS INC 63862010 15 800 X 04 800 0 0
COM
0 13 700 X X 05 700 0 0
0 6,113 320,677 X 09 232,377 3,000 85,300
0 2,333 122,386 X X 09 73,504 3,800 45,082
- -
0 NATURAL MICROSYSTEMS 63888210 954 99,800 X 09 99,800 0 0
COM
- -
0 NAVISTAR INTL CORP 63934E10 615 12,305 X 09 12,300 0 5
COM
- -
0 NEIMAN MARCUS GROUP INC 64020410 101 3,950 X 09 3,950 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 231 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 125 4,850 X X 09 4,400 0 450
- -
0 NETWORK ASSOCIATES INC 64093810 11 750 X X 04 0 0 750
COM
0 2 150 X 08 150 0 0
0 2,345 159,622 X 09 157,822 0 1,800
0 666 45,323 X X 09 15,200 11,075 19,048
- -
0 NETWORK EQUIP TECHNOLOGIES 641208AA 2,145 2,959,000 X 09 0 0 0
SDCV 7.250% 5/15/14
- -
0 NEW CENTURY ENERGIES INC 64352U10 29 750 X 04 0 0 750
COM
0 132 3,400 X X 04 3,400 0 0
0 16 400 X X 05 400 0 0
0 390 10,060 X 08 10,060 0 0
0 339 8,737 X X 08 6,438 0 2,299
0 479 12,336 X 09 10,651 0 1,685
0 644 16,584 X X 09 5,737 5,006 5,841
- -
0 NEW ENGLAND ELEC SYS 64400110 112 2,228 X X 04 1,888 340 0
COM
0 5 100 X X 08 0 100 0
0 548 10,928 X 09 5,828 0 5,100
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 232 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 701 13,990 X X 09 2,100 5,520 6,370
- -
0 NEW ERA OF NETWORKS INC 64431210 879 20,000 X 09 20,000 0 0
COM
0 3,638 82,790 X X 09 82,790 0 0
- -
0 NEW PLAN EXCEL RLTY TR INC 64805310 22 1,200 X 08 1,200 0 0
COM
0 33 1,850 X X 08 1,850 0 0
0 189 10,500 X 09 10,300 200 0
0 29 1,608 X X 09 708 0 900
- -
0 NEW YORK TIMES CO 65011110 3,354 91,100 X 04 75,700 0 15,400
CL A
0 718 19,500 X X 04 14,100 1,800 3,600
0 37 1,000 X 05 1,000 0 0
0 2,304 62,600 X X 05 62,600 0 0
0 600 16,300 X 08 16,300 0 0
0 157 4,255 X X 08 4,255 0 0
0 50,299 1,366,341 X 09 1,056,421 5,500 304,420
0 8,348 226,756 X X 09 41,280 56,028 129,448
- -
0 NEWBRIDGE NETWORKS CORP 65090110 388 13,500 X X 04 0 0 13,500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 233 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,661 127,325 X 06 127,325 0 0
0 5,752 200,079 X 08 199,879 0 200
0 510 17,750 X X 08 14,950 300 2,500
0 2,399 83,450 X 09 83,450 0 0
- -
0 NEWELL RUBBERMAID INC 65122910 37 800 X X 04 800 0 0
COM
0 48 1,044 X 08 1,044 0 0
0 366 7,900 X X 08 7,900 0 0
0 1,519 32,755 X 09 25,290 0 7,465
0 2,319 50,010 X X 09 29,474 6,069 14,467
- -
0 NEWFIELD EXPL CO 65129010 6,598 232,000 X 09 232,000 0 0
COM
0 576 20,250 X 10 20,250 0 0
- -
0 NEWMARK HOMES CORP 65157810 1,561 290,500 X 09 290,500 0 0
COM
- -
0 NEWMONT MINING CORP 65163910 42 2,128 X 08 2,128 0 0
COM
0 30 1,498 X X 08 1,498 0 0
0 666 33,508 X 09 31,989 0 1,519
0 266 13,390 X X 09 8,091 1,775 3,524
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 234 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NEWPORT NEWS SHIPBLDG 65222810 4 119 X 08 119 0 0
COM
0 298 10,106 X X 08 3,906 0 6,200
0 51 1,717 X 09 1,173 44 500
0 754 25,559 X X 09 25,559 0 0
- -
0 NEWS CORP LTD 65248770 367 10,400 X 04 9,700 0 700
ADR NEW
0 60 1,700 X X 04 1,100 600 0
0 636 18,000 X 08 18,000 0 0
0 809 22,900 X X 08 1,000 0 21,900
0 13,984 396,000 X 09 383,300 0 12,700
0 42 1,200 X X 09 0 1,200 0
- -
0 NEWS CORP LTD 65248780 158 5,000 X 01 0 0 5,000
SP ADR PFD
0 46 1,450 X X 04 1,450 0 0
0 196 6,200 X X 08 0 0 6,200
0 19 600 X 09 600 0 0
- -
0 NEXTEL COMMUNICATIONS INC 65332V10 407 8,100 X 04 7,400 0 700
CL A
0 45 900 X X 04 400 0 500
0 3,154 62,850 X 06 62,850 0 0
0 3,911 77,923 X 08 77,923 0 0
0 35 700 X X 08 700 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 235 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7,917 157,740 X 09 152,640 500 4,600
0 295 5,881 X X 09 4,555 0 1,326
0 107,775 2,147,419 X 10 2,147,419 0 0
- -
0 NEXTLINK COMMUNICATNS 65333H70 15,684 210,875 X 07 210,875 0 0
CL A
0 9,818 132,000 X 09 132,000 0 0
- -
0 NIAGARA MOHAWK HLDGS INC 65352010 11 670 X X 04 210 460 0
COM
0 129 8,000 X X 08 0 0 8,000
0 567 35,300 X 09 35,300 0 0
0 24 1,466 X X 09 1,466 0 0
- -
0 NIELSEN MEDIA RESEARCH 65392930 12 399 X X 04 0 399 0
COM NEW
0 6 222 X 05 222 0 0
0 27 940 X 08 940 0 0
0 37 1,249 X X 08 1,249 0 0
0 14,519 496,365 X 09 472,321 566 23,478
0 781 26,696 X X 09 5,739 6,990 13,967
- -
0 NIKE INC CL B 65410610 158 2,500 X 08 2,500 0 0
CL B
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 236 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 330 5,200 X X 08 2,100 0 3,100
0 13 200 X 09 200 0 0
0 13,968 220,400 X X 09 500 0 219,900
- -
0 99 CENTS ONLY STORES 65440K10 3,483 69,750 X 09 69,750 0 0
COM
- -
0 NISOURCE INC 65473P10 23 900 X 04 900 0 0
COM
0 13,808 534,940 X 08 534,740 0 200
0 1,824 70,675 X X 08 55,575 13,100 2,000
0 2,938 113,815 X 09 110,815 0 3,000
0 533 20,635 X X 09 13,835 0 6,800
- -
0 NOBLE AFFILIATES INC 65489410 50 1,787 X 08 1,787 0 0
COM
0 240 8,500 X X 08 6,300 1,200 1,000
0 101 3,600 X 09 3,600 0 0
0 462 16,375 X X 09 11,375 5,000 0
- -
0 NOKIA CORP 65490220 183 2,000 X 01 0 0 2,000
SPONSORED ADR
0 174 1,900 X 04 1,100 0 800
0 64 700 X X 04 700 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 237 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 339 3,700 X 05 3,700 0 0
0 6,824 74,525 X 08 74,425 0 100
0 4,592 50,150 X X 08 45,950 600 3,600
0 54,484 595,045 X 09 568,405 14,190 12,450
0 1,964 21,450 X X 09 14,450 1,800 5,200
- -
0 NOBLE DRILLING CORP 65504210 148 7,500 X 08 7,500 0 0
COM
0 69 3,500 X X 08 3,500 0 0
0 1,600 81,291 X 09 81,291 0 0
0 16 800 X X 09 800 0 0
- -
0 NORDSTROM INC 65566410 67 2,000 X X 04 2,000 0 0
COM
0 121 3,600 X 09 3,600 0 0
0 67 2,000 X X 09 2,000 0 0
- -
0 NORFOLK SOUTHERN CORP 65584410 39 1,300 X 04 1,000 300 0
COM
0 719 23,870 X X 04 3,420 0 20,450
0 136 4,500 X 05 3,900 450 150
0 1,181 39,200 X 06 39,200 0 0
0 6,083 201,911 X 08 201,911 0 0
0 2,369 78,650 X X 08 35,200 8,700 34,750
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 238 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,741 389,728 X 09 366,925 3,760 19,043
0 9,914 329,091 X X 09 118,179 140,550 70,362
- -
0 NORTEK INC 65655910 570 18,200 X 09 18,200 0 0
COM
- -
0 NORTEL NETWORKS CORP 65656910 295 3,400 X X 08 300 0 3,100
COM
0 10,022 115,439 X 09 90,825 2,300 22,314
0 7,885 90,827 X X 09 67,697 18,870 4,260
- -
0 NORTH FORK BANCORPORATION NY 65942410 680 31,800 X 02 0 0 31,800
COM
0 32 1,515 X X 04 1,515 0 0
0 137 6,400 X X 08 0 0 6,400
0 866 40,500 X 09 38,900 0 1,600
0 21 1,000 X X 09 1,000 0 0
- -
0 NORTHEAST UTILS 66439710 154 8,592 X 09 5,392 0 3,200
COM
0 128 7,139 X X 09 5,085 2,054 0
- -
0 NORTHERN BORDER PARTNERS L P 66478510 6 200 X 08 200 0 0
UNIT LTD PARTN
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 239 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 16 500 X X 08 500 0 0
0 217 7,000 X 09 0 0 7,000
0 320 10,300 X X 09 1,000 7,500 1,800
- -
0 NORTHN STS PWR CO MINN 66577210 19 800 X 04 800 0 0
COM
0 17 700 X X 04 700 0 0
0 48 2,000 X 08 2,000 0 0
0 18 732 X X 08 600 132 0
0 881 36,422 X 09 34,100 0 2,322
0 1,448 59,848 X X 09 38,148 14,500 7,200
- -
0 NORTHERN TR CORP 66585910 194 2,000 X 05 0 0 2,000
COM
0 340 3,500 X 08 3,500 0 0
0 58 600 X X 08 0 600 0
0 238 2,450 X 09 2,450 0 0
0 1,244 12,824 X X 09 0 0 12,824
- -
0 NORTHROP GRUMMAN CORP 66680710 56 850 X X 08 150 0 700
COM
0 491 7,400 X 09 6,100 0 1,300
- -
0 NOVA CHEMICALS CORP 66977W10 1 52 X 08 52 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 240 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 211 9,060 X 09 9,060 0 0
0 33 1,420 X X 09 1,420 0 0
- -
0 NOVA CORP GA 66978410 703 28,125 X X 05 28,125 0 0
COM
0 3,023 120,925 X 09 120,925 0 0
0 506 20,250 X 10 20,250 0 0
- -
0 NOVACARE CORP 66993010 164 109,016 X X 04 0 0 109,016
COM
0 49 32,760 X X 09 0 0 32,760
- -
0 NOVAVAX INC 67000210 123 35,000 X X 09 0 35,000 0
COM
- -
0 NOVELL INC 67000610 40 1,500 X 08 1,500 0 0
COM
0 49 1,860 X X 08 1,360 0 500
0 2,384 89,950 X 09 89,950 0 0
0 133 5,000 X X 09 0 0 5,000
- -
0 NOVELLUS SYS INC 67000810 34 500 X 04 500 0 0
COM
0 9,593 140,550 X 06 140,550 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 241 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,565 169,448 X 08 169,448 0 0
0 58 850 X X 08 850 0 0
0 9,347 136,950 X 09 136,150 800 0
- -
0 NOVOSTE CORP 67010C10 2,247 107,000 X 09 107,000 0 0
COM
- -
0 NOVO-NORDISK A S 67010020 2,140 40,000 X 09 40,000 0 0
ADR
- -
0 NU SKIN ENTERPRISES 67018T10 6,544 328,213 X 07 328,213 0 0
CL A
0 1,549 77,700 X 09 77,700 0 0
- -
0 NUCOR CORP 67034610 128 2,700 X 04 1,700 0 1,000
COM
0 57 1,200 X X 04 0 0 1,200
0 28 600 X X 05 0 0 600
0 9 200 X 08 200 0 0
0 71 1,500 X X 08 0 1,500 0
0 889 18,730 X 09 10,570 1,300 6,860
0 3,223 67,950 X X 09 26,050 33,700 8,200
- -
0 NUVEEN INSD PREM INCOME MUN 6706D810 184 14,428 X 08 14,428 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 242 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 51 4,000 X X 08 4,000 0 0
0 35 2,728 X 09 2,728 0 0
- -
0 NUVEEN SELECT MAT MUN FD 67061T10 64 5,567 X 08 5,567 0 0
SH BEN INT
0 71 6,250 X X 08 0 6,250 0
- -
0 NUVEEN SELECT TAX FREE INCM 67062F10 159 10,450 X 08 10,450 0 0
SH BEN INT
- -
0 NUVEEN MUN ADVANTAGE FD INC 67062H10 16 1,000 X 04 1,000 0 0
COM
0 23 1,500 X X 04 1,500 0 0
0 408 26,301 X 08 26,301 0 0
0 8 500 X X 09 500 0 0
- -
0 NUVEEN NY MUN VALUE FD 67062M10 60 6,500 X 09 6,500 0 0
COM
0 138 15,000 X X 09 0 0 15,000
- -
0 NUVEEN INSD QUALITY MUN FD I 67062N10 10 665 X 04 665 0 0
COM
0 41 2,700 X X 04 2,700 0 0
0 172 11,402 X 08 11,402 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 243 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 48 3,200 X X 08 0 3,200 0
- -
0 NUVEEN PERFORMANCE PLUS MUN 67062P10 6 394 X 04 394 0 0
COM
0 10 700 X X 04 700 0 0
0 40 2,665 X 08 2,665 0 0
0 21 1,400 X X 08 1,400 0 0
0 42 2,800 X 09 2,800 0 0
0 783 52,450 X X 09 52,450 0 0
- -
0 NUVEEN N Y INVT QUALITY MUN 67062X10 31 2,000 X 09 2,000 0 0
COM
0 139 8,900 X X 09 0 0 8,900
- -
0 NUVEEN PREM INCOME MUN FD 2 67063W10 32 2,000 X 04 2,000 0 0
COM
0 129 8,200 X 08 8,200 0 0
0 52 3,333 X X 08 0 3,333 0
0 20 1,300 X 09 1,300 0 0
- -
0 OGE ENERGY CORP 67083710 119 5,000 X X 04 5,000 0 0
COM
0 90 3,800 X 08 3,800 0 0
0 147 6,200 X X 08 6,200 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 244 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,456 103,400 X 09 98,200 0 5,200
0 530 22,320 X X 09 19,220 800 2,300
- -
0 NUVEEN MUN VALUE FD INC 67092810 190 20,691 X X 04 0 0 20,691
COM
0 378 41,150 X 08 41,150 0 0
0 66 7,201 X X 08 6,696 505 0
0 0 1 X 09 1 0 0
0 67 7,332 X X 09 2,666 4,666 0
- -
0 NUVEEN SELECT QUALITY MUN FD 67097310 439 29,901 X 08 29,901 0 0
COM
0 8 557 X X 08 557 0 0
0 147 10,000 X X 09 3,000 0 7,000
- -
0 NUVEEN NY SELECT QUALITY MUN 67097610 146 9,100 X 09 7,100 2,000 0
COM
0 187 11,707 X X 09 0 2,000 9,707
- -
0 NUVEEN QUALITY INCOME MUN FD 67097710 54 3,500 X X 04 3,500 0 0
COM
0 36 2,335 X 08 2,335 0 0
0 5 300 X 09 300 0 0
0 86 5,500 X X 09 0 0 5,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 245 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NUVEEN TEX QUALITY INCOME MU 67098310 196 12,800 X X 08 10,800 2,000 0
COM
- -
0 NUVEEN INSD MUN OPPORTUNITY 67098410 71 4,666 X X 04 4,666 0 0
COM
0 463 30,580 X 08 30,580 0 0
0 15 1,000 X X 08 1,000 0 0
0 2 100 X 09 100 0 0
0 33 2,200 X X 09 0 0 2,200
- -
0 NUVEEN NY QUALITY INCM MUN F 67098610 79 5,167 X 09 3,767 0 1,400
COM
0 85 5,550 X X 09 0 0 5,550
- -
0 OAK INDUSTRIES INC 67140050 44 1,000 X X 08 0 0 1,000
COM NEW
0 4,475 102,000 X 09 92,500 0 9,500
0 22 500 X X 09 0 0 500
- -
0 OCCIDENTAL PETE CORP DEL 67459910 13 600 X 04 600 0 0
COM
0 8 377 X X 04 377 0 0
0 39 1,850 X 05 1,850 0 0
0 31 1,447 X 08 1,447 0 0
0 133 6,300 X X 08 1,000 0 5,300
0 592 28,036 X 09 22,892 200 4,944
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 246 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 13 613 X X 09 0 213 400
- -
0 OCEAN ENERGY INC TEX 67481E10 4 455 X 08 455 0 0
COM
0 2 250 X X 08 250 0 0
0 6,100 633,750 X 09 633,750 0 0
- -
0 OCEAN FINL CORP 67490410 315 17,400 X 09 17,400 0 0
COM
- -
0 OCULAR SCIENCES INC 67574410 426 24,500 X 09 24,500 0 0
COM
- -
0 OCWEN FINANCIAL CORP 67574610 133 15,000 X 09 0 0 15,000
COM
- -
0 OFFICEMAX INC 67622M10 6 500 X 08 500 0 0
COM
0 22 1,850 X X 08 1,850 0 0
0 953 79,400 X 09 79,400 0 0
0 25 2,100 X X 09 0 0 2,100
- -
0 OFFICE DEPOT INC 67622010 5,346 242,320 X 02 0 0 242,320
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 247 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,523 69,034 X 04 62,884 750 5,400
0 104 4,725 X X 04 600 0 4,125
0 281 12,750 X 05 10,050 0 2,700
0 87 3,950 X 08 3,950 0 0
0 298 13,500 X X 08 13,500 0 0
0 75,267 3,411,475 X 09 2,939,610 1,200 470,665
0 737 33,400 X X 09 4,450 7,950 21,000
- -
0 OGDEN CORP 67634610 26 966 X 08 966 0 0
COM
0 65 2,426 X 09 2,426 0 0
0 586 21,769 X X 09 4,032 12,184 5,553
- -
0 OHIO CAS CORP 67724010 282 7,800 X 09 7,800 0 0
COM
0 108 3,000 X X 09 0 1,000 2,000
- -
0 OIL DRI CORP AMER 67786410 2,512 157,000 X 09 153,900 0 3,100
COM
0 11 700 X X 09 0 0 700
- -
0 OLD KENT FINL CORP 67983310 166 3,960 X X 04 0 0 3,960
COM
0 1,323 31,603 X 09 31,603 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 248 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 179 4,285 X X 09 29 0 4,256
- -
0 OLD REP INTL CORP 68022310 14 801 X 08 801 0 0
COM
0 215 12,400 X 09 11,500 0 900
- -
0 OLIN CORP 68066520 5 400 X X 04 0 400 0
COM PAR $1
0 119 9,000 X 09 9,000 0 0
0 36 2,700 X X 09 200 2,300 200
- -
0 OLSTEN CORP 68138510 0 25 X 04 25 0 0
COM
0 126 20,000 X 09 20,000 0 0
- -
0 OMNICARE INC 68190410 46 3,671 X 04 3,671 0 0
COM
0 88 7,003 X X 04 0 0 7,003
0 1,136 90,000 X 09 90,000 0 0
- -
0 OMNICOM GROUP INC 68191910 288 3,600 X 04 3,600 0 0
COM
0 37 460 X X 04 0 0 460
0 1,760 22,000 X X 05 22,000 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 249 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 990 12,375 X 06 12,375 0 0
0 15,651 195,639 X 08 193,639 0 2,000
0 2,819 35,234 X X 08 31,034 3,200 1,000
0 21,966 274,575 X 09 181,325 13,100 80,150
0 4,516 56,450 X X 09 12,300 7,700 36,450
- -
0 OMEGA HEALTHCARE INVS INC 68193610 26 1,000 X X 05 0 0 1,000
COM
0 15 600 X 08 600 0 0
0 3,275 126,893 X 09 98,393 2,000 26,500
0 1,383 53,581 X X 09 38,731 7,000 7,850
- -
0 ON ASSIGNMENT INC 68215910 643 24,600 X 09 24,600 0 0
COM
- -
0 ON COMMAND CORP 68216010 182 10,300 X 09 10,300 0 0
COM
- -
0 ONE VALLEY BANCORP INC 68241910 200 5,331 X X 04 0 0 5,331
COM
0 38 1,000 X X 09 1,000 0 0
- -
0 ONEIDA LTD 68250510 140 4,987 X 04 4,987 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 250 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,132 146,914 X 09 145,914 0 1,000
0 54 1,932 X X 09 0 0 1,932
- -
0 ONESOURCE INFORMATION SVCS I 68272J10 114 13,000 X 09 13,000 0 0
COM
- -
0 OPTICAL COATING LAB INC 68382910 6,836 81,750 X 06 81,750 0 0
COM
0 9,169 109,650 X 08 109,650 0 0
0 2,204 26,350 X 09 26,350 0 0
- -
0 ORACLE CORP 68389X10 234 6,300 X 01 0 0 6,300
COM
0 214 5,755 X 04 1,200 0 4,555
0 226 6,075 X 05 6,075 0 0
0 5,390 145,195 X 08 144,695 500 0
0 2,189 58,975 X X 08 39,775 6,150 13,050
0 5,345 143,986 X 09 134,086 3,540 6,360
0 1,123 30,242 X X 09 25,642 0 4,600
- -
0 OREGON STL MLS INC 68607910 650 48,800 X 09 48,800 0 0
COM
- -
0 O'REILLY AUTOMOTIVE 68609110 2,685 53,300 X 06 53,300 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 251 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,975 78,900 X 08 78,900 0 0
0 15,078 299,325 X 09 299,325 0 0
- -
0 ORION CAP CORP 68626810 11 300 X 04 0 0 300
COM
0 219 6,100 X 09 5,100 0 1,000
0 54 1,500 X X 09 0 300 1,200
- -
0 OSHKOSH B GOSH INC 68822220 2,057 97,350 X 06 97,350 0 0
CL A
0 2,761 130,700 X 08 130,700 0 0
0 682 32,300 X 09 32,300 0 0
- -
0 OSTEOTECH INC 68858210 5,079 176,675 X 06 176,675 0 0
COM
0 6,532 227,200 X 08 227,200 0 0
0 1,650 57,375 X 09 57,375 0 0
- -
0 OUTDOOR SYS INC 69005710 135 3,700 X X 08 3,700 0 0
COM
0 15,397 421,837 X 09 421,837 0 0
- -
0 OWENS CORNING 69073F10 1 35 X 04 0 0 35
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 252 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7 200 X 08 200 0 0
0 58 1,700 X X 08 0 0 1,700
0 292 8,500 X 09 2,000 0 6,500
0 180 5,240 X X 09 2,400 0 2,840
- -
0 OWENS-ILLINOIS INC 69076840 4,596 140,610 X 02 0 0 140,610
COM NEW
0 46 1,400 X 04 900 0 500
0 1,961 60,000 X X 05 60,000 0 0
0 26,580 813,150 X 09 799,150 2,700 11,300
0 247 7,550 X X 09 1,850 0 5,700
- -
0 OWENS-ILLINOIS INC 69076850 449 10,200 X 09 2,900 0 7,300
PFD CONV $.01
0 510 11,600 X X 09 8,500 500 2,600
- -
0 OXFORD HEALTH PLANS INC 69147110 62 4,000 X X 08 0 0 4,000
COM
0 828 53,200 X 09 52,200 0 1,000
- -
0 PECO ENERGY CO 69330410 21 500 X X 04 500 0 0
COM
0 59 1,410 X 08 1,410 0 0
0 84 2,000 X X 08 0 2,000 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 253 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 866 20,678 X 09 20,478 0 200
0 253 6,041 X X 09 4,680 1,161 200
- -
0 PG&E CORP 69331C10 10 300 X 04 200 0 100
COM
0 26 799 X X 04 0 0 799
0 151 4,650 X 05 3,850 600 200
0 88 2,700 X X 05 2,000 500 200
0 2,188 67,444 X 08 67,444 0 0
0 72 2,220 X X 08 1,220 1,000 0
0 952 29,336 X 09 25,850 200 3,286
0 573 17,654 X X 09 11,000 4,278 2,376
- -
0 PFF BANCORP INC 69331W10 279 14,900 X 09 14,900 0 0
COM
- -
0 PE CORP 69332S10 111 963 X 04 963 0 0
COM PE BIO GRP
0 511 4,450 X X 09 3,550 900 0
- -
0 P F CHANGS CHINA BISTRO INC 69333Y10 333 15,400 X 09 15,400 0 0
COM
- -
0 PLX TECHNOLOGY INC 69341710 1,165 24,600 X 09 24,600 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 254 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PMA CAP CORP 69341920 232 11,300 X 09 11,300 0 0
CL A
- -
0 PMC-SIERRA INC 69344F10 3,536 60,000 X 09 60,000 0 0
COM
- -
0 PMI GROUP INC 69344M10 842 13,410 X 09 13,410 0 0
COM
- -
0 PNC BANK CORP 69347510 46 800 X 04 800 0 0
COM
0 81 1,400 X 05 1,300 0 100
0 20 350 X X 05 0 0 350
0 78 1,350 X 08 1,350 0 0
0 248 4,300 X X 08 0 0 4,300
0 9,047 157,003 X 09 144,020 11,383 1,600
0 2,992 51,914 X X 09 33,052 4,350 14,512
- -
0 P P & L RES INC 69349910 89 2,898 X X 04 2,398 500 0
COM
0 1,359 44,194 X 09 44,194 0 0
0 461 14,992 X X 09 10,462 930 3,600
- -
0 PPG INDS INC 69350610 1,370 23,200 X 02 0 0 23,200
COM
0 71 1,200 X 04 1,200 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 255 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 236 4,000 X X 04 2,400 0 1,600
0 12 200 X X 05 200 0 0
0 59 1,000 X 08 1,000 0 0
0 673 11,400 X X 08 9,400 2,000 0
0 6,424 108,764 X 09 101,832 2,100 4,832
0 11,097 187,882 X X 09 147,988 10,800 29,094
- -
0 PRI AUTOMATION INC 69357H10 5,735 158,200 X 06 158,200 0 0
COM
0 7,724 213,080 X 08 213,080 0 0
0 1,934 53,350 X 09 53,350 0 0
- -
0 PSS WORLD MEDICAL INC 69366A10 1,442 128,900 X 09 128,900 0 0
COM
- -
0 PACCAR INC 69371810 540 10,120 X X 08 10,120 0 0
COM
- -
0 PACIFIC CENTY FINL CORP 69405810 219 10,141 X 05 10,141 0 0
COM
0 165 7,660 X X 08 7,660 0 0
0 477 22,100 X 09 21,200 0 900
0 13 600 X X 09 600 0 0
- -
0 PACIFIC GULF PPTYS INC 69439610 3,455 152,700 X 09 152,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 256 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 91 4,000 X X 09 0 4,000 0
- -
0 PACIFIC SUNWEAR CALIF INC 69487310 24 1,000 X X 08 0 0 1,000
COM
0 6,176 253,387 X 09 253,387 0 0
- -
0 PACIFICARE HEALTH SYS DEL 69511210 478 6,642 X 09 5,986 0 656
COM
0 9 121 X X 09 0 0 121
- -
0 PACIFICORP 69511410 1,378 75,000 X 01 0 0 75,000
COM
0 17 900 X 04 0 0 900
0 37 2,000 X X 04 0 0 2,000
0 66 3,614 X 08 3,614 0 0
0 74 4,036 X X 08 0 4,036 0
0 1,399 76,110 X 09 74,510 1,600 0
0 1,314 71,491 X X 09 16,525 40,094 14,872
- -
0 PAGING NETWORK INC 69554210 48 10,000 X X 08 10,000 0 0
COM
- -
0 PAINE WEBBER GROUP INC 69562910 1,169 25,000 X 09 25,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 257 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PAIRGAIN TECHNOLOGIES INC 69593410 588 51,100 X X 05 51,100 0 0
COM
0 5 430 X 09 0 0 430
- -
0 PALL CORP 69642930 82 3,700 X X 08 3,700 0 0
COM
0 1,402 63,203 X 09 50,663 640 11,900
0 2,301 103,695 X X 09 32,494 43,100 28,101
- -
0 PAN PACIFIC RETAIL PPTYS INC 69806L10 1,945 100,400 X 09 100,400 0 0
COM
- -
0 PANTRY INC 69865710 15,421 956,323 X 10 956,323 0 0
COM
0 17,313 1,073,703 X 11 1,073,703 0 0
- -
0 PAPA JOHNS INTL INC 69881310 1,926 43,100 X 09 43,100 0 0
COM
- -
0 PARAMETRIC TECHNOLOGY CORP 69917310 787 56,700 X X 05 56,700 0 0
COM
0 219 15,800 X X 08 1,200 0 14,600
0 0 10 X 09 0 0 10
0 22 1,600 X X 09 0 0 1,600
- -
0 PARK ELECTROCHEMICAL CORP 70041620 707 24,600 X 09 24,600 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 258 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 72 2,496 X X 09 2,496 0 0
- -
0 PARK OHIO HLDGS CORP 70066610 171 10,100 X 09 10,100 0 0
COM
- -
0 PARK PL ENTMT CORP 70069010 205 21,400 X 08 21,400 0 0
COM
0 13,239 1,385,000 X X 08 1,376,400 0 8,600
0 46,923 4,908,800 X 09 4,908,800 0 0
0 143 15,000 X X 09 12,000 2,000 1,000
- -
0 PARKER HANNIFIN CORP 70109410 531 11,600 X 04 10,150 0 1,450
COM
0 41 900 X X 04 0 900 0
0 140 3,054 X X 08 3,054 0 0
0 15,707 343,317 X 09 324,092 0 19,225
0 153 3,350 X X 09 2,550 0 800
- -
0 PATINA OIL & GAS CORP 70322410 552 87,377 X 07 87,377 0 0
COM
0 25 4,000 X X 09 0 4,000 0
- -
0 PATRIOT AMERN HOSPITALITY DE 70335220 0 10 X 09 0 0 10
PAIRED CTF
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 259 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 0 16,758 X 10 16,758 0 0
- -
0 PATTERSON ENERGY INC 70341410 296 30,000 X 09 30,000 0 0
COM
- -
0 PAXAR CORP 70422710 129 14,525 X 04 14,525 0 0
COM
- -
0 PAXSON COMMUNICATIONS 70423110 5,421 425,200 X 09 425,200 0 0
COM
- -
0 PAYCHEX INC 70432610 3,235 101,476 X 09 101,196 280 0
COM
0 976 30,611 X X 09 9,686 0 20,925
- -
0 PAYLESS SHOESOURCE INC 70437910 10,730 200,552 X 09 200,472 0 80
COM
0 222 4,145 X X 09 1,090 3,055 0
- -
0 PENN TREATY AMERN CORP 70787410 433 18,000 X X 09 0 0 18,000
COM
- -
0 PENNCORP FINL GROUP INC 70809410 42 84,100 X 10 84,100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 260 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PENNEY J C INC 70816010 56 1,150 X 04 1,000 0 150
COM
0 121 2,500 X X 04 2,100 400 0
0 77 1,584 X 05 1,584 0 0
0 38 792 X X 05 0 0 792
0 1,010 20,800 X 06 20,800 0 0
0 4,398 90,556 X 08 90,556 0 0
0 460 9,478 X X 08 1,130 348 8,000
0 11,198 230,589 X 09 209,768 650 20,171
0 14,123 290,812 X X 09 234,004 45,181 11,627
- -
0 PENNZENERGY CO 70931Q10 8 466 X X 04 466 0 0
COM
0 185 11,133 X 08 11,133 0 0
0 21 1,255 X X 08 30 225 1,000
0 61 3,661 X 09 3,574 0 87
0 19 1,124 X X 09 874 250 0
- -
0 PENNZOIL-QUAKER STATE COMPAN 70932310 7 466 X X 04 466 0 0
COM
0 165 10,983 X 08 10,983 0 0
0 301 20,055 X X 08 18,830 225 1,000
0 68 4,513 X 09 4,426 0 87
0 43 2,879 X X 09 956 250 1,673
- -
0 PENTAIR INC 70963110 576 12,600 X 04 9,800 0 2,800
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 261 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 55 1,200 X X 04 1,200 0 0
0 16 350 X 05 0 0 350
0 17,577 384,200 X 09 378,100 0 6,100
0 40 875 X X 09 0 0 875
- -
0 PEOPLES BK BRIDGEPORT CONN 71019810 193 6,335 X X 08 6,335 0 0
COM
0 23 750 X 09 750 0 0
0 30 1,000 X X 09 1,000 0 0
- -
0 PEOPLES ENERGY CORP 71103010 57 1,500 X 04 0 0 1,500
COM
0 48 1,284 X X 04 1,284 0 0
0 6 166 X 08 166 0 0
0 906 24,032 X 09 24,032 0 0
0 366 9,699 X X 09 2,400 6,799 500
- -
0 PEOPLES HERITAGE FINL GROUP 71114710 5,057 268,800 X 09 268,800 0 0
COM
0 1 73 X X 09 0 0 73
- -
0 PEOPLESOFT INC 71271310 825 47,800 X 09 47,800 0 0
COM
0 524 30,400 X X 09 25,400 5,000 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 262 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PEP BOYS MANNY MOE & JACK 71327810 113 5,400 X 08 5,400 0 0
COM
0 599 28,500 X 09 27,500 1,000 0
0 496 23,600 X X 09 8,750 13,500 1,350
- -
0 PEPSI BOTTLING GROUP 71340910 1,237 53,500 X 02 0 0 53,500
COM
0 740 32,000 X X 05 32,000 0 0
0 5,104 220,700 X 09 220,700 0 0
- -
0 PEPSICO INC 71344810 4,806 124,212 X 04 99,462 0 24,750
COM
0 2,429 62,787 X X 04 39,787 2,100 20,900
0 530 13,700 X 05 7,900 0 5,800
0 2,182 56,400 X X 05 55,000 0 1,400
0 8,126 210,050 X 06 210,050 0 0
0 39,079 1,010,110 X 08 1,008,010 500 1,600
0 23,757 614,056 X X 08 327,883 67,840 218,333
0 105,170 2,718,422 X 09 2,380,488 46,566 291,368
0 93,872 2,426,388 X X 09 1,044,822 891,250 490,316
- -
0 PERCLOSE INC 71361C10 586 12,200 X 09 12,200 0 0
COM
- -
0 PEREGRINE SYSTEMS INC 71366Q10 583 22,700 X 09 22,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 263 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PERFORMANCE FOOD GROUP CO 71375510 2,855 105,000 X 09 105,000 0 0
COM
- -
0 PERRIGO CO 71429010 133 17,420 X X 08 17,420 0 0
COM
0 76 10,000 X X 09 0 0 10,000
- -
0 PERSONNEL GROUP AMER INC 71533810 1,780 177,950 X 06 177,950 0 0
COM
0 2,620 262,000 X 08 262,000 0 0
0 974 97,400 X 09 97,400 0 0
- -
0 PERVASIVE SOFTWARE INC 71571010 50 2,000 X 08 2,000 0 0
COM
0 316 12,700 X 09 12,700 0 0
- -
0 PETCO ANIMAL SUPPLIES 71601610 8,741 555,000 X 03 555,000 0 0
COM
0 2,043 129,700 X 09 129,700 0 0
- -
0 PETSMART INC 71676810 297 29,000 X X 04 0 0 29,000
COM
- -
0 PHARMACIA & UPJOHN INC 71694110 383 6,735 X 04 6,735 0 0
COM
0 49 870 X X 04 580 0 290
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 264 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 937 16,500 X X 05 16,500 0 0
0 40 700 X 08 0 0 700
0 631 11,109 X X 08 11,109 0 0
0 90,066 1,585,314 X 09 1,435,114 0 150,200
0 1,438 25,317 X X 09 7,195 13,820 4,302
- -
0 PFIZER INC 71708110 53,872 494,242 X 01 0 0 494,242
COM
0 4,545 41,700 X 04 34,750 0 6,950
0 4,883 44,795 X X 04 8,800 425 35,570
0 474 4,350 X 05 4,100 0 250
0 2,834 26,000 X X 05 26,000 0 0
0 15,223 139,665 X 06 139,665 0 0
0 80,277 736,485 X 08 735,185 200 1,100
0 38,125 349,774 X X 08 228,824 31,850 89,100
0 299,346 2,746,289 X 09 2,492,197 56,852 197,240
0 163,853 1,503,240 X X 09 702,371 567,987 232,882
- -
0 PHARMACEUTICAL PROD DV 71712410 9,396 343,242 X 09 343,242 0 0
COM
- -
0 PHELPS DODGE CORP 71726510 12 200 X 08 200 0 0
COM
0 136 2,200 X X 08 1,400 0 800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 265 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 267 4,307 X 09 1,375 0 2,932
0 434 7,000 X X 09 6,300 700 0
- -
0 PHILADELPHIA SUBN CORP 71800960 577 25,000 X 09 25,000 0 0
COM PAR $0.50
0 5 200 X X 09 0 0 200
- -
0 PHILIP MORRIS COS 71815410 1,427 35,500 X 01 0 0 35,500
COM
0 1,996 49,670 X 04 40,550 0 9,120
0 7,127 177,351 X X 04 69,063 37,605 70,683
0 123 3,050 X 05 1,600 0 1,450
0 90 2,250 X X 05 1,200 450 600
0 7,127 177,350 X 06 177,350 0 0
0 29,794 741,366 X 08 740,966 0 400
0 13,627 339,082 X X 08 141,582 36,000 161,500
0 194,148 4,830,991 X 09 4,343,065 13,100 474,826
0 50,135 1,247,520 X X 09 672,648 288,404 286,468
- -
0 PHILIPPINE LONG DISTANCE TEL 71825260 60 2,000 X 09 0 0 2,000
SPONSORED ADR
0 7,948 263,276 X X 09 0 0 263,276
- -
0 PHILIPS INTL RLTY CORP 71833310 2,346 139,000 X 09 127,600 11,400 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 266 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PHILLIPS PETE CO 71850710 10 200 X 04 200 0 0
COM
0 33 650 X 05 650 0 0
0 430 8,538 X 08 8,538 0 0
0 569 11,315 X X 08 5,569 1,046 4,700
0 7,384 146,755 X 09 142,040 150 4,565
0 886 17,619 X X 09 4,800 9,965 2,854
- -
0 PHILLIPS VAN HEUSEN CP 71859210 215 21,452 X X 09 0 0 21,452
COM
- -
0 PHOTRONICS INC 71940510 13,122 535,600 X 09 0 535,600 0
COM
- -
0 PIER 1 IMPORTS INC 720279AF 3,563 2,601,000 X 01 0 0 0
NOTE 5.750%10/01/03
- -
0 PIER 1 IMPORTS INC 72027910 51 4,500 X X 08 0 0 4,500
COM
0 91 8,100 X 09 0 0 8,100
0 104 9,272 X X 09 8,800 472 0
- -
0 PILGRIM PRIME RATE TR NEW 72146W10 95 10,000 X X 04 0 0 10,000
SH BEN INT
0 39 4,080 X 09 4,080 0 0
0 176 18,500 X X 09 18,500 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 267 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PILGRIMS PRIDE CORP 72146710 26 850 X 08 850 0 0
CL B
0 252 8,400 X 09 8,400 0 0
- -
0 PINNACLE HLDGS INC 72346N10 11,393 465,000 X 09 465,000 0 0
COM
- -
0 PINNACLE WEST CAP CORP 72348410 20 500 X X 04 500 0 0
COM
0 145 3,600 X 08 3,600 0 0
0 221 5,490 X X 08 5,490 0 0
0 61,371 1,524,750 X 09 1,521,500 0 3,250
0 350 8,700 X X 09 8,000 0 700
- -
0 PIONEER COS INC 72364310 3,155 701,062 X 09 701,062 0 0
CL A
- -
0 PIONEER HI BRED INTL INC 72368610 58 1,500 X 04 0 0 1,500
COM
0 58 1,500 X 05 1,500 0 0
0 830 21,315 X 08 21,315 0 0
0 442 11,350 X X 08 11,350 0 0
0 5,775 148,300 X 09 108,400 0 39,900
0 5,358 137,600 X X 09 16,000 69,600 52,000
- -
0 PIONEER STD ELECTRS INC 72387710 294 24,500 X 09 24,500 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 268 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PITNEY-BOWES INC 72447910 805 12,530 X 04 8,580 0 3,950
COM
0 373 5,800 X X 04 4,800 0 1,000
0 71 1,100 X 05 1,100 0 0
0 193 3,000 X X 05 0 0 3,000
0 1,658 25,800 X 06 25,800 0 0
0 4,978 77,475 X 08 77,475 0 0
0 1,614 25,125 X X 08 20,325 0 4,800
0 47,252 735,441 X 09 677,481 10,600 47,360
0 32,155 500,471 X X 09 203,421 184,450 112,600
- -
0 PITT DESMOINES INC 72450810 325 5,200 X 09 5,200 0 0
COM
- -
0 PITTSTON CO 72570110 67 2,500 X X 08 0 0 2,500
COM BRINKS GRP
0 564 21,066 X 09 9,100 0 11,966
0 66 2,466 X X 09 2,100 0 366
- -
0 PLACER DOME INC 72590610 174 14,818 X 08 8,768 6,050 0
COM
0 9 800 X X 08 800 0 0
0 0 1 X 09 0 0 1
0 694 59,087 X X 09 49,948 1,000 8,139
- -
0 PLAINS RES INC 72654050 3,008 158,300 X 06 158,300 0 0
COM PAR $0.10
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 269 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,227 222,460 X 08 222,460 0 0
0 1,055 55,550 X 09 55,550 0 0
- -
0 PLANTRONICS INC NEW 72749310 9,769 150,000 X 09 150,000 0 0
COM
- -
0 PLAYTEX PRODUCTS INC 72813P10 20,751 1,333,333 X 03 0 0 1,333,333
COM
0 19 1,200 X 08 1,200 0 0
- -
0 PLUM CREEK TIMBER CO LP 72923710 94 3,000 X 04 3,000 0 0
DEPOSITARY UNT
0 94 3,000 X X 04 3,000 0 0
0 156 5,000 X 08 5,000 0 0
0 9 300 X X 08 300 0 0
0 31 1,000 X 09 0 0 1,000
0 209 6,700 X X 09 1,800 2,700 2,200
- -
0 POMEROY COMPUTER RES 73182210 157 11,300 X 09 11,300 0 0
COM
- -
0 POST PPTYS INC 73746410 256 6,242 X 04 6,242 0 0
COM
0 16 400 X X 05 0 0 400
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 270 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 236 5,745 X 09 1,000 0 4,745
0 436 10,637 X X 09 0 5,000 5,637
- -
0 POTASH CORP SASK INC 73755L10 1,863 36,000 X 04 33,900 0 2,100
COM
0 72 1,400 X X 04 1,400 0 0
0 31 600 X 05 600 0 0
0 26 500 X X 05 0 0 500
0 832 16,070 X 08 16,070 0 0
0 1,185 22,895 X X 08 20,295 2,300 300
0 1,025 19,800 X 09 18,250 0 1,550
0 62 1,200 X X 09 900 0 300
- -
0 POTOMAC ELEC PWR CO 73767910 47 1,587 X X 04 1,587 0 0
COM
0 82 2,800 X 08 2,800 0 0
0 246 8,355 X X 08 8,355 0 0
0 465 15,780 X 09 15,780 0 0
0 159 5,389 X X 09 2,000 3,089 300
- -
0 POWERTEL INC 73936C10 2,418 80,925 X 08 80,925 0 0
COM
- -
0 PRAXAIR INC 74005P10 18 370 X 04 370 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 271 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 361 X X 04 0 361 0
0 35 725 X 05 725 0 0
0 24 500 X X 05 0 0 500
0 3,920 80,110 X 08 79,810 0 300
0 2,267 46,325 X X 08 35,775 9,550 1,000
0 2,251 46,004 X 09 41,124 900 3,980
0 1,270 25,942 X X 09 19,685 3,320 2,937
- -
0 PRECEPT BUSINESS SVCS INC 74016520 106 22,245 X X 08 22,245 0 0
CL A NEW
- -
0 PRECISION DRILLING CORP 74022D10 29 1,500 X X 08 0 0 1,500
COM
0 1,430 75,000 X 09 75,000 0 0
- -
0 PREMARK INTL INC 74045910 117 3,112 X X 04 3,112 0 0
COM
0 75 2,000 X 08 2,000 0 0
0 7,611 202,952 X 09 202,352 0 600
0 162 4,320 X X 09 0 3,570 750
- -
0 PRENTISS PPTYS TR 74070610 17 700 X 04 700 0 0
SH BEN INT
0 1,011 42,800 X 09 32,500 2,000 8,300
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 272 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 319 13,500 X X 09 6,600 2,800 4,100
- -
0 PRESLEY COS DEL 74103010 32 36,000 X 09 36,000 0 0
COM SER A
- -
0 PREVIEW TRAVEL INC 74137R10 441 20,100 X 09 20,100 0 0
COM
- -
0 PRICE T ROWE & ASSOCIATES 74147710 58 1,500 X 08 1,500 0 0
COM
0 154 4,000 X 09 0 0 4,000
- -
0 PRICELINE COM INC 74150310 1,258 10,890 X 09 10,890 0 0
COM
0 102 880 X X 09 780 0 100
- -
0 PRIME RETAIL INC 74157030 2 96 X 08 96 0 0
PFD CONV SER B
0 226 14,150 X 09 14,100 50 0
- -
0 PRIME GROUP REALTY TRUST 74158J10 490 28,500 X 09 28,500 0 0
SH BEN INT
- -
0 PRIMUS TELECOMMUNICATIONS GR 74192910 898 40,000 X 09 40,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 273 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PRIDE INTL INC 74193210 1,931 182,825 X 06 182,825 0 0
COM
0 2,604 246,475 X 08 246,475 0 0
0 646 61,200 X 09 61,200 0 0
- -
0 PRIORITY HEALTHCARE CORP 74264T10 31 901 X 04 901 0 0
CL B
0 238 6,901 X 09 6,900 0 1
- -
0 PROBUSINESS SERVICES INC 74267410 405 11,300 X 09 11,300 0 0
COM
- -
0 PROCTER & GAMBLE CO 74271810 3,043 34,100 X 04 26,050 0 8,050
COM
0 1,586 17,765 X X 04 8,975 2,500 6,290
0 1,127 12,625 X 05 10,850 0 1,775
0 205 2,300 X X 05 300 0 2,000
0 15,698 175,885 X 06 175,885 0 0
0 82,182 920,808 X 08 920,158 100 550
0 26,026 291,612 X X 08 179,337 20,275 92,000
0 193,200 2,164,708 X 09 1,959,803 50,819 154,086
0 146,711 1,643,818 X X 09 599,610 696,475 347,733
- -
0 PROFIT RECOVERY GROUP INTL I 74316810 7,130 150,700 X 06 150,700 0 0
COM
0 9,522 201,250 X 08 201,250 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 274 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,331 70,400 X 09 70,400 0 0
- -
0 PROGRESS SOFTWARE CORP 74331210 590 20,876 X 09 20,876 0 0
COM
- -
0 PROGRESSIVE CORP OHIO 74331510 2,185 15,070 X 09 15,070 0 0
COM
- -
0 PROLOGIS TR 74341010 55 2,700 X 04 2,700 0 0
SH BEN INT
0 64 3,150 X X 04 2,450 700 0
0 3,552 175,424 X 08 174,324 100 1,000
0 820 40,512 X X 08 25,512 11,000 4,000
0 1,413 69,800 X 09 51,800 0 18,000
0 316 15,600 X X 09 5,900 5,500 4,200
- -
0 PROTECTIVE LIFE CORP 74367410 95 2,800 X X 08 2,800 0 0
COM
0 5,488 161,400 X 09 160,000 0 1,400
- -
0 PROVIDENT BANKSHARES CORP 74385910 1,485 63,854 X 09 63,854 0 0
COM
- -
0 PROVIDENT COS INC 74386210 20 505 X 04 505 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 275 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 348 8,700 X 09 3,500 0 5,200
- -
0 PROVIDIAN FINL CORP 74406A10 29,739 318,913 X 01 0 0 318,913
COM
0 809 8,675 X 04 7,175 100 1,400
0 112 1,200 X X 04 300 0 900
0 578 6,200 X 08 6,200 0 0
0 340 3,650 X X 08 3,650 0 0
0 1,222 13,100 X 09 7,975 900 4,225
0 1,315 14,100 X X 09 3,550 0 10,550
- -
0 PROXICOM INC 74428210 272 10,600 X 09 10,600 0 0
COM
- -
0 PSINET INC 74437C10 1,098 25,100 X X 09 100 25,000 0
COM
- -
0 PUBLIC SVC CO N MEX 74449910 8 382 X X 04 382 0 0
COM
0 4,615 232,200 X 09 232,200 0 0
- -
0 PUBLIC SVC ENTERPRISE GROUP 74457310 439 10,759 X 02 0 0 10,759
COM
0 8 187 X 04 187 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 276 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 71 1,750 X X 04 1,750 0 0
0 14 350 X 08 350 0 0
0 276 6,758 X X 08 6,757 1 0
0 1,894 46,398 X 09 38,675 0 7,723
0 3,090 75,703 X X 09 50,806 13,266 11,631
- -
0 PUBLIC STORAGE INC 74460D10 756 27,000 X 02 0 0 27,000
COM
0 756 27,000 X X 05 27,000 0 0
0 11 410 X X 08 0 410 0
0 54,780 1,956,418 X 09 1,945,458 0 10,960
- -
0 PUGET SOUND ENERGY INC 74533210 4 150 X 04 100 0 50
COM
0 32 1,342 X 08 1,342 0 0
0 67 2,800 X X 08 0 0 2,800
0 6 250 X 09 250 0 0
0 97 4,060 X X 09 2,160 1,900 0
- -
0 PULITZER INC 74576910 215 4,425 X 09 4,125 0 300
COM
0 291 6,000 X X 09 6,000 0 0
- -
0 PULTE CORP 74586710 302 13,100 X 09 13,100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 277 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PUTNAM MANAGED MUN INCOM TR 74682310 97 8,500 X 08 8,500 0 0
COM
0 95 8,350 X X 08 8,350 0 0
0 6 500 X X 09 0 0 500
- -
0 QRS CORP 74726X10 515 6,600 X X 04 0 0 6,600
COM
0 421 5,400 X 09 5,400 0 0
- -
0 QUADRAMED CORP 74730W10 219 27,000 X X 09 0 27,000 0
COM
- -
0 QUAKER CHEM CORP 74731610 81 5,000 X 09 5,000 0 0
COM
0 106 6,500 X X 09 0 6,500 0
- -
0 QUAKER OATS CO 74740210 3,983 60,000 X 02 0 0 60,000
COM
0 524 7,900 X 04 6,300 0 1,600
0 173 2,600 X X 04 2,600 0 0
0 27 400 X 08 400 0 0
0 53 800 X X 08 800 0 0
0 50,271 757,381 X 09 640,481 600 116,300
0 2,511 37,835 X X 09 19,735 12,200 5,900
- -
0 QUALCOMM INC 74752510 144 1,000 X 04 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 278 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,365 79,200 X 08 79,200 0 0
0 4,965 34,600 X X 08 27,900 3,400 3,300
0 34,573 240,930 X 09 240,630 200 100
0 689 4,800 X X 09 3,300 0 1,500
- -
0 QUANTA SVCS INC 74762E10 3,300 75,000 X 09 75,000 0 0
COM
- -
0 QUANTUM CORP 747906AC 939 1,000,000 X X 05 0 0 0
NOTE 7.000% 8/01/04
0 376 400,000 X 09 0 0 0
- -
0 QUANTUM CORP 74790610 1,086 45,000 X X 05 36,000 0 9,000
COM
0 24 1,000 X 08 1,000 0 0
0 393 16,300 X X 08 0 0 16,300
0 200 8,300 X 09 4,000 0 4,300
0 2 100 X X 09 0 100 0
- -
0 QUEST DIAGNOSTICS INC 74834L10 0 12 X X 08 12 0 0
COM
0 268 9,800 X 09 9,050 0 750
0 361 13,194 X X 09 3,793 8,504 897
- -
0 QUESTAR CORP 74835610 434 22,700 X X 08 22,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 279 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 199 10,400 X 09 10,400 0 0
0 38 2,000 X X 09 0 0 2,000
- -
0 QUIKSILVER INC 74838C10 139 5,350 X X 08 0 0 5,350
COM
0 177 6,800 X 09 6,800 0 0
- -
0 QUINTILES TRANSNATIONAL CORP 74876710 1,789 42,600 X 08 42,400 0 200
COM
0 731 17,400 X X 08 10,100 3,000 4,300
0 9,572 227,900 X 09 227,900 0 0
- -
0 QUORUM HEALTH GROUP INC 74908410 320 25,500 X 09 25,500 0 0
COM
- -
0 R & B FALCON CORP 74912E10 22 2,398 X 08 2,398 0 0
COM
0 43 4,549 X X 08 4,549 0 0
0 24 2,608 X 09 1,608 0 1,000
0 6,154 656,444 X 10 656,444 0 0
- -
0 QWEST COMMUNICATIONS INTL IN 74912110 2,111 63,850 X 02 0 0 63,850
COM
0 86 2,600 X X 04 1,600 0 1,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 280 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 198 6,000 X 05 6,000 0 0
0 1,323 40,000 X X 05 40,000 0 0
0 50 1,520 X 08 1,520 0 0
0 20 600 X X 08 0 0 600
0 7,180 217,168 X 09 203,206 0 13,962
0 1,115 33,732 X X 09 2,732 31,000 0
- -
0 RCM TECHNOLOGIES INC 74936040 1 84 X X 08 84 0 0
COM NEW
0 53 4,000 X 09 4,000 0 0
0 99 7,500 X X 09 0 7,500 0
- -
0 RCN CORP 74936110 25 600 X 04 600 0 0
COM
0 1,041 25,000 X 09 25,000 0 0
- -
0 R H DONNELLEY CORP 74955W30 5 240 X X 04 0 240 0
COM NEW
0 1 67 X 05 67 0 0
0 0 20 X 08 20 0 0
0 2 120 X X 08 120 0 0
0 267 13,657 X 09 11,867 340 1,450
0 448 22,912 X X 09 3,359 4,250 15,303
- -
0 RPM INC OHIO 74968510 31 2,195 X 08 2,195 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 281 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 75 5,312 X X 08 5,312 0 0
0 15 1,087 X 09 1,087 0 0
0 80 5,643 X X 09 5,643 0 0
- -
0 RADIAN GROUP INC 75023610 12,154 249,000 X 09 249,000 0 0
COM
0 381 7,800 X X 09 7,800 0 0
- -
0 RALSTON PURINA CO 75127730 161 5,284 X X 04 1,500 0 3,784
COM RAL-PUR GP
0 93 3,051 X 05 0 0 3,051
0 1,303 42,800 X 06 42,800 0 0
0 7,698 252,903 X 08 252,903 0 0
0 881 28,957 X X 08 24,307 3,450 1,200
0 3,310 108,733 X 09 108,433 0 300
0 2,271 74,616 X X 09 63,132 4,800 6,684
- -
0 RANGE RESOURCES CORP 75281A10 579 94,550 X 06 94,550 0 0
COM
0 876 143,020 X 08 143,020 0 0
0 198 32,300 X 09 32,300 0 0
- -
0 RARE MEDIUM GROUP INC 75382N10 6 500 X 09 0 0 500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 282 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 124 10,000 X X 09 0 10,000 0
- -
0 RATIONAL SOFTWARE CORP 75409P20 7,246 220,000 X 09 220,000 0 0
COM NEW
- -
0 RAWLINGS SPORTING GOODS INC 75445910 346 35,000 X 09 35,000 0 0
COM
- -
0 RAYMOND JAMES FINANCIAL INC 75473010 406 16,900 X 09 16,900 0 0
COM
- -
0 RAYTHEON CO 75511130 775 11,248 X 02 0 0 11,248
CL A
0 24 344 X 04 344 0 0
0 17 242 X X 04 242 0 0
0 62 898 X 05 674 0 224
0 3 44 X X 05 0 0 44
0 871 12,643 X 08 12,643 0 0
0 282 4,092 X X 08 4,084 0 8
0 16,883 245,118 X 09 238,446 0 6,672
0 1,915 27,805 X X 09 16,864 1,784 9,157
- -
0 RAYTHEON CO 75511140 3,845 54,545 X 02 0 0 54,545
CL B
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 283 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 234 3,324 X 04 3,134 0 190
0 743 10,540 X X 04 8,940 1,600 0
0 2,851 40,440 X X 05 37,240 0 3,200
0 2,411 34,200 X 06 34,200 0 0
0 12,857 182,366 X 08 182,366 0 0
0 1,114 15,800 X X 08 10,600 3,600 1,600
0 16,422 232,934 X 09 194,754 7,600 30,580
0 15,911 225,689 X X 09 64,350 109,527 51,812
- -
0 READERS DIGEST ASSN INC 75526710 16 400 X X 05 0 0 400
CL A NON VTG
0 278 7,000 X 09 5,000 0 2,000
0 166 4,170 X X 09 2,650 1,520 0
- -
0 REALNETWORKS INC 75605L10 14 200 X 04 200 0 0
COM
0 481 6,985 X 09 6,985 0 0
0 880 12,775 X X 09 12,775 0 0
- -
0 RECKSON ASSOCS RLTY CORP 75621K10 1 50 X 04 50 0 0
COM
0 300 12,732 X 09 1,732 0 11,000
- -
0 RECKSON ASSOCS RLTY CORP 75621K20 1,686 73,900 X 09 73,900 0 0
PFD CV SER A%
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 284 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
RECKSON ASSOCS RLTY CORP 75621K30 879 36,824 X 09 36,261 563 0
CL B
- -
0 RECOTON CORP 75626810 309 34,000 X 09 34,000 0 0
COM
- -
0 REEBOK INTL LTD 75811010 19 1,000 X 09 0 0 1,000
COM
0 1,118 60,000 X X 09 0 0 60,000
- -
0 REGENCY RLTY CORP 75893910 1,030 46,948 X 08 46,948 0 0
COM
0 2,150 98,000 X 09 98,000 0 0
- -
0 REGIONS FINL CORP 75894010 8 200 X 04 200 0 0
COM
0 234 6,080 X X 04 3,000 0 3,080
0 151 3,931 X X 08 1,331 0 2,600
0 647 16,825 X 09 13,425 0 3,400
0 813 21,160 X X 09 20,160 0 1,000
- -
0 REINSURANCE GROUP AMER INC 75935110 6,345 180,000 X 09 180,000 0 0
COM
- -
0 RELIANCE GROUP HLDGS 75946410 7 1,000 X 04 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 285 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,745 234,580 X 09 210,680 0 23,900
0 236 31,760 X X 09 17,860 3,000 10,900
- -
0 RELIANCE STEEL & ALUMINUM CO 75950910 273 7,000 X 09 7,000 0 0
COM
- -
0 RELIANT ENERGY INC 75952J10 66 2,400 X 04 2,400 0 0
COM
0 111 4,000 X X 04 2,000 2,000 0
0 749 27,105 X 08 27,105 0 0
0 2,036 73,700 X X 08 64,044 3,888 5,768
0 932 33,731 X 09 29,277 3,800 654
0 1,586 57,402 X X 09 27,156 21,440 8,806
- -
0 RELIASTAR FINL CORP 75952U10 54 1,228 X 08 1,228 0 0
COM
0 61 1,400 X X 08 0 0 1,400
0 40,609 928,200 X 09 921,500 0 6,700
0 381 8,704 X X 09 3,800 2,400 2,504
- -
0 RENAL CARE GROUP INC 75993010 686 26,500 X 09 26,500 0 0
COM
0 28 1,100 X X 09 0 0 1,100
- -
0 RENT A CTR INC NEW 76009N10 293 12,200 X 09 12,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 286 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
RENT WAY INC 76009U10 5,201 211,200 X 09 211,200 0 0
COM
- -
0 RENTAL SERVICE CORP 76009V10 4,268 149,100 X 09 149,100 0 0
COM
- -
0 REPSOL S A 76026T20 43 2,100 X 04 0 0 2,100
SPONSORED ADR
0 165 8,100 X 05 0 0 8,100
0 477 23,500 X X 08 23,500 0 0
0 189 9,300 X 09 0 0 9,300
0 171 8,400 X X 09 900 0 7,500
- -
0 REPUBLIC BANCORP INC 76028210 299 19,700 X 09 19,700 0 0
COM
- -
0 REPUBLIC N Y CORP 76071910 4,773 70,000 X 01 0 0 70,000
COM
0 9 125 X 04 125 0 0
0 10 150 X 08 150 0 0
0 191 2,800 X X 08 0 0 2,800
0 436 6,400 X 09 2,800 0 3,600
0 1,368 20,064 X X 09 12,402 7,250 412
- -
0 REPUBLIC SVCS INC 76075910 176 7,100 X X 08 0 0 7,100
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 287 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 14,934 603,400 X 09 603,400 0 0
0 12 500 X X 09 500 0 0
- -
0 RES-CARE INC 76094310 2,487 109,300 X 06 109,300 0 0
COM
0 3,343 146,950 X 08 146,950 0 0
0 961 42,250 X 09 42,250 0 0
- -
0 RESTORATION HARDWARE INC DEL 76098110 437 32,668 X 03 0 0 32,668
COM
0 19,127 1,430,030 X 07 1,430,030 0 0
0 141 10,561 X 10 10,561 0 0
- -
0 RESMED INC 76115210 15,140 456,180 X 09 454,700 0 1,480
COM
0 40 1,200 X X 09 0 0 1,200
- -
0 REUTERS GROUP PLC 76132M10 218 2,686 X 04 2,686 0 0
SPONSORED ADR
0 44 542 X 08 542 0 0
0 319 3,935 X X 08 1,813 0 2,122
0 8,676 107,034 X 09 98,280 692 8,062
0 9,086 112,088 X X 09 35,644 56,825 19,619
- -
0 REYNOLDS & REYNOLDS CO 76169510 56 2,400 X 05 2,400 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 288 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 75 3,200 X X 05 0 0 3,200
0 621 26,650 X 09 26,650 0 0
0 347 14,900 X X 09 13,600 0 1,300
- -
0 REYNOLDS METALS CO 76176310 38 650 X 08 650 0 0
COM
0 83 1,400 X X 08 0 0 1,400
0 12,070 204,572 X 09 203,772 0 800
0 178 3,020 X X 09 1,000 800 1,220
- -
0 REYNOLDS R J TOB HLDGS INC 76182K10 1 29 X 04 29 0 0
COM
0 7 212 X X 04 165 0 47
0 9 271 X 05 0 0 271
0 140 4,417 X X 08 4,417 0 0
0 345 10,868 X 09 9,875 13 980
0 56 1,779 X X 09 582 432 765
- -
0 RHYTHMS NETCONNECTIONS INC 76243020 1,845 31,600 X 09 31,600 0 0
COM
- -
0 RICHFOOD HLDGS INC 76340810 902 51,200 X 09 50,000 120 1,080
COM
0 55 3,100 X X 09 0 3,100 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 289 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
RIGGS NATL CORP WASH DC 76657010 2 91 X 08 91 0 0
COM
0 356 17,300 X 09 17,300 0 0
- -
0 RIO TINTO PLC 76720410 16,813 250,000 X 09 250,000 0 0
SPONSORED ADR
- -
0 RITE AID CORP 76775410 1,012 41,097 X 01 0 0 41,097
COM
0 11 460 X 04 0 0 460
0 4,959 201,400 X 09 199,600 0 1,800
0 126 5,100 X X 09 0 1,600 3,500
- -
0 ROADWAY EXPRESS INC DEL 76974210 4,487 231,600 X 09 231,600 0 0
COM
- -
0 ROBERTS PHARMACEUTICAL CORP 77049110 3,211 133,800 X 09 133,800 0 0
COM
- -
0 ROCHESTER GAS & ELEC CORP 77136710 1 50 X X 04 50 0 0
COM
0 117 4,420 X 08 4,420 0 0
0 612 23,030 X 09 22,288 0 742
0 97 3,662 X X 09 2,222 464 976
- -
0 ROCK OF AGES CORP 77263210 412 40,200 X 09 40,200 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 290 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ROCK-TENN CO 77273920 279 16,700 X 09 16,700 0 0
CL A
- -
0 ROCKWELL INTL CORP NEW 77390310 61 1,000 X 04 1,000 0 0
COM
0 626 10,298 X 08 10,298 0 0
0 1,367 22,500 X X 08 8,800 6,200 7,500
0 5,020 82,640 X 09 82,240 0 400
0 1,426 23,480 X X 09 17,320 3,200 2,960
- -
0 ROHM & HAAS CO 77537110 243 5,671 X 08 5,671 0 0
COM
0 1,489 34,736 X X 08 6,638 0 28,098
0 19,709 459,679 X 09 458,479 0 1,200
0 691 16,118 X X 09 15,455 295 368
- -
0 ROSLYN BANCORP INC 77816210 34 2,000 X 09 2,000 0 0
COM
0 572 33,300 X X 09 800 0 32,500
- -
0 ROSS STORES INC 77829610 10 205 X 08 205 0 0
COM
0 17,143 340,300 X 09 338,200 0 2,100
0 35 700 X X 09 0 0 700
- -
0 ROUGE INDS INC DEL 77908810 312 32,000 X 09 32,000 0 0
CL A
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 291 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ROUSE COMPANY 77927310 713 28,084 X X 08 22,667 5,417 0
COM
0 19 763 X X 09 0 0 763
- -
0 ROWAN COS INC 77938210 7 400 X 08 400 0 0
COM
0 922 50,500 X X 08 6,000 44,500 0
0 1,017 55,700 X 09 55,700 0 0
- -
0 ROYAL BK SCOTLAND GROUP PLC 78009730 220 8,500 X 04 8,500 0 0
SP ADR B PREF
0 869 33,600 X X 04 3,600 26,500 3,500
- -
0 ROYAL BK SCOTLAND GROUP PLC 78009740 78 3,000 X 04 3,000 0 0
SP ADR PREF C
0 122 4,700 X X 04 4,700 0 0
- -
0 ROYAL DUTCH PETE CO 78025780 1,794 29,780 X 04 26,880 0 2,900
NY REG GLD1.25
0 2,300 38,172 X X 04 14,508 2,964 20,700
0 50 825 X 05 700 0 125
0 741 12,300 X X 05 12,300 0 0
0 4,073 67,597 X 06 67,597 0 0
0 33,278 552,336 X 08 543,136 7,200 2,000
0 17,723 294,163 X X 08 197,089 11,124 85,950
0 111,834 1,856,163 X 09 1,726,830 14,729 114,604
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 292 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 58,270 967,134 X X 09 323,846 406,134 237,154
- -
0 RUBIOS RESTAURANTS INC 78116B10 157 10,200 X 09 10,200 0 0
COM
- -
0 RUBY TUESDAY INC 78118210 5,726 301,356 X 09 300,056 0 1,300
COM
0 19 1,000 X X 09 1,000 0 0
- -
0 RYANAIR HOLDINGS PLC 78351310 641 12,100 X 09 12,100 0 0
SPONSORED ADR
- -
0 RYANS FAMILY STEAK HOUSE INC 78351910 346 29,800 X 09 29,800 0 0
COM
- -
0 RYDER SYS INC 78354910 592 23,000 X 02 0 0 23,000
COM
0 3 100 X 04 0 0 100
0 19 750 X 08 750 0 0
0 49 1,900 X X 08 0 0 1,900
0 1,675 65,030 X 09 55,064 1,000 8,966
0 430 16,700 X X 09 16,700 0 0
- -
0 RYERSON TULL INC NEW 78375P10 523 23,200 X 09 23,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 293 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 226 10,000 X X 09 10,000 0 0
- -
0 RYLAND GROUP INC 78376410 784 26,400 X 09 26,400 0 0
COM
- -
0 SBC COMMUNICATIONS INC 78387G10 2,380 41,036 X 04 31,362 0 9,674
COM
0 4,059 69,985 X X 04 35,525 7,788 26,672
0 71 1,230 X 05 1,230 0 0
0 574 9,904 X X 05 1,604 300 8,000
0 11,123 191,775 X 06 191,775 0 0
0 75,936 1,309,241 X 08 1,299,141 800 9,300
0 35,879 618,602 X X 08 469,354 51,558 97,690
0 111,750 1,926,728 X 09 1,831,948 29,063 65,717
0 72,949 1,257,740 X X 09 588,175 456,821 212,744
- -
0 SBC COMMUNICATIONS INC 78387G20 68,552 993,500 X 01 0 0 993,500
DECS 7.75%2001
- -
0 SCI SYS INC 78389010 71 1,500 X X 08 0 0 1,500
COM
0 816 17,232 X 09 13,032 0 4,200
0 66 1,400 X X 09 0 0 1,400
- -
0 SDL INC 78407610 6,117 119,800 X 09 119,800 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 294 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 51 1,000 X X 09 0 0 1,000
- -
0 SFX ENTMT INC 78417810 1,696 26,500 X 01 0 0 26,500
CL A
0 2,638 41,220 X 09 41,220 0 0
- -
0 SK TELECOM CO LTD 78440P10 318 18,685 X 09 18,685 0 0
SPONSORED ADR
- -
0 SL GREEN RLTY CORP 78440X10 1,972 96,500 X 09 89,000 0 7,500
COM
0 27 1,300 X X 09 0 800 500
- -
0 SLM HLDG CORP 78442A10 192 4,200 X X 04 4,200 0 0
COM
0 1,449 31,625 X 08 31,625 0 0
0 645 14,075 X X 08 14,075 0 0
0 13,943 304,342 X 09 304,342 0 0
0 2,262 49,367 X X 09 49,367 0 0
- -
0 SPDR TR 78462F10 206 1,500 X 04 200 0 1,300
UNIT SER 1
0 37 270 X X 04 0 0 270
0 48 350 X 08 350 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 295 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 82 595 X X 08 595 0 0
0 1,680 12,261 X 09 10,981 0 1,280
0 274 2,000 X X 09 2,000 0 0
- -
0 SPX CORP 78463510 15,834 189,632 X 09 188,516 1,116 0
COM
0 9,415 112,755 X X 09 112,755 0 0
- -
0 SVI HLDGS INC 78487210 162 13,500 X X 09 13,500 0 0
COM
- -
0 SABINE ROYALTY TR 78568810 66 4,574 X 08 4,574 0 0
UNIT BEN INT
0 432 30,024 X X 08 21,000 9,024 0
- -
0 SAFECO CORP 78642910 15 350 X 05 350 0 0
COM
0 13 300 X 08 300 0 0
0 246 5,580 X X 08 5,580 0 0
0 953 21,600 X X 09 20,000 1,600 0
- -
0 SAFEWAY INC 78651420 25 500 X X 04 0 0 500
COM NEW
0 144 2,900 X 08 1,900 0 1,000
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 296 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 306 6,180 X X 08 4,280 0 1,900
0 8,538 172,485 X 09 96,590 0 75,895
0 227 4,594 X X 09 1,918 1,620 1,056
- -
0 ST HELENA GOLD MINES LTD 78967020 158 60,000 X X 04 0 60,000 0
ADR
- -
0 ST JOE CO 79014810 34 1,275 X X 05 0 0 1,275
COM
0 41 1,500 X 09 0 0 1,500
0 378 14,000 X X 09 9,000 0 5,000
- -
0 ST MARY LD & EXPL CO 79222810 1,087 52,850 X 06 52,850 0 0
COM
0 1,670 81,200 X 08 81,200 0 0
0 451 21,950 X 09 21,950 0 0
- -
0 ST PAUL COS INC 79286010 107 3,379 X 04 2,779 0 600
COM
0 115 3,600 X X 04 3,200 0 400
0 25 800 X 05 800 0 0
0 779 24,489 X 08 24,489 0 0
0 2,687 84,448 X X 08 8,314 68,000 8,134
0 1,654 51,984 X 09 49,420 0 2,564
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 297 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 164 5,160 X X 09 4,000 400 760
- -
0 SAKS INC 79377W10 7 240 X 08 240 0 0
COM
0 2,981 103,230 X 09 97,230 0 6,000
0 52 1,800 X X 09 1,800 0 0
- -
0 SALTON INC 79575710 685 13,702 X 09 13,702 0 0
COM
- -
0 SANTA FE SNYDER CORP 80218K10 77 9,602 X 08 9,602 0 0
COM
0 164 20,500 X X 08 20,500 0 0
0 4 553 X 09 0 0 553
0 10 1,210 X X 09 225 833 152
- -
0 SAP AKTIENGESELLSCHAFT 80305420 1,884 54,405 X 09 54,405 0 0
SPONSORED ADR
0 222 6,400 X X 09 0 0 6,400
- -
0 SAPIENT CORP 80306210 221 3,900 X 09 3,900 0 0
COM
0 527 9,300 X X 09 9,300 0 0
- -
0 SARA LEE CORP 80311110 1,221 53,800 X X 04 50,800 0 3,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 298 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 36 1,580 X 05 1,580 0 0
0 3,422 150,838 X 08 149,838 1,000 0
0 6,884 303,414 X X 08 225,314 23,500 54,600
0 12,308 542,471 X 09 501,621 3,650 37,200
0 5,178 228,226 X X 09 171,200 24,966 32,060
- -
0 SBARRO INC 80584410 8,185 302,450 X 09 300,300 0 2,150
COM
0 38 1,400 X X 09 0 0 1,400
- -
0 SCANA CORP 80589810 7 300 X 08 300 0 0
COM
0 50 2,122 X 09 1,522 0 600
0 675 28,858 X X 09 3,996 15,400 9,462
- -
0 SCHERING PLOUGH CORP 80660510 5,364 102,168 X 04 77,150 500 24,518
COM
0 5,600 106,662 X X 04 53,546 4,000 49,116
0 95 1,800 X 05 1,600 0 200
0 1,806 34,400 X X 05 32,000 0 2,400
0 8,997 171,375 X 06 171,375 0 0
0 31,370 597,530 X 08 595,630 0 1,900
0 7,641 145,543 X X 08 114,143 20,000 11,400
0 347,084 6,611,128 X 09 2,380,382 16,350 4,214,396
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 299 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 159,391 3,036,016 X X 09 2,638,960 179,436 217,620
- -
0 SCHLUMBERGER LTD 80685710 541 8,500 X 02 0 0 8,500
COM
0 1,064 16,710 X 04 14,660 500 1,550
0 692 10,870 X X 04 1,900 1,420 7,550
0 70 1,100 X 05 1,100 0 0
0 1,522 23,900 X X 05 23,100 0 800
0 503 7,900 X 06 7,900 0 0
0 25,811 405,276 X 08 402,552 0 2,724
0 14,730 231,289 X X 08 199,949 22,866 8,474
0 53,998 847,856 X 09 572,108 21,140 254,608
0 34,897 547,937 X X 09 209,925 184,944 153,068
- -
0 SCHOLASTIC CORP 80706610 3,774 74,547 X X 09 74,547 0 0
COM
- -
0 SCHWAB CHARLES CORP NEW 80851310 507 4,653 X 01 0 0 4,653
COM
0 496 4,550 X 04 3,300 500 750
0 491 4,500 X X 04 4,500 0 0
0 20,409 187,235 X 06 187,235 0 0
0 46,041 422,392 X 08 422,192 0 200
0 6,215 57,020 X X 08 52,495 1,000 3,525
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 300 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 74,906 687,213 X 09 675,513 5,700 6,000
0 1,455 13,350 X X 09 5,700 5,650 2,000
- -
0 SCHWEITZER-MAUDUIT INC 80854110 9 619 X X 08 619 0 0
COM
0 26 1,715 X 09 1,715 0 0
0 323 21,546 X X 09 956 20,590 0
- -
0 SCIENTIFIC ATLANTA INC 80865510 2,714 75,400 X 08 74,600 0 800
COM
0 727 20,200 X X 08 7,200 8,000 5,000
0 684 19,000 X 09 16,100 2,700 200
0 331 9,200 X X 09 2,400 2,800 4,000
- -
0 SCIOS INC 80890510 33 10,000 X X 09 0 10,000 0
COM
- -
0 SCOTTS CO 81018610 2,015 42,300 X 09 41,700 0 600
CL A
- -
0 SCRIPPS E W CO OHIO 81105420 286 6,005 X X 08 6,005 0 0
CL A
0 16,820 353,641 X 09 105,867 0 247,774
- -
0 SEAGATE TECHNOLOGY 81180410 305 11,900 X 04 3,400 0 8,500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 301 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 77 3,000 X X 04 0 3,000 0
0 10 400 X 05 0 0 400
0 515 20,100 X X 05 17,900 0 2,200
0 215 8,400 X 08 8,400 0 0
0 72 2,800 X X 08 0 0 2,800
0 2,443 95,320 X 09 82,520 3,500 9,300
0 520 20,300 X X 09 7,400 7,400 5,500
- -
0 SEAGRAM LTD 81185010 50 1,000 X 04 0 0 1,000
COM
0 101 2,000 X X 04 2,000 0 0
0 353 7,000 X X 08 0 0 7,000
0 322 6,400 X 09 0 4,000 2,400
0 393 7,800 X X 09 800 0 7,000
- -
0 SEAGRAM LTD 81185020 9,913 200,000 X 09 200,000 0 0
PFD ADJ CV SEC
- -
0 SEACOR SMIT INC 81190410 407 7,600 X 09 7,600 0 0
COM
- -
0 SEALED AIR CORP NEW 81211K10 296 4,556 X 02 0 0 4,556
COM
0 68 1,055 X X 04 240 428 387
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 302 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 65 1,000 X 08 1,000 0 0
0 39 600 X X 08 600 0 0
0 1,062 16,367 X 09 10,345 107 5,915
0 3,623 55,850 X X 09 16,743 5,400 33,707
- -
0 SEALED AIR CORP NEW 81211K20 5,244 83,900 X 01 0 0 83,900
PFD CV A $2
0 252 4,037 X 02 0 0 4,037
0 116 1,856 X X 04 212 969 675
0 762 12,186 X 09 10,088 380 1,718
0 1,107 17,718 X X 09 3,323 10,000 4,395
- -
0 SEARS ROEBUCK & CO 81238710 95 2,121 X 04 796 0 1,325
COM
0 144 3,238 X X 04 1,720 1,184 334
0 28 625 X 05 625 0 0
0 111 2,481 X X 05 0 0 2,481
0 762 17,100 X 06 17,100 0 0
0 5,396 121,088 X 08 121,088 0 0
0 1,511 33,900 X X 08 19,000 6,100 8,800
0 39,201 879,676 X 09 868,288 1,600 9,788
0 10,473 235,017 X X 09 89,400 79,531 66,086
- -
0 SECURE COMPUTING CORP 81370510 122 50,189 X 03 50,189 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 303 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CAP GROUP INC 81413P10 1,446 1,995 X 08 1,995 0 0
CL A
- -
0 SEITEL INC 81607430 443 27,360 X 09 27,360 0 0
COM NEW
0 49 3,000 X X 09 0 3,000 0
- -
0 SEMTECH CORP 81685010 6,787 130,200 X 09 130,200 0 0
COM
- -
0 SEMPRA ENERGY 81685110 52 2,312 X 04 2,312 0 0
COM
0 11 500 X X 04 300 0 200
0 84 3,703 X 08 3,703 0 0
0 421 18,609 X X 08 18,609 0 0
0 1,537 67,928 X 09 58,244 3,000 6,684
0 857 37,865 X X 09 9,010 25,101 3,754
- -
0 SENSORMATIC ELECTRS CP 81726510 814 58,400 X 08 58,400 0 0
COM
0 474 34,000 X X 08 16,000 8,000 10,000
0 1,808 129,700 X 09 107,100 2,000 20,600
0 141 10,100 X X 09 0 3,000 7,100
- -
0 SEPRACOR INC 81731510 8 100 X 08 100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 304 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,219 15,000 X 09 15,000 0 0
0 16 200 X X 09 0 0 200
- -
0 SERVICE CORP INTL 81756510 127 6,600 X X 04 6,600 0 0
COM
0 15 800 X 05 800 0 0
0 5,298 275,202 X 08 270,802 500 3,900
0 5,921 307,589 X X 08 193,255 112,534 1,800
0 4,758 247,171 X 09 235,971 0 11,200
0 2,471 128,383 X X 09 8,408 2,100 117,875
- -
0 SERVICEMASTER CO 81760N10 25 1,349 X X 08 1,349 0 0
COM
0 4,698 250,558 X 09 241,263 0 9,295
0 662 35,305 X X 09 16,307 18,998 0
- -
0 7-ELEVEN INC 81782610 58 26,300 X X 04 5,000 0 21,300
COM
0 44 20,000 X X 08 20,000 0 0
0 0 18 X 09 18 0 0
- -
0 SHAW INDS INC 82028610 53 3,000 X X 04 3,000 0 0
COM
0 81 4,600 X X 08 0 0 4,600
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 305 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 34,738 1,985,000 X 09 1,985,000 0 0
- -
0 SHEFFIELD PHARMACEUTICALS IN 82123D30 44 15,000 X 09 15,000 0 0
COM NEW
- -
0 SHELL TRANS & TRADING PLC 82270360 603 12,996 X 04 12,996 0 0
NEW YRK SH NEW
0 260 5,600 X X 04 4,400 0 1,200
0 8 180 X 08 180 0 0
0 139 3,000 X 09 3,000 0 0
0 1,667 35,950 X X 09 4,600 16,150 15,200
- -
0 SHERWIN WILLIAMS CO 82434810 1,064 38,333 X 08 38,333 0 0
COM
0 2,398 86,424 X X 08 81,100 0 5,324
0 1,552 55,920 X 09 41,470 2,100 12,350
0 481 17,320 X X 09 5,320 2,000 10,000
- -
0 SHIRE PHARMACEUTICALS GRP PL 82481R10 520 20,000 X 09 20,000 0 0
SPONSORED ADR
- -
0 SHOE CARNIVAL INC 82488910 10,625 625,000 X 09 0 0 625,000
COM
- -
0 SHOPKO STORES INC 82491110 139 3,800 X X 08 0 0 3,800
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 306 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 631 17,300 X 09 17,300 0 0
- -
0 SHONEYS INC 82503910 274 125,177 X 04 0 0 125,177
COM
0 1,078 492,902 X X 04 0 0 492,902
0 636 290,900 X X 09 0 0 290,900
- -
0 SHOREWOOD PACKAGING CORP 82522910 11,373 616,800 X 09 612,450 0 4,350
COM
0 177 9,600 X X 09 0 4,800 4,800
- -
0 SIEBEL SYSTEMS INC 82617010 1,326 20,000 X 09 20,000 0 0
COM
- -
0 SIERRA PAC RES 82642510 207 5,700 X 04 2,900 0 2,800
COM
0 240 6,601 X X 04 5,800 400 401
0 18 500 X 05 0 0 500
0 728 20,000 X X 05 20,000 0 0
0 8,706 239,350 X 09 238,650 0 700
0 499 13,720 X X 09 12,970 100 650
- -
0 SIGMA ALDRICH CORP 82655210 245 7,100 X X 08 4,800 0 2,300
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 307 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 81 2,357 X 09 356 0 2,001
0 1,472 42,740 X X 09 2,000 0 40,740
- -
0 SILICON GRAPHICS INC 82705610 187 11,400 X 08 11,400 0 0
COM
0 97 5,900 X X 08 2,000 0 3,900
0 141 8,622 X 09 8,622 0 0
- -
0 SILICON VY BANCSHARES 82706410 1,247 50,400 X 09 50,400 0 0
COM
- -
0 SILICONIX INC 82707920 301 8,800 X 09 8,800 0 0
COM NEW
- -
0 SIMON PPTY GROUP INC NEW 82880610 33 1,300 X 04 1,300 0 0
COM
0 38 1,500 X X 05 0 0 1,500
0 3,113 122,669 X 09 99,669 2,000 21,000
0 912 35,925 X X 09 8,250 22,675 5,000
- -
0 SINCLAIR BROADCAST GROUP INC 82922610 3,939 240,542 X 01 0 0 240,542
CL A
- -
0 SIPEX CORP 82990910 287 14,000 X 09 14,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 308 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SIZELER PPTY INVS INC 830137AA 231 245,000 X 09 0 0 0
SDCV 8.000% 7/15/03
0 24 25,000 X X 09 0 0 0
- -
0 SMITH INTL INC 83211010 43 1,000 X 08 1,000 0 0
COM
0 2,869 66,058 X X 08 66,058 0 0
0 4,671 107,533 X 09 91,750 0 15,783
0 1,009 23,233 X X 09 13,500 0 9,733
- -
0 SMITH CHARLES E RESDNTL RLTY 83219710 984 29,000 X 09 29,000 0 0
COM
0 17 500 X X 09 0 0 500
- -
0 SMITHFIELD FOODS INC 83224810 314 9,400 X 09 9,400 0 0
COM
0 47 1,400 X X 09 0 0 1,400
- -
0 SMITHKLINE BEECHAM PLC 83237830 1,562 23,650 X 04 20,450 0 3,200
ADR REP ORD
0 700 10,600 X X 04 10,600 0 0
0 235 3,550 X 05 2,200 0 1,350
0 59 900 X X 05 0 0 900
0 1,894 28,676 X 08 28,676 0 0
0 761 11,520 X X 08 9,920 1,600 0
0 38,432 581,749 X 09 469,254 2,100 110,395
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 309 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 12,988 196,602 X X 09 85,046 28,216 83,340
- -
0 SMURFIT-STONE CONTAINER CORP 83272710 204 9,900 X X 08 0 0 9,900
COM
0 982 47,772 X 09 47,772 0 0
- -
0 SNYDER COMMUNICATIONS INC 83291410 14,574 445,000 X 09 445,000 0 0
COM
- -
0 SODEXHO MARRIOTT SVCS INC 83379310 1 75 X 04 75 0 0
COM
0 446 23,221 X X 04 500 0 22,721
0 87 4,537 X 09 4,387 0 150
0 24 1,261 X X 09 1,261 0 0
- -
0 SOLA INTL INC 83409210 2 100 X 04 0 100 0
COM
0 1,944 100,000 X X 09 0 0 100,000
- -
0 SOLECTRON CORP 83418210 27 400 X 04 400 0 0
COM
0 827 12,400 X 05 8,400 0 4,000
0 10,782 161,675 X 06 161,675 0 0
0 23,478 352,060 X 08 349,260 0 2,800
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 310 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 639 9,575 X X 08 9,575 0 0
0 7,722 115,794 X 09 105,094 2,700 8,000
0 1,417 21,250 X X 09 10,500 10,750 0
- -
0 SOLUTIA INC 83437610 10 450 X 04 450 0 0
COM
0 65 3,052 X X 04 152 0 2,900
0 6 297 X 05 297 0 0
0 28 1,308 X 08 1,308 0 0
0 73 3,415 X X 08 3,415 0 0
0 556 26,068 X 09 21,900 0 4,168
0 394 18,508 X X 09 11,950 2,220 4,338
- -
0 SONAT INC 83541510 60 1,800 X X 04 0 1,800 0
COM
0 262 7,922 X 08 7,922 0 0
0 86 2,600 X X 08 2,400 0 200
0 1,407 42,462 X 09 41,502 960 0
0 1,571 47,436 X X 09 27,556 8,100 11,780
- -
0 SONOCO PRODS CO 83549510 14 480 X X 04 480 0 0
COM
0 9 300 X 08 300 0 0
0 1,068 35,672 X 09 33,372 1,100 1,200
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 311 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 906 30,264 X X 09 10,813 10,211 9,240
- -
0 SONY CORP 83569930 22 200 X 04 0 0 200
ADR NEW
0 1,645 14,900 X X 05 13,800 0 1,100
0 435 3,945 X 08 3,945 0 0
0 22 200 X X 08 200 0 0
0 430 3,900 X 09 900 200 2,800
0 552 5,000 X X 09 200 300 4,500
- -
0 SOUTHDOWN INC 84129710 9 145 X 08 145 0 0
COM
0 64 1,000 X X 08 0 0 1,000
0 1,715 26,700 X 09 25,000 0 1,700
0 71 1,102 X X 09 0 0 1,102
- -
0 SOUTHERN CO 84258710 109 4,132 X 04 0 0 4,132
COM
0 118 4,462 X X 04 3,060 600 802
0 302 11,400 X 08 11,400 0 0
0 1,242 46,883 X X 08 32,417 13,966 500
0 542 20,462 X 09 15,302 1,900 3,260
0 1,609 60,718 X X 09 36,238 12,162 12,318
- -
0 SOUTHTRUST CORP 84473010 10,678 278,255 X 08 274,155 2,000 2,100
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 312 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,318 86,475 X X 08 75,775 10,700 0
0 384 10,000 X 09 10,000 0 0
0 40 1,053 X X 09 0 0 1,053
- -
0 SOUTHWEST AIRLS CO 84474110 1,055 33,900 X 04 29,500 500 3,900
COM
0 47 1,500 X X 04 1,500 0 0
0 7,126 228,940 X 06 228,940 0 0
0 23,907 768,104 X 08 768,104 0 0
0 7,584 243,675 X X 08 203,263 18,300 22,112
0 12,472 400,714 X 09 388,557 850 11,307
0 299 9,600 X X 09 8,300 0 1,300
- -
0 SOUTHWEST BANCORPORATION TEX 84476R10 2,490 138,324 X 08 138,324 0 0
COM
0 43 2,400 X X 08 2,400 0 0
- -
0 SOUTHWEST SECS GROUP INC 84522410 236 3,300 X 09 3,300 0 0
COM
- -
0 SOVEREIGN BANCORP INC 84590510 1,186 97,800 X 09 97,800 0 0
COM
0 500 41,203 X X 09 60 41,143 0
- -
0 SOVRAN SELF STORAGE INC 84610H10 27 1,000 X X 08 1,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 313 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 436 16,182 X 09 4,682 0 11,500
0 270 10,031 X X 09 1,331 0 8,700
- -
0 SPARTECH CORP 84722020 5,971 188,800 X 06 188,800 0 0
COM NEW
0 8,004 253,100 X 08 253,100 0 0
0 6,864 217,050 X 09 217,050 0 0
- -
0 SPEEDFAM-IPEC INC 84770510 267 16,600 X 09 16,600 0 0
COM
- -
0 SPIEKER PPTYS INC 84849710 47 1,200 X 04 1,200 0 0
COM
0 10 250 X X 04 250 0 0
0 39 1,000 X X 05 0 0 1,000
0 11,958 307,600 X 09 293,100 2,000 12,500
0 288 7,400 X X 09 5,400 800 1,200
- -
0 SPLASH TECHNOLOGY HLDGS INC 84862310 10 1,480 X X 04 0 0 1,480
COM
0 185 26,300 X 09 26,300 0 0
- -
0 SPRINT CORP 85206110 98 1,848 X 04 1,848 0 0
COM FON GROUP
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 314 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 438 8,268 X X 04 4,600 0 3,668
0 32 600 X 05 600 0 0
0 1,311 24,740 X X 05 24,740 0 0
0 5,213 98,350 X 06 98,350 0 0
0 12,904 243,468 X 08 243,468 0 0
0 5,070 95,660 X X 08 64,560 31,100 0
0 64,629 1,219,413 X 09 1,161,629 9,400 48,384
0 14,676 276,899 X X 09 167,993 36,000 72,906
- -
0 SPRINT CORP 85206150 1,065 18,685 X 02 0 0 18,685
PCS COM SER 1
0 30 532 X 04 462 0 70
0 132 2,317 X X 04 1,150 0 1,167
0 438 7,685 X X 05 7,685 0 0
0 790 13,859 X 08 13,859 0 0
0 1,392 24,415 X X 08 16,640 7,775 0
0 6,078 106,630 X 09 93,345 2,350 10,935
0 3,452 60,555 X X 09 35,950 6,611 17,994
- -
0 STANLEY WKS 85461610 19 600 X X 08 600 0 0
COM
0 312 9,680 X 09 8,200 0 1,480
0 840 26,100 X X 09 0 2,300 23,800
- -
0 STAR TELECOMMUNICATIONS INC 85492310 508 65,000 X 09 65,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 315 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
STAPLES INC 85503010 104 3,375 X X 04 3,375 0 0
COM
0 46 1,500 X 05 1,500 0 0
0 138 4,462 X 08 4,462 0 0
0 211 6,825 X 09 300 300 6,225
0 9,727 314,400 X X 09 24,000 0 290,400
- -
0 STARBUCKS CORP 85524410 127 3,370 X 08 3,370 0 0
COM
0 38 1,000 X 09 0 1,000 0
0 477 12,700 X X 09 3,000 0 9,700
- -
0 STARMEDIA NETWORK INC 85554610 752,721 11,738,333 X 07 11,738,333 0 0
COM
0 64 1,000 X 09 1,000 0 0
- -
0 STARWOOD HOTELS&RESORTS WRLD 85590A20 7 231 X 04 231 0 0
PAIRED CTF
0 5 154 X X 04 154 0 0
0 7 230 X 08 230 0 0
0 9 297 X X 08 297 0 0
0 1,804 59,036 X 09 52,039 0 6,997
0 329 10,775 X X 09 4,700 2,485 3,590
- -
0 STATE STR CORP 85747710 128 1,500 X 04 1,500 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 316 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 60 700 X 05 700 0 0
0 26 300 X X 05 0 0 300
0 4,707 55,132 X 08 55,132 0 0
0 1,426 16,700 X X 08 16,050 200 450
0 16,480 193,035 X 09 191,005 0 2,030
0 2,238 26,215 X X 09 12,415 13,500 300
- -
0 STATEN IS BANCORP INC 85755010 292 16,200 X 09 16,200 0 0
COM
0 18 1,000 X X 09 1,000 0 0
- -
0 STATIONS CASINOS INC 85768910 12,225 600,000 X 09 600,000 0 0
COM
- -
0 STERLING BANCSHARES INC 85890710 150 11,250 X 08 11,250 0 0
COM
0 507 37,921 X X 08 37,921 0 0
- -
0 STERIS CORP 85915210 1,781 91,900 X 09 45,100 4,000 42,800
COM
0 488 25,200 X X 09 12,000 4,800 8,400
- -
0 STERLING COMMERCE INC 85920510 908 24,700 X 04 20,200 0 4,500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 317 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 779 21,200 X X 04 5,000 0 16,200
0 2,063 56,128 X 08 55,928 200 0
0 333 9,051 X X 08 8,151 0 900
0 12,612 343,180 X 09 272,642 19,850 50,688
0 3,364 91,530 X X 09 39,930 17,250 34,350
- -
0 STERLING SOFTWARE INC 85954710 26 1,000 X 08 1,000 0 0
COM
0 245 9,280 X X 08 3,480 0 5,800
0 159 6,000 X 09 6,000 0 0
0 63 2,400 X X 09 0 2,400 0
- -
0 STET HELLAS COMMUNICATIONS S 85982310 4,115 183,900 X 09 180,700 0 3,200
ADR
- -
0 STEWART ENTERPRISES INC 86037010 1,826 125,386 X 09 116,386 0 9,000
CL A
- -
0 STEWART INFORMATION SVCS COR 86037210 752 35,600 X 09 35,600 0 0
COM
- -
0 STILLWATER MNG CO 86074Q10 5 150 X X 08 150 0 0
COM
0 1,463 45,000 X 09 45,000 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 318 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
STIMSONITE CORP 86083210 3,748 256,250 X 09 254,750 0 1,500
COM
- -
0 STMICROELECTRONICS N V 86101210 208 3,000 X X 09 3,000 0 0
COM
- -
0 STONE ENERGY CORP 86164210 1,229 29,000 X 09 29,000 0 0
COM
- -
0 STORAGE TECHNOLOGY CORP 86211120 921 40,465 X 09 31,965 0 8,500
COM PAR $0.10
0 354 15,550 X X 09 5,350 3,600 6,600
- -
0 STRIDE RITE CORP 86331410 1,406 136,350 X 06 136,350 0 0
COM
0 1,504 145,800 X 08 145,800 0 0
0 483 46,819 X 09 46,819 0 0
0 62 6,000 X X 09 0 6,000 0
- -
0 STRYKER CORP 86366710 126 2,100 X 08 2,100 0 0
COM
0 361 6,000 X 09 6,000 0 0
0 30 500 X X 09 0 0 500
- -
0 SUIZA FOODS CORP 86507710 117 2,800 X 04 1,800 0 1,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 319 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 14,329 342,175 X 09 342,175 0 0
0 528 12,600 X X 09 0 12,000 600
- -
0 SUMMIT BANCORP 86600510 13 300 X 04 300 0 0
COM
0 6,460 154,495 X 09 152,945 1,100 450
0 1,182 28,280 X X 09 23,114 4,454 712
- -
0 SUMMIT PPTYS INC 86623910 1,776 89,900 X 09 89,900 0 0
COM
- -
0 SUN COMMUNITIES INC 86667410 650 18,300 X 09 800 0 17,500
COM
0 266 7,500 X X 09 6,000 500 1,000
- -
0 SUN MICROSYSTEMS INC 86681010 10,090 146,500 X 04 113,400 0 33,100
COM
0 1,899 27,570 X X 04 12,100 1,570 13,900
0 620 9,000 X 05 9,000 0 0
0 4,587 66,600 X X 05 65,800 0 800
0 7,308 106,100 X 08 104,200 0 1,900
0 1,137 16,510 X X 08 6,510 200 9,800
0 141,482 2,054,192 X 09 1,727,336 21,900 304,956
0 48,045 697,568 X X 09 525,670 69,250 102,648
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 320 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SUN HYDRAULICS CORP 86694210 134 15,000 X 09 15,000 0 0
COM
- -
0 SUNGARD DATA SYS INC 86736310 3,219 93,310 X 09 93,310 0 0
COM
0 251 7,275 X X 09 5,275 0 2,000
- -
0 SUNOCO INC 86764P10 31 1,042 X 04 1,042 0 0
COM
0 0 1 X 08 1 0 0
0 192 6,351 X X 08 6,351 0 0
0 264 8,746 X 09 8,746 0 0
0 195 6,458 X X 09 3,058 0 3,400
- -
0 SUNRISE ASSISTED LIVNG 86768K10 1,826 52,350 X 09 52,350 0 0
COM
0 35 1,000 X X 09 0 0 1,000
- -
0 SUNRISE TECHNOLOGIES INTL IN 86769L10 37 3,000 X X 04 0 3,000 0
COM
0 228 18,600 X X 09 0 18,600 0
- -
0 SUNTRUST BKS INC 86791410 69 1,000 X 04 1,000 0 0
COM
0 76 1,100 X X 04 400 0 700
0 2,555 36,800 X 06 36,800 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 321 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 12,770 183,900 X 08 183,900 0 0
0 1,900 27,358 X X 08 6,458 200 20,700
0 7,322 105,440 X 09 104,740 0 700
0 1,611 23,196 X X 09 12,895 7,901 2,400
- -
0 SUNSTONE HOTEL INVS INC 86793310 213 25,000 X X 04 0 0 25,000
COM
- -
0 SUPERIOR CONSULTANT HLDGS CO 86814610 2,252 91,200 X 06 91,200 0 0
COM
0 3,018 122,250 X 08 122,250 0 0
0 758 30,700 X 09 30,700 0 0
- -
0 SUPERVALU INC 86853610 26 1,000 X 05 800 0 200
COM
0 65 2,500 X X 05 800 0 1,700
0 19 730 X 08 730 0 0
0 91 3,500 X X 08 0 0 3,500
0 212 8,200 X 09 8,200 0 0
- -
0 SURMODICS INC 86887310 257 15,700 X 09 15,700 0 0
COM
- -
0 SWIFT TRANSN CO 87075610 5,376 244,350 X 09 240,300 270 3,780
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 322 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SYLVAN INC 87137110 3,250 279,600 X 09 273,800 180 5,620
COM
0 79 6,800 X X 09 0 4,700 2,100
- -
0 SYLVAN LEARNING SYS 87139910 54 2,000 X 04 1,000 0 1,000
COM
0 7,417 272,800 X 09 272,800 0 0
- -
0 SYMANTEC CORP 87150310 1,020 40,000 X 02 0 0 40,000
COM
0 278 10,900 X X 08 0 0 10,900
0 3,803 149,145 X 09 95,145 3,400 50,600
0 1,148 45,025 X X 09 32,075 3,400 9,550
- -
0 SYMBOL TECHNOLOGIES INC 87150810 42 1,152 X 08 1,152 0 0
COM
0 0 5 X 09 0 0 5
0 381 10,325 X X 09 3,375 0 6,950
- -
0 SYNBIOTICS CORP 87156610 59 15,000 X X 09 0 0 15,000
COM
- -
0 SYSCO CORP 87182910 358 12,000 X 04 8,900 0 3,100
COM
0 54 1,800 X X 04 0 0 1,800
0 2,582 86,600 X 06 86,600 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 323 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 24,434 819,592 X 08 819,592 0 0
0 11,068 371,262 X X 08 303,062 61,500 6,700
0 11,998 402,450 X 09 353,450 11,600 37,400
0 5,102 171,140 X X 09 29,100 17,700 124,340
- -
0 SYSTEMS COMPUTER TECH 87187310 73 5,000 X 09 5,000 0 0
COM
0 73 5,000 X X 09 0 5,000 0
- -
0 SYNTHETIC INDS INC 87191410 233 7,900 X 09 7,900 0 0
COM
- -
0 TBC CORP 87218010 2,048 290,001 X 09 290,001 0 0
COM
- -
0 TCA CABLE TV INC 87224110 2,997 54,000 X 01 0 0 54,000
COM
- -
0 TCBY ENTERPRISES INC 87224510 473 77,300 X 09 77,300 0 0
COM
- -
0 TCF FINL CORP 87227510 5,872 210,640 X 09 210,640 0 0
COM
0 86 3,100 X X 09 3,100 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 324 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TCI MUSIC INC 87229N10 1,160 32,800 X 09 32,800 0 0
CL A
- -
0 TECO ENERGY INC 87237510 32 1,400 X 04 1,400 0 0
COM
0 52 2,300 X X 04 2,300 0 0
0 55 2,400 X 08 2,400 0 0
0 403 17,700 X X 08 1,700 16,000 0
0 1,086 47,716 X 09 42,716 0 5,000
0 1,208 53,104 X X 09 25,000 0 28,104
- -
0 TEPPCO PARTNERS L P 87238410 50 2,000 X 04 2,000 0 0
UT LTD PARTNER
0 15 600 X X 04 600 0 0
0 50 2,000 X 08 2,000 0 0
0 42 1,700 X X 08 1,700 0 0
0 99 4,000 X 09 1,000 2,000 1,000
0 74 3,000 X X 09 0 0 3,000
- -
0 TJX COS INC NEW 87254010 370 11,100 X 09 11,100 0 0
COM
0 115 3,454 X X 09 2,664 790 0
- -
0 TNP ENTERPRISES INC 87259410 1,675 46,200 X 09 46,200 0 0
COM
- -
0 T R W INC 87264910 66 1,200 X 04 1,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 325 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11 200 X X 04 0 200 0
0 7 131 X 08 131 0 0
0 57 1,038 X X 08 1,038 0 0
0 1,954 35,606 X 09 27,526 880 7,200
0 3,833 69,850 X X 09 26,482 41,268 2,100
- -
0 TSI INC MINN 87287610 157 13,500 X X 09 0 0 13,500
COM
- -
0 TSI INTERNATIONAL SOFTWARE L 87287910 1,561 55,000 X 09 55,000 0 0
COM
- -
0 TLC THE LASER CTR INC 87293410 960 20,000 X 09 20,000 0 0
COM
- -
0 TMP WORLDWIDE INC 87294110 940 14,800 X 09 14,800 0 0
COM
- -
0 TAIWAN SEMICONDCTR MFG 87403910 1,340 39,400 X 09 39,400 0 0
SPONSORED ADR
- -
0 TANDY BRANDS ACCESSORIES INC 87537810 79 4,589 X 08 4,589 0 0
COM
0 518 30,243 X X 08 30,243 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 326 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TANDY CORP 87538210 68 1,400 X X 05 0 0 1,400
COM
0 4,008 82,000 X 08 82,000 0 0
0 528 10,800 X X 08 0 600 10,200
0 723 14,800 X 09 14,800 0 0
- -
0 TAUBMAN CTRS INC 87666410 1,971 149,450 X 09 148,200 0 1,250
COM
- -
0 TECH DATA CORP 87823710 4 100 X 04 100 0 0
COM
0 8 200 X 08 200 0 0
0 130 3,400 X X 08 0 0 3,400
0 306 8,000 X 09 7,400 0 600
- -
0 TECHNITROL INC 87855510 5,644 175,000 X 09 175,000 0 0
COM
- -
0 TECUMSEH PRODS CO 87889520 587 9,700 X 09 9,700 0 0
CL A
- -
0 TELE CENTRO SUL PART S A 87923910 555 10,000 X 09 0 0 10,000
SPONS ADR PFD
- -
0 TELE NORTE LESTE PART S A 87924610 464 25,000 X 09 0 0 25,000
SPONS ADR PFD
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 327 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TELEBANC FINANCIAL CORP 87925R10 3,150 81,300 X 01 0 0 81,300
COM
- -
0 TELECOM ITALIA SPA 87927W10 44 420 X 04 0 0 420
SPONS ADR ORD
0 13 120 X X 08 120 0 0
0 1,978 18,805 X 09 18,630 0 175
- -
0 TELECOM ARGENTINA-STET 87927320 231 8,630 X 09 8,630 0 0
SPNS ADR REP B
- -
0 TELECOM CORP NEW ZEALAND LTD 87927820 954 27,300 X 01 0 0 27,300
SPONSORED ADR
0 14 400 X X 08 0 0 400
0 21 600 X 09 200 400 0
0 70 2,000 X X 09 2,000 0 0
- -
0 TELECOMUNICACOES BRASILEIRAS 87928710 0 3,500 X 01 0 0 3,500
SPONSORED ADR
0 16 247,416 X 09 243,416 200 3,800
0 0 1,800 X X 09 1,500 0 300
- -
0 TELECOMUNICACOES BRASILEIRAS 87928730 1,863 20,700 X 01 0 0 20,700
SPONSORED ADR
0 8 90 X X 08 90 0 0
0 17,717 196,851 X 09 192,251 200 4,400
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 328 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 162 1,800 X X 09 1,500 0 300
- -
0 TELEFLEX INC 87936910 195 4,500 X X 04 4,500 0 0
COM
0 19,471 448,250 X 09 437,600 0 10,650
0 2,207 50,800 X X 09 2,600 17,000 31,200
- -
0 TELEFONICA DE ARGENTINA S A 87937820 5,010 159,690 X 01 0 0 159,690
SPNSR ADR CL B
0 2,016 64,270 X 09 49,270 0 15,000
- -
0 TELEFONICA S A 87938220 23 156 X 04 0 0 156
SPONSORED ADR
0 168 1,144 X X 04 104 0 1,040
0 306 2,080 X 08 2,080 0 0
0 77 520 X X 08 520 0 0
0 1,607 10,925 X 09 9,670 444 811
0 338 2,296 X X 09 520 728 1,048
- -
0 TELEFONICA DEL PERU S A 87938410 185 12,250 X 09 2,250 0 10,000
SPONS ADR CL B
- -
0 TELEFONOS DE MEXICO SA 879403AD 4,065 4,000,000 X 01 0 0 0
DBCV 4.250% 6/15/04
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 329 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TELEFONOS DE MEXICO SA 87940378 614 7,600 X 01 0 0 7,600
SPNS ADR ORD L
0 40 500 X 04 0 0 500
0 36 450 X 08 450 0 0
0 43 530 X X 08 530 0 0
0 1,895 23,450 X 09 16,820 100 6,530
0 83 1,025 X X 09 825 0 200
- -
0 TELEPHONE & DATA SYS INC 87943310 1,082 14,800 X 09 11,100 0 3,700
COM
0 154 2,100 X X 09 1,600 500 0
- -
0 TELESP CELULAR PART S A 87952L10 321 12,000 X 09 0 0 12,000
SPONS ADR PFD
- -
0 TELLABS INC 87966410 1,132 16,760 X 04 16,760 0 0
COM
0 1,953 28,910 X 08 28,910 0 0
0 493 7,300 X X 08 2,500 0 4,800
0 38,853 575,060 X 09 361,935 18,100 195,025
0 780 11,550 X X 09 6,900 3,050 1,600
- -
0 TEMPLE INLAND INC 87986810 37 544 X 04 0 0 544
COM
0 1,160 16,904 X X 04 0 0 16,904
0 17 250 X 08 250 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 330 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,114 45,370 X X 08 43,770 0 1,600
0 442 6,440 X 09 5,840 0 600
0 1,309 19,074 X X 09 9,724 100 9,250
- -
0 TEMPLETON EMERG MKTS INCOME 88019210 265 24,369 X X 09 0 1,212 23,157
COM
- -
0 TENFOLD CORP 88033A10 244 7,700 X 09 7,700 0 0
COM
- -
0 TENET HEALTHCARE CORP 88033G10 9 500 X 04 0 0 500
COM
0 1,299 70,000 X X 05 70,000 0 0
0 23 1,226 X 08 1,226 0 0
0 71 3,800 X X 08 3,800 0 0
0 4,822 259,777 X 09 235,230 0 24,547
0 398 21,450 X X 09 250 0 21,200
- -
0 TENNECO INC NEW 88037E10 33 1,366 X X 04 1,366 0 0
COM
0 54 2,250 X 05 2,150 0 100
0 31 1,300 X X 05 0 0 1,300
0 34 1,432 X 08 1,332 100 0
0 780 32,661 X X 08 29,932 2,129 600
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 331 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 301 12,592 X 09 8,719 873 3,000
0 259 10,842 X X 09 8,315 200 2,327
- -
0 TERADYNE INC 88077010 251 3,500 X 04 3,500 0 0
COM
0 574 8,000 X X 04 0 0 8,000
0 22 300 X 08 300 0 0
0 50 700 X X 08 700 0 0
0 34,744 484,235 X 09 464,685 0 19,550
0 4,628 64,498 X X 09 52,900 7,100 4,498
- -
0 TEREX CORP NEW 88077910 317 10,400 X 09 10,400 0 0
COM
0 913 30,000 X X 09 0 0 30,000
- -
0 TEVA PHARMACEUTICAL INDS LTD 88162420 809 16,500 X 08 16,500 0 0
ADR
0 1,235 25,200 X X 08 23,100 1,600 500
0 5 100 X 09 100 0 0
- -
0 TEXACO INC 88169410 792 12,700 X 01 0 0 12,700
COM
0 2,180 34,948 X 04 25,368 500 9,080
0 1,375 22,052 X X 04 14,152 1,400 6,500
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 332 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 125 2,000 X 05 2,000 0 0
0 75 1,200 X X 05 0 0 1,200
0 2,938 47,100 X 06 47,100 0 0
0 17,533 281,090 X 08 279,990 0 1,100
0 5,061 81,134 X X 08 66,198 11,736 3,200
0 50,762 813,818 X 09 594,373 23,000 196,445
0 16,385 262,690 X X 09 90,789 103,533 68,368
- -
0 TEXAS INDS INC 88249110 25 636 X 08 636 0 0
COM
0 90 2,326 X X 08 2,326 0 0
0 791 20,400 X 09 17,600 0 2,800
0 233 6,000 X X 09 5,600 0 400
- -
0 TEXAS INSTRS INC 88250810 691 4,800 X 01 0 0 4,800
COM
0 701 4,865 X 04 3,505 0 1,360
0 1,215 8,440 X X 04 2,700 0 5,740
0 288 2,000 X 05 2,000 0 0
0 2,304 16,000 X X 05 15,400 0 600
0 3,758 26,100 X 06 26,100 0 0
0 44,998 312,488 X 08 312,488 0 0
0 29,845 207,256 X X 08 173,406 13,750 20,100
0 212,377 1,474,842 X 09 1,307,672 4,300 162,870
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 333 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 30,610 212,572 X X 09 182,782 10,300 19,490
- -
0 TEXAS UTILS CO 88284810 8,499 205,100 X 02 0 0 205,100
COM
0 35 850 X 04 850 0 0
0 18 443 X X 04 0 0 443
0 21 500 X 05 0 0 500
0 1,906 46,000 X X 05 46,000 0 0
0 1,393 33,619 X 08 33,269 0 350
0 1,451 35,021 X X 08 28,884 3,005 3,132
0 69,359 1,673,794 X 09 1,662,329 400 11,065
0 2,548 61,493 X X 09 33,853 14,990 12,650
- -
0 TEXTRON INC 88320310 3,951 48,000 X 02 0 0 48,000
COM
0 115 1,400 X 04 1,400 0 0
0 132 1,600 X X 04 1,600 0 0
0 16 200 X 05 0 0 200
0 2,305 28,000 X X 05 28,000 0 0
0 205 2,492 X 08 2,492 0 0
0 107 1,300 X X 08 1,300 0 0
0 6,600 80,180 X 09 78,490 690 1,000
0 503 6,108 X X 09 4,508 0 1,600
- -
0 THERMO ELECTRON CORP 88355610 23 1,125 X 04 1,125 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 334 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 900 X 05 0 0 900
0 315 15,694 X 08 15,694 0 0
0 442 22,017 X X 08 5,075 16,842 100
0 1,363 67,950 X 09 42,925 1,425 23,600
0 1,074 53,538 X X 09 34,992 8,905 9,641
- -
0 THESTREET COM 88368Q10 53,092 1,474,780 X 07 1,474,780 0 0
COM
0 7 200 X 09 200 0 0
- -
0 THOMAS & BETTS CORP 88431510 9 200 X 08 200 0 0
COM
0 61 1,300 X X 08 0 0 1,300
0 945 19,998 X 09 16,798 3,200 0
0 1,748 37,000 X X 09 24,800 11,400 800
- -
0 THOR INDS INC 88516010 1,217 42,900 X 09 42,900 0 0
COM
- -
0 3DFX INTERACTIVE INC 88553X10 2,281 145,952 X X 09 0 0 145,952
COM
- -
0 3COM CORP 88553510 21 800 X 04 800 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 335 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,188 82,000 X X 05 82,000 0 0
0 58 2,155 X X 08 2,155 0 0
0 1,382 51,775 X 09 51,600 0 175
0 53 2,000 X X 09 0 2,000 0
- -
0 TICKETMASTER ONLINE-CITYSEAR 88633P20 378 12,500 X 09 12,000 0 500
CL B
- -
0 TIDEWATER INC 88642310 9 300 X 04 300 0 0
COM
0 1,989 65,220 X 09 64,170 500 550
0 305 10,000 X X 09 7,300 2,000 700
- -
0 TIFFANY & CO 88654710 39 400 X 05 0 0 400
COM
0 1,650 17,100 X 08 17,100 0 0
0 685 7,100 X X 08 5,400 1,300 400
0 48 500 X X 09 0 200 300
- -
0 TIMBERLAND CO 88710010 265 3,900 X 09 3,900 0 0
CL A
- -
0 TIME WARNER INC 88731510 1,053 14,500 X 01 0 0 14,500
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 336 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 787 10,830 X 04 10,280 0 550
0 10,187 140,266 X X 04 10,596 2,550 127,120
0 18 250 X 05 0 0 250
0 3,399 46,800 X X 05 46,800 0 0
0 13,007 179,100 X 06 179,100 0 0
0 35,827 493,313 X 08 492,763 0 550
0 8,942 123,120 X X 08 97,620 14,900 10,600
0 136,248 1,876,046 X 09 1,541,583 39,160 295,303
0 48,963 674,196 X X 09 319,594 146,702 207,900
- -
0 TIME WARNER TELECOM INC 88731910 1,467 50,600 X 09 50,600 0 0
CL A
- -
0 TIMES MIRROR CO NEW 88736410 164 2,765 X 09 836 0 1,929
COM SER A
0 1,514 25,545 X X 09 10,561 636 14,348
- -
0 TIMKEN CO 88738910 44 2,252 X 08 2,252 0 0
COM
0 2,582 132,400 X 09 132,000 0 400
- -
0 TOMPKINSTRUSTCO INC 89011010 555 17,070 X X 08 17,070 0 0
COM
0 76 2,326 X X 09 0 2,326 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 337 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TOOTSIE ROLL INDS INC 89051610 328 8,487 X 09 8,487 0 0
COM
- -
0 TOPS APPLIANCE CITY INC 89091010 18 15,000 X 09 0 15,000 0
COM
- -
0 TORCHMARK CORP 89102710 290 8,496 X 09 6,400 0 2,096
COM
0 450 13,200 X X 09 0 4,002 9,198
- -
0 TORO CO 89109210 264 6,700 X 09 6,700 0 0
COM
- -
0 TORONTO DOMINION BK ON 89116050 455 10,000 X 09 10,000 0 0
COM NEW
0 32 700 X X 09 700 0 0
- -
0 TOSCO CORP 89149030 2,946 113,594 X 02 0 0 113,594
COM NEW
0 908 35,000 X X 05 35,000 0 0
0 231 8,900 X X 08 0 0 8,900
0 17,830 687,400 X 09 687,400 0 0
- -
0 TOWER AUTOMOTIVE INC 891707AA 563 500,000 X 09 0 0 0
NOTE 5.000% 8/01/04
- -
0 TOWER AUTOMOTIVE INC 89170710 2,831 111,300 X 06 111,300 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 338 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,776 148,440 X 08 148,440 0 0
0 14,472 568,900 X 09 568,900 0 0
- -
0 TOYS R US INC 89233510 61 2,968 X 08 2,968 0 0
COM
0 154 7,425 X X 08 1,525 0 5,900
0 1,523 73,635 X 09 69,835 0 3,800
0 891 43,051 X X 09 9,400 31,776 1,875
- -
0 TRACTOR SUPPLY CO 89235610 2,711 99,250 X 09 98,700 0 550
COM
0 22 800 X X 09 0 0 800
- -
0 TRANS WORLD ENTMT CORP 89336Q10 4,281 380,497 X 09 380,497 0 0
COM
- -
0 TRANSACTION SYS ARCHITECTS 89341610 878 22,500 X 09 22,500 0 0
CL A
0 250 6,400 X X 09 0 5,500 900
- -
0 TRANSAMERICA CORP 89348510 194 2,580 X 08 2,580 0 0
COM
0 877 11,690 X X 08 6,590 5,100 0
0 488 6,500 X 09 5,900 0 600
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 339 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 713 9,505 X X 09 7,505 2,000 0
- -
0 TRANSATLANTIC HLDGS INC 89352110 34 450 X 08 450 0 0
COM
0 690 9,212 X 09 2,825 0 6,387
0 397 5,300 X X 09 2,550 0 2,750
- -
0 TRANSCANADA PIPELINES LTD 89352610 4 264 X 08 264 0 0
COM
0 648 46,270 X 09 45,300 0 970
0 127 9,100 X X 09 7,100 0 2,000
- -
0 TRANSMONTAIGNE INC 89393410 716 57,000 X 09 57,000 0 0
COM
- -
0 TRAVELERS PPTY CAS CORP 89393910 1,565 40,000 X 02 0 0 40,000
CL A
0 6,299 161,000 X 09 161,000 0 0
- -
0 TRANSWITCH CORP 89406510 7,912 167,000 X 09 167,000 0 0
COM
- -
0 TRANSWORLD HEALTHCARE INC 89408110 270 80,000 X X 09 80,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 340 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TRAVEL SERVICES INTL INC 89416910 24 2,000 X 08 2,000 0 0
COM
0 1,027 85,550 X 09 85,550 0 0
0 60 5,000 X X 09 0 5,000 0
- -
0 TRENWICK GROUP INC 89529010 7,322 296,950 X 09 291,600 60 5,290
COM
0 15 600 X X 09 0 0 600
- -
0 TRI CONTL CORP 89543610 4 126 X 04 126 0 0
COM
0 314 10,399 X X 04 969 0 9,430
0 69 2,296 X 08 2,296 0 0
0 322 10,658 X X 08 10,658 0 0
0 67 2,213 X 09 500 0 1,713
0 648 21,466 X X 09 20,373 0 1,093
- -
0 TRIAD HOSPITALS INC 89579K10 12 919 X 04 773 0 146
COM
0 2 156 X X 04 36 0 120
0 55 4,109 X 08 4,109 0 0
0 7 534 X X 08 534 0 0
0 376 27,821 X 09 27,108 5 708
0 16 1,180 X X 09 284 261 635
- -
0 TRIANGLE PHARMACEUTICALS INC 89589H10 18,958 1,053,201 X 07 700,000 0 353,201
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 341 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TRICON GLOBAL RESTAURANTS 89595310 99 1,820 X 04 1,380 0 440
COM
0 134 2,484 X X 04 1,220 0 1,264
0 81 1,500 X 05 0 0 1,500
0 1,526 28,200 X X 05 28,200 0 0
0 2,602 48,080 X 08 48,080 0 0
0 1,403 25,922 X X 08 12,887 900 12,135
0 2,590 47,857 X 09 41,418 440 5,999
0 1,996 36,875 X X 09 19,624 12,840 4,411
- -
0 TRIBUNE CO NEW 89604710 87 1,000 X 05 600 0 400
COM
0 17 200 X 08 200 0 0
0 14,123 162,100 X 09 152,400 1,000 8,700
0 946 10,860 X X 09 2,480 6,430 1,950
- -
0 TRIGON HEALTHCARE INC 89618L10 33,163 911,700 X 09 911,700 0 0
COM
- -
0 TRINET CORP RLTY TR INC 89628710 7 250 X X 04 250 0 0
COM
0 28 1,000 X X 05 0 0 1,000
0 482 17,400 X 09 10,400 0 7,000
0 123 4,450 X X 09 1,650 800 2,000
- -
0 TRINITY INDS INC 89652210 25 750 X 08 750 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 342 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,924 117,141 X 09 113,044 0 4,097
0 84 2,500 X X 09 1,800 0 700
- -
0 TRIQUINT SEMICONDUCTOR 89674K10 40 700 X 04 700 0 0
COM
0 670 11,800 X 09 11,800 0 0
- -
0 TRISTAR AEROSPACE CO 89674L10 3,795 460,000 X 09 460,000 0 0
COM
- -
0 TRUSTMARK CORP 89840210 2,471 108,000 X 09 108,000 0 0
COM
- -
0 TUBOSCOPE INC 89860010 137 10,000 X 08 10,000 0 0
COM
- -
0 TUPPERWARE CORP 89989610 79 3,112 X X 04 3,112 0 0
COM
0 51 2,000 X 08 2,000 0 0
0 237 9,278 X 09 2,278 0 7,000
0 120 4,720 X X 09 0 3,570 1,150
- -
0 TWEETER HOME ENTMT GROUP INC 90116710 229 5,835 X 03 5,835 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 343 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
24 / 7 MEDIA INC 90131410 647 16,800 X 09 16,800 0 0
COM
0 31 800 X X 09 800 0 0
- -
0 TYCO INTL LTD 90212410 7,306 77,105 X 04 58,450 500 18,155
COM
0 2,043 21,562 X X 04 11,739 675 9,148
0 604 6,378 X 05 3,028 0 3,350
0 3,316 35,000 X X 05 35,000 0 0
0 9,338 98,555 X 06 98,555 0 0
0 49,702 524,556 X 08 521,056 0 3,500
0 10,428 110,057 X X 08 85,230 13,711 11,116
0 290,028 3,060,977 X 09 2,588,427 64,820 407,730
0 80,097 845,353 X X 09 317,875 287,380 240,098
- -
0 UAL CORP 90254950 452 7,000 X 09 6,000 0 1,000
COM PAR $0.01
0 216 3,350 X X 09 0 0 3,350
- -
0 UGI CORP NEW 90268110 2,059 102,000 X 06 102,000 0 0
COM
0 2,524 125,000 X 08 125,000 0 0
0 638 31,600 X 09 31,600 0 0
0 125 6,200 X X 09 5,000 0 1,200
- -
0 UMB FINL CORP 90278810 313 7,300 X 09 7,300 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 344 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
USX-MARATHON GROUP 90290582 10 300 X X 04 300 0 0
COM NEW
0 3 79 X 08 79 0 0
0 99 3,050 X X 08 2,000 1,050 0
0 1,810 55,574 X 09 52,774 0 2,800
0 478 14,671 X X 09 6,871 5,600 2,200
- -
0 UST INC 90291110 68 2,330 X X 04 2,330 0 0
COM
0 179 6,100 X 08 6,100 0 0
0 29 1,000 X X 08 1,000 0 0
0 371 12,650 X 09 10,400 0 2,250
0 1,529 52,150 X X 09 51,600 200 350
- -
0 U S HOME & GARDEN INC 90293910 38 10,000 X 09 0 0 10,000
COM
- -
0 US BANCORP DEL 90297310 421 12,600 X X 04 12,600 0 0
COM
0 30 906 X X 05 0 906 0
0 211 6,320 X X 08 6,320 0 0
0 2,327 69,712 X 09 45,815 0 23,897
0 3,262 97,729 X X 09 70,481 516 26,732
- -
0 U S LIQUIDS INC 90297410 2,113 101,200 X 06 101,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 345 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,979 142,700 X 08 142,700 0 0
0 726 34,800 X 09 34,800 0 0
- -
0 USA NETWORKS INC 90298410 7,074 176,300 X 09 175,700 0 600
COM
0 84 2,098 X X 09 0 2,098 0
- -
0 UNUM CORP 90319210 44 800 X X 04 0 0 800
COM
0 27 500 X 05 0 400 100
0 1,100 20,100 X 09 11,300 200 8,600
0 9,636 176,000 X X 09 168,000 2,900 5,100
- -
0 URS CORP NEW 90323610 322 11,000 X 09 11,000 0 0
COM
- -
0 U S G CORP 90329340 454 8,100 X 09 8,100 0 0
COM NEW
0 17 300 X X 09 300 0 0
- -
0 U S FOODSERVICE 90331R10 4,427 103,850 X 06 103,850 0 0
COM
0 5,964 139,920 X 08 139,920 0 0
0 1,500 35,200 X 09 35,200 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 346 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 43 1,000 X X 09 0 0 1,000
- -
0 U S CONCRETE INC 90333L10 1,378 145,000 X 09 145,000 0 0
COM
- -
0 USX-U S STL 90337T10 4 146 X 04 146 0 0
COM
0 22 808 X 08 8 0 800
0 93 3,431 X X 08 200 131 3,100
0 1,381 51,162 X 09 42,902 0 8,260
0 115 4,263 X X 09 2,453 1,060 750
- -
0 ULTRAMAR DIAMOND SHAMROCK CO 90400010 252 11,530 X 02 0 0 11,530
COM
0 2 83 X 08 83 0 0
0 808 37,034 X 09 25,423 0 11,611
0 183 8,378 X X 09 6,254 0 2,124
- -
0 UNIBANCO-UNIAO DE BANCOS BRA 90458E10 546 22,710 X 09 22,710 0 0
GDR REP PFD UT
- -
0 UNIFIRST CORP MASS 90470810 5,665 308,300 X 09 306,750 0 1,550
COM
0 6 350 X X 09 0 0 350
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 347 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
UNILEVER N V NY SHS 90478470 1,138 16,316 X 04 15,424 0 892
N Y SHS NEW
0 577 8,270 X X 04 6,130 445 1,695
0 127 1,827 X 05 1,024 0 803
0 40 578 X X 05 0 0 578
0 6,607 94,730 X 08 92,445 2,085 200
0 1,750 25,094 X X 08 23,087 669 1,338
0 19,473 279,186 X 09 188,835 10,627 79,724
0 6,772 97,095 X X 09 31,083 33,464 32,548
- -
0 UNIMAR CO 90478810 8 20,549 X 08 20,549 0 0
INDONESIAN CTF
0 0 1 X X 08 1 0 0
- -
0 UNIMARK GROUP INC 90478910 93 27,000 X 08 27,000 0 0
COM
- -
0 UNICOM CORP 90491110 15 400 X 04 250 0 150
COM
0 25 644 X 08 644 0 0
0 183 4,750 X X 08 4,750 0 0
0 39,564 1,025,958 X 09 1,024,908 150 900
0 126 3,267 X X 09 2,100 800 367
- -
0 UNION CARBIDE CORP 90558110 12 240 X 04 90 0 150
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 348 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 43 875 X X 04 500 375 0
0 68 1,400 X 08 1,400 0 0
0 297 6,100 X X 08 500 1,500 4,100
0 1,286 26,377 X 09 23,417 0 2,960
0 874 17,931 X X 09 13,174 400 4,357
- -
0 UNION PAC CORP 90781810 3,726 63,900 X 02 0 0 63,900
COM
0 420 7,200 X 04 7,200 0 0
0 52 900 X X 04 0 0 900
0 77 1,328 X 05 100 200 1,028
0 2,417 41,450 X X 05 40,350 0 1,100
0 927 15,900 X 06 15,900 0 0
0 4,971 85,249 X 08 84,649 0 600
0 1,589 27,254 X X 08 8,854 4,600 13,800
0 58,847 1,009,166 X 09 859,348 3,720 146,098
0 23,662 405,774 X X 09 122,162 233,895 49,717
- -
0 UNION PAC RES GROUP INC 90783410 163 9,982 X 04 9,982 0 0
COM
0 12 760 X X 04 0 0 760
0 16 1,000 X X 05 0 0 1,000
0 1,246 76,374 X 08 76,374 0 0
0 1,129 69,207 X X 08 54,085 4,869 10,253
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 349 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,404 208,696 X 09 203,730 254 4,712
0 3,996 244,928 X X 09 74,223 144,615 26,090
- -
0 UNION PLANTERS CORP 90806810 96 2,144 X 08 2,144 0 0
COM
0 94 2,110 X X 08 2,110 0 0
0 168 3,758 X 09 3,758 0 0
0 45 1,000 X X 09 1,000 0 0
- -
0 UNIONBANCAL CORP 90890610 235 6,500 X X 08 2,800 0 3,700
COM
0 35,495 982,560 X 09 747,000 0 235,560
- -
0 UNIPHASE CORP 90914910 17 100 X 08 0 0 100
COM
0 5,511 33,200 X 09 33,200 0 0
0 33 200 X X 09 0 200 0
- -
0 UNISYS CORP 90921410 1,947 50,000 X 02 0 0 50,000
COM
0 48 1,225 X X 04 0 0 1,225
0 17,966 461,400 X 09 457,500 3,000 900
0 20 525 X X 09 0 0 525
- -
0 UNITED BANKSHARES INC WEST V 90990710 245 9,240 X X 04 0 0 9,240
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 350 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 41 1,530 X X 09 0 1,530 0
- -
0 UNITED HEALTHCARE CORP 91058110 157 2,500 X 04 1,500 0 1,000
COM
0 63 1,000 X X 04 0 0 1,000
0 1,027 16,400 X X 05 16,400 0 0
0 5 80 X 08 80 0 0
0 285 4,550 X 09 1,250 550 2,750
0 440 7,022 X X 09 1,297 4,675 1,050
- -
0 UNITED ILLUM CO 91063710 119 2,800 X X 04 1,800 0 1,000
COM
0 363 8,550 X 09 8,550 0 0
0 35 828 X X 09 628 0 200
- -
0 UNITED INDL CORP 91067110 550 50,000 X 09 50,000 0 0
COM
- -
0 UNITED NAT FOODS INC 91116310 4,345 175,550 X 06 175,550 0 0
COM
0 5,830 235,550 X 08 235,550 0 0
0 1,471 59,450 X 09 59,450 0 0
- -
0 UNITED PAYORS&UTD PROVIDERS 91131910 928 40,000 X 09 40,000 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 351 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
UNITED RENTALS INC 91136310 5,163 175,000 X 09 175,000 0 0
COM
- -
0 UNITED STATES CELLULAR CORP 91168410 203 3,800 X 09 3,000 800 0
COM
- -
0 U S HOME CORP NEW 91192010 394 11,100 X 09 11,100 0 0
COM
- -
0 UNITED STATES LIME & MINERAL 91192210 105 13,726 X 08 13,726 0 0
COM
- -
0 U S WEST INC NEW 91273H10 1,469 25,000 X 02 0 0 25,000
COM
0 588 10,001 X 04 6,957 0 3,044
0 678 11,544 X X 04 4,912 500 6,132
0 86 1,458 X 05 1,150 300 8
0 1,475 25,104 X X 05 25,104 0 0
0 909 15,471 X 08 14,662 0 809
0 1,561 26,577 X X 08 18,602 918 7,057
0 7,055 120,090 X 09 107,915 1,170 11,005
0 8,656 147,334 X X 09 77,133 30,360 39,841
- -
0 U S TR CORP NEW 91288L10 2,031 21,960 X 02 0 0 21,960
COM
0 1,295 14,000 X X 05 14,000 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 352 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8,219 88,858 X 09 85,108 0 3,750
0 65 700 X X 09 700 0 0
- -
0 UNITED TECHNOLOGIES CORP 91301710 1,852 25,723 X 04 20,623 0 5,100
COM
0 613 8,514 X X 04 3,231 167 5,116
0 199 2,760 X 05 2,760 0 0
0 115 1,600 X X 05 0 0 1,600
0 1,446 20,081 X 08 19,281 0 800
0 1,529 21,230 X X 08 12,724 7,600 906
0 47,049 653,458 X 09 593,600 12,220 47,638
0 14,450 200,691 X X 09 110,754 58,092 31,845
- -
0 UNITED WTR RES INC 91319010 1,595 70,300 X X 04 70,300 0 0
COM
0 330 14,550 X 08 14,550 0 0
0 111 4,906 X 09 4,906 0 0
0 38 1,687 X X 09 0 0 1,687
- -
0 UNITRIN INC 91327510 205 5,000 X 08 5,000 0 0
COM
0 999 24,374 X X 08 7,184 0 17,190
0 1,219 29,730 X X 09 10,730 8,000 11,000
- -
0 UNIVERSAL CORP VA 91345610 228 8,000 X 09 5,900 0 2,100
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 353 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 208 7,300 X X 09 2,200 1,000 4,100
- -
0 UNIVERSAL FST PRODS INC 91354310 561 26,100 X 09 26,100 0 0
COM
- -
0 UNIVERSAL HLTH SVCS INC 91390310 158 3,300 X 04 1,700 0 1,600
CL B
0 14,000 293,200 X 09 285,900 0 7,300
- -
0 UNOCAL CORP 91528910 396 10,000 X 02 0 0 10,000
COM
0 28 700 X X 04 500 200 0
0 59 1,500 X 08 1,500 0 0
0 154 3,876 X X 08 3,876 0 0
0 5,908 149,100 X 09 145,600 500 3,000
0 449 11,332 X X 09 4,922 2,430 3,980
- -
0 USFREIGHTWAYS CORP 91690610 93 2,000 X X 08 2,000 0 0
COM
0 227 4,900 X 09 4,900 0 0
- -
0 URBAN SHOPPING CTRS INC 91706010 469 14,900 X 09 13,900 0 1,000
COM
- -
0 UROLOGIX INC 91727310 49 19,954 X 10 19,954 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 354 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
VI TECHNOLOGIES INC 91792010 9,007 1,801,470 X 10 1,801,470 0 0
COM
- -
0 UTILICORP UTD INC 91800510 55 2,250 X 08 2,250 0 0
COM
0 26 1,050 X X 08 1,050 0 0
0 1,246 51,260 X 09 51,260 0 0
0 433 17,799 X X 09 16,179 1,320 300
- -
0 V F CORP 91820410 38 900 X 04 800 0 100
COM
0 68 1,600 X 08 1,600 0 0
0 744 17,400 X X 08 14,200 0 3,200
0 24 550 X 09 0 50 500
0 68 1,600 X X 09 0 1,600 0
- -
0 VALASSIS COMMUNICATIONS INC 91886610 410 11,200 X 09 11,200 0 0
COM
- -
0 VALLEY NATL BANCORP 91979410 819 28,476 X 09 26,958 0 1,518
COM
0 6,876 239,174 X X 09 231,960 0 7,214
- -
0 VAN KAMPEN MUN INCOME TR 92090910 10 1,000 X 04 1,000 0 0
COM
0 34 3,500 X 08 3,500 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 355 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 60 6,200 X X 08 6,200 0 0
- -
0 VAN KAMPEN TR INVT GRADE MUN 92092910 182 11,700 X 08 11,700 0 0
COM
- -
0 VANTIVE CORP 92209110 138 12,088 X X 04 0 0 12,088
COM
- -
0 VARIAN INC 92220610 1,365 101,100 X 09 101,100 0 0
COM
- -
0 VASTAR RESOURCES LTD 92238010 1,049 20,000 X 09 20,000 0 0
COM
- -
0 VELCRO INDS N V 92257110 194 16,000 X X 09 0 0 16,000
COM
- -
0 VENTAS INC 92276F10 3 556 X 08 556 0 0
COM
0 2 452 X X 08 452 0 0
0 747 139,023 X 09 139,000 23 0
- -
0 VENTANA MED SYS INC 92276H10 2,690 140,650 X 08 140,650 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 356 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,967 364,300 X 09 364,300 0 0
- -
0 VENATOR GROUP INC 92294410 7 660 X X 04 660 0 0
COM
0 4 400 X 08 400 0 0
0 15 1,420 X X 08 1,420 0 0
0 81 7,800 X 09 7,200 0 600
0 28 2,655 X X 09 1,095 0 1,560
- -
0 VERISIGN INC 92343E10 583 6,760 X 09 6,760 0 0
COM
0 914 10,600 X X 09 10,600 0 0
- -
0 VERITAS DGC INC 92343P10 1,053 57,500 X 09 57,500 0 0
COM
- -
0 VERITAS SOFTWARE CO 92343610 1,899 20,000 X 10 20,000 0 0
COM
- -
0 VERMONT TEDDY BEAR INC 92427X10 133 35,000 X X 09 0 0 35,000
COM
- -
0 VETERINARY CTRS AMER INC 92551410 145 10,700 X 09 10,700 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 357 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
VIAD CORP 92552R10 371 12,000 X X 08 400 0 11,600
COM
0 694 22,446 X 09 21,010 0 1,436
0 80 2,600 X X 09 2,000 0 600
- -
0 VIALOG CORP 92552X10 42 12,000 X 09 12,000 0 0
COM
- -
0 VIACOM INC 92552410 26 600 X 04 0 600 0
CL A
0 19 430 X 05 0 0 430
0 10,424 236,246 X 09 46 0 236,200
0 521 11,800 X X 09 0 0 11,800
- -
0 VIACOM INC 92552430 4,110 93,400 X 02 0 0 93,400
CL B
0 88 2,000 X 04 2,000 0 0
0 18 400 X X 04 400 0 0
0 23 528 X 05 0 0 528
0 2,640 60,000 X X 05 60,000 0 0
0 40 898 X 08 898 0 0
0 37,165 844,648 X 09 824,096 0 20,552
0 233 5,298 X X 09 1,898 1,400 2,000
- -
0 VINA CONCHA Y TORO S A 92719110 2,683 74,522 X 09 74,522 0 0
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 358 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
VINTAGE PETE INC 92746010 1,477 137,400 X 06 137,400 0 0
COM
0 2,024 188,300 X 08 188,300 0 0
0 2,163 201,250 X 09 201,250 0 0
- -
0 VISIO CORP 92791410 2,748 72,193 X 06 72,193 0 0
COM
0 2,663 69,961 X 08 69,961 0 0
0 638 16,761 X 09 16,761 0 0
- -
0 VISHAY INTERTECHNOLOGY INC 92829810 3,444 164,000 X 06 164,000 0 0
COM
0 4,772 227,248 X 08 227,248 0 0
0 19,435 925,487 X 09 925,482 0 5
- -
0 VISION TWENTY-ONE INC FLA 92831N10 766 92,109 X 07 92,109 0 0
COM
- -
0 VISTA EYECARE INC 92835210 388 100,000 X 08 100,000 0 0
COM
- -
0 VISUAL NETWORKS INC 92844410 467 14,600 X 09 14,600 0 0
COM
0 9,030 282,195 X X 09 282,195 0 0
- -
0 VITESSE SEMICONDUCTOR CORP 92849710 4,534 67,235 X 02 0 0 67,235
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 359 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,832 42,000 X X 05 42,000 0 0
0 202 3,000 X 08 3,000 0 0
0 101 1,500 X X 08 1,500 0 0
0 73,190 1,085,300 X 09 1,085,300 0 0
0 108 1,600 X X 09 0 0 1,600
- -
0 VODAFONE AIRTOUCH PLC 92857T10 106,232 539,250 X 01 0 0 539,250
SPONSORED ADR
0 197 1,000 X 04 0 0 1,000
0 99 500 X 08 500 0 0
0 27,638 140,293 X 09 139,693 0 600
0 128 650 X X 09 650 0 0
- -
0 VOICESTREAM WIRELESS CORP 92861510 33 1,144 X X 04 0 0 1,144
COM
0 865 30,400 X 09 30,400 0 0
0 1,176 41,368 X 10 41,368 0 0
- -
0 VORNADO RLTY TR 92904210 4 121 X 04 121 0 0
SH BEN INT
0 1,095 31,000 X 09 29,000 0 2,000
0 141 4,000 X X 09 2,000 1,300 700
- -
0 VOXWARE INC 92906L10 62 60,000 X X 04 0 0 60,000
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 360 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WFS FINL INC 92923B10 1,471 106,000 X 09 106,000 0 0
COM
- -
0 WEBS INDEX FD INC 92923H60 338 15,500 X 09 15,500 0 0
GERMANY WEBS
- -
0 WPS RESOURCES CORP 92931B10 9 303 X X 08 303 0 0
COM
0 102 3,400 X 09 0 0 3,400
0 299 9,960 X X 09 3,760 1,200 5,000
- -
0 WACHOVIA CORP 92977110 211 2,470 X 04 1,670 0 800
COM
0 341 3,988 X X 04 3,028 960 0
0 57 667 X 05 667 0 0
0 33 380 X 08 380 0 0
0 376 4,400 X X 08 4,400 0 0
0 2,823 32,999 X 09 28,499 300 4,200
0 5,373 62,798 X X 09 14,040 17,775 30,983
- -
0 WADDELL & REED FINL INC 93005910 460 16,679 X 09 16,634 0 45
CL A
0 1 34 X X 09 0 0 34
- -
0 WAL MART STORES INC 93114210 1,023 21,200 X 04 15,900 0 5,300
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 361 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 630 13,050 X X 04 10,934 0 2,116
0 227 4,700 X 05 2,000 0 2,700
0 25,603 530,640 X 06 530,640 0 0
0 87,854 1,820,798 X 08 1,809,798 200 10,800
0 38,474 797,389 X X 08 513,153 111,436 172,800
0 126,303 2,617,677 X 09 2,356,248 50,600 210,829
0 23,710 491,389 X X 09 245,754 183,900 61,735
- -
0 WALDEN RESIDENTIAL PPTYS INC 93121010 22 1,000 X X 04 1,000 0 0
COM
0 5 238 X 08 238 0 0
0 2,201 102,386 X 09 102,090 0 296
0 22 1,000 X X 09 0 1,000 0
- -
0 WALGREEN CO 93142210 338 11,500 X 04 11,500 0 0
COM
0 7,176 244,290 X X 04 10,750 229,140 4,400
0 335 11,400 X 05 5,800 0 5,600
0 235 8,000 X X 05 8,000 0 0
0 2,264 77,075 X 06 77,075 0 0
0 40,321 1,372,615 X 08 1,372,615 0 0
0 55,757 1,898,122 X X 08 1,788,822 1,400 107,900
0 54,133 1,842,828 X 09 1,616,868 14,600 211,360
0 22,421 763,284 X X 09 263,754 368,130 131,400
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 362 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WARNACO GROUP INC 93439010 254 9,500 X 04 5,800 0 3,700
CL A
0 2,082 77,850 X 08 77,850 0 0
0 916 34,250 X X 08 29,950 3,400 900
0 1,566 58,535 X 09 35,135 1,650 21,750
0 322 12,050 X X 09 4,250 1,500 6,300
- -
0 WARNER LAMBERT CO 93448810 180 2,600 X 01 0 0 2,600
COM
0 2,068 29,910 X 04 20,760 600 8,550
0 4,709 68,121 X X 04 40,661 600 26,860
0 524 7,575 X 05 700 0 6,875
0 6,541 94,625 X 06 94,625 0 0
0 21,558 311,863 X 08 309,113 0 2,750
0 13,868 200,619 X X 08 117,270 48,424 34,925
0 68,369 989,066 X 09 853,107 33,800 102,159
0 97,419 1,409,312 X X 09 241,062 435,768 732,482
- -
0 WASHINGTON FED INC 93882410 67 3,000 X X 04 0 0 3,000
COM
0 6 249 X 08 249 0 0
0 27 1,215 X X 08 0 1,215 0
0 404 18,000 X 09 18,000 0 0
- -
0 WASHINGTON MUTUAL INC 93932210 24 675 X 04 675 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 363 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 51 1,435 X X 04 1,120 0 315
0 27 750 X 05 750 0 0
0 86 2,412 X X 05 688 517 1,207
0 22,784 640,679 X 09 630,122 6,390 4,167
0 264 7,423 X X 09 2,715 2,856 1,852
- -
0 WASHINGTON POST CO 93964010 27 50 X X 08 50 0 0
CL B
0 5,861 10,900 X 09 10,900 0 0
0 323 600 X X 09 400 200 0
- -
0 WASTE CONNECTIONS INC 94105310 4,758 156,000 X 09 156,000 0 0
COM
- -
0 WASTE MGMT INC DEL 94106LAA 1,300 1,000,000 X 09 0 0 0
NOTE 4.000% 2/01/02
- -
0 WASTE MGMT INC DEL 94106L10 8,292 154,270 X 02 0 0 154,270
COM
0 1,531 28,480 X 04 24,230 0 4,250
0 212 3,950 X X 04 3,450 0 500
0 15 272 X 05 72 0 200
0 2,175 40,471 X X 05 40,000 0 471
0 65 1,200 X 08 500 0 700
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 364 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 648 12,054 X X 08 3,054 0 9,000
0 74,735 1,390,414 X 09 1,220,370 2,880 167,164
0 8,633 160,623 X X 09 137,568 10,340 12,715
- -
0 WATERS CORP 94184810 7,438 140,000 X 09 140,000 0 0
COM
0 1,063 20,000 X X 09 0 0 20,000
- -
0 WATSCO INC 94262220 4,597 280,725 X 09 277,425 90 3,210
COM
0 37 2,250 X X 09 0 0 2,250
- -
0 WATSON PHARMACEUTICALS 94268310 626 17,850 X 09 15,150 0 2,700
COM
0 88 2,500 X X 09 2,500 0 0
- -
0 WATTS INDS INC 94274910 349 18,200 X 09 18,200 0 0
CL A
- -
0 WAUSAU-MOSINEE PAPER CORP 94331510 4 200 X 05 200 0 0
COM
0 5,324 295,793 X 09 291,293 170 4,330
0 18 1,000 X X 09 0 0 1,000
- -
0 WEATHERFORD INTL INC 94707410 40 1,100 X 08 1,100 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 365 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 209 5,700 X X 08 5,700 0 0
0 1,602 43,745 X 09 40,420 0 3,325
0 24 668 X X 09 0 0 668
- -
0 WEEKS CORP 94856P10 1 30 X 08 30 0 0
COM
0 244 8,000 X 09 0 0 8,000
- -
0 WEINGARTEN RLTY INVS 94874110 50 1,200 X 04 1,200 0 0
SH BEN INT
0 1,407 33,708 X 08 33,708 0 0
0 3,213 76,952 X X 08 74,952 1,500 500
0 1,599 38,300 X 09 37,400 0 900
0 710 17,000 X X 09 13,500 800 2,700
- -
0 WEIS MKTS INC 94884910 206 5,268 X X 09 4,500 0 768
COM
- -
0 WELLMAN INC 94970210 14,948 937,900 X 09 937,900 0 0
COM
- -
0 WELLPOINT HEALTH NETWORK NEW 94973H10 63,583 749,140 X 09 652,500 0 96,640
COM
- -
0 WELLS FARGO & CO NEW 94974610 433 10,134 X 01 0 0 10,134
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 366 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 682 15,955 X 04 15,525 0 430
0 487 11,388 X X 04 9,742 0 1,646
0 36 850 X 05 0 350 500
0 2,223 52,000 X X 05 52,000 0 0
0 1,903 44,505 X 06 44,505 0 0
0 23,964 560,569 X 08 557,169 0 3,400
0 7,124 166,647 X X 08 141,987 21,260 3,400
0 66,075 1,545,610 X 09 1,400,166 29,599 115,845
0 21,839 510,852 X X 09 430,154 33,960 46,738
- -
0 WENDYS INTL INC 95059010 34 1,200 X 08 0 0 1,200
COM
0 127 4,450 X X 08 250 0 4,200
0 291 10,206 X 09 7,806 0 2,400
0 68 2,375 X X 09 2,000 0 375
- -
0 WESBANCO INC 95081010 238 7,920 X X 04 0 0 7,920
COM
0 180 6,000 X 08 6,000 0 0
0 1,090 36,338 X X 08 36,338 0 0
- -
0 WESCO INTL INC 95082P10 95,389 4,653,131 X 03 4,653,131 0 0
COM
- -
0 WESTAMERICA BANCORPORATION 95709010 416 11,400 X 09 11,400 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 367 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WESTCORP INC 95790710 295 26,250 X 09 26,250 0 0
COM
- -
0 WESTERN GAS RES INC 95825910 1,218 76,100 X 09 76,100 0 0
COM
- -
0 WESTERN INVT REAL ESTATE TR 95846810 116 10,000 X 09 10,000 0 0
SH BEN INT
- -
0 WESTERN RES INC 95942510 3 102 X X 04 102 0 0
COM
0 56 2,100 X 08 2,100 0 0
0 15 556 X X 08 0 56 500
0 43 1,600 X 09 1,600 0 0
0 130 4,873 X X 09 1,766 2,807 300
- -
0 WESTERN WIRELESS CORP 95988E20 31 1,152 X X 04 0 0 1,152
CL A
0 365 13,500 X 09 13,500 0 0
0 1,131 41,875 X 10 41,875 0 0
- -
0 WESTINGHOUSE AIR BRAKE CO NE 96038610 3,891 150,000 X 09 150,000 0 0
COM
- -
0 WESTVACO CORP 96154810 22 750 X X 04 750 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 368 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 38 1,308 X 08 1,308 0 0
0 96 3,300 X X 08 0 0 3,300
0 10,574 364,626 X 09 363,026 0 1,600
0 8,569 295,484 X X 09 11,049 277,323 7,112
- -
0 WESTWOOD ONE INC 96181510 2,859 80,100 X 09 80,100 0 0
COM
- -
0 WEYERHAEUSER CO 96216610 144 2,100 X X 04 0 0 2,100
COM
0 1,061 15,430 X 08 15,030 0 400
0 3,339 48,564 X X 08 38,414 4,200 5,950
0 47,798 695,246 X 09 678,496 1,000 15,750
0 4,624 67,260 X X 09 31,738 8,417 27,105
- -
0 WHIRLPOOL CORP 96332010 30 400 X 04 400 0 0
COM
0 41 550 X X 04 0 0 550
0 15 200 X 05 200 0 0
0 26 350 X 08 350 0 0
0 463 6,260 X X 08 2,260 0 4,000
0 229 3,100 X 09 2,000 700 400
0 170 2,300 X X 09 1,800 0 500
- -
0 WHITMAN CORP NEW 96647R10 76 4,200 X X 08 4,200 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 369 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 148 8,200 X 09 8,200 0 0
0 37 2,064 X X 09 864 0 1,200
- -
0 WHITNEY HLDG CORP 96661210 1,073 27,000 X X 09 27,000 0 0
COM
- -
0 WHOLE FOODS MKT INC 96683710 322 6,700 X 08 6,700 0 0
COM
0 96 2,000 X X 08 2,000 0 0
0 5 100 X 09 100 0 0
0 79 1,650 X X 09 750 0 900
- -
0 WILD OATS MARKETS INC 96808B10 56,679 1,867,885 X 07 1,867,885 0 0
COM
0 1,353 44,600 X 09 44,600 0 0
- -
0 WILEY JOHN & SONS INC 96822320 1,974 112,000 X 09 112,000 0 0
CL A
- -
0 WILLAMETTE INDS INC 96913310 37 800 X 04 800 0 0
COM
0 28 600 X 05 600 0 0
0 1,889 41,000 X X 05 41,000 0 0
0 263 5,700 X X 08 0 0 5,700
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 370 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 53,597 1,163,560 X 09 1,140,560 0 23,000
0 2,915 63,288 X X 09 28,188 2,100 33,000
- -
0 WILLIAMS COS INC DEL 96945710 2,923 68,686 X 04 57,256 0 11,430
COM
0 332 7,810 X X 04 2,100 0 5,710
0 162 3,800 X 05 1,200 0 2,600
0 2,362 55,500 X X 05 55,000 0 500
0 1,116 26,230 X 06 26,230 0 0
0 13,179 309,640 X 08 301,890 1,650 6,100
0 1,988 46,706 X X 08 37,432 6,274 3,000
0 22,916 538,411 X 09 441,471 500 96,440
0 6,391 150,154 X X 09 36,784 13,546 99,824
- -
0 WILLIAMS SONOMA INC 96990410 35 1,000 X X 08 0 0 1,000
COM
0 3,272 94,000 X 09 94,000 0 0
- -
0 WILLIS LEASE FINANCE CORP 97064610 235 14,400 X 09 14,400 0 0
COM
- -
0 WILMINGTON TRUST CORP 97180710 115 2,000 X 08 0 2,000 0
COM
0 2,105 36,680 X 09 36,680 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 371 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 474 8,260 X X 09 3,400 3,880 980
- -
0 WINN DIXIE STORES INC 97428010 85 2,300 X X 04 2,300 0 0
COM
0 80 2,164 X 08 2,164 0 0
0 81 2,200 X X 08 1,800 400 0
0 466 12,628 X 09 11,628 0 1,000
0 272 7,360 X X 09 7,360 0 0
- -
0 WISCONSIN ENERGY CORP 97665710 2 60 X 04 0 0 60
COM
0 50 2,000 X 08 2,000 0 0
0 163 6,500 X X 08 4,500 0 2,000
0 1,552 61,922 X 09 59,860 50 2,012
0 2,566 102,383 X X 09 36,384 48,920 17,079
- -
0 WITCO CORP 97738510 34 1,700 X X 08 1,700 0 0
COM
0 201 10,200 X 09 5,200 0 5,000
- -
0 WOLVERINE TUBE INC 97809310 214 8,500 X 09 8,500 0 0
COM
- -
0 WOLVERINE WORLDWIDE 97809710 1,418 101,250 X X 09 0 0 101,250
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 372 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WORLD COLOR PRESS INC DEL 98144310 685 24,900 X 09 24,900 0 0
COM
- -
0 WORTHINGTON FOODS INC 98180910 2,017 122,250 X 06 122,250 0 0
COM
0 2,827 171,350 X 08 171,350 0 0
0 680 41,200 X 09 41,200 0 0
- -
0 WORLDTEX INC 98190710 1,832 771,300 X 09 769,000 0 2,300
COM
- -
0 WRIGLEY WM JR CO 98252610 205 2,300 X 04 1,800 0 500
COM
0 134 1,500 X X 04 1,500 0 0
0 368 4,125 X 08 4,125 0 0
0 459 5,150 X X 08 4,450 100 600
0 4,341 48,675 X 09 48,175 0 500
0 1,840 20,635 X X 09 7,535 12,900 200
- -
0 X-RITE INC 98385710 2,043 317,300 X 09 312,600 120 4,580
COM
0 8 1,200 X X 09 0 0 1,200
- -
0 XILINX INC 98391910 34 600 X 08 0 0 600
COM
0 378 6,600 X X 08 6,600 0 0
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 373 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
XIRCOM INC 98392210 204 6,800 X 09 6,800 0 0
COM
- -
0 XOMED SURGICAL PRODS INC 98412V10 6,511 133,725 X 08 133,725 0 0
COM
0 1,515 31,125 X 09 31,125 0 0
- -
0 XEROX CORP 98412110 542 9,170 X 04 1,920 0 7,250
COM
0 300 5,080 X X 04 1,200 0 3,880
0 118 2,000 X 05 0 0 2,000
0 2,398 40,600 X X 05 40,000 0 600
0 4,123 69,810 X 06 69,810 0 0
0 33,146 561,193 X 08 561,193 0 0
0 4,253 72,007 X X 08 49,629 18,778 3,600
0 103,865 1,758,549 X 09 1,495,111 5,800 257,638
0 21,595 365,624 X X 09 255,384 29,126 81,114
- -
0 YAHOO INC 98433210 60 350 X 04 350 0 0
COM
0 34 200 X 08 100 0 100
0 913 5,300 X 09 4,940 60 300
0 1,100 6,388 X X 09 5,788 600 0
- -
0 YELLOW CORP 98550910 650 36,600 X 09 36,600 0 0
COM
1AMS0449A RUN DATE/TIME: 08/04/99 14:55 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 06/30/99 * * * S E C USE ONLY * * * PAGE 374 OF 374
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
YORK INTL CORP NEW 98667010 3,155 73,690 X 08 73,690 0 0
COM
0 2,663 62,190 X X 08 53,590 7,200 1,400
0 6,585 153,800 X 09 153,000 0 800
0 15 350 X X 09 0 0 350
- -
0 YOUNG & RUBICAM INC 98742510 900 19,800 X 09 19,800 0 0
COM
- -
0 ZALE CORP NEW 98885810 380 9,500 X 09 9,500 0 0
COM
- -
0 ZANY BRAINY INC 98906Q10 1,695 175,000 X 09 175,000 0 0
COM
- -
0 ZIONS BANCORPORATIONS 98970110 1,207 19,000 X X 05 19,000 0 0
COM
0 40,330 635,117 X 09 631,017 0 4,100
0 89 1,400 X X 09 1,400 0 0
- -
0 ZWEIG TOTAL RETURN FD INC 98983710 87 10,228 X 09 10,228 0 0
COM
</TABLE>