CHASE MANHATTAN CORP /DE/
13F-HR, 2000-08-14
NATIONAL COMMERCIAL BANKS
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                       UNITED STATES
             SECURITIES AND EXCHANGE COMMISSION
                   WASHINGTON, D.C. 20549

                         FORM 13F

                   FORM 13F COVER PAGE

REPORT FOR THE CALENDAR QUARTER ENDED: 06/30/2000

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.   08/14/2000

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, N.A.
05   28-694             CHASE MANHATTAN BANK AND TRUST COMPANY, N.A.
06   28-694             CHASE SECURITIES INC.
07   28-694             CHASE VENTURE CAPITAL ASSOCIATES, L.L.C.
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, L.L.C.
12   28-694             CHASE H&Q
13   28-694             CB CAPITAL INVESTORS, L.L.C.
<PAGE>
<TABLE>
<S>                            <C>      <C>       <C>           <C>  <C>     <C>      <C>   <C>           <C>           <C>
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    1  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LERNOUT & HAUSPIE SPEECH PRO  B5628B10    1,644       37,320     COM
0                                             106        2,400        X       X        09          1,200             0         1,200
0                                              53        1,200        X       X        12              0         1,200             0
-
0 CELANESE AG                   D1497A10      755       38,700        X                09         38,700             0             0
  ORD
-
0 DAIMLERCHRYSLER AG            D1668R12    1,104       21,199        X                02              0             0        21,199
  ORD
0                                              48          923        X                04            923             0             0
0                                               6          124        X       X        04            124             0             0
0                                              26          500        X       X        05              0             0           500
0                                             229        4,402        X                08          4,402             0             0
0                                              56        1,078        X       X        08            778           300             0
0                                           6,610      126,954        X                09        118,943           500         7,511
0                                             612       11,749        X       X        09          7,810             0         3,939
0                                              52        1,000        X       X        12              0         1,000             0
-
0 ACE LTD                       G0070K10    1,728       61,725        X                09         24,375             0        37,350
  ORD
0                                             468       16,700        X       X        09          2,700             0        14,000
-
0 AMDOCS LTD                    G0260210      768       10,000        X       X        12              0        10,000             0
  ORD
-
0 CREDICORP LTD                 G2519Y10      302       33,500        X                09         33,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    2  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  EVEREST RE GROUP LTD          G3223R10      717       21,800        X       X        08         21,800             0             0
  COM
0                                             441       13,400        X                09         13,400             0             0
0                                             128        3,900        X       X        09          3,900             0             0
0                                              33        1,000        X       X        12              0         1,000             0
-
0 GEMSTAR INTL GROUP LTD        G3788V10      172        2,800        X                09          2,800             0             0
  ORD
0                                             249        4,050        X       X        09          4,050             0             0
0                                              11          171        X                12            171             0             0
0                                           5,518       89,799        X       X        12              0        89,799             0
-
0 GLOBAL CROSSING LTD           G3921A10      803       30,500        X                02              0             0        30,500
  COM
0                                              26        1,000        X                04          1,000             0             0
0                                             130        4,924        X       X        04          4,924             0             0
0                                              79        3,000        X                05          3,000             0             0
0                                              21          800        X       X        05              0             0           800
0                                           8,744      332,300        X                06        332,300             0             0
0                                          34,778    1,321,693        X                09      1,320,293           500           900
0                                           1,034       39,289        X       X        09         26,592             0        12,697
0                                             641       24,345        X                12         24,345             0             0
0                                           1,052       39,964        X       X        12              0        39,964             0
-
0 GLOBALSTAR TELECOMMUNICTNS L  G3930H10       11        1,250        X                08          1,250             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    3  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        5,000        X       X        08          5,000             0             0
0                                              63        7,000        X       X        09              0         7,000             0
0                                              17        1,900        X       X        12              0         1,900             0
-
0 LORAL SPACE & COMMUNICATIONS  G5646210       58        8,400        X                08          8,400             0             0
  COM
0                                              69       10,000        X       X        08              0             0        10,000
0                                              89       12,775        X                09         12,775             0             0
0                                              21        2,994        X       X        09              0             0         2,994
0                                              49        7,000        X       X        12              0         7,000             0
-
0 LORAL SPACE & COMMUNICATIONS  G5646214      460       20,000        X                01              0             0        20,000
  PFD CONV C 6%
-
0 RSL COMMUNICATIONS LTD        G7702U10      629       55,000        X                09         55,000             0             0
  CL A
-
0 SANTA FE INTL CORP            G7805C10       35        1,000        X                08          1,000             0             0
  ORD
0                                           1,922       55,000        X                09         55,000             0             0
-
0 TRANSOCEAN SEDCO FOREX INC    G9007810      123        2,304        X                04          2,208             0            96
  ORD
0                                              78        1,456        X       X        04            635             0           821
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    4  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        5,100        X                05          5,100             0             0
0                                           1,960       36,675        X       X        05         36,598             0            77
0                                           1,427       26,700        X                06         26,700             0             0
0                                           4,800       89,820        X                08         88,339             0         1,481
0                                           1,784       33,393        X       X        08         28,457         3,383         1,553
0                                           9,733      182,139        X                09        174,638           227         7,274
0                                           4,432       82,941        X       X        09         67,871           347        14,723
0                                              14          257        X       X        12              0           257             0
-
0 TRITON ENERGY LTD             G9075110      590       15,000        X                02              0             0        15,000
  ORD
0                                          13,708      348,700        X                06        348,700             0             0
0                                           3,941      100,250        X                08        100,250             0             0
0                                          15,806      402,050        X                09        396,400             0         5,650
0                                              47        1,200        X       X        09            900             0           300
-
0 XOMA LTD                      G9825R10       43       10,000        X                08         10,000             0             0
  ORD
-
0 XL CAP LTD                    G9825510       27          500        X                04            500             0             0
  CL A
0                                              98        1,808        X       X        04            608             0         1,200
0                                          15,613      288,453        X                09        269,110             0        19,343
0                                           3,679       67,972        X       X        09         54,096             0        13,876
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    5  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  AUDIOCODES LTD                M1534210    4,740       39,500        X                06         39,500             0             0
  ORD
-
0 CHECK POINT SOFTWARE TECH LT  M2246510   10,583       49,977        X                09         49,977             0             0
  ORD
0                                           4,114       19,429        X       X        09         19,429             0             0
0                                               4           18        X                12             18             0             0
0                                           2,054        9,700        X       X        12              0         9,700             0
-
0 ECTEL LTD                     M2992510       12          524        X                12            524             0             0
  ORD
0                                             969       42,150        X       X        12              0        42,150             0
-
0 GILAT SATELLITE NETWORKS LTD  M5147410    3,789       54,610        X                09         54,610             0             0
  ORD
0                                              21          300        X       X        09            300             0             0
-
0 M SYS FLASH DISK PIONEERS LT  M7061C10    4,357       55,950        X                06         55,950             0             0
  ORD
0                                              58          750        X                09              0             0           750
0                                               5           65        X                12             65             0             0
0                                           1,308       16,800        X       X        12              0        16,800             0
-
0 NEXUS TELOCATION SYS LTD      M7491910       77       30,000        X       X        12              0        30,000             0
  ORD
-
0 NOVA MEASURING INSTRUMENTS L  M7516K10      111        6,933        X                12          6,933             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    6  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             183       11,400        X       X        12              0        11,400             0
-
0 ORCKIT COMMUNICATIONS LTD     M7531S10      271        9,000        X                09          9,000             0             0
  COM
-
0 TVG TECHNOLOGIES LTD          M9027810       32       10,000        X                04         10,000             0             0
  ORD
-
0 VOCALTEC COMMUNICATIONS LTD   M9760110      460       20,000        X       X        09         20,000             0             0
  ORD
-
0 ASM LITHOGRAPHY HLDG N V      N0705911   12,126      274,800        X                06        274,800             0             0
  N Y SHS
0                                          11,693      265,000        X                09        265,000             0             0
-
0 BAAN CO NV                    N0804410        3        1,200        X       X        05              0             0         1,200
  COM
0                                             234       89,155        X                09         89,155             0             0
0                                               6        2,200        X       X        09              0             0         2,200
0                                               8        3,000        X                12          3,000             0             0
-
0 MADGE NETWORKS N V            N5424G10        0          100        X                12            100             0             0
  ORD SHS
0                                             319       70,000        X       X        12              0        70,000             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    7  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ASE TEST LTD                  Y0251610      362       12,300        X                09         12,300             0             0
  ORD
0                                               5          162        X                12            162             0             0
0                                           1,074       36,500        X       X        12              0        36,500             0
-
0 FLEXTRONICS INTL LTD          Y2573F10      354        5,147        X                09          4,800             0           347
  ORD
0                                             165        2,409        X       X        09          1,909             0           500
0                                             891       12,975        X       X        12              0        12,975             0
-
0 GIGAMEDIA LTD                 Y2711Y10      137       11,300        X                09         11,300             0             0
  ORD
0                                              16        1,350        X       X        12              0         1,350             0
-
0 AAR CORP                      00036110    5,267      438,900        X                06        438,900             0             0
  COM
0                                           1,572      131,010        X                08        131,010             0             0
0                                           4,008      334,025        X                09        333,725             0           300
-
0 A D C TELECOMMUNICATIONS      00088610   11,289      134,590        X                01              0             0       134,590
  COM
0                                             914       10,900        X                04         10,900             0             0
0                                              50          600        X       X        04            600             0             0
0                                             705        8,400        X                05          1,400             0         7,000
0                                              54          649        X       X        05            649             0             0
0                                          46,198      550,800        X                06        550,800             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    8  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          23,165      276,180        X                08        275,480             0           700
0                                           1,594       19,005        X       X        08         13,505         4,000         1,500
0                                          31,955      380,982        X                09        339,080         9,000        32,902
0                                             885       10,546        X       X        09          3,066         4,600         2,880
0                                             109        1,298        X                12          1,298             0             0
0                                           3,586       42,751        X       X        12              0        42,751             0
-
0 AFLAC INC                     00105510      104        2,260        X                04          2,260             0             0
  COM
0                                              31          674        X       X        05            674             0             0
0                                              92        2,000        X       X        08          2,000             0             0
0                                             123        2,674        X                09            374             0         2,300
0                                             882       19,207        X       X        09         17,536             0         1,671
-
0 AGCO CORP                     00108410      148       12,066        X                09          4,966             0         7,100
  COM
-
0 AGL RES INC                   00120410       14          900        X       X        04            900             0             0
  COM
0                                           9,874      619,500        X                06        619,500             0             0
0                                           1,269       79,650        X                08         79,650             0             0
0                                              16        1,000        X       X        08          1,000             0             0
0                                           8,714      546,750        X                09        546,500             0           250
0                                              16        1,000        X       X        09          1,000             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE    9  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  AES CORP                      00130H10       46        1,000        X       X        04              0             0         1,000
  COM
0                                              40          878        X       X        05            878             0             0
0                                          11,273      247,075        X                06        247,075             0             0
0                                           5,840      128,000        X                08        126,700             0         1,300
0                                             251        5,500        X       X        08          5,300             0           200
0                                          17,274      378,600        X                09        378,600             0             0
0                                           3,788       83,030        X       X        09         62,498             0        20,532
0                                              27          600        X       X        12              0           600             0
-
0 AK STL HLDG CORP              00154710        2          191        X       X        08            191             0             0
  COM
0                                          12,801    1,600,153        X       X        09            153             0     1,600,000
-
0 AMB PROPERTY CORP             00163T10       34        1,500        X                08          1,500             0             0
  COM
0                                           4,654      204,000        X       X        12              0       204,000             0
-
0 AMR CORP                      00176510        5          200        X                04            200             0             0
  COM
0                                              69        2,600        X                08          2,600             0             0
0                                               4          140        X       X        08            140             0             0
0                                          13,988      529,099        X                09        529,099             0             0
0                                             132        4,974        X       X        09          1,150             0         3,824
-
0 AT&T CORP                     00195710    6,739      213,088        X                02              0             0       213,088
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   10  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,233       70,593        X                04         64,218             0         6,375
0                                           1,979       62,580        X       X        04         30,881         7,157        24,542
0                                             145        4,595        X                05          3,500             0         1,095
0                                             940       29,735        X       X        05         28,735             0         1,000
0                                          43,090    1,362,534        X                06      1,362,534             0             0
0                                          22,615      715,087        X                08        711,387           450         3,250
0                                          11,059      349,704        X       X        08        314,642        26,691         8,371
0                                         113,424    3,586,517        X                09      3,474,638        17,703        94,176
0                                          47,980    1,517,143        X       X        09      1,022,753        32,260       462,130
0                                           1,961       61,993        X       X        12              0        61,993             0
-
0 AT&T CORP                     00195720    1,394       57,500        X                02              0             0        57,500
  COM LIB GRP A
0                                              22          896        X                04            896             0             0
0                                           1,394       57,500        X       X        05         57,500             0             0
0                                          13,313      549,000        X                06        549,000             0             0
0                                             415       17,128        X                08         17,128             0             0
0                                           1,084       44,700        X       X        08         28,150             0        16,550
0                                          53,547    2,208,138        X                09      2,204,014         2,924         1,200
0                                           4,128      170,216        X       X        09        107,808        47,760        14,648
0                                           1,564       64,500        X       X        12              0        64,500             0
-
0 AT&T CORP                     00195740      279       10,000        X                05              0             0        10,000
  COM WIRLES GRP
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   11  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        05              0             0           400
0                                               3          100        X       X        08            100             0             0
0                                              31        1,100        X                09              0         1,100             0
0                                             219        7,860        X       X        09          2,630             0         5,230
0                                           4,418      158,500        X       X        12              0       158,500             0
-
0 ASI SOLUTIONS INC             00206F10      168       20,000        X                03         20,000             0             0
  COM
-
0 ATS MED INC                   00208310    2,249      153,800        X                06        153,800             0             0
  COM
0                                             597       40,800        X                09         40,800             0             0
-
0 AVT CORP                      00242010      203       27,500        X       X        04              0             0        27,500
  COM
0                                              30        4,000        X       X        09              0             0         4,000
0                                              74       10,000        X                12         10,000             0             0
0                                             257       34,800        X       X        12              0        34,800             0
-
0 AXA FINL INC                  00245110      204        6,000        X                04          6,000             0             0
  COM
0                                              61        1,800        X       X        04          1,000           800             0
0                                           8,364      246,000        X                06        246,000             0             0
0                                              64        1,890        X                08          1,890             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   12  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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           78        X       X        08              0            78             0
0                                          11,275      331,621        X                09        285,821         1,880        43,920
0                                             267        7,850        X       X        09          2,750           800         4,300
-
0 ABBOTT LABS                   00282410    2,586       58,019        X                04         40,619             0        17,400
  COM
0                                           2,456       55,122        X       X        04         20,200         2,200        32,722
0                                             111        2,500        X                05          1,800             0           700
0                                             109        2,439        X       X        05          2,039             0           400
0                                          62,629    1,405,405        X                06      1,405,405             0             0
0                                          28,240      633,711        X                08        610,611        11,200        11,900
0                                          15,665      351,530        X       X        08        246,443        64,667        40,420
0                                         157,881    3,542,873        X                09      3,421,873         7,200       113,800
0                                         122,705    2,753,523        X       X        09      1,338,342        43,900     1,371,281
0                                             670       15,038        X       X        12              0        15,038             0
-
0 ABERCROMBIE & FITCH CO        00289620    1,058       86,800        X       X        05         86,800             0             0
  CL A
0                                           6,108      501,132        X                09         75,422             0       425,710
0                                           2,450      200,992        X       X        09        100,698             0       100,294
-
0 ABGENIX INC                   00339B10        6           47        X                12             47             0             0
  COM
0                                           2,523       21,050        X       X        12              0        21,050             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   13  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ABLE TELCOM HLDG CORP         00371230       29       14,000        X       X        08         14,000             0             0
  COM NEW
-
0 ACCESS WORLDWIDE COMMUNICATI  00431910       35       34,123        X       X        09         19,755             0        14,368
  COM
-
0 ACCRUE SOFTWARE INC           00437W10    8,641      243,400        X                06        243,400             0             0
  COM
0                                           2,110       59,450        X                08         59,450             0             0
0                                           5,226      147,200        X                09        147,050             0           150
0                                           1,076       30,320        X                12         30,320             0             0
-
0 ACME COMMUNICATION INC        00463110      206       11,300        X                09         11,300             0             0
  COM
-
0 ACNIELSEN CORP                00483310   10,765      489,300        X                06        489,300             0             0
  COM
0                                          10,759      489,049        X                09        478,899             0        10,150
0                                             148        6,712        X       X        09          3,481           133         3,098
-
0 ACTEL CORP                    00493410   25,123      550,650        X                06        550,650             0             0
  COM
0                                           9,128      200,075        X                08        200,075             0             0
0                                              34          750        X       X        08            750             0             0
0                                          15,978      350,200        X                09        349,800             0           400
-
0 ACTIVE SOFTWARE INC           00504E10    4,843       62,337        X       X        12              0        62,337             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   14  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ACXIOM CORP                   00512510    4,202      154,200        X                01              0             0       154,200
  COM
-
0 ADAPTEC INC                   00651F10        1           34        X       X        05             34             0             0
  COM
0                                               5          200        X                09            200             0             0
0                                              15          670        X       X        09              0           250           420
0                                             324       14,250        X       X        12              0        14,250             0
-
0 ADELPHIA COMMUNICATIONS CORP  00684810   20,672      441,000        X                09        441,000             0             0
  CL A
0                                              33          700        X       X        09              0             0           700
-
0 ADOBE SYS INC                 00724F10      741        5,700        X                01              0             0         5,700
  COM
0                                              65          500        X                05              0             0           500
0                                             235        1,809        X       X        05            309             0         1,500
0                                           7,462       57,400        X                08         57,400             0             0
0                                           1,300       10,000        X       X        08          9,600           400             0
0                                           3,653       28,100        X                09         17,950             0        10,150
0                                           3,015       23,191        X       X        09         13,931             0         9,260
0                                              13           99        X                12             99             0             0
0                                              93          712        X       X        12              0           712             0
-
0 ADVANCE PARADIGM INC          00749110    7,173      349,900        X                06        349,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   15  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,174      106,050        X                08        106,050             0             0
0                                           6,400      312,200        X                09        312,000             0           200
0                                              21        1,000        X                12          1,000             0             0
0                                              10          500        X       X        12              0           500             0
-
0 ADVANCED FIBRE COMMUNICATION  00754A10    1,362       30,068        X                12              0             0        30,068
  COM
0                                           1,389       30,650        X       X        12              0        30,650             0
-
0 ADVANCED POLYMER SYS INC      00754G10      180       47,500        X       X        12              0        47,500             0
  COM
-
0 ADVANTAGE LEARNING SYSTEMS    00757K10      429       27,900        X                09         27,900             0             0
  COM
-
0 ADVO INC                      00758510      226        5,376        X       X        04              0             0         5,376
  COM
0                                             525       12,500        X                09         12,200             0           300
-
0 AEROFLEX INC                  00776810      412        8,300        X                09          8,300             0             0
  COM
-
0 ADVANCED MICRO DEVICES INC    00790310    1,043       13,500        X                01              0             0        13,500
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   16  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              22          289        X       X        05            289             0             0
0                                              14          175        X                06            175             0             0
0                                              31          400        X                08            400             0             0
0                                              41          525        X                09            525             0             0
0                                             100        1,295        X       X        09            168             0         1,127
0                                             386        5,000        X                12          5,000             0             0
0                                             678        8,783        X       X        12              0         8,783             0
-
0 AEGON N V                     00792410      396       11,124        X                04          9,500             0         1,624
  ORD AMER REG
0                                              28          782        X       X        04            782             0             0
0                                               6          174        X       X        05            174             0             0
0                                              42        1,188        X                08          1,188             0             0
0                                             785       22,044        X       X        08         15,164         6,880             0
0                                             907       25,467        X                09         21,848             0         3,619
0                                           1,234       34,646        X       X        09         13,750             0        20,896
0                                             230        6,466        X       X        12              0         6,466             0
-
0 ADVANTA CORP                  00794210      334       27,400        X                09         27,400             0             0
  CL A
-
0 ADVENT SOFTWARE INC           00797410   17,151      265,900        X                06        265,900             0             0
  COM
0                                           4,373       67,800        X                08         67,800             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   17  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          14,967      232,050        X                09        231,900             0           150
0                                             329        5,100        X       X        09              0         5,100             0
0                                               5           72        X                12             72             0             0
0                                           5,886       91,262        X       X        12              0        91,262             0
-
0 AETNA INC                     00811710       77        1,200        X       X        04          1,200             0             0
  COM
0                                           1,962       30,563        X       X        05         30,563             0             0
0                                              85        1,317        X                08            567           750             0
0                                           1,770       27,580        X                09         24,043             0         3,537
0                                           1,185       18,463        X       X        09         16,242           750         1,471
-
0 AFFILIATED COMPUTER SERVICES  00819010   10,091      305,200        X                06        305,200             0             0
  CL A
0                                           9,754      295,000        X                09        295,000             0             0
0                                           8,582      259,576        X       X        12              0       259,576             0
-
0 AFFILIATED MANAGERS GROUP     00825210   30,573      671,929        X                03              0             0       671,929
  COM
0                                           2,357       51,800        X                09         51,800             0             0
-
0 AFFYMETRIX INC                00826T10      314        1,900        X       X        09            300             0         1,600
  COM
0                                               8           50        X       X        12              0            50             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   18  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  AGENCY COM LTD                00844710        4          200        X       X        08            200             0             0
  COM
0                                              26        1,485        X                12          1,485             0             0
0                                             882       49,500        X       X        12              0        49,500             0
-
0 AGILENT TECHNOLOGIES INC      00846U10      221        3,000        X                01              0             0         3,000
  COM
0                                             416        5,639        X                04          5,411             0           228
0                                             248        3,369        X       X        04          1,750           152         1,467
0                                             544        7,372        X                05          4,250             0         3,122
0                                             115        1,556        X       X        05          1,290             0           266
0                                           3,137       42,531        X                06         42,531             0             0
0                                           7,986      108,290        X                08        106,483         1,370           437
0                                           4,051       54,932        X       X        08         44,145         2,990         7,797
0                                          22,623      306,746        X                09        289,506         1,181        16,059
0                                          31,190      422,910        X       X        09        246,656         6,084       170,170
0                                             711        9,634        X       X        12              0         9,634             0
-
0 AGILE SOFTWARE CORP DEL       00846X10    6,349       89,817        X                12            929             0        88,888
  COM
0                                           1,074       15,200        X       X        12              0        15,200             0
-
0 AIR PRODS & CHEMS INC         00915810       96        3,100        X                04          2,600             0           500
  COM
0                                             370       12,000        X       X        04         11,000             0         1,000
0                                              23          750        X                05            100             0           650
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   19  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          517        X       X        05            517             0             0
0                                             579       18,799        X                08         18,799             0             0
0                                             752       24,396        X       X        08         24,396             0             0
0                                           2,726       88,467        X                09         86,667           600         1,200
0                                           7,786      252,671        X       X        09        117,519        16,144       119,008
0                                              45        1,459        X       X        12              0         1,459             0
-
0 AIRNET COMMUNICATIONS CORP    00941P10      445       17,050        X       X        12              0        17,050             0
  COM
-
0 AKAMAI TECHNOLOGIES INC       00971T10      126        1,058        X                09          1,058             0             0
  COM
0                                             410        3,450        X       X        12              0         3,450             0
-
0 AKZO NOBEL NV                 01019930       25          600        X                08            600             0             0
  SPONSORED ADR
0                                             660       15,700        X       X        08         15,700             0             0
-
0 ALASKA COMMUNICATIONS SYS GR  01167P10      347       33,466        X                12         33,466             0             0
  COM
0                                              34        3,250        X       X        12              0         3,250             0
-
0 ALBANY INTL CORP              01234810      492       33,955        X                09         32,700           122         1,133
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   20  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ALBANY MOLECULAR RESH INC     01242310    1,023       18,800        X                09         18,800             0             0
  COM
-
0 ALBEMARLE CORP                01265310      478       24,200        X                09         24,200             0             0
  COM
0                                              29        1,450        X       X        09              0             0         1,450
-
0 ALBERTSONS INC                01310410      181        5,444        X                04          5,066             0           378
  COM
0                                              21          630        X       X        04            630             0             0
0                                              33        1,000        X                05            900             0           100
0                                              41        1,229        X       X        05            629             0           600
0                                           5,895      177,300        X                06        177,300             0             0
0                                           3,164       95,170        X                08         92,970             0         2,200
0                                           1,416       42,600        X       X        08         33,600         9,000             0
0                                          10,255      308,432        X                09        299,043         1,400         7,989
0                                           1,966       59,133        X       X        09         52,537           320         6,276
-
0 ALCAN ALUMINIUM LTD NEW       01371610       14          450        X                04            450             0             0
  COM
0                                               6          198        X       X        05            198             0             0
0                                               6          200        X                08            200             0             0
0                                             152        4,900        X                09            800             0         4,100
0                                             954       30,779        X       X        09         29,750             0         1,029
-
0 ALCOA INC                     01381710    5,236      180,554        X                02              0             0       180,554
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   21  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,570       88,630        X                04         73,630             0        15,000
0                                             893       30,800        X       X        04         20,000         1,600         9,200
0                                             803       27,700        X                05         20,900             0         6,800
0                                           2,612       90,064        X       X        05         87,864             0         2,200
0                                          28,837      994,380        X                06        994,380             0             0
0                                           8,162      281,452        X                08        279,060         1,592           800
0                                           2,138       73,740        X       X        08         72,340         1,400             0
0                                          50,917    1,755,749        X                09      1,681,710        14,200        59,839
0                                           8,593      296,314        X       X        09        211,138        14,872        70,304
-
0 ALCATEL                       01390430      266        4,000        X                04              0             0         4,000
  SPONSORED ADR
0                                             727       10,935        X       X        04              0             0        10,935
0                                              74        1,110        X                05              0             0         1,110
0                                              33          500        X                08            500             0             0
0                                          21,463      322,753        X                09        320,188         1,565         1,000
0                                             512        7,695        X       X        09              0             0         7,695
0                                             849       12,770        X       X        12              0        12,770             0
-
0 ALEXANDERS INC                01475210      601        8,200        X       X        09          8,000             0           200
  COM
-
0 ALEXANDRIA REAL ESTATE EQ IN  01527110   10,750      313,300        X                06        313,300             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   22  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,853      170,575        X                08        170,575             0             0
0                                           5,720      166,700        X                09        166,300             0           400
-
0 ALEXION PHARMACEUTICALS INC   01535110       74        1,040        X                12          1,040             0             0
  COM
0                                             501        7,000        X       X        12              0         7,000             0
-
0 ALLAIRE CORP                  01671410   15,764      428,950        X                06        428,950             0             0
  COM
0                                           2,714       73,850        X                08         73,850             0             0
0                                          12,047      327,800        X                09        327,600             0           200
-
0 ALLEGHENY ENERGY INC          01736110       38        1,400        X       X        04              0             0         1,400
  COM
0                                             634       23,175        X                09         21,775             0         1,400
0                                             603       22,013        X       X        09         18,813             0         3,200
-
0 ALLEGHENY TECHNOLOGIES INC    01741R10       49        2,703        X       X        08          2,703             0             0
  COM
0                                             241       13,400        X                09         13,400             0             0
0                                             124        6,893        X       X        09              0             0         6,893
-
0 ALLERGAN INC                  01849010       32          423        X       X        05            423             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   23  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             693        9,300        X                09          3,900             0         5,400
0                                             933       12,524        X       X        09         10,254             0         2,270
-
0 ALLIANCE SEMICONDUCTOR CORP   01877H10        2           93        X                12             93             0             0
  COM
0                                             319       13,000        X       X        12              0        13,000             0
-
0 ALLIANCE PHARMACEUTICAL CORP  01877310       93        8,300        X                12          8,300             0             0
  COM
0                                              23        2,000        X       X        12              0         2,000             0
-
0 ALLIANT CORP                  01880210    9,601      369,250        X                06        369,250             0             0
  COM
0                                              34        1,295        X       X        08            740             0           555
0                                           9,476      364,455        X                09        362,415             0         2,040
0                                             859       33,022        X       X        09         28,690         3,420           912
-
0 ALLIED RISER COMMUNICATIONS   01949610    4,926      348,731        X                03        348,731             0             0
  COM
0                                              28        2,000        X                04          2,000             0             0
0                                              44        3,100        X                09          3,100             0             0
0                                               1          100        X       X        09              0             0           100
-
0 ALLIED WASTE INDS INC         01958930    1,917      191,650        X                09        132,750         4,000        54,900
  COM PAR$.01NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   24  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,217      121,650        X       X        09         98,300         2,000        21,350
-
0 ALLMERICA FINL CORP           01975410       48          907        X       X        08              0           907             0
  COM
0                                             246        4,700        X                09          4,600           100             0
-
0 ALLSTATE CORP                 02000210       52        2,318        X                04          1,318             0         1,000
  COM
0                                              83        3,744        X       X        04            200         2,344         1,200
0                                              10          450        X                05            100             0           350
0                                              78        3,499        X       X        05          3,049             0           450
0                                              33        1,500        X                06          1,500             0             0
0                                           1,023       45,980        X                08         45,980             0             0
0                                             218        9,782        X       X        08          7,688           184         1,910
0                                           6,550      294,372        X                09        278,092           370        15,910
0                                           5,904      265,342        X       X        09        188,327        45,211        31,804
0                                              22        1,000        X       X        12              0         1,000             0
-
0 ALLTEL CORP                   02003910      472        7,627        X                04          7,427             0           200
  COM
0                                             105        1,700        X       X        04            700             0         1,000
0                                               8          123        X       X        05            123             0             0
0                                           5,218       84,238        X                08         83,738             0           500
0                                           1,299       20,975        X       X        08         20,975             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   25  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,811       93,812        X                09         87,252           800         5,760
0                                           3,957       63,893        X       X        09         29,572         4,200        30,121
0                                           1,832       29,575        X       X        12              0        29,575             0
-
0 ALPHA INDS INC                02075310    1,791       40,650        X                06         40,650             0             0
  COM
-
0 ALPHARMA INC                  02081310      772       12,400        X                09         12,400             0             0
  CL A
-
0 ALPINE GROUP INC              02082510       70       10,300        X                09         10,300             0             0
  COM
-
0 ALTERA CORP                   02144110   10,428      102,300        X                02              0             0       102,300
  COM
0                                           1,488       14,600        X                04         13,300             0         1,300
0                                             387        3,800        X       X        04              0             0         3,800
0                                             336        3,300        X                05          2,900             0           400
0                                           7,747       76,000        X       X        05         76,000             0             0
0                                          78,127      766,415        X                06        766,415             0             0
0                                          13,694      134,335        X                08        134,135             0           200
0                                           1,605       15,740        X       X        08         14,740         1,000             0
0                                          72,046      706,765        X                09        694,165         3,000         9,600
0                                           1,384       13,575        X       X        09          6,375         1,400         5,800
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   26  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,900        X                12          1,900             0             0
0                                           4,123       40,450        X       X        12              0        40,450             0
-
0 ALZA CORP DEL                 02261510      331        5,600        X                04          5,600             0             0
  COM
0                                           1,169       19,776        X       X        05         19,776             0             0
0                                           5,270       89,140        X                08         89,140             0             0
0                                           6,518      110,233        X       X        08         90,251        19,982             0
0                                           9,949      168,279        X                09        157,279         3,700         7,300
0                                           8,082      136,685        X       X        09         73,499         3,000        60,186
0                                              41          700        X                12            700             0             0
0                                           1,715       29,000        X       X        12              0        29,000             0
-
0 AMAZON COM INC                02313510    2,110       58,100        X                01              0             0        58,100
  COM
0                                              74        2,030        X                08          2,030             0             0
0                                             653       17,980        X                09         17,980             0             0
0                                             405       11,150        X       X        09         10,050           500           600
0                                             381       10,504        X                12         10,504             0             0
0                                           3,552       97,819        X       X        12              0        97,819             0
-
0 AMERADA HESS CORP             02355110    1,382       22,379        X       X        05         22,379             0             0
  COM
0                                           1,121       18,154        X                09         17,054             0         1,100
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   27  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             799       12,947        X       X        09          9,132             0         3,815
-
0 AMEREN CORP                   02360810       34        1,000        X                04              0             0         1,000
  COM
0                                              73        2,157        X       X        04            500             0         1,657
0                                              89        2,645        X       X        05          2,445             0           200
0                                             449       13,309        X                09         13,309             0             0
0                                           1,466       43,451        X       X        09         42,057             0         1,394
-
0 AMERICA ONLINE INC DEL        02364J10      263        5,000        X                01              0             0         5,000
  COM
0                                           1,054       20,000        X                02              0             0        20,000
0                                           1,546       29,348        X                04         23,848             0         5,500
0                                             233        4,430        X       X        04          2,100         1,530           800
0                                             132        2,500        X                05          2,300             0           200
0                                           3,286       62,374        X       X        05         61,174             0         1,200
0                                          22,325      423,727        X                06        423,727             0             0
0                                          14,464      274,527        X                08        274,227             0           300
0                                           3,543       67,240        X       X        08         64,980         1,060         1,200
0                                          74,270    1,409,626        X                09      1,372,566         4,350        32,710
0                                          17,343      329,165        X       X        09        182,166         5,280       141,719
0                                          19,347      367,203        X       X        12              0       367,203             0
-
0 AMERICA WEST HLDG CORP        02365720      495       28,900        X                09         28,900             0             0
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   28  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  AMCORE FINL INC               02391210    5,433      296,700        X                06        296,700             0             0
  COM
0                                           1,297       70,850        X                08         70,850             0             0
0                                           3,601      196,650        X                09        196,450             0           200
-
0 AMERICAN ELEC PWR INC         02553710        8          273        X                04            273             0             0
  COM
0                                              91        3,079        X       X        04          1,720           811           548
0                                              72        2,414        X       X        05          2,414             0             0
0                                              87        2,939        X                08          2,939             0             0
0                                             349       11,780        X       X        08          7,934             0         3,846
0                                           1,737       58,632        X                09         54,132             0         4,500
0                                           2,394       80,796        X       X        09         61,944         2,900        15,952
0                                               8          275        X       X        12              0           275             0
-
0 AMERICAN EXPRESS CO           02581610    4,410       84,613        X                04         79,663             0         4,950
  COM
0                                           2,111       40,492        X       X        04         31,192         1,100         8,200
0                                             993       19,050        X                05         14,100             0         4,950
0                                           2,445       46,908        X       X        05         44,358             0         2,550
0                                         134,825    2,586,562        X                06      2,586,562             0             0
0                                          67,001    1,285,385        X                08      1,274,585             0        10,800
0                                          15,243      292,440        X       X        08        204,050        37,740        50,650
0                                         203,413    3,902,416        X                09      3,793,391        15,000        94,025
0                                          60,431    1,159,345        X       X        09        598,045        35,778       525,522
0                                           2,469       47,358        X       X        12              0        47,358             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   29  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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       41        1,666        X       X        08              0         1,666             0
  COM
0                                             308       12,401        X                09         12,401             0             0
0                                          12,965      522,518        X       X        09        522,518             0             0
-
0 AMERICAN FREIGHTWAYS CORP     02629V10      177       12,200        X                09         12,200             0             0
  COM
-
0 AMERICAN GENERAL CORP         02635110        0            5        X                04              0             0             5
  COM
0                                              63        1,030        X                05          1,030             0             0
0                                          10,503      172,178        X                08        172,178             0             0
0                                          20,572      337,244        X       X        08        222,054        23,984        91,206
0                                           1,343       22,023        X                09         21,423             0           600
0                                             462        7,566        X       X        09          6,018           400         1,148
-
0 AMERICAN HOME PRODS CORP      02660910    2,625       44,684        X                04         42,384             0         2,300
  COM
0                                           3,738       63,630        X       X        04         30,070        16,860        16,700
0                                             423        7,200        X                05          6,000             0         1,200
0                                             351        5,973        X       X        05          4,173             0         1,800
0                                          65,249    1,110,623        X                06      1,110,623             0             0
0                                          36,603      623,032        X                08        616,732         5,200         1,100
0                                          16,597      282,500        X       X        08        171,764        17,746        92,990
0                                         166,175    2,828,511        X                09      2,791,287         2,300        34,924
0                                         131,098    2,231,452        X       X        09      1,255,495       374,379       601,578
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   30  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             588       10,000        X       X        12              0        10,000             0
-
0 AMERICAN INTL GROUP INC       02687410    9,293       79,087        X                04         72,023             0         7,064
  COM
0                                           3,498       29,767        X       X        04         13,837         1,551        14,379
0                                           2,356       20,049        X                05         13,037             0         7,012
0                                           5,971       50,813        X       X        05         50,613             0           200
0                                         223,211    1,899,667        X                06      1,899,667             0             0
0                                          91,327      777,255        X                08        770,754         3,374         3,127
0                                          32,200      274,041        X       X        08        230,460        35,452         8,129
0                                         452,047    3,847,209        X                09      3,709,843        27,913       109,453
0                                         207,137    1,762,872        X       X        09      1,057,568        43,216       662,088
0                                           2,408       20,496        X       X        12              0        20,496             0
-
0 AMERICAN MGMT SYS INC         02735210   12,983      395,500        X                06        395,500             0             0
  COM
0                                          14,238      433,700        X                09        433,700             0             0
-
0 AMERICAN NATL CAN GROUP INC   02771410    1,266       75,000        X                01              0             0        75,000
  COM
-
0 AMERICAN PWR CONVERSION CORP  02906610      122        3,000        X                08          3,000             0             0
  COM
0                                              12          300        X       X        08            300             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   31  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             318        7,800        X                09              0             0         7,800
0                                              65        1,600        X       X        09              0             0         1,600
0                                             385        9,429        X       X        12              0         9,429             0
-
0 AMERICAN STD COS INC DEL      02971210    9,705      236,700        X                06        236,700             0             0
  COM
0                                           9,395      229,150        X                09        228,350             0           800
-
0 AMERICAN STS WTR CO           02989910    9,187      308,800        X                06        308,800             0             0
  COM
0                                           2,526       84,900        X                08         84,900             0             0
0                                           5,871      197,350        X                09        197,150             0           200
-
0 AMERICAN TOWER CORP           02991220   95,576    2,292,640        X                03         21,719             0     2,270,921
  CL A
0                                           2,647       63,500        X                09         63,500             0             0
0                                              21          500        X       X        09            500             0             0
0                                         149,450    3,584,960        X                11      3,584,960             0             0
-
0 AMERICAN WTR WKS INC          03041110    6,115      244,600        X                06        244,600             0             0
  COM
0                                              20          800        X       X        08            800             0             0
0                                           5,900      236,000        X                09        236,000             0             0
0                                           1,315       52,600        X       X        09         52,600             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   32  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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 XTAL TECHNOLOGY INC  03051410    2,993       69,200        X                09         69,200             0             0
  COM
-
0 AMERICREDIT CORP              03060R10    1,414       83,200        X                09         83,200             0             0
  COM
-
0 AMERIPATH INC                 03071D10       99       11,200        X                09         11,200             0             0
  COM
0                                               6          700        X       X        12              0           700             0
-
0 AMERISOURCE HEALTH CORP       03071P10   28,753      927,500        X                09        927,500             0             0
  CL A
0                                              52        1,680        X       X        09              0             0         1,680
-
0 AMERUS LIFE HLDGS INC         03073210      483       23,400        X                09         23,400             0             0
  COM
-
0 AMGEN INC                     03116210    8,441      120,150        X                04         83,150             0        37,000
  COM
0                                           1,204       17,140        X       X        04            700         1,100        15,340
0                                           1,496       21,300        X                05         12,100             0         9,200
0                                           2,848       40,534        X       X        05         40,234             0           300
0                                          97,395    1,386,406        X                06      1,386,406             0             0
0                                          62,124      884,326        X                08        883,676             0           650
0                                          12,075      171,883        X       X        08        156,893        12,740         2,250
0                                         119,288    1,698,053        X                09      1,577,210        20,950        99,893
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   33  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          18,316      260,732        X       X        09        203,712        16,000        41,020
0                                           2,128       30,285        X       X        12              0        30,285             0
-
0 AMKOR TECHNOLOGY INC          03165210    1,236       35,000        X                09         35,000             0             0
  COM
0                                             191        5,400        X       X        09              0             0         5,400
-
0 AMPHENOL CORP NEW             03209510   33,756      510,000        X                06        510,000             0             0
  CL A
0                                           3,512       53,060        X                08         53,060             0             0
0                                          29,030      438,600        X                09        438,400             0           200
-
0 AMSOUTH BANCORPORATION        03216510       53        3,375        X                08          3,375             0             0
  COM
0                                             272       17,252        X       X        08         17,252             0             0
0                                              32        2,000        X                09          2,000             0             0
0                                             329       20,891        X       X        09         11,712         8,774           405
-
0 AMYLIN PHARMACEUTICALS INC    03234610       15        1,000        X                09          1,000             0             0
  COM
0                                              96        6,306        X                12          6,306             0             0
0                                              99        6,500        X       X        12              0         6,500             0
-
0 AMVESCAP PLC                  03235E10   18,810      240,000        X                09        240,000             0             0
  SPONSORED ADR
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   34  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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       79        1,600        X       X        04              0             0         1,600
  COM
0                                          14,459      293,200        X                06        293,200             0             0
0                                             148        3,000        X                08          3,000             0             0
0                                             182        3,700        X       X        08          2,700             0         1,000
0                                          22,524      456,746        X                09        413,546         1,000        42,200
0                                           1,893       38,380        X       X        09         24,938             0        13,442
-
0 ANALOG DEVICES INC            03265410       23          300        X                01              0             0           300
  COM
0                                              53          700        X                04            700             0             0
0                                           2,508       33,000        X       X        04         33,000             0             0
0                                              62          817        X       X        05            817             0             0
0                                             227        2,990        X       X        08          2,990             0             0
0                                          27,123      356,884        X                09        337,426         9,800         9,658
0                                          10,046      132,182        X       X        09        106,490         1,000        24,692
0                                             334        4,400        X       X        12              0         4,400             0
-
0 ANDREW CORP                   03442510      336       10,000        X                09         10,000             0             0
  COM
0                                              57        1,701        X       X        09             42             0         1,659
-
0 ANDRX CORP                    03455110      972       15,200        X       X        05         15,200             0             0
  COM
-
0 ANGELICA CORP                 03466310      512       64,000        X                09         64,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   35  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ANHEUSER BUSCH COS INC        03522910    1,673       22,400        X                02              0             0        22,400
  COM
0                                             652        8,725        X                04          7,425             0         1,300
0                                           1,072       14,350        X       X        04          1,550             0        12,800
0                                             142        1,900        X                05          1,900             0             0
0                                              57          768        X       X        05            768             0             0
0                                          50,597      677,447        X                06        677,447             0             0
0                                          24,143      323,254        X                08        318,954         3,200         1,100
0                                           8,118      108,697        X       X        08         85,714         4,000        18,983
0                                         160,110    2,143,720        X                09      2,126,820         3,300        13,600
0                                         126,617    1,695,274        X       X        09      1,158,045        86,284       450,945
0                                              21          275        X       X        12              0           275             0
-
0 ANIXTER INTL INC              03529010      318       12,000        X                08         12,000             0             0
  COM
0                                           1,034       39,000        X       X        08         16,800        22,200             0
0                                             368       13,900        X                09         13,900             0             0
0                                               3          122        X       X        09            122             0             0
-
0 ANNTAYLOR STORES CORP         03611510       50        1,500        X                09          1,500             0             0
  COM
0                                             497       15,000        X       X        09         15,000             0             0
-
0 AON CORP                      03738910        2           61        X       X        05             61             0             0
  COM
0                                             189        6,074        X       X        08          6,074             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   36  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             134        4,328        X                09          4,328             0             0
0                                             289        9,311        X       X        09            557             0         8,754
-
0 APACHE CORP                   03741110      238        4,050        X                04          4,050             0             0
  COM
0                                             647       11,000        X       X        04              0             0        11,000
0                                           4,683       79,630        X                08         79,030             0           600
0                                           1,012       17,200        X       X        08          7,950         5,500         3,750
0                                           7,468      126,971        X                09        126,371           400           200
0                                             863       14,682        X       X        09          8,668           400         5,614
0                                             185        3,139        X       X        12              0         3,139             0
-
0 APARTMENT INVT & MGMT CO      03748R10    3,355       77,571        X                09         77,571             0             0
  CL A
0                                             194        4,496        X       X        09          3,096         1,400             0
-
0 APEX INC                      03754810      105        2,400        X                09          2,400             0             0
  COM
0                                             175        4,000        X       X        12              0         4,000             0
-
0 APPLE COMPUTER INC            03783310       21          400        X                04            400             0             0
  COM
0                                              33          628        X       X        05            628             0             0
0                                             137        2,624        X                08          2,624             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   37  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,000        X       X        08          2,000             0             0
0                                           1,306       24,930        X                09         13,380             0        11,550
0                                             665       12,690        X       X        09          3,730           150         8,810
0                                             251        4,800        X       X        12              0         4,800             0
-
0 APPLEBEES INTL INC            03789910      334       11,005        X                09          5,500             0         5,505
  COM
-
0 APRIA HEALTHCARE GROUP INC    03793310    1,109       90,500        X       X        12              0        90,500             0
  COM
-
0 APPLIED MICRO CIRCUITS CORP   03822W10    1,215       12,300        X       X        12              0        12,300             0
  COM
-
0 APPLIED MATLS INC             03822210      671        7,400        X                04          7,400             0             0
  COM
0                                             118        1,300        X                05          1,100             0           200
0                                           3,764       41,539        X       X        05         41,539             0             0
0                                         132,969    1,467,243        X                06      1,467,243             0             0
0                                          58,105      641,164        X                08        640,364             0           800
0                                          11,519      127,105        X       X        08        100,905        26,200             0
0                                          83,892      925,710        X                09        898,210         8,100        19,400
0                                           4,784       52,792        X       X        09         24,200         1,500        27,092
0                                             236        2,600        X                12          2,600             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   38  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          10,454      115,351        X       X        12              0       115,351             0
-
0 APPLIED PWR INC               03822510        6          170        X                05              0             0           170
  CL A
0                                             203        6,066        X                09          4,800           120         1,146
-
0 APROPOS TECHNOLOGY INC        03833410    4,899      246,497        X                12            325             0       246,172
  COM
0                                           1,565       78,725        X       X        12              0        78,725             0
-
0 ARCH CHEMICALS INC            03937R10        2          100        X       X        04              0           100             0
  COM
0                                             186        8,500        X                09          8,500             0             0
0                                             209        9,550        X       X        09          9,450             0           100
-
0 ARCHER DANIELS MIDLAND CO     03948310        7          691        X       X        04            691             0             0
  COM
0                                              16        1,633        X       X        05          1,633             0             0
0                                              23        2,315        X       X        08          2,315             0             0
0                                              78        7,923        X                09          7,923             0             0
0                                              62        6,322        X       X        09          2,782             0         3,540
-
0 ARCHSTONE CMNTYS TR           03958110       56        2,651        X                08          1,500         1,151             0
  SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   39  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        6,942        X                09          4,942             0         2,000
0                                             131        6,200        X       X        09          3,700             0         2,500
-
0 ARDEN RLTY GROUP INC          03979310    3,291      140,025        X                09        140,025             0             0
  COM
0                                              24        1,000        X       X        12              0         1,000             0
-
0 ARGOSY GAMING CO              04022810      338       23,500        X                09         23,500             0             0
  COM
-
0 ARIAD PHARMACEUTICALS INC     04033A10      337       25,281        X       X        12              0        25,281             0
  COM
-
0 ARIBA INC                     04033V10    2,559       26,100        X                01              0             0        26,100
  COM
0                                              98        1,000        X       X        08          1,000             0             0
0                                           1,902       19,397        X                09         19,397             0             0
0                                              14          145        X       X        09              0             0           145
0                                          10,706      109,189        X       X        12              0       109,189             0
-
0 ARMSTRONG HLDGS INC           04238410       11          719        X       X        05            719             0             0
  COM
0                                              37        2,400        X                08          2,400             0             0
0                                             133        8,683        X       X        09          4,500             0         4,183
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   40  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ARROW ELECTRS INC             04273510    2,375       76,600        X                09         75,200             0         1,400
  COM
-
0 ART TECHNOLOGY GROUP INC      04289L10    1,665       16,500        X       X        12              0        16,500             0
  COM
-
0 ARTESYN TECHNOLOGIES INC      04312710   18,164      653,078        X                06        653,078             0             0
  COM
0                                           4,468      160,628        X                08        160,628             0             0
0                                          12,471      448,378        X                09        447,978             0           400
-
0 ARTHROCARE CORP               04313610      415        7,800        X                09          7,800             0             0
  COM
-
0 ARTISTDIRECT INC              04315D10    3,911    1,251,507        X                07      1,251,507             0             0
  COM
0                                           2,396      766,778        X       X        07        766,778             0             0
0                                               3        1,100        X                09          1,100             0             0
0                                               9        3,000        X       X        12              0         3,000             0
-
0 ASIA PULP & PAPER LTD         04516V10      521      102,818        X                12        102,818             0             0
  SPONSORED ADR
-
0 ASK JEEVES INC                04517410        4          200        X       X        08            200             0             0
  COM
0                                               4          217        X                12            217             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   41  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             699       38,724        X       X        12              0        38,724             0
-
0 ASIAINFO HLDGS INC            04518A10      331        7,400        X                09          7,400             0             0
  COM
-
0 ASPECT MED SYS INC            04523510      467       17,299        X                09         17,299             0             0
  COM
-
0 AT HOME CORP                  04591910    1,996       96,200        X                01              0             0        96,200
  COM SER A
0                                               4          200        X                04            200             0             0
0                                             218       10,520        X       X        04              0             0        10,520
0                                             175        8,440        X                09          8,440             0             0
0                                             253       12,195        X       X        09          9,950           500         1,745
0                                               8          372        X                12            372             0             0
0                                           2,193      105,708        X       X        12              0       105,708             0
-
0 ASSOCIATES FIRST CAP CORP     04600810       70        3,118        X                04          3,118             0             0
  CL A
0                                              84        3,745        X       X        04          3,745             0             0
0                                               5          234        X       X        05              0             0           234
0                                             236       10,564        X                08         10,564             0             0
0                                             775       34,745        X       X        08         14,666         1,517        18,562
0                                           6,524      292,386        X                09        287,272           880         4,234
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   42  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          11,221      502,907        X       X        09         35,295             0       467,612
0                                              72        3,233        X       X        12              0         3,233             0
-
0 ATLANTIC TECHNOLOGY VENTURES  04891310      274       65,400        X                09         65,400             0             0
  COM
-
0 ATMEL CORP                    04951310   16,852      457,000        X                06        457,000             0             0
  COM
0                                             128        3,460        X       X        08          3,460             0             0
0                                          18,043      489,310        X                09        479,260             0        10,050
0                                           1,097       29,750        X       X        09         19,150         5,000         5,600
0                                              34          926        X                12            926             0             0
0                                           1,798       48,750        X       X        12              0        48,750             0
-
0 ATPLAN INC                    04962Q10       54        8,205        X                12          8,205             0             0
  COM
0                                              72       10,900        X       X        12              0        10,900             0
-
0 AUDIBLE INC                   05069A10        4        1,000        X       X        09              0             0         1,000
  COM
0                                             105       25,299        X       X        12              0        25,299             0
-
0 AUDIOVOX CORP                 05075710    2,272      103,000        X       X        12              0       103,000             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   43  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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 BIOSCIENCES CORP       05192010       68        1,000        X                09          1,000             0             0
  COM
0                                              68        1,000        X                12          1,000             0             0
0                                             211        3,100        X       X        12              0         3,100             0
-
0 AUTODESK INC                  05276910       12          358        X       X        05            358             0             0
  COM
0                                             712       20,516        X                09         20,516             0             0
0                                             795       22,916        X       X        09         15,314             0         7,602
0                                              18          519        X       X        12              0           519             0
-
0 AUTOLIV INC                   05280010        2           87        X                08             87             0             0
  COM
0                                               3          127        X       X        08            127             0             0
0                                              65        2,716        X                09          2,716             0             0
0                                             137        5,686        X       X        09          5,278             0           408
-
0 AUTOMATIC DATA PROCESSING IN  05301510    2,013       37,580        X                04         26,980             0        10,600
  COM
0                                             670       12,500        X       X        04         11,000           400         1,100
0                                              80        1,500        X                05            500             0         1,000
0                                              78        1,462        X       X        05          1,462             0             0
0                                           6,864      128,150        X                08        127,950             0           200
0                                           9,159      170,995        X       X        08        148,625        20,620         1,750
0                                          62,927    1,174,823        X                09      1,050,220         5,600       119,003
0                                          74,919    1,398,702        X       X        09        860,076        60,600       478,026
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   44  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             932       17,402        X       X        12              0        17,402             0
-
0 AUTONATION INC                05329W10    1,180      167,100        X                01              0             0       167,100
  COM
0                                             122       17,241        X                08         17,241             0             0
0                                             153       21,600        X                09         21,600             0             0
-
0 AUTOWEB COM INC               05333110        5        2,138        X                09          2,138             0             0
  COM
0                                              48       22,377        X       X        09         12,377             0        10,000
0                                               2          801        X                12            801             0             0
0                                               1          400        X       X        12              0           400             0
-
0 AVANEX CORP                   05348W10       48          498        X                09            337             0           161
  COM
0                                              47          491        X       X        09            115             0           376
0                                             275        2,882        X       X        12              0         2,882             0
-
0 AVALONBAY CMNTYS INC          05348410    1,851       44,340        X                09         40,499             0         3,841
  COM
0                                             244        5,836        X       X        09            768           384         4,684
0                                              36          860        X       X        12              0           860             0
-
0 AVANT CORP                    05348710      298       15,900        X                09         15,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   45  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,000        X                12          2,000             0             0
0                                              40        2,150        X       X        12              0         2,150             0
-
0 AVATAR HLDGS INC              05349410       23        1,000        X                09          1,000             0             0
  COM
0                                             265       11,500        X       X        09          9,500             0         2,000
-
0 AVERY DENNISON CORP           05361110      362        5,400        X                04          4,500             0           900
  COM
0                                             148        2,200        X       X        04          1,100             0         1,100
0                                              34          500        X                05            500             0             0
0                                           2,155       32,100        X       X        05         32,100             0             0
0                                               1           10        X                06             10             0             0
0                                           1,101       16,400        X                08         16,400             0             0
0                                           1,332       19,850        X       X        08         17,650           700         1,500
0                                          11,990      178,626        X                09        151,276         1,940        25,410
0                                          11,053      164,665        X       X        09         96,664         6,900        61,101
0                                             119        1,773        X       X        12              0         1,773             0
-
0 AVIATION GROUP INC TEX        05366710       89       44,600        X       X        12              0        44,600             0
  COM
-
0 AVIS GROUP HLDGS INC          05379010      767       40,900        X                09         40,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   46  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          500        X       X        09            500             0             0
-
0 AVITAR INC NEW                05380110       69       30,000        X       X        04              0        30,000             0
  COM
-
0 AVNET INC                     05380710       28          465        X       X        08            465             0             0
  COM
0                                             974       16,436        X                09         16,436             0             0
0                                              26          440        X       X        09            440             0             0
-
0 AVON PRODS INC                05430310    2,092       47,016        X                04         46,952             0            64
  COM
0                                              98        2,200        X       X        04            800             0         1,400
0                                              30          667        X       X        05            667             0             0
0                                          10,861      244,075        X                06        244,075             0             0
0                                           5,246      117,890        X                08        117,690             0           200
0                                             329        7,400        X       X        08          7,400             0             0
0                                          35,163      790,190        X                09        779,090             0        11,100
0                                           1,005       22,582        X       X        09         19,001           600         2,981
-
0 AWARE INC MASS                05453N10    2,173       42,500        X                09         42,500             0             0
  COM
0                                              77        1,500        X       X        09              0             0         1,500
0                                               2           40        X                12             40             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   47  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  AXA                           05453610      143        1,800        X                04            500             0         1,300
  SPONSORED ADR
0                                              24          300        X       X        05              0             0           300
0                                           1,647       20,700        X                08         20,700             0             0
0                                           4,249       53,400        X                09         40,000         9,500         3,900
0                                             151        1,900        X       X        09            800         1,100             0
-
0 AZTAR CORP                    05480210      643       41,500        X                09         41,500             0             0
  COM
-
0 BCE INC                       05534B10      471       19,800        X                01              0             0        19,800
  COM
0                                              24        1,000        X       X        04              0             0         1,000
0                                              98        4,100        X                08          4,100             0             0
0                                           6,917      290,482        X                09        290,482             0             0
0                                           1,357       57,000        X       X        09         50,200         1,200         5,600
-
0 BISYS GROUP INC               05547210       92        1,500        X                09          1,500             0             0
  COM
0                                             185        3,000        X       X        09              0             0         3,000
-
0 BJS WHOLESALE CLUB INC        05548J10   43,215    1,309,550        X                06      1,309,550             0             0
  COM
0                                           7,205      218,325        X                08        218,325             0             0
0                                          34,855    1,056,200        X                09      1,055,750             0           450
-
0 BJ SVCS CO                    05548210    1,250       20,000        X                02              0             0        20,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   48  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,613       41,800        X                04         37,800             0         4,000
0                                             150        2,400        X       X        04          2,400             0             0
0                                             231        3,700        X                05          1,200             0         2,500
0                                           1,250       20,000        X       X        05         20,000             0             0
0                                          14,030      224,475        X                06        224,475             0             0
0                                           6,800      108,800        X                08        107,050             0         1,750
0                                           1,484       23,740        X       X        08         20,640         2,700           400
0                                          14,078      225,245        X                09        221,145           500         3,600
0                                             397        6,355        X       X        09          5,555             0           800
-
0 BP AMOCO P L C                05562210    1,358       24,000        X                02              0             0        24,000
  SPONSORED ADR
0                                           4,516       79,834        X                04         73,334             0         6,500
0                                           2,921       51,643        X       X        04         20,211         7,822        23,610
0                                             798       14,111        X                05          8,142             0         5,969
0                                             178        3,142        X       X        05          1,286             0         1,856
0                                          27,730      490,258        X                06        490,258             0             0
0                                          43,134      762,582        X                08        744,980        12,392         5,210
0                                          23,781      420,430        X       X        08        332,738        52,384        35,308
0                                         168,784    2,984,004        X                09      2,905,978        11,378        66,648
0                                         105,411    1,863,604        X       X        09      1,386,723       104,625       372,256
0                                             169        2,988        X       X        12              0         2,988             0
-
0 BRE PROPERTIES INC            05564E10      110        3,800        X       X        05          3,800             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   49  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       11,724        X                09         11,724             0             0
0                                             907       31,420        X       X        09         28,420             0         3,000
0                                              29        1,000        X       X        12              0         1,000             0
-
0 BMC SOFTWARE INC              05592110      157        4,300        X                04          2,800             0         1,500
  COM
0                                              15          398        X       X        05            398             0             0
0                                           5,303      145,341        X                08        145,341             0             0
0                                           2,686       73,630        X       X        08         52,330        16,600         4,700
0                                           2,469       67,685        X                09         66,135         1,000           550
0                                             633       17,363        X       X        09         10,003         2,700         4,660
0                                               4          112        X                12            112             0             0
0                                             321        8,786        X       X        12              0         8,786             0
-
0 BAKER HUGHES INC              05722410       22          700        X                04            700             0             0
  COM
0                                              12          385        X       X        05            385             0             0
0                                           1,316       41,133        X                08         41,133             0             0
0                                           1,371       42,840        X       X        08         37,000         3,200         2,640
0                                           5,594      174,820        X                09        164,970         1,950         7,900
0                                             759       23,733        X       X        09         13,881         2,600         7,252
-
0 BAKER J INC                   05723210       94       16,200        X                09          3,500             0        12,700
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   50  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,500        X       X        09              0             0         1,500
-
0 BALLARD PWR SYS INC           05858H10      185        2,055        X                09          1,955             0           100
  COM
0                                              90        1,000        X       X        09          1,000             0             0
0                                              99        1,100        X       X        12              0         1,100             0
-
0 BALLY TOTAL FITNESS HLDG COR  05873K10      274       10,800        X                09         10,800             0             0
  COM
-
0 BANCO BILBAO VIZCAYA ARGENTA  05946K10       25        1,710        X                04          1,710             0             0
  SPONSORED ADR
0                                             283       19,165        X                09         19,165             0             0
-
0 BANCO DE GALICIA Y BUENOS AI  05953820      323       21,833        X                09         21,833             0             0
  SPON ADR B NEW
-
0 BANCO SANTANDER CENT HISPANO  05964H10      127       12,240        X       X        04              0             0        12,240
  ADR
0                                              38        3,672        X                09          3,672             0             0
0                                              63        6,120        X       X        09          6,120             0             0
-
0 BANCWEST CORP NEW             05979010      513       31,200        X                09         31,200             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   51  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          600        X       X        09            600             0             0
0                                             142        8,610        X       X        12              0         8,610             0
-
0 BANDAG INC                    05981510      490       20,200        X                09         20,200             0             0
  COM
-
0 BANK OF AMERICA CORPORATION   06050510      744       17,310        X                01              0             0        17,310
  COM
0                                           2,891       67,237        X                02              0             0        67,237
0                                           2,071       48,163        X                04         36,545             0        11,618
0                                           2,175       50,577        X       X        04         23,071         6,169        21,337
0                                              20          475        X                05              0             0           475
0                                           1,727       40,174        X       X        05         38,574             0         1,600
0                                          18,866      438,752        X                06        438,752             0             0
0                                           8,098      188,327        X                08        186,770         1,357           200
0                                           2,923       67,966        X       X        08         39,535        15,163        13,268
0                                          31,898      741,811        X                09        718,015         2,775        21,021
0                                          32,357      752,490        X       X        09        244,404         1,200       506,886
0                                             224        5,219        X       X        12              0         5,219             0
-
0 BANK NEW YORK INC             06405710      550       11,820        X                04         11,820             0             0
  COM
0                                           2,100       45,160        X       X        04         45,160             0             0
0                                             110        2,363        X       X        05          2,363             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   52  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          96,988    2,085,753        X                06      2,085,753             0             0
0                                          40,867      878,851        X                08        871,301             0         7,550
0                                          11,982      257,680        X       X        08        221,880        33,450         2,350
0                                          92,619    1,991,809        X                09      1,962,609             0        29,200
0                                          29,361      631,410        X       X        09        217,692       377,494        36,224
0                                             186        3,992        X       X        12              0         3,992             0
-
0 BANK ONE CORP                 06423A10       95        3,585        X                04          3,585             0             0
  COM
0                                             246        9,255        X       X        04          2,600         6,050           605
0                                              14          528        X                05              0             0           528
0                                              86        3,220        X       X        05          2,725             0           495
0                                              90        3,400        X                06          3,400             0             0
0                                             133        4,994        X                08          4,994             0             0
0                                           1,028       38,711        X       X        08         30,588         7,471           652
0                                           3,560      134,026        X                09        125,646             0         8,380
0                                           3,593      135,269        X       X        09         78,463         2,988        53,818
0                                             172        6,478        X       X        12              0         6,478             0
-
0 BANK TOKYO-MITSUBISHI LTD     06537910    1,419      117,000        X                01              0             0       117,000
  SPONSORED ADR
0                                           2,245      185,115        X                09        181,615         3,500             0
0                                              97        8,000        X       X        09          8,000             0             0
-
0 BANK UTD CORP                 06541210      693       19,700        X                09         19,700             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   53  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  BANTA CORP                    06682110      383       20,205        X                09          7,805           140        12,260
  COM
0                                             515       27,200        X       X        09          4,000             0        23,200
-
0 BARCLAYS BK PLC               06738C80      575       22,400        X       X        04          1,100        21,300             0
  ADR UNIT SERD2
-
0 BARCLAYS BK PLC               06738C83       47        2,000        X       X        08          2,000             0             0
  AM DEP NT RCPT
0                                             451       19,400        X       X        09              0             0        19,400
-
0 BARCLAYS PLC                  06738E20    2,439       24,385        X                09         23,960           425             0
  ADR
0                                              35          350        X       X        09             50             0           300
-
0 BARNES & NOBLE INC            06777410       31        1,400        X                08          1,400             0             0
  COM
0                                           2,489      111,856        X                09        105,056         2,600         4,200
0                                             647       29,060        X       X        09         14,780           600        13,680
0                                             834       37,500        X                12         37,500             0             0
0                                               1           50        X       X        12              0            50             0
-
0 BARRICK GOLD CORP             06790110       16          865        X       X        05            865             0             0
  COM
0                                           1,229       67,575        X                09         67,575             0             0
0                                             143        7,868        X       X        09          5,963             0         1,905
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   54  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              22        1,200        X       X        12              0         1,200             0
-
0 BARRA INC                     06831310      349        7,050        X                08          7,050             0             0
  COM
0                                             377        7,600        X                09          7,600             0             0
0                                             218        4,400        X       X        09          4,400             0             0
0                                              22          450        X       X        12              0           450             0
-
0 BAUSCH & LOMB INC             07170710    3,559       46,000        X                08         45,600             0           400
  COM
0                                           1,327       17,150        X       X        08         10,450         3,200         3,500
0                                           2,167       28,005        X                09         28,005             0             0
0                                           1,698       21,950        X       X        09         20,200             0         1,750
-
0 BAXTER INTL INC               07181310      577        8,200        X                01              0             0         8,200
  COM
0                                             250        3,550        X                04          3,050             0           500
0                                             323        4,600        X       X        04          4,600             0             0
0                                              42          600        X                05              0             0           600
0                                             115        1,634        X       X        05          1,634             0             0
0                                           3,534       50,260        X                08         49,860             0           400
0                                           1,702       24,199        X       X        08         17,074         6,925           200
0                                           9,239      131,402        X                09        118,277           750        12,375
0                                           4,702       66,875        X       X        09         37,593         3,338        25,944
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   55  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             703       10,000        X                12         10,000             0             0
0                                              42          600        X       X        12              0           600             0
-
0 BAY VIEW CAP CORP DEL         07262L10      184       18,800        X                09         18,800             0             0
  COM
-
0 BE FREE INC                   07330810       72        8,000        X       X        09              0             0         8,000
  COM
0                                              22        2,400        X                12          2,400             0             0
0                                           1,970      218,900        X       X        12              0       218,900             0
-
0 BEA SYS INC                   07332510       49        1,000        X                09          1,000             0             0
  COM
0                                           1,088       22,000        X                12         22,000             0             0
0                                             257        5,200        X       X        12              0         5,200             0
-
0 BEAR STEARNS COS INC          07390210       69        1,666        X                04          1,666             0             0
  COM
0                                               7          166        X       X        05            166             0             0
0                                              34          827        X                08            827             0             0
0                                             620       14,890        X                09         14,890             0             0
0                                              26          626        X       X        09             36             0           590
0                                             147        3,532        X       X        12              0         3,532             0
-
0 BEAUTICONTROL COSMETICS INC   07465510    1,167      289,436        X       X        08              0       289,436             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   56  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  BECKMAN COULTER INC           07581110      722       12,369        X                09          5,769             0         6,600
  COM
0                                             604       10,345        X       X        09          8,161             0         2,184
-
0 BECTON DICKINSON & CO         07588710       65        2,280        X                04          2,280             0             0
  COM
0                                              29        1,000        X       X        04          1,000             0             0
0                                              11          368        X       X        05            368             0             0
0                                               6          220        X                08            220             0             0
0                                             893       31,112        X                09         31,112             0             0
0                                           1,164       40,568        X       X        09         37,352             0         3,216
-
0 BED BATH & BEYOND INC         07589610      943       26,000        X                02              0             0        26,000
  COM
0                                             288        7,950        X                04          7,550             0           400
0                                              44        1,200        X       X        04            400             0           800
0                                             116        3,200        X                05          3,200             0             0
0                                           1,900       52,423        X       X        05         52,423             0             0
0                                           4,925      135,850        X                08        134,450             0         1,400
0                                           2,440       67,300        X       X        08         66,300           200           800
0                                           7,264      200,373        X                09        176,598         3,350        20,425
0                                           2,066       56,981        X       X        09         46,144         1,800         9,037
-
0 BEDFORD PPTY INVS INC         07644630    1,114       60,000        X                09         60,000             0             0
  COM PAR $0.02
-
0 BELL ATLANTIC CORP            07785310      112        2,200        X                01              0             0         2,200
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   57  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,778       35,000        X                02              0             0        35,000
0                                           2,737       53,871        X                04         49,401             0         4,470
0                                           2,710       53,336        X       X        04         20,278        11,004        22,054
0                                             131        2,587        X       X        05          2,587             0             0
0                                          15,268      300,471        X                08        299,371             0         1,100
0                                           5,347      105,229        X       X        08         88,113        12,432         4,684
0                                          85,754    1,687,632        X                09      1,628,562         8,300        50,770
0                                          44,739      880,463        X       X        09        585,190        76,429       218,844
0                                              20          400        X       X        12              0           400             0
-
0 BELLSOUTH CORP                07986010    5,371      126,017        X                04        103,937             0        22,080
  COM
0                                           4,466      104,783        X       X        04         40,196        15,652        48,935
0                                             128        3,000        X                05          3,000             0             0
0                                           1,857       43,569        X       X        05         43,569             0             0
0                                          83,658    1,962,653        X                06      1,962,653             0             0
0                                          25,757      604,261        X                08        600,461             0         3,800
0                                          13,774      323,149        X       X        08        225,131        17,498        80,520
0                                         131,633    3,088,154        X                09      3,029,514         1,280        57,360
0                                          62,016    1,454,921        X       X        09      1,041,246        81,628       332,047
0                                              18          420        X       X        12              0           420             0
-
0 BELO A H CORP DEL             08055510       76        4,400        X                08          4,400             0             0
  COM SER A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   58  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,543       89,100        X       X        08         68,800        20,300             0
0                                           3,664      211,622        X       X        09        211,622             0             0
-
0 BEMIS INC                     08143710      269        8,000        X                04          8,000             0             0
  COM
0                                             178        5,300        X                09          5,300             0             0
0                                              72        2,139        X       X        09            600             0         1,539
0                                             171        5,100        X       X        12              0         5,100             0
-
0 BERKSHIRE HATHAWAY INC DEL    08467010      490           49        X       X        08             24             0            25
  CL A
0                                           1,490          149        X                09            149             0             0
0                                             370           37        X       X        09             27             7             3
0                                             130           13        X       X        12              0            13             0
-
0 BERKSHIRE HATHAWAY INC DEL    08467020      239          136        X                04             31             0           105
  CL B
0                                             283          161        X       X        04             99            15            47
0                                             498          283        X                08            283             0             0
0                                           1,241          705        X       X        08            462           170            73
0                                           7,656        4,350        X                09          4,142             0           208
0                                          13,659        7,761        X       X        09          5,620           307         1,834
0                                             352          200        X       X        12              0           200             0
-
0 BEST BUY INC                  08651610      515        8,150        X                04          5,850             0         2,300
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   59  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              32          500        X       X        04              0             0           500
0                                              38          600        X                05            600             0             0
0                                              32          513        X       X        05            413             0           100
0                                          63,788    1,008,509        X                06      1,008,509             0             0
0                                          28,775      454,946        X                08        454,671             0           275
0                                           2,893       45,735        X       X        08         37,735         7,600           400
0                                          30,879      488,203        X                09        481,753         1,900         4,550
0                                           2,256       35,661        X       X        09          9,549           290        25,822
0                                              13          206        X       X        12              0           206             0
-
0 BESTFOODS                     08658U10    1,385       20,000        X                02              0             0        20,000
  COM
0                                              76        1,100        X                04          1,100             0             0
0                                             447        6,450        X       X        04          1,650         4,800             0
0                                           1,405       20,287        X       X        05         20,287             0             0
0                                           1,628       23,512        X                08         21,912             0         1,600
0                                           2,931       42,327        X       X        08         33,927         1,200         7,200
0                                          39,094      564,528        X                09        538,128             0        26,400
0                                          34,123      492,754        X       X        09        355,457         4,720       132,577
0                                             104        1,500        X       X        12              0         1,500             0
-
0 BETHLEHEM STL CORP            08750910        1          262        X       X        08            262             0             0
  COM
0                                               5        1,380        X       X        09            870             0           510
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   60  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              89       25,000        X       X        12              0        25,000             0
-
0 BEYOND COM CORP               08860E10        0          200        X                09            200             0             0
  COM
0                                              39       29,000        X                12         29,000             0             0
-
0 BINDLEY WESTN INDS INC        09032410       36        1,344        X                04          1,344             0             0
  COM
0                                           1,216       45,999        X                09         44,933             0         1,066
0                                              78        2,951        X       X        09          2,241             0           710
-
0 BINDVIEW DEV CORP             09032710       24        2,000        X       X        08          2,000             0             0
  COM
0                                              12        1,000        X                09              0             0         1,000
0                                             300       25,000        X       X        12              0        25,000             0
-
0 BIOGEN INC                    09059710      561        8,700        X                01              0             0         8,700
  COM
0                                           1,960       30,390        X                04         27,590             0         2,800
0                                           1,440       22,332        X       X        05         22,332             0             0
0                                          27,632      428,400        X                06        428,400             0             0
0                                          11,907      184,600        X                08        184,600             0             0
0                                           1,351       20,950        X       X        08         19,850           500           600
0                                          22,358      346,630        X                09        336,680         1,250         8,700
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   61  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,261       19,545        X       X        09         15,585           310         3,650
0                                             181        2,800        X       X        12              0         2,800             0
-
0 BIOMET INC                    09061310      234        6,100        X       X        04          4,100             0         2,000
  COM
0                                              19          500        X                08            500             0             0
0                                           1,474       38,345        X                09         35,045             0         3,300
0                                             531       13,806        X       X        09          8,500             0         5,306
-
0 BIOPURE CORP                  09065H10      165        8,764        X       X        04              0             0         8,764
  CL A
0                                             135        7,200        X                09          7,200             0             0
-
0 BIOTECH HOLDERS TR            09067D20    2,788       15,665        X       X        12              0        15,665             0
  DEPOSTRY RCPTS
-
0 BIOVAIL CORP                  09067J10    2,467       44,500        X       X        05         44,500             0             0
  COM
0                                          20,351      367,100        X                06        367,100             0             0
0                                          19,608      353,700        X                09        353,700             0             0
0                                             216        3,900        X       X        09          3,900             0             0
-
0 BIORELIANCE CORP              09095110       10        2,100        X                12          2,100             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   62  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             132       27,000        X       X        12              0        27,000             0
-
0 BLACK & DECKER CORP           09179710        8          200        X       X        04            200             0             0
  COM
0                                               6          150        X                05              0             0           150
0                                              28          700        X       X        05            250             0           450
0                                          24,867      632,530        X                09        632,230             0           300
0                                             403       10,253        X       X        09          6,613             0         3,640
-
0 BLACK BOX CORP DEL            09182610   23,870      301,500        X                06        301,500             0             0
  COM
0                                           8,678      109,610        X                08        109,610             0             0
0                                          14,718      185,900        X                09        185,650             0           250
-
0 BLACKROCK INCOME TR INC       09247F10      309       48,400        X       X        09         48,400             0             0
  COM
-
0 BLACKROCK 2001 TERM TR INC    09247710      183       20,000        X       X        08              0             0        20,000
  COM
-
0 BLAZE SOFTWARE INC            09347T10    1,770      129,931        X                12            450             0       129,481
  COM
0                                           1,165       85,500        X       X        12              0        85,500             0
-
0 BLOCK H & R INC               09367110       13          400        X                05            400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   63  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          131        X       X        05            131             0             0
0                                              36        1,114        X                08          1,114             0             0
0                                             259        7,986        X       X        08            800         7,186             0
0                                             843       26,050        X                09         24,650           400         1,000
0                                             781       24,124        X       X        09         20,350             0         3,774
-
0 BOEING CO                     09702310    1,505       36,000        X                02              0             0        36,000
  COM
0                                             237        5,671        X                04          4,671             0         1,000
0                                             176        4,200        X       X        04          4,200             0             0
0                                              19          450        X                05              0             0           450
0                                             569       13,598        X       X        05         12,548             0         1,050
0                                          16,332      390,600        X                06        390,600             0             0
0                                           1,663       39,762        X                08         39,762             0             0
0                                           2,545       60,860        X       X        08         57,660         2,800           400
0                                          28,979      693,054        X                09        686,054             0         7,000
0                                           9,635      230,428        X       X        09        129,607         1,700        99,121
0                                              71        1,707        X       X        12              0         1,707             0
-
0 BOISE CASCADE CORP            09738310       83        3,200        X                01              0             0         3,200
  COM
0                                               9          350        X                05              0             0           350
0                                              12          450        X       X        05              0             0           450
0                                           1,984       76,670        X                09         74,170             0         2,500
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   64  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             271       10,455        X       X        09          5,801             0         4,654
-
0 BORG WARNER INC               09972410       70        2,000        X       X        08              0             0         2,000
  COM
0                                             102        2,900        X                09          2,900             0             0
0                                              50        1,426        X       X        09            400             0         1,026
-
0 BOSTON PROPERTIES INC         10112110    1,603       41,500        X                09         40,000             0         1,500
  COM
-
0 BOSTON SCIENTIFIC CORP        10113710      813       37,053        X       X        05         37,053             0             0
  COM
0                                             136        6,188        X       X        09          4,227             0         1,961
0                                           3,253      148,300        X       X        12              0       148,300             0
-
0 BOUNDLESS CORP                10170620      275       50,000        X                10              0             0        50,000
  COM NEW
-
0 BRANDYWINE RLTY TR            10536820       19        1,000        X       X        04          1,000             0             0
  SH BEN INT NEW
0                                           4,326      226,200        X                09        224,200             0         2,000
0                                             373       19,500        X       X        09         16,500             0         3,000
-
0 BRIGHTPOINT INC               10947310      265       30,600        X                09         30,600             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   65  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       X        12              0           500             0
-
0 BRINKER INTL INC              10964110   15,242      521,100        X                06        521,100             0             0
  COM
0                                          14,713      503,000        X                09        503,000             0             0
-
0 BRISTOL MYERS SQUIBB CO       11012210      361        6,200        X                01              0             0         6,200
  COM
0                                           4,345       74,595        X                04         56,695             0        17,900
0                                           4,849       83,250        X       X        04         43,514        16,536        23,200
0                                             344        5,900        X                05          4,100             0         1,800
0                                           2,204       37,842        X       X        05         37,242             0           600
0                                          54,685      938,799        X                06        938,799             0             0
0                                          67,152    1,152,820        X                08      1,149,970           700         2,150
0                                          25,001      429,202        X       X        08        360,288        38,614        30,300
0                                         195,776    3,360,964        X                09      3,276,964         7,450        76,550
0                                         143,019    2,455,268        X       X        09      2,026,275       134,588       294,405
0                                             447        7,670        X       X        12              0         7,670             0
-
0 BRITISH TELECOMMUNICATIONS P  11102140      198        1,500        X       X        04              0             0         1,500
  ADR FINAL INST
0                                             132        1,000        X                08          1,000             0             0
0                                           1,650       12,475        X                09         11,525           500           450
0                                             122          925        X       X        09            925             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   66  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  BROADBAND HOLDRS TR           11130P10      566        6,300        X       X        12              0         6,300             0
  DEPOSITRY RCPT
-
0 BROADBASE SOFTWARE            11130R10      640       20,900        X                09         20,900             0             0
  COM
0                                              31        1,000        X       X        12              0         1,000             0
-
0 BROADCOM CORP                 11132010       22          100        X                01              0             0           100
  CL A
0                                               4           20        X                04             20             0             0
0                                              44          200        X                08              0             0           200
0                                           4,826       22,045        X                09         22,045             0             0
0                                           1,242        5,675        X       X        09          5,550           125             0
0                                           3,471       15,855        X                12         15,855             0             0
0                                         158,174      722,462        X       X        12              0       722,462             0
-
0 BROADVISION INC               11141210    2,212       43,537        X                09         43,537             0             0
  COM
0                                             248        4,881        X                12          4,881             0             0
0                                           1,344       26,450        X       X        12              0        26,450             0
-
0 BROADWING INC                 11162010       60        2,300        X       X        08          2,300             0             0
  COM
0                                             130        5,000        X                09          5,000             0             0
0                                             273       10,512        X       X        09         10,512             0             0
0                                             212        8,189        X       X        12              0         8,189             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   67  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  BROCADE COMMUNICATIONS SYS I  11162110       18          100        X                08              0             0           100
  COM
0                                           2,805       15,290        X                09         15,290             0             0
0                                           3,036       16,545        X       X        12              0        16,545             0
-
0 BROWN & BROWN INC             11523610   11,718      225,350        X                06        225,350             0             0
  COM
0                                           2,876       55,300        X                08         55,300             0             0
0                                           8,099      155,750        X                09        155,650             0           100
-
0 BROWN FORMAN CORP             11563720      247        4,600        X       X        08          4,600             0             0
  CL B
0                                              17          312        X       X        09              0             0           312
-
0 BROWN TOM INC                 11566020      507       22,000        X       X        08         22,000             0             0
  COM NEW
-
0 BUCA INC                      11776910      736       47,100        X                09         47,100             0             0
  COM
-
0 BUCKEYE TECHNOLOGIES INC      11825510      325       14,800        X                09         14,800             0             0
  COM
-
0 BUDGET GROUP INC              11900310      792      192,078        X                03        192,078             0             0
  CL A
-
0 BULL RUN CORP GA              12018210    2,391    1,159,061        X       X        08              0     1,159,061             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   68  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  BURLINGTON NORTHN SANTA FE C  12189T10        7          300        X                04            300             0             0
  COM
0                                               6          249        X       X        04            249             0             0
0                                              28        1,200        X                05          1,200             0             0
0                                              76        3,303        X       X        05          1,503             0         1,800
0                                             460       20,049        X                08         20,049             0             0
0                                             399       17,410        X       X        08         16,410             0         1,000
0                                           6,114      266,549        X                09        245,799           850        19,900
0                                           3,334      145,334        X       X        09        101,698         7,516        36,120
-
0 BURLINGTON RES INC            12201410      420       10,981        X                02              0             0        10,981
  COM
0                                             765       20,000        X       X        04         20,000             0             0
0                                               4          100        X                05              0             0           100
0                                             245        6,396        X                08          6,396             0             0
0                                             552       14,424        X       X        08         13,154           264         1,006
0                                           5,718      149,493        X                09        148,448             0         1,045
0                                           1,282       33,514        X       X        09         24,783           600         8,131
-
0 BURR BROWN CORP               12257410       17          200        X                12            200             0             0
  COM
0                                             303        3,500        X       X        12              0         3,500             0
-
0 C&D TECHNOLOGIES INC          12466110      328        5,800        X                09          5,800             0             0
  COM
-
0 CAIS INTERNET INC             12476Q10       30        2,161        X                12          2,161             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   69  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             672       47,750        X       X        12              0        47,750             0
-
0 CCC INFORMATION SVCS GROUP I  12487Q10       27        2,500        X                12          2,500             0             0
  COM
0                                           2,825      265,903        X       X        12              0       265,903             0
-
0 CDW COMPUTER CTRS INC         12512910      588        9,400        X                09          9,400             0             0
  COM
-
0 CEC ENTMT INC                 12513710      251        9,800        X                09          9,800             0             0
  COM
-
0 CH ENERGY GROUP INC           12541M10       34        1,000        X                04          1,000             0             0
  COM
0                                             307        9,045        X                09          9,045             0             0
0                                              61        1,800        X       X        09          1,800             0             0
-
0 C H ROBINSON WORLDWIDE INC    12541W10   27,943      564,500        X                06        564,500             0             0
  COM
0                                           4,462       90,150        X                08         90,150             0             0
0                                          24,139      487,650        X                09        487,450             0           200
-
0 CIGNA CORP                    12550910      187        1,995        X                04          1,995             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   70  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              39          414        X       X        04              0             0           414
0                                              17          185        X       X        05            185             0             0
0                                           2,722       29,112        X                08         29,112             0             0
0                                           4,626       49,472        X       X        08          1,972        39,000         8,500
0                                           2,789       29,825        X                09         25,625             0         4,200
0                                           9,113       97,463        X       X        09         86,694             0        10,769
0                                               8           90        X       X        12              0            90             0
-
0 CIGNA HIGH INCOME SHS         12551D10       65       11,478        X       X        09         11,478             0             0
  SH BEN INT
0                                             172       30,300        X       X        12              0        30,300             0
-
0 CIT GROUP INC                 12557710      723       44,505        X       X        09              0             0        44,505
  CL A
-
0 CKE RESTAURANTS INC           12561E10      329      109,810        X                09        108,600             0         1,210
  COM
0                                              15        5,000        X       X        12              0         5,000             0
-
0 CLECO CORP NEW                12561W10       14          410        X       X        04            410             0             0
  COM
0                                             201        6,000        X       X        08              0             0         6,000
0                                               3          100        X                09            100             0             0
0                                             289        8,640        X       X        09          3,640             0         5,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   71  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CMGI INC                      12575010    2,057       44,900        X                01              0             0        44,900
  COM
0                                              37          800        X                04            800             0             0
0                                             137        3,000        X       X        04              0           600         2,400
0                                             898       19,594        X                09         17,394             0         2,200
0                                              93        2,040        X       X        09          1,540             0           500
0                                           1,090       23,787        X                12            889             0        22,898
0                                           3,544       77,351        X       X        12              0        77,351             0
-
0 CMS ENERGY CORP               12589610      805       36,380        X                09         36,380             0             0
  COM
0                                               6          284        X       X        09             34             0           250
-
0 CPI CORP                      12590210      518       24,500        X                09         24,500             0             0
  COM
-
0 CPI AEROSTRUCTURES INC        12591930       71       33,333        X                10         33,333             0             0
  COM NEW
-
0 CNA FINL CORP                 12611710      102        3,000        X       X        04          3,000             0             0
  COM
0                                             102        3,000        X       X        09          3,000             0             0
-
0 CNF TRANSN INC                12612W10      438       19,250        X       X        08         19,250             0             0
  COM
0                                          12,990      571,000        X                09        571,000             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   72  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CNET NETWORKS INC             12613R10      382       15,550        X                09         15,550             0             0
  COM
0                                             387       15,750        X       X        09         15,750             0             0
0                                               5          189        X                12            189             0             0
0                                             272       11,075        X       X        12              0        11,075             0
-
0 CSG SYS INTL INC              12634910   16,516      294,600        X                06        294,600             0             0
  COM
0                                           3,515       62,700        X                08         62,700             0             0
0                                          14,049      250,600        X                09        250,500             0           100
0                                              39          700        X       X        09              0             0           700
0                                           4,883       87,100        X       X        12              0        87,100             0
-
0 CSX CORP                      12640810        2          100        X                04            100             0             0
  COM
0                                               6          300        X       X        04            300             0             0
0                                              28        1,300        X       X        05          1,000             0           300
0                                             242       11,400        X                08         11,400             0             0
0                                             210        9,908        X       X        08          9,908             0             0
0                                             985       46,466        X                09         42,366             0         4,100
0                                             993       46,872        X       X        09         33,317           660        12,895
-
0 CTS CORP                      12650110   21,605      480,100        X                06        480,100             0             0
  COM
0                                           6,417      142,600        X                08        142,600             0             0
0                                          14,065      312,550        X                09        312,300             0           250
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   73  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              90        2,000        X       X        09              0             0         2,000
-
0 CVS CORP                      12665010      778       19,450        X                04         17,350             0         2,100
  COM
0                                             108        2,700        X       X        04          1,500             0         1,200
0                                           1,641       41,017        X       X        05         41,017             0             0
0                                           4,791      119,765        X                06        119,765             0             0
0                                           1,228       30,700        X                08         30,700             0             0
0                                             944       23,600        X       X        08         21,000             0         2,600
0                                          26,119      652,985        X                09        539,060        23,200        90,725
0                                           6,493      162,332        X       X        09         49,466        15,280        97,586
0                                             130        3,245        X       X        12              0         3,245             0
-
0 CV THERAPEUTICS INC           12666710       62          900        X                09            900             0             0
  COM
0                                           1,386       20,000        X       X        12              0        20,000             0
-
0 CABLEVISION SYS CORP          12686C10      503        7,414        X                04          7,414             0             0
  CL A
0                                           1,536       22,628        X                09         12,478             0        10,150
-
0 CABLETRON SYS INC             12692010       17          661        X       X        05            661             0             0
  COM
0                                              25        1,000        X                09          1,000             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   74  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          845        X       X        09             67             0           778
0                                           7,880      312,098        X       X        12              0       312,098             0
-
0 CABLE DESIGN TECHNOLOGIES CO  12692410      228        6,800        X                09          6,800             0             0
  COM
-
0 CACHEFLOW INC                 12694610      293        4,765        X                10          4,765             0             0
  COM
0                                              62        1,000        X       X        12              0         1,000             0
-
0 CABOT CORP                    12705510      447       16,400        X                09         12,300             0         4,100
  COM
0                                             232        8,500        X       X        09          7,500             0         1,000
-
0 CABOT INDUSTRIAL TRUST        12707210    1,280       65,000        X                09         65,000             0             0
  COM
0                                             295       15,000        X       X        12              0        15,000             0
-
0 CABOT MICROELECTRONICS CORP   12709P10    3,658       79,950        X                06         79,950             0             0
  COM
0                                             567       12,400        X                09         12,400             0             0
-
0 CACI INTL INC                 12719030      224       11,500        X                09         11,500             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   75  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CADENCE DESIGN SYSTEM INC     12738710      264       12,960        X       X        08          8,640         4,320             0
  COM
0                                              49        2,400        X       X        09          2,400             0             0
0                                             100        4,900        X       X        12              0         4,900             0
-
0 CALGON CARBON CORP            12960310      155       20,000        X                09         20,000             0             0
  COM
0                                             155       20,000        X       X        09              0             0        20,000
-
0 CALICO COMM INC               12989710    1,146       70,518        X                12          4,700             0        65,818
  COM
0                                           1,311       80,695        X       X        12              0        80,695             0
-
0 CALPINE CORP                  13134710       66        1,000        X       X        04              0             0         1,000
  COM
0                                           1,973       30,000        X                09         30,000             0             0
0                                             513        7,800        X       X        09          5,000             0         2,800
-
0 CAMBREX CORP                  13201110   19,580      435,100        X                09        435,100             0             0
  COM
0                                           3,404       75,647        X       X        09         75,647             0             0
-
0 CAMBRIDGE TECH PARTNERS MASS  13252410    2,244      257,400        X                09        257,400             0             0
  COM
0                                              17        2,000        X       X        12              0         2,000             0
-
0 CAMDEN PPTY TR                13313110    3,087      105,100        X                09        105,100             0             0
  SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   76  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             214        7,295        X       X        09          3,036           759         3,500
-
0 CAMDEN PPTY TR                13313120    1,442       59,600        X                09         59,600             0             0
  PFD A CV $2.25
-
0 CAMINUS CORP                  13376610    2,217       90,500        X                09         90,500             0             0
  COM
-
0 CAMPBELL SOUP CO              13442910       32        1,100        X                04          1,100             0             0
  COM
0                                              10          353        X       X        05            353             0             0
0                                             381       13,081        X                08         13,081             0             0
0                                           1,291       44,324        X       X        08         32,124         1,600        10,600
0                                             899       30,870        X                09         30,270             0           600
0                                             383       13,148        X       X        09         10,083         1,000         2,065
0                                              58        2,000        X       X        12              0         2,000             0
-
0 CANADIAN PAC LTD NEW          13592310       13          500        X                09            500             0             0
  COM
0                                             306       11,700        X       X        09         10,500             0         1,200
-
0 CANDLEWOOD HOTEL COMPANY INC  13741M10      965      406,125        X                07              0             0       406,125
  COM
-
0 CAPITAL ONE FINL CORP         14040H10       23          506        X       X        05            506             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   77  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,457      122,292        X                09        122,292             0             0
0                                              40          889        X       X        09             49             0           840
-
0 CAPROCK COMMUNICATIONS CORP   14066710      195       10,000        X       X        08         10,000             0             0
  COM
-
0 CARAUSTAR INDS INC            14090910    1,626      107,500        X                09        107,500             0             0
  COM
-
0 CARDIMA INC                   14147M10      588      495,000        X                07        495,000             0             0
  COM
-
0 CARDINAL HEALTH INC           14149Y10       96        1,300        X                04          1,300             0             0
  COM
0                                              85        1,144        X       X        04          1,144             0             0
0                                              28          375        X                05             75             0           300
0                                              31          421        X       X        05            421             0             0
0                                             200        2,700        X                08          2,700             0             0
0                                             227        3,073        X       X        08          1,573             0         1,500
0                                             875       11,824        X                09          7,218           270         4,336
0                                             631        8,527        X       X        09          3,966           830         3,731
0                                               2           24        X       X        12              0            24             0
-
0 CARDIODYNAMICS INTL CORP      14159710      188       30,000        X       X        12              0        30,000             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   78  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CAREER EDUCATION CORP         14166510    3,138       64,700        X                06         64,700             0             0
  COM
-
0 CAREERBUILDER INC             14168410      108       32,700        X       X        12              0        32,700             0
  COM
-
0 CAREINSITE INC                14170M10    2,844      159,100        X                01              0             0       159,100
  COM
-
0 CAREMARK RX INC               14170510      163       23,900        X       X        05         23,900             0             0
  COM
0                                              16        2,388        X                09          1,965             0           423
0                                              31        4,521        X       X        09            629             0         3,892
0                                              48        7,000        X       X        12              0         7,000             0
-
0 CARLISLE COS INC              14233910        9          200        X                09            200             0             0
  COM
0                                             350        7,775        X       X        09          7,000             0           775
-
0 CARNIVAL CORP                 14365810    2,153      110,400        X                02              0             0       110,400
  COM
0                                             392       20,100        X                04         18,900             0         1,200
0                                             496       25,440        X       X        04          5,400             0        20,040
0                                             429       22,000        X       X        05         22,000             0             0
0                                             948       48,600        X                08         48,600             0             0
0                                             353       18,100        X       X        08         12,400         1,700         4,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   79  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           7,621      390,825        X                09        342,725         1,700        46,400
0                                           1,952      100,100        X       X        09         69,400         2,600        28,100
0                                              10          500        X       X        12              0           500             0
-
0 CARRAMERICA RLTY CORP         14441810    2,351       88,700        X                09         88,700             0             0
  COM
0                                              82        3,100        X       X        09          2,600           500             0
0                                             398       15,000        X       X        12              0        15,000             0
-
0 CARRIER ACCESS CORP           14446010    1,243       23,500        X                09         23,500             0             0
  COM
0                                             230        4,348        X                12          4,348             0             0
0                                             187        3,537        X       X        12              0         3,537             0
-
0 CARRIZO OIL & CO INC          14457710   30,703    5,117,243        X                10      2,909,092             0     2,208,151
  COM
-
0 CARTER WALLACE INC            14628510    8,638      429,200        X                09        429,200             0             0
  COM
-
0 CASTELLE                      14790510      123       89,411        X                12              0             0        89,411
  COM
0                                               1          880        X       X        12              0           880             0
-
0 CATALINA MARKETING CORP       14886710   22,440      220,000        X       X        04              0             0       220,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   80  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          22,185      217,500        X                06        217,500             0             0
0                                           6,285       61,620        X                08         61,620             0             0
0                                          15,693      153,850        X                09        153,700             0           150
0                                             106        1,042        X       X        12              0         1,042             0
-
0 CATAPULT COMMUNICATIONS CORP  14901610        1           76        X                12             76             0             0
  COM
0                                           1,074      106,750        X       X        12              0       106,750             0
-
0 CATELLUS DEV CORP             14911110    1,275       85,000        X                09         85,000             0             0
  COM
0                                              21        1,429        X       X        09            125         1,200           104
0                                              23        1,500        X       X        12              0         1,500             0
-
0 CATERPILLAR INC DEL           14912310       91        2,700        X                04          2,700             0             0
  COM
0                                              47        1,400        X       X        04            900           500             0
0                                              10          300        X       X        05              0             0           300
0                                             492       14,510        X                08         14,510             0             0
0                                             529       15,623        X       X        08         14,023           800           800
0                                           9,722      286,997        X                09        278,797           600         7,600
0                                           2,560       75,575        X       X        09         39,948             0        35,627
-
0 CATHAY BANCORP INC            14915010      970       20,917        X       X        12              0        20,917             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   81  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CEDAR FAIR L P                15018510      176        9,150        X                09          9,150             0             0
  DEPOSITRY UNIT
0                                              71        3,672        X       X        09          1,000             0         2,672
0                                           3,850      200,000        X       X        12              0       200,000             0
-
0 CELL GENESYS INC              15092110      308       11,000        X       X        12              0        11,000             0
  COM
-
0 CELESTICA INC                 15101Q10       35          700        X       X        09            700             0             0
  SUB VTG SHS
0                                              74        1,492        X                12              0             0         1,492
0                                             978       19,710        X       X        12              0        19,710             0
-
0 CELGENE CORP                  15102010    7,515      127,650        X                06        127,650             0             0
  COM
0                                             177        3,000        X       X        09              0             0         3,000
-
0 CELL PATHWAYS INC NEW         15114R10      656       27,901        X                09         27,901             0             0
  COM
-
0 CELLTECH GROUP PLC            15115810    1,271       33,548        X                12              0             0        33,548
  SPONSORED ADR
0                                             284        7,500        X       X        12              0         7,500             0
-
0 CEMEX S A                     15129088   42,156    1,803,459        X                01              0             0     1,803,459
  SPON ADR 5 ORD
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   82  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,731       74,038        X                04         74,038             0             0
0                                           2,478      106,022        X                09        105,907             0           115
0                                              61        2,600        X       X        12              0         2,600             0
-
0 CENDANT CORP                  15131310      777       55,500        X                01              0             0        55,500
  COM
0                                              19        1,359        X       X        05          1,359             0             0
0                                               8          550        X                08            550             0             0
0                                              84        6,000        X       X        08              0             0         6,000
0                                             133        9,475        X                09          9,475             0             0
0                                             672       47,968        X       X        09          6,054             0        41,914
0                                             102        7,300        X       X        12              0         7,300             0
-
0 CENTERPOINT PPTYS TR          15189510      301        7,379        X                09          7,379             0             0
  SH BEN INT
0                                             245        6,000        X       X        09          6,000             0             0
-
0 CENTEX CORP                   15231210        7          300        X       X        08            300             0             0
  COM
0                                          18,621      792,400        X                09        792,100             0           300
0                                               6          268        X       X        09              0             0           268
-
0 CENTURY CASINOS INC           15649210       17       10,000        X       X        09         10,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   83  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CENTURYTEL INC                15670010       35        1,200        X                04          1,200             0             0
  COM
0                                             103        3,585        X       X        04              0         2,835           750
0                                           1,735       60,332        X                08         60,332             0             0
0                                             430       14,950        X       X        08         14,950             0             0
0                                          16,844      585,865        X                09        577,660         1,100         7,105
0                                             782       27,191        X       X        09         21,450             0         5,741
-
0 CEPHALON INC                  15670810       24          400        X                09            400             0             0
  COM
0                                              60        1,000        X       X        09          1,000             0             0
0                                              60        1,000        X                12          1,000             0             0
0                                             135        2,250        X       X        12              0         2,250             0
-
0 CERIDIAN CORP                 15677T10       48        2,000        X                04          2,000             0             0
  COM
0                                              10          400        X                05              0             0           400
0                                              40        1,650        X       X        05            650             0         1,000
0                                           3,860      160,400        X                08        159,200             0         1,200
0                                           1,206       50,100        X       X        08         29,100        10,000        11,000
0                                           5,469      227,274        X                09        179,374         5,000        42,900
0                                           1,936       80,470        X       X        09         63,960             0        16,510
-
0 CHAMPION ENTERPRISES INC      15849610      468       95,900        X                09         95,900             0             0
  COM
-
0 CHARMING SHOPPES INC          16113310      791      155,200        X                09        155,200             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   84  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CHARTER COMMUNICATIONS INC D  16117M10   11,950      727,000        X                09        725,000             0         2,000
  CL A
0                                               2          100        X       X        09              0             0           100
0                                             104        6,300        X       X        12              0         6,300             0
-
0 CHARTERED SEMICONDUCTOR MFG   16133R10    1,265       14,050        X                09         14,050             0             0
  ADR
0                                             135        1,498        X                12          1,498             0             0
0                                             581        6,450        X       X        12              0         6,450             0
-
0 CHASE INDS INC                16156810      210       22,500        X       X        09         22,500             0             0
  COM
0                                               9        1,000        X       X        12              0         1,000             0
-
0 CHASE MANHATTAN CORP NEW      16161A10      720       15,623        X                04         12,965             0         2,658
  COM
0                                           1,109       24,082        X       X        04         22,098             0         1,984
0                                             224        4,860        X                05          4,860             0             0
0                                             171        3,712        X       X        05          2,362             0         1,350
0                                           2,981       64,715        X                08         64,115             0           600
0                                           7,886      171,205        X       X        08         85,954        12,840        72,411
0                                          40,874      887,353        X                09        796,471         8,830        82,052
0                                          75,929    1,648,376        X       X        09        265,257       717,140       665,979
0                                           1,267       27,509        X       X        12              0        27,509             0
-
0 CHATEAU CMNTYS INC            16172610        2           73        X                08             73             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   85  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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              0             0            74
0                                           1,202       42,553        X                09         42,553             0             0
0                                              29        1,042        X       X        09              0             0         1,042
-
0 CHECKFREE HLDGS CORP          16281610    7,781      150,900        X                01              0             0       150,900
  COM
0                                             765       14,831        X                12         14,831             0             0
-
0 CHEMED CORP                   16359610      490       17,400        X                09         17,400             0             0
  COM
-
0 CHERRY CORP                   16454140      237        9,024        X       X        09          9,024             0             0
  COM NEW
-
0 CHEVRON CORPORATION           16675110    1,086       12,806        X                04         10,056             0         2,750
  COM
0                                             964       11,366        X       X        04         10,466           600           300
0                                             254        3,000        X                05          1,800             0         1,200
0                                             564        6,651        X       X        05          6,451             0           200
0                                          84,076      991,316        X                06        991,316             0             0
0                                          23,855      281,261        X                08        280,911             0           350
0                                          10,060      118,609        X       X        08         84,911         7,585        26,113
0                                         124,031    1,462,403        X                09      1,429,416         2,350        30,637
0                                          68,241      804,607        X       X        09        407,596        97,977       299,034
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   86  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             640        7,549        X       X        12              0         7,549             0
-
0 CHICOS FAS INC                16861510    6,480      323,995        X                06        323,995             0             0
  COM
0                                           1,901       95,060        X                08         95,060             0             0
0                                           4,961      248,070        X                09        247,856             0           214
-
0 CHILDRENS PL RETAIL STORES I  16890510    1,435       70,000        X                09         70,000             0             0
  COM
-
0 CHINA TELECOM HONG KONG LTD   16942810   16,590       93,300        X                09         93,300             0             0
  SPONSORED ADR
-
0 CHIRON CORP                   17004010   14,568      306,700        X                06        306,700             0             0
  COM
0                                              95        2,000        X       X        08          2,000             0             0
0                                          14,013      295,000        X                09        295,000             0             0
0                                              71        1,500        X       X        09              0             0         1,500
0                                              12          250        X       X        12              0           250             0
-
0 CHOICEPOINT INC               17038810   13,426      301,700        X                06        301,700             0             0
  COM
0                                           4,085       91,800        X                08         91,800             0             0
0                                          11,732      263,650        X                09        263,450             0           200
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   87  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,766       39,690        X       X        09         39,690             0             0
-
0 CHUBB CORP                    17123210       55          900        X                04              0             0           900
  COM
0                                              28          450        X       X        04              0             0           450
0                                          13,458      218,828        X                09        211,352             0         7,476
0                                          14,933      242,821        X       X        09        213,552         2,400        26,869
0                                              33          544        X       X        12              0           544             0
-
0 CHURCH & DWIGHT INC           17134010    1,100       61,100        X                01              0             0        61,100
  COM
0                                          14,537      807,600        X                09        807,600             0             0
0                                           3,670      203,900        X       X        09        202,300             0         1,600
-
0 CIBER INC                     17163B10        4          300        X                06            300             0             0
  COM
0                                             906       68,352        X                09         68,352             0             0
-
0 CIENA CORP                    17177910      150          900        X                08            900             0             0
  COM
0                                             125          750        X       X        08            750             0             0
0                                           1,700       10,200        X                09         10,200             0             0
0                                           1,567        9,400        X       X        09            600         8,800             0
0                                             425        2,550        X       X        12              0         2,550             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   88  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CINCINNATI FINL CORP          17206210       25          799        X       X        05            799             0             0
  COM
0                                             220        7,000        X                09          7,000             0             0
0                                             124        3,947        X       X        09          3,200             0           747
-
0 CINERGY CORP                  17247410        7          261        X       X        04            261             0             0
  COM
0                                              38        1,486        X       X        05          1,136             0           350
0                                             390       15,349        X                09         13,649             0         1,700
0                                           1,032       40,550        X       X        09         34,037             0         6,513
0                                               8          300        X       X        12              0           300             0
-
0 CIRCUIT CITY STORE INC        17273710       16          488        X       X        05            488             0             0
  CIRCT CITY GRP
0                                              14          430        X       X        08            430             0             0
0                                           2,323       70,000        X                09         70,000             0             0
0                                             168        5,068        X       X        09          4,096             0           972
-
0 CISCO SYS INC                 17275R10   15,031      236,470        X                04        182,070             0        54,400
  COM
0                                           5,152       81,050        X       X        04         38,850         5,000        37,200
0                                           2,520       39,650        X                05         24,650             0        15,000
0                                           9,339      146,918        X       X        05        118,118             0        28,800
0                                         223,769    3,520,431        X                06      3,520,431             0             0
0                                         170,912    2,688,861        X                08      2,673,111             0        15,750
0                                          48,038      755,754        X       X        08        591,526        58,120       106,108
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   89  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                         556,584    8,756,408        X                09      8,212,919        96,514       446,975
0                                         313,743    4,935,944        X       X        09      2,664,507       119,780     2,151,657
0                                             314        4,936        X                12            400             0         4,536
0                                         137,799    2,167,909        X       X        12              0     2,167,909             0
-
0 CINTAS CORP                   17290810    1,469       40,049        X                08         40,049             0             0
  COM
0                                           1,816       49,498        X       X        08         44,548         4,950             0
0                                           2,058       56,089        X                09         48,679         1,566         5,844
0                                           4,180      113,925        X       X        09         86,450         3,700        23,775
-
0 CITIGROUP INC                 17296710   22,051      365,990        X                02              0             0       365,990
  COM
0                                           7,797      129,416        X                04        118,866             0        10,550
0                                           3,220       53,438        X       X        04         30,410         2,806        20,222
0                                           1,039       17,250        X                05         10,850             0         6,400
0                                           5,486       91,048        X       X        05         90,298             0           750
0                                         218,091    3,619,763        X                06      3,619,763             0             0
0                                          70,231    1,165,666        X                08      1,160,191             0         5,475
0                                          34,815      577,848        X       X        08        421,002        39,900       116,946
0                                         399,461    6,630,050        X                09      6,503,248        25,692       101,110
0                                         107,483    1,783,942        X       X        09      1,092,288        26,842       664,812
0                                           2,974       49,362        X       X        12              0        49,362             0
-
0 CITIZENS COMMUNICATIONS CO    17453B10      131        7,600        X                09          7,600             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   90  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             123        7,145        X       X        09              0             0         7,145
0                                              52        2,999        X       X        12              0         2,999             0
-
0 CITRIX SYS INC                17737610        9          450        X                04            450             0             0
  COM
0                                               2          100        X       X        04              0           100             0
0                                             138        7,300        X                05          5,300             0         2,000
0                                             778       41,100        X                08         40,700             0           400
0                                             301       15,900        X       X        08         15,300           600             0
0                                           1,494       78,885        X                09         76,685           200         2,000
0                                              91        4,810        X       X        09          4,810             0             0
0                                              44        2,300        X                12          2,300             0             0
0                                           2,126      112,236        X       X        12              0       112,236             0
-
0 CITY NATL CORP                17856610   16,131      464,200        X                06        464,200             0             0
  COM
0                                           4,392      126,380        X                08        126,380             0             0
0                                          10,953      315,200        X                09        314,900             0           300
0                                              70        2,000        X       X        09          2,000             0             0
-
0 CLARUS CORP                   18270710        1           35        X                12             35             0             0
  COM
0                                             649       16,700        X       X        12              0        16,700             0
-
0 CLASSIC COMMUNICATIONS INC    18272820    2,727      305,064        X       X        03        305,064             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   91  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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      479        6,386        X                01              0             0         6,386
  COM
0                                           3,430       45,730        X                04         39,830             0         5,900
0                                             452        6,025        X       X        04          1,925             0         4,100
0                                             495        6,600        X                05          5,500             0         1,100
0                                             115        1,528        X       X        05          1,528             0             0
0                                           5,793       77,245        X                06         77,245             0             0
0                                           6,347       84,625        X                08         84,425             0           200
0                                           2,346       31,275        X       X        08         30,575           400           300
0                                          35,253      470,038        X                09        420,938        10,700        38,400
0                                           3,507       46,755        X       X        09         17,969         6,200        22,586
0                                           1,905       25,400        X       X        12              0        25,400             0
-
0 CLOROX CO DEL                 18905410       27          600        X                04            600             0             0
  COM
0                                             111        2,480        X       X        04            400         1,600           480
0                                             170        3,800        X                05          2,800             0         1,000
0                                              27          600        X       X        05              0             0           600
0                                           9,013      201,126        X                08        201,126             0             0
0                                           4,925      109,894        X       X        08         89,298        17,200         3,396
0                                          25,983      579,809        X                09        575,059             0         4,750
0                                          30,690      684,855        X       X        09        671,975             0        12,880
0                                              90        2,000        X       X        12              0         2,000             0
-
0 CLOSURE MED CORP              18909310      255       11,100        X                09         11,100             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   92  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  COACHMEN INDS INC             18987310      518       45,000        X                09         45,000             0             0
  COM
-
0 COASTAL CORP                  19044110    1,205       19,792        X                04         16,792             0         3,000
  COM
0                                              30          500        X       X        04              0             0           500
0                                             584        9,588        X                08          9,588             0             0
0                                              16          266        X       X        08            266             0             0
0                                          13,242      217,525        X                09        209,625             0         7,900
0                                           2,200       36,138        X       X        09         18,491         1,881        15,766
-
0 COBALT NETWORKS INC           19074R10   35,122      606,856        X                07        606,856             0             0
  COM
0                                              87        1,500        X                09          1,500             0             0
0                                              40          687        X                12            687             0             0
-
0 COCA COLA CO                  19121610    6,070      105,672        X                04         72,544             0        33,128
  COM
0                                             756       13,160        X       X        04          2,700         5,300         5,160
0                                             411        7,150        X                05          4,600             0         2,550
0                                             185        3,214        X       X        05          2,914             0           300
0                                          61,070    1,063,236        X                06      1,063,236             0             0
0                                          63,486    1,105,303        X                08      1,101,003             0         4,300
0                                          57,678    1,004,186        X       X        08        709,739        51,324       243,123
0                                         152,134    2,648,663        X                09      2,593,767         1,350        53,546
0                                         128,895    2,244,072        X       X        09      1,346,356        47,600       850,116
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   93  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             729       12,689        X       X        12              0        12,689             0
-
0 COCA COLA ENTERPRISES INC     19121910      629       38,550        X                01              0             0        38,550
  COM
0                                              82        5,000        X                04          3,000             0         2,000
0                                              19        1,142        X       X        05          1,142             0             0
0                                             642       39,352        X                08         37,852             0         1,500
0                                             563       34,500        X       X        08         30,600         3,900             0
0                                           1,184       72,580        X                09         72,580             0             0
0                                             461       28,230        X       X        09          7,150             0        21,080
-
0 COCA-COLA FEMSA S A DE C V    19124110      689       36,500        X                09         36,500             0             0
  SPON ADR REP L
-
0 COGNEX CORP                   19242210   15,841      306,100        X                06        306,100             0             0
  COM
0                                           3,899       75,350        X                08         75,350             0             0
0                                          10,459      202,100        X                09        201,900             0           200
0                                             380        7,350        X       X        12              0         7,350             0
-
0 COHERENT INC                  19247910   11,294      134,650        X                06        134,650             0             0
  COM
0                                           2,927       34,900        X                08         34,900             0             0
0                                           7,620       90,850        X                09         90,800             0            50
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   94  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  COHU INC                      19257610      326       12,100        X                09         12,100             0             0
  COM
-
0 COLD METAL PRODS INC          19286110       39       11,500        X                09         11,500             0             0
  COM
-
0 COLE KENNETH PRODTNS INC      19329410   10,298      257,450        X                06        257,450             0             0
  CL A
0                                           3,172       79,300        X                08         79,300             0             0
0                                           8,118      202,950        X                09        202,800             0           150
0                                              24          600        X       X        09            600             0             0
-
0 COLGATE PALMOLIVE CO          19416210    3,051       50,950        X                04         49,650             0         1,300
  COM
0                                           2,143       35,792        X       X        04         10,032           300        25,460
0                                              78        1,300        X                05            800             0           500
0                                              77        1,280        X       X        05          1,280             0             0
0                                          16,952      283,131        X                06        283,131             0             0
0                                          18,238      304,600        X                08        303,550             0         1,050
0                                           8,092      135,140        X       X        08        129,140         2,900         3,100
0                                          57,522      960,696        X                09        928,096         5,800        26,800
0                                          33,021      551,502        X       X        09        273,915         1,300       276,287
0                                             378        6,318        X       X        12              0         6,318             0
-
0 COLONIAL PPTYS TR             19587210       55        2,000        X       X        05              0             0         2,000
  COM SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   95  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              27        1,000        X       X        08          1,000             0             0
0                                           2,538       92,700        X                09         82,700             0        10,000
0                                             357       13,050        X       X        09          8,250         1,000         3,800
-
0 COLUMBIA ENERGY GROUP         19764810   12,375      188,575        X                06        188,575             0             0
  COM
0                                              42          636        X                08            636             0             0
0                                             494        7,521        X       X        08          1,521             0         6,000
0                                          11,923      181,690        X                09        181,690             0             0
0                                             252        3,839        X       X        09            790           675         2,374
-
0 COMARCO INC                   20008010      566       17,400        X                09         17,400             0             0
  COM
-
0 COMCAST CORP                  20030010       31          800        X                08            800             0             0
  CL A
0                                           2,060       53,000        X                09         52,300             0           700
0                                             552       14,200        X       X        09          5,300             0         8,900
-
0 COMCAST CORP                  20030020    2,740       67,650        X                04         57,950             0         9,700
  CL A SPL
0                                           1,399       34,550        X       X        04         11,200         2,550        20,800
0                                           2,569       63,433        X       X        05         62,633             0           800
0                                           9,858      243,400        X                06        243,400             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   96  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           8,222      203,011        X                08        202,411             0           600
0                                           1,436       35,450        X       X        08         24,950         3,000         7,500
0                                         162,369    4,009,122        X                09      3,749,922        48,700       210,500
0                                          13,022      321,527        X       X        09        179,517        15,700       126,310
0                                             167        4,120        X       X        12              0         4,120             0
-
0 COMDISCO INC                  20033610        6          291        X                08            291             0             0
  COM
0                                               4          161        X       X        08              0             0           161
0                                           1,233       55,270        X                09         18,120             0        37,150
0                                             753       33,750        X       X        09         16,400             0        17,350
0                                              22        1,003        X       X        12              0         1,003             0
-
0 COMERICA INC                  20034010       67        1,485        X                04          1,485             0             0
  COM
0                                              90        2,000        X                05              0             0         2,000
0                                               2           42        X       X        05             42             0             0
0                                             404        9,000        X                08          9,000             0             0
0                                             689       15,358        X                09         15,358             0             0
0                                              32          711        X       X        09              0             0           711
-
0 COMMERCE BANCORP INC NJ       20051910   15,749      342,380        X                06        342,380             0             0
  COM
0                                           3,953       85,940        X                08         85,940             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   97  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          10,478      227,785        X                09        227,575             0           210
-
0 COMMERCE GROUP INC MASS       20064110      531       18,000        X                09         18,000             0             0
  COM
0                                              30        1,000        X       X        09              0             0         1,000
-
0 COMMERCE ONE INC DEL          20069310    1,293       28,500        X                01              0             0        28,500
  COM
0                                           1,353       29,822        X                09         29,822             0             0
0                                              28          610        X       X        09              0           200           410
0                                           7,491      165,090        X                12              0             0       165,090
0                                             552       12,176        X       X        12              0        12,176             0
-
0 COMMERCIAL METALS CO          20172310      792       28,800        X                09         28,800             0             0
  COM
-
0 COMMERCIAL NET LEASE RLTY IN  20221810      110       10,500        X                09         10,500             0             0
  COM
0                                              98        9,300        X       X        09          8,500           800             0
-
0 COMMONWEALTH TEL ENTERPRISES  20334910      259        5,500        X                09          5,500             0             0
  COM
0                                              94        2,000        X       X        09              0             0         2,000
-
0 COMMSCOPE INC                 20337210       14          333        X                04            333             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   98  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          228        X                05              0             0           228
0                                              25          604        X       X        05              0             0           604
0                                           2,083       50,800        X                06         50,800             0             0
0                                             208        5,066        X                09          5,066             0             0
0                                              29          716        X       X        09            716             0             0
-
0 COMMUNITY HEALTH SYS INC NEW  20366810   12,513      772,950        X                06        772,950             0             0
  COM
0                                           3,411      210,700        X                08        210,700             0             0
0                                           8,448      521,850        X                09        521,400             0           450
0                                              49        3,000        X       X        12              0         3,000             0
-
0 COMPANHIA PARANAENSE ENERG C  20441B40      624       67,000        X                09         67,000             0             0
  SPON ADR PFD
-
0 COMPANIA ANONIMA NACIONL TEL  20442110      343       12,600        X                09         12,600             0             0
  SPON ADR D
-
0 COMPANIA DE TELECOMUNICS CHI  20444930      430       23,739        X                09         23,739             0             0
  SPON ADR NEW
-
0 COMPAQ COMPUTER CORP          20449310      497       19,450        X                01              0             0        19,450
  COM
0                                           1,060       41,450        X                04         36,250             0         5,200
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE   99  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        6,217        X       X        04          3,800             0         2,417
0                                              10          400        X                05              0             0           400
0                                             118        4,615        X       X        05          4,615             0             0
0                                             639       25,000        X                06         25,000             0             0
0                                           5,774      225,891        X                08        214,891        10,000         1,000
0                                           6,628      259,280        X       X        08        229,830        25,000         4,450
0                                          18,552      725,752        X                09        669,002         3,000        53,750
0                                          12,257      479,468        X       X        09        250,651         5,600       223,217
0                                           1,049       41,030        X       X        12              0        41,030             0
-
0 COMPUTER ASSOC INTL INC       20491210      916       17,899        X                04         17,149             0           750
  COM
0                                             439        8,577        X       X        04          3,675             0         4,902
0                                              70        1,361        X       X        05          1,361             0             0
0                                          42,558      831,410        X                06        831,410             0             0
0                                           9,446      184,533        X                08        184,133             0           400
0                                           1,957       38,226        X       X        08         34,386         3,840             0
0                                          48,612      949,684        X                09        909,275         2,650        37,759
0                                           5,540      108,229        X       X        09         46,981         8,350        52,898
0                                             113        2,207        X       X        12              0         2,207             0
-
0 COMPUTER MOTION INC           20525310      380       46,057        X                07         46,057             0             0
  COM
0                                             643       77,929        X                11         77,929             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  100  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  COMPUTER SCIENCES CORP        20536310    2,390       32,000        X                02              0             0        32,000
  COM
0                                             250        3,350        X                04          3,350             0             0
0                                              56          750        X                05            750             0             0
0                                              36          477        X       X        05            477             0             0
0                                              15          200        X                08            200             0             0
0                                             127        1,700        X       X        08          1,700             0             0
0                                           7,986      106,920        X                09        106,220             0           700
0                                           1,414       18,932        X       X        09         12,333             0         6,599
0                                              71          955        X       X        12              0           955             0
-
0 COMPUWARE CORP                20563810       31        3,000        X                04            700             0         2,300
  COM
0                                              31        3,000        X       X        04              0             0         3,000
0                                               9          853        X       X        05            853             0             0
0                                           1,424      137,275        X                08        135,575             0         1,700
0                                             644       62,100        X       X        08         55,500         6,600             0
0                                           1,859      179,200        X                09        162,250         3,300        13,650
0                                             299       28,865        X       X        09         25,665             0         3,200
0                                              16        1,500        X                12          1,500             0             0
0                                               4          400        X       X        12              0           400             0
-
0 COMVERSE TECHNOLOGY INC       20586240       65          700        X                04            700             0             0
  COM PAR $0.10
0                                              34          370        X       X        05            370             0             0
0                                          14,871      159,900        X                06        159,900             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  101  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,534       27,250        X                08         27,250             0             0
0                                           1,116       12,000        X       X        08         11,800             0           200
0                                          14,508      156,000        X                09        156,000             0             0
0                                             185        1,988        X       X        09          1,392             0           596
0                                               3           34        X                12             34             0             0
0                                             102        1,100        X       X        12              0         1,100             0
-
0 CONAGRA INC                   20588710       58        3,060        X                04          2,700             0           360
  COM
0                                              22        1,150        X                05            950             0           200
0                                              22        1,172        X       X        05          1,172             0             0
0                                             473       24,800        X       X        08         24,800             0             0
0                                             729       38,260        X                09         27,860             0        10,400
0                                             346       18,166        X       X        09          1,616             0        16,550
-
0 COMPUTER HORIZONS CORP        20590810      873       65,000        X                09         65,000             0             0
  COM
-
0 COM21 INC                     20593710      493       19,700        X                09         19,700             0             0
  COM
0                                             171        6,853        X       X        12              0         6,853             0
-
0 CONCORD EFS INC               20619710   14,287      549,500        X                06        549,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  102  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          13,780      530,000        X                09        530,000             0             0
0                                               6          243        X       X        12              0           243             0
-
0 CONCUR TECHNOLOGIES INC       20670810       93       22,279        X                12          1,634             0        20,645
  COM
0                                              18        4,300        X       X        12              0         4,300             0
-
0 CONECTIV INC                  20682910       12          750        X       X        04            750             0             0
  COM
0                                              24        1,546        X       X        08          1,546             0             0
0                                             344       22,098        X                09         22,098             0             0
0                                              86        5,550        X       X        09          2,550             0         3,000
-
0 CONEXANT SYSTEMS INC          20714210      170        3,500        X                01              0             0         3,500
  COM
0                                              24          500        X       X        04              0             0           500
0                                              36          743        X       X        05            743             0             0
0                                          52,438    1,078,416        X                07      1,078,416             0             0
0                                             399        8,200        X                08          8,200             0             0
0                                             720       14,800        X       X        08          5,800         9,000             0
0                                             175        3,598        X                09          1,998             0         1,600
0                                           1,697       34,900        X       X        09         22,800         1,500        10,600
0                                             196        4,032        X                12          4,032             0             0
0                                           1,209       24,870        X       X        12              0        24,870             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  103  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CONNETICS CORP                20819210    4,366      297,216        X       X        03        297,216             0             0
  COM
0                                              41        2,817        X                12            836             0         1,981
0                                             154       10,500        X       X        12              0        10,500             0
-
0 CONOCO INC                    20825130       70        3,175        X                04          2,000             0         1,175
  CL A
0                                             271       12,300        X                05         10,600             0         1,700
0                                             305       13,848        X                08         13,848             0             0
0                                              20          900        X       X        08            900             0             0
0                                           8,747      397,583        X                09        384,083         6,700         6,800
0                                             622       28,290        X       X        09         16,690         3,200         8,400
0                                              44        2,000        X       X        12              0         2,000             0
-
0 CONOCO INC                    20825140    1,525       62,100        X                02              0             0        62,100
  CL B
0                                             422       17,172        X                04         13,935             0         3,237
0                                             292       11,880        X       X        04          1,984           318         9,578
0                                              51        2,087        X                05          2,087             0             0
0                                             854       34,785        X       X        05         34,785             0             0
0                                           4,988      203,057        X                06        203,057             0             0
0                                           8,412      342,454        X                08        340,854             0         1,600
0                                           2,463      100,290        X       X        08         84,271        14,919         1,100
0                                          23,608      961,106        X                09        915,736         6,429        38,941
0                                           8,464      344,600        X       X        09        223,540        18,710       102,350
0                                              57        2,307        X       X        12              0         2,307             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  104  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CONSECO INC                   20846410        4          366        X                04            366             0             0
  COM
0                                             205       21,054        X       X        04              0             0        21,054
0                                               5          557        X       X        05            557             0             0
0                                             665       68,165        X                09         63,065             0         5,100
0                                              44        4,534        X       X        09          2,462             0         2,072
0                                               0            8        X       X        12              0             8             0
-
0 CONSOLIDATED EDISON INC       20911510      830       28,000        X                02              0             0        28,000
  COM
0                                             377       12,735        X                04         12,735             0             0
0                                              98        3,300        X       X        04          2,600           700             0
0                                               8          263        X       X        05            263             0             0
0                                              70        2,364        X                08          2,364             0             0
0                                             124        4,200        X       X        08          3,400           800             0
0                                           3,385      114,249        X                09        111,249             0         3,000
0                                           2,135       72,082        X       X        09         60,057         4,714         7,311
-
0 CONSOLIDATED STORES CORP      21014910      938       78,200        X                09         78,200             0             0
  COM
0                                               6          488        X       X        09              0             0           488
-
0 CONSTELLATION ENERGY CORP     21037110       16          483        X       X        05            483             0             0
  COM
0                                              29          897        X       X        08            897             0             0
0                                             273        8,394        X                09          4,894             0         3,500
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  105  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             335       10,274        X       X        09          7,556             0         2,718
-
0 CONTINENTAL INFORMATN SYS NE  21149710      721      607,158        X                09        607,158             0             0
  COM
-
0 CONVERGYS CORP                21248510      597       11,500        X                09         11,500             0             0
  COM
0                                           1,038       20,012        X       X        09         13,262             0         6,750
-
0 COOLSAVINGS COM INC           21648510    2,048      337,753        X                12        208,069             0       129,684
  COM
0                                           1,786      294,500        X       X        12              0       294,500             0
-
0 COOPER CAMERON CORP           21664010   24,149      365,900        X                06        365,900             0             0
  COM
0                                           4,258       64,518        X       X        08         61,864             0         2,654
0                                          24,948      378,000        X                09        378,000             0             0
-
0 COOPER COS INC                21664840   18,046      496,100        X                06        496,100             0             0
  COM NEW
0                                           4,496      123,600        X                08        123,600             0             0
0                                          12,928      355,400        X                09        355,100             0           300
-
0 COOPER INDS INC               21666910      212        6,503        X       X        08          1,400         3,593         1,510
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  106  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             414       12,700        X                09         12,200             0           500
0                                             737       22,633        X       X        09         19,303         2,100         1,230
-
0 COOPER TIRE & RUBR CO         21683110        4          315        X       X        05            315             0             0
  COM
0                                              78        7,000        X                08          7,000             0             0
0                                              62        5,604        X                09          4,004             0         1,600
0                                               4          355        X       X        09              0             0           355
-
0 COPART INC                    21720410   11,197      699,800        X                06        699,800             0             0
  COM
0                                           3,436      214,750        X                08        214,750             0             0
0                                           8,546      534,150        X                09        533,700             0           450
-
0 COPPER MTN NETWORKS INC       21751010       18          200        X                09            200             0             0
  COM
0                                             286        3,250        X       X        12              0         3,250             0
-
0 CORN PRODS INTL INC           21902310       36        1,375        X                08          1,375             0             0
  COM
0                                              54        2,025        X       X        08          1,125             0           900
0                                             301       11,356        X                09         11,281             0            75
0                                             511       19,297        X       X        09         13,570           140         5,587
-
0 CORNERSTONE PPTYS INC         21922H10        0        1,822        X                09          1,822             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  107  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        9,477        X       X        09          8,262             0         1,215
-
0 CORNING INC                   21935010    6,247       23,149        X                04         19,149             0         4,000
  COM
0                                           1,633        6,050        X       X        04          2,050             0         4,000
0                                           1,241        4,600        X                05          2,200             0         2,400
0                                           2,453        9,088        X       X        05          8,988             0           100
0                                          20,062       74,339        X                08         73,939             0           400
0                                          19,334       71,639        X       X        08         61,539         6,000         4,100
0                                          81,158      300,725        X                09        277,430         4,880        18,415
0                                         111,044      411,463        X       X        09        255,268        77,922        78,273
0                                             784        2,905        X       X        12              0         2,905             0
-
0 CORPORATE EXECUTIVE BRD CO    21988R10    1,611       26,900        X                09         26,900             0             0
  COM
-
0 CORSAIR COMMUNICATIONS INC    22040610    1,863       64,801        X                09         64,801             0             0
  COM
0                                               8          273        X                12            273             0             0
0                                          11,776      409,608        X       X        12              0       409,608             0
-
0 COSTCO WHSL CORP NEW          22160K10    1,945       58,950        X                04         47,850             0        11,100
  COM
0                                             691       20,950        X       X        04          8,150         2,600        10,200
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  108  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             904       27,400        X                05         18,700             0         8,700
0                                           1,517       45,974        X       X        05         44,974             0         1,000
0                                          13,722      415,825        X                06        415,825             0             0
0                                           8,419      255,110        X                08        250,310             0         4,800
0                                           1,963       59,490        X       X        08         51,240             0         8,250
0                                          34,675    1,050,743        X                09        989,793         4,000        56,950
0                                           4,900      148,476        X       X        09         98,110        12,000        38,366
0                                              64        1,954        X       X        12              0         1,954             0
-
0 COSTAR GROUP INC              22160N10    3,313      132,200        X       X        09              0             0       132,200
  COM
-
0 COUNTRYWIDE CR INDS INC DEL   22237210        6          204        X       X        05            204             0             0
  COM
0                                              61        2,000        X                08          2,000             0             0
0                                               0           15        X       X        08             15             0             0
0                                             158        5,200        X                09          3,400             0         1,800
0                                              15          491        X       X        09              0             0           491
-
0 COUSINS PPTYS INC             22279510      501       13,000        X                04         13,000             0             0
  COM
0                                           1,501       38,998        X                09         38,998             0             0
-
0 COVAD COMMUNICATIONS GROUP I  22281420        5          300        X                08            300             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  109  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              20        1,250        X                09          1,250             0             0
0                                              28        1,765        X       X        09              0             0         1,765
0                                             234       14,500        X       X        12              0        14,500             0
-
0 COVANCE INC                   22281610        2          200        X                08            200             0             0
  COM
0                                               2          175        X       X        08            175             0             0
0                                              83        9,408        X                09          7,875             0         1,533
0                                              64        7,256        X       X        09          7,131             0           125
-
0 COX COMMUNICATIONS INC NEW    22404410    1,823       40,000        X                04         40,000             0             0
  CL A
0                                              35          770        X                09            770             0             0
0                                           1,016       22,296        X       X        09         11,098             0        11,198
0                                              50        1,100        X       X        12              0         1,100             0
-
0 CRAIG CORP                    22417410       78       20,000        X                09         20,000             0             0
  COM
-
0 CRANE CO                      22439910      185        7,600        X                09          7,600             0             0
  COM
0                                              91        3,759        X       X        09          3,450             0           309
-
0 CREDIT SUISSE ASSET MGMT INC  22491610      126       20,000        X       X        04              0             0        20,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  110  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CRAY INC                      22522310       76       22,200        X                09         22,200             0             0
  COM
0                                              69       20,000        X       X        12              0        20,000             0
-
0 CREATIVE BIOMOLECULES INC     22527010       14        1,000        X                09              0             0         1,000
  COM
0                                              81        5,755        X                12          5,755             0             0
0                                           1,548      110,600        X       X        12              0       110,600             0
-
0 CREE INC                      22544710   26,233      196,500        X                06        196,500             0             0
  COM
0                                           7,035       52,700        X                08         52,700             0             0
0                                          18,817      140,950        X                09        140,850             0           100
-
0 CRESCENT REAL ESTATE EQUITIE  22575610       17          830        X                05              0             0           830
  COM
0                                           1,068       52,120        X                08         52,120             0             0
0                                           1,208       58,925        X       X        08         49,725         8,200         1,000
0                                           2,993      146,000        X                09        146,000             0             0
0                                              76        3,700        X       X        09          3,500             0           200
-
0 CRITICAL PATH INC             22674V10       55          950        X                09            950             0             0
  COM
0                                           8,790      150,730        X                12          6,325             0       144,405
0                                           2,878       49,351        X       X        12              0        49,351             0
-
0 CROMPTON CORP                 22711610    1,400      114,300        X                08        113,700             0           600
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  111  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             466       38,000        X       X        08         16,500        10,000        11,500
0                                             116        9,500        X                09          9,500             0             0
0                                              53        4,348        X       X        09          4,348             0             0
-
0 CROSS A T CO                  22747810       74       15,000        X                04         15,000             0             0
  CL A
-
0 CROSS TIMBERS OIL CO          22757310      697       31,500        X                09         31,500             0             0
  COM
-
0 CROSSWORLDS SOFTWARE INC      22769P10      550       30,350        X                12         30,350             0             0
  COM
0                                           1,655       91,300        X       X        12              0        91,300             0
-
0 CROWN CORK & SEAL INC         22825510        4          271        X       X        05            271             0             0
  COM
0                                             260       17,300        X       X        08         17,300             0             0
0                                              30        2,000        X                09            800             0         1,200
0                                             168       11,196        X       X        09          1,500             0         9,696
-
0 CROWN MEDIA HLDGS INC         22841110   58,750    3,836,620        X                03      3,836,620             0             0
  CL A
-
0 CRYSTALLEX INTL CORP          22942F10       44       23,500        X                09         23,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  112  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CUBIST PHARMACEUTICALS INC    22967810       74        1,500        X                09          1,500             0             0
  COM
0                                           9,298      188,800        X       X        12              0       188,800             0
-
0 CULLEN FROST BANKERS INC      22989910   19,874      755,300        X                06        755,300             0             0
  COM
0                                           3,589      136,400        X                08        136,400             0             0
0                                               3          132        X       X        08            132             0             0
0                                          20,793      790,230        X                09        785,280         2,200         2,750
0                                             722       27,450        X       X        09          9,750             0        17,700
-
0 CURAGEN CORP                  23126R10       53        1,400        X                09          1,400             0             0
  COM
0                                           1,435       37,690        X       X        12              0        37,690             0
-
0 CYBEX COMPUTER PRODS CORP     23252210   22,145      522,600        X                06        522,600             0             0
  COM
0                                           5,673      133,875        X                08        133,875             0             0
0                                          15,223      359,250        X                09        358,950             0           300
-
0 CYMER INC                     23257210      191        4,000        X                09          4,000             0             0
  COM
0                                              37          768        X       X        12              0           768             0
-
0 CYSIVE INC                    23281T10      239       10,000        X                09         10,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  113  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  CYTEC INDS INC                23282010        8          342        X                04            342             0             0
  COM
0                                              49        2,000        X       X        04              0             0         2,000
0                                           8,300      336,200        X                06        336,200             0             0
0                                               6          255        X       X        08            255             0             0
0                                           8,258      334,495        X                09        334,495             0             0
0                                             530       21,464        X       X        09         18,083           426         2,955
-
0 CYTYC CORP                    23294610    5,914      110,800        X                06        110,800             0             0
  COM
0                                           1,198       22,450        X                09         22,450             0             0
-
0 DDI CORP                      23316210   86,749    3,043,819        X                11      3,043,819             0             0
  COM
0                                              10          352        X                12            352             0             0
0                                               9          300        X       X        12              0           300             0
-
0 DLJ HIGH YIELD BD FD          23322Y10       74       10,000        X                09              0             0        10,000
  SH BEN INT
-
0 DQE INC                       23329J10    2,173       55,000        X                02              0             0        55,000
  COM
0                                          35,635      902,140        X                06        902,140             0             0
0                                           7,204      182,390        X                08        182,390             0             0
0                                              15          375        X       X        08              0             0           375
0                                          28,888      731,346        X                09        731,346             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  114  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,650        X       X        09          1,500           150             0
-
0 DPL INC                       23329310       74        3,375        X                08          3,375             0             0
  COM
0                                              55        2,497        X       X        08          2,497             0             0
0                                             437       19,902        X                09         17,502             0         2,400
0                                             406       18,499        X       X        09         18,499             0             0
-
0 DRS TECHNOLOGIES INC          23330X10      363       31,250        X                09         31,250             0             0
  COM
-
0 DTE ENERGY CO                 23333110        3          100        X                04            100             0             0
  COM
0                                               4          120        X       X        05            120             0             0
0                                             199        6,500        X                09          3,700             0         2,800
0                                             129        4,207        X       X        09          3,550             0           657
-
0 DAIN RAUSCHER CORP            23385610      838       12,700        X                09         12,700             0             0
  COM
-
0 DAL-TILE INTL INC             23426R10    4,616      559,550        X                06        559,550             0             0
  COM
0                                           2,174      263,475        X                08        263,475             0             0
0                                           2,723      330,100        X                09        329,800             0           300
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  115  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             445       53,948        X       X        09         53,948             0             0
-
0 DALLAS SEMICONDUCTOR CORP     23520410   10,139      248,800        X                06        248,800             0             0
  COM
0                                           2,384       58,500        X                08         58,500             0             0
0                                           6,153      151,000        X                09        150,800             0           200
0                                             204        5,000        X       X        12              0         5,000             0
-
0 DANA CORP                     23581110       16          736        X       X        05            736             0             0
  COM
0                                              57        2,690        X       X        08            800         1,890             0
0                                           5,841      275,672        X                09        272,872             0         2,800
0                                           3,219      151,916        X       X        09        145,277             0         6,639
-
0 DANAHER CORP DEL              23585110       12          248        X       X        05            248             0             0
  COM
0                                           2,764       55,900        X                09         55,900             0             0
0                                             399        8,073        X       X        09          7,725             0           348
-
0 DAOU SYS INC                  23701510      103       61,281        X                12         61,281             0             0
  COM
0                                              76       45,000        X       X        12              0        45,000             0
-
0 DARDEN RESTAURANTS INC        23719410       13          800        X                04            800             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  116  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              26        1,600        X       X        08              0         1,600             0
0                                             412       25,372        X                09         23,772             0         1,600
0                                             266       16,343        X       X        09          9,200             0         7,143
-
0 DATAWARE TECHNOLOGIES INC     23792010        0           57        X                12             57             0             0
  COM
0                                             201       43,500        X       X        12              0        43,500             0
-
0 DATASCOPE CORP                23811310   14,119      392,200        X                06        392,200             0             0
  COM
0                                           3,510       97,500        X                08         97,500             0             0
0                                           9,999      277,750        X                09        277,500             0           250
-
0 DATATEC SYS INC               23812810       56       10,000        X       X        09              0             0        10,000
  COM
-
0 DAVOX CORP                    23920810      496       38,300        X                09         38,300             0             0
  COM
-
0 DEERE & CO                    24419910       14          373        X       X        05            373             0             0
  COM
0                                             631       17,060        X                08         17,060             0             0
0                                           1,615       43,650        X       X        08         29,350        13,800           500
0                                           2,495       67,440        X                09         67,440             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  117  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             723       19,529        X       X        09         17,364             0         2,165
-
0 DEL GLOBAL TECHNOLOGIES CORP  24507310      300       30,900        X                10              0             0        30,900
  COM
-
0 DEL LABS INC                  24509110      159       13,143        X       X        09         13,143             0             0
  COM
-
0 DELL COMPUTER CORP            24702510      408        8,275        X                04          7,475             0           800
  COM
0                                             434        8,800        X       X        04          4,600             0         4,200
0                                              44          900        X                05            500             0           400
0                                             281        5,702        X       X        05          4,702             0         1,000
0                                          58,103    1,178,249        X                06      1,178,249             0             0
0                                          30,820      624,984        X                08        624,159             0           825
0                                           6,975      141,435        X       X        08        133,035         7,400         1,000
0                                          79,708    1,616,377        X                09      1,602,377         6,600         7,400
0                                           4,280       86,785        X       X        09         52,595         3,600        30,590
0                                           2,054       41,657        X       X        12              0        41,657             0
-
0 DELPHI AUTOMOTIVE SYS CORP    24712610      172       11,837        X                04          8,337             0         3,500
  COM
0                                             266       18,274        X       X        04            822         9,698         7,754
0                                              20        1,400        X                05              0             0         1,400
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  118  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          279        X       X        05              0             0           279
0                                           1,682      115,504        X                08        115,295           209             0
0                                             602       41,328        X       X        08         37,535         3,421           372
0                                           1,802      123,763        X                09        111,503         3,000         9,260
0                                           6,991      480,043        X       X        09        118,707           909       360,427
0                                               3          187        X       X        12              0           187             0
-
0 DELPHI FINL GROUP INC         24713110      334        9,846        X                01              0             0         9,846
  CL A
0                                           5,504      162,172        X                06        162,172             0             0
0                                           3,078       90,683        X                08         90,683             0             0
0                                           3,004       88,529        X                09         84,045             0         4,484
-
0 DELTA & PINE LD CO            24735710      861       34,350        X                08         34,350             0             0
  COM
0                                           1,267       50,563        X       X        08         45,589         4,974             0
-
0 DELTA AIR LINES INC DEL       24736110      728       14,400        X                02              0             0        14,400
  COM
0                                             172        3,400        X                04            400             0         3,000
0                                              24          478        X       X        05            478             0             0
0                                             339        6,700        X                08          6,700             0             0
0                                             111        2,200        X       X        08          2,000             0           200
0                                           4,437       87,746        X                09         87,746             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  119  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             632       12,500        X       X        09         11,755             0           745
-
0 DELUXE CORP                   24801910       32        1,355        X       X        05          1,355             0             0
  COM
0                                          14,802      628,200        X                09        621,800             0         6,400
0                                             201        8,530        X       X        09          8,075             0           455
-
0 DENDRITE INTL INC             24823910    1,096       32,900        X                06         32,900             0             0
  COM
0                                           2,147       64,450        X                09         64,450             0             0
0                                              25          750        X       X        12              0           750             0
-
0 DERMA SCIENCES INC            24982720      230      263,079        X                12              0             0       263,079
  COM NEW
-
0 DESC S A DE C V               25030910    1,339      104,000        X                04        104,000             0             0
  SPON ADR C
-
0 DETROIT DIESEL CORP           25083710      199       13,500        X                09         13,500             0             0
  COM
-
0 DEUTSCHE TELEKOM AG           25156610       34          600        X                05              0             0           600
  SPONSORED ADR
0                                              15          260        X                08            260             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  120  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,850        X                09          1,750           500           600
-
0 DEVELOPERS DIVERSIFIED RLTY   25159110      284       19,000        X                09         15,000             0         4,000
  COM
0                                              15        1,000        X       X        09              0         1,000             0
0                                              22        1,500        X       X        12              0         1,500             0
-
0 DIAMOND OFFSHORE DRILLING IN  25271C10       14          400        X                04            400             0             0
  COM
0                                           1,331       37,900        X       X        05         37,900             0             0
0                                             283        8,053        X                08          8,053             0             0
0                                             163        4,650        X       X        08          4,650             0             0
0                                             365       10,400        X                09          9,300           900           200
0                                              76        2,150        X       X        09            150             0         2,000
0                                              70        2,000        X                12          2,000             0             0
0                                              42        1,200        X       X        12              0         1,200             0
-
0 DIAMONDS TR                   25278710       76          732        X                08            732             0             0
  UNIT SER 1
0                                              56          540        X       X        08            540             0             0
0                                             228        2,187        X                09          2,187             0             0
-
0 DIEBOLD INC                   25365110       84        3,000        X                04          3,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  121  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             188        6,727        X                08          6,727             0             0
0                                             183        6,576        X       X        08          6,576             0             0
0                                           2,340       83,933        X                09         60,383         4,300        19,250
0                                             723       25,949        X       X        09         24,249             0         1,700
-
0 DIGIMARC CORP                 25380710      181        4,713        X                12          4,713             0             0
  COM
0                                             216        5,600        X       X        12              0         5,600             0
-
0 DIGITAL IMPACT INC DEL        25385G10      201       14,230        X                12         14,230             0             0
  COM
0                                           1,908      135,050        X       X        12              0       135,050             0
-
0 DIGITAL IS INC DEL            25385N10        5          100        X                04            100             0             0
  COM
0                                         126,464    2,600,796        X                07      2,600,796             0             0
0                                             934       19,200        X                09         19,200             0             0
0                                           1,386       28,496        X                10         28,496             0             0
0                                          21,731      446,918        X                12              0             0       446,918
0                                             868       17,855        X       X        12              0        17,855             0
-
0 DIGITAL INSIGHT CORP          25385P10      197        5,790        X                08          5,790             0             0
  COM
0                                             177        5,209        X                12          5,209             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  122  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             214        6,289        X       X        12              0         6,289             0
-
0 DIGITALTHINK INC              25388M10      782       21,799        X                12          9,000             0        12,799
  COM
0                                           3,445       96,025        X       X        12              0        96,025             0
-
0 DIGITAL GENERATION SYS INC    25392110        9        1,344        X                12          1,344             0             0
  COM
0                                           2,691      398,726        X       X        12              0       398,726             0
-
0 DIME BANCORP INC NEW          25429Q10      219       13,900        X                09         13,900             0             0
  COM
0                                              79        5,000        X       X        12              0         5,000             0
-
0 DISNEY WALT CO                25468710      749       19,300        X                01              0             0        19,300
  COM DISNEY
0                                           2,539       65,406        X                04         59,906             0         5,500
0                                           1,292       33,288        X       X        04         20,538         4,750         8,000
0                                              82        2,100        X                05          1,300             0           800
0                                             261        6,730        X       X        05          6,230             0           500
0                                         125,326    3,228,969        X                06      3,228,969             0             0
0                                          46,096    1,187,654        X                08      1,185,354             0         2,300
0                                          17,246      444,335        X       X        08        331,594        67,041        45,700
0                                         171,343    4,414,584        X                09      4,235,960        15,250       163,374
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  123  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          92,585    2,385,403        X       X        09      1,462,779        85,057       837,567
0                                           1,187       30,576        X       X        12              0        30,576             0
-
0 DIVERSA CORP                  25506410        4          110        X                12            110             0             0
  COM
0                                             226        6,825        X       X        12              0         6,825             0
-
0 DOLLAR GEN CORP               25666910        6          302        X       X        05            302             0             0
  COM
0                                           1,322       67,780        X                08         67,780             0             0
0                                             561       28,757        X       X        08         22,507         6,250             0
0                                           4,997      256,248        X                09        236,748         3,500        16,000
0                                           2,806      143,877        X       X        09        120,287         1,000        22,590
-
0 DOLLAR THRIFTY AUTOMOTIVE GP  25674310      830       45,000        X                09         45,000             0             0
  COM
-
0 DOMINION RES INC VA NEW       25746U10      291        6,780        X                04          3,428             0         3,352
  COM
0                                             251        5,852        X       X        04          1,493         3,633           726
0                                              27          633        X       X        05            633             0             0
0                                              62        1,454        X                08            854             0           600
0                                             548       12,786        X       X        08         12,760             1            25
0                                           2,027       47,266        X                09         40,604             0         6,662
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  124  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           4,198       97,914        X       X        09         78,335         5,199        14,380
-
0 DONALDSON LUFKIN & JENRETTE   25766110   20,277      477,800        X                09        477,800             0             0
  COM DLJ
0                                              85        2,000        X       X        09          2,000             0             0
-
0 DONNELLEY R R & SONS CO       25786710        4          160        X       X        05            160             0             0
  COM
0                                             632       28,007        X                09         28,007             0             0
0                                             768       34,059        X       X        09         30,384             0         3,675
-
0 DORAL FINL CORP               25811P10      474       41,400        X                09         41,400             0             0
  COM
-
0 DORCHESTER HUGOTON LTD        25820520      254       18,000        X                09         18,000             0             0
  DEPOSTARY RCPT
-
0 DOUBLECLICK INC               25860930      290        7,600        X                01              0             0         7,600
  COM
0                                             220        5,760        X                09          5,760             0             0
0                                             617       16,180        X       X        09         16,180             0             0
0                                              97        2,540        X       X        12              0         2,540             0
-
0 DOVER CORP                    26000310      260        6,400        X       X        04          6,400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  125  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              33          816        X       X        05            816             0             0
0                                          54,859    1,352,448        X                06      1,352,448             0             0
0                                          16,316      402,238        X                08        401,738             0           500
0                                           1,499       36,946        X       X        08         24,846         8,300         3,800
0                                          55,200    1,360,840        X                09      1,358,440           240         2,160
0                                           7,448      183,606        X       X        09        150,327         4,800        28,479
-
0 DOW CHEM CO                   26054310    1,340       44,375        X                04         35,450             0         8,925
  COM
0                                             992       32,871        X       X        04         16,770         7,401         8,700
0                                             278        9,200        X                05          4,700             0         4,500
0                                              64        2,121        X       X        05          2,121             0             0
0                                          23,095      765,032        X                06        765,032             0             0
0                                          15,143      501,624        X                08        501,624             0             0
0                                           8,363      277,032        X       X        08        142,203        36,900        97,929
0                                          40,314    1,335,438        X                09      1,309,374             0        26,064
0                                          22,947      760,125        X       X        09        534,738        17,175       208,212
0                                              41        1,347        X       X        12              0         1,347             0
-
0 DOW JONES & CO INC            26056110        3           47        X       X        05             47             0             0
  COM
0                                             161        2,200        X                08          2,200             0             0
0                                           1,470       20,070        X                09         20,070             0             0
0                                             178        2,436        X       X        09              0             0         2,436
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  126  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  DOWNEY FINL CORP              26101810      464       16,000        X                09         16,000             0             0
  COM
-
0 DREYERS GRAND ICE CREAM INC   26187810      945       45,000        X                09         45,000             0             0
  COM
0                                           1,092       52,000        X       X        12              0        52,000             0
-
0 DU PONT E I DE NEMOURS & CO   26353410       79        1,800        X                01              0             0         1,800
  COM
0                                           2,929       66,939        X                04         60,718             0         6,221
0                                           1,404       32,093        X       X        04         18,021         5,006         9,066
0                                             217        4,967        X                05          4,967             0             0
0                                             125        2,858        X       X        05          2,358             0           500
0                                          55,181    1,261,285        X                06      1,261,285             0             0
0                                          13,115      299,782        X                08        297,282         2,000           500
0                                          13,737      313,999        X       X        08        288,766        13,392        11,841
0                                         103,457    2,364,720        X                09      2,308,343         3,100        53,277
0                                          67,815    1,550,047        X       X        09        911,685       107,683       530,679
0                                              29          658        X       X        12              0           658             0
-
0 DUFF & PHELPS UTILS INCOME I  26432410       87        9,000        X       X        04              0         9,000             0
  COM
0                                               5          503        X       X        08            503             0             0
0                                               2          222        X                09            222             0             0
0                                             287       29,800        X       X        09          5,000        24,800             0
-
0 DUKE ENERGY CORP              26439910    4,482       79,500        X                02              0             0        79,500
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  127  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,154       20,470        X                04         20,058             0           412
0                                             202        3,589        X       X        04          1,763         1,826             0
0                                             406        7,200        X                05          5,400             0         1,800
0                                           1,886       33,463        X       X        05         33,463             0             0
0                                          40,229      713,599        X                06        713,599             0             0
0                                          14,661      260,064        X                08        257,162             0         2,902
0                                           6,575      116,625        X       X        08        106,175         9,250         1,200
0                                          50,436      894,652        X                09        873,751         1,300        19,601
0                                           5,153       91,398        X       X        09         71,391           730        19,277
0                                              25          435        X       X        12              0           435             0
-
0 DUKE WEEKS REALTY CORP        26441150       22        1,000        X                08          1,000             0             0
  COM NEW
0                                           3,112      139,100        X                09        136,100             0         3,000
0                                             179        8,000        X       X        12              0         8,000             0
-
0 DUN & BRADSTREET CORP DEL     26483B10       34        1,200        X       X        04          1,200             0             0
  COM
0                                               4          140        X       X        05            140             0             0
0                                              43        1,495        X                08          1,495             0             0
0                                              38        1,324        X       X        08          1,324             0             0
0                                           1,775       62,010        X                09         61,560             0           450
0                                           3,234      112,982        X       X        09         28,696         2,600        81,686
-
0 DURA AUTOMOTIVE SYSTEMS CORP  26590310      324       30,000        X                09         30,000             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  128  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  DURA PHARMACEUTICALS INC      26632S10      170       11,800        X                09         11,800             0             0
  COM
0                                              43        3,000        X                12          3,000             0             0
0                                              14        1,000        X       X        12              0         1,000             0
-
0 DURA PHARMACEUTICALS INC      26632S11       24       59,100        X       X        12              0        59,100             0
  *W EXP 12/31/2002
-
0 DUSA PHARMACEUTICALS INC      26689810        3          118        X                12            118             0             0
  COM
0                                           2,274       77,100        X       X        12              0        77,100             0
-
0 DYCOM INDS INC                26747510   15,896      345,575        X                06        345,575             0             0
  COM
0                                           3,835       83,375        X                08         83,375             0             0
0                                          10,123      220,075        X                09        219,850             0           225
-
0 DYNEGY INC NEW                26816Q10       11          158        X                04            158             0             0
  CL A
0                                              13          190        X       X        04            190             0             0
0                                          18,687      273,550        X                09        273,550             0             0
0                                              14          200        X       X        09            200             0             0
-
0 ECI TELECOM LTD               26825810       86        2,400        X       X        08          2,400             0             0
  ORD
0                                             179        5,000        X       X        09              0             0         5,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  129  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          500        X       X        12              0           500             0
-
0 EEX CORP                      26842V20        5          899        X                01              0             0           899
  COM NEW
0                                             218       37,532        X                08         37,532             0             0
0                                             878      151,073        X                09        151,073             0             0
-
0 E-LOAN INC                    26861P10       19        4,020        X                12          4,020             0             0
  COM
0                                              79       16,625        X       X        12              0        16,625             0
-
0 E M C CORP MASS               26864810   13,726      178,400        X                04        156,000             0        22,400
  COM
0                                           3,670       47,700        X       X        04         20,900         1,600        25,200
0                                           2,177       28,300        X                05         18,900             0         9,400
0                                          15,046      195,560        X       X        05        190,360             0         5,200
0                                         164,479    2,137,811        X                06      2,137,811             0             0
0                                         131,879    1,714,088        X                08      1,701,688             0        12,400
0                                          25,403      330,170        X       X        08        294,320        22,650        13,200
0                                         442,541    5,751,923        X                09      5,228,703        70,780       452,440
0                                         140,199    1,822,234        X       X        09      1,212,260        67,000       542,974
0                                               3           36        X                12             36             0             0
0                                          17,766      230,907        X       X        12              0       230,907             0
-
0 ENSCO INTL INC                26874Q10      885       24,700        X                09         24,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  130  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  EOG RES INC                   26875P10      295        8,800        X                08          8,000             0           800
  COM
0                                             771       23,000        X                09         23,000             0             0
0                                             235        7,000        X       X        09              0             0         7,000
0                                              34        1,000        X       X        12              0         1,000             0
-
0 EPIX MEDICAL INC              26881Q10       90        6,068        X                12          6,068             0             0
  COM
0                                           1,171       78,700        X       X        12              0        78,700             0
-
0 E PIPHANY INC                 26881V10    5,187       48,388        X                12          1,050             0        47,338
  COM
0                                             274        2,554        X       X        12              0         2,554             0
-
0 ESPS INC                      26912910       22        5,700        X                12          5,700             0             0
  COM
0                                              89       23,000        X       X        12              0        23,000             0
-
0 ESS TECHNOLOGY INC            26915110        9          600        X                12            600             0             0
  COM
0                                             645       44,500        X       X        12              0        44,500             0
-
0 E-TEK DYNAMICS INC            26924010       59          225        X                09            125             0           100
  COM
0                                              53          200        X       X        09              0             0           200
0                                           1,228        4,655        X       X        12              0         4,655             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  131  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  E TRADE GROUP INC             26924610       17        1,000        X                06          1,000             0             0
  COM
0                                              96        5,840        X                09          5,840             0             0
0                                             309       18,700        X       X        09         18,700             0             0
0                                             451       27,338        X                12         27,338             0             0
0                                               8          500        X       X        12              0           500             0
-
0 EARTHGRAINS CO                27031910       15          768        X       X        04              0             0           768
  COM
0                                              27        1,400        X       X        08          1,400             0             0
0                                           1,668       85,832        X                09         85,832             0             0
0                                           1,392       71,600        X       X        09         39,464             0        32,136
-
0 EARTHLINK INC                 27032110    1,049       67,936        X                01              0             0        67,936
  COM
0                                               2          150        X                04            150             0             0
0                                             146        9,461        X                09          9,461             0             0
0                                               1           46        X                12             46             0             0
0                                              15        1,000        X       X        12              0         1,000             0
-
0 EASTERN ENTERPRISES           27637F10       38          611        X       X        08            611             0             0
  COM
0                                              30          472        X                09            472             0             0
0                                             449        7,123        X       X        09            531             0         6,592
-
0 EASTMAN CHEM CO               27743210       10          200        X                04            200             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  132  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          372        X       X        04            250             0           122
0                                              36          750        X       X        05              0             0           750
0                                              81        1,689        X                08          1,689             0             0
0                                              28          596        X       X        08            596             0             0
0                                          11,364      237,985        X                09        237,225            56           704
0                                           3,950       82,723        X       X        09         75,329           784         6,610
-
0 EASTMAN KODAK CO              27746110      428        7,200        X                04          7,200             0             0
  COM
0                                             144        2,423        X       X        04          2,000             0           423
0                                               6          100        X                05            100             0             0
0                                             973       16,359        X       X        05         16,359             0             0
0                                             839       14,104        X                08         14,104             0             0
0                                             353        5,929        X       X        08          5,509           420             0
0                                          56,513      949,796        X                09        943,534           225         6,037
0                                          29,421      494,477        X       X        09        416,912        39,398        38,167
-
0 EATON CORP                    27805810       80        1,200        X                04          1,200             0             0
  COM
0                                               7          103        X       X        05            103             0             0
0                                              30          450        X       X        08              0             0           450
0                                             869       12,964        X                09         11,564             0         1,400
0                                           1,029       15,362        X       X        09         10,214             0         5,148
-
0 EATON VANCE CORP              27826510      208        4,500        X                09          4,500             0             0
  COM NON VTG
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  133  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          800        X       X        09            800             0             0
-
0 EBAY INC                      27864210    2,965       54,600        X                01              0             0        54,600
  COM
0                                             222        4,080        X                09          3,980           100             0
0                                             871       16,030        X       X        09         10,630           600         4,800
0                                              11          200        X       X        12              0           200             0
-
0 ECHELON CORP                  27874N10       98        1,700        X       X        08          1,700             0             0
  COM
0                                           4,217       72,785        X       X        09         72,785             0             0
0                                              64        1,097        X       X        12              0         1,097             0
-
0 ECHOSTAR COMMUNICATIONS NEW   27876210        3           80        X                04             80             0             0
  CL A
0                                             454       13,700        X       X        08         10,800             0         2,900
0                                             377       11,400        X                09         11,400             0             0
0                                              20          600        X       X        09            600             0             0
0                                           1,293       39,050        X       X        12              0        39,050             0
-
0 ECOLAB INC                    27886510      977       25,000        X                02              0             0        25,000
  COM
0                                             977       25,000        X       X        05         25,000             0             0
0                                           5,755      147,325        X                08        146,700             0           625
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  134  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,135       29,050        X       X        08         27,350         1,450           250
0                                           4,252      108,845        X                09        107,245             0         1,600
0                                           1,064       27,233        X       X        09         14,150             0        13,083
-
0 EDISON INTL                   28102010       41        2,000        X       X        04          2,000             0             0
  COM
0                                              62        3,000        X       X        05          3,000             0             0
0                                              29        1,433        X                08          1,433             0             0
0                                              85        4,168        X       X        08          3,550             0           618
0                                             807       39,352        X                09         39,352             0             0
0                                             728       35,506        X       X        09         25,301             0        10,205
-
0 EDISON SCHOOLS INC            28103310    1,159       50,000        X                06         50,000             0             0
  CL A
-
0 J D EDWARDS & CO              28166710        9          600        X                04            600             0             0
  COM
0                                           1,186       78,709        X       X        04         28,709             0        50,000
-
0 EDWARDS LIFESCIENCES CORP     28176E10       11          610        X                04            570             0            40
  COM
0                                              17          920        X       X        04            920             0             0
0                                               2          120        X                05              0             0           120
0                                               2          125        X       X        05            125             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  135  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              50        2,692        X                08          2,692             0             0
0                                              44        2,375        X       X        08          1,295         1,080             0
0                                             453       24,491        X                09         21,866           150         2,475
0                                             190       10,279        X       X        09          6,455           667         3,157
0                                               2          120        X       X        12              0           120             0
-
0 EDWARDS AG INC                28176010       35          900        X                05              0             0           900
  COM
0                                          11,723      300,600        X                06        300,600             0             0
0                                          12,424      318,556        X                09        318,556             0             0
-
0 EFAX COM                      28201210       30       24,900        X       X        12              0        24,900             0
  COM
-
0 EFFICIENT NETWORKS INC        28205610    2,519       34,246        X                12              0             0        34,246
  COM
-
0 EL PASO ELEC CO               28367785        1           64        X                08             64             0             0
  COM NEW
0                                             697       62,300        X                09         62,300             0             0
-
0 EL PASO ENERGY CORP DEL       28390510      260        5,100        X                02              0             0         5,100
  COM
0                                           1,065       20,911        X                04         20,411             0           500
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  136  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              92        1,800        X       X        04              0         1,800             0
0                                              10          200        X                05            100             0           100
0                                             183        3,589        X       X        05          3,589             0             0
0                                          14,594      286,500        X                06        286,500             0             0
0                                           6,004      117,874        X                08        117,574             0           300
0                                           5,905      115,934        X       X        08        102,752        11,800         1,382
0                                          32,085      629,876        X                09        623,637         1,600         4,639
0                                           6,109      119,924        X       X        09         83,774           300        35,850
-
0 ELAN PLC                      28413120    2,791       57,630        X                02              0             0        57,630
  ADR
0                                           1,494       30,850        X                04         22,550             0         8,300
0                                             121        2,500        X                05          2,500             0             0
0                                           5,448      112,470        X                08        112,470             0             0
0                                           3,236       66,800        X       X        08         61,250         3,900         1,650
0                                          23,605      487,333        X                09        459,485         2,600        25,248
0                                           3,048       62,925        X       X        09         48,155           920        13,850
-
0 ELANTEC SEMICONDUCTOR INC     28415510      961       13,800        X                09         13,800             0             0
  COM
0                                             348        5,000        X       X        09              0             0         5,000
0                                             825       11,850        X       X        12              0        11,850             0
-
0 ELBIT COMPUTERS LTD           28427510      231       25,000        X       X        12              0        25,000             0
  ORD
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  137  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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 ARTS INC           28551210      328        4,500        X                01              0             0         4,500
  COM
0                                              47          650        X       X        09              0             0           650
0                                              18          244        X                12            244             0             0
0                                             430        5,900        X       X        12              0         5,900             0
-
0 ELECTRONIC DATA SYS NEW       28566110       83        2,000        X                04          2,000             0             0
  COM
0                                              12          281        X       X        04            281             0             0
0                                              52        1,250        X                05              0             0         1,250
0                                              83        2,015        X       X        05            915             0         1,100
0                                           4,015       97,338        X                08         94,838             0         2,500
0                                           5,995      145,335        X       X        08        110,374        10,140        24,821
0                                           3,863       93,655        X                09         78,950             0        14,705
0                                           3,089       74,881        X       X        09         53,424         2,600        18,857
-
0 ELECTRONICS FOR IMAGING INC   28608210   11,558      456,600        X                06        456,600             0             0
  COM
0                                          11,161      440,900        X                09        440,900             0             0
-
0 ELOYALTY CORP                 29015110      966       75,769        X                09         75,769             0             0
  COM
-
0 ELTRAX SYS INC                29037510      163       27,500        X       X        12              0        27,500             0
  COM
-
0 E MACHINES INC                29076P10        5        2,000        X                08          2,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  138  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          120        X       X        08            120             0             0
0                                              34       12,600        X       X        12              0        12,600             0
-
0 EMBARCADERO TECHNOLOGIES INC  29078710    2,390       81,350        X                06         81,350             0             0
  COM
-
0 EMBRATEL PARTICIPACOES S A    29081N10    1,623       68,700        X                09         68,700             0             0
  SPON ADR PFD
-
0 EMERGING VISION INC           29089W10       48       20,000        X       X        12              0        20,000             0
  COM
-
0 EMERSON ELEC CO               29101110      362        6,000        X                04          5,000             0         1,000
  COM
0                                             205        3,400        X       X        04            400             0         3,000
0                                             134        2,225        X                05          1,775             0           450
0                                              60        1,000        X       X        05          1,000             0             0
0                                           5,703       94,464        X                08         94,264             0           200
0                                           7,500      124,220        X       X        08         92,120        15,400        16,700
0                                          18,857      312,324        X                09        298,634           760        12,930
0                                          23,891      395,710        X       X        09        267,557        13,000       115,153
0                                             211        3,503        X       X        12              0         3,503             0
-
0 EMERSON RADIO CORP            29108720      886    1,089,800        X                09      1,089,800             0             0
  COM NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  139  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  EMISPHERE TECHNOLOGIES INC    29134510       34          800        X                09            800             0             0
  COM
0                                             298        7,000        X       X        09              0             0         7,000
0                                             484       11,350        X       X        12              0        11,350             0
-
0 EMONS TRANSN GRP INC          29157510      832      554,937        X                09        554,868             0            69
  COM
-
0 EMPRESAS ICA SOCIEDAD CONTRL  29244810      360      213,200        X                04        213,200             0             0
  SPONSORED ADR
-
0 EMULEX CORP                   29247520      125        1,900        X                09          1,900             0             0
  COM NEW
0                                               0            3        X                12              3             0             0
0                                             542        8,250        X       X        12              0         8,250             0
-
0 ENDESA S A                    29258N10      156        8,000        X       X        04              0             0         8,000
  SPONSORED ADR
0                                              47        2,400        X                09          2,400             0             0
0                                             653       33,500        X       X        09         22,400             0        11,100
-
0 ENDOREX CORP                  29264N30      227       86,487        X                09         86,487             0             0
  COM NEW
-
0 ENERGEN CORP                  29265N10        9          400        X                08            400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  140  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             205        9,400        X                09          9,400             0             0
-
0 ENERGY EAST CORP              29266M10      103        5,400        X                04          5,400             0             0
  COM
0                                              54        2,847        X       X        04          2,577           270             0
0                                           4,669      244,900        X                06        244,900             0             0
0                                              30        1,588        X                08          1,588             0             0
0                                              19        1,000        X       X        08              0             0         1,000
0                                           4,921      258,142        X                09        258,142             0             0
0                                             238       12,501        X       X        09         12,501             0             0
0                                               3          134        X       X        12              0           134             0
-
0 ENERGIZER HLDGS INC           29266R10        9          498        X       X        05            498             0             0
  COM
0                                             101        5,561        X                08          5,561             0             0
0                                              44        2,400        X       X        08          2,000             0           400
0                                             326       17,869        X                09         17,869             0             0
0                                             460       25,182        X       X        09         24,491             0           691
-
0 ENGELHARD CORP                29284510        7          424        X       X        04            424             0             0
  COM
0                                              58        3,400        X                09          1,400             0         2,000
0                                             682       39,978        X       X        09         22,750           700        16,528
-
0 ENRON CORP                    29356110    2,036       31,570        X                04         27,370             0         4,200
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  141  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             540        8,375        X       X        04          3,875         1,000         3,500
0                                              90        1,400        X                05            700             0           700
0                                             110        1,712        X       X        05          1,312             0           400
0                                          88,843    1,377,412        X                06      1,377,412             0             0
0                                          45,867      711,112        X                08        708,262             0         2,850
0                                          16,269      252,232        X       X        08        182,286        64,646         5,300
0                                         141,525    2,194,191        X                09      2,159,543        11,600        23,048
0                                          31,471      487,922        X       X        09        409,068        11,340        67,514
0                                             608        9,421        X       X        12              0         9,421             0
-
0 ENTERCOM COMMUNICATIONS CORP  29363910   53,468    1,096,781        X                03              0             0     1,096,781
  CL A
-
0 ENTREMED INC                  29382F10      455       15,200        X       X        09         15,000             0           200
  COM
-
0 ENTRUST TECHNOLOGIES INC      29384810    1,167       14,100        X       X        12              0        14,100             0
  COM
-
0 ENVIRONMENTAL TECTONICS CORP  29409210    1,763      191,866        X                11        191,866             0             0
  COM
-
0 ENZO BIOCHEM INC              29410010      228        3,300        X                09          3,300             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  142  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              22          315        X       X        09              0             0           315
-
0 EOTT ENERGY PARTNERS L P      29410310        0            1        X                09              1             0             0
  UNIT LTD PRTNR
0                                             349       24,610        X       X        09              0             0        24,610
-
0 EPOCH PHARMACEUTICALS INC     29427310      457       51,500        X       X        12              0        51,500             0
  COM
-
0 EQUANT N V                    29440910    6,294      146,367        X       X        03        146,367             0             0
  NY REG SHS
0                                             858       19,960        X                09         18,960             0         1,000
0                                             215        5,000        X       X        09              0             0         5,000
-
0 EQUIFAX INC                   29442910        6          236        X       X        05            236             0             0
  COM
0                                             543       20,700        X                08         20,700             0             0
0                                             316       12,050        X       X        08         12,050             0             0
0                                             689       26,230        X                09         24,630         1,400           200
0                                           4,982      189,786        X       X        09        186,107             0         3,679
-
0 EQUITABLE RES INC             29454910       48        1,000        X                08          1,000             0             0
  COM
0                                             781       16,187        X                09         16,187             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  143  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             230        4,768        X       X        09          4,518             0           250
-
0 EQUITY INCOME FD              29470070       52          300        X                08            300             0             0
  UT 1 EX SR-ATT
0                                           1,797       10,300        X       X        08         10,300             0             0
0                                             157          900        X                09            900             0             0
0                                             280        1,606        X       X        09          1,556             0            50
-
0 EQUITY OFFICE PROPERTIES TRU  29474110       18          638        X                08            638             0             0
  COM
0                                           2,307       83,695        X                09         80,883             0         2,812
0                                             499       18,117        X       X        09          2,649             0        15,468
-
0 EQUITY OFFICE PROPERTIES TRU  29474150    1,775       42,000        X       X        09         42,000             0             0
  PFD CV B 5.25%
-
0 EQUITY RESIDENTIAL PPTYS TR   29476L10      276        6,000        X       X        04              0         6,000             0
  SH BEN INT
0                                             828       18,000        X       X        05         17,000             0         1,000
0                                           5,635      122,500        X                06        122,500             0             0
0                                           1,087       23,625        X                08         23,625             0             0
0                                             966       21,000        X       X        08         16,900         4,100             0
0                                           9,200      200,010        X                09        195,210             0         4,800
0                                           1,765       38,380        X       X        09         27,180         4,300         6,900
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  144  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          520        X       X        12              0           520             0
-
0 EQUITY RESIDENTIAL PPTYS TR   29476L85      439       19,500        X                08         19,500             0             0
  PFD CV 1/10 G
-
0 ERGO SCIENCE CORP             29481E10       22       17,807        X                12         17,807             0             0
  COM
-
0 ERICSSON L M TEL CO           29482140      156        7,800        X                01              0             0         7,800
  ADR CL B SEK10
0                                           2,164      108,200        X                04         74,600             0        33,600
0                                             223       11,160        X       X        04              0           600        10,560
0                                              90        4,500        X                05          4,500             0             0
0                                              88        4,400        X       X        05          4,400             0             0
0                                           1,758       87,900        X                08         87,900             0             0
0                                              16          800        X       X        08            800             0             0
0                                          38,058    1,902,917        X                09      1,560,695        70,400       271,822
0                                          18,870      943,476        X       X        09        436,356        32,100       475,020
0                                             812       40,600        X       X        12              0        40,600             0
-
0 ESHARE COMMUNICATIONS INC GA  29642810   10,803    1,543,301        X                07      1,543,301             0             0
  COM
0                                               8        1,120        X                12          1,120             0             0
-
0 ESPEED INC                    29664310        6          137        X                12            137             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  145  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,140       26,250        X       X        12              0        26,250             0
-
0 ESSEX PPTY TR INC             29717810    3,641       86,700        X                06         86,700             0             0
  COM
0                                           4,591      109,300        X                09        106,300             0         3,000
0                                           1,037       24,700        X       X        09         21,700         3,000             0
-
0 ETHAN ALLEN INTERIORS INC     29760210       96        4,000        X                08          4,000             0             0
  COM
0                                              36        1,500        X                09          1,500             0             0
0                                              72        3,000        X       X        09          3,000             0             0
-
0 ETINUUM INC                   29766410       30        5,322        X                12          5,322             0             0
  COM
0                                             261       46,350        X       X        12              0        46,350             0
-
0 ETOYS INC                     29786210        1          100        X       X        05              0             0           100
  COM
0                                               0           22        X                09             22             0             0
0                                              63       10,000        X       X        12              0        10,000             0
-
0 EVOLVING SYS INC              30049R10      276       47,027        X                12              0             0        47,027
  COM
-
0 EXABYTE CORP                  30061510      328       72,900        X                09         72,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  146  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  EXCELON CORP                  30069110        5          635        X                12            635             0             0
  COM
0                                             173       21,750        X       X        12              0        21,750             0
-
0 EXCHANGE APPLICATIONS         30086710    3,802      142,800        X                09        142,800             0             0
  COM
0                                              28        1,038        X                12          1,038             0             0
0                                             125        4,700        X       X        12              0         4,700             0
-
0 EXODUS COMMUNICATIONS INC     30208810       18          400        X                04            400             0             0
  COM
0                                              46        1,000        X                05          1,000             0             0
0                                             193        4,200        X       X        08          3,600           600             0
0                                          22,206      482,070        X                09        482,070             0             0
0                                           3,550       77,070        X       X        09         77,070             0             0
0                                             818       17,750        X                12         15,288             0         2,462
0                                          13,917      302,127        X       X        12              0       302,127             0
-
0 EXPEDITORS INTL WASH INC      30213010    1,577       33,200        X                09         33,200             0             0
  COM
-
0 EXPONENT INC                  30214U10      407       48,600        X       X        12              0        48,600             0
  COM
-
0 EXPRESS SCRIPTS INC           30218210    1,733       27,900        X                09         27,900             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  147  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             286        4,600        X       X        09              0             0         4,600
-
0 EXTREME NETWORKS INC          30226D10    1,151       10,908        X                12          1,400             0         9,508
  COM
0                                             329        3,122        X       X        12              0         3,122             0
-
0 EXXON MOBIL CORP              30231G10    2,591       33,000        X                01              0             0        33,000
  COM
0                                          13,408      170,798        X                02              0             0       170,798
0                                          12,628      160,866        X                04        141,698             0        19,168
0                                          14,392      183,340        X       X        04         79,089        37,072        67,179
0                                           1,606       20,458        X                05         17,296             0         3,162
0                                           3,022       38,497        X       X        05         38,233             0           264
0                                         177,103    2,256,084        X                06      2,256,084             0             0
0                                         186,948    2,381,507        X                08      2,365,621        11,584         4,302
0                                         715,238    9,111,311        X       X        08      8,071,580       881,945       157,786
0                                         654,558    8,338,319        X                09      8,078,327        28,019       231,973
0                                         702,265    8,946,051        X       X        09      5,484,210       242,223     3,219,618
0                                           1,678       21,381        X       X        12              0        21,381             0
-
0 FLIR SYS INC                  30244510      117       17,976        X                12         17,976             0             0
  COM
0                                             837      128,700        X       X        12              0       128,700             0
-
0 F M C CORP                    30249130        2           37        X       X        05             37             0             0
  COM NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  148  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             244        4,200        X                09          4,200             0             0
0                                             398        6,866        X       X        09          3,700             0         3,166
-
0 FPL GROUP INC                 30257110      502       10,150        X                04          9,250             0           900
  COM
0                                              67        1,360        X       X        04            960           400             0
0                                             530       10,700        X       X        05         10,700             0             0
0                                             686       13,850        X                08         13,850             0             0
0                                             594       12,000        X       X        08          9,000             0         3,000
0                                          10,122      204,494        X                09        201,034             0         3,460
0                                           3,624       73,220        X       X        09         57,519         1,800        13,901
-
0 FVC COM INC                   30266P10        1          109        X                12            109             0             0
  COM
0                                             441       56,880        X       X        12              0        56,880             0
-
0 FVNB CORP                     30267410      616       18,240        X                08         18,240             0             0
  COM
-
0 F Y I INC                     30271210    8,420      249,950        X                06        249,950             0             0
  COM
0                                           2,136       63,400        X                08         63,400             0             0
0                                           5,331      158,250        X                09        158,100             0           150
0                                           3,032       90,000        X       X        12              0        90,000             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  149  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  FACTORY 2-U INC               30307210      730       19,300        X                09         19,300             0             0
  COM
-
0 FACTSET RESH SYS INC          30307510    3,141      111,200        X                09        111,200             0             0
  COM
-
0 FAIR ISAAC & CO INC           30325010      334        7,600        X                09          7,600             0             0
  COM
-
0 FAIRCHILD SEMICONDUCTOR INTL  30372610    1,721       42,500        X                09         42,500             0             0
  CL A
-
0 FARGO ELECTRONICS INC         30744P10      113       31,800        X                09         31,800             0             0
  COM
-
0 FASTNET CORP                  31187710       17        4,500        X                12              0             0         4,500
  COM
0                                             966      257,550        X       X        12              0       257,550             0
-
0 FEDERAL HOME LN MTG CORP      31340030      425       10,500        X                04          6,800             0         3,700
  COM
0                                              34          840        X       X        04            400             0           440
0                                           1,506       37,186        X       X        05         37,186             0             0
0                                          13,365      330,000        X                06        330,000             0             0
0                                           4,018       99,200        X                08         98,600             0           600
0                                           1,983       48,975        X       X        08         41,275         3,700         4,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  150  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          34,668      855,992        X                09        816,607        14,600        24,785
0                                           8,672      214,115        X       X        09        103,716         3,300       107,099
-
0 FEDERAL NATL MTG ASSN         31358610    2,939       56,320        X                04         53,660             0         2,660
  COM
0                                           1,678       32,157        X       X        04         17,792           300        14,065
0                                             130        2,500        X                05          1,900             0           600
0                                             142        2,716        X       X        05          2,716             0             0
0                                          24,539      470,200        X                06        470,200             0             0
0                                          15,948      305,589        X                08        300,089             0         5,500
0                                           9,670      185,296        X       X        08        120,641         5,330        59,325
0                                          82,149    1,574,090        X                09      1,493,925        13,433        66,732
0                                          34,700      664,895        X       X        09        363,850        13,740       287,305
0                                             482        9,237        X       X        12              0         9,237             0
-
0 FEDERATED DEPT STORES INC DE  31410H10        7          200        X                04            200             0             0
  COM
0                                              68        2,000        X       X        04              0             0         2,000
0                                             118        3,500        X                05          2,500             0         1,000
0                                           1,547       45,849        X                08         45,849             0             0
0                                           1,887       55,900        X       X        08         31,000        24,900             0
0                                           4,228      125,287        X                09        116,437           600         8,250
0                                             289        8,552        X       X        09          5,871         1,099         1,582
-
0 FEDERATED INVS INC PA         31421110   13,194      376,300        X                06        376,300             0             0
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  151  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,811       51,650        X                08         51,650             0             0
0                                           9,481      270,400        X                09        270,300             0           100
-
0 FEDEX CORP                    31428X10        8          200        X                04              0             0           200
  COM
0                                              37          961        X       X        05            961             0             0
0                                              38        1,000        X                08          1,000             0             0
0                                          16,875      444,092        X                09        444,092             0             0
0                                              88        2,328        X       X        09          1,000             0         1,328
0                                             528       13,907        X       X        12              0        13,907             0
-
0 FELCOR LODGING TR INC         31430F10    1,597       86,300        X                09         86,300             0             0
  COM
-
0 F5 NETWORKS INC               31561610      175        3,200        X                12          3,200             0             0
  COM
0                                          14,778      270,850        X       X        12              0       270,850             0
-
0 FIBERSTARS INC                31566210      304       32,000        X       X        12              0        32,000             0
  COM
-
0 FIFTH THIRD BANCORP           31677310       69        1,084        X                04          1,084             0             0
  COM
0                                              30          468        X       X        05            468             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  152  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           6,702      105,966        X                09        103,716             0         2,250
0                                             129        2,041        X       X        09             89             0         1,952
-
0 FILENET CORP                  31686910    3,385      184,200        X                06        184,200             0             0
  COM
0                                             888       48,300        X                08         48,300             0             0
0                                           3,004      163,500        X                09        163,400             0           100
0                                               6          329        X                12              0             0           329
0                                              18        1,000        X       X        12              0         1,000             0
-
0 FINISAR                       31787A10      825       31,500        X                09         31,500             0             0
  COM
0                                              52        2,000        X       X        09          2,000             0             0
-
0 FINOVA GROUP INC              31792810       12          900        X                08            900             0             0
  COM
0                                               2          150        X       X        08            150             0             0
0                                              31        2,393        X                09          2,393             0             0
0                                              13        1,000        X       X        09            850           150             0
0                                           1,950      150,000        X       X        12              0       150,000             0
-
0 FIRST AMERN CORP CALIF        31852230      243       17,000        X                09         17,000             0             0
  COM
-
0 FIRST AUSTRALIA PRIME INCOME  31865310        7        1,440        X       X        04          1,440             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  153  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,000        X                08          1,000             0             0
0                                               1          315        X                09            315             0             0
0                                              79       17,132        X       X        09         17,132             0             0
0                                               9        2,000        X       X        12              0         2,000             0
-
0 FIRST CONSULTING GROUP INC    31986R10        0           60        X                12             60             0             0
  COM
0                                             203       36,485        X       X        12              0        36,485             0
-
0 FIRST DATA CORP               31996310      494        9,950        X       X        04          9,950             0             0
  COM
0                                              10          200        X                05              0             0           200
0                                              30          600        X       X        05              0             0           600
0                                           5,377      108,350        X                08        107,950             0           400
0                                           3,935       79,300        X       X        08         69,450         9,500           350
0                                           7,717      155,508        X                09        146,288         1,300         7,920
0                                           9,225      185,904        X       X        09        129,906        10,942        45,056
0                                              25          500        X       X        12              0           500             0
-
0 FIRST ECOM COM INC            32008N10      148       15,000        X       X        12              0        15,000             0
  COM
-
0 FIRST HORIZON PHARMACEUTICAL  32051K10      220       22,600        X                12         22,600             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  154  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             190       19,500        X       X        12              0        19,500             0
-
0 FIRST INDUSTRIAL REALTY TRUS  32054K10    3,912      132,600        X                09        132,600             0             0
  COM
-
0 FIRST MIDWEST FINL INC        32087810       96       10,000        X       X        12              0        10,000             0
  COM
-
0 FIRST HEALTH GROUP CORP       32096010      633       19,300        X                09         19,300             0             0
  COM
-
0 FIRST SEC CORP DEL            33629410      665       49,065        X                09         49,065             0             0
  COM
-
0 FIRST UN CORP                 33735810    1,989       80,145        X                04         70,685             0         9,460
  COM
0                                             268       10,796        X       X        04          8,496           800         1,500
0                                              19          767        X                05            100             0           667
0                                             121        4,890        X       X        05          4,090             0           800
0                                           3,687      148,574        X                08        148,074             0           500
0                                           2,222       89,551        X       X        08         79,900         8,500         1,151
0                                          19,009      766,107        X                09        728,111         1,850        36,146
0                                          11,957      481,866        X       X        09        327,198        57,388        97,280
0                                               7          300        X       X        12              0           300             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  155  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  FIRST VA BANKS INC            33747710    3,587      103,029        X                09        102,279             0           750
  COM
0                                           5,530      158,860        X       X        09        132,630         9,675        16,555
-
0 FIRST WASH RLTY TR INC        33748950    1,454       65,900        X                09         65,900             0             0
  COM
-
0 FIRSTAR CORP NEW WIS          33763V10      800       38,000        X                02              0             0        38,000
  COM
0                                             388       18,419        X                04         18,419             0             0
0                                              24        1,144        X       X        05          1,144             0             0
0                                           8,905      422,799        X                06        422,799             0             0
0                                          18,814      893,240        X                09        893,240             0             0
0                                           1,318       62,584        X       X        09         56,195             0         6,389
-
0 FIRSTFED FINL CORP            33790710      557       39,400        X                09         39,400             0             0
  COM
-
0 FIRSTENERGY CORP              33793210        7          300        X                04              0             0           300
  COM
0                                              14          600        X       X        04            600             0             0
0                                              16          690        X       X        05            690             0             0
0                                              25        1,084        X                08          1,084             0             0
0                                              12          501        X       X        08              0             1           500
0                                             326       13,935        X                09          5,935             0         8,000
0                                             481       20,594        X       X        09         19,119            26         1,449
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  156  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  FISHER SCIENTIFIC INTL INC    33803220  108,092    4,367,335        X                03              0             0     4,367,335
  COM NEW
0                                              50        2,000        X                09          2,000             0             0
-
0 FLAMEL TECHNOLOGIES SA        33848810    1,268      241,500        X                10         87,500             0       154,000
  SPONSORED ADR
0                                           9,650    1,838,039        X       X        10        666,597             0     1,171,442
-
0 FLEETBOSTON FINL CORP         33903010       40        1,184        X                04              0             0         1,184
  COM
0                                              10          300        X                05              0             0           300
0                                             105        3,099        X       X        05          3,099             0             0
0                                              20          600        X                08            600             0             0
0                                             559       16,452        X       X        08         16,452             0             0
0                                          16,435      483,369        X                09        477,638             0         5,731
0                                           1,558       45,821        X       X        09         32,164             0        13,657
0                                              47        1,392        X       X        12              0         1,392             0
-
0 FLEETWOOD ENTERPRISES INC     33909910       11          800        X       X        04            800             0             0
  COM
0                                              17        1,200        X                05              0             0         1,200
0                                             100        7,000        X                08          7,000             0             0
0                                             710       49,800        X                09         49,800             0             0
0                                               4          265        X       X        09            100             0           165
-
0 FLEMING COS INC               33913010      465       35,602        X                09         35,602             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  157  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  FLEXSTEEL INDS INC            33938210      701       57,200        X                09         57,200             0             0
  COM
-
0 FLORIDA PROGRESS CORP         34110910      103        2,206        X                04          2,206             0             0
  COM
0                                             107        2,275        X       X        04          2,275             0             0
0                                               7          150        X       X        05              0             0           150
0                                              41          880        X                08            880             0             0
0                                           1,215       25,912        X                09         22,412             0         3,500
0                                           3,236       69,028        X       X        09         43,658         1,500        23,870
0                                              14          300        X       X        12              0           300             0
-
0 FLOWERS INDS INC              34349610      154        7,717        X                08          7,717             0             0
  COM
0                                           1,115       55,915        X                09         55,915             0             0
0                                             173        8,662        X       X        09          8,662             0             0
0                                              80        4,000        X       X        12              0         4,000             0
-
0 FLUOR CORP                    34386110        6          200        X                05             50             0           150
  COM
0                                               9          300        X                08            300             0             0
0                                             152        4,801        X                09          3,201             0         1,600
0                                             372       11,769        X       X        09          5,900             0         5,869
-
0 FOGDOG INC                    34416710       13       10,000        X       X        12              0        10,000             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  158  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  FORD MTR CO DEL               34537010    3,436       79,900        X                02              0             0        79,900
  COM
0                                             348        8,090        X                04          8,090             0             0
0                                             629       14,620        X       X        04          9,152         3,968         1,500
0                                             615       14,300        X                05         10,800             0         3,500
0                                             147        3,425        X       X        05          2,975             0           450
0                                          56,946    1,324,332        X                06      1,324,332             0             0
0                                          13,250      308,139        X                08        307,939             0           200
0                                           7,192      167,256        X       X        08         83,513         3,297        80,446
0                                          95,419    2,219,058        X                09      2,085,618        14,100       119,340
0                                          24,905      579,190        X       X        09         67,083         9,509       502,598
0                                             332        7,723        X       X        12              0         7,723             0
-
0 FOREST CITY ENTERPRISES INC   34555010    1,168       35,000        X                09         35,000             0             0
  CL A
-
0 FOREST LABS INC               34583810   25,523      252,700        X                06        252,700             0             0
  COM
0                                             131        1,300        X       X        08          1,300             0             0
0                                          24,962      247,150        X                09        246,350             0           800
0                                             909        9,000        X       X        09          7,000             0         2,000
-
0 FORRESTER RESH INC            34656310      633        8,700        X                09          8,700             0             0
  COM
0                                              15          200        X       X        12              0           200             0
-
0 FORTUNE BRANDS INC            34963110       60        2,592        X                04          2,592             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  159  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             185        8,000        X       X        04          2,000         6,000             0
0                                               1           49        X       X        05             49             0             0
0                                              65        2,800        X                08          2,800             0             0
0                                              14          600        X       X        08            400           200             0
0                                             488       21,150        X                09         19,650             0         1,500
0                                             511       22,158        X       X        09         19,602             0         2,556
-
0 FORWARD AIR CORP              34985310    1,432       35,800        X                09         35,800             0             0
  COM
-
0 FOUNDRY NETWORKS INC          35063R10       22          200        X                09            200             0             0
  COM
0                                             165        1,500        X       X        09          1,500             0             0
0                                             132        1,200        X       X        12              0         1,200             0
-
0 4FRONT TECHNOLOGIES INC       35104210      222       18,500        X       X        12              0        18,500             0
  COM
-
0 FRANCE TELECOM                35177Q10      919        6,450        X                09          5,500           250           700
  SPONSORED ADR
-
0 FRANKLIN RES INC              35461310       53        1,750        X                04              0             0         1,750
  COM
0                                              19          629        X       X        05            629             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  160  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,472       48,474        X                08         48,474             0             0
0                                             492       16,200        X       X        08         10,200         3,000         3,000
0                                             101        3,339        X       X        09            117             0         3,222
-
0 FREEPORT-MCMORAN COPPER & GO  35671D85    7,574      818,800        X                06        818,800             0             0
  CL B
0                                           7,391      799,004        X                09        799,003             0             1
0                                              11        1,155        X       X        09            280             0           875
-
0 FRIEDMANS INC                 35843810       78       15,700        X                09         15,700             0             0
  CL A
-
0 FRITZ COS INC                 35884610      113       11,000        X                09         11,000             0             0
  COM
-
0 FUELCELL ENERGY INC           35952H10      262        3,800        X                09          3,800             0             0
  COM
-
0 GATX CORP                     36144810       10          300        X                04            300             0             0
  COM
0                                             485       14,258        X                09         14,258             0             0
0                                             681       20,044        X       X        09         15,398         1,200         3,446
-
0 GPU INC                       36225X10      909       33,600        X                02              0             0        33,600
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  161  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              22          800        X                05            800             0             0
0                                              25          922        X       X        05            522             0           400
0                                             292       10,800        X                08         10,800             0             0
0                                              92        3,400        X       X        08          3,400             0             0
0                                           2,466       91,135        X                09         90,635             0           500
0                                             549       20,271        X       X        09         16,964             0         3,307
0                                              14          500        X       X        12              0           500             0
-
0 GSI LUMONICS INC              36229U10    2,248       64,000        X       X        12              0        64,000             0
  COM
-
0 GTE CORP                      36232010   43,058      691,700        X                01              0             0       691,700
  COM
0                                           3,301       53,023        X                04         43,623             0         9,400
0                                           3,310       53,167        X       X        04         23,991        15,426        13,750
0                                             196        3,150        X                05          2,800             0           350
0                                           2,883       46,307        X       X        05         45,507             0           800
0                                          33,458      537,471        X                08        532,971             0         4,500
0                                          13,317      213,926        X       X        08        186,445        24,448         3,033
0                                         111,339    1,788,574        X                09      1,697,917        12,600        78,057
0                                          40,615      652,446        X       X        09        501,670        28,454       122,322
0                                             270        4,330        X       X        12              0         4,330             0
-
0 GABELLI EQUITY TR INC         36239710       54        4,408        X                08          4,408             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  162  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        4,408        X       X        08          4,408             0             0
0                                              46        3,772        X       X        12              0         3,772             0
-
0 GABLES RESIDENTIAL TR         36241810    2,848      110,600        X                09        110,600             0             0
  SH BEN INT
-
0 GADZOOX NETWORKS INC          36255510        3          200        X                08            200             0             0
  COM
0                                              60        4,400        X                12          4,400             0             0
0                                             493       36,014        X       X        12              0        36,014             0
-
0 GALLAGHER ARTHUR J & CO       36357610   10,899      259,500        X                06        259,500             0             0
  COM
0                                           2,720       64,760        X                08         64,760             0             0
0                                           7,564      180,100        X                09        179,900             0           200
-
0 GALLAHER GROUP PLC            36359510       60        2,800        X                04          2,800             0             0
  SPONSORED ADR
0                                              43        2,000        X       X        04          2,000             0             0
0                                              64        2,968        X                08          2,968             0             0
0                                               4          200        X       X        08              0           200             0
0                                             173        8,060        X                09          5,060             0         3,000
0                                             373       17,386        X       X        09         16,386             0         1,000
-
0 GANNETT INC                   36473010    1,196       20,000        X                01              0             0        20,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  163  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          900        X                04            300             0           600
0                                             215        3,600        X       X        04          1,000           600         2,000
0                                          21,262      355,482        X                05          4,000             0       351,482
0                                             447        7,478        X       X        05          7,478             0             0
0                                           2,425       40,544        X                08         38,544         2,000             0
0                                           2,803       46,866        X       X        08         30,066         3,000        13,800
0                                          28,983      484,568        X                09        469,068           200        15,300
0                                          49,733      831,478        X       X        09        775,348         7,650        48,480
-
0 GAP INC DEL                   36476010    5,513      176,409        X                04        149,347             0        27,062
  COM
0                                             864       27,649        X       X        04          7,624             0        20,025
0                                           1,929       61,714        X       X        05         61,714             0             0
0                                           6,592      210,940        X                06        210,940             0             0
0                                           5,641      180,514        X                08        180,214             0           300
0                                           2,212       70,792        X       X        08         64,742         4,550         1,500
0                                          21,264      680,440        X                09        658,628         1,750        20,062
0                                           5,294      169,400        X       X        09         72,572         6,750        90,078
0                                              71        2,275        X       X        12              0         2,275             0
-
0 GARDEN COM INC                36519910      408      171,599        X                12             43             0       171,556
  COM
0                                              21        9,000        X       X        12              0         9,000             0
-
0 GARTNER GROUP INC NEW         36665120        7          723        X                08            723             0             0
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  164  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,027        X       X        08          1,027             0             0
0                                              88        8,914        X                09          8,797             0           117
0                                             203       20,595        X       X        09          5,812         1,119        13,664
-
0 GATEWAY INC                   36762610       57        1,000        X       X        04              0         1,000             0
  COM
0                                              32          559        X       X        05            559             0             0
0                                              17          300        X                08            300             0             0
0                                           2,787       49,112        X                09         40,112             0         9,000
0                                           1,692       29,816        X       X        09         26,318             0         3,498
0                                           2,330       41,050        X       X        12              0        41,050             0
-
0 GENE LOGIC INC                36868910      278        7,800        X                09          7,800             0             0
  COM
0                                              54        1,500        X       X        09              0             0         1,500
0                                             612       17,150        X       X        12              0        17,150             0
-
0 GENENTECH INC                 36871040      103          600        X                04            600             0             0
  COM NEW
0                                          16,058       93,362        X                09         92,762             0           600
0                                             998        5,800        X       X        09          1,900             0         3,900
0                                           5,709       33,190        X       X        12              0        33,190             0
-
0 GENERAL AMERN INVS INC        36880210      126        3,216        X                09          3,216             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  165  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,931       49,285        X       X        09         49,285             0             0
-
0 GENERAL CABLE CORP DEL NEW    36930010      463       57,000        X                09         57,000             0             0
  COM
-
0 GENERAL COMMUNICATION INC     36938510      313       61,032        X                08         61,032             0             0
  CL A
-
0 GENERAL DYNAMICS CORP         36955010      162        3,096        X       X        04             96             0         3,000
  COM
0                                             340        6,500        X       X        08          1,000             0         5,500
0                                             191        3,650        X                09          3,650             0             0
0                                             547       10,468        X       X        09          9,900             0           568
-
0 GENERAL ELEC CO               36960410      143        2,700        X                01              0             0         2,700
  COM
0                                          21,818      411,651        X                04        334,741             0        76,910
0                                          22,923      432,504        X       X        04        245,773        51,454       135,277
0                                           3,006       56,722        X                05         40,922             0        15,800
0                                           3,689       69,600        X       X        05         63,300             0         6,300
0                                         304,190    5,739,438        X                06      5,739,438             0             0
0                                         295,777    5,580,691        X                08      5,526,561        27,480        26,650
0                                         154,754    2,919,890        X       X        08      2,216,713       279,213       423,964
0                                         117,179   21,078,844        X                09     20,315,520        90,250       673,074
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  166  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          12,491   19,103,601        X       X        09     13,877,578       749,181     4,476,842
0                                           8,082      152,483        X       X        12              0       152,483             0
-
0 GENERAL MLS INC               37033410      222        5,800        X                04          4,800             0         1,000
  COM
0                                             421       11,000        X       X        04          7,400             0         3,600
0                                              21          550        X       X        05            550             0             0
0                                             612       16,010        X                08         15,210             0           800
0                                           3,373       88,191        X       X        08         73,846        10,345         4,000
0                                          24,629      643,894        X                09        639,694             0         4,200
0                                          10,487      274,170        X       X        09        218,440           600        55,130
-
0 GENERAL MTRS CORP             37044210    3,373       58,100        X                01              0             0        58,100
  COM
0                                              70        1,200        X                04          1,200             0             0
0                                             224        3,858        X       X        04          1,730           752         1,376
0                                             104        1,790        X       X        05          1,490             0           300
0                                          32,610      561,631        X                06        561,631             0             0
0                                          15,483      266,658        X                08        266,258           300           100
0                                           2,168       37,335        X       X        08         26,941         9,860           534
0                                          49,124      846,044        X                09        839,079             0         6,965
0                                          32,339      556,964        X       X        09        104,305         1,075       451,584
0                                             290        5,000        X                12          5,000             0             0
0                                              87        1,502        X       X        12              0         1,502             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  167  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  GENERAL MTRS CORP             37044283    1,755       20,000        X                02              0             0        20,000
  CL H NEW
0                                              49          562        X                04            562             0             0
0                                              40          461        X       X        04             65           264           132
0                                              61          700        X                05            700             0             0
0                                               9          106        X       X        05              0             0           106
0                                           1,415       16,129        X                08         16,129             0             0
0                                           2,200       25,067        X       X        08         22,349         1,318         1,400
0                                          59,891      682,518        X                09        676,925             0         5,593
0                                           6,059       69,043        X       X        09         55,706           858        12,479
0                                           3,071       35,000        X                12         35,000             0             0
0                                               6           70        X       X        12              0            70             0
-
0 GENERAL SEMICONDUCTOR INC     37078710      496       33,650        X                09         33,650             0             0
  COM
0                                               1           50        X       X        09             50             0             0
-
0 GENESCO INC                   37153210      590       36,700        X                09         36,700             0             0
  COM
-
0 GENESEE CORP                  37160120      802       43,052        X                09         43,052             0             0
  CL B
-
0 GENESIS HEALTH VENTURES INC   37191210        6       34,401        X                10         34,401             0             0
  COM
-
0 GENOMIC SOLUTIONS INC         37243R10   73,377    5,017,210        X                03      4,387,796             0       629,414
  COM CALL
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  168  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  GENZYME TRANSGENICS CORP      37246E10        9          330        X                12            330             0             0
  COM
0                                             420       15,500        X       X        12              0        15,500             0
-
0 GENUINE PARTS CO              37246010       21        1,050        X                05              0             0         1,050
  COM
0                                              15          768        X       X        05            318             0           450
0                                             899       44,940        X                08         44,940             0             0
0                                           1,807       90,327        X       X        08         82,352         7,975             0
0                                           1,174       58,716        X                09         51,566             0         7,150
0                                           1,997       99,865        X       X        09         63,337         8,875        27,653
-
0 GENZYME CORP                  37291710       45          750        X       X        08            750             0             0
  COM GENL DIV
0                                             297        5,000        X                09          4,400           600             0
0                                             499        8,400        X       X        09            700             0         7,700
0                                             166        2,800        X                12          2,800             0             0
0                                             152        2,551        X       X        12              0         2,551             0
-
0 GEORGIA GULF CORP             37320020      370       17,800        X                09         17,800             0             0
  COM PAR $0.01
-
0 GEORGIA PAC CORP              37329810       68        2,600        X                01              0             0         2,600
  COM GA PAC GRP
0                                              55        2,080        X                04          2,080             0             0
0                                               9          342        X       X        05            342             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  169  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,062       78,563        X                09         78,563             0             0
0                                           2,598       98,986        X       X        09         78,084         7,100        13,802
0                                              17          646        X       X        12              0           646             0
-
0 GEORGIA PAC CORP              37329870        1           57        X                08             57             0             0
  COM-TIMBER GRP
0                                             436       20,166        X                09         20,166             0             0
0                                             996       46,071        X       X        09         37,788         2,600         5,683
0                                               7          323        X       X        12              0           323             0
-
0 GERDAU S A                    37373710      142       11,200        X                09         11,200             0             0
  SPONSORED ADR
-
0 GETTY IMAGES INC              37427610    1,792       48,338        X                09         48,338             0             0
  COM
0                                             168        4,538        X       X        09          2,538             0         2,000
0                                             138        3,716        X                12          2,964             0           752
0                                              37        1,000        X       X        12              0         1,000             0
-
0 GILEAD SCIENCES INC           37555810    1,342       18,864        X                02              0             0        18,864
  COM
0                                             443        6,222        X                12          6,222             0             0
0                                           6,212       87,340        X       X        12              0        87,340             0
-
0 GILLETTE CO                   37576610      583       16,700        X                04         15,700             0         1,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  170  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             473       13,550        X       X        04          3,100             0        10,450
0                                             100        2,868        X       X        05          2,868             0             0
0                                          36,766    1,052,319        X                06      1,052,319             0             0
0                                          27,459      785,938        X                08        771,338         8,000         6,600
0                                          14,026      401,464        X       X        08        261,916        65,932        73,616
0                                          47,034    1,346,217        X                09      1,298,998           800        46,419
0                                          28,985      829,611        X       X        09        527,715       133,044       168,852
0                                             273        7,814        X       X        12              0         7,814             0
-
0 GLAXO WELLCOME PLC            37733W10      448        7,750        X                04          6,950             0           800
  SPONSORED ADR
0                                             283        4,903        X       X        04          2,200             0         2,703
0                                              29          500        X       X        05            500             0             0
0                                             176        3,040        X                08            240         2,800             0
0                                           1,445       25,000        X       X        08         18,400         6,600             0
0                                           4,520       78,175        X                09         69,975           400         7,800
0                                           7,825      135,346        X       X        09         44,058             0        91,288
0                                             130        2,250        X       X        12              0         2,250             0
-
0 GLENBOROUGH RLTY TR INC       37803P10      192       11,000        X       X        09          1,000             0        10,000
  COM
-
0 GLOBAL INDS LTD               37933610    2,684      142,200        X                09        142,200             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  171  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  GLOBAL MARINE INC             37935240   17,217      610,800        X                06        610,800             0             0
  COM
0                                               8          300        X                08            300             0             0
0                                              31        1,100        X       X        08          1,100             0             0
0                                          16,631      590,000        X                09        590,000             0             0
0                                              44        1,550        X       X        09          1,550             0             0
-
0 GLOBAL TELESYSTEMS INC        37936U10    1,067       88,420        X                09         88,420             0             0
  COM
0                                              12        1,000        X       X        09          1,000             0             0
-
0 GLOBO CABO S A                37957X10       14        1,000        X                05              0             0         1,000
  SPONSORED ADR
0                                              39        2,800        X       X        05              0             0         2,800
0                                           3,861      278,241        X                09        278,241             0             0
-
0 GLOBESPAN INC                 37957110    4,883       40,000        X                12              0             0        40,000
  COM
-
0 GOLD BANC CORP INC            37990710       55       11,067        X       X        12              0        11,067             0
  COM
-
0 GOAMERICA INC                 38020R10       77        5,000        X                09          5,000             0             0
  COM
0                                              55        3,563        X                12          3,563             0             0
0                                              84        5,450        X       X        12              0         5,450             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  172  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  GOLDEN ST BANCORP INC         38119710   13,797      766,501        X                09        766,500             0             1
  COM
-
0 GOLDEN ST VINTNERS INC        38121K20       88       21,400        X       X        12              0        21,400             0
  CL B
-
0 GOLDEN WEST FINL CORP DEL     38131710       14          341        X       X        05            341             0             0
  COM
0                                             660       16,167        X       X        08              0        16,167             0
0                                              34          821        X       X        09             32             0           789
0                                              98        2,400        X       X        12              0         2,400             0
-
0 GOLDMAN SACHS GROUP INC       38141G10    1,556       16,400        X                01              0             0        16,400
  COM
0                                              47          500        X       X        04              0           200           300
0                                               9          100        X                05              0             0           100
0                                               9          100        X       X        05              0             0           100
0                                              19          200        X       X        08              0           200             0
0                                           3,510       36,992        X                09         36,942            50             0
0                                           3,425       36,100        X       X        09         33,900             0         2,200
0                                             251        2,650        X       X        12              0         2,650             0
-
0 GOOD GUYS INC                 38209110      363      100,000        X                09        100,000             0             0
  COM
-
0 GOODRICH B F CO               38238810       34        1,000        X                09              0             0         1,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  173  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             233        6,845        X       X        09          5,296             0         1,549
-
0 GOODYEAR TIRE & RUBR CO       38255010      640       32,000        X                01              0             0        32,000
  COM
0                                              19          932        X                04            932             0             0
0                                              34        1,676        X       X        04          1,676             0             0
0                                              26        1,300        X       X        05          1,300             0             0
0                                               5          238        X       X        08            238             0             0
0                                             100        5,024        X                09          3,224             0         1,800
0                                             178        8,896        X       X        09          6,148             0         2,748
0                                              12          592        X       X        12              0           592             0
-
0 GO2NET INC                    38348610      403        8,000        X                09          8,000             0             0
  COM
0                                              50        1,000        X       X        09              0             0         1,000
0                                             503       10,000        X       X        12              0        10,000             0
-
0 GRACE W R & CO DEL NEW        38388F10       20        1,641        X       X        04              0         1,241           400
  COM
0                                             817       67,341        X                09         66,450           200           691
0                                               7          537        X       X        09              0             0           537
-
0 GRAINGER W W INC              38480210       66        2,150        X       X        08              0             0         2,150
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  174  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,304       42,330        X                09         41,530             0           800
0                                           3,118      101,182        X       X        09         78,036        10,300        12,846
0                                              62        2,000        X       X        12              0         2,000             0
-
0 GRANT PRIDECO INC             38821G10       24          950        X                08            950             0             0
  COM
0                                             778       31,100        X                09         31,100             0             0
0                                              17          668        X       X        09              0             0           668
-
0 GRAPHON CORP                  38870710        3          300        X       X        08            300             0             0
  COM
0                                              85       10,000        X                09         10,000             0             0
0                                               5          600        X       X        12              0           600             0
-
0 GREY WOLF INC                 39788810       50       10,000        X                08         10,000             0             0
  COM
0                                             875      175,000        X                09        175,000             0             0
-
0 GRIFFIN LD & NURSERIES INC    39823110      369       30,000        X       X        09         30,000             0             0
  CL A
-
0 GRUPO INDL DURANGO S A DE C   40048E10   10,676    1,120,000        X                01              0             0     1,120,000
  SPONSORED ADR
-
0 GRUPO IMSA S A DE C V         40048T10      280       19,400        X                09         19,400             0             0
  SPON ADR UNITS
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  175  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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 TELEVISA SA DE CV       40049J20      172        2,500        X                01              0             0         2,500
  SP ADR REP ORD
0                                           1,424       20,650        X                09         20,650             0             0
0                                              34          500        X       X        12              0           500             0
-
0 GTECH HLDGS CORP              40051810      737       32,500        X                09         32,500             0             0
  COM
-
0 GUIDANT CORP                  40169810    1,037       20,950        X                04         19,250             0         1,700
  COM
0                                             337        6,800        X       X        04          1,500           500         4,800
0                                           1,777       35,895        X       X        05         35,895             0             0
0                                          11,774      237,853        X                06        237,853             0             0
0                                          12,296      248,409        X                08        247,159             0         1,250
0                                           2,080       42,013        X       X        08         42,013             0             0
0                                          21,058      425,407        X                09        419,057         1,100         5,250
0                                           2,655       53,638        X       X        09         38,336             0        15,302
0                                              89        1,800        X       X        12              0         1,800             0
-
0 GUITAR CTR MGMT INC           40204010    5,449      518,910        X                03        518,910             0             0
  COM
0                                          48,186    4,589,164        X                07      4,589,164             0             0
-
0 GULF ISLAND FABRICATION INC   40230710    1,700      100,000        X       X        08        100,000             0             0
  COM
-
0 H & Q HEALTHCARE FD           40405210       31        1,000        X       X        09              0             0         1,000
  SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  176  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           3,187      103,235        X                12              0             0       103,235
0                                           1,780       57,656        X       X        12              0        57,656             0
-
0 H & Q LIFE SCIENCES INVS      40405310        3          100        X       X        08            100             0             0
  SH BEN INT
0                                           4,093      137,860        X                12              0             0       137,860
0                                           4,235      142,635        X       X        12              0       142,635             0
-
0 HCA-HEALTHCARE CO             40411910    1,067       35,115        X                01              0             0        35,115
  COM
0                                             179        5,900        X                04          5,400             0           500
0                                              82        2,700        X       X        04            700             0         2,000
0                                              47        1,549        X       X        05          1,099             0           450
0                                              12          400        X                08            400             0             0
0                                           2,099       69,105        X                09         62,913             0         6,192
0                                             666       21,925        X       X        09         15,927             0         5,998
-
0 HCC INS HLDGS INC             40413210    1,297       68,700        X                01              0             0        68,700
  COM
0                                              19        1,000        X                09              0           100           900
-
0 HNC SOFTWARE INC              40425P10      216        3,500        X                09          3,500             0             0
  COM
0                                              49          800        X       X        12              0           800             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  177  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  HRPT PPTYS TR                 40426W10       12        2,000        X                04          2,000             0             0
  COM SH BEN INT
0                                              37        6,000        X       X        04              0         6,000             0
0                                               3          500        X       X        08              0           500             0
0                                               9        1,500        X                09          1,500             0             0
-
0 HSB GROUP INC                 40428N10       78        2,505        X                09          2,505             0             0
  COM
0                                             247        7,943        X       X        09          7,943             0             0
-
0 HS RES INC                    40429710    9,243      308,100        X                01              0             0       308,100
  COM
0                                             192        6,400        X                09          6,400             0             0
-
0 HAIN CELESTIAL GROUP INC      40521710    2,612       71,200        X                09         71,200             0             0
  COM
0                                              11          300        X       X        12              0           300             0
-
0 HALLIBURTON CO                40621610    1,963       41,600        X                04         31,200             0        10,400
  COM
0                                             344        7,300        X       X        04          3,500         1,200         2,600
0                                              19          400        X                05            100             0           300
0                                           4,103       86,955        X       X        05         86,555             0           400
0                                          23,358      495,000        X                06        495,000             0             0
0                                           8,210      173,979        X                08        173,254             0           725
0                                           2,838       60,143        X       X        08         45,161         5,000         9,982
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  178  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          53,177    1,126,925        X                09      1,094,775         1,100        31,050
0                                           9,539      202,159        X       X        09        121,398         7,000        73,761
0                                             109        2,308        X       X        12              0         2,308             0
-
0 JOHN HANCOCK BK &THRIFT OPP   40973510        5          800        X       X        04            800             0             0
  SH BEN INT
0                                             182       27,200        X       X        09         26,000             0         1,200
0                                              33        5,000        X       X        12              0         5,000             0
-
0 HANCOCK JOHN FINL SVCS INC    41014S10       61        2,575        X                05          2,575             0             0
  COM
0                                              88        3,726        X                08          3,726             0             0
0                                              10          411        X       X        08            411             0             0
0                                           6,107      257,813        X                09        257,813             0             0
0                                               3          107        X       X        09              0             0           107
-
0 HANDLEMAN CO DEL              41025210      143       11,427        X       X        04         11,427             0             0
  COM
0                                             130       10,400        X                09         10,400             0             0
-
0 HANGER ORTHOPEDIC GROUP INC   41043F20    8,033    1,626,689        X                03        796,040             0       830,649
  COM NEW
-
0 HARCOURT GEN INC              41163G10      761       14,000        X                02              0             0        14,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  179  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,452       26,700        X                09         26,400           300             0
0                                             583       10,720        X       X        09         10,400             0           320
-
0 HARLAND JOHN H CO             41269310      482       32,300        X                09         32,300             0             0
  COM
-
0 HARLEY DAVIDSON INC           41282210      123        3,200        X                04              0             0         3,200
  COM
0                                              39        1,000        X       X        04              0         1,000             0
0                                              10          248        X       X        05            248             0             0
0                                              89        2,300        X                08          2,300             0             0
0                                              85        2,200        X       X        08          2,200             0             0
0                                          13,707      356,034        X                09        354,634             0         1,400
0                                             213        5,522        X       X        09          2,522             0         3,000
0                                             108        2,800        X       X        12              0         2,800             0
-
0 HARMAN INTL INDS INC          41308610   15,622      256,100        X                09        256,100             0             0
  COM
-
0 HARMONIC INC                  41316010    1,124       45,400        X                06         45,400             0             0
  COM
0                                           1,917       77,455        X       X        12              0        77,455             0
-
0 HARRAHS ENTMT INC             41361910        5          250        X                05              0             0           250
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  180  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,164        X       X        05            414             0           750
0                                           9,020      430,800        X                06        430,800             0             0
0                                           8,689      415,000        X                09        415,000             0             0
0                                              10          457        X       X        09              0             0           457
-
0 HARRIS CORP DEL               41387510       49        1,500        X                08          1,500             0             0
  COM
0                                          20,645      630,396        X                09        630,396             0             0
0                                             400       12,200        X       X        09          9,000             0         3,200
-
0 HARTE-HANKS INC               41619610      410       16,400        X       X        09              0        16,400             0
  COM
-
0 HARTFORD FINL SVCS GROUP INC  41651510      308        5,500        X                04          2,500             0         3,000
  COM
0                                              28          500        X                05              0             0           500
0                                              74        1,321        X       X        05          1,321             0             0
0                                              84        1,506        X                08          1,506             0             0
0                                               4           66        X       X        08              0             0            66
0                                           1,297       23,194        X                09         22,434             0           760
0                                           2,231       39,888        X       X        09         34,058           150         5,680
0                                              34          616        X       X        12              0           616             0
-
0 HARVEY ENTMT CO               41766210      394      126,000        X                03              0             0       126,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  181  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  HASBRO INC                    41805610      237       15,750        X                02              0             0        15,750
  COM
0                                           1,486       98,667        X                09         98,667             0             0
0                                              91        6,032        X       X        09          5,175             0           857
-
0 HAYES LEMMERZ INTL INC        42078110   15,441    1,280,000        X                03      1,100,974             0       179,026
  COM
-
0 HEALTH CARE PPTY INVS INC     42191510       68        2,500        X       X        05            500             0         2,000
  COM
0                                              55        2,000        X       X        08          2,000             0             0
0                                           5,916      217,083        X                09        204,623             0        12,460
0                                           1,483       54,409        X       X        09         37,910         4,300        12,199
0                                              40        1,450        X       X        12              0         1,450             0
-
0 HEALTHSOUTH CORP              42192410    1,012      140,842        X       X        05        140,842             0             0
  COM
0                                             615       85,522        X                09         74,137         2,400         8,985
0                                              78       10,822        X       X        09             41         1,000         9,781
-
0 HEALTH MGMT ASSOC INC NEW     42193310   15,164    1,160,800        X                06      1,160,800             0             0
  CL A
0                                             183       14,000        X       X        08              0             0        14,000
0                                          14,631    1,120,000        X                09      1,120,000             0             0
0                                              52        4,000        X       X        12              0         4,000             0
-
0 HEALTHCARE RLTY TR            42194610       26        1,500        X       X        04          1,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  182  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,100        X                08          1,100             0             0
0                                           3,377      197,921        X                09        197,921             0             0
-
0 HEADHUNTER NET INC            42207710      203       20,000        X                08         20,000             0             0
  COM
-
0 HEALTHEON WEBMD CORP          42220910        8          509        X                05            509             0             0
  COM
0                                              30        2,002        X                09          2,002             0             0
0                                              44        3,000        X       X        09          1,000             0         2,000
0                                             128        8,629        X                12          1,000             0         7,629
0                                             110        7,405        X       X        12              0         7,405             0
-
0 HEALTHCENTRAL COM             42221V10      110       36,546        X                12             43             0        36,503
  COM
0                                               2          800        X       X        12              0           800             0
-
0 HEARX LTD                     42236030      100       27,000        X                09         27,000             0             0
  COM NEW
-
0 HEINZ H J CO                  42307410    1,094       25,000        X                02              0             0        25,000
  COM
0                                           1,054       24,100        X                04         20,600             0         3,500
0                                             131        3,000        X       X        04          3,000             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  183  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              62        1,425        X                05            600             0           825
0                                           1,196       27,342        X       X        05         27,342             0             0
0                                           3,948       90,241        X                08         89,841             0           400
0                                           3,566       81,501        X       X        08         48,251           850        32,400
0                                          11,489      262,612        X                09        247,912         2,300        12,400
0                                          12,936      295,682        X       X        09        238,978         3,700        53,004
-
0 HELLENIC TELECOM ORGANIZATN   42332530      366       30,000        X                09              0             0        30,000
  SPONSORED ADR
-
0 HELMERICH & PAYNE INC         42345210      351        9,400        X                09          9,400             0             0
  COM
0                                             195        5,214        X       X        09          4,847             0           367
-
0 HERCULES INC                  42705610        1          102        X       X        05            102             0             0
  COM
0                                             266       18,900        X       X        08         11,700             0         7,200
0                                             176       12,518        X                09         12,518             0             0
0                                             250       17,776        X       X        09         17,230             0           546
-
0 HERSHEY FOODS CORP            42786610       19          400        X       X        04            400             0             0
  COM
0                                              52        1,075        X       X        05          1,075             0             0
0                                              47          970        X                08            970             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  184  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,911       39,400        X                09         33,400             0         6,000
0                                           1,790       36,900        X       X        09         18,574         1,800        16,526
0                                             131        2,700        X       X        12              0         2,700             0
-
0 HESKA CORP                    42805E10       61       28,882        X                12         28,882             0             0
  COM
-
0 HEWLETT PACKARD CO            42823610      920        7,369        X                04          6,769             0           600
  COM
0                                           1,105        8,850        X       X        04          4,600           400         3,850
0                                           1,349       10,800        X                05          7,300             0         3,500
0                                             511        4,090        X       X        05          3,390             0           700
0                                          52,901      423,632        X                06        423,632             0             0
0                                          45,147      361,539        X                08        356,789         3,600         1,150
0                                          17,700      141,743        X       X        08        113,443         7,850        20,450
0                                         114,543      917,263        X                09        881,613         3,100        32,550
0                                         137,962    1,104,801        X       X        09        642,515        15,960       446,326
0                                           1,366       10,941        X       X        12              0        10,941             0
-
0 HI / FN INC                   42835810    1,331       30,000        X                09         30,000             0             0
  COM
0                                           2,390       53,858        X       X        12              0        53,858             0
-
0 HIBERNIA CORP                 42865610      293       26,900        X                09         26,900             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  185  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  HIGHWOODS PPTYS INC           43128410       24        1,000        X       X        05              0             0         1,000
  COM
0                                              24        1,000        X                08          1,000             0             0
0                                           3,456      144,000        X                09        143,600             0           400
0                                             157        6,550        X       X        09          5,550         1,000             0
0                                              19          800        X       X        12              0           800             0
-
0 HILLENBRAND INDS INC          43157310       63        2,000        X                08          2,000             0             0
  COM
0                                             551       17,600        X       X        09          7,600         3,000         7,000
-
0 HILTON HOTELS CORP            43284810      311       33,209        X                08         33,209             0             0
  COM
0                                          12,904    1,376,400        X       X        08      1,376,400             0             0
0                                             427       45,500        X                09         45,500             0             0
0                                             186       19,810        X       X        09         19,000             0           810
0                                              28        2,966        X       X        12              0         2,966             0
-
0 HISPANIC BROADCASTING CORP    43357B10       66        2,000        X                04          2,000             0             0
  CL A
0                                           2,319       70,000        X                06         70,000             0             0
0                                           2,319       70,000        X                09         70,000             0             0
0                                              66        2,000        X       X        12              0         2,000             0
-
0 HITACHI LIMITED               43357850       56          390        X                05              0             0           390
  ADR 10 COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  186  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          260        X                08            260             0             0
0                                             454        3,150        X       X        09              0             0         3,150
-
0 HOLOGIC INC                   43644010       94       13,916        X                08         13,916             0             0
  COM
-
0 HOME DEPOT INC                43707610   11,213      224,547        X                04        194,269             0        30,278
  COM
0                                           2,106       42,177        X       X        04         25,326           400        16,451
0                                             885       17,728        X                05          8,375             0         9,353
0                                           3,212       64,319        X       X        05         64,019             0           300
0                                          76,065    1,523,187        X                06      1,523,187             0             0
0                                          60,982    1,221,147        X                08      1,203,322             0        17,825
0                                          18,953      379,528        X       X        08        304,719        62,884        11,925
0                                         171,574    3,435,731        X                09      3,258,176        43,155       134,400
0                                          73,013    1,462,076        X       X        09        648,243        34,250       779,583
0                                           3,847       77,031        X       X        12              0        77,031             0
-
0 HOME PRODS INTL INC           43730510    5,166    1,333,139        X                07      1,333,139             0             0
  COM
-
0 HOME PPTYS N Y INC            43730610    4,530      150,990        X                09        150,990             0             0
  COM
0                                              30        1,000        X       X        09              0             0         1,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  187  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  HOMEBASE INC                  43738E10      150       95,800        X                09         95,800             0             0
  COM
0                                               5        3,000        X       X        09          3,000             0             0
0                                               2        1,000        X       X        12              0         1,000             0
-
0 HOMEGROCER COM INC            43740K10    4,763      789,684        X                12             30             0       789,654
  COM
0                                               3          550        X       X        12              0           550             0
-
0 HONDA MOTOR LTD               43812830      437        6,350        X                09          6,000           350             0
  AMERN SHS
0                                              69        1,000        X       X        09              0             0         1,000
-
0 HONEYWELL INTL INC            43851610      524       15,550        X                04         14,810             0           740
  COM
0                                             658       19,546        X       X        04          5,666           900        12,980
0                                              27          800        X                05            600             0           200
0                                           1,627       48,302        X       X        05         47,502             0           800
0                                          24,351      722,845        X                06        722,845             0             0
0                                           7,028      208,618        X                08        208,018             0           600
0                                           3,647      108,252        X       X        08         55,006        12,210        41,036
0                                          53,525    1,588,848        X                09      1,576,495           762        11,591
0                                           9,362      277,907        X       X        09        188,573         2,208        87,126
0                                             100        2,982        X       X        12              0         2,982             0
-
0 HOOPER HOLMES INC             43910410    8,067    1,008,400        X                06      1,008,400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  188  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,216      277,000        X                08        277,000             0             0
0                                           6,458      807,300        X                09        806,600             0           700
-
0 HORACE MANN EDUCATORS CORP N  44032710        1           81        X                08             81             0             0
  COM
0                                               1           81        X       X        08              0             0            81
0                                             585       39,000        X                09         39,000             0             0
-
0 HOSPITALITY PPTYS TR          44106M10    1,497       66,331        X                09         66,331             0             0
  COM SH BEN INT
0                                              83        3,667        X       X        12              0         3,667             0
-
0 HOST MARRIOTT CORP NEW        44107P10       15        1,641        X                04              0             0         1,641
  COM
0                                           2,675      285,300        X                09        285,300             0             0
0                                             423       45,164        X       X        09              0             0        45,164
-
0 HOT TOPIC INC                 44133910      330       10,300        X                09         10,300             0             0
  COM
-
0 HOTEL RESERVATIONS NETWORK I  44145110    1,809       60,800        X                06         60,800             0             0
  CL A
0                                           1,232       41,400        X                09         41,400             0             0
-
0 HOUSEHOLD INTL INC            44181510    1,247       30,000        X                02              0             0        30,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  189  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             135        3,250        X       X        04          3,250             0             0
0                                              59        1,409        X       X        05          1,409             0             0
0                                          12,287      295,632        X                09        288,832             0         6,800
0                                           2,181       52,486        X       X        09         50,033             0         2,453
-
0 HUBBELL INC                   44351020      646       25,350        X       X        04         25,350             0             0
  CL B
0                                              10          400        X                05              0             0           400
0                                               2           61        X                08             61             0             0
0                                               2           62        X       X        08              0             0            62
0                                             107        4,200        X                09          3,600           600             0
0                                               2           80        X       X        09              0            80             0
-
0 HUDSON HOTELS CORP            44379410      198      225,573        X                09        225,573             0             0
  COM
-
0 HUMANA INC                    44485910        9        1,800        X                09              0             0         1,800
  COM
0                                              57       11,711        X       X        09          8,770             0         2,941
-
0 HUMAN GENOME SCIENCES INC     44490310    3,129       23,460        X                09         23,460             0             0
  COM
0                                               9           70        X       X        09              0             0            70
0                                             507        3,800        X                12          3,800             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  190  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,000        X       X        12              0         2,000             0
-
0 HUNTINGTON BANCSHARES INC     44615010       55        3,448        X       X        04              0             0         3,448
  COM
0                                              91        5,754        X                09          5,754             0             0
0                                              77        4,881        X       X        09              0             0         4,881
-
0 HUTCHINSON TECHNOLOGY INC     44840710      399       28,000        X                09         28,000             0             0
  COM
0                                             141        9,903        X                12          9,903             0             0
-
0 IDT CORP                      44894710    5,211      153,540        X       X        12              0       153,540             0
  COM
-
0 HYPERION SOLUTIONS CORP       44914M10    1,100       33,900        X                09         33,900             0             0
  COM
0                                             292        9,000        X       X        12              0         9,000             0
-
0 ICG COMMUNICATIONS INC        44924610    1,787       81,000        X                06         81,000             0             0
  COM
0                                             424       19,200        X                09         19,200             0             0
-
0 ICICI LTD                     44926P20      255       13,600        X                09         13,600             0             0
  SPONSORED ADR
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  191  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ICU MED INC                   44930G10      362       13,400        X                09         13,400             0             0
  COM
-
0 IDEC PHARMACEUTICALS CORP     44937010   23,873      203,500        X                06        203,500             0             0
  COM
0                                           4,684       39,930        X                08         39,930             0             0
0                                          16,811      143,300        X                09        143,100             0           200
-
0 IDX SYS CORP                  44949110      634       44,900        X       X        05         44,900             0             0
  COM
0                                               0           18        X                12             18             0             0
0                                             859       60,800        X       X        12              0        60,800             0
-
0 IGO CORP                      44959210      289       74,598        X                12          7,500             0        67,098
  COM
0                                             827      213,500        X       X        12              0       213,500             0
-
0 IMCO RECYCLING INC            44968110    3,505      644,500        X                01              0             0       644,500
  COM
-
0 IMS HEALTH INC                44993410      184       10,200        X       X        05         10,200             0             0
  COM
0                                           5,678      315,450        X                08        313,450             0         2,000
0                                           2,868      159,350        X       X        08         93,350        24,800        41,200
0                                          14,904      828,000        X                09        711,500           400       116,100
0                                           4,651      258,367        X       X        09        127,092        17,600       113,675
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  192  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          173        X       X        12              0           173             0
-
0 ISS GROUP INC                 45030610    1,306       13,224        X       X        04              0             0        13,224
  COM
0                                              10          102        X                08            102             0             0
0                                           4,177       42,304        X       X        12              0        42,304             0
-
0 ITC DELTACOM INC              45031T10   10,333      463,100        X                06        463,100             0             0
  COM
0                                           3,492      156,500        X                08        156,500             0             0
0                                           6,783      304,000        X                09        303,700             0           300
-
0 ISTAR FINL INC                45031U10      175        8,339        X                09          8,339             0             0
  COM
0                                              28        1,322        X       X        09          1,322             0             0
-
0 ITXC CORP                     45069F10  112,145    3,167,395        X                07      3,167,395             0             0
  COM
-
0 IXL ENTERPRISES INC           45071810       17        1,200        X                09          1,200             0             0
  COM
0                                         115,122    7,939,427        X                10      7,939,427             0             0
0                                               1           90        X                12             90             0             0
-
0 IBEAM BROADCASTING CORP       45073P10      180       10,000        X                08         10,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  193  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          525        X       X        12              0           525             0
-
0 IBASIS INC                    45073210      962       22,340        X                12          4,034             0        18,306
  COM
0                                             189        4,400        X       X        12              0         4,400             0
-
0 ITT INDS INC IND              45091110       27          900        X                05              0             0           900
  COM
0                                               6          205        X       X        05            205             0             0
0                                             820       26,988        X                09         26,988             0             0
0                                             234        7,713        X       X        09          6,026           150         1,537
0                                              22          720        X       X        12              0           720             0
-
0 IDACORP INC                   45110710      258        8,000        X       X        08          8,000             0             0
  COM
0                                             145        4,500        X                09          4,500             0             0
0                                              65        2,000        X       X        09          2,000             0             0
0                                              97        3,000        X       X        12              0         3,000             0
-
0 IKON OFFICE SOLUTIONS INC     45171310        3          748        X       X        05            748             0             0
  COM
0                                              20        5,100        X                09          2,100             0         3,000
0                                              16        4,108        X       X        09          3,500             0           608
0                                             296       76,368        X       X        12              0        76,368             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  194  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ILEX ONCOLOGY INC             45192310       50        1,426        X       X        04              0             0         1,426
  COM
0                                          18,542      526,028        X                07        526,028             0             0
0                                              49        1,399        X                12              0             0         1,399
-
0 ILLINOIS TOOL WKS INC         45230810      121        2,125        X                04          1,825             0           300
  COM
0                                             143        2,514        X       X        04          2,514             0             0
0                                              30          531        X       X        05            531             0             0
0                                           6,490      113,856        X                08        113,556             0           300
0                                           4,908       86,110        X       X        08         63,610        18,600         3,900
0                                          19,016      333,619        X                09        323,869           900         8,850
0                                           8,355      146,574        X       X        09        110,964         2,400        33,210
0                                           1,937       33,989        X       X        12              0        33,989             0
-
0 ILLUMINET HLDGS INC           45233410    1,145       22,500        X                09         22,500             0             0
  COM
-
0 IMAGEX COM INC                45244D10    2,094      345,336        X                12          4,356             0       340,980
  COM
0                                           1,040      171,500        X       X        12              0       171,500             0
-
0 IMATION CORP                  45245A10       12          395        X                04            395             0             0
  COM
0                                              12          400        X       X        04              0             0           400
0                                               4          130        X                08            130             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  195  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          100        X       X        08            100             0             0
0                                             703       23,935        X                09         23,855             0            80
0                                             123        4,187        X       X        09          2,487             0         1,700
-
0 IMCLONE SYS INC               45245W10    1,682       22,000        X                09              0             0        22,000
  COM
0                                             153        2,000        X       X        09              0             0         2,000
-
0 IMMERSION CORP                45252110    1,140       38,000        X                09         38,000             0             0
  COM
0                                          13,701      456,700        X       X        12              0       456,700             0
-
0 IMMUNEX CORP NEW              45252810       28          561        X                09              0             0           561
  COM
0                                              59        1,200        X       X        09              0             0         1,200
0                                           2,230       45,100        X       X        12              0        45,100             0
-
0 IMPERIAL BANCORP              45255610      303       19,464        X                09         19,464             0             0
  COM
-
0 IMPERIAL OIL LTD              45303840       25        1,026        X                09          1,026             0             0
  COM NEW
0                                             390       16,000        X       X        09         12,000             0         4,000
-
0 IMPROVENET INC                45321E10      540      216,088        X                12              0             0       216,088
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  196  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  IMPSAT FIBER NETWORKS INC     45321T10      335       20,000        X                09         20,000             0             0
  COM
-
0 INCYTE GENOMICS INC           45337C10       41          500        X                04            500             0             0
  COM
0                                           1,027       12,500        X                06         12,500             0             0
0                                              32          385        X                08            385             0             0
0                                             740        9,000        X                12          9,000             0             0
0                                           5,451       66,325        X       X        12              0        66,325             0
-
0 INDEPENDENCE CMNTY BK CORP    45341410      365       27,526        X                09         27,526             0             0
  COM
0                                              76        5,758        X       X        09          5,758             0             0
-
0 INFERENCE CORP                45662K10      128       16,000        X                09         16,000             0             0
  CL A
-
0 INFINEON TECHNOLOGIES AG      45662N10    2,572       32,460        X                09         32,460             0             0
  SPONSORED ADR
-
0 INFINITY BROADCASTING CP NEW  45662S10   24,996      686,000        X                09        686,000             0             0
  CL A
0                                             106        2,900        X       X        09          1,900             0         1,000
0                                             109        3,005        X       X        12              0         3,005             0
-
0 INET TECHNOLOGIES INC         45662V10    9,922      182,900        X                06        182,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  197  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       49,750        X                08         49,750             0             0
0                                           8,818      162,550        X                09        162,450             0           100
0                                              10          191        X                12            191             0             0
-
0 INFORMIX CORP                 45677910       30        4,000        X                09          4,000             0             0
  COM
0                                               1          200        X       X        09              0             0           200
0                                             298       40,000        X                12         40,000             0             0
0                                           2,225      299,200        X       X        12              0       299,200             0
-
0 INFOSPACE INC                 45678T10      109        1,967        X                12          1,600             0           367
  COM
0                                          12,506      226,352        X       X        12              0       226,352             0
-
0 INFOSYS TECHNOLOGIES LTD      45678810    5,229       29,500        X                09         29,500             0             0
  SPONSORED ADR
-
0 INFOUSA INC NEW               45681830      216       33,161        X                12         33,161             0             0
  COM
0                                             143       22,000        X       X        12              0        22,000             0
-
0 ING GROEP N V                 45683710       29          425        X                05              0             0           425
  SPONSORED ADR
0                                              27          400        X       X        08            400             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  198  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             157        2,333        X                09            500             0         1,833
-
0 INGENUUS CORP                 45684610       16       11,165        X                12         11,165             0             0
  COM
0                                              24       16,125        X       X        12              0        16,125             0
-
0 INGERSOLL-RAND CO             45686610      424       10,532        X                04         10,532             0             0
  COM
0                                             131        3,250        X       X        04              0           750         2,500
0                                           1,771       44,000        X       X        05         44,000             0             0
0                                           3,546       88,110        X                08         86,010             0         2,100
0                                           4,004       99,472        X       X        08         67,636        29,257         2,579
0                                           4,412      109,606        X                09        104,656             0         4,950
0                                           3,205       79,622        X       X        09         72,749           900         5,973
-
0 INHALE THERAPEUTIC SYS INC    45719110   17,037      167,900        X                06        167,900             0             0
  COM
0                                           4,309       42,470        X                08         42,470             0             0
0                                          11,258      110,950        X                09        110,800           100            50
0                                              51          500        X       X        09              0             0           500
0                                             101        1,000        X       X        12              0         1,000             0
-
0 INKTOMI CORP                  45727710    3,039       25,700        X                01              0             0        25,700
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  199  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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           50        X                08             50             0             0
0                                          10,040       84,905        X       X        08         84,905             0             0
0                                           2,576       21,787        X                09         21,787             0             0
0                                           2,118       17,910        X       X        09         15,410         2,500             0
0                                             765        6,470        X                12          6,470             0             0
0                                          41,274      349,040        X       X        12              0       349,040             0
-
0 INNKEEPERS USA TR             4576J010      966      105,900        X                09        105,900             0             0
  COM
-
0 INSIGHT ENTERPRISES INC       45765U10    1,637       27,600        X                09         27,600             0             0
  COM
-
0 INSO CORP                     45767410       81       15,600        X       X        09              0             0        15,600
  COM
-
0 INSPIRE INS SOLUTIONS INC     45773210    2,058      685,931        X       X        12              0       685,931             0
  COM
-
0 INSURED MUN INCOME FD         45809F10        4          300        X       X        04            300             0             0
  COM
0                                             336       28,000        X                08         28,000             0             0
-
0 INTEGRATED CIRCUIT SYS INC    45811K20    2,170      126,725        X                09        126,725             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  200  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  INTEGRATED DEVICE TECHNOLOGY  45811810    1,395       23,300        X                09         23,300             0             0
  COM
0                                             389        6,500        X       X        12              0         6,500             0
-
0 INTEGRATED SILICON SOLUTION   45812P10      604       15,900        X                09         15,900             0             0
  COM
-
0 INTEL CORP                    45814010    1,725       12,900        X                01              0             0        12,900
  COM
0                                          16,952      126,799        X                04        112,418             0        14,381
0                                           9,033       67,570        X       X        04         24,500         7,400        35,670
0                                           2,205       16,495        X                05         10,100             0         6,395
0                                           9,557       71,487        X       X        05         70,487             0         1,000
0                                         303,562    2,270,673        X                06      2,270,673             0             0
0                                         203,113    1,519,307        X                08      1,501,257         8,400         9,650
0                                          90,070      673,735        X       X        08        502,875        58,360       112,500
0                                         574,477    4,297,147        X                09      4,120,944        30,898       145,305
0                                         361,812    2,706,390        X       X        09      1,635,469        62,292     1,008,629
0                                             187        1,400        X                12          1,400             0             0
0                                          45,777      342,413        X       X        12              0       342,413             0
-
0 INTELECT COMMUNICATIONS INC   45814410       76       33,036        X                12              0             0        33,036
  COM
-
0 INTER TEL INC                 45837210        2          100        X       X        08              0           100             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  201  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,565       97,400        X                09         97,400             0             0
-
0 INTERCEPT GROUP INC           45845L10      869       51,100        X                09         51,100             0             0
  COM
-
0 INTERDENT INC                 45865R10    3,869    1,085,867        X                10              0             0     1,085,867
  COM
-
0 INTERIM SVCS INC              45868P10      245       13,800        X                09         13,800             0             0
  COM
0                                              73        4,100        X       X        09          4,100             0             0
-
0 INTERLINQ SOFTWARE CORP       45875310      387      171,950        X                12              0             0       171,950
  COM
-
0 INTERNAP NETWORK SVCS CORP    45885A10       42        1,000        X       X        09              0         1,000             0
  COM
0                                             495       11,925        X                12         11,925             0             0
0                                           2,333       56,200        X       X        12              0        56,200             0
-
0 INTERMUNE PHARMACEUTICALS IN  45885B10    4,980      120,533        X                12            533             0       120,000
  COM
0                                               8          200        X       X        12              0           200             0
-
0 INTERNATIONAL BUSINESS MACHS  45920010       66          600        X                01              0             0           600
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  202  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          12,299      112,255        X                04         95,579             0        16,676
0                                           7,245       66,124        X       X        04         44,024         7,100        15,000
0                                             942        8,597        X                05          7,400             0         1,197
0                                           2,853       26,036        X       X        05         24,236             0         1,800
0                                         140,802    1,285,128        X                06      1,285,128             0             0
0                                          93,676      854,993        X                08        853,793             0         1,200
0                                          28,408      259,281        X       X        08        213,261        22,320        23,700
0                                         462,090    4,217,575        X                09      4,101,375        19,060        97,140
0                                         756,488    6,904,596        X       X        09      3,841,903        72,014     2,990,679
0                                           2,964       27,051        X       X        12              0        27,051             0
-
0 INTERNATIONAL FLAVORS&FRAGRA  45950610        1           25        X       X        05             25             0             0
  COM
0                                              51        1,700        X                08          1,700             0             0
0                                             405       13,400        X                09         12,500             0           900
0                                           1,039       34,434        X       X        09         31,725             0         2,709
-
0 INTERNATIONAL HOME FOODS INC  45965510   25,687    1,226,833        X                03      1,226,833             0             0
  COM
0                                              37        1,750        X       X        09              0             0         1,750
-
0 INTERNATIONAL GAME TECHNOLOG  45990210    1,116       42,121        X       X        05         42,121             0             0
  COM
0                                               3          111        X                09              0             0           111
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  203  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  INTL PAPER CO                 46014610       78        2,600        X                01              0             0         2,600
  COM
0                                           2,080       69,782        X                02              0             0        69,782
0                                             494       16,579        X                04         15,595             0           984
0                                             121        4,048        X       X        04            208           800         3,040
0                                             165        5,550        X                05          3,500             0         2,050
0                                           1,292       43,350        X       X        05         42,900             0           450
0                                          20,811      698,050        X                06        698,050             0             0
0                                           3,403      114,150        X                08        114,150             0             0
0                                           1,601       53,697        X       X        08         43,897         4,200         5,600
0                                          27,027      906,553        X                09        897,020         1,100         8,433
0                                           5,543      185,941        X       X        09        144,369         4,834        36,738
0                                               3          114        X       X        12              0           114             0
-
0 INTERNET CAP GROUP INC        46059C10   34,703      937,500        X                01              0             0       937,500
  COM
0                                             489       13,200        X                09         13,200             0             0
0                                             355        9,600        X       X        09            300           800         8,500
0                                           6,537      176,592        X                12         20,596             0       155,996
0                                           2,117       57,200        X       X        12              0        57,200             0
-
0 INTERNET PICTURES CORP        46059S10       41        2,700        X                09          2,700             0             0
  COM
0                                             159       10,517        X                12         10,517             0             0
0                                           1,857      122,750        X       X        12              0       122,750             0
-
0 INTERPUBLIC GROUP COS INC     46069010      860       20,000        X                01              0             0        20,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  204  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              73        1,700        X                04          1,700             0             0
0                                             139        3,240        X       X        04            300             0         2,940
0                                             172        4,000        X                05              0             0         4,000
0                                              20          469        X       X        05            469             0             0
0                                              90        2,100        X                08          2,100             0             0
0                                             603       14,030        X       X        08         14,030             0             0
0                                           8,613      200,298        X                09        169,574            82        30,642
0                                          11,496      267,339        X       X        09        144,773         2,000       120,566
-
0 INTRANET SOLUTIONS INC        46093930    2,072       54,000        X                09         54,000             0             0
  COM NEW
-
0 INTERNET COM CORP             46096710       24        1,225        X                12          1,225             0             0
  COM
0                                           1,122       56,970        X       X        12              0        56,970             0
-
0 INTERVOICE-BRITE INC          46114210      459       70,000        X       X        04              0             0        70,000
  COM
-
0 INTUITIVE SURGICAL INC        46120E10    1,274      135,000        X                09        135,000             0             0
  COM
-
0 INTUIT                        46120210       41        1,000        X                05              0             0         1,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  205  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,490       60,190        X                08         60,190             0             0
0                                           2,538       61,350        X       X        08         51,350        10,000             0
0                                             907       21,925        X                09         21,325             0           600
0                                           1,233       29,800        X       X        09            800             0        29,000
0                                              12          278        X                12            278             0             0
0                                             182        4,400        X       X        12              0         4,400             0
-
0 INVACARE CORP                 46120310       79        3,000        X                09          3,000             0             0
  COM
0                                             142        5,400        X       X        09          5,400             0             0
-
0 INVESTMENT TECHNOLOGY GRP NE  46145F10      233        5,900        X                09          5,900             0             0
  COM
-
0 INVITROGEN CORP               46185R10       62          825        X       X        09            825             0             0
  COM
0                                             613        8,155        X                12          8,155             0             0
-
0 INVESTORS FINL SERVICES CORP  46191510   19,272      485,600        X                06        485,600             0             0
  COM
0                                           4,473      112,700        X                08        112,700             0             0
0                                          13,018      328,000        X                09        327,800             0           200
0                                              10          260        X       X        09            260             0             0
-
0 IOMEGA CORP                   46203010      319       79,800        X                09         79,800             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  206  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  ION NETWORKS INC              46205P10       28        9,000        X       X        09              0         9,000             0
  COM
0                                               0           53        X                12             53             0             0
0                                               3        1,000        X       X        12              0         1,000             0
-
0 IPALCO ENTERPRISES INC        46261310       60        3,000        X       X        08          3,000             0             0
  COM
0                                             669       33,252        X       X        09         33,252             0             0
-
0 IRELAND BK                    46267Q10       26        1,000        X                04          1,000             0             0
  SPONSORED ADR
0                                             496       19,300        X       X        04              0             0        19,300
0                                             470       18,300        X                09         17,300         1,000             0
-
0 IRON MTN INC PA               46284610   19,288      567,300        X                06        567,300             0             0
  COM
0                                           4,932      145,050        X                08        145,050             0             0
0                                          11,310      332,650        X                09        332,300             0           350
0                                              40        1,172        X       X        09          1,172             0             0
-
0 IT GROUP INC                  46526610      149       30,600        X                09         30,600             0             0
  COM
-
0 I3 MOBILE INC                 46571310      129        7,000        X                09          7,000             0             0
  COM
0                                              70        3,800        X       X        12              0         3,800             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  207  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  I2 TECHNOLOGIES INC           46575410      203        1,950        X                01              0             0         1,950
  COM
0                                               2           20        X                08             20             0             0
0                                             261        2,500        X       X        08              0             0         2,500
0                                             128        1,225        X       X        09            425           200           600
0                                             387        3,711        X                12          3,200             0           511
0                                           8,768       84,092        X       X        12              0        84,092             0
-
0 IVAX CORP                     46582310      687       16,550        X                09         16,550             0             0
  COM
0                                              62        1,500        X       X        09              0             0         1,500
-
0 JDS UNIPHASE CORP             46612J10    3,409       28,440        X                02              0             0        28,440
  COM
0                                           3,165       26,400        X                04         25,300             0         1,100
0                                             168        1,400        X       X        04            800           200           400
0                                             599        5,000        X                05          2,500             0         2,500
0                                          10,583       88,280        X       X        05         88,000             0           280
0                                          35,741      298,150        X                06        298,150             0             0
0                                          17,596      146,790        X                08        145,490             0         1,300
0                                           1,906       15,900        X       X        08         12,550         2,750           600
0                                          95,739      798,656        X                09        769,891         8,300        20,465
0                                          12,072      100,705        X       X        09         65,025        11,750        23,930
0                                             175        1,461        X                12          1,461             0             0
0                                          10,558       88,079        X       X        12              0        88,079             0
-
0 JDA SOFTWARE GROUP INC        46612K10      169        8,800        X                09          8,800             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  208  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              22        1,169        X                12          1,169             0             0
0                                              19        1,000        X       X        12              0         1,000             0
-
0 JLG INDS INC                  46621010       48        4,000        X       X        08          4,000             0             0
  COM
0                                             504       42,400        X                09         42,400             0             0
0                                              48        4,000        X       X        09          4,000             0             0
-
0 JMAR TECHNOLOGIES INC         46621210      256       50,000        X                09         50,000             0             0
  COM
-
0 JNI CORP                      46622G10      256        8,100        X                12          8,100             0             0
  COM
0                                             403       12,750        X       X        12              0        12,750             0
-
0 JP REALTY INC                 46624A10    2,015      113,100        X                09        113,100             0             0
  COM
-
0 JACK IN THE BOX INC           46636710   20,562      835,000        X                06        835,000             0             0
  COM
0                                           6,142      249,425        X                08        249,425             0             0
0                                          12,432      504,850        X                09        504,250             0           600
-
0 JACOBS ENGR GROUP INC DEL     46981410    6,052      185,150        X                06        185,150             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  209  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,843       56,375        X                08         56,375             0             0
0                                           4,655      142,400        X                09        142,300             0           100
0                                              25          750        X       X        09              0             0           750
-
0 JAZZTEL P L C                 47214R15      343       13,050        X                09         13,050             0             0
  SPONSORED ADR
-
0 JEFFERIES GROUP INC NEW       47231910      323       16,000        X                09         16,000             0             0
  COM
-
0 JEFFERSON PILOT CORP          47507010      301        5,330        X       X        04              0             0         5,330
  COM
0                                              41          729        X       X        05            729             0             0
0                                              51          900        X                09            900             0             0
0                                             128        2,264        X       X        09            182         1,575           507
-
0 JO-ANN STORES INC             47758P10      210       30,000        X                09         30,000             0             0
  CL A
-
0 JO-ANN STORES INC             47758P20      229       30,000        X                09         30,000             0             0
  CL B NON VTG
-
0 JOHNS MANVILLE CORP NEW       47812910      141       10,700        X       X        09         10,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  210  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  JOHNSON & JOHNSON             47816010    4,263       41,850        X                04         33,500             0         8,350
  COM
0                                           4,756       46,682        X       X        04         15,050         1,942        29,690
0                                           1,355       13,300        X                05          8,000             0         5,300
0                                           1,938       19,027        X       X        05         18,627             0           400
0                                          69,477      681,987        X                06        681,987             0             0
0                                          78,098      766,603        X                08        762,753         2,400         1,450
0                                          39,364      386,399        X       X        08        289,842        29,643        66,914
0                                         246,572    2,420,338        X                09      2,305,496         4,862       109,980
0                                         302,920    2,973,450        X       X        09      1,874,249        86,650     1,012,551
0                                           1,969       19,329        X       X        12              0        19,329             0
-
0 JOHNSON CTLS INC              47836610      546       10,650        X                04          9,350             0         1,300
  COM
0                                              46          900        X       X        04            900             0             0
0                                              53        1,040        X                05          1,040             0             0
0                                              70        1,360        X       X        05            840             0           520
0                                             177        3,450        X                08          3,450             0             0
0                                           7,481      145,785        X                09        138,735             0         7,050
0                                           1,600       31,180        X       X        09         21,500         2,500         7,180
-
0 JONES APPAREL GROUP INC       48007410   10,107      430,100        X                06        430,100             0             0
  COM
0                                           9,809      417,400        X                09        415,000             0         2,400
0                                              23          990        X       X        09              0             0           990
-
0 JUNIPER NETWORKS INC          48203R10    2,766       19,000        X       X        05         19,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  211  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          200        X                08              0             0           200
0                                             175        1,200        X       X        08          1,200             0             0
0                                             961        6,600        X                09          6,600             0             0
0                                             211        1,450        X       X        09            100           350         1,000
0                                          10,517       72,249        X       X        12              0        72,249             0
-
0 JUNO ONLINE SVCS INC          48204810        0            6        X                12              6             0             0
  COM
0                                             134       12,500        X       X        12              0        12,500             0
-
0 KLA-TENCOR CORP               48248010      893       15,250        X                04         14,850             0           400
  COM
0                                              70        1,200        X                05            500             0           700
0                                              26          443        X       X        05            443             0             0
0                                          70,355    1,201,348        X                06      1,201,348             0             0
0                                          18,532      316,448        X                08        315,448             0         1,000
0                                             546        9,325        X       X        08          9,325             0             0
0                                          57,257      977,696        X                09        968,071           300         9,325
0                                             318        5,424        X       X        09          3,998             0         1,426
0                                             218        3,720        X       X        12              0         3,720             0
-
0 K MART CORP                   48258410      109       16,000        X                02              0             0        16,000
  COM
0                                               4          522        X       X        05            522             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  212  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              68       10,000        X                08         10,000             0             0
0                                              82       12,000        X       X        08         12,000             0             0
0                                             292       42,860        X                09         35,260             0         7,600
0                                             212       31,172        X       X        09         27,766             0         3,406
-
0 K V PHARMACEUTICAL CO         48274020    1,454       54,850        X                06         54,850             0             0
  CL A
0                                             101        3,800        X                08          3,800             0             0
0                                             159        6,000        X       X        08          6,000             0             0
0                                             265       10,000        X                09         10,000             0             0
-
0 KAISER ALUMINUM CORP          48300710       40       10,000        X       X        12              0        10,000             0
  COM
-
0 KAMAN CORP                    48354810      263       24,600        X                09         24,600             0             0
  CL A
-
0 KANA COMMUNICATIONS           48360010   18,563      300,000        X                01              0             0       300,000
  COM
0                                              31          500        X                12            500             0             0
0                                             983       15,890        X       X        12              0        15,890             0
-
0 KANSAS CITY SOUTHN INDS INC   48517010       25          285        X       X        05            285             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  213  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          37,267      420,200        X                09        420,200             0             0
0                                           1,103       12,435        X       X        09         12,147             0           288
-
0 KAYE GROUP INC                48658910    1,472      253,248        X       X        03        253,248             0             0
  COM
-
0 KELLOGG CO                    48783610       27          900        X                04            900             0             0
  COM
0                                              15          500        X                05            500             0             0
0                                               3          111        X       X        05            111             0             0
0                                           1,146       38,506        X                08         38,506             0             0
0                                           2,202       74,010        X       X        08         31,085         7,325        35,600
0                                           5,984      201,157        X                09        196,457             0         4,700
0                                           4,870      163,685        X       X        09        131,161         4,400        28,124
-
0 KELLWOOD CO                   48804410      309       14,650        X                02              0             0        14,650
  COM
0                                           1,304       61,733        X                09         47,600             0        14,133
0                                              39        1,833        X       X        09              0             0         1,833
-
0 KEMET CORP                    48836010       20          800        X       X        04              0             0           800
  COM
0                                             291       11,600        X                09         11,600             0             0
-
0 KENNAMETAL INC                48917010       21        1,000        X                08          1,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  214  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             379       17,700        X       X        08         17,700             0             0
0                                             145        6,750        X                09          4,550             0         2,200
0                                              60        2,800        X       X        09          2,800             0             0
-
0 KENSEY NASH CORP              49005710      467       42,000        X                09         42,000             0             0
  COM
-
0 KERR MCGEE CORP               49238610       22          365        X       X        05            365             0             0
  COM
0                                             988       16,769        X       X        08         16,769             0             0
0                                           2,163       36,700        X                09         36,700             0             0
0                                             327        5,544        X       X        09          5,153             0           391
-
0 KEYCORP NEW                   49326710        6          340        X                04              0             0           340
  COM
0                                              46        2,604        X       X        04          1,204         1,400             0
0                                               7          400        X                05              0             0           400
0                                              23        1,279        X       X        05            279             0         1,000
0                                              14          800        X                08            800             0             0
0                                             400       22,714        X       X        08         13,314             0         9,400
0                                           3,317      188,176        X                09        187,676             0           500
0                                           1,380       78,286        X       X        09         55,770             0        22,516
0                                              34        1,922        X       X        12              0         1,922             0
-
0 KEYSPAN CORP                  49337W10       46        1,496        X                04              0             0         1,496
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  215  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             268        8,729        X       X        04              0         1,777         6,952
0                                           1,033       33,595        X                09         30,383             0         3,212
0                                           1,688       54,898        X       X        09         30,801           758        23,339
-
0 KIMBERLY CLARK CORP           49436810    3,064       53,400        X                02              0             0        53,400
  COM
0                                             425        7,400        X                04          5,500             0         1,900
0                                             574       10,000        X       X        04          2,400         3,600         4,000
0                                             273        4,750        X                05          2,900             0         1,850
0                                             141        2,460        X       X        05          1,860             0           600
0                                           4,928       85,891        X                06         85,891             0             0
0                                           8,585      149,635        X                08        146,835             0         2,800
0                                          10,319      179,846        X       X        08         87,226           900        91,720
0                                          22,739      396,317        X                09        384,746         1,000        10,571
0                                          12,471      217,359        X       X        09        173,345        11,700        32,314
0                                             125        2,170        X       X        12              0         2,170             0
-
0 KIMCO REALTY CORP             49446R10    1,712       41,750        X                09         41,750             0             0
  COM
0                                              29          700        X       X        09            200             0           500
-
0 KINDER MORGAN ENERGY PARTNER  49455010       40        1,000        X                04              0             0         1,000
  UT LTD PARTNER
0                                              56        1,398        X                08          1,398             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  216  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              80        2,000        X       X        08          2,000             0             0
0                                             331        8,300        X                09          8,300             0             0
0                                             140        3,500        X       X        09              0         3,000           500
0                                              56        1,390        X       X        12              0         1,390             0
-
0 KING PHARMACEUTICALS INC      49558210   47,010    1,071,450        X                06      1,071,450             0             0
  COM
0                                           6,507      148,311        X                08        148,311             0             0
0                                          37,587      856,688        X                09        856,350             0           338
-
0 KMART FING I                  49877820      911       25,000        X                01              0             0        25,000
  PFD TRCV 7.75%
0                                             583       16,000        X                08         16,000             0             0
0                                             197        5,400        X       X        08          1,500           400         3,500
-
0 KNIGHT RIDDER INC             49904010   71,999    1,353,678        X                09      1,353,678             0             0
  COM
0                                              20          382        X       X        09              0             0           382
-
0 KNIGHT TRADING GROUP INC      49906310   10,515      352,700        X                06        352,700             0             0
  COM
0                                          10,139      340,100        X                09        340,100             0             0
-
0 KOHLS CORP                    50025510      481        8,650        X                04          7,650             0         1,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  217  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              79        1,420        X       X        04              0         1,000           420
0                                              40          714        X       X        05            714             0             0
0                                             140        2,520        X                08          2,520             0             0
0                                             912       16,400        X       X        08         16,400             0             0
0                                           2,165       38,925        X                09         36,225           900         1,800
0                                             281        5,048        X       X        09          3,894             0         1,154
-
0 KONINKLIJKE AHOLD N V         50046730      176        6,000        X                05              0             0         6,000
  SPON ADR NEW
0                                              23          800        X       X        05              0             0           800
0                                              73        2,484        X       X        08          2,484             0             0
0                                              70        2,401        X                09              0             0         2,401
-
0 KONOVER PPTY TR INC           50047R10    1,033      217,391        X       X        10        217,391             0             0
  COM
-
0 KONINKLIJKE PHILIPS ELECTRS   50047220      117        2,472        X                04          1,472             0         1,000
  SPON ADR NEW
0                                             501       10,544        X                08         10,544             0             0
0                                          12,207      256,980        X                09        216,544           700        39,736
0                                           2,238       47,112        X       X        09         31,648             0        15,464
0                                              41          868        X       X        12              0           868             0
-
0 KOREA TELECOM                 50063P10      965       19,938        X                09         19,938             0             0
  SPONSORED ADR
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  218  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        6,000        X       X        09              0             0         6,000
-
0 KRISPY KREME DOUGHNUTS INC    50101410      132        1,800        X                04          1,800             0             0
  COM
0                                              15          200        X                08            200             0             0
0                                             676        9,200        X                09          9,200             0             0
0                                              26          350        X       X        12              0           350             0
-
0 KROGER CO                     50104410    2,022       91,650        X                04         81,650             0        10,000
  COM
0                                             154        7,000        X       X        04          7,000             0             0
0                                              75        3,400        X                05          3,400             0             0
0                                           2,038       92,388        X       X        05         91,688             0           700
0                                           6,466      293,089        X                06        293,089             0             0
0                                           5,797      262,750        X                08        251,650             0        11,100
0                                             964       43,700        X       X        08         35,200         8,500             0
0                                          28,566    1,294,744        X                09      1,205,670         7,600        81,474
0                                           5,913      267,985        X       X        09        138,469           700       128,816
-
0 KRONOS INC                    50105210      174        6,700        X                09          6,700             0             0
  COM
0                                              29        1,115        X       X        09              0             0         1,115
0                                              78        3,000        X                12          3,000             0             0
0                                           1,300       50,000        X       X        12              0        50,000             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  219  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  KULICKE & SOFFA INDS INC      50124210      232        3,900        X                09          3,900             0             0
  COM
-
0 LG&E ENERGY CORP              50191710       24        1,002        X       X        04          1,002             0             0
  COM
0                                              74        3,100        X                09          3,100             0             0
0                                             208        8,707        X       X        09          8,707             0             0
-
0 LTV CORP NEW                  50192110      365      126,908        X                09        126,908             0             0
  COM
-
0 LNR PPTY CORP                 50194010      456       23,400        X                09         23,400             0             0
  COM
-
0 LSI LOGIC CORP                50216110      108        2,000        X                04          2,000             0             0
  COM
0                                              35          650        X       X        05            650             0             0
0                                              18          325        X                06            325             0             0
0                                              27          500        X       X        08            500             0             0
0                                             520        9,600        X                09          9,600             0             0
0                                             150        2,774        X       X        09            396             0         2,378
0                                             823       15,208        X       X        12              0        15,208             0
-
0 LTC PPTYS INC                 50217510       24        4,000        X       X        08          4,000             0             0
  COM
0                                              16        2,700        X                09          2,700             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  220  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        7,300        X       X        09          5,800             0         1,500
-
0 LTX CORP                      50239210      842       24,100        X                09         24,100             0             0
  COM
-
0 LA JOLLA PHARMACEUTICAL CO    50345910       62       15,000        X                03         15,000             0             0
  COM
0                                           2,153      521,828        X       X        03        521,828             0             0
-
0 LABRANCHE & CO INC            50544710      999       69,500        X                09         69,500             0             0
  COM
-
0 LACLEDE GAS CO                50558810    4,273      221,950        X                06        221,950             0             0
  COM
0                                           1,383       71,825        X                08         71,825             0             0
0                                           3,214      166,950        X                09        166,750             0           200
-
0 LAFARGE CORP                  50586210      265       12,600        X                09         12,600             0             0
  COM
-
0 LAKEHEAD PIPE LINE PARTNERS   51155710        6          150        X                08            150             0             0
  COM UNIT-CL A
0                                             146        3,650        X                09          3,650             0             0
0                                             421       10,500        X       X        09          2,600         2,000         5,900
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  221  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LAM RESEARCH CORP             51280710    2,250       60,000        X                02              0             0        60,000
  COM
0                                           3,715       99,063        X                09         84,383             0        14,680
0                                             491       13,105        X       X        09          6,525             0         6,580
0                                              64        1,701        X       X        12              0         1,701             0
-
0 LANDACORP INC                 51475610      181       40,234        X                12         40,234             0             0
  COM
0                                             402       89,400        X       X        12              0        89,400             0
-
0 LANDEC CORP                   51476610    7,295    1,341,527        X                07      1,306,817             0        34,710
  COM
-
0 LANDRYS SEAFOOD RESTAURANTS   51508L10        9        1,000        X       X        08          1,000             0             0
  COM
0                                             142       16,700        X                09         16,700             0             0
-
0 LANDSTAR SYS INC              51509810      161        2,700        X                09          2,700             0             0
  COM
0                                             119        2,000        X       X        09              0             0         2,000
-
0 LASER-PACIFIC MEDIA CORP      51792310    2,405      512,993        X                09        512,993             0             0
  COM
-
0 LASALLE HOTEL PPTYS           51794210      288       20,000        X       X        12              0        20,000             0
  COM SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  222  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LATITUDE COMMUNICATIONS INC   51829210       15        1,339        X                12          1,339             0             0
  COM
0                                             266       23,800        X       X        12              0        23,800             0
-
0 LAUDER ESTEE COS INC          51843910       20          400        X                04            400             0             0
  CL A
0                                              20          400        X                05              0             0           400
0                                              30          600        X       X        05              0             0           600
0                                           3,451       69,805        X                08         69,605             0           200
0                                           3,134       63,395        X       X        08         59,295         3,800           300
0                                             779       15,750        X                09         15,750             0             0
0                                              69        1,400        X       X        09          1,400             0             0
-
0 LAUNCH MEDIA INC              51856710       93       10,000        X                09         10,000             0             0
  COM
0                                              21        2,296        X                12          2,296             0             0
0                                           1,191      128,800        X       X        12              0       128,800             0
-
0 LEAP WIRELESS INTL INC        52186310        6          125        X                04            125             0             0
  COM
0                                             668       14,211        X                09         13,869           103           239
0                                              93        1,988        X       X        09          1,290            34           664
0                                              18          375        X       X        12              0           375             0
-
0 LEAR CORP                     52186510      334       16,700        X                09         14,700           200         1,800
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  223  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,025        X       X        09            225             0           800
-
0 LEARNING TREE INTL INC        52201510   10,146      165,650        X                06        165,650             0             0
  COM
0                                           3,124       51,000        X                08         51,000             0             0
0                                           8,039      131,250        X                09        131,200             0            50
-
0 LEGATO SYS INC                52465110      242       16,000        X       X        08         16,000             0             0
  COM
0                                              60        3,948        X                09          3,948             0             0
0                                             151       10,000        X       X        09              0             0        10,000
0                                               2          105        X                12            105             0             0
0                                           2,691      177,928        X       X        12              0       177,928             0
-
0 LEHMAN BROS HLDGS INC         52490810       24          250        X                04            250             0             0
  COM
0                                              32          340        X       X        05            340             0             0
0                                          11,442      121,000        X                06        121,000             0             0
0                                           1,154       12,200        X                08         12,200             0             0
0                                          12,178      128,780        X                09        127,200             0         1,580
0                                           3,519       37,217        X       X        09         17,682             0        19,535
-
0 LENNAR CORP                   52605710      780       38,500        X                09         38,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  224  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LENNOX INTL INC               52610710   20,632    1,557,100        X                01              0             0     1,557,100
  COM
0                                           6,474      488,600        X                09        488,600             0             0
-
0 LEUCADIA NATL CORP            52728810      374       16,400        X                09         16,400             0             0
  COM
-
0 LEVEL 3 COMMUNICATIONS INC    52729N10      141        1,600        X                08          1,600             0             0
  COM
0                                             176        2,000        X       X        08              0             0         2,000
0                                           1,473       16,740        X       X        12              0        16,740             0
-
0 LEXICON GENETICS INC          52887210    2,063       60,000        X                09         60,000             0             0
  COM
0                                             172        5,000        X       X        12              0         5,000             0
-
0 LEXMARK INTL GROUP INC        52977110    4,309       64,070        X                02              0             0        64,070
  CL A
0                                           2,468       36,700        X                04         34,100             0         2,600
0                                              20          300        X       X        04            300             0             0
0                                           2,169       32,249        X       X        05         32,249             0             0
0                                           4,333       64,426        X                06         64,426             0             0
0                                             695       10,330        X                08         10,330             0             0
0                                              77        1,150        X       X        08          1,150             0             0
0                                           9,841      146,336        X                09        139,486         2,400         4,450
0                                           1,359       20,202        X       X        09          4,015             0        16,187
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  225  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LIBERATE TECHNOLOGIES         53012910        6          200        X                09            200             0             0
  COM
0                                           5,588      190,624        X                12              0             0       190,624
0                                           2,955      100,800        X       X        12              0       100,800             0
-
0 LIBERTY DIGITAL INC           53043610      120        4,000        X                04              0             0         4,000
  CL A
0                                             507       16,900        X                09         16,900             0             0
-
0 LIBERTY PPTY TR               53117210    4,140      159,600        X                09        156,600             0         3,000
  SH BEN INT
0                                             148        5,700        X       X        09          4,000             0         1,700
-
0 LIGAND PHARMACEUTICALS INC    53220K20        2          166        X                09            166             0             0
  CL B
0                                               5          400        X       X        09            400             0             0
0                                             171       12,946        X                12         12,946             0             0
-
0 LIFEMINDERS INC               53220Q10      296       10,000        X                09         10,000             0             0
  COM
0                                             114        3,851        X                12          3,851             0             0
0                                             671       22,700        X       X        12              0        22,700             0
-
0 LIGHTBRIDGE INC               53222610      657       27,500        X                09         27,500             0             0
  COM
-
0 LIGHTPATH TECHNOLOGIES INC    53225710    1,074       26,968        X                08         26,968             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  226  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             227        5,700        X                09          5,700             0             0
-
0 LIGHTSPAN INC                 53226T10      605      109,968        X                12              0             0       109,968
  COM
-
0 LILLY ELI & CO                53245710    1,608       16,100        X                01              0             0        16,100
  COM
0                                             519        5,200        X                04          3,800             0         1,400
0                                             471        4,720        X       X        04          2,900             0         1,820
0                                              80          800        X                05            800             0             0
0                                           3,448       34,524        X       X        05         32,124             0         2,400
0                                          90,146      902,584        X                06        902,584             0             0
0                                          38,796      388,445        X                08        379,845         8,400           200
0                                           8,412       84,229        X       X        08         56,451        10,778        17,000
0                                          63,072      631,513        X                09        622,113         2,950         6,450
0                                          44,041      440,958        X       X        09        245,400        20,232       175,326
0                                           5,426       54,323        X       X        12              0        54,323             0
-
0 LIMITED INC                   53271610        8          388        X       X        05            388             0             0
  COM
0                                         139,272    6,440,306        X                09        747,562             0     5,692,744
0                                          69,571    3,217,142        X       X        09      1,495,114             0     1,722,028
0                                             130        6,000        X       X        12              0         6,000             0
-
0 LINCOLN NATL CORP IND         53418710    1,147       31,760        X       X        08         15,560             0        16,200
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  227  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             636       17,600        X                09         17,600             0             0
0                                           1,131       31,314        X       X        09         20,211             0        11,103
-
0 LINEAR TECHNOLOGY CORP        53567810       26          400        X                01              0             0           400
  COM
0                                             102        1,600        X                04          1,600             0             0
0                                             153        2,400        X       X        04              0             0         2,400
0                                             678       10,600        X                05          5,200             0         5,400
0                                              51          799        X       X        05            799             0             0
0                                             387        6,060        X       X        08          6,060             0             0
0                                           1,132       17,700        X                09         17,700             0             0
0                                           6,525      102,051        X       X        09        102,041             0            10
0                                           2,465       38,551        X       X        12              0        38,551             0
-
0 LITHIA MTRS INC               53679710    5,680      424,700        X                06        424,700             0             0
  CL A
0                                           2,172      162,375        X                08        162,375             0             0
0                                           3,460      258,700        X                09        258,300             0           400
-
0 LITTELFUSE INC                53700810   14,617      298,300        X                06        298,300             0             0
  COM
0                                           4,498       91,800        X                08         91,800             0             0
0                                          11,876      242,372        X                09        240,972             0         1,400
0                                             402        8,200        X       X        09          7,200             0         1,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  228  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LITTON INDS INC               53802110      223        5,300        X                09          5,000             0           300
  COM
0                                             170        4,040        X       X        09             40             0         4,000
-
0 LIVEPERSON INC                53814610       10        1,121        X                12          1,121             0             0
  COM
0                                           1,996      229,750        X       X        12              0       229,750             0
-
0 LOCKHEED MARTIN CORP          53983010       24          948        X       X        04            948             0             0
  COM
0                                               5          220        X       X        05            220             0             0
0                                              50        2,000        X                08          2,000             0             0
0                                           1,744       70,270        X                09         66,272             0         3,998
0                                              79        3,203        X       X        09          1,240             0         1,963
-
0 LODGIAN INC                   54021P10       49       20,000        X       X        09         20,000             0             0
  COM
-
0 LOEWS CORP                    54042410       45          750        X                08            750             0             0
  COM
0                                              18          300        X       X        08            300             0             0
0                                              38          633        X                09            633             0             0
0                                             301        5,020        X       X        09          4,500             0           520
0                                               0            1        X       X        12              0             1             0
-
0 LONE STAR STEAKHOUSE SALOON   54230710      355       35,100        X                09         35,100             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  229  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  LOOKSMART LTD                 54344210    6,910      373,508        X                12             11             0       373,497
  COM
0                                           1,402       75,800        X       X        12              0        75,800             0
-
0 LOUDEYE TECHNOLOGIES INC      54575410    3,780      216,755        X                12          1,056             0       215,699
  COM
0                                             276       15,850        X       X        12              0        15,850             0
-
0 LOUIS DREYFUS NAT GAS CORP    54601110   12,450      397,608        X                06        397,608             0             0
  COM
0                                           4,096      130,817        X                08        130,817             0             0
0                                           9,169      292,828        X                09        292,578             0           250
-
0 LOUISIANA PAC CORP            54634710       12        1,100        X                05              0             0         1,100
  COM
0                                               6          580        X       X        05            580             0             0
0                                              19        1,782        X       X        08          1,782             0             0
0                                             317       29,124        X                09         29,124             0             0
0                                             833       76,605        X       X        09         76,062             0           543
0                                              19        1,764        X       X        12              0         1,764             0
-
0 LOWES COS INC                 54866110       23          550        X                04            550             0             0
  COM
0                                             123        3,000        X       X        04              0             0         3,000
0                                              30          720        X       X        05            720             0             0
0                                              75        1,830        X       X        08          1,830             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  230  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        5,705        X                09            445           660         4,600
0                                           2,259       55,020        X       X        09         32,936        13,200         8,884
0                                              51        1,250        X       X        12              0         1,250             0
-
0 LUBRIZOL CORP                 54927110       85        4,050        X                09          2,750             0         1,300
  COM
0                                             189        9,000        X       X        09          2,200             0         6,800
-
0 LUBYS INC                     54928210       80       10,000        X                08         10,000             0             0
  COM
0                                               8        1,000        X       X        08              0         1,000             0
0                                               1          100        X                09            100             0             0
-
0 LUCENT TECHNOLOGIES INC       54946310    5,771       97,400        X                01              0             0        97,400
  COM
0                                           8,071      136,216        X                04        122,514             0        13,702
0                                           4,195       70,797        X       X        04         32,210         8,031        30,556
0                                             494        8,342        X                05          6,842             0         1,500
0                                           3,173       53,561        X       X        05         53,561             0             0
0                                         107,100    1,807,597        X                06      1,807,597             0             0
0                                          82,084    1,385,391        X                08      1,374,141           388        10,862
0                                          27,348      461,563        X       X        08        403,879        46,878        10,806
0                                         204,910    3,458,404        X                09      3,231,170        41,422       185,812
0                                         113,885    1,922,111        X       X        09      1,247,652        55,454       619,005
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  231  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          90,243    1,523,085        X                10      1,523,085             0             0
0                                          66,699    1,125,715        X                12            450             0     1,125,265
0                                          28,724      484,786        X       X        12              0       484,786             0
-
0 LUFKIN INDS INC               54976410      278       17,493        X       X        08         17,493             0             0
  COM
-
0 LUMENON INNOV LIGHTWAVE TECH  55024L10      306       16,000        X       X        12              0        16,000             0
  COM
-
0 LUMINANT WORLDWIDE CORP       55026010        5          609        X                12            609             0             0
  COM
0                                             988      110,575        X       X        12              0       110,575             0
-
0 LYCOS INC                     55081810      826       15,300        X                01              0             0        15,300
  COM
0                                           8,548      158,300        X                06        158,300             0             0
0                                           1,876       34,734        X                07         34,734             0             0
0                                           8,370      155,000        X                09        155,000             0             0
0                                             323        5,988        X       X        09            588             0         5,400
0                                              14          254        X                12             26             0           228
0                                           3,526       65,296        X       X        12              0        65,296             0
-
0 LYNX THERAPEUTICS INC         55181230       95        2,000        X                09          2,000             0             0
  COM NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  232  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             338        7,107        X                12          7,107             0             0
0                                             369        7,750        X       X        12              0         7,750             0
-
0 LYONDELL CHEMICAL CO          55207810       46        2,730        X                08          2,730             0             0
  COM
0                                             179       10,700        X                09          9,100             0         1,600
-
0 M & T BK CORP                 55261F10       90          200        X                09            200             0             0
  COM
0                                           1,350        3,000        X       X        09              0             0         3,000
-
0 MBIA INC                      55262C10       14          300        X                04            300             0             0
  COM
0                                              87        1,800        X       X        04            400             0         1,400
0                                              19          400        X                05              0             0           400
0                                              96        2,000        X       X        05          2,000             0             0
0                                           1,427       29,620        X                08         29,620             0             0
0                                             381        7,900        X       X        08          7,900             0             0
0                                           3,477       72,150        X                09         61,780           400         9,970
0                                           3,458       71,760        X       X        09         54,457         4,310        12,993
0                                             723       15,000        X       X        12              0        15,000             0
-
0 MBNA CORP                     55262L10       49        1,789        X       X        05          1,789             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  233  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             212        7,800        X       X        08          7,800             0             0
0                                           5,128      189,066        X                09        187,466         1,600             0
0                                          35,903    1,323,595        X       X        09        322,098             0     1,001,497
-
0 MCN ENERGY GROUP INC          55267J10        6          296        X       X        08            296             0             0
  COM
0                                              61        2,872        X                09          2,476             0           396
0                                             160        7,498        X       X        09          4,890             0         2,608
0                                              16          750        X       X        12              0           750             0
-
0 M D C HLDGS INC               55267610      628       33,700        X                09         33,700             0             0
  COM
-
0 MDU RES GROUP INC             55269010       97        4,500        X                09          4,500             0             0
  COM
0                                             156        7,200        X       X        09          7,200             0             0
-
0 MGC COMMUNICATIONS INC        55276350    4,550       87,500        X                01              0             0        87,500
  PFD CV SER D
-
0 MMC NETWORKS INC              55308N10      362        6,772        X       X        04              0             0         6,772
  COM
0                                              69        1,300        X                12          1,300             0             0
0                                              27          500        X       X        12              0           500             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  234  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  MRV COMMUNICATIONS INC        55347710        9          140        X                12            140             0             0
  COM
0                                             215        3,200        X       X        12              0         3,200             0
-
0 MSC INDL DIRECT INC           55353010      314       15,000        X       X        09          7,000             0         8,000
  CL A
-
0 MSC SOFTWARE CORP             55353110    1,500      161,020        X       X        09        161,020             0             0
  COM
-
0 MACK CALI RLTY CORP           55448910    5,120      199,300        X                09        199,300             0             0
  COM
0                                              39        1,500        X       X        09              0             0         1,500
-
0 MACROVISION CORP              55590410    9,467      148,100        X                06        148,100             0             0
  COM
0                                           2,157       33,750        X                08         33,750             0             0
0                                          11,973      187,300        X                09        187,200             0           100
0                                              67        1,042        X                12          1,042             0             0
0                                          11,120      173,960        X       X        12              0       173,960             0
-
0 MADE2MANAGE SYS INC           55646610    1,615      287,044        X                12              0             0       287,044
  COM
0                                              62       11,000        X       X        12              0        11,000             0
-
0 MAIL COM INC                  56031110        0           15        X                12             15             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  235  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       10,000        X       X        12              0        10,000             0
-
0 MAIL-WELL INC                 56032120      135       15,700        X                09         15,700             0             0
  COM
-
0 MALLINCKRODT INC NEW          56123210        9          217        X       X        05            217             0             0
  COM
0                                             539       12,400        X                09         12,400             0             0
0                                             358        8,250        X       X        09          7,920             0           330
-
0 MANAGEMENT NETWORK GROUP INC  56169310      196        5,589        X                12          5,589             0             0
  COM
0                                             462       13,200        X       X        12              0        13,200             0
-
0 MANDALAY RESORT GROUP         56256710      226       11,300        X                09         11,300             0             0
  COM
-
0 MANITOWOC INC                 56357110    1,014       37,900        X                06         37,900             0             0
  COM
0                                             147        5,500        X                09          5,500             0             0
0                                              28        1,050        X       X        09              0             0         1,050
-
0 MANOR CARE INC NEW            56405510      159       22,748        X                09         10,600           600        11,548
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  236  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              76       10,788        X       X        09          1,500             0         9,288
-
0 MANPOWER INC                  56418H10    9,795      306,100        X                06        306,100             0             0
  COM
0                                          10,010      312,800        X                09        312,800             0             0
-
0 MANULIFE FINL CORP            56501R10      700       39,322        X                08         39,322             0             0
  COM
0                                           2,180      122,401        X       X        08        115,953         6,448             0
0                                           6,799      381,665        X                09        381,665             0             0
-
0 MANUGISTICS GROUP INC         56501110    1,762       37,700        X                09         37,700             0             0
  COM
-
0 MARCHFIRST INC                56624410      122        6,701        X       X        04              0             0         6,701
  COM
0                                               2          100        X                09            100             0             0
0                                              18          983        X                12            983             0             0
0                                             319       17,455        X       X        12              0        17,455             0
-
0 MARIMBA INC                   56781Q10        1          100        X                08            100             0             0
  COM
0                                               3          200        X                09            200             0             0
0                                               4          292        X                12            292             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  237  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             399       28,593        X       X        12              0        28,593             0
-
0 MARINE DRILLING COS INC       56824020      879       31,400        X                09         31,400             0             0
  COM PAR $0.01
-
0 MARK IV INDS INC              57038710      526       25,200        X                09         25,200             0             0
  COM
-
0 MARSH & MCLENNAN COS INC      57174810    2,538       24,300        X                02              0             0        24,300
  COM
0                                              60          571        X       X        05            571             0             0
0                                          27,540      263,700        X                06        263,700             0             0
0                                           1,260       12,069        X                08         11,769             0           300
0                                           4,104       39,299        X       X        08         16,500             0        22,799
0                                          33,124      317,162        X                09        315,362             0         1,800
0                                           9,659       92,483        X       X        09         86,272         1,200         5,011
0                                             554        5,300        X       X        12              0         5,300             0
-
0 MARRIOTT INTL INC NEW         57190320      145        4,020        X                04          1,000             0         3,020
  CL A
0                                           5,814      161,217        X       X        04          4,000             0       157,217
0                                              36        1,000        X                05          1,000             0             0
0                                           1,380       38,260        X                09         38,260             0             0
0                                           1,115       30,921        X       X        09         19,094             0        11,827
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  238  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  MARTEK BIOSCIENCES CORP       57290110      151        8,030        X                12          8,030             0             0
  COM
0                                              84        4,500        X       X        12              0         4,500             0
-
0 MARVEL ENTERPRISES INC        57383M10    8,055    1,288,778        X                09      1,288,778             0             0
  COM
-
0 MASCO CORP                    57459910       17          950        X                05            250             0           700
  COM
0                                              11          607        X       X        05            607             0             0
0                                              63        3,500        X                08          3,500             0             0
0                                              90        5,000        X       X        08          5,000             0             0
0                                           3,314      183,451        X                09        179,851             0         3,600
0                                           1,275       70,605        X       X        09         47,233             0        23,372
-
0 MATRIX PHARMACEUTICAL INC     57684410      157       12,000        X       X        04              0             0        12,000
  COM
0                                             131       10,000        X       X        12              0        10,000             0
-
0 MATTEL INC                    57708110       42        3,179        X                04          3,179             0             0
  COM
0                                               4          326        X       X        04              0             0           326
0                                               2          122        X       X        05            122             0             0
0                                             162       12,300        X                08         12,300             0             0
0                                              54        4,108        X       X        08          1,808             0         2,300
0                                           3,004      227,780        X                09        178,795         2,400        46,585
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  239  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             461       34,922        X       X        09         18,123         1,738        15,061
0                                             574       43,500        X       X        12              0        43,500             0
-
0 MAXIM INTEGRATED PRODS INC    57772K10    4,484       66,000        X       X        05         66,000             0             0
  COM
0                                             234        3,440        X       X        08          3,440             0             0
0                                           4,565       67,200        X                09         67,200             0             0
0                                           2,446       36,000        X       X        09         36,000             0             0
0                                          16,182      238,184        X       X        12              0       238,184             0
-
0 MAXIM PHARMACEUTICALS INC     57772M10      884       17,200        X                09         17,200             0             0
  COM
-
0 MAXTOR CORP                   57772920    1,155      109,300        X       X        05        109,300             0             0
  COM NEW
0                                              87        8,189        X                12          8,189             0             0
0                                              25        2,400        X       X        12              0         2,400             0
-
0 MAY DEPT STORES CO            57777810       17          700        X                05              0             0           700
  COM
0                                             937       39,050        X                08         38,750             0           300
0                                           1,311       54,624        X       X        08         24,174         4,500        25,950
0                                           5,567      231,959        X                09        224,873         1,190         5,896
0                                           1,669       69,543        X       X        09         51,644         6,180        11,719
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  240  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  MAVERICK TUBE CORP            57791410    1,934       66,400        X       X        05         66,400             0             0
  COM
-
0 MAYTAG CORP                   57859210      122        3,300        X       X        08          3,300             0             0
  COM
0                                             299        8,098        X       X        09          7,600             0           498
-
0 MCAFEE COM CORP               57906210      326       12,495        X                12         12,495             0             0
  CL A
0                                             201        7,700        X       X        12              0         7,700             0
-
0 MCCLATCHY CO                  57948910      629       19,000        X                09         19,000             0             0
  CL A
-
0 MCCORMICK & CO INC            57978020    3,933      121,000        X                08        121,000             0             0
  COM NON VTG
0                                           3,712      114,215        X       X        08        104,065         9,650           500
0                                             163        5,000        X       X        09              0             0         5,000
-
0 MCDONALDS CORP                58013510    4,351      132,100        X                01              0             0       132,100
  COM
0                                             583       17,706        X                04          7,200             0        10,506
0                                             453       13,740        X       X        04          7,600         1,000         5,140
0                                             280        8,500        X                05          6,700             0         1,800
0                                              16          500        X       X        05            500             0             0
0                                          25,540      775,400        X                06        775,400             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  241  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           7,141      216,802        X                08        126,302             0        90,500
0                                           4,076      123,760        X       X        08         99,360           600        23,800
0                                          74,643    2,266,177        X                09      2,162,429         6,100        97,648
0                                          56,169    1,705,309        X       X        09        822,087        44,300       838,922
0                                             461       14,000        X       X        12              0        14,000             0
-
0 MCGRAW HILL COS INC           58064510       16          300        X                04            300             0             0
  COM
0                                              76        1,400        X       X        04          1,400             0             0
0                                              27          500        X                05            500             0             0
0                                               7          134        X       X        05            134             0             0
0                                             119        2,210        X                08          2,210             0             0
0                                           5,427      100,500        X       X        08         64,800             0        35,700
0                                           3,674       68,046        X                09         52,576             0        15,470
0                                           7,504      138,964        X       X        09        113,934         5,600        19,430
0                                             289        5,345        X       X        12              0         5,345             0
-
0 MCKESSON HBOC INC             58155Q10        8          400        X       X        04            400             0             0
  COM
0                                              42        2,000        X       X        05          2,000             0             0
0                                              25        1,200        X                09          1,200             0             0
0                                             196        9,363        X       X        09          8,500             0           863
0                                              24        1,168        X       X        12              0         1,168             0
-
0 MCLEODUSA INC                 58226610      407       19,650        X       X        08         15,300             0         4,350
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  242  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          150        X       X        12              0           150             0
-
0 MEAD CORP                     58283410      556       22,000        X                02              0             0        22,000
  COM
0                                             560       22,176        X       X        05         22,176             0             0
0                                           1,208       47,830        X                09         47,230             0           600
0                                             557       22,074        X       X        09         13,600             0         8,474
-
0 MECHANICAL TECHNOLOGY INC     58353810      465       31,000        X       X        12              0        31,000             0
  COM
-
0 MEDIAONE GROUP INC            58440J10        0    1,762,400        X                01              0             0     1,762,400
  COM
0                                               0          475        X                04             75             0           400
0                                               0        7,354        X       X        04          2,649             0         4,705
0                                               0        1,120        X       X        05          1,120             0             0
0                                               0        7,108        X                08          6,320             0           788
0                                               0        6,968        X       X        08          5,434           894           640
0                                               0       44,887        X                09         41,222           380         3,285
0                                               0      290,231        X       X        09        263,482         2,238        24,511
0                                               0          100        X       X        12              0           100             0
-
0 MEDIACOM COMMUNICATIONS CORP  58446K10   51,773    3,367,334        X                10      3,367,334             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  243  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          13,164      856,200        X                11        856,200             0             0
-
0 MEDICAL MANAGER CORP NEW      58461U10    1,441       42,300        X                01              0             0        42,300
  COM
0                                              38        1,125        X                09          1,125             0             0
0                                              85        2,500        X       X        09              0             0         2,500
-
0 MEDIMMUNE INC                 58469910      739        9,990        X                04          9,090             0           900
  COM
0                                              67          900        X       X        04              0           600           300
0                                           2,664       36,000        X       X        05         36,000             0             0
0                                          39,498      533,750        X                06        533,750             0             0
0                                           8,789      118,770        X                08        118,470             0           300
0                                             279        3,775        X       X        08          3,550             0           225
0                                          36,417      492,120        X                09        485,120         1,950         5,050
0                                             824       11,140        X       X        09          7,950           690         2,500
0                                               2           23        X                12             23             0             0
0                                           4,716       63,730        X       X        12              0        63,730             0
-
0 MEDQUIST INC                  58494910   10,775      316,900        X                06        316,900             0             0
  COM
0                                           2,902       85,350        X                08         85,350             0             0
0                                           7,483      220,100        X                09        219,900             0           200
-
0 MEDITRUST CORP                58501T30       27        7,209        X                08          7,209             0             0
  PAIRED CTF NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  244  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        3,242        X       X        08          2,930           312             0
0                                               5        1,252        X                09          1,252             0             0
0                                              15        4,000        X       X        09          4,000             0             0
0                                               6        1,500        X       X        12              0         1,500             0
-
0 MEDIX RES INC                 58501110      114       48,000        X       X        12              0        48,000             0
  COM
-
0 MEDTRONIC INC                 58505510    5,942      119,286        X                04        112,886             0         6,400
  COM
0                                             927       18,600        X       X        04          5,200         1,600        11,800
0                                             179        3,600        X                05              0             0         3,600
0                                           3,208       64,397        X       X        05         64,397             0             0
0                                          24,966      501,195        X                06        501,195             0             0
0                                          39,814      799,268        X                08        786,818             0        12,450
0                                          20,720      415,956        X       X        08        364,270        32,420        19,266
0                                          82,367    1,653,527        X                09      1,502,136        27,130       124,261
0                                          42,574      854,677        X       X        09        255,097        28,280       571,300
0                                           5,428      108,959        X       X        12              0       108,959             0
-
0 MELLON FINL CORP              58551A10    1,111       30,500        X                04         30,500             0             0
  COM
0                                              40        1,100        X       X        04          1,100             0             0
0                                              31          851        X       X        05            851             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  245  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,811      159,473        X                08        158,673             0           800
0                                           7,543      207,010        X       X        08        154,610        52,400             0
0                                          55,320    1,518,209        X                09      1,507,396         1,000         9,813
0                                           2,963       81,322        X       X        09         24,387         7,300        49,635
-
0 MEMBERWORKS INC               58600210    1,089       32,400        X                09         32,400             0             0
  COM
0                                              60        1,779        X                12          1,779             0             0
-
0 MENTOR CORP MINN              58718810   14,816      544,950        X                06        544,950             0             0
  COM
0                                           3,752      138,000        X                08        138,000             0             0
0                                           9,862      362,750        X                09        362,450             0           300
-
0 MERCATOR SOFTWARE INC         58758710    4,125       60,000        X                06         60,000             0             0
  COM
-
0 MERCK & CO INC                58933110    5,469       71,378        X                04         61,288             0        10,090
  COM
0                                           9,130      119,156        X       X        04         47,866        14,000        57,290
0                                           1,100       14,350        X                05          9,550             0         4,800
0                                           2,868       37,434        X       X        05         36,634             0           800
0                                          90,808    1,185,091        X                06      1,185,091             0             0
0                                         115,032    1,501,228        X                08      1,488,328         5,600         7,300
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  246  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          41,386      540,116        X       X        08        341,380        45,886       152,850
0                                         329,618    4,301,707        X                09      4,122,519         4,350       174,838
0                                         405,987    5,298,362        X       X        09      3,228,550        76,600     1,993,212
0                                           6,001       78,320        X       X        12              0        78,320             0
-
0 MERCURY INTERACTIVE CORP      58940510       79          820        X                09            820             0             0
  COM
0                                              10          100        X       X        09            100             0             0
0                                             943        9,750        X       X        12              0         9,750             0
-
0 MERISTAR HOSPITALITY CORP     58984Y10    3,566      169,828        X                09        169,828             0             0
  COM
-
0 MERITOR AUTOMOTIVE INC        59000G10       87        7,891        X                09          7,891             0             0
  COM
0                                              61        5,584        X       X        09          5,584             0             0
0                                               0            4        X       X        12              0             4             0
-
0 MERRILL LYNCH & CO INC        59018810   12,029      104,600        X                02              0             0       104,600
  COM
0                                           4,423       38,465        X                04         33,825             0         4,640
0                                             764        6,645        X       X        04          1,825             0         4,820
0                                             696        6,050        X                05          4,500             0         1,550
0                                           2,945       25,613        X       X        05         25,613             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  247  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                         149,175    1,297,170        X                06      1,297,170             0             0
0                                          41,192      358,192        X                08        357,542             0           650
0                                           3,179       27,645        X       X        08         22,845         3,000         1,800
0                                         148,667    1,292,760        X                09      1,257,660         2,760        32,340
0                                           6,019       52,341        X       X        09         31,946         6,938        13,457
0                                             105          913        X       X        12              0           913             0
-
0 METLIFE INC                   59156R10    6,319      300,000        X                09        300,000             0             0
  COM
0                                              82        3,893        X       X        09          3,893             0             0
0                                             211       10,000        X       X        12              0        10,000             0
-
0 METRIS COS INC                59159810    6,573      261,620        X                09        261,620             0             0
  COM
-
0 METROMEDIA FIBER NETWORK INC  59168910   68,374    1,722,800        X                01              0             0     1,722,800
  CL A
0                                              40        1,000        X       X        08          1,000             0             0
0                                             159        4,000        X                09              0             0         4,000
0                                             649       16,350        X       X        09            350        10,000         6,000
0                                               1           37        X                12             37             0             0
0                                             142        3,574        X       X        12              0         3,574             0
-
0 METTLER TOLEDO INTERNATIONAL  59268810       30          750        X                09              0           750             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  248  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,224      130,600        X       X        09        130,600             0             0
-
0 MICHAELS STORES INC           59408710   14,122      308,250        X                06        308,250             0             0
  COM
0                                           4,361       95,200        X                08         95,200             0             0
0                                          12,839      280,250        X                09        280,050             0           200
-
0 MICREL INC                    59479310    1,703       39,200        X                09         39,200             0             0
  COM
0                                             302        6,944        X                12          6,944             0             0
0                                             109        2,500        X       X        12              0         2,500             0
-
0 MICROSOFT CORP                59491810      490        6,129        X                01              0             0         6,129
  COM
0                                           7,300       91,250        X                04         86,900             0         4,350
0                                           3,528       44,094        X       X        04         23,100         5,450        15,544
0                                           1,088       13,595        X                05         11,845             0         1,750
0                                           4,676       58,445        X       X        05         57,645             0           800
0                                         177,907    2,223,841        X                06      2,223,841             0             0
0                                         145,022    1,812,769        X                08      1,794,792         9,800         8,177
0                                          46,157      576,960        X       X        08        475,511        72,456        28,993
0                                         287,512    3,593,906        X                09      3,463,887        25,090       104,929
0                                         143,393    1,792,411        X       X        09        690,725        51,129     1,050,557
0                                          42,072      525,903        X       X        12              0       525,903             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  249  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  MICROCHIP TECHNOLOGY INC      59501710   21,290      365,400        X                06        365,400             0             0
  COM
0                                          20,539      352,500        X                09        352,500             0             0
-
0 MICROCIDE PHARMACEUTICALS IN  59501810        9        1,000        X       X        04              0             0         1,000
  COM
0                                               1           89        X                12             89             0             0
0                                           1,768      205,000        X       X        12              0       205,000             0
-
0 MICROMUSE INC                 59509410      207        1,250        X                09          1,250             0             0
  COM
-
0 MICRON TECHNOLOGY INC         59511210       22          250        X                01              0             0           250
  COM
0                                              84          952        X       X        05            952             0             0
0                                             916       10,400        X                09         10,400             0             0
0                                             984       11,178        X       X        09          8,944             0         2,234
0                                           1,457       16,546        X                12         16,546             0             0
0                                           1,258       14,282        X       X        12              0        14,282             0
-
0 MID ATLANTIC MED SVCS INC     59523C10      150       11,100        X                09         11,100             0             0
  COM
-
0 MILACRON INC                  59870910        7          500        X       X        05            500             0             0
  COM
0                                           5,237      361,138        X                09        358,538             0         2,600
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  250  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              32        2,180        X       X        09          2,000             0           180
-
0 MILLENNIUM PHARMACEUTICALS I  59990210      895        8,000        X       X        08          8,000             0             0
  COM
0                                             671        6,000        X       X        09              0             0         6,000
0                                             448        4,007        X                12          4,007             0             0
0                                           4,806       42,960        X       X        12              0        42,960             0
-
0 MILLENNIUM CHEMICALS INC      59990310    1,074       63,190        X                09         62,049             0         1,141
  COM
0                                               4          251        X       X        09            184            67             0
-
0 MILLER HERMAN INC             60054410    2,588      100,000        X                09        100,000             0             0
  COM
-
0 MILLER INDS INC TENN          60055110       25       14,000        X                09         14,000             0             0
  COM
0                                              27       15,000        X       X        09         15,000             0             0
-
0 MILLIPORE CORP                60107310      490        6,497        X       X        09          6,300             0           197
  COM
-
0 MINIMED INC                   60365K10    1,935       16,400        X                09         16,400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  251  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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           74        X                12             74             0             0
0                                           1,369       11,600        X       X        12              0        11,600             0
-
0 MINNESOTA MNG & MFG CO        60405910    1,200       14,546        X                04         13,346             0         1,200
  COM
0                                           1,088       13,184        X       X        04            784           600        11,800
0                                              66          800        X                05            800             0             0
0                                             415        5,027        X       X        05          4,727             0           300
0                                           5,132       62,200        X                08         61,800             0           400
0                                           6,567       79,594        X       X        08         65,504         8,570         5,520
0                                          31,965      387,449        X                09        373,569           800        13,080
0                                          42,983      521,011        X       X        09        398,662        28,900        93,449
0                                              33          400        X       X        12              0           400             0
-
0 MINNESOTA PWR INC             60411010       10          584        X       X        04            584             0             0
  COM
0                                               1           63        X                08             63             0             0
0                                             242       14,000        X       X        09         14,000             0             0
-
0 MIPS TECHNOLOGIES INC         60456710      370        8,700        X       X        12              0         8,700             0
  CL A
-
0 MITCHELL ENERGY & DEV CORP    60659220      206        6,426        X                08          6,426             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  252  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  MODIS PROFESSIONAL SVCS INC   60783010      132       17,300        X                09         17,300             0             0
  COM
-
0 MOLECULAR DEVICES CORP        60851C10   32,899      475,500        X                06        475,500             0             0
  COM
0                                          11,418      165,025        X                08        165,025             0             0
0                                          22,106      319,500        X                09        319,150             0           350
-
0 MOLEX INC                     60855410      241        5,000        X                04          5,000             0             0
  COM
0                                              18          383        X       X        05            383             0             0
0                                          27,837      578,425        X                06        578,425             0             0
0                                           9,948      206,720        X                08        206,620             0           100
0                                             259        5,387        X       X        08          3,435             0         1,952
0                                          21,496      446,680        X                09        439,561             0         7,119
0                                           5,684      118,104        X       X        09         60,947         6,875        50,282
0                                               7          152        X       X        12              0           152             0
-
0 MOLEX INC                     60855420      298        8,526        X                08          8,526             0             0
  CL A
0                                             131        3,751        X       X        08          3,751             0             0
0                                             425       12,136        X                09          6,549             0         5,587
0                                           2,978       85,086        X       X        09         31,991         1,525        51,570
-
0 MONACO COACH CORP             60886R10      187       13,700        X                09         13,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  253  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  MONARCH DENTAL CORP           60904410       75       22,500        X       X        12              0        22,500             0
  COM
-
0 MONSANTO CO                   61166230    1,312       29,000        X                02              0             0        29,000
  ADJ CONVR RATE
0                                           1,312       29,000        X       X        05         29,000             0             0
0                                           2,873       63,500        X                09         51,900         4,600         7,000
0                                           1,974       43,625        X       X        09         29,400         1,800        12,425
-
0 MONTANA POWER CO              61208510      189        5,363        X                04          3,063             0         2,300
  COM
0                                             148        4,200        X       X        04          4,200             0             0
0                                             102        2,900        X       X        08          2,900             0             0
0                                           4,684      132,650        X                09        132,650             0             0
0                                           1,126       31,898        X       X        09         24,400             0         7,498
-
0 MONY GROUP INC                61533710       20          594        X                08            594             0             0
  COM
0                                             893       26,400        X                09         26,400             0             0
-
0 MOORE LTD                     61578510       34       13,000        X                09         13,000             0             0
  COM
0                                               0           17        X       X        09              0             0            17
-
0 MORGAN J P & CO INC           61688010    1,189       10,795        X                04         10,145             0           650
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  254  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,950       17,705        X       X        04          9,649         2,000         6,056
0                                              33          300        X                05            300             0             0
0                                             981        8,911        X       X        05          8,761             0           150
0                                          47,431      430,700        X                06        430,700             0             0
0                                           7,463       67,767        X                08         67,767             0             0
0                                           2,376       21,580        X       X        08         11,774         9,506           300
0                                          97,962      889,554        X                09        878,306         1,400         9,848
0                                          67,306      611,181        X       X        09        340,636         8,000       262,545
0                                             369        3,350        X       X        12              0         3,350             0
-
0 MORGAN STANLEY D WITTER HI Y  61744M10      233       20,000        X       X        12              0        20,000             0
  COM
-
0 MORGAN STANLEY DEAN WITTER&C  61744644      383        4,600        X                01              0             0         4,600
  COM NEW
0                                           6,731       80,850        X                04         71,150             0         9,700
0                                           3,195       38,382        X       X        04         26,282         3,900         8,200
0                                             699        8,400        X                05          5,200             0         3,200
0                                           4,722       56,722        X       X        05         55,922             0           800
0                                         197,147    2,368,128        X                06      2,368,128             0             0
0                                          60,229      723,472        X                08        720,222             0         3,250
0                                           8,323       99,979        X       X        08         86,291         8,438         5,250
0                                         350,149    4,205,997        X                09      4,062,906        18,232       124,859
0                                          38,385      461,087        X       X        09        311,670        44,496       104,921
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  255  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             320        3,848        X       X        12              0         3,848             0
-
0 MOTOROLA INC                  62007610    6,042      207,900        X                01              0             0       207,900
  COM
0                                           1,282       44,098        X                04         35,098             0         9,000
0                                             549       18,900        X       X        04          3,000             0        15,900
0                                             484       16,654        X                05         10,300             0         6,354
0                                           3,704      127,449        X       X        05        122,973             0         4,476
0                                          64,188    2,208,591        X                06      2,208,591             0             0
0                                          15,435      531,097        X                08        529,997             0         1,100
0                                           9,345      321,533        X       X        08        249,698        49,635        22,200
0                                          99,941    3,438,772        X                09      3,383,123         1,215        54,434
0                                          25,078      862,878        X       X        09        691,493         8,250       163,135
0                                           3,347      115,167        X       X        12              0       115,167             0
-
0 MP3 COM INC                   62473M10        1          100        X       X        09            100             0             0
  COM
0                                               8          581        X                12            581             0             0
0                                             187       13,800        X       X        12              0        13,800             0
-
0 MUELLER INDS INC              62475610      610       21,800        X                09         21,800             0             0
  COM
0                                              84        3,000        X       X        09              0             0         3,000
-
0 MULTEX COM INC                62536710   62,066    2,464,116        X                07      2,464,116             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  256  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           4,101      162,800        X                09        162,800             0             0
-
0 MUNIVEST FD INC               62629510      126       16,539        X                08         16,539             0             0
  COM
-
0 MUNIYIELD CALIF FD INC        62629610    2,891      220,300        X       X        12              0       220,300             0
  COM
-
0 MUNIYIELD INSD FD INC         62630E10      618       49,671        X                08         49,671             0             0
  COM
-
0 MUNIYIELD QUALITY FD II       62630T10       90        7,800        X       X        08          7,800             0             0
  COM
0                                              46        4,000        X                09          4,000             0             0
-
0 MURPHY OIL CORP               62671710    1,041       17,510        X                09         17,510             0             0
  COM
0                                             204        3,425        X       X        09          3,425             0             0
-
0 MYTURN COM                    62869010      764       42,582        X                10              0             0        42,582
  COM
-
0 NABI INC                      62871610        3          450        X       X        09            450             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  257  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             183       25,000        X       X        12              0        25,000             0
-
0 NBC INTERNET INC              62873D10      726       58,056        X                03         58,056             0             0
  CL A
0                                               3          200        X       X        08              0           200             0
0                                             281       22,500        X                09         22,500             0             0
0                                               1           60        X                12             60             0             0
0                                             219       17,525        X       X        12              0        17,525             0
-
0 NBTY INC                      62878210      265       41,600        X                09         41,600             0             0
  COM
-
0 NCI BUILDING SYS INC          62885210      284       14,000        X                09         14,000             0             0
  COM
-
0 NCR CORP NEW                  62886E10       17          432        X                04            432             0             0
  COM
0                                               6          166        X       X        04             23             0           143
0                                           3,142       80,700        X                08         80,100             0           600
0                                             980       25,166        X       X        08         14,682         5,259         5,225
0                                           5,882      151,057        X                09        141,598         1,656         7,803
0                                           1,296       33,287        X       X        09         30,204           181         2,902
0                                               1           37        X       X        12              0            37             0
-
0 NEC CORP                      62905020       79          500        X                09              0           500             0
  ADR
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  258  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             839        5,294        X       X        09              0             0         5,294
-
0 NTL INC                       62940710      269        4,500        X       X        09          3,500             0         1,000
  COM
-
0 NUCO2 INC                     62942810    5,256      657,042        X                03              0             0       657,042
  COM
0                                               8        1,000        X                09          1,000             0             0
-
0 NVR INC                       62944T10      359        6,300        X                09          6,300             0             0
  COM
-
0 NABISCO GROUP HLDG CORP       62952P10        8          320        X       X        05            320             0             0
  COM
0                                               8          300        X       X        08            300             0             0
0                                              93        3,570        X                09          3,570             0             0
0                                             112        4,323        X       X        09          1,623             0         2,700
-
0 NABORS INDS INC               62956810      133        3,190        X                08          2,590             0           600
  COM
0                                             129        3,102        X       X        08          3,102             0             0
0                                           2,414       58,075        X                09         58,075             0             0
0                                              62        1,500        X       X        12              0         1,500             0
-
0 NASDAQ 100 TR                 63110010      457        4,900        X                04          4,900             0             0
  UNIT SER 1
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  259  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              89          960        X                06            960             0             0
0                                              19          200        X                08            200             0             0
0                                             778        8,350        X                09          8,350             0             0
0                                             401        4,300        X       X        09          1,350         2,950             0
0                                           1,139       12,220        X       X        12              0        12,220             0
-
0 NATCO GROUP INC               63227W20      826       87,500        X       X        05         87,500             0             0
  CL A
-
0 NATIONAL BANCORP ALASKA       63258710      744       20,736        X       X        09         20,736             0             0
  COM
-
0 NATIONAL CITY CORP            63540510       92        5,400        X                04          5,400             0             0
  COM
0                                             116        6,800        X       X        04            400             0         6,400
0                                              46        2,688        X       X        05          2,688             0             0
0                                           2,581      151,268        X                09        151,268             0             0
0                                             357       20,910        X       X        09         12,400             0         8,510
-
0 NATIONAL COMPUTER SYS INC     63551910   21,293      432,350        X                06        432,350             0             0
  COM
0                                           5,830      118,380        X                08        118,380             0             0
0                                          14,007      284,400        X                09        284,150             0           250
0                                               0            6        X                12              6             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  260  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  NATIONAL FUEL GAS CO N J      63618010       29          600        X                04              0             0           600
  COM
0                                           5,972      122,500        X                06        122,500             0             0
0                                           6,138      125,900        X                09        125,900             0             0
0                                             444        9,106        X       X        09          8,886           220             0
-
0 NATIONAL HEALTH INVS INC      63633D10        3          255        X       X        08              0           255             0
  COM
0                                              97        8,834        X                09          6,034             0         2,800
0                                              20        1,800        X       X        09              0             0         1,800
-
0 NATIONAL INFO CONSORTIUM INC  63649110       60        5,315        X                12          5,315             0             0
  COM
0                                             210       18,450        X       X        12              0        18,450             0
-
0 NATIONAL INSTRS CORP          63651810    9,628      220,700        X                06        220,700             0             0
  COM
0                                           2,216       50,800        X                08         50,800             0             0
0                                           5,689      130,400        X                09        130,300             0           100
-
0 NATIONAL SEMICONDUCTOR CORP   63764010       17          300        X                01              0             0           300
  COM
0                                              21          369        X       X        05            369             0             0
0                                              16          280        X                08            280             0             0
0                                              40          700        X                09              0             0           700
0                                              51          903        X       X        09             81             0           822
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  261  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             568       10,000        X       X        12              0        10,000             0
-
0 NATIONAL SVC INDS INC         63765710       80        4,000        X       X        04          1,000         3,000             0
  COM
0                                               5          266        X       X        05            266             0             0
0                                             152        7,600        X                09          4,500             0         3,100
0                                             268       13,394        X       X        09         10,500             0         2,894
-
0 NATIONWIDE HEALTH PPTYS INC   63862010       10          700        X       X        05            700             0             0
  COM
0                                           4,117      295,410        X                09        285,810             0         9,600
0                                           1,084       77,760        X       X        09         59,600         2,000        16,160
-
0 NATURAL MICROSYSTEMS CORP     63888210    3,778       33,600        X                09         33,600             0             0
  COM
-
0 NAVISITE INC                  63935M10      376        9,000        X       X        12              0         9,000             0
  COM
-
0 NAVIGANT CONSULTING INC       63935N10      853      200,800        X                09        200,800             0             0
  COM
-
0 NEIMAN MARCUS GROUP INC       64020430      212        7,622        X                09          7,532            90             0
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  262  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              69        2,504        X       X        09          2,409             0            95
-
0 NEOSE TECHNOLOGIES INC        64052210    2,086       49,600        X                12         49,600             0             0
  COM
0                                             114        2,700        X       X        12              0         2,700             0
-
0 NETWORKS ASSOCS INC           64093810    1,253       61,480        X                09         60,579             0           901
  COM
0                                             336       16,473        X       X        09          4,725             0        11,748
0                                              80        3,936        X                12          3,936             0             0
0                                              41        2,000        X       X        12              0         2,000             0
-
0 NET GENESIS CORP              64107E10    7,794      431,510        X                12         11,395             0       420,115
  COM
0                                             897       49,650        X       X        12              0        49,650             0
-
0 NET2PHONE                     64108N10      464       13,000        X                09         13,000             0             0
  COM
0                                          13,223      370,507        X                12          3,607             0       366,900
0                                           2,777       77,825        X       X        12              0        77,825             0
-
0 NETCURRENTS INC               64110J10      195       78,000        X       X        12              0        78,000             0
  COM
-
0 NETCREATIONS INC              64110N10    1,113       24,300        X                09         24,300             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  263  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  NETIA HLDGS S A               64114B10      306       11,000        X       X        12              0        11,000             0
  SPONSORED ADR
-
0 NETRIX CORP                   64114810      129       10,500        X                09            500        10,000             0
  COM
-
0 NETPLIANCE INC                64115K10        9        1,000        X                12          1,000             0             0
  COM
0                                             205       22,450        X       X        12              0        22,450             0
-
0 NETIQ CORP                    64115P10      202        3,388        X                12          3,388             0             0
  COM
0                                          14,428      241,983        X       X        12              0       241,983             0
-
0 NETWORK APPLIANCE INC         64120L10       46          574        X       X        05            574             0             0
  COM
0                                              16          200        X                08              0             0           200
0                                             217        2,700        X       X        08          2,700             0             0
0                                           1,377       17,100        X                09         17,100             0             0
0                                             593        7,367        X       X        09          5,991             0         1,376
0                                             159        1,977        X                12          1,977             0             0
0                                           2,755       34,220        X       X        12              0        34,220             0
-
0 NETZERO INC                   64122R10       23        4,500        X                12          4,500             0             0
  COM
0                                             408       78,150        X       X        12              0        78,150             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  264  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  NEW AMER HIGH INCOME FD INC   64187610      110       32,711        X       X        12              0        32,711             0
  COM
-
0 NEW CENTURY ENERGIES INC      64352U10       30        1,000        X       X        04          1,000             0             0
  COM
0                                              58        1,943        X       X        05          1,943             0             0
0                                             165        5,510        X                08          5,510             0             0
0                                             252        8,387        X       X        08          6,088             0         2,299
0                                             289        9,642        X                09          8,242             0         1,400
0                                             361       12,027        X       X        09          4,960         3,800         3,267
-
0 NEW ERA OF NETWORKS INC       64431210    1,320       31,060        X       X        09         31,060             0             0
  COM
0                                             255        6,000        X       X        12              0         6,000             0
-
0 NEW PLAN EXCEL RLTY TR INC    64805310       24        1,850        X       X        08          1,850             0             0
  COM
0                                             130       10,000        X                09         10,000             0             0
0                                               7          500        X       X        09            500             0             0
-
0 NEW YORK TIMES CO             65011110    3,405       86,200        X                04         76,800             0         9,400
  CL A
0                                             707       17,900        X       X        04         14,100         1,800         2,000
0                                              13          331        X       X        05            331             0             0
0                                          12,917      327,000        X                06        327,000             0             0
0                                             209        5,300        X                08          5,300             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  265  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          21,852      553,207        X                09        536,207         1,500        15,500
0                                           8,474      214,536        X       X        09         92,266         4,600       117,670
-
0 NEWELL RUBBERMAID INC         65122910       21          800        X                04            800             0             0
  COM
0                                              15          564        X       X        05            564             0             0
0                                              29        1,139        X       X        08          1,139             0             0
0                                             660       25,640        X                09         21,275             0         4,365
0                                           1,126       43,739        X       X        09         34,249             0         9,490
-
0 NEWFIELD EXPL CO              65129010    8,412      215,000        X                06        215,000             0             0
  COM
0                                           6,577      168,100        X                09        168,100             0             0
-
0 NEWGEN RESULTS CORP           65135910        8          459        X                12            459             0             0
  COM
0                                             797       48,300        X       X        12              0        48,300             0
-
0 NEWMONT MINING CORP           65163910        5          245        X       X        05            245             0             0
  COM
0                                              46        2,128        X                08          2,128             0             0
0                                               5          250        X       X        08            250             0             0
0                                             593       27,400        X                09         26,500             0           900
0                                             484       22,378        X       X        09         20,318         1,246           814
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  266  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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 CORP                  65182410      644        6,000        X                09          6,000             0             0
  COM
0                                             129        1,200        X       X        09              0             0         1,200
-
0 NEWPORT NEWS SHIPBUILDING IN  65222810        4          114        X                08            114             0             0
  COM
0                                              63        1,720        X       X        08          1,720             0             0
0                                              32          860        X                09            520             0           340
0                                             894       24,329        X       X        09         24,329             0             0
-
0 NEWS CORP LTD                 65248770      349        6,400        X                04          5,800             0           600
  ADR NEW
0                                              93        1,700        X       X        04          1,100           600             0
0                                             600       11,000        X                05          5,100             0         5,900
0                                             109        2,000        X                08          2,000             0             0
0                                           1,286       23,600        X       X        08         11,200             0        12,400
0                                          46,732      857,460        X                09        845,610             0        11,850
0                                             605       11,100        X       X        09          8,200             0         2,900
0                                             229        4,200        X       X        12              0         4,200             0
-
0 NEWS CORP LTD                 65248780       69        1,450        X       X        04          1,450             0             0
  SP ADR PFD
0                                             556       11,700        X       X        08          5,500             0         6,200
0                                           2,411       50,750        X                09            750             0        50,000
-
0 NEXTEL COMMUNICATIONS INC     65332V10      969       15,840        X                01              0             0        15,840
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  267  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,823       29,800        X                04         27,700             0         2,100
0                                             318        5,200        X       X        04          3,200             0         2,000
0                                           1,364       22,300        X                05         12,100             0        10,200
0                                             109        1,778        X       X        05          1,378             0           400
0                                          23,738      387,946        X                06        387,946             0             0
0                                          10,274      167,916        X                08        167,916             0             0
0                                             927       15,150        X       X        08         14,350           400           400
0                                          48,576      793,883        X                09        774,943         1,400        17,540
0                                          10,897      178,088        X       X        09        137,771         4,725        35,592
0                                             245        4,000        X                12          4,000             0             0
0                                             176        2,870        X       X        12              0         2,870             0
-
0 NEXTLINK COMMUNICATIONS INC   65333H70       19          500        X                05            500             0             0
  CL A
0                                             396       10,450        X                09         10,450             0             0
0                                             191        5,026        X       X        12              0         5,026             0
-
0 NIAGARA MOHAWK HLDGS INC      65352010        9          670        X       X        04            210           460             0
  COM
0                                              26        1,877        X       X        05          1,877             0             0
0                                              71        5,100        X                08          5,100             0             0
0                                              62        4,439        X                09          4,439             0             0
0                                              10          753        X       X        09            100             0           653
-
0 NIKE INC                      65410610       25          620        X       X        05            620             0             0
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  268  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              76        1,900        X       X        08          1,900             0             0
0                                           1,541       38,700        X                09         38,700             0             0
0                                           9,118      229,031        X       X        09             52             0       228,979
0                                              25          625        X       X        12              0           625             0
-
0 NIKU CORP                     65411310   22,373      662,894        X                12              0             0       662,894
  COM
-
0 99 CENTS ONLY STORES          65440K10    1,179       29,566        X                09         29,566             0             0
  COM
-
0 NIPPON TELEG & TEL CORP       65462410    5,023       73,469        X                09         72,169         1,000           300
  SPONSORED ADR
0                                             386        5,650        X       X        09          3,650             0         2,000
-
0 NISOURCE INC                  65473P10      931       50,000        X                02              0             0        50,000
  COM
0                                             931       50,000        X       X        05         50,000             0             0
0                                             491       26,350        X                08         26,350             0             0
0                                             950       51,000        X       X        08         47,700         3,300             0
0                                             932       50,059        X                09         50,059             0             0
0                                             743       39,900        X       X        09         33,900             0         6,000
-
0 NOBLE AFFILIATES INC          65489410       37        1,000        X       X        08          1,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  269  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             676       18,150        X                09         18,150             0             0
0                                             345        9,250        X       X        09          9,250             0             0
-
0 NOKIA CORP                    65490220    1,453       29,100        X                01              0             0        29,100
  SPONSORED ADR
0                                           3,390       67,880        X                02              0             0        67,880
0                                           2,637       52,800        X                04         46,800             0         6,000
0                                             474        9,500        X       X        04          5,500         1,200         2,800
0                                           1,443       28,900        X                05         19,700             0         9,200
0                                              40          800        X       X        05            800             0             0
0                                          18,416      368,770        X                08        367,670             0         1,100
0                                          12,923      258,775        X       X        08        249,835         4,400         4,540
0                                         173,322    3,470,750        X                09      3,317,201        31,440       122,109
0                                          36,179      724,485        X       X        09        342,195        41,300       340,990
0                                          18,615      372,760        X       X        12              0       372,760             0
-
0 NORDSTROM INC                 65566410       48        2,000        X                04          2,000             0             0
  COM
0                                           1,417       58,750        X                08         58,750             0             0
0                                             472       19,550        X       X        08         18,950             0           600
0                                              87        3,600        X                09          3,600             0             0
0                                              65        2,702        X       X        09          2,000             0           702
0                                             235        9,730        X       X        12              0         9,730             0
-
0 NORFOLK SOUTHERN CORP         65584410      744       50,000        X                02              0             0        50,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  270  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,000        X                04              0             0         1,000
0                                             133        8,970        X       X        04          4,720             0         4,250
0                                             746       50,130        X       X        05         50,130             0             0
0                                             352       23,675        X                08         22,675             0         1,000
0                                             948       63,715        X       X        08         32,965           400        30,350
0                                           4,242      285,199        X                09        272,179             0        13,020
0                                           4,459      299,765        X       X        09        215,842         1,700        82,223
-
0 NORTEK INC                    65655910      401       20,300        X                09         20,300             0             0
  COM
-
0 NORTEL NETWORKS CORP NEW      65656810      321        4,700        X                01              0             0         4,700
  COM
0                                           3,167       46,400        X                04         43,600             0         2,800
0                                           2,744       40,206        X       X        04          3,400           400        36,406
0                                           1,385       20,300        X                05          8,700             0        11,600
0                                             395        5,784        X       X        05          5,384             0           400
0                                         121,661    1,782,575        X                06      1,782,575             0             0
0                                          47,248      692,281        X                08        689,881             0         2,400
0                                           3,973       58,210        X       X        08         50,110         4,200         3,900
0                                         163,015    2,388,500        X                09      2,353,146         1,000        34,354
0                                          28,712      420,689        X       X        09        334,935        23,184        62,570
0                                               3           50        X                12             50             0             0
0                                          21,002      307,721        X       X        12              0       307,721             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  271  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  NORTH FORK BANCORPORATION NY  65942410      378       25,000        X                02              0             0        25,000
  COM
0                                             405       26,800        X                09         26,800             0             0
0                                              15          978        X       X        09            978             0             0
0                                              71        4,700        X       X        12              0         4,700             0
-
0 NORTHERN BORDER PARTNERS L P  66478510       41        1,500        X       X        08          1,500             0             0
  UNIT LTD PARTN
0                                             191        7,000        X                09          7,000             0             0
0                                             178        6,500        X       X        09            800         3,000         2,700
-
0 NORTHN STS PWR CO MINN        66577210       14          700        X       X        04            700             0             0
  COM
0                                              19          922        X       X        05            922             0             0
0                                               3          132        X       X        08              0           132             0
0                                             582       28,840        X                09         27,840             0         1,000
0                                             858       42,490        X       X        09         34,016         4,400         4,074
-
0 NORTHERN TR CORP              66585910      260        4,000        X                05              0             0         4,000
  COM
0                                              21          325        X       X        05            325             0             0
0                                             215        3,300        X                08          2,900             0           400
0                                              78        1,200        X       X        08              0         1,200             0
0                                             319        4,900        X                09          4,900             0             0
0                                           1,748       26,869        X       X        09            103             0        26,766
0                                             919       14,120        X       X        12              0        14,120             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  272  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  NORTHWEST NAT GAS CO          66765510    5,255      234,850        X                06        234,850             0             0
  COM
0                                           1,607       71,825        X                08         71,825             0             0
0                                           4,123      184,265        X                09        184,065             0           200
-
0 NOVA CORP GA                  66978410      919       32,908        X                06         32,908             0             0
  COM
0                                             346       12,400        X                09         12,400             0             0
0                                              21          750        X       X        09            750             0             0
0                                              29        1,050        X       X        12              0         1,050             0
-
0 NOVARTIS A G                  66987V10      258        6,460        X                09          6,400             0            60
  SPONSORED ADR
0                                              80        2,000        X       X        09          1,200             0           800
-
0 NOTIFY TECHNOLOGY CORP        66995610      111       29,000        X       X        12              0        29,000             0
  COM
-
0 NOVAVAX INC                   67000210      146       20,000        X       X        09         20,000             0             0
  COM
-
0 NOVELL INC                    67000610      105       11,300        X                01              0             0        11,300
  COM
0                                              11        1,200        X       X        08            700             0           500
0                                              28        3,050        X                09          2,050         1,000             0
0                                             140       15,188        X       X        09            600        10,000         4,588
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  273  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             959      103,700        X       X        12              0       103,700             0
-
0 NOVELLUS SYS INC              67000810       85        1,500        X                04          1,500             0             0
  COM
0                                          88,167    1,558,744        X                06      1,558,744             0             0
0                                          28,903      510,994        X                08        510,994             0             0
0                                             807       14,275        X       X        08         14,275             0             0
0                                          39,447      697,400        X                09        695,000         2,400             0
0                                             727       12,850        X                12         12,850             0             0
0                                           4,015       70,985        X       X        12              0        70,985             0
-
0 NOVOSTE CORP                  67010C10    3,050       50,000        X                06         50,000             0             0
  COM
0                                               2           30        X                12             30             0             0
-
0 NU SKIN ENTERPRISES INC       67018T10    1,401      243,713        X                07        243,713             0             0
  CL A
-
0 NSTAR                         67019E10       57        1,410        X       X        04              0             0         1,410
  COM
0                                              80        1,974        X                09          1,574             0           400
0                                             162        3,972        X       X        09          3,762             0           210
-
0 NUCOR CORP                    67034610       40        1,200        X       X        04              0             0         1,200
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  274  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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                05              0             0           200
0                                              17          518        X       X        05            118             0           400
0                                             539       16,250        X                09         16,250             0             0
0                                           1,639       49,397        X       X        09         43,800             0         5,597
-
0 NUMERICAL TECHNOLOGIES INC    67053T10      197        4,043        X                12          4,043             0             0
  COM
0                                           1,096       22,550        X       X        12              0        22,550             0
-
0 NUVEEN INSD PREM INCOME MUN   6706D810      148       13,228        X                08         13,228             0             0
  COM
0                                              45        4,000        X       X        08          4,000             0             0
-
0 NUVEEN NY MUN VALUE FD        67062M10       56        6,500        X                09          6,500             0             0
  COM
0                                             128       15,000        X       X        09         15,000             0             0
-
0 NUVEEN INSD QUALITY MUN FD I  67062N10        9          665        X                04            665             0             0
  COM
0                                             149       11,351        X                08         11,351             0             0
-
0 NUVEEN PERFORMANCE PLUS MUN   67062P10        5          394        X                04            394             0             0
  COM
0                                              18        1,515        X                08          1,515             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  275  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,400        X       X        08          1,400             0             0
0                                              34        2,800        X                09          2,800             0             0
0                                             629       52,450        X       X        09         52,450             0             0
-
0 NUVEEN N Y INVT QUALITY MUN   67062X10       28        2,000        X                09          2,000             0             0
  COM
0                                             123        8,900        X       X        09          8,500             0           400
-
0 NVIDIA CORP                   67066G10        3           51        X                12             51             0             0
  COM
0                                           2,372       37,313        X       X        12              0        37,313             0
-
0 NYFIX INC                     67071210       50        1,200        X                09          1,200             0             0
  COM
0                                           6,291      150,000        X       X        12              0       150,000             0
-
0 OGE ENERGY CORP               67083710       93        5,000        X       X        04          5,000             0             0
  COM
0                                              76        4,100        X       X        08          4,100             0             0
0                                             501       27,100        X                09         25,500             0         1,600
0                                             142        7,700        X       X        09          7,700             0             0
-
0 NUVEEN MUN VALUE FD INC       67092810      152       18,000        X                08         18,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  276  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        7,201        X       X        08          6,696           505             0
0                                               2          201        X                09            201             0             0
0                                             156       18,432        X       X        09          8,432             0        10,000
-
0 NUVEEN NJ INVT QUALITY MUN F  67097110       42        3,000        X                09          3,000             0             0
  COM
0                                             104        7,380        X       X        09          7,380             0             0
-
0 NUVEEN SELECT QUALITY MUN FD  67097310      368       28,451        X                08         28,451             0             0
  COM
0                                               7          551        X       X        08            551             0             0
0                                              91        7,000        X       X        09          7,000             0             0
-
0 NUVEEN NY SELECT QUALITY MUN  67097610      200       14,700        X       X        09         10,500             0         4,200
  COM
-
0 NUVEEN TEX QUALITY INCOME MU  67098310      163       12,800        X       X        08         10,800         2,000             0
  COM
0                                              10          800        X       X        12              0           800             0
-
0 NUVEEN INSD MUN OPPORTUNITY   67098410      152       11,702        X                08         11,702             0             0
  COM
0                                              13        1,000        X       X        08          1,000             0             0
0                                               1          100        X                09            100             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  277  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              26        2,000        X       X        09          2,000             0             0
0                                              13        1,000        X       X        12              0         1,000             0
-
0 NUVEEN NY QUALITY INCM MUN F  67098610      116        8,600        X                09          8,600             0             0
  COM
0                                              75        5,550        X       X        09          1,550             0         4,000
-
0 NUVEEN NJ PREM INCOME MUN FD  67101N10       90        6,700        X                09          6,700             0             0
  COM
0                                              48        3,557        X       X        09          3,557             0             0
-
0 OAKLEY INC                    67366210        2          200        X                05              0             0           200
  COM
0                                              29        2,550        X       X        05              0             0         2,550
0                                             483       42,000        X                09         42,000             0             0
0                                              29        2,500        X       X        12              0         2,500             0
-
0 OCCIDENTAL PETE CORP DEL      67459910        8          400        X                04            400             0             0
  COM
0                                               8          377        X       X        04            377             0             0
0                                               2          100        X                05            100             0             0
0                                              18          854        X       X        05            854             0             0
0                                           3,842      182,426        X                09        176,712             0         5,714
0                                              74        3,531        X       X        09          1,789             0         1,742
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  278  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             169        8,000        X       X        12              0         8,000             0
-
0 OCEAN ENERGY INC TEX          67481E10       42        2,955        X                08          2,955             0             0
  COM
0                                             145       10,250        X       X        08            250             0        10,000
0                                          15,787    1,112,730        X                09      1,112,730             0             0
-
0 OCEANEERING INTL INC          67523210      407       21,400        X                09         21,400             0             0
  COM
-
0 OCEANFIRST FINL CORP          67523410      221       12,000        X                09         12,000             0             0
  COM
-
0 ODWALLA INC                   67611110      177       24,806        X                12              0             0        24,806
  COM
-
0 OFFICE DEPOT INC              67622010       16        2,625        X       X        04              0             0         2,625
  COM
0                                               6        1,014        X       X        05          1,014             0             0
0                                              36        5,800        X                08          5,800             0             0
0                                              23        3,705        X                09          3,705             0             0
0                                              11        1,735        X       X        09             97             0         1,638
0                                               7        1,187        X       X        12              0         1,187             0
-
0 OGDEN CORP                    67634610      175       19,469        X       X        09         19,469             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  279  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  OHIO CAS CORP                 67724010      166       15,600        X                09         15,600             0             0
  COM
0                                             117       11,000        X       X        09          5,000         2,000         4,000
-
0 OLD KENT FINL CORP            67983310      514       19,217        X                09         19,217             0             0
  COM
0                                             104        3,871        X       X        09          2,595             0         1,276
-
0 OLD REP INTL CORP             68022310      729       44,200        X                09         43,200             0         1,000
  COM
-
0 OLIN CORP                     68066520        3          200        X       X        04              0           200             0
  COM PAR $1
0                                             149        9,000        X                09          9,000             0             0
0                                              45        2,700        X       X        09          2,500             0           200
-
0 OMNICARE INC                  68190410      500       55,200        X       X        05         55,200             0             0
  COM
0                                              44        4,900        X                09          4,900             0             0
-
0 OMNICOM GROUP INC             68191910    1,550       17,400        X                04         15,300             0         2,100
  COM
0                                             379        4,260        X       X        04          3,300             0           960
0                                           2,096       23,530        X       X        05         23,530             0             0
0                                           7,352       82,550        X                06         82,550             0             0
0                                          24,392      273,870        X                08        270,770             0         3,100
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  280  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,711       64,125        X       X        08         59,675         3,600           850
0                                          51,240      575,324        X                09        522,974        13,800        38,550
0                                           6,341       71,201        X       X        09         24,437        10,100        36,664
0                                             168        1,885        X       X        12              0         1,885             0
-
0 OMEGA HEALTHCARE INVS INC     68193610        0           78        X                08             78             0             0
  COM
0                                              69       15,223        X                09         12,723             0         2,500
0                                             131       29,081        X       X        09         24,181         2,000         2,900
-
0 ON ASSIGNMENT INC             68215910   13,664      448,000        X                06        448,000             0             0
  COM
0                                           3,575      117,200        X                08        117,200             0             0
0                                          10,588      347,150        X                09        347,000             0           150
-
0 1 800 FLOWERS COM             68243Q10   20,831    4,064,589        X                07      4,064,589             0             0
  CL A
-
0 ONEOK INC NEW                 68268010       26        1,000        X       X        08          1,000             0             0
  COM
0                                             267       10,300        X                09         10,300             0             0
0                                               4          140        X       X        09              0             0           140
-
0 ONI SYSTEMS CORP              68273F10  423,999    3,617,650        X                07      3,617,650             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  281  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,447       12,350        X       X        12              0        12,350             0
-
0 ONVIA COM INC                 68338T10       26        3,000        X       X        04              0             0         3,000
  COM
0                                             576       66,800        X                12              0             0        66,800
0                                             144       16,700        X       X        12              0        16,700             0
-
0 ONYX PHARMACEUTICALS INC      68339910    4,881      394,428        X                03        394,428             0             0
  COM
0                                              34        2,712        X       X        04              0             0         2,712
0                                              20        1,600        X       X        12              0         1,600             0
-
0 ONYX SOFTWARE CORP            68340210    1,051       35,400        X                09         35,400             0             0
  COM
-
0 OPEN JT STK CO-VIMPEL COMMUN  68370R10      223       10,100        X                09         10,100             0             0
  SPONSORED ADR
0                                              62        2,800        X       X        09          2,800             0             0
-
0 OPTIMAL ROBOTICS CORP         68388R20    1,366       35,600        X                09         35,600             0             0
  CL A NEW
-
0 ORACLE CORP                   68389X10    1,555       18,500        X                01              0             0        18,500
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  282  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,766       21,010        X                04         17,800             0         3,210
0                                             210        2,500        X       X        04            500             0         2,000
0                                           1,181       14,050        X                05          9,250             0         4,800
0                                           2,052       24,410        X       X        05         24,410             0             0
0                                         158,196    1,881,875        X                06      1,881,875             0             0
0                                          92,072    1,095,272        X                08      1,085,722         8,500         1,050
0                                          14,930      177,610        X       X        08        154,350        11,200        12,060
0                                         161,608    1,922,466        X                09      1,835,880        26,530        60,056
0                                          31,525      375,022        X       X        09        189,675        51,375       133,972
0                                           1,714       20,386        X                12         20,386             0             0
0                                           9,630      114,554        X       X        12              0       114,554             0
-
0 ORATEC INTERVENTIONS INC      68554M10      948       28,400        X                06         28,400             0             0
  COM
0                                           1,125       33,700        X                09         33,700             0             0
-
0 ORCHID BIOSCIENCES INC        68571P10    1,405       37,000        X                09         37,000             0             0
  COM
-
0 OREGON STL MLS INC            68607910      128       65,800        X                09         65,800             0             0
  COM
-
0 ORTHODONTIC CTRS AMER INC     68750P10      238       10,500        X                09         10,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  283  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  OWENS CORNING                 69073F10      171       18,450        X                09          6,300             0        12,150
  COM
0                                              60        6,442        X       X        09          2,400             0         4,042
-
0 OXFORD HEALTH PLANS INC       69147110   23,272      977,294        X                03              0             0       977,294
  COM
0                                          17,601      739,150        X                06        739,150             0             0
0                                           3,186      133,800        X                08        133,800             0             0
0                                          14,914      626,300        X                09        625,000             0         1,300
-
0 P-COM INC                     69326210      259       45,600        X                12         45,600             0             0
  COM
-
0 PECO ENERGY CO                69330410       20          500        X       X        04            500             0             0
  COM
0                                              34          854        X       X        05            854             0             0
0                                              81        2,000        X       X        08              0         2,000             0
0                                             407       10,108        X                09         10,108             0             0
0                                             319        7,923        X       X        09          6,366           350         1,207
-
0 PG&E CORP                     69331C10        9          378        X                04            378             0             0
  COM
0                                               9          355        X       X        04              0             0           355
0                                              31        1,250        X                05            200             0         1,050
0                                              49        2,000        X       X        05          2,000             0             0
0                                           1,151       46,744        X                08         46,744             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  284  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              49        1,974        X       X        08            974         1,000             0
0                                             715       29,029        X                09         28,629             0           400
0                                             280       11,362        X       X        09          8,248           400         2,714
-
0 PFF BANCORP INC               69331W10      272       14,900        X                09         14,900             0             0
  COM
-
0 PE CORP                       69332S10       29          445        X       X        05            445             0             0
  COM PE BIO GRP
0                                              26          400        X       X        08            400             0             0
0                                           8,537      129,600        X                09        129,500           100             0
0                                           1,302       19,770        X       X        09         18,726             0         1,044
0                                              92        1,400        X                12          1,400             0             0
0                                             644        9,780        X       X        12              0         9,780             0
-
0 PE CORP                       69332S20      120        1,300        X                04          1,300             0             0
  CELERA GEN GRP
0                                           3,685       40,050        X                09         40,050             0             0
0                                           1,251       13,598        X       X        09          3,598             0        10,000
0                                             202        2,200        X       X        12              0         2,200             0
-
0 P F CHANGS CHINA BISTRO INC   69333Y10    1,127       35,300        X                09         35,300             0             0
  COM
-
0 PLX TECHNOLOGY INC            69341710      614       14,800        X                09         14,800             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  285  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  PMC-SIERRA INC                69344F10      409        2,300        X                01              0             0         2,300
  COM
0                                             107          600        X                04            600             0             0
0                                           6,041       34,000        X       X        05         34,000             0             0
0                                             142          800        X                08            800             0             0
0                                             284        1,600        X       X        08          1,600             0             0
0                                           1,022        5,750        X                09          5,750             0             0
0                                             422        2,375        X       X        09          2,250           125             0
0                                             207        1,167        X                12          1,167             0             0
0                                          13,523       76,106        X       X        12              0        76,106             0
-
0 PMI GROUP INC                 69344M10       14          300        X                08              0             0           300
  COM
0                                             627       13,200        X                09         13,200             0             0
-
0 PNC FINL SVCS GROUP INC       69347510       38          800        X                04            800             0             0
  COM
0                                               5          100        X                05              0             0           100
0                                              17          367        X       X        05            367             0             0
0                                              21          450        X                08            450             0             0
0                                             202        4,300        X       X        08              0             0         4,300
0                                          21,895      467,092        X                09        466,092             0         1,000
0                                           2,744       58,539        X       X        09         43,819         1,334        13,386
-
0 PPG INDS INC                  69350610    1,028       23,200        X                02              0             0        23,200
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  286  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             106        2,400        X       X        04          2,400             0             0
0                                               9          200        X                05            200             0             0
0                                              11          250        X       X        05            250             0             0
0                                              44        1,000        X                08          1,000             0             0
0                                             151        3,400        X       X        08          3,400             0             0
0                                           6,678      150,702        X                09        148,902             0         1,800
0                                           6,681      150,775        X       X        09        121,306         4,000        25,469
0                                              27          600        X       X        12              0           600             0
-
0 PPL CORP                      69351T10       42        1,898        X       X        04          1,398           500             0
  COM
0                                              26        1,199        X       X        05          1,199             0             0
0                                             530       24,139        X                09         21,339             0         2,800
0                                             196        8,951        X       X        09          8,200             0           751
-
0 PRI AUTOMATION INC            69357H10   21,994      336,350        X                06        336,350             0             0
  COM
0                                           5,398       82,555        X                08         82,555             0             0
0                                          13,562      207,400        X                09        207,250             0           150
0                                               4           63        X                12             63             0             0
0                                              20          300        X       X        12              0           300             0
-
0 PACIFIC CENTY FINL CORP       69405810      148       10,141        X                05         10,141             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  287  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       22,100        X                09         22,100             0             0
-
0 PACIFIC GULF PPTYS INC        69439610    4,634      184,900        X                09        184,900             0             0
  COM
-
0 PACIFICARE HEALTH SYS DEL     69511210      430        7,146        X                09          7,146             0             0
  COM
0                                               7          121        X       X        09              0             0           121
0                                              15          253        X                12            253             0             0
-
0 PACKARD BIOSCIENCE INC        69517220    1,503       88,400        X       X        05         88,400             0             0
  COM
0                                               0           18        X                12             18             0             0
0                                              31        1,800        X       X        12              0         1,800             0
-
0 PACTIV CORP                   69525710       10        1,316        X       X        04          1,316             0             0
  COM
0                                              13        1,685        X       X        05          1,585             0           100
0                                              14        1,724        X                08          1,674            50             0
0                                              25        3,129        X       X        08          2,400           129           600
0                                              48        6,050        X                09          6,050             0             0
0                                              66        8,331        X       X        09          6,951             0         1,380
-
0 PAIRGAIN TECHNOLOGIES INC     69593410        0          150        X                12            150             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  288  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       80,200        X       X        12              0        80,200             0
-
0 PALL CORP                     69642930        4          214        X       X        05            214             0             0
  COM
0                                             851       45,988        X                09         45,988             0             0
0                                             908       49,091        X       X        09         23,166         6,000        19,925
-
0 PAN PACIFIC RETAIL PPTYS INC  69806L10    1,109       55,100        X                09         55,100             0             0
  COM
-
0 PANTRY INC                    69865710    8,571      926,648        X                10        926,648             0             0
  COM
0                                           9,623    1,040,366        X                11      1,040,366             0             0
-
0 PARADIGM GENETICS INC         69900R10    1,212       99,450        X       X        12              0        99,450             0
  COM
-
0 PARAMETRIC TECHNOLOGY CORP    69917310      627       56,981        X       X        05         56,981             0             0
  COM
0                                               0           10        X                09              0             0            10
0                                              13        1,162        X       X        09              0             0         1,162
0                                               2          144        X                12            144             0             0
0                                               3          300        X       X        12              0           300             0
-
0 PARK PL ENTMT CORP            70069010   12,632    1,036,400        X                06      1,036,400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  289  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,000        X                08          2,000             0             0
0                                          16,634    1,364,800        X       X        08      1,364,800             0             0
0                                          12,362    1,014,300        X                09      1,014,300             0             0
0                                             171       14,000        X       X        09         14,000             0             0
0                                              26        2,166        X       X        12              0         2,166             0
-
0 PARKER HANNIFIN CORP          70109410      127        3,700        X                04          3,700             0             0
  COM
0                                              31          900        X       X        04              0           900             0
0                                               7          196        X       X        05            196             0             0
0                                             553       16,154        X       X        08         16,154             0             0
0                                           1,658       48,423        X                09         46,423             0         2,000
0                                              55        1,599        X       X        09             26             0         1,573
0                                          18,106      528,631        X       X        12              0       528,631             0
-
0 PATINA OIL & GAS CORP         70322410    1,893       91,226        X                07         86,726             0         4,500
  COM
-
0 PATTERSON DENTAL CO           70341210   10,702      209,850        X                06        209,850             0             0
  COM
0                                           2,746       53,850        X                08         53,850             0             0
0                                           7,201      141,200        X                09        141,100             0           100
0                                              31          600        X       X        09              0             0           600
-
0 PATTERSON ENERGY INC          70341410    2,212       77,600        X                09         77,600             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  290  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  PAXAR CORP                    70422710      114        9,532        X                04          9,532             0             0
  COM
0                                             196       16,400        X                09         16,400             0             0
-
0 PAXSON COMMUNICATIONS CORP    70423110    6,600      825,000        X                09        825,000             0             0
  COM
-
0 PAYCHEX INC                   70432610       42        1,000        X       X        04          1,000             0             0
  COM
0                                              32          762        X       X        05            762             0             0
0                                           3,861       91,938        X                09         91,516           420             2
0                                           1,663       39,600        X       X        09          7,271             0        32,329
0                                              95        2,250        X       X        12              0         2,250             0
-
0 PAYLESS SHOESOURCE INC        70437910      209        4,087        X                09          4,087             0             0
  COM
0                                             172        3,349        X       X        09          2,690           659             0
-
0 PEERLESS SYS CORP             70553610        0           24        X                12             24             0             0
  COM
0                                              73       37,695        X       X        12              0        37,695             0
-
0 PEGASUS COMMUNICATIONS CORP   70590410      687       14,000        X                09         14,000             0             0
  CL A
-
0 PEGASUS SOLUTIONS INC         70590610      321       29,500        X                09         29,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  291  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              47        4,300        X       X        12              0         4,300             0
-
0 PENNACO ENERGY INC            70804610    1,556       95,000        X                09         95,000             0             0
  COM
0                                              33        2,000        X       X        12              0         2,000             0
-
0 PENNEY J C INC                70816010       13          700        X                04            700             0             0
  COM
0                                              13          700        X       X        04            300           400             0
0                                              17          900        X       X        08            400           500             0
0                                           1,398       75,800        X                09         65,070             0        10,730
0                                           3,100      168,124        X       X        09        165,633             0         2,491
0                                              55        3,000        X       X        12              0         3,000             0
-
0 PENNZOIL-QUAKER STATE COMPAN  70932310        6          466        X       X        04            466             0             0
  COM
0                                               1          100        X                08            100             0             0
0                                             278       23,034        X                09         23,034             0             0
0                                             281       23,329        X       X        09         22,879           450             0
-
0 PENTAIR INC                   70963110       21          600        X                04            400             0           200
  COM
0                                          13,831      389,600        X                06        389,600             0             0
0                                          14,644      412,500        X                09        412,500             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  292  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,875        X       X        09          2,000             0           875
-
0 PEOPLES ENERGY CORP           71103010       42        1,284        X       X        04          1,284             0             0
  COM
0                                              14          437        X                08            437             0             0
0                                             207        6,399        X                09          6,399             0             0
0                                             256        7,908        X       X        09          6,139             0         1,769
-
0 PEOPLESOFT INC                71271310      167        9,968        X       X        04              0             0         9,968
  COM
0                                               6          331        X       X        05            331             0             0
0                                              17        1,000        X                06          1,000             0             0
0                                              86        5,134        X       X        09          4,079             0         1,055
0                                              69        4,100        X                12          4,100             0             0
0                                             173       10,344        X       X        12              0        10,344             0
-
0 PEP BOYS MANNY MOE & JACK     71327810       38        6,302        X                09          6,302             0             0
  COM
0                                             113       18,888        X       X        09         18,050             0           838
0                                               2          300        X       X        12              0           300             0
-
0 PEPSI BOTTLING GROUP INC      71340910      117        4,000        X       X        08              0             0         4,000
  COM
0                                             318       10,900        X                09         10,900             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  293  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  PEPSICO INC                   71344810    3,120       70,212        X                04         58,112             0        12,100
  COM
0                                           2,369       53,300        X       X        04         30,100         1,200        22,000
0                                             449       10,100        X                05          7,000             0         3,100
0                                           2,620       58,962        X       X        05         57,862             0         1,100
0                                          71,458    1,608,031        X                06      1,608,031             0             0
0                                          54,361    1,223,293        X                08      1,218,093         4,300           900
0                                          28,194      634,462        X       X        08        364,912        55,700       213,850
0                                         115,855    2,607,112        X                09      2,484,871         8,666       113,575
0                                          64,647    1,454,765        X       X        09      1,080,998        93,000       280,767
0                                              33          738        X       X        12              0           738             0
-
0 PEREGRINE SYSTEMS INC         71366Q10       35        1,000        X                08          1,000             0             0
  COM
0                                             469       13,513        X                09         13,513             0             0
0                                             156        4,500        X       X        12              0         4,500             0
-
0 PERFORMANCE FOOD GROUP CO     71375510   11,354      354,800        X                06        354,800             0             0
  COM
0                                           2,899       90,600        X                08         90,600             0             0
0                                           7,680      240,000        X                09        239,700             0           300
-
0 PERKINELMER INC               71404610      265        4,000        X                04          3,000             0         1,000
  COM
0                                              13          200        X                05            100             0           100
0                                              23          350        X       X        05            350             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  294  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          42,829      647,700        X                06        647,700             0             0
0                                           6,540       98,900        X                08         98,900             0             0
0                                          34,418      520,500        X                09        520,200             0           300
0                                             139        2,104        X       X        09          1,900             0           204
-
0 P T TELEKOMUNIKASI INDONESIA  71568410      238       34,300        X                09         34,300             0             0
  SPONSORED ADR
0                                             225       32,400        X       X        09              0             0        32,400
-
0 PETCO ANIMAL SUPPLIES         71601610   10,892      555,000        X                03        555,000             0             0
  COM
0                                             230       11,700        X                09         11,700             0             0
-
0 PETROCORP INC                 71645N10    2,633      376,088        X                02              0             0       376,088
  COM
-
0 PHARMACYCLICS INC             71693310      251        4,120        X                12          4,120             0             0
  COM
0                                           6,634      108,750        X       X        12              0       108,750             0
-
0 PFIZER INC                    71708110   72,000    1,500,000        X                01              0             0     1,500,000
  COM
0                                          10,205      212,609        X                04        188,409             0        24,200
0                                          14,011      291,892        X       X        04        115,442           675       175,775
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  295  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             981       20,431        X                05         16,550             0         3,881
0                                           8,938      186,198        X       X        05        186,198             0             0
0                                         215,075    4,480,722        X                06      4,480,722             0             0
0                                         154,904    3,227,177        X                08      3,212,677           300        14,200
0                                          81,192    1,691,501        X       X        08      1,105,384       234,166       351,951
0                                         453,724    9,452,590        X                09      8,947,235        92,350       413,005
0                                         310,961    6,478,361        X       X        09      4,755,923       133,547     1,588,891
0                                           5,712      118,994        X       X        12              0       118,994             0
-
0 PFSWEB INC                    71709810        1          306        X                12            306             0             0
  COM
0                                             141       30,100        X       X        12              0        30,100             0
-
0 PHARMACIA CORP                71713U10    5,802      112,254        X                02              0             0       112,254
  COM
0                                             947       18,322        X                04         15,072             0         3,250
0                                             324        6,260        X       X        04            760             0         5,500
0                                             494        9,550        X                05          5,700             0         3,850
0                                             163        3,154        X       X        05          2,704             0           450
0                                         107,433    2,078,493        X                06      2,078,493             0             0
0                                          22,878      442,608        X                08        440,308             0         2,300
0                                           3,488       67,478        X       X        08         54,978         3,500         9,000
0                                         108,652    2,102,072        X                09      2,087,832           400        13,840
0                                           9,645      186,609        X       X        09        150,921           500        35,188
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  296  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             192        3,717        X       X        12              0         3,717             0
-
0 PHELPS DODGE CORP             71726510       59        1,575        X       X        08          1,575             0             0
  COM
0                                             444       11,951        X                09          9,941             0         2,010
0                                           1,133       30,471        X       X        09         29,963             0           508
-
0 PHILIP MORRIS COS INC         71815410      517       19,467        X                04         19,467             0             0
  COM
0                                           1,700       63,995        X       X        04         18,200        27,405        18,390
0                                              36        1,350        X                05          1,200             0           150
0                                              98        3,674        X       X        05          3,524             0           150
0                                          24,652      928,045        X                06        928,045             0             0
0                                           8,777      330,412        X                08        326,712         2,700         1,000
0                                           9,673      364,150        X       X        08        198,050        10,800       155,300
0                                          47,093    1,772,898        X                09      1,689,648         1,400        81,850
0                                          22,136      833,321        X       X        09        643,639         7,950       181,732
0                                             444       16,723        X       X        12              0        16,723             0
-
0 PHILIPPINE LONG DISTANCE TEL  71825260       36        2,000        X                09          2,000             0             0
  SPONSORED ADR
0                                           3,638      204,940        X       X        09              0             0       204,940
-
0 PHILIPS INTL RLTY CORP        71833310    2,752      158,400        X                09        145,500        11,400         1,500
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  297  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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                                               2           48        X       X        05             48             0             0
0                                             258        5,092        X                08          5,092             0             0
0                                             462        9,117        X       X        08          6,802         1,046         1,269
0                                           7,294      143,905        X                09        140,455             0         3,450
0                                             797       15,721        X       X        09         14,530             0         1,191
-
0 PHILLIPS VAN HEUSEN CORP      71859210      204       21,452        X       X        09              0             0        21,452
  COM
-
0 PHONE COM INC                 71920Q10       13          200        X                09            200             0             0
  COM
0                                              13          200        X       X        09              0             0           200
0                                          10,571      162,316        X                12          2,109             0       160,207
0                                           3,246       49,850        X       X        12              0        49,850             0
-
0 PHOTRONICS INC                71940510    7,094      250,000        X                09              0       250,000             0
  COM
0                                             636       22,400        X                12         22,400             0             0
-
0 PIER 1 IMPORTS INC            72027910       44        4,500        X       X        08              0             0         4,500
  COM
0                                             266       27,300        X                09         27,300             0             0
0                                              98       10,000        X       X        09         10,000             0             0
-
0 PILGRIM PRIME RATE TR NEW     72146W10      142       16,000        X       X        09          6,000             0        10,000
  SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  298  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  PINNACLE ENTMT INC            72345610      216       11,100        X                09         11,100             0             0
  COM
-
0 PINNACLE HLDGS INC            72346N10    2,387       44,200        X                06         44,200             0             0
  COM
0                                              30          550        X                08            550             0             0
-
0 PINNACLE SYS INC              72348110       74        3,300        X                12          3,300             0             0
  COM
0                                             270       12,000        X       X        12              0        12,000             0
-
0 PINNACLE WEST CAP CORP        72348410       17          500        X       X        04            500             0             0
  COM
0                                              85        2,500        X                08          2,500             0             0
0                                           1,076       31,750        X                09         31,750             0             0
0                                             270        7,980        X       X        09          7,100             0           880
0                                              14          400        X       X        12              0           400             0
-
0 PIONEER COS INC               72364310    3,913      802,645        X                09        802,645             0             0
  CL A
-
0 PIONEER NAT RES CO            72378710      260       20,382        X                09         20,382             0             0
  COM
0                                               5          389        X       X        09            389             0             0
-
0 PIONEER STD ELECTRS INC       72387710      236       16,000        X                09         16,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  299  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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      224        5,600        X                04          5,600             0             0
  COM
0                                              80        2,000        X       X        04          1,000             0         1,000
0                                              44        1,100        X                05          1,100             0             0
0                                               8          209        X       X        05            209             0             0
0                                             164        4,090        X                08          4,090             0             0
0                                             320        8,000        X       X        08          8,000             0             0
0                                          14,435      360,885        X                09        340,609         1,800        18,476
0                                          12,073      301,835        X       X        09        204,575         7,500        89,760
0                                              16          400        X       X        12              0           400             0
-
0 PITTSTON CO                   72570110       13          959        X                08            959             0             0
  COM BRINKS GRP
0                                             318       23,201        X                09          5,980             0        17,221
0                                              26        1,883        X       X        09          1,500             0           383
-
0 PIVOTAL CORP                  72581R10        9          404        X                12              0             0           404
  COM
0                                             382       16,235        X       X        12              0        16,235             0
-
0 PLACER DOME INC               72590610        2          197        X       X        05            197             0             0
  COM
0                                              58        6,067        X                08          3,067         3,000             0
0                                               8          800        X       X        08            800             0             0
0                                             190       19,904        X       X        09          8,243             0        11,661
-
0 PLANTRONICS INC NEW           72749310   26,761      231,700        X                09        231,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  300  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          400        X       X        12              0           400             0
-
0 PLAYTEX PRODS INC             72813P10   15,084    1,333,333        X       X        03      1,333,333             0             0
  COM
-
0 PLEXUS CORP                   72913210      102          900        X                09            900             0             0
  COM
0                                              10           89        X                12             89             0             0
0                                           1,831       16,200        X       X        12              0        16,200             0
-
0 PLUG POWER INC                72919P10       25          400        X       X        09              0             0           400
  COM
0                                               6          100        X                12            100             0             0
0                                             283        4,525        X       X        12              0         4,525             0
-
0 PLUM CREEK TIMBER CO INC      72925110       94        3,600        X                04          3,000             0           600
  COM
0                                             130        5,000        X                08          5,000             0             0
0                                               8          300        X       X        08            300             0             0
0                                             104        4,000        X                09              0             0         4,000
0                                             146        5,600        X       X        09            900         2,700         2,000
0                                              91        3,500        X       X        12              0         3,500             0
-
0 PORTAL SOFTWARE INC           73612610    1,108       17,354        X       X        12              0        17,354             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  301  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  PORTUGAL TELECOM S A          73727310    4,332      385,105        X                09        372,105         3,000        10,000
  SPONSORED ADR
0                                              62        5,500        X       X        09          3,000             0         2,500
-
0 POST PPTYS INC                73746410      275        6,242        X                04          6,242             0             0
  COM
0                                              18          400        X       X        05              0             0           400
0                                           1,320       30,000        X                09         30,000             0             0
0                                             512       11,637        X       X        09          5,500           500         5,637
-
0 POTASH CORP SASK INC          73755L10      713       12,920        X                08         12,920             0             0
  COM
0                                             859       15,559        X       X        08         13,659         1,900             0
0                                             207        3,750        X                09          3,550             0           200
-
0 POTOMAC ELEC PWR CO           73767910       15          587        X       X        04            587             0             0
  COM
0                                              18          700        X                08            700             0             0
0                                             110        4,400        X       X        08          4,400             0             0
0                                             225        8,980        X                09          8,980             0             0
0                                              87        3,484        X       X        09          2,884           600             0
-
0 POWER INTEGRATIONS INC        73927610       38        1,600        X                09          1,600             0             0
  COM
0                                              38        1,630        X                12          1,630             0             0
0                                           2,262       96,000        X       X        12              0        96,000             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  302  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  POWERTEL INC                  73936C10    5,741       80,925        X                08         80,925             0             0
  COM
-
0 POWERWAVE TECHNOLOGIES INC    73936310       13          300        X                09            300             0             0
  COM
0                                           2,257       51,300        X       X        12              0        51,300             0
-
0 PRAXAIR INC                   74005P10       11          290        X                04            290             0             0
  COM
0                                              51        1,361        X       X        04              0           361         1,000
0                                               7          200        X                05              0             0           200
0                                              12          329        X       X        05            329             0             0
0                                           1,293       34,525        X                08         34,525             0             0
0                                           1,269       33,905        X       X        08         29,305         4,600             0
0                                             815       21,777        X                09         19,277             0         2,500
0                                           1,145       30,592        X       X        09         28,790           560         1,242
-
0 PRECISION DRILLING CORP       74022D10      966       25,000        X                09         25,000             0             0
  COM
-
0 PRENTISS PPTYS TR             74070610    3,331      138,800        X                09        133,200             0         5,600
  SH BEN INT
0                                             242       10,100        X       X        09          5,300         2,800         2,000
-
0 PRICE COMMUNICATIONS CORP     74143730   18,711      794,100        X                06        794,100             0             0
  COM NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  303  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           4,706      199,700        X                08        199,700             0             0
0                                          12,278      521,050        X                09        520,650             0           400
-
0 PRIMEDIA INC                  74157K10    8,063      354,400        X       X        12              0       354,400             0
  COM
-
0 PRIME GROUP REALTY TRUST      74158J10      322       21,200        X                09         21,200             0             0
  SH BEN INT
-
0 PRIME HOSPITALITY CORP        74191710      511       54,100        X                09         54,100             0             0
  COM
-
0 PRIMUS TELECOMMUNICATIONS GR  74192910    1,244       50,000        X                09         50,000             0             0
  COM
-
0 PRIDE INTL INC                74193210   21,160      854,950        X                06        854,950             0             0
  COM
0                                           6,314      255,100        X                08        255,100             0             0
0                                          15,328      619,300        X                09        618,700             0           600
-
0 PRINCETON VIDEO IMAGE INC     74247610       77       13,350        X                09              0             0        13,350
  COM
-
0 PRIORITY HEALTHCARE CORP      74264T10    1,118       15,043        X                09         15,033             0            10
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  304  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  PROCTER & GAMBLE CO           74271810    3,057       53,403        X                04         44,653             0         8,750
  COM
0                                           1,414       24,690        X       X        04          9,350         3,700        11,640
0                                             870       15,190        X                05         10,490             0         4,700
0                                             153        2,677        X       X        05          2,377             0           300
0                                          42,891      749,195        X                06        749,195             0             0
0                                          43,782      764,758        X                08        763,472         1,136           150
0                                          17,495      305,592        X       X        08        197,217        16,675        91,700
0                                         141,534    2,472,213        X                09      2,343,863        19,500       108,850
0                                          82,472    1,440,556        X       X        09      1,068,895        37,820       333,841
0                                             570        9,950        X       X        12              0         9,950             0
-
0 PROFESSIONAL DETAILING INC    74312N10      707       20,750        X                06         20,750             0             0
  COM
0                                              22          647        X                12            647             0             0
-
0 PROFIT RECOVERY GROUP INTL I  74316810   13,558      815,525        X                06        815,525             0             0
  COM
0                                           3,752      225,687        X                08        225,687             0             0
0                                           9,974      599,950        X                09        599,500             0           450
0                                             454       27,288        X       X        12              0        27,288             0
-
0 PROGRESS SOFTWARE CORP        74331210      561       31,300        X                09         31,300             0             0
  COM
0                                              18        1,000        X       X        09          1,000             0             0
-
0 PROLOGIS TR                   74341010       19          900        X                05            900             0             0
  SH BEN INT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  305  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,383      252,550        X                06        252,550             0             0
0                                             906       42,513        X                08         42,413           100             0
0                                             471       22,112        X       X        08         21,112         1,000             0
0                                           7,070      331,700        X                09        329,700             0         2,000
0                                             518       24,300        X       X        09         15,400         4,000         4,900
-
0 PROVIDENT BANKSHARES CORP     74385910      776       57,491        X                09         57,491             0             0
  COM
-
0 PROVINCE HEALTHCARE CO        74397710   27,283      755,250        X                06        755,250             0             0
  COM
0                                           6,894      190,850        X                08        190,850             0             0
0                                          19,964      552,650        X                09        552,250             0           400
-
0 PROVIDIAN FINL CORP           74406A10      360        4,000        X                04          3,500             0           500
  COM
0                                              27          300        X       X        04            300             0             0
0                                              26          286        X       X        05            286             0             0
0                                             338        3,750        X                08          3,750             0             0
0                                             320        3,550        X       X        08          3,550             0             0
0                                             837        9,300        X                09          6,575             0         2,725
0                                             624        6,931        X       X        09          1,624             0         5,307
0                                             500        5,550        X       X        12              0         5,550             0
-
0 PROXIM INC                    74428410    1,376       13,900        X                06         13,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  306  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              79          800        X                09            800             0             0
0                                               3           33        X                12             33             0             0
0                                              99        1,000        X       X        12              0         1,000             0
-
0 PSINET INC                    74437C10       20          800        X       X        08            800             0             0
  COM
0                                               0            2        X                09              0             0             2
0                                             935       37,200        X       X        09            200        36,000         1,000
0                                           1,293       51,456        X       X        12              0        51,456             0
-
0 PSI TECHNOLOGIES HLDGS INC    74438Q10       59        2,850        X                12          2,850             0             0
  SPONSORED ADR
0                                             155        7,450        X       X        12              0         7,450             0
-
0 PUBLIC SVC CO N MEX           74449910        6          382        X       X        04            382             0             0
  COM
0                                             551       35,700        X                09         35,700             0             0
-
0 PUBLIC SVC ENTERPRISE GROUP   74457310      373       10,759        X                02              0             0        10,759
  COM
0                                               6          187        X                04            187             0             0
0                                              61        1,750        X       X        04          1,750             0             0
0                                               3           79        X       X        05             79             0             0
0                                             234        6,758        X       X        08          6,757             1             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  307  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,090       31,492        X                09         27,140             0         4,352
0                                           2,253       65,056        X       X        09         54,234         4,331         6,491
-
0 PUBLIC STORAGE INC            74460D10    1,200       51,200        X                09         51,200             0             0
  COM
-
0 PULTE CORP                    74586710      547       25,300        X                09         25,300             0             0
  COM
0                                               5          210        X       X        09             20             0           190
-
0 PUMA TECHNOLOGY INC           74588710    6,387      238,206        X                07        101,530             0       136,676
  COM
0                                              83        3,100        X                09          3,100             0             0
0                                              10          372        X       X        12              0           372             0
-
0 QRS CORP                      74726X10      197        8,000        X       X        04              0             0         8,000
  COM
0                                               4          150        X       X        09            150             0             0
0                                               3          108        X                12            108             0             0
-
0 QUAKER CHEM CORP              74731610       87        5,000        X                09          5,000             0             0
  COM
0                                             113        6,500        X       X        09          6,500             0             0
-
0 QUAKER OATS CO                74740210      173        2,300        X                04          2,300             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  308  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,400        X       X        04          1,400             0             0
0                                               7           93        X       X        05             93             0             0
0                                              15          200        X                08            200             0             0
0                                              60          800        X       X        08            800             0             0
0                                          13,297      177,001        X                09        176,401             0           600
0                                           2,061       27,437        X       X        09         19,915         3,496         4,026
-
0 QUALCOMM INC                  74752510       90        1,500        X                01              0             0         1,500
  COM
0                                             498        8,300        X                04          7,600             0           700
0                                             228        3,800        X       X        04            100           200         3,500
0                                              84        1,400        X                05          1,400             0             0
0                                             565        9,415        X       X        05          9,415             0             0
0                                          12,730      212,163        X                08        211,163             0         1,000
0                                           4,594       76,570        X       X        08         65,170         8,100         3,300
0                                          58,158      969,308        X                09        945,737         4,900        18,671
0                                           5,518       91,960        X       X        09         68,899           900        22,161
0                                           4,594       76,569        X                12         50,500             0        26,069
0                                           3,308       55,131        X       X        12              0        55,131             0
-
0 QUANTA SVCS INC               74762E10      220        4,000        X                09          4,000             0             0
  COM
-
0 QUANTUM EFFECT DEVICES INC    74764T10    5,352       93,890        X                12              0             0        93,890
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  309  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  QUANTUM CORP                  74790620      436       45,000        X       X        05         45,000             0             0
  COM DSSG
0                                             100       10,300        X                09          7,200             0         3,100
0                                               5          500        X       X        12              0           500             0
-
0 QUANTUM CORP                  74790630    2,221      200,795        X       X        05        200,795             0             0
  COM HDDG
0                                              92        8,300        X                09          8,300             0             0
-
0 QUEST DIAGNOSTICS INC         74834L10       94        1,253        X                09            487             0           766
  COM
0                                             818       10,944        X       X        09          5,682         5,200            62
-
0 QUESTAR CORP                  74835610      116        6,000        X       X        08          6,000             0             0
  COM
0                                             333       17,200        X                09         17,200             0             0
0                                              39        2,000        X       X        09          2,000             0             0
-
0 QUICKLOGIC CORP               74837P10    1,555       69,887        X                09         69,887             0             0
  COM
-
0 QUIDEL CORP                   74838J10       53       10,000        X       X        09              0        10,000             0
  COM
-
0 QUINTUS CORP                  74879810      693       34,892        X                06         34,892             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  310  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  QUORUM HEALTH GROUP INC       74908410      103       10,000        X       X        12              0        10,000             0
  COM
-
0 QUOTESMITH COM INC            74911710      301      139,450        X       X        12              0       139,450             0
  COM
-
0 R & B FALCON CORP             74912E10   20,618      875,000        X                03              0             0       875,000
  COM
0                                              57        2,398        X                08          2,398             0             0
0                                             107        4,549        X       X        08          4,450             0            99
0                                           2,747      116,600        X                09        116,600             0             0
0                                          15,468      656,444        X                10        656,444             0             0
-
0 QWEST COMMUNICATIONS INTL IN  74912110       80        1,600        X                04          1,600             0             0
  COM
0                                             149        3,000        X       X        04          2,000             0         1,000
0                                             214        4,300        X                08          4,300             0             0
0                                             616       12,400        X       X        08          9,800             0         2,600
0                                           4,207       84,666        X                09         84,166           500             0
0                                             174        3,500        X       X        09          2,000         1,000           500
0                                              80        1,600        X                12          1,600             0             0
0                                           1,345       27,075        X       X        12              0        27,075             0
-
0 RCM TECHNOLOGIES INC          74936040       44        6,000        X                09          6,000             0             0
  COM NEW
0                                              55        7,500        X       X        09          7,500             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  311  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  R H DONNELLEY CORP            74955W30        1           50        X       X        08             50             0             0
  COM NEW
0                                             124        6,388        X                09          6,298             0            90
0                                             367       18,922        X       X        09          2,799            80        16,043
-
0 R G S ENERGY GROUP INC        74956K10       98        4,420        X                08          4,420             0             0
  COM
0                                             463       20,822        X                09         20,822             0             0
0                                              75        3,388        X       X        09          3,238             0           150
-
0 RPM INC OHIO                  74968510       54        5,312        X       X        08          5,312             0             0
  COM
0                                              31        3,087        X                09          3,087             0             0
0                                              57        5,643        X       X        09          5,643             0             0
-
0 RSA SEC INC                   74971910      360        5,200        X                04          5,200             0             0
  COM
0                                              42          600        X       X        04              0           600             0
0                                              42          600        X                05            400             0           200
0                                          16,724      241,500        X                06        241,500             0             0
0                                           6,790       98,050        X                08         98,050             0             0
0                                           1,221       17,625        X       X        08         15,175         2,200           250
0                                          11,793      170,300        X                09        168,100           500         1,700
0                                              97        1,400        X       X        09          1,200             0           200
-
0 RF MICRODEVICES INC           74994110      131        1,500        X                09            300             0         1,200
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  312  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          625        X       X        09            625             0             0
0                                           2,174       24,815        X       X        12              0        24,815             0
-
0 RADIAN GROUP INC              75023610   21,890      423,000        X                06        423,000             0             0
  COM
0                                           2,062       39,850        X                08         39,850             0             0
0                                          19,735      381,350        X                09        381,250             0           100
0                                             362        7,000        X       X        09          7,000             0             0
-
0 RADIOSHACK CORP               75043810       10          204        X       X        05            204             0             0
  COM
0                                           1,997       42,157        X                08         42,157             0             0
0                                              28          600        X       X        08              0           600             0
0                                             221        4,656        X       X        09          3,656             0         1,000
-
0 RAINMAKER SYSTEMS             75087510      492      182,926        X                12              0             0       182,926
  COM
-
0 RAMBUS INC DEL                75091710      515        5,000        X                12          5,000             0             0
  COM
0                                             958        9,300        X       X        12              0         9,300             0
-
0 RALCORP HLDGS INC NEW         75102810       76        6,200        X                09          6,200             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  313  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              62        5,058        X       X        09          5,058             0             0
-
0 RALSTON PURINA CO             75127730       13          655        X       X        05            655             0             0
  COM RAL-PUR GP
0                                             732       36,700        X                08         36,700             0             0
0                                             335       16,800        X       X        08         15,300           300         1,200
0                                           1,158       58,064        X                09         58,064             0             0
0                                           1,551       77,771        X       X        09         76,316             0         1,455
-
0 RAMP NETWORKS INC             75156710       36        3,000        X                12          3,000             0             0
  COM
0                                             160       13,500        X       X        12              0        13,500             0
-
0 RARE MEDIUM GROUP INC         75382N10       66        4,200        X                09          4,200             0             0
  COM
0                                             158       10,000        X       X        09         10,000             0             0
-
0 RATIONAL SOFTWARE CORP        75409P20   19,944      214,600        X                06        214,600             0             0
  COM NEW
0                                          19,238      207,000        X                09        207,000             0             0
0                                           2,881       31,000        X                12         31,000             0             0
0                                             102        1,100        X       X        12              0         1,100             0
-
0 RAWLINGS SPORTING GOODS INC   75445910      228       35,000        X                09         35,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  314  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  RAYMOND JAMES FINANCIAL INC   75473010      855       38,000        X                09         38,000             0             0
  COM
-
0 RAYOVAC CORP                  75508110    1,902       85,000        X                09         85,000             0             0
  COM
-
0 RAYTHEON CO                   75511130      219       11,248        X                02              0             0        11,248
  CL A
0                                               3          175        X                04            175             0             0
0                                               1           44        X       X        04             44             0             0
0                                               8          393        X                05            393             0             0
0                                               0           25        X       X        05              0             0            25
0                                             236       12,164        X                08         12,164             0             0
0                                              45        2,303        X       X        08          2,295             0             8
0                                           7,979      410,470        X                09        407,245           700         2,525
0                                             463       23,829        X       X        09         20,148             0         3,681
-
0 RAYTHEON CO                   75511140      361       18,734        X                04         16,234             0         2,500
  CL B
0                                             546       28,340        X       X        04          9,440        12,600         6,300
0                                              29        1,503        X       X        05          1,503             0             0
0                                             109        5,682        X                08          5,682             0             0
0                                             196       10,200        X       X        08          6,600         3,600             0
0                                           4,395      228,315        X                09        208,854           700        18,761
0                                           3,504      182,031        X       X        09        131,773         4,000        46,258
-
0 READ-RITE CORP                75524610        0          160        X                12            160             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  315  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              93       41,779        X       X        12              0        41,779             0
-
0 READERS DIGEST ASSN INC       75526710       99        2,500        X                08          2,500             0             0
  CL A NON VTG
0                                              99        2,500        X                09          1,000             0         1,500
0                                              56        1,400        X       X        09          1,400             0             0
-
0 REALNETWORKS INC              75605L10    2,933       58,000        X                01              0             0        58,000
  COM
0                                             909       17,970        X                09         17,970             0             0
0                                           1,297       25,650        X       X        09         25,650             0             0
0                                             718       14,200        X       X        12              0        14,200             0
-
0 RECKSON ASSOCS RLTY CORP      75621K30    2,674      105,100        X                09        105,100             0             0
  CL B
-
0 RECOTON CORP                  75626810      355       34,000        X                09         34,000             0             0
  COM
-
0 RED HAT INC                   75657710      133        4,900        X                09          4,900             0             0
  COM
0                                             717       26,500        X       X        09              0        22,000         4,500
0                                             302       11,162        X                12              0             0        11,162
0                                             886       32,750        X       X        12              0        32,750             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  316  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  REDBACK NETWORKS INC          75720910      358        2,000        X                09          2,000             0             0
  COM
0                                             970        5,418        X       X        12              0         5,418             0
-
0 REEBOK INTL LTD               75811010       17        1,093        X       X        05          1,093             0             0
  COM
0                                             846       53,100        X                09         53,100             0             0
0                                             962       60,373        X       X        09             85             0        60,288
-
0 REGIS CORP MINN               75893210        1           50        X                09              0             0            50
  COM
0                                             141       11,250        X       X        12              0        11,250             0
-
0 REGIONS FINL CORP             75894010       25        1,280        X       X        04              0             0         1,280
  COM
0                                              76        3,831        X       X        08          1,231             0         2,600
0                                             185        9,300        X                09          9,300             0             0
0                                             292       14,699        X       X        09         13,989             0           710
-
0 RELIANT ENERGY INC            75952J10       71        2,400        X                04          2,400             0             0
  COM
0                                              77        2,600        X       X        04            600         2,000             0
0                                               8          266        X       X        05            266             0             0
0                                             216        7,303        X                08          7,303             0             0
0                                           2,025       68,499        X       X        08         61,731         2,000         4,768
0                                             881       29,806        X                09         25,652             0         4,154
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  317  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,482       50,135        X       X        09         41,671         4,000         4,464
0                                              12          400        X       X        12              0           400             0
-
0 RELIASTAR FINL CORP           75952U10    2,706       51,600        X                01              0             0        51,600
  COM
0                                          22,176      422,900        X                06        422,900             0             0
0                                               3           58        X                08             58             0             0
0                                          22,045      420,400        X                09        417,700             0         2,700
0                                             446        8,504        X       X        09          3,600         2,400         2,504
-
0 REMEDY CORP                   75954810   18,598      333,600        X                06        333,600             0             0
  COM
0                                           5,068       90,900        X                08         90,900             0             0
0                                          12,728      228,300        X                09        228,100             0           200
0                                              21          375        X       X        09            375             0             0
0                                             171        3,063        X                12          3,063             0             0
0                                              42          750        X       X        12              0           750             0
-
0 RENAISSANCE WORLDWIDE INC     75968A10        3        2,220        X                12          2,220             0             0
  COM
0                                           1,022      654,000        X       X        12              0       654,000             0
-
0 REPLIGEN CORP                 75991610        3          450        X                09            450             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  318  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             393       62,500        X       X        12              0        62,500             0
-
0 RENAL CARE GROUP INC          75993010    1,602       65,500        X                09         65,500             0             0
  COM
0                                              27        1,100        X       X        09              0             0         1,100
-
0 RENT A CTR INC NEW            76009N10      527       23,400        X                09         23,400             0             0
  COM
-
0 RENT WAY INC                  76009U10      327       11,200        X                09         11,200             0             0
  COM
-
0 REPSOL S A                    76026T20      160        8,100        X                05              0             0         8,100
  SPONSORED ADR
0                                             140        7,050        X                09              0             0         7,050
0                                             166        8,400        X       X        09            900             0         7,500
-
0 REPUBLIC SVCS INC             76075910      410       25,600        X                09         25,600             0             0
  COM
0                                             192       12,000        X       X        09              0             0        12,000
-
0 RESTORATION HARDWARE INC DEL  76098110      366       66,505        X                03         66,505             0             0
  COM
0                                           7,865    1,430,030        X                07      1,430,030             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  319  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       10,561        X                10         10,561             0             0
-
0 REUTERS GROUP PLC             76132M10      216        2,166        X                04          2,166             0             0
  SPONSORED ADR
0                                              42          421        X                08            421             0             0
0                                             272        2,720        X       X        08          1,854             0           866
0                                           7,056       70,606        X                09         69,135           346         1,125
0                                           8,339       83,446        X       X        09         73,313         4,937         5,196
-
0 REVLON INC                    76152550       63       10,000        X       X        12              0        10,000             0
  CL A
-
0 REX STORES CORP               76162410      287       12,300        X                09         12,300             0             0
  COM
-
0 REYNOLDS & REYNOLDS CO        76169510        7          400        X                05              0             0           400
  CL A
0                                              15          800        X       X        05              0             0           800
0                                             248       13,600        X       X        09         13,600             0             0
0                                              99        5,400        X       X        12              0         5,400             0
-
0 REYNOLDS R J TOB HLDGS INC    76182K10      260        9,308        X                09          9,308             0             0
  COM
0                                              34        1,204        X       X        09            538             0           666
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  320  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  RHYTHMS NETCONNECTIONS INC    76243020       14        1,138        X                08          1,138             0             0
  COM
0                                              55        4,350        X                09          4,350             0             0
0                                             192       15,282        X                12         15,282             0             0
0                                           1,385      110,222        X       X        12              0       110,222             0
-
0 RIBOZYME PHARMACEUTICALS INC  76256710      147        5,709        X                12          5,709             0             0
  COM
0                                             204        7,900        X       X        12              0         7,900             0
-
0 RIGGS NATL CORP WASH DC       76657010      452       35,800        X                09         35,800             0             0
  COM
-
0 RIO TINTO PLC                 76720410      268        4,100        X       X        08          4,100             0             0
  SPONSORED ADR
-
0 ROADWAY EXPRESS INC DEL       76974210    4,514      192,600        X                09        192,600             0             0
  COM
-
0 ROCKWELL INTL CORP NEW        77390310       32        1,000        X                04          1,000             0             0
  COM
0                                              13          397        X       X        05            397             0             0
0                                             258        8,200        X                08          8,200             0             0
0                                             671       21,300        X       X        08          7,600         6,200         7,500
0                                           1,919       60,920        X                09         60,920             0             0
0                                             735       23,326        X       X        09         21,737             0         1,589
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  321  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          520        X       X        12              0           520             0
-
0 ROHM & HAAS CO                77537110        7          212        X       X        05            212             0             0
  COM
0                                              10          285        X                08            285             0             0
0                                           1,619       46,938        X       X        08         20,838             0        26,100
0                                           1,055       30,586        X                09         30,586             0             0
0                                             167        4,852        X       X        09          3,395             0         1,457
-
0 ROSLYN BANCORP INC            77816210      332       20,000        X       X        09              0             0        20,000
  COM
-
0 ROSS STORES INC               77829610    1,473       86,300        X                09         86,300             0             0
  COM
0                                             425       24,900        X       X        09         23,500             0         1,400
-
0 ROSTELECOM OPEN JT STK LNG D  77852910      184       13,500        X                09         13,500             0             0
  SPONSORED ADR
-
0 ROUGE INDS INC DEL            77908810      269       89,700        X                09         89,700             0             0
  CL A
-
0 ROUSE CO                      77927310      932       37,638        X                08         37,638             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  322  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,314      214,706        X       X        08        208,927         5,779             0
0                                              19          763        X       X        09              0             0           763
-
0 ROUSE CO                      77927330      644       18,000        X                08         18,000             0             0
  PFD CONV SER B
-
0 ROWAN COS INC                 77938210        2           76        X       X        05             76             0             0
  COM
0                                           1,169       38,500        X       X        08          5,000        33,500             0
0                                           2,518       82,900        X                09         82,900             0             0
0                                              12          393        X       X        09              0             0           393
-
0 ROYAL BK SCOTLAND GROUP PLC   78009730      102        4,000        X                04          4,000             0             0
  SP ADR B PREF
0                                             728       28,600        X       X        04          2,100        26,500             0
0                                              10          400        X       X        12              0           400             0
-
0 ROYAL BK SCOTLAND GROUP PLC   78009787       42        2,000        X                09          2,000             0             0
  SPON ADR SER H
0                                             250       12,000        X       X        09              0             0        12,000
-
0 ROYAL DUTCH PETE CO           78025780    1,859       30,190        X                04         27,590             0         2,600
  NY REG GLD1.25
0                                           2,110       34,272        X       X        04         11,608         2,964        19,700
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  323  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        3,225        X                05            400             0         2,825
0                                             994       16,138        X       X        05         16,138             0             0
0                                         111,179    1,805,946        X                06      1,805,946             0             0
0                                          32,216      523,309        X                08        521,009             0         2,300
0                                          15,831      257,157        X       X        08        162,157        11,100        83,900
0                                         132,113    2,145,981        X                09      2,091,813         1,600        52,568
0                                          50,965      827,845        X       X        09        618,587        13,472       195,786
0                                             351        5,706        X       X        12              0         5,706             0
-
0 ROYCE VALUE TR INC            78091010       81        5,975        X                08          5,975             0             0
  COM
0                                              81        5,975        X       X        08          5,975             0             0
-
0 RYANAIR HLDGS PLC             78351310      442       12,100        X                09         12,100             0             0
  SPONSORED ADR
-
0 RYDER SYS INC                 78354910      436       23,000        X                02              0             0        23,000
  COM
0                                             664       35,064        X                09         28,964             0         6,100
0                                               7          347        X       X        09              0             0           347
-
0 RYERSON TULL INC NEW          78375P10       71        6,800        X                09          6,800             0             0
  COM
0                                             104       10,000        X       X        09         10,000             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  324  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  RYLAND GROUP INC              78376410      732       33,100        X                09         33,100             0             0
  COM
-
0 SBC COMMUNICATIONS INC        78387G10    2,996       69,271        X                04         63,898             0         5,373
  COM
0                                           3,803       87,921        X       X        04         32,622         8,378        46,921
0                                             808       18,680        X                05         11,600             0         7,080
0                                           2,048       47,354        X       X        05         46,828             0           526
0                                          75,313    1,741,333        X                06      1,741,333             0             0
0                                          60,573    1,400,541        X                08      1,390,491           400         9,650
0                                          29,898      691,283        X       X        08        534,571        56,255       100,457
0                                         130,676    3,021,405        X                09      2,965,318         2,015        54,072
0                                          61,755    1,427,864        X       X        09      1,043,768       115,815       268,281
0                                           7,282      168,365        X       X        12              0       168,365             0
-
0 SCI SYS INC                   78389010      430       10,964        X                09          4,364             0         6,600
  COM
0                                              63        1,600        X       X        09              0             0         1,600
-
0 SDL INC                       78407610   23,557       82,600        X                09         82,600             0             0
  COM
0                                             955        3,350        X       X        09          1,250             0         2,100
0                                              33          117        X                12            117             0             0
0                                           4,278       15,000        X       X        12              0        15,000             0
-
0 SEI INVESTMENTS CO            78411710    8,277      207,900        X                06        207,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  325  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,108       52,960        X                08         52,960             0             0
0                                           5,530      138,900        X                09        138,600             0           300
-
0 SFX ENTMT INC                 78417810    2,142       47,280        X                09         47,280             0             0
  CL A
0                                             181        4,000        X       X        09              0             0         4,000
-
0 SK TELECOM LTD                78440P10      493       13,585        X                09         11,585             0         2,000
  SPONSORED ADR
-
0 SL GREEN RLTY CORP            78440X10      538       20,105        X                09         20,105             0             0
  COM
0                                              48        1,800        X       X        09            800             0         1,000
-
0 SLM HLDG CORP                 78442A10      157        4,200        X       X        04          4,200             0             0
  COM
0                                              70        1,875        X                08          1,875             0             0
0                                              46        1,225        X       X        08          1,225             0             0
0                                          16,720      446,601        X                09        446,601             0             0
0                                           2,078       55,492        X       X        09         54,752             0           740
-
0 SPDR TR                       78462F10       29          200        X                04            200             0             0
  UNIT SER 1
0                                              39          270        X       X        04              0             0           270
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  326  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              33          225        X                08            225             0             0
0                                              86          595        X       X        08            595             0             0
0                                           1,671       11,504        X                09         11,504             0             0
0                                              80          550        X       X        09            200             0           350
0                                             726        5,000        X                12          5,000             0             0
0                                           2,436       16,770        X       X        12              0        16,770             0
-
0 S1 CORPORATION                78463B10    5,368      230,239        X                07        230,239             0             0
  COM
-
0 SPX CORP                      78463510      611        5,050        X       X        08          5,050             0             0
  COM
0                                           2,198       18,176        X                09         18,176             0             0
0                                          13,446      111,180        X       X        09        111,180             0             0
-
0 SABINE ROYALTY TR             78568810       73        4,574        X                08          4,574             0             0
  UNIT BEN INT
0                                             337       21,000        X       X        08         21,000             0             0
-
0 SABRE HLDGS CORP              78590510       18          629        X       X        05            629             0             0
  CL A
0                                              25          866        X                08            866             0             0
0                                               1           28        X       X        08             28             0             0
0                                           6,138      215,372        X                09        215,372             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  327  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             157        5,524        X       X        09            225             0         5,299
-
0 SAFECO CORP                   78642910        7          350        X                05              0             0           350
  COM
0                                              24        1,184        X       X        05          1,184             0             0
0                                             521       26,232        X       X        09         25,076             0         1,156
-
0 SAFEGUARD SCIENTIFICS INC     78644910      351       10,950        X                09         10,950             0             0
  COM
0                                              96        3,000        X       X        09          3,000             0             0
0                                           1,317       41,075        X       X        12              0        41,075             0
-
0 SAFEWAY INC                   78651420       60        1,326        X       X        05          1,326             0             0
  COM NEW
0                                           2,855       63,446        X                08         63,446             0             0
0                                           1,352       30,034        X       X        08         28,034             0         2,000
0                                           3,063       68,065        X                09         68,065             0             0
0                                             180        3,997        X       X        09          2,406             0         1,591
-
0 SAGA COMMUNICATIONS           78659810      293       13,300        X                09         13,300             0             0
  CL A
-
0 SAGENT TECHNOLOGY INC         78669310      125        8,771        X                12          8,771             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  328  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,585        X       X        12              0         1,585             0
-
0 ST JOE CO                     79014810       45        1,500        X                09          1,500             0             0
  COM
0                                             354       11,800        X       X        09          6,800             0         5,000
-
0 ST MARY LD & EXPL CO          79222810    1,813       43,100        X                06         43,100             0             0
  COM
0                                             593       14,100        X                08         14,100             0             0
0                                           1,409       33,500        X                09         33,450             0            50
-
0 ST PAUL COS INC               79286010       47        1,379        X                04            779             0           600
  COM
0                                             109        3,200        X       X        04          3,200             0             0
0                                              27          800        X                05            800             0             0
0                                             784       22,989        X                08         22,989             0             0
0                                           2,656       77,834        X       X        08          4,700        68,000         5,134
0                                           1,521       44,578        X                09         44,014             0           564
0                                             249        7,300        X       X        09          6,260             0         1,040
-
0 SAKS INC                      79377W10       26        2,460        X                08          2,460             0             0
  COM
0                                             111       10,585        X                09         10,585             0             0
-
0 SALTON INC                    79575710      680       18,453        X                09         18,453             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  329  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SANDISK CORP                  80004C10      122        2,000        X       X        09          2,000             0             0
  COM
0                                           1,614       26,382        X       X        12              0        26,382             0
-
0 SANMINA CORP                  80090710      434        5,080        X                04          5,080             0             0
  COM
0                                          77,740      909,245        X                06        909,245             0             0
0                                          18,303      214,070        X                08        213,870             0           200
0                                             623        7,290        X       X        08          7,090           200             0
0                                          53,087      620,900        X                09        619,790             0         1,110
0                                             684        8,000        X       X        09          8,000             0             0
0                                           2,300       26,900        X       X        12              0        26,900             0
-
0 SANTA BARBARA RESTAURANT GP   80137810       20       20,000        X       X        12              0        20,000             0
  COM
-
0 SANTA FE SNYDER CORP          80218K10      233       20,500        X       X        08         20,500             0             0
  COM
0                                              10          920        X                09            920             0             0
0                                              13        1,183        X       X        09            368           690           125
-
0 SAP AKTIENGESELLSCHAFT        80305420      300        6,400        X       X        09          6,400             0             0
  SPONSORED ADR
0                                              47        1,000        X       X        12              0         1,000             0
-
0 SAPIENT CORP                  80306210    2,069       19,350        X                09         19,350             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  330  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,310       21,600        X       X        09         18,600         3,000             0
0                                              70          650        X       X        12              0           650             0
-
0 SARA LEE CORP                 80311110      753       39,000        X                04         39,000             0             0
  COM
0                                             382       19,800        X       X        04         16,800             0         3,000
0                                             976       50,550        X       X        05         50,550             0             0
0                                           2,006      103,882        X                08        103,882             0             0
0                                           4,703      243,516        X       X        08        197,416        24,500        21,600
0                                           7,539      390,359        X                09        371,909         2,600        15,850
0                                           5,003      259,071        X       X        09        219,831         4,800        34,440
0                                              39        2,000        X       X        12              0         2,000             0
-
0 SATYAM INFOWAY LTD            80409910      119        5,336        X                09          5,336             0             0
  SPONSORED ADR
0                                             267       12,000        X       X        12              0        12,000             0
-
0 SAWTEK INC                    80546810      146        2,530        X                12          2,530             0             0
  COM
0                                           2,897       50,320        X       X        12              0        50,320             0
-
0 SCANA CORP NEW                80589M10   10,328      428,100        X                06        428,100             0             0
  COM
0                                               5          220        X                08            220             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  331  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          10,067      417,276        X                09        414,845             0         2,431
0                                             513       21,258        X       X        09         17,528             0         3,730
-
0 SCHERING PLOUGH CORP          80660510    5,576      110,406        X                04         94,496             0        15,910
  COM
0                                           4,877       96,566        X       X        04         43,550         4,000        49,016
0                                              48          950        X                05            850             0           100
0                                           2,390       47,317        X       X        05         44,917             0         2,400
0                                          15,331      303,579        X                08        300,879             0         2,700
0                                           6,404      126,808        X       X        08        103,420        20,800         2,588
0                                         280,447    5,553,414        X                09      5,489,370        13,850        50,194
0                                         127,341    2,521,603        X       X        09      2,354,697         5,686       161,220
0                                             859       17,000        X       X        12              0        17,000             0
-
0 SCHLUMBERGER LTD              80685710    2,960       39,670        X                02              0             0        39,670
  COM
0                                           2,340       31,360        X                04         30,360             0         1,000
0                                             975       13,070        X       X        04          3,100           420         9,550
0                                               4           50        X                05             50             0             0
0                                           1,620       21,704        X       X        05         20,904             0           800
0                                          30,010      402,139        X                06        402,139             0             0
0                                          28,268      378,806        X                08        375,682             0         3,124
0                                          17,834      238,975        X       X        08        206,645        23,156         9,174
0                                          90,488    1,212,576        X                09      1,136,047        12,790        63,739
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  332  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          36,653      491,168        X       X        09        343,808         8,250       139,110
0                                             233        3,122        X       X        12              0         3,122             0
-
0 SCHOLASTIC CORP               80706610    4,557       74,547        X       X        09         74,547             0             0
  COM
-
0 SCHWAB CHARLES CORP NEW       80851310      202        6,000        X                01              0             0         6,000
  COM
0                                           1,840       54,725        X                04         49,775             0         4,950
0                                           1,012       30,100        X       X        04         19,650             0        10,450
0                                             170        5,050        X                05          1,050             0         4,000
0                                           2,599       77,294        X       X        05         77,294             0             0
0                                          82,978    2,467,748        X                06      2,467,748             0             0
0                                          45,162    1,343,118        X                08      1,341,581             0         1,537
0                                          10,849      322,634        X       X        08        287,759        23,100        11,775
0                                          64,115    1,906,758        X                09      1,858,808         7,800        40,150
0                                           6,254      185,997        X       X        09         76,259         6,600       103,138
0                                             256        7,619        X       X        12              0         7,619             0
-
0 SCICLONE PHARMACEUTICALS INC  80862K10      222       17,123        X       X        12              0        17,123             0
  COM
-
0 SCIENT CORP                   80864H10       88        2,000        X                09          2,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  333  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,663       60,354        X       X        12              0        60,354             0
-
0 SCIENTIFIC ATLANTA INC        80865510      939       12,600        X                04         12,400             0           200
  COM
0                                              86        1,150        X       X        04          1,150             0             0
0                                              43          572        X       X        05            572             0             0
0                                          10,426      139,950        X                08        138,450             0         1,500
0                                           1,833       24,600        X       X        08         16,600         6,000         2,000
0                                           7,306       98,070        X                09         95,830         1,000         1,240
0                                           2,183       29,296        X       X        09         22,208           800         6,288
-
0 SCIQUEST COM INC              80908Q10    3,293      287,897        X                12              0             0       287,897
  COM
0                                             167       14,638        X       X        12              0        14,638             0
-
0 SCOTTISH PWR PLC              81013T70       17          522        X                04            522             0             0
  SPON ADR FINAL
0                                              18          544        X       X        05            544             0             0
0                                              33          990        X                08            990             0             0
0                                               8          232        X       X        08              0           232             0
0                                             527       15,771        X                09         15,771             0             0
0                                           1,005       30,049        X       X        09         21,378         2,672         5,999
-
0 SCRIPPS E W CO OHIO           81105420       12          235        X       X        08            235             0             0
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  334  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          11,211      227,641        X                09        227,641             0             0
-
0 SEAGATE TECHNOLOGY            81180410      297        5,400        X                04          3,400             0         2,000
  COM
0                                              44          800        X                05              0             0           800
0                                             113        2,053        X       X        05            653             0         1,400
0                                           4,436       80,650        X                09         75,450             0         5,200
0                                             505        9,181        X       X        09          7,312             0         1,869
0                                              11          200        X       X        12              0           200             0
-
0 SEAGRAM LTD                   81185010    4,095       70,600        X                01              0             0        70,600
  COM
0                                             116        2,000        X       X        04          2,000             0             0
0                                              54          936        X       X        05            936             0             0
0                                             406        7,000        X       X        08              0             0         7,000
0                                             278        4,800        X                09              0         2,000         2,800
0                                             484        8,353        X       X        09            118             0         8,235
-
0 SEACOR SMIT INC               81190410      435       11,250        X                09         11,250             0             0
  COM
-
0 SEALED AIR CORP NEW           81211K10      239        4,556        X                02              0             0         4,556
  COM
0                                              35          668        X       X        04            240           428             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  335  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          288        X       X        05            288             0             0
0                                             114        2,168        X                08          2,168             0             0
0                                             835       15,949        X                09         13,049             0         2,900
0                                           3,338       63,729        X       X        09         26,507         1,500        35,722
0                                               3           50        X       X        12              0            50             0
-
0 SEALED AIR CORP NEW           81211K20      204        4,037        X                02              0             0         4,037
  PFD CV A $2
0                                              57        1,133        X       X        04            212           589           332
0                                             524       10,358        X                09          8,830             0         1,528
0                                           1,885       37,244        X       X        09         32,849             0         4,395
-
0 SEARS ROEBUCK & CO            81238710       47        1,454        X       X        04            720           734             0
  COM
0                                              24          730        X       X        05            730             0             0
0                                             818       25,076        X                08         25,076             0             0
0                                             636       19,500        X       X        08         16,900         1,800           800
0                                           2,913       89,302        X                09         81,603           200         7,499
0                                           4,469      136,984        X       X        09        102,040        25,124         9,820
0                                              76        2,338        X       X        12              0         2,338             0
-
0 SECURITY CAP GROUP INC        81413P20      116        6,822        X                08          6,822             0             0
  CL B
0                                             250       14,700        X                09         14,700             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  336  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SEITEL INC                    81607430      222       27,360        X                09         27,360             0             0
  COM NEW
0                                              24        3,000        X       X        09          3,000             0             0
-
0 SELECT COMFORT CORP           81616X10      145       45,392        X                12             93             0        45,299
  COM
-
0 SEMTECH CORP                  81685010   26,945      352,300        X                06        352,300             0             0
  COM
0                                           5,362       70,100        X                08         70,100             0             0
0                                          19,220      251,300        X                09        251,100             0           200
-
0 SEMPRA ENERGY                 81685110       34        2,012        X                04          2,012             0             0
  COM
0                                               5          300        X       X        04            300             0             0
0                                               8          465        X       X        05            465             0             0
0                                              26        1,503        X                08          1,503             0             0
0                                             259       15,248        X       X        08         15,248             0             0
0                                           1,506       88,575        X                09         87,575         1,000             0
0                                             388       22,799        X       X        09         17,194         3,000         2,605
0                                             174       10,231        X       X        12              0        10,231             0
-
0 SENSORMATIC ELECTRS CORP      81726510    6,801      430,100        X                06        430,100             0             0
  COM
0                                             157        9,900        X                08          9,900             0             0
0                                          16,847    1,065,410        X                09      1,044,610         2,000        18,800
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  337  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        9,100        X       X        09              0         2,000         7,100
-
0 SERENA SOFTWARE INC           81749210    1,442       31,750        X                09         31,750             0             0
  COM
0                                             143        3,150        X                12          3,150             0             0
0                                           1,128       24,850        X       X        12              0        24,850             0
-
0 SERVICE CORP INTL             81756510        3          800        X                05            800             0             0
  COM
0                                             161       50,600        X                08         50,100             0           500
0                                             370      116,134        X       X        08         16,400        99,734             0
0                                              22        6,955        X                09          2,255             0         4,700
0                                              14        4,489        X       X        09              0             0         4,489
0                                               3        1,000        X       X        12              0         1,000             0
-
0 SERVICEMASTER CO              81760N10       15        1,349        X       X        08          1,349             0             0
  COM
0                                             936       82,319        X                09         73,024             0         9,295
0                                             351       30,842        X       X        09         27,442             0         3,400
-
0 SHANDONG HUANENG PWR DEV LTD  81941910      105       25,000        X       X        09              0             0        25,000
  SPON ADR N
-
0 SHARED MED SYS CORP           81948610    1,823       25,000        X                01              0             0        25,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  338  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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           41        X       X        05             41             0             0
0                                              23          315        X                08            315             0             0
0                                             146        2,000        X                09          2,000             0             0
0                                               8          113        X       X        09              0             0           113
-
0 SHAW COMMUNICATIONS INC       82028K20      247       10,000        X       X        12              0        10,000             0
  CL B CONV
-
0 SHAW GROUP INC                82028010      254        5,400        X                09          5,400             0             0
  COM
-
0 SHAW INDS INC                 82028610       38        3,000        X       X        04          3,000             0             0
  COM
0                                           1,388      111,000        X                09        111,000             0             0
-
0 SHEFFIELD PHARMACEUTICALS IN  82123D30       87       15,000        X                09         15,000             0             0
  COM NEW
-
0 SHELL TRANS & TRADING PLC     82270360      509       10,200        X                04         10,200             0             0
  NEW YRK SH NEW
0                                             120        2,400        X       X        04          2,400             0             0
0                                           4,479       89,696        X                09         89,696             0             0
0                                           1,004       20,100        X       X        09          4,900             0        15,200
-
0 SHERWIN WILLIAMS CO           82434810       11          500        X                05              0             0           500
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  339  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           8,571      404,500        X                06        404,500             0             0
0                                             278       13,100        X                08         13,100             0             0
0                                              89        4,200        X       X        08          4,200             0             0
0                                           9,996      471,770        X                09        456,670         2,700        12,400
0                                             420       19,824        X       X        09         15,993             0         3,831
-
0 SHOE CARNIVAL INC             82488910    3,906      625,000        X                09              0             0       625,000
  COM
-
0 SHONEYS INC                   82503910      134      107,569        X                04              0             0       107,569
  COM
0                                             541      432,902        X       X        04              0             0       432,902
0                                              22       17,608        X                09              0             0        17,608
0                                             439      350,900        X       X        09              0             0       350,900
-
0 SIEBEL SYS INC                82617010      147          900        X                09            900             0             0
  COM
0                                             131          800        X       X        09            800             0             0
0                                             810        4,955        X                12          4,955             0             0
0                                          27,705      169,387        X       X        12              0       169,387             0
-
0 SIERRA PAC RES NEW            82642810        9          704        X                04            128             0           576
  COM
0                                              35        2,785        X       X        04          2,528             0           257
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  340  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        8,114        X                09          7,680             0           434
0                                               2          144        X       X        09              0           144             0
-
0 SIGMA ALDRICH CORP            82655210       67        2,300        X       X        08              0             0         2,300
  COM
0                                             164        5,600        X                09          5,600             0             0
0                                           1,263       43,193        X       X        09          2,400             0        40,793
-
0 SILICON GRAPHICS INC          82705610        0          125        X       X        05            125             0             0
  COM
0                                              31        8,200        X                08          8,200             0             0
0                                               3          800        X       X        08              0           800             0
0                                               3          850        X       X        09              0             0           850
0                                              24        6,500        X       X        12              0         6,500             0
-
0 SILICON STORAGE TECHNOLOGY I  82705710    4,049       45,850        X                06         45,850             0             0
  COM
0                                             433        4,900        X                12          4,900             0             0
-
0 SILICON VY BANCSHARES         82706410       34          800        X                08              0             0           800
  COM
0                                           4,160       97,600        X                09         97,600             0             0
-
0 SILICON VY GROUP INC          82706610      329       12,700        X                09         12,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  341  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          236        X       X        12              0           236             0
-
0 SIMON PPTY GROUP INC NEW      82880610        9          400        X                04              0             0           400
  COM
0                                              33        1,500        X       X        05              0             0         1,500
0                                              22        1,000        X                08          1,000             0             0
0                                           3,323      149,744        X                09        147,744             0         2,000
0                                             683       30,800        X       X        09         27,200             0         3,600
0                                               9          400        X       X        12              0           400             0
-
0 SINCLAIR BROADCAST GROUP INC  82922610    6,048      549,810        X                01              0             0       549,810
  CL A
-
0 SITEL CORP                    82980K10       54       11,000        X                09         11,000             0             0
  COM
-
0 SIZZLER INTL INC              83013910       26       10,000        X       X        12              0        10,000             0
  COM
-
0 SMARTERKIDS COM               83169C10       13        7,055        X                12          7,055             0             0
  COM
0                                             328      177,700        X       X        12              0       177,700             0
-
0 SMARTFORCE PUB LTD CO         83170A20    2,340       48,750        X       X        12              0        48,750             0
  SPONSORED ADR
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  342  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SMITH BARNEY INTER QUALITY M  83180210       49        5,500        X       X        08          5,500             0             0
  COM
0                                              44        5,000        X                09              0             0         5,000
-
0 SMITH-GARDNER & ASSOCS        83205910      902      187,500        X       X        12              0       187,500             0
  COM
-
0 SMITH INTL INC                83211010      728       10,000        X                01              0             0        10,000
  COM
0                                           4,337       59,558        X       X        08         59,558             0             0
0                                           7,429      102,033        X                09         87,500             0        14,533
0                                           1,354       18,600        X       X        09         12,500             0         6,100
-
0 SMITH MICRO SOFTWARE INC      83215410       26        4,132        X                12          4,132             0             0
  COM
0                                             180       28,500        X       X        12              0        28,500             0
-
0 SMITHFIELD FOODS INC          83224810      311       11,100        X                09         11,100             0             0
  COM
0                                              39        1,400        X       X        09              0             0         1,400
-
0 SMITHKLINE BEECHAM PLC        83237830      717       11,000        X                04         10,800             0           200
  ADR REP ORD
0                                             241        3,700        X       X        04          3,700             0             0
0                                           1,219       18,701        X                08         17,101         1,600             0
0                                             536        8,220        X       X        08          8,220             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  343  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          15,212      233,351        X                09        209,351           900        23,100
0                                          11,545      177,102        X       X        09        112,882         5,500        58,720
0                                           2,614       40,100        X       X        12              0        40,100             0
-
0 SNAP ON INC                   83303410       80        3,000        X       X        08          3,000             0             0
  COM
0                                              80        3,000        X                09          3,000             0             0
0                                             101        3,801        X       X        09          3,526             0           275
-
0 SNOWBALL COM INC              83335R10        1          200        X                09            200             0             0
  COM
0                                              50       10,300        X       X        12              0        10,300             0
-
0 SODEXHO MARRIOTT SVCS INC     83379310       11          662        X                09            662             0             0
  COM
0                                             366       22,846        X       X        09            125             0        22,721
-
0 SOFTWARE COM INC              83402P10    1,299       10,000        X       X        09              0        10,000             0
  COM
-
0 SOLECTRON CORP                83418210    2,305       55,050        X                04         50,150             0         4,900
  COM
0                                             226        5,400        X       X        04          4,400             0         1,000
0                                             812       19,400        X                05         13,500             0         5,900
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  344  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              78        1,864        X       X        05          1,264             0           600
0                                          17,030      406,698        X                06        406,698             0             0
0                                          24,790      592,003        X                08        584,703             0         7,300
0                                           3,489       83,310        X       X        08         83,310             0             0
0                                          45,703    1,091,418        X                09      1,050,970         3,600        36,848
0                                           3,946       94,230        X       X        09         57,484        16,600        20,146
0                                           8,165      194,994        X       X        12              0       194,994             0
-
0 SOLUTIA INC                   83437610        2          150        X                04            150             0             0
  COM
0                                              20        1,452        X       X        04            152             0         1,300
0                                               7          500        X                08            500             0             0
0                                              46        3,320        X       X        08          3,320             0             0
0                                             235       17,076        X                09         17,076             0             0
0                                             230       16,742        X       X        09          9,254             0         7,488
0                                               3          200        X       X        12              0           200             0
-
0 SONERA GROUP PLC              83543320    3,127       67,985        X                09         63,385           800         3,800
  SPONSORED ADR
0                                              44          950        X       X        09            950             0             0
-
0 SONIC INNOVATIONS INC         83545M10      766       41,250        X                09         41,250             0             0
  COM
-
0 SONICWALL INC                 83547010        9          100        X                04            100             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  345  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             414        4,700        X       X        12              0         4,700             0
-
0 SONOCO PRODS CO               83549510      638       31,012        X                09         28,712         1,100         1,200
  COM
0                                             454       22,090        X       X        09         13,950         1,140         7,000
-
0 SONY CORP                     83569930       38          400        X                04              0             0           400
  ADR NEW
0                                              75          800        X                08            800             0             0
0                                           4,350       46,123        X                09         41,023         2,500         2,600
0                                           7,907       83,835        X       X        09         49,735         4,300        29,800
0                                           1,374       14,570        X       X        12              0        14,570             0
-
0 SONUS NETWORKS INC            83591610      142          900        X                09            900             0             0
  COM
0                                          17,636      111,708        X                12              0             0       111,708
-
0 SOUTHDOWN INC                 84129710      153        2,643        X                04          2,643             0             0
  COM
0                                              64        1,102        X       X        09          1,102             0             0
-
0 SOUTHERN CO                   84258710      113        4,860        X                04            928             0         3,932
  COM
0                                              53        2,267        X       X        04          1,310           600           357
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  346  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,214        X       X        05          1,214             0             0
0                                             149        6,400        X                08          6,400             0             0
0                                             848       36,366        X       X        08         21,900        13,966           500
0                                             267       11,444        X                09         11,444             0             0
0                                           1,301       55,792        X       X        09         41,835         4,294         9,663
-
0 SOUTHSIDE BANCSHARES INC      84470P10      246       29,808        X       X        08              0        29,808             0
  COM
-
0 SOUTHTRUST CORP               84473010    6,919      305,800        X                06        305,800             0             0
  COM
0                                           4,568      201,912        X                08        200,512             0         1,400
0                                           1,415       62,525        X       X        08         52,575         9,950             0
0                                           8,499      375,661        X                09        365,861         1,600         8,200
0                                             266       11,758        X       X        09          9,950             0         1,808
-
0 SOUTHWEST AIRLS CO            84474110      947       50,000        X                02              0             0        50,000
  COM
0                                             422       22,300        X                04         17,700             0         4,600
0                                              57        3,000        X       X        04          3,000             0             0
0                                             969       51,148        X       X        05         51,148             0             0
0                                          14,138      746,516        X                06        746,516             0             0
0                                          17,827      941,360        X                08        933,360             0         8,000
0                                           7,898      417,067        X       X        08        357,965        29,427        29,675
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  347  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           9,963      526,103        X                09        512,653             0        13,450
0                                             134        7,077        X       X        09          3,416             0         3,661
-
0 SOUTHWEST BANCORPORATION TEX  84476R10    2,870      138,324        X                08        138,324             0             0
  COM
-
0 SOUTHWEST SECS GROUP INC      84522410      756       20,300        X                09         20,300             0             0
  COM
-
0 SOVEREIGN BANCORP INC         84590510       81       11,500        X       X        09         11,500             0             0
  COM
-
0 SPARTECH CORP                 84722020   17,869      661,800        X                06        661,800             0             0
  COM NEW
0                                           5,445      201,675        X                08        201,675             0             0
0                                          11,954      442,750        X                09        442,450             0           300
-
0 SPECTRA-PHYSICS LASERS INC    84756810      986       14,100        X                09         14,100             0             0
  COM
-
0 SPEEDFAM-IPEC INC             84770510        0            3        X       X        09              3             0             0
  COM
0                                             400       21,996        X                12              0             0        21,996
-
0 SPIEKER PPTYS INC             84849710       46        1,000        X       X        05              0             0         1,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  348  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,937       42,100        X                09         41,100             0         1,000
0                                             316        6,875        X       X        09          5,675         1,200             0
-
0 SPIROS DEVELOPMENT CORP       84893610      879       59,100        X       X        12              0        59,100             0
  COM
-
0 SPRINT CORP                   85206110      217        4,248        X                04          3,648             0           600
  COM FON GROUP
0                                             330        6,468        X       X        04          2,800         3,668             0
0                                              31          600        X                05            600             0             0
0                                           1,338       26,245        X       X        05         26,245             0             0
0                                          46,183      905,553        X                06        905,553             0             0
0                                          12,464      244,383        X                08        243,133             0         1,250
0                                           4,061       79,630        X       X        08         51,130        28,500             0
0                                          63,463    1,244,381        X                09      1,221,829         1,200        21,352
0                                          11,086      217,382        X       X        09        143,734         4,882        68,766
0                                             105        2,059        X       X        12              0         2,059             0
-
0 SPRINT CORP                   85206150    2,105       35,370        X                02              0             0        35,370
  PCS COM SER 1
0                                             117        1,964        X                04          1,964             0             0
0                                             222        3,734        X       X        04          1,400         2,334             0
0                                           1,031       17,326        X       X        05         17,326             0             0
0                                           1,239       20,824        X                08         20,824             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  349  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,142       36,000        X       X        08         20,600        15,400             0
0                                          11,425      192,014        X                09        182,296           200         9,518
0                                           6,016      101,102        X       X        09         63,996         4,590        32,516
0                                             369        6,200        X       X        12              0         6,200             0
-
0 SPYGLASS INC                  85219210    1,065       34,000        X                01              0             0        34,000
  COM
-
0 ST ASSEMBLY TEST SVSC LTD     85227G10    1,745       67,775        X                06         67,775             0             0
  ADR
0                                           2,675      103,900        X                09        103,900             0             0
0                                              57        2,200        X                12          2,200             0             0
0                                             394       15,300        X       X        12              0        15,300             0
-
0 STAMPS COM INC                85285710    3,334      455,861        X                07        455,861             0             0
  COM
0                                             140       19,100        X                12         19,100             0             0
0                                              24        3,269        X       X        12              0         3,269             0
-
0 STANCORP FINL GROUP INC       85289110    1,960       61,000        X                09         61,000             0             0
  COM
-
0 STANDARD PAC CORP NEW         85375C10      470       47,000        X                09         47,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  350  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              26        2,550        X       X        09              0             0         2,550
0                                              40        4,000        X       X        12              0         4,000             0
-
0 STANLEY WKS                   85461610      228        9,580        X                09          8,700             0           880
  COM
0                                             447       18,836        X       X        09          4,395             0        14,441
-
0 STAR TELECOMMUNICATIONS INC   85492310    5,958    2,354,021        X                09      2,354,021             0             0
  COM
0                                               3        1,050        X       X        12              0         1,050             0
-
0 STAPLES INC                   85503010       52        3,375        X                04          3,375             0             0
  COM
0                                              14          900        X                08            900             0             0
0                                              84        5,460        X                09          5,460             0             0
0                                           4,710      306,327        X       X        09          2,700             0       303,627
0                                              17        1,101        X       X        12              0         1,101             0
-
0 STARBUCKS CORP                85524410        8          200        X                09            200             0             0
  COM
0                                             561       14,700        X       X        09          3,000             0        11,700
0                                           2,366       61,950        X       X        12              0        61,950             0
-
0 STARMEDIA NETWORK INC         85554610       55        2,900        X                04          2,900             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  351  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                         221,561   11,738,333        X                07     11,738,333             0             0
0                                             562       29,800        X                09         27,800             0         2,000
0                                             312       16,556        X       X        12              0        16,556             0
-
0 STARWOOD HOTELS&RESORTS WRLD  85590A20        8          231        X                04            231             0             0
  PAIRED CTF
0                                              37        1,136        X                08          1,136             0             0
0                                             200        6,141        X                09          4,754             0         1,387
0                                             133        4,095        X       X        09          3,929             0           166
-
0 STATE STR CORP                85747710    3,712       35,000        X                02              0             0        35,000
  COM
0                                           1,336       12,600        X                04          8,300             0         4,300
0                                             265        2,500        X       X        04              0             0         2,500
0                                           1,074       10,130        X                05          8,200             0         1,930
0                                           3,793       35,763        X       X        05         35,463             0           300
0                                          10,563       99,596        X                06         99,596             0             0
0                                           7,749       73,059        X                08         73,059             0             0
0                                           2,572       24,250        X       X        08         22,650           800           800
0                                          26,536      250,190        X                09        241,490         1,000         7,700
0                                           7,537       71,066        X       X        09         27,131         9,000        34,935
0                                             419        3,950        X       X        12              0         3,950             0
-
0 STATION CASINOS INC           85768910   20,799      831,950        X                06        831,950             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  352  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,461      218,450        X                08        218,450             0             0
0                                          14,028      561,100        X                09        560,650             0           450
-
0 STEIN MART INC                85837510    7,500      731,700        X                06        731,700             0             0
  COM
0                                           2,276      222,050        X                08        222,050             0             0
0                                           5,696      555,700        X                09        555,200             0           500
-
0 STERLING BANCSHARES INC       85890710      122       11,250        X                08         11,250             0             0
  COM
0                                             399       36,921        X       X        08         36,921             0             0
-
0 STERIS CORP                   85915210      670       75,500        X                09         37,200             0        38,300
  COM
0                                             101       11,400        X       X        09          3,000             0         8,400
-
0 STET HELLAS COMMUNICATIONS S  85982310    1,674       84,250        X                09         84,250             0             0
  ADR
-
0 STMICROELECTRONICS N V        86101210    9,842      153,325        X                09          2,225           900       150,200
  COM
0                                             578        9,000        X       X        09          9,000             0             0
-
0 STONE ENERGY CORP             86164210    2,731       45,700        X                06         45,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  353  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  STORAGE USA INC               86190710      871       29,514        X                09         29,514             0             0
  COM
0                                              12          400        X       X        09              0             0           400
0                                              15          500        X       X        12              0           500             0
-
0 STORAGE TECHNOLOGY CORP       86211120      269       24,600        X                09         22,000             0         2,600
  COM PAR $0.10
0                                             145       13,300        X       X        09          4,900         1,200         7,200
-
0 STRYKER CORP                  86366710   10,391      237,500        X                06        237,500             0             0
  COM
0                                             131        3,000        X                08          3,000             0             0
0                                          10,544      241,000        X                09        241,000             0             0
0                                              20          450        X       X        12              0           450             0
-
0 STURM RUGER & CO INC          86415910      110       12,400        X                09         12,400             0             0
  COM
-
0 SUIZA FOODS CORP              86507710   25,527      522,300        X                09        522,300             0             0
  COM
0                                             587       12,000        X       X        09         12,000             0             0
-
0 SUMMIT BANCORP                86600510       25        1,000        X       X        08          1,000             0             0
  COM
0                                             219        8,910        X                09          8,910             0             0
0                                             699       28,366        X       X        09         27,492             0           874
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  354  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SUMMIT PPTYS INC              86623910    1,844       87,800        X                09         87,800             0             0
  COM
-
0 SUN COMMUNITIES INC           86667410      144        4,300        X                09          2,300             0         2,000
  COM
0                                             217        6,500        X       X        09          6,000           500             0
0                                              10          300        X       X        12              0           300             0
-
0 SUN LIFE FINL SVCS CDA INC    86679610       71        4,236        X                05          4,236             0             0
  COM
0                                             578       34,223        X                08         34,223             0             0
0                                              10          610        X                09            610             0             0
0                                              51        3,038        X       X        09          3,038             0             0
-
0 SUN MICROSYSTEMS INC          86681010    2,542       27,950        X                01              0             0        27,950
  COM
0                                          15,037      165,350        X                04        138,150             0        27,200
0                                           3,232       35,540        X       X        04         19,750         3,640        12,150
0                                             855        9,400        X                05          6,800             0         2,600
0                                          14,700      161,652        X       X        05        159,852             0         1,800
0                                          67,508      742,347        X                06        742,347             0             0
0                                          58,652      644,969        X                08        639,044             0         5,925
0                                           9,572      105,255        X       X        08         83,455         9,050        12,750
0                                         346,313    3,808,231        X                09      3,514,506        24,400       269,325
0                                         115,807    1,273,470        X       X        09      1,040,831        28,625       204,014
0                                          17,455      191,947        X       X        12              0       191,947             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  355  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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      126       15,000        X                09         15,000             0             0
  COM
-
0 SUNCOR ENERGY INC             86722910    1,166       50,000        X                09         50,000             0             0
  COM
-
0 SUNGARD DATA SYS INC          86736310       84        2,700        X                04          2,700             0             0
  COM
0                                              62        2,000        X       X        04          1,000             0         1,000
0                                              31        1,000        X                08          1,000             0             0
0                                              62        2,000        X       X        08          2,000             0             0
0                                           2,495       80,490        X                09         80,490             0             0
0                                             587       18,925        X       X        09         17,925             0         1,000
0                                              56        1,800        X                12          1,800             0             0
-
0 SUNOCO INC                    86764P10       31        1,042        X                04          1,042             0             0
  COM
0                                             187        6,351        X       X        08          6,351             0             0
0                                             432       14,664        X                09         14,564             0           100
0                                             202        6,874        X       X        09          3,450             0         3,424
-
0 SUNRISE MED INC               86791010       73       15,000        X       X        12              0        15,000             0
  COM
-
0 SUNTRUST BKS INC              86791410       69        1,500        X                04          1,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  356  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        1,400        X       X        04            400             0         1,000
0                                               8          180        X       X        05            180             0             0
0                                           1,069       23,400        X                08         23,400             0             0
0                                           1,402       30,680        X       X        08          5,620         1,860        23,200
0                                           3,096       67,770        X                09         67,570           200             0
0                                             957       20,951        X       X        09         16,695           901         3,355
-
0 SUPERTEX INC                  86853210       60        1,200        X                09          1,200             0             0
  COM
0                                              60        1,200        X       X        09              0             0         1,200
0                                           2,123       42,253        X       X        12              0        42,253             0
-
0 SURMODICS INC                 86887310      876       33,700        X                09         33,700             0             0
  COM
-
0 SYBRON INTL CORP              87114F10       67        3,400        X                08          3,400             0             0
  COM
0                                               6          300        X                09            300             0             0
0                                             139        7,000        X       X        12              0         7,000             0
-
0 SYMANTEC CORP                 87150310    2,158       40,000        X                02              0             0        40,000
  COM
0                                               5          100        X                04            100             0             0
0                                          27,161      503,561        X                06        503,561             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  357  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           5,800      107,525        X                08        107,175             0           350
0                                           1,653       30,640        X       X        08         26,390         3,700           550
0                                          24,997      463,438        X                09        437,340         2,900        23,198
0                                           3,593       66,620        X       X        09         34,245           500        31,875
-
0 SYMBOL TECHNOLOGIES INC       87150810      689       12,750        X                04         11,800             0           950
  COM
0                                              84        1,550        X       X        04            500         1,050             0
0                                          30,961      573,350        X                06        573,350             0             0
0                                          12,656      234,362        X                08        233,412             0           950
0                                           1,916       35,475        X       X        08         31,825         1,200         2,450
0                                          32,765      606,760        X                09        541,460        14,400        50,900
0                                           1,688       31,262        X       X        09         26,862         1,700         2,700
0                                           2,151       39,837        X       X        12              0        39,837             0
-
0 SYMYX TECHNOLOGIES            87155S10    1,343       31,523        X       X        09         30,023             0         1,500
  COM
0                                             170        4,000        X       X        12              0         4,000             0
-
0 SYNCOR INTL CORP DEL          87157J10    4,597       63,850        X                06         63,850             0             0
  COM
0                                           1,188       16,500        X                08         16,500             0             0
0                                           3,305       45,900        X                09         45,850             0            50
-
0 SYNTROLEUM CORP               87163010        9          500        X                08            500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  358  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             245       14,300        X                09         14,300             0             0
-
0 SYSCO CORP                    87182910    1,719       40,800        X                04         32,500             0         8,300
  COM
0                                             116        2,750        X       X        04            750             0         2,000
0                                              55        1,317        X       X        05          1,317             0             0
0                                          50,283    1,193,650        X                06      1,193,650             0             0
0                                          28,303      671,889        X                08        671,589             0           300
0                                          14,168      336,341        X       X        08        283,641        51,300         1,400
0                                          51,418    1,220,607        X                09      1,210,860         2,400         7,347
0                                           5,291      125,591        X       X        09         33,642             0        91,949
0                                              11          250        X       X        12              0           250             0
-
0 TCF FINL CORP                 87227510    6,675      259,840        X                06        259,840             0             0
  COM
0                                           6,438      250,640        X                09        250,640             0             0
-
0 TECO ENERGY INC               87237510       30        1,500        X                04          1,500             0             0
  COM
0                                              10          500        X       X        08            500             0             0
0                                             637       31,760        X                09         26,160             0         5,600
0                                             875       43,604        X       X        09         33,404         5,000         5,200
-
0 TEPPCO PARTNERS L P           87238410       14          600        X       X        04            600             0             0
  UT LTD PARTNER
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  359  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        2,000        X                08          2,000             0             0
0                                              19          800        X       X        08            800             0             0
0                                              95        4,000        X                09          2,000             0         2,000
0                                              48        2,000        X       X        09              0             0         2,000
-
0 TLC LASER EYE CENTERS INC     87255E10    1,487      195,000        X                09        195,000             0             0
  COM
0                                               2          300        X       X        12              0           300             0
-
0 TRW INC                       87264910       52        1,200        X                04          1,200             0             0
  COM
0                                               9          200        X       X        04              0           200             0
0                                              13          310        X       X        05            310             0             0
0                                             468       10,800        X       X        08         10,800             0             0
0                                             928       21,406        X                09         19,406             0         2,000
0                                           2,422       55,842        X       X        09         38,030        16,000         1,812
-
0 TMP WORLDWIDE INC             87294110       89        1,200        X                08          1,200             0             0
  COM
0                                             672        9,100        X                09          9,100             0             0
0                                             653        8,840        X       X        09          8,840             0             0
-
0 TV GUIDE INC                  87307Q10      206        6,000        X       X        08              0             0         6,000
  CL A
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  360  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  TXU CORP                      87316810      797       27,000        X                02              0             0        27,000
  COM
0                                             819       27,756        X       X        05         27,756             0             0
0                                           1,059       35,903        X                08         35,903             0             0
0                                           1,222       41,428        X       X        08         32,229         5,767         3,432
0                                           3,110      105,408        X                09        104,643             0           765
0                                           1,611       54,612        X       X        09         48,139         1,398         5,075
0                                              10          350        X       X        12              0           350             0
-
0 TAIWAN SEMICONDUCTOR MFG LTD  87403910       40        1,024        X                09              0         1,024             0
  SPONSORED ADR
0                                           3,746       96,671        X       X        12              0        96,671             0
-
0 TAIWAN SEMICONDUCTOR MFG LTD  87403920    2,329       60,000        X       X        12              0        60,000             0
  SPONSORED ADR
-
0 TALK COM INC                  87426410    1,046      179,900        X                12        179,900             0             0
  COM
0                                             130       22,300        X       X        12              0        22,300             0
-
0 TANDY BRANDS ACCESSORIES INC  87537810      322       40,893        X                08         40,893             0             0
  COM
-
0 TARGET CORP                   87612E10    3,634       62,650        X                02              0             0        62,650
  COM
0                                           2,531       43,630        X                04         41,880             0         1,750
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  361  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,195       20,600        X       X        04          2,400             0        18,200
0                                             296        5,100        X                05          5,100             0             0
0                                             130        2,237        X       X        05          2,237             0             0
0                                          38,778      668,592        X                06        668,592             0             0
0                                          15,398      265,488        X                08        263,288             0         2,200
0                                           4,389       75,665        X       X        08         62,665         4,900         8,100
0                                          54,907      946,667        X                09        920,582         1,360        24,725
0                                           5,998      103,414        X       X        09         88,806             0        14,608
-
0 TAUBMAN CTRS INC              87666410    3,143      285,750        X                09        284,500             0         1,250
  COM
-
0 TECHNE CORP                   87837710      338        2,600        X                09          2,600             0             0
  COM
-
0 TECHNITROL INC                87855510   23,318      240,700        X                06        240,700             0             0
  COM
0                                           5,183       53,500        X                08         53,500             0             0
0                                          15,268      157,600        X                09        157,400             0           200
-
0 TECHNOLOGY SOLUTIONS CO       87872T10       87       14,000        X                09         14,000             0             0
  COM
-
0 TEKELEC                       87910110    1,036       21,500        X       X        12              0        21,500             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  362  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  TEKTRONIX INC                 87913110       25          338        X       X        05            338             0             0
  COM
0                                              37          500        X       X        08            500             0             0
0                                             126        1,700        X                09          1,700             0             0
0                                              23          312        X       X        09             50             0           262
-
0 TELE SUDESTE CELULAR PART S   87925210    7,601      249,220        X                01              0             0       249,220
  SPON ADR PFD
0                                               1           40        X                05              0             0            40
0                                             221        7,235        X                09          7,115            40            80
0                                               2           60        X       X        09              0             0            60
-
0 TELECOM ITALIA SPA            87927W10       58          420        X                04            420             0             0
  SPON ADR ORD
0                                              14          100        X                05              0             0           100
0                                              17          120        X                08            120             0             0
0                                             539        3,920        X                09          3,920             0             0
-
0 TELECOMM ARGENTINA STET-FRAN  87927320      138        5,000        X                01              0             0         5,000
  SPON ADR REP B
0                                             787       28,630        X                09         28,630             0             0
-
0 TELECOMUNICACOES BRASILEIRAS  87928730      107        1,100        X                01              0             0         1,100
  SPONSORED ADR
0                                              19          200        X                05              0             0           200
0                                           3,592       36,979        X                09         35,579           200         1,200
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  363  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          300        X       X        09              0             0           300
-
0 TELECOMUNICACOES DE SAO PAUL  87929A10    4,736      256,000        X                01              0             0       256,000
  SPON ADR PFD
0                                               4          200        X                05              0             0           200
0                                               3          150        X                08            150             0             0
0                                             669       36,179        X                09         35,579           200           400
0                                               6          300        X       X        09              0             0           300
-
0 TELECORP PCS INC              87929910        4          100        X       X        09              0             0           100
  CL A
0                                         624,557   15,492,703        X                10     15,492,703             0             0
0                                          11,523      285,848        X       X        10        285,848             0             0
0                                             613       15,210        X       X        12              0        15,210             0
-
0 TELEFLEX INC                  87936910      161        4,500        X       X        04          4,500             0             0
  COM
0                                           3,568       99,800        X                09         95,800             0         4,000
0                                             665       18,600        X       X        09         17,000             0         1,600
-
0 TELEFONICA DE ARGENTINA S A   87937820    8,843      278,523        X                01              0             0       278,523
  SPON ADR CL B
0                                              13          400        X                05              0             0           400
0                                             647       20,370        X                09         20,370             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  364  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  TELEFONICA S A                87938220       31          477        X                04            477             0             0
  SPONSORED ADR
0                                             204        3,182        X       X        04              0             0         3,182
0                                             408        6,364        X                08          6,364             0             0
0                                             102        1,591        X       X        08          1,591             0             0
0                                           1,736       27,096        X                09         23,476         1,000         2,620
0                                             287        4,478        X       X        09             24         1,272         3,182
-
0 TELEFONOS DE MEXICO S A       87940378    5,992      104,900        X                01              0             0       104,900
  SPON ADR ORD L
0                                              57        1,000        X                04              0             0         1,000
0                                              29          500        X                05              0             0           500
0                                              45          780        X       X        08            780             0             0
0                                           3,550       62,140        X                09         61,540             0           600
0                                              94        1,650        X       X        09          1,250             0           400
-
0 TELEPHONE & DATA SYS INC      87943310    1,033       10,300        X                09         10,300             0             0
  COM
0                                             311        3,100        X       X        09          1,600           500         1,000
-
0 TELIGENT INC                  87959Y10    1,203       50,937        X                03              0             0        50,937
  CL A
0                                             236       10,000        X                09         10,000             0             0
0                                               2           88        X                12             88             0             0
-
0 TELLABS INC                   87966410       58          850        X                01              0             0           850
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  365  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           1,506       22,000        X                02              0             0        22,000
0                                           1,393       20,352        X                04         19,652             0           700
0                                             472        6,900        X       X        04            200           700         6,000
0                                             110        1,600        X                05          1,600             0             0
0                                           3,274       47,833        X                08         45,833             0         2,000
0                                           1,660       24,250        X       X        08         20,600         3,650             0
0                                          11,029      161,155        X                09        139,405         7,200        14,550
0                                           1,799       26,292        X       X        09         20,550         1,500         4,242
0                                               0            1        X                12              1             0             0
0                                           2,725       39,816        X       X        12              0        39,816             0
-
0 TELXON CORP                   87970010      358       20,000        X                12         20,000             0             0
  COM
-
0 TEMPLE INLAND INC             87986810       23          544        X                04              0             0           544
  COM
0                                           4,385      104,400        X                06        104,400             0             0
0                                           1,162       27,674        X       X        08         27,674             0             0
0                                           4,391      104,540        X                09        103,940             0           600
0                                             481       11,458        X       X        09          7,702             0         3,756
-
0 TELESYSTEM INTL WIRELESS INC  87994610      509       27,500        X       X        09              0             0        27,500
  SUB VTG SHS
-
0 TEMPLETON EMERG MKTS INCOME   88019210      244       24,369        X       X        09         24,369             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  366  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        4,150        X       X        12              0         4,150             0
-
0 TENET HEALTHCARE CORP         88033G10    1,302       48,206        X       X        05         48,206             0             0
  COM
0                                             651       24,100        X       X        08         24,100             0             0
0                                           4,274      158,298        X                09        137,488             0        20,810
0                                             579       21,446        X       X        09         17,722             0         3,724
-
0 TERADYNE INC                  88077010      492        6,700        X                04          6,700             0             0
  COM
0                                           1,176       16,000        X       X        04              0             0        16,000
0                                              29          401        X       X        05            401             0             0
0                                          26,093      355,000        X                06        355,000             0             0
0                                             103        1,400        X       X        08          1,400             0             0
0                                          36,588      497,796        X                09        486,100             0        11,696
0                                           7,774      105,762        X       X        09         86,536         6,000        13,226
0                                             376        5,110        X       X        12              0         5,110             0
-
0 TERAYON COMMUNICATION SYS     88077510      649       10,100        X                09         10,100             0             0
  COM
0                                              26          400        X                12            400             0             0
0                                             569        8,856        X       X        12              0         8,856             0
-
0 TEREX CORP NEW                88077910      232       16,400        X                09         16,400             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  367  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             424       30,000        X       X        09              0             0        30,000
-
0 TERRA NETWORKS S A            88100W10    1,278       35,050        X                09         34,600           450             0
  SPONSORED ADR
0                                              15          400        X       X        12              0           400             0
-
0 TERRA NITROGEN CO L P         88100520       44       11,000        X       X        12              0        11,000             0
  COM UNIT
-
0 TESORO PETE CORP              88160910      424       41,850        X                09         41,850             0             0
  COM
0                                              13        1,328        X       X        12              0         1,328             0
-
0 TETRA TECH INC NEW            88162G10       48        2,100        X                09          2,100             0             0
  COM
0                                             183        8,000        X       X        12              0         8,000             0
-
0 TEXACO INC                    88169410      623       11,700        X                01              0             0        11,700
  COM
0                                           1,261       23,685        X                04         22,985             0           700
0                                             581       10,920        X       X        04          3,220         1,200         6,500
0                                              53        1,000        X                05          1,000             0             0
0                                              64        1,200        X       X        05              0             0         1,200
0                                           3,144       59,036        X                08         59,036             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  368  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           3,605       67,691        X       X        08         56,180         8,264         3,247
0                                          15,109      283,742        X                09        254,728         2,100        26,914
0                                          10,545      198,019        X       X        09        112,378        38,675        46,966
0                                              76        1,430        X       X        12              0         1,430             0
-
0 TEXAS INDS INC                88249110       10          343        X                08            343             0             0
  COM
0                                              52        1,800        X       X        08          1,800             0             0
0                                             436       15,100        X                09         13,500             0         1,600
0                                             170        5,900        X       X        09          5,600             0           300
-
0 TEXAS INSTRS INC              88250810    3,167       46,100        X                01              0             0        46,100
  COM
0                                           2,195       31,950        X                04         27,750             0         4,200
0                                           2,198       32,000        X       X        04         10,000             0        22,000
0                                             550        8,000        X                05          8,000             0             0
0                                           3,220       46,872        X       X        05         44,472             0         2,400
0                                         164,638    2,396,902        X                06      2,396,902             0             0
0                                          98,195    1,429,582        X                08      1,421,782         6,400         1,400
0                                          47,424      690,426        X       X        08        577,786        35,500        77,140
0                                         348,633    5,075,609        X                09      4,984,899        18,850        71,860
0                                          54,726      796,737        X       X        09        690,603         9,500        96,634
0                                             343        5,000        X                12          5,000             0             0
0                                          17,592      256,120        X       X        12              0       256,120             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  369  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  TEXTRON INC                   88320310    1,847       34,000        X                02              0             0        34,000
  COM
0                                              33          600        X                04            600             0             0
0                                             141        2,600        X       X        04          1,400             0         1,200
0                                              11          200        X                05            200             0             0
0                                             760       14,000        X       X        05         14,000             0             0
0                                             114        2,100        X       X        08          2,100             0             0
0                                           6,932      127,638        X                09        127,638             0             0
0                                             252        4,644        X       X        09          3,500             0         1,144
-
0 THERMO ELECTRON CORP          88355610        7          312        X       X        05            312             0             0
  COM
0                                              48        2,288        X                08          2,288             0             0
0                                             111        5,262        X       X        08              0         5,262             0
0                                           3,341      158,612        X                09        131,512         2,100        25,000
0                                             771       36,602        X       X        09         17,534         3,375        15,693
-
0 THESTREET COM                 88368Q10    8,573    1,474,780        X                07      1,474,780             0             0
  COM
0                                               2          377        X                12            377             0             0
0                                             546       93,950        X       X        12              0        93,950             0
-
0 THOMAS & BETTS CORP           88431510        2          116        X       X        05            116             0             0
  COM
0                                             298       15,590        X                09         14,790             0           800
0                                             626       32,749        X       X        09         30,900           800         1,049
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  370  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  THOR INDS INC                 88516010      819       39,000        X                09         39,000             0             0
  COM
-
0 3COM CORP                     88553510        4           65        X                04             65             0             0
  COM
0                                              37          635        X       X        05            635             0             0
0                                             103        1,780        X                09            810           795           175
0                                             841       14,593        X       X        09          2,103             0        12,490
0                                             116        2,020        X                12          2,020             0             0
0                                             360        6,246        X       X        12              0         6,246             0
-
0 THREE FIVE SYS INC            88554L10    1,974       33,450        X                09         33,450             0             0
  COM
-
0 TIBCO SOFTWARE INC            88632Q10      204        1,900        X                09          1,900             0             0
  COM
0                                             721        6,725        X       X        12              0         6,725             0
-
0 TICKETS COM INC               88633M10    1,982      582,000        X       X        07        582,000             0             0
  COM
-
0 TIDEWATER INC                 88642310       11          300        X                04            300             0             0
  COM
0                                           4,426      122,950        X                09        121,550             0         1,400
0                                              97        2,700        X       X        09          2,000             0           700
-
0 TIFFANY & CO NEW              88654710      155        2,300        X                05          1,400             0           900
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  371  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,665       39,475        X                08         39,325             0           150
0                                             959       14,200        X       X        08         11,800         2,000           400
0                                             537        7,950        X                09          7,150             0           800
0                                             847       12,550        X       X        09          3,250             0         9,300
0                                              68        1,000        X       X        12              0         1,000             0
-
0 TIMBERLAND CO                 88710010    5,952       84,050        X                06         84,050             0             0
  CL A
0                                           1,809       25,550        X                08         25,550             0             0
0                                           5,357       75,650        X                09         75,600             0            50
-
0 TIME WARNER INC               88731510    7,858      103,400        X                01              0             0       103,400
  COM
0                                           6,968       91,680        X                04         87,380             0         4,300
0                                           6,678       87,866        X       X        04         15,596         3,800        68,470
0                                              68          900        X                05            500             0           400
0                                           3,936       51,786        X       X        05         51,386             0           400
0                                          63,877      840,483        X                06        840,483             0             0
0                                          41,727      549,040        X                08        547,390             0         1,650
0                                           8,966      117,980        X       X        08         97,880        15,700         4,400
0                                         140,033    1,842,541        X                09      1,705,748        34,780       102,013
0                                          55,369      728,536        X       X        09        487,394        24,675       216,467
0                                             301        3,958        X       X        12              0         3,958             0
-
0 TIMKEN CO                     88738910    3,125      167,800        X                09        167,800             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  372  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          342        X       X        09             57             0           285
-
0 TITAN CORP                    88826610      112        2,500        X                09          2,500             0             0
  COM
0                                              45        1,000        X       X        09          1,000             0             0
0                                              47        1,050        X       X        12              0         1,050             0
-
0 TOLL BROTHERS INC             88947810      475       23,159        X                09         23,159             0             0
  COM
0                                             129        6,298        X       X        09          6,298             0             0
-
0 TOO INC                       89033310        5          212        X       X        05            212             0             0
  COM
0                                          11,731      461,156        X                09         54,526             0       406,630
0                                           5,842      229,657        X       X        09        107,079             0       122,578
-
0 TOPPS INC                     89078610      752       65,400        X                09         65,400             0             0
  COM
-
0 TORO CO                       89109210      214        6,500        X                09          6,500             0             0
  COM
-
0 TORONTO DOMINION BK ONT       89116050      243       10,000        X                09         10,000             0             0
  COM NEW
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  373  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,431      100,000        X       X        12              0       100,000             0
-
0 TOSCO CORP                    89149030   13,777      486,600        X                06        486,600             0             0
  COM NEW
0                                              19          663        X                08            663             0             0
0                                          16,073      567,700        X                09        567,700             0             0
0                                              34        1,191        X       X        09             61             0         1,130
-
0 TOTAL RENAL CARE HLDGS INC    89151A10      805      134,215        X       X        12              0       134,215             0
  COM
-
0 TOTAL FINA ELF S A            89151E10       54          700        X                04              0             0           700
  SPONSORED ADR
0                                              23          304        X                08            304             0             0
0                                           2,068       26,927        X                09         19,205           500         7,222
0                                              70          906        X       X        09            469             0           437
-
0 TOWER AUTOMOTIVE INC          89170710   12,224      977,900        X                06        977,900             0             0
  COM
0                                           1,618      129,440        X                08        129,440             0             0
0                                          10,774      861,900        X                09        861,500             0           400
-
0 TRACK N TRAIL INC             89192410       62       73,100        X       X        12              0        73,100             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  374  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  TOWNE SERVICES INC            89214810       13       14,000        X                12         14,000             0             0
  COM
0                                             829      884,000        X       X        12              0       884,000             0
-
0 TOYOTA MOTOR CORP             89233130       30          325        X       X        08            325             0             0
  SP ADR REP2COM
0                                             186        2,000        X                09          2,000             0             0
-
0 TOYS R US INC                 89233510        3          237        X       X        05            237             0             0
  COM
0                                              19        1,275        X       X        08          1,275             0             0
0                                             580       39,825        X                09         39,825             0             0
0                                             735       50,460        X       X        09         36,200             0        14,260
-
0 TRAMMELL CROW CO              89288R10      203       18,900        X                09         18,900             0             0
  COM
-
0 TRANSATLANTIC HLDGS INC       89352110       38          450        X                08            450             0             0
  COM
0                                             727        8,675        X                09          4,275             0         4,400
0                                             433        5,175        X       X        09          2,550             0         2,625
-
0 TRANSCONTINENTAL RLTY INVS    89361720      238       19,516        X                12         19,516             0             0
  COM NEW
-
0 TRANSKARYOTIC THERAPIES INC   89373510      248        6,750        X                02              0             0         6,750
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  375  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          400        X                09            400             0             0
-
0 TRANSWITCH CORP               89406510    2,605       33,750        X                06         33,750             0             0
  COM
0                                             726        9,400        X                09          9,400             0             0
0                                              74          955        X       X        09            955             0             0
0                                              22          286        X                12            286             0             0
-
0 TRI CONTL CORP                89543610       24          969        X                04            969             0             0
  COM
0                                             115        4,552        X       X        04              0             0         4,552
0                                             214        8,495        X       X        08          7,795           700             0
0                                             139        5,500        X       X        09          5,500             0             0
-
0 TRIANGLE PHARMACEUTICALS INC  89589H10    6,344      700,000        X                07        700,000             0             0
  COM
0                                           3,201      353,201        X       X        07        353,201             0             0
0                                               0           43        X                12             43             0             0
-
0 TRICON GLOBAL RESTAURANTS     89595310        4          150        X                04            130             0            20
  COM
0                                              46        1,644        X       X        04          1,170             0           474
0                                          27,866      986,400        X                06        986,400             0             0
0                                           9,245      327,240        X                08        327,240             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  376  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             596       21,092        X       X        08          9,557           400        11,135
0                                          13,212      467,670        X                09        460,090           820         6,760
0                                             917       32,450        X       X        09         23,528         2,050         6,872
0                                              11          378        X       X        12              0           378             0
-
0 TRIBUNE CO NEW                89604710       70        2,000        X                05          2,000             0             0
  COM
0                                               5          144        X       X        05            144             0             0
0                                           1,890       54,000        X                09         48,400         1,000         4,600
0                                             703       20,090        X       X        09         15,280             0         4,810
-
0 TRICORD SYSTEMS INC           89612110        9          500        X       X        08            500             0             0
  COM
0                                             181       10,000        X       X        12              0        10,000             0
-
0 TRIMBLE NAVIGATION LTD        89623910    3,383       69,300        X                06         69,300             0             0
  COM
0                                           3,239       66,350        X                09         66,350             0             0
0                                              20          400        X       X        12              0           400             0
-
0 TRINITY INDS INC              89652210       19        1,000        X       X        08              0         1,000             0
  COM
0                                             463       25,041        X                09         20,944             0         4,097
0                                              19        1,000        X       X        09          1,000             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  377  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  TRINTECH GROUP PLC            89668210    1,970      100,000        X                12              0             0       100,000
  SPONSORED ADR
-
0 TRIQUINT SEMICONDUCTOR INC    89674K10      144        1,500        X                04          1,500             0             0
  COM
0                                             708        7,400        X                09          7,400             0             0
0                                              29          300        X       X        12              0           300             0
-
0 TRITON PCS HLDGS INC          89677M10  708,635   12,270,744        X                10     12,270,744             0             0
  CL A
-
0 TRUE NORTH COMMUNICATIONS IN  89784410   34,395      781,700        X                06        781,700             0             0
  COM
0                                           4,044       91,900        X                08         91,900             0             0
0                                          28,534      648,500        X                09        648,300             0           200
-
0 TRUETIME INC                  89786810       63       21,600        X                09         21,600             0             0
  COM
-
0 TRUSTMARK CORP                89840210    5,013      287,500        X                06        287,500             0             0
  COM
0                                           1,303       74,700        X                08         74,700             0             0
0                                           3,983      228,400        X                09        228,200             0           200
-
0 TUMBLEWEED COMMUNICATIONS CO  89969010    8,100      159,205        X                12              2             0       159,203
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  378  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             158        3,107        X       X        12              0         3,107             0
-
0 TUPPERWARE CORP               89989610       68        3,112        X       X        04          3,112             0             0
  COM
0                                              12          525        X       X        05            525             0             0
0                                              10          452        X                09            452             0             0
0                                             122        5,535        X       X        09          3,570             0         1,965
-
0 TURBOCHEF TECHNOLOGIES INC    90000610       92       20,000        X                01              0             0        20,000
  COM
-
0 TUT SYSTEMS                   90110310      757       13,200        X                09         13,200             0             0
  COM
0                                              57        1,000        X                12          1,000             0             0
0                                             430        7,500        X       X        12              0         7,500             0
-
0 24 / 7 MEDIA INC              90131410    1,034       66,200        X                09         66,200             0             0
  COM
0                                               1           53        X                12              0             0            53
0                                               8          500        X       X        12              0           500             0
-
0 TYCO INTL LTD NEW             90212410    6,461      136,378        X                04        107,968             0        28,410
  COM
0                                           1,842       38,878        X       X        04         24,504           750        13,624
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  379  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          150        X                05              0             0           150
0                                           3,540       74,717        X       X        05         74,267             0           450
0                                          52,095    1,099,631        X                06      1,099,631             0             0
0                                          48,716    1,028,307        X                08      1,021,632             0         6,675
0                                          12,416      262,073        X       X        08        219,218        27,523        15,332
0                                         179,411    3,787,038        X                09      3,449,102        66,460       271,476
0                                          75,210    1,587,542        X       X        09      1,033,847        43,886       509,809
0                                             370        7,811        X       X        12              0         7,811             0
-
0 UAL CORP                      90254950      640       11,000        X                09         11,000             0             0
  COM PAR $0.01
0                                              68        1,165        X       X        09            165             0         1,000
0                                              23          400        X       X        12              0           400             0
-
0 UGI CORP NEW                  90268110      224       10,925        X                09         10,925             0             0
  COM
0                                             103        5,000        X       X        09          5,000             0             0
0                                              21        1,000        X       X        12              0         1,000             0
-
0 USX MARATHON GROUP            90290582      634       25,302        X       X        05         25,302             0             0
  COM NEW
0                                           1,123       44,820        X                08         44,820             0             0
0                                              51        2,050        X       X        08          1,000         1,050             0
0                                           3,078      122,824        X                09        120,324             0         2,500
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  380  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             300       11,969        X       X        09         10,665             0         1,304
-
0 UST INC                       90291110        9          593        X       X        05            593             0             0
  COM
0                                              22        1,500        X                08          1,500             0             0
0                                             208       14,150        X                09         10,400             0         3,750
0                                             765       52,083        X       X        09         50,900             0         1,183
-
0 US BANCORP DEL                90297310      185        9,600        X                04          9,600             0             0
  COM
0                                              58        3,000        X       X        04          3,000             0             0
0                                              22        1,127        X       X        05          1,127             0             0
0                                             185        9,586        X       X        08          9,586             0             0
0                                             790       41,038        X                09         31,487             0         9,551
0                                           1,596       82,916        X       X        09         69,333             0        13,583
0                                          11,014      572,139        X                10        572,139             0             0
-
0 USA NETWORKS INC              90298410    9,614      444,600        X                06        444,600             0             0
  COM
0                                           9,294      429,800        X                09        429,800             0             0
0                                              91        4,196        X       X        09          4,196             0             0
-
0 URS CORP NEW                  90323610      168       11,000        X                09         11,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  381  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  U S CONCRETE INC              90333L10    2,040      254,942        X                08        254,942             0             0
  COM
-
0 USX-U S STL                   90337T10        1           33        X       X        05             33             0             0
  COM
0                                               2          131        X       X        08              0           131             0
0                                             392       21,135        X                09         13,935             0         7,200
0                                              50        2,693        X       X        09          2,003             0           690
-
0 US SEARCH COM INC             90340410       22       11,000        X       X        12              0        11,000             0
  COM
-
0 ULTICOM INC                   90384410    1,029       42,850        X                12         42,850             0             0
  COM
0                                               8          325        X       X        12              0           325             0
-
0 ULTRAPAR PARTICIPACOES S A    90400P10      199       20,000        X                09         20,000             0             0
  SP ADR REP PFD
-
0 ULTRAMAR DIAMOND SHAMROCK CO  90400010        5          200        X                08            200             0             0
  COM
0                                           1,000       40,283        X                09         30,527             0         9,756
0                                              87        3,511        X       X        09          1,644             0         1,867
-
0 UNIBANCO-UNIAO DE BANCOS BRA  90458E10    1,084       37,710        X                09         37,710             0             0
  GDR REP PFD UT
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  382  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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                  90478470      215        4,999        X                04          4,999             0             0
  N Y SHS NEW
0                                              57        1,315        X       X        04          1,315             0             0
0                                              31          724        X                05              0             0           724
0                                              67        1,554        X       X        05          1,254             0           300
0                                           1,630       37,908        X                08         37,708             0           200
0                                             557       12,945        X       X        08         12,945             0             0
0                                           7,551      175,598        X                09        170,765             0         4,833
0                                           2,612       60,750        X       X        09         40,292         2,319        18,139
-
0 UNICOM CORP                   90491110       20          513        X                08            513             0             0
  COM
0                                              23          600        X       X        08            600             0             0
0                                              50        1,282        X                09          1,282             0             0
0                                             214        5,519        X       X        09          4,484             0         1,035
0                                               3           82        X       X        12              0            82             0
-
0 UNION CARBIDE CORP            90558110       43          875        X       X        04            500           375             0
  COM
0                                              25          503        X       X        05            503             0             0
0                                              15          300        X                08            300             0             0
0                                              25          500        X       X        08            500             0             0
0                                           1,165       23,538        X                09         20,938             0         2,600
0                                             693       13,990        X       X        09         11,575             0         2,415
-
0 UNION PAC CORP                90781810      223        6,000        X                02              0             0         6,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  383  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             123        3,300        X                04          3,300             0             0
0                                              33          900        X       X        04              0             0           900
0                                               7          200        X                05              0             0           200
0                                              43        1,159        X       X        05            559             0           600
0                                             652       17,538        X                08         16,938           200           400
0                                             647       17,387        X       X        08          6,287         4,100         7,000
0                                          23,772      639,247        X                09        626,711         2,000        10,536
0                                          12,986      349,209        X       X        09        200,209       120,373        28,627
-
0 UNION PAC RES GROUP INC       90783410      142        6,435        X                04          6,435             0             0
  COM
0                                          14,819      673,600        X                06        673,600             0             0
0                                           1,474       66,982        X                08         66,813           169             0
0                                           2,132       96,894        X       X        08         84,741         4,700         7,453
0                                          17,267      784,867        X                09        783,521             0         1,346
0                                           4,480      203,621        X       X        09         97,438        99,049         7,134
-
0 UNION PLANTERS CORP           90806810      159        5,687        X                04          5,687             0             0
  COM
0                                              60        2,144        X                08          2,144             0             0
0                                              52        1,872        X       X        08          1,872             0             0
0                                             105        3,758        X                09          3,758             0             0
0                                             539       19,280        X       X        09          1,000             0        18,280
-
0 UNISOURCE ENERGY CORP         90920510      679       45,296        X                09         45,296             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  384  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  UNISYS CORP                   90921410   12,695      871,700        X                09        871,700             0             0
  COM
0                                              88        6,022        X       X        09          4,894             0         1,128
-
0 UNITED ASSET MGMT CORP        90942010      739       31,600        X                09         29,200             0         2,400
  COM
0                                             119        5,100        X       X        12              0         5,100             0
-
0 UNITED AUTO GROUP INC         90944010   13,935    1,527,079        X       X        03              0             0     1,527,079
  COM
-
0 UNITED BANKSHARES INC WEST V  90990710      196       10,770        X       X        09          1,530             0         9,240
  COM
-
0 UNITED DOMINION REALTY TR IN  91019710    3,207      291,524        X                09        291,524             0             0
  COM
0                                              11        1,000        X       X        09          1,000             0             0
-
0 UNITED ILLUM CO               91063710      123        2,800        X       X        04          1,800             0         1,000
  COM
0                                             265        6,050        X                09          6,050             0             0
0                                               4          100        X       X        09            100             0             0
-
0 UNITED PARCEL SERVICE INC     91131210      620       10,500        X                04         10,500             0             0
  CL B
0                                               6           96        X       X        04              0             0            96
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  385  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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           96        X                05              0             0            96
0                                              83        1,400        X                08          1,400             0             0
0                                           1,145       19,400        X       X        08          8,700             0        10,700
0                                             708       12,001        X                09         12,001             0             0
0                                           3,529       59,816        X       X        09         59,336             0           480
0                                             381        6,450        X       X        12              0         6,450             0
-
0 UNITED STATES CELLULAR CORP   91168410   11,561      183,500        X                06        183,500             0             0
  COM
0                                          11,419      181,250        X                09        181,250             0             0
-
0 US AIRWAYS GROUP INC          91190510    1,560       40,000        X                01              0             0        40,000
  COM
0                                               8          200        X                09            200             0             0
0                                              18          459        X       X        09             16             0           443
0                                              78        1,999        X       X        12              0         1,999             0
-
0 UNITED STATES LIME & MINERAL  91192210       95       13,726        X                08         13,726             0             0
  COM
-
0 U S INDS INC NEW              91208010      263       21,700        X                09         21,700             0             0
  COM
0                                               4          360        X       X        09            360             0             0
-
0 U S WEST INC NEW              91273H10      858       10,000        X                02              0             0        10,000
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  386  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             314        3,662        X                04          3,252             0           410
0                                             877       10,225        X       X        04          3,993           100         6,132
0                                              13          150        X                05            150             0             0
0                                             933       10,883        X       X        05         10,883             0             0
0                                             964       11,243        X                08         11,243             0             0
0                                           2,034       23,723        X       X        08         22,148           918           657
0                                           8,117       94,654        X                09         91,364            41         3,249
0                                          10,780      125,712        X       X        09         83,123         6,795        35,794
-
0 UNITED STATIONERS INC         91300410      515       15,900        X                09         15,900             0             0
  COM
-
0 UNITED TECHNOLOGIES CORP      91301710    1,151       19,550        X                04         15,850             0         3,700
  COM
0                                             223        3,796        X       X        04            196             0         3,600
0                                             692       11,760        X                05          6,360             0         5,400
0                                             120        2,036        X       X        05            836             0         1,200
0                                             336        5,707        X                08          5,407             0           300
0                                             783       13,307        X       X        08          5,428         7,600           279
0                                          42,264      717,861        X                09        695,612           800        21,449
0                                          10,934      185,715        X       X        09        158,805         6,400        20,510
-
0 UNITED TELEVISION INC         91306610      232        1,800        X                09          1,800             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  387  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS 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 THERAPEUTICS CORP DEL  91307C10    1,972       18,200        X                09         18,200             0             0
  COM
-
0 UNITED WTR RES INC            91319010    2,452       70,300        X       X        04         70,300             0             0
  COM
0                                             825       23,650        X                06         23,650             0             0
0                                             800       22,950        X                08         22,950             0             0
0                                             204        5,856        X                09          5,856             0             0
0                                              63        1,812        X       X        09            125             0         1,687
-
0 UNITEDHEALTH GROUP INC        91324P10       13          150        X                04            150             0             0
  COM
0                                              46          539        X       X        05            539             0             0
0                                          23,230      270,900        X                06        270,900             0             0
0                                           7,666       89,400        X                08         89,400             0             0
0                                              34          400        X       X        08            400             0             0
0                                          10,213      119,100        X                09        119,100             0             0
0                                             499        5,823        X       X        09          3,830           800         1,193
-
0 UNITEDGLOBALCOM               91324710    4,930       80,000        X                06         80,000             0             0
  PFD CV 1/20
-
0 UNITRIN INC                   91327510      750       25,524        X       X        08          8,334             0        17,190
  COM
0                                             323       11,000        X       X        09              0             0        11,000
-
0 UNIVERSAL AMERN FINL CORP     91337710    1,011      252,631        X                03        252,631             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  388  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           2,240      559,955        X       X        03        559,955             0             0
0                                              20        5,000        X                09          5,000             0             0
-
0 UNIVERSAL CORP VA             91345610      296       14,000        X                09         14,000             0             0
  COM
0                                             110        5,200        X       X        09          1,500         1,000         2,700
-
0 UNIVERSAL FOODS CORP          91353810      331       17,900        X       X        08         17,900             0             0
  COM
0                                              63        3,400        X                09          3,400             0             0
-
0 UNIVERSAL HLTH SVCS INC       91390310      164        2,500        X                08          2,500             0             0
  CL B
0                                          38,802      592,400        X                09         22,200             0       570,200
-
0 UNOCAL CORP                   91528910      331       10,000        X                02              0             0        10,000
  COM
0                                              45        1,360        X                08          1,360             0             0
0                                             109        3,276        X       X        08          3,276             0             0
0                                           3,077       92,876        X                09         92,876             0             0
0                                             297        8,977        X       X        09          3,883             0         5,094
-
0 UNUMPROVIDENT CORP            91529Y10       16          800        X       X        04              0             0           800
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  389  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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                                              15          750        X       X        05            750             0             0
0                                              47        2,346        X                08          2,346             0             0
0                                           2,434      121,328        X                09        118,700             0         2,628
0                                             177        8,831        X       X        09          4,000             0         4,831
-
0 USFREIGHTWAYS CORP            91690610      216        8,800        X                09          8,800             0             0
  COM
-
0 USINTERNETWORKING INC         91731180        0            3        X                09              0             0             3
  COM
0                                             222       10,841        X       X        12              0        10,841             0
-
0 VI TECHNOLOGIES INC           91792010   12,610    1,801,470        X                10      1,801,470             0             0
  COM
-
0 UTILICORP UTD INC             91800510       21        1,050        X       X        08          1,050             0             0
  COM
0                                             469       23,607        X                09         23,607             0             0
0                                           1,245       62,659        X       X        09         62,659             0             0
-
0 VA LINUX SYSTEMS INC          91819B10       13          300        X                04            300             0             0
  COM
0                                              19          438        X                12            438             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  390  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             239        5,550        X       X        12              0         5,550             0
-
0 V F CORP                      91820410        7          287        X       X        05            287             0             0
  COM
0                                             245       10,292        X       X        08         10,292             0             0
0                                              33        1,400        X                09              0             0         1,400
0                                              87        3,652        X       X        09          3,100             0           552
0                                              12          500        X       X        12              0           500             0
-
0 VALENCE TECHNOLOGY INC        91891410       28        1,500        X       X        04              0         1,500             0
  COM
0                                             424       23,000        X       X        12              0        23,000             0
-
0 VALERO ENERGY CORP NEW        91913Y10    2,245       70,700        X       X        05         70,700             0             0
  COM
0                                             673       21,200        X                09         21,200             0             0
-
0 VALLEY NATL BANCORP           91979410    1,648       67,775        X                09         67,775             0             0
  COM
0                                           5,732      235,762        X       X        09        233,303             0         2,459
-
0 VAN KAMPEN MUN INCOME TR      92090910        9        1,000        X                04          1,000             0             0
  COM
0                                              30        3,500        X                08          3,500             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  391  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        6,200        X       X        08          6,200             0             0
-
0 VAN KAMPEN TR INVT GRADE MUN  92092910      157       11,700        X                08         11,700             0             0
  COM
-
0 VANGUARD AIRLS INC            92201B20    6,636    3,931,438        X                12              0             0     3,931,438
  COM NEW
-
0 VARCO INTL INC DEL            92212210      183        7,856        X                08          7,856             0             0
  COM
0                                              68        2,921        X       X        08          2,921             0             0
0                                               0            2        X                09              0             0             2
-
0 VARIAN MED SYS INC            92220P10   15,312      391,350        X                06        391,350             0             0
  COM
0                                           3,901       99,700        X                08         99,700             0             0
0                                          10,380      265,300        X                09        265,100             0           200
-
0 VARIAN INC                    92220610   31,289      678,350        X                06        678,350             0             0
  COM
0                                           7,927      171,850        X                08        171,850             0             0
0                                          23,215      503,300        X                09        502,900             0           400
-
0 VARIAN SEMICONDUCTOR EQUIPMN  92220710      791       12,600        X                09         12,600             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  392  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          447        X                12            447             0             0
0                                             565        9,000        X       X        12              0         9,000             0
-
0 VASTAR RES INC                92238010    1,232       15,000        X                09         15,000             0             0
  COM
-
0 VECTREN CORP                  92240G10       28        1,599        X                09          1,599             0             0
  COM
0                                             161        9,327        X       X        09          9,327             0             0
-
0 VELCRO INDS N V               92257110      170       15,000        X       X        09          5,000             0        10,000
  COM
-
0 VENTAS INC                    92276F10        1          452        X                08            452             0             0
  COM
0                                             443      139,000        X                09        139,000             0             0
-
0 VENTANA MED SYS INC           92276H10   12,958      551,400        X                06        551,400             0             0
  COM
0                                           3,132      133,275        X                08        133,275             0             0
0                                          10,207      434,350        X                09        434,000             0           350
-
0 VERISIGN INC                  92343E10    2,633       14,920        X                09         14,870            50             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  393  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           3,918       22,200        X       X        09         21,200             0         1,000
0                                             943        5,340        X                12          5,340             0             0
0                                           8,845       50,114        X       X        12              0        50,114             0
-
0 VERITAS DGC INC               92343P10   13,889      534,200        X                06        534,200             0             0
  COM
0                                           4,213      162,050        X                08        162,050             0             0
0                                          10,624      408,600        X                09        408,250             0           350
-
0 VERIO INC                     92343310    1,775       32,000        X                01              0             0        32,000
  COM
0                                             499        9,000        X       X        09              0             0         9,000
0                                              11          200        X                12            200             0             0
0                                             467        8,416        X       X        12              0         8,416             0
-
0 VERITAS SOFTWARE CO           92343610       84          747        X       X        05            747             0             0
  COM
0                                              28          250        X                08              0             0           250
0                                           2,980       26,365        X                09         26,365             0             0
0                                             390        3,448        X       X        09          3,371             0            77
0                                          53,583      474,121        X       X        12              0       474,121             0
-
0 VERTEX PHARMACEUTICALS INC    92532F10      211        2,000        X       X        12              0         2,000             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  394  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  VERTICALNET INC               92532L10    1,056       28,600        X                01              0             0        28,600
  COM
0                                               4          100        X                04            100             0             0
0                                             355        9,600        X                09          9,600             0             0
0                                           1,071       29,000        X                12         29,000             0             0
0                                           1,011       27,382        X       X        12              0        27,382             0
-
0 VERTEX INTERACTIVE INC        92532210    1,661      163,000        X                09        163,000             0             0
  COM
-
0 VETERINARY CTRS AMER INC      92551410      147       10,700        X                09         10,700             0             0
  COM
-
0 VIAD CORP                     92552R10       11          400        X       X        08            400             0             0
  COM
0                                          13,664      501,436        X                09        501,436             0             0
0                                              71        2,600        X       X        09          2,600             0             0
-
0 VIACOM INC                    92552410       11          160        X                04            160             0             0
  CL A
0                                              29          430        X                05              0             0           430
0                                              44          640        X                09            640             0             0
0                                             356        5,200        X       X        09            200             0         5,000
-
0 VIACOM INC                    92552430    2,046       30,000        X                02              0             0        30,000
  CL B
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  395  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             735       10,777        X                04         10,777             0             0
0                                             373        5,465        X       X        04          1,793             0         3,672
0                                              73        1,070        X                05              0             0         1,070
0                                           6,608       96,910        X       X        05         96,910             0             0
0                                          88,982    1,304,944        X                06      1,304,944             0             0
0                                             339        4,965        X                08          4,965             0             0
0                                           2,312       33,907        X       X        08         29,350             0         4,557
0                                         163,591    2,399,114        X                09      2,376,516           150        22,448
0                                          10,402      152,554        X       X        09         50,169        88,448        13,937
0                                             796       11,668        X       X        12              0        11,668             0
-
0 VIATEL INC                    92552920    4,109      143,874        X                03              0             0       143,874
  COM
0                                              56        1,975        X                09          1,975             0             0
0                                              27          930        X       X        09              0             0           930
0                                               1           44        X       X        12              0            44             0
-
0 VIASYSTEMS GROUP INC          92553H10  110,574    6,830,600        X       X        03      6,830,600             0             0
  COM
0                                             706       43,600        X                09         43,600             0             0
0                                             121        7,500        X       X        12              0         7,500             0
-
0 VIA NET WRKS INC              92591210   20,264    1,312,612        X                03      1,312,612             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  396  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  VIGNETTE CORP                 92673410      427        8,204        X       X        04              0             0         8,204
  COM
0                                              26          500        X       X        08              0           500             0
0                                             312        6,000        X                09          6,000             0             0
0                                           2,076       39,902        X                12         39,902             0             0
0                                           9,101      174,970        X       X        12              0       174,970             0
-
0 VINA CONCHA Y TORO S A        92719110    2,643       72,522        X                09         72,522             0             0
  SPONSORED ADR
-
0 VINTAGE PETE INC              92746010    9,438      418,300        X                06        418,300             0             0
  COM
0                                           2,908      128,900        X                08        128,900             0             0
0                                           6,273      278,000        X                09        277,650             0           350
-
0 VIRATA CORP                   92764610      900       15,100        X                09         15,100             0             0
  COM
0                                              44          744        X                12              0             0           744
0                                             131        2,200        X       X        12              0         2,200             0
-
0 VIROLOGIC INC                 92823R20      530       35,600        X                06         35,600             0             0
  COM
-
0 VISIBLE GENETICS INC          92829S10        5          120        X       X        09            120             0             0
  COM
0                                             473       10,480        X                12         10,480             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  397  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  VISHAY INTERTECHNOLOGY INC    92829810   43,321    1,141,892        X                06      1,141,892             0             0
  COM
0                                           6,311      166,359        X                08        166,359             0             0
0                                             434       11,450        X       X        08         11,450             0             0
0                                          67,114    1,769,053        X                09      1,768,650             0           403
0                                              15          393        X       X        09            393             0             0
-
0 VISTEON CORP                  92839U10       13        1,053        X                04          1,053             0             0
  COM
0                                              23        1,909        X       X        04          1,195           518           196
0                                              22        1,809        X                05          1,354             0           455
0                                               5          446        X       X        05            388             0            58
0                                           2,102      173,397        X                06        173,397             0             0
0                                             480       39,618        X                08         39,592             0            26
0                                             263       21,657        X       X        08         10,701           430        10,526
0                                           3,241      267,324        X                09        258,332         1,839         7,153
0                                             167       13,796        X       X        09          8,746         1,237         3,813
-
0 VISX INC DEL                  92844S10       87        3,100        X                09          3,100             0             0
  COM
0                                              15          534        X                12            534             0             0
0                                             253        9,000        X       X        12              0         9,000             0
-
0 VISUAL NETWORKS INC           92844410      778       27,300        X                09         27,300             0             0
  COM
0                                           3,542      124,295        X       X        09        124,295             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  398  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              33        1,159        X                12              0             0         1,159
-
0 VITAL SIGNS INC               92846910      102        5,600        X                09          5,600             0             0
  COM
0                                              14          771        X                12            771             0             0
0                                             365       20,145        X       X        12              0        20,145             0
-
0 VITAMINSHOPPE COM INC         92848M10      856      651,606        X                10        651,606             0             0
  CL A
-
0 VITESSE SEMICONDUCTOR CORP    92849710   17,994      244,600        X                06        244,600             0             0
  COM
0                                             110        1,500        X                08          1,500             0             0
0                                             110        1,500        X       X        08          1,500             0             0
0                                          17,368      236,100        X                09        236,100             0             0
0                                             147        2,000        X       X        09              0             0         2,000
0                                              29          400        X       X        12              0           400             0
-
0 VODAFONE AIRTOUCH PLC         92857T10    1,156       27,900        X                01              0             0        27,900
  SPONSORED ADR
0                                             290        7,000        X                02              0             0         7,000
0                                           4,891      118,030        X                04        104,830             0        13,200
0                                           1,543       37,245        X       X        04         17,145           850        19,250
0                                             849       20,500        X                05         14,000             0         6,500
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  399  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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        4,170        X       X        05          3,870             0           300
0                                          19,724      475,995        X                08        475,495             0           500
0                                           9,425      227,452        X       X        08        209,115        11,900         6,437
0                                          51,736    1,248,506        X                09      1,121,149        27,700        99,657
0                                          22,297      538,072        X       X        09        319,162        98,205       120,705
0                                             210        5,070        X       X        12              0         5,070             0
-
0 VOICESTREAM WIRELESS CORP     92861510    1,052        9,050        X       X        08          7,100             0         1,950
  COM
0                                              72          620        X                09            620             0             0
0                                               0            3        X       X        09              3             0             0
0                                           4,074       35,032        X                12         35,032             0             0
0                                             436        3,750        X       X        12              0         3,750             0
-
0 VORNADO RLTY TR               92904210        4          121        X                04            121             0             0
  SH BEN INT
0                                           1,321       38,000        X                09         38,000             0             0
0                                             139        4,000        X       X        09          2,000             0         2,000
-
0 VOXWARE INC                   92906L10      302       70,000        X       X        04              0             0        70,000
  COM
-
0 WFS FINL INC                  92923B10    1,615       93,600        X                09         93,600             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  400  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  WPS RESOURCES CORP            92931B10        9          303        X       X        08            303             0             0
  COM
0                                             138        4,600        X                09          3,400             0         1,200
0                                             302       10,060        X       X        09          5,060             0         5,000
-
0 WACHOVIA CORP                 92977110      131        2,410        X                04          1,610             0           800
  COM
0                                              71        1,300        X       X        04          1,300             0             0
0                                              21          380        X                08            380             0             0
0                                             130        2,400        X       X        08          2,400             0             0
0                                           1,400       25,813        X                09         24,213           300         1,300
0                                           3,116       57,438        X       X        09         31,123             0        26,315
0                                               5          100        X       X        12              0           100             0
-
0 WADDELL & REED FINL INC       93005910      511       15,567        X                09         15,500             0            67
  CL A
-
0 WAL MART STORES INC           93114210    3,260       56,576        X                04         46,626             0         9,950
  COM
0                                           1,729       30,000        X       X        04         12,968           400        16,632
0                                             190        3,300        X                05          1,900             0         1,400
0                                             646       11,203        X       X        05         11,103             0           100
0                                         169,725    2,945,335        X                06      2,945,335             0             0
0                                         110,844    1,923,537        X                08      1,910,212             0        13,325
0                                          49,235      854,396        X       X        08        568,480       108,336       177,580
0                                         211,213    3,665,293        X                09      3,504,762        40,200       120,331
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  401  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          40,806      708,137        X       X        09        482,306        19,950       205,881
0                                           1,062       18,431        X       X        12              0        18,431             0
-
0 WALGREEN CO                   93142210    2,168       67,350        X                04         67,050             0           300
  COM
0                                           1,999       62,100        X       X        04          1,200        56,700         4,200
0                                             608       18,900        X                05         13,900             0         5,000
0                                              46        1,426        X       X        05          1,426             0             0
0                                          16,127      501,032        X                06        501,032             0             0
0                                          43,511    1,351,766        X                08      1,351,141             0           625
0                                           9,732      302,340        X       X        08        180,940         1,400       120,000
0                                          45,080    1,400,534        X                09      1,280,874        10,600       109,060
0                                          20,836      647,321        X       X        09        525,517         7,800       114,004
0                                              80        2,471        X       X        12              0         2,471             0
-
0 WARNACO GROUP INC             93439010        2          200        X                08            200             0             0
  CL A
0                                             339       43,800        X                09         30,800         2,500        10,500
0                                              99       12,750        X       X        09         10,450             0         2,300
-
0 WARNER LAMBERT CO             93448810        0       13,100        X                09         13,100             0             0
  COM
0                                               0       12,208        X       X        09          4,208             0         8,000
-
0 WASHINGTON MUT INC            93932210   22,428      776,725        X                01              0             0       776,725
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  402  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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          975        X                04            675             0           300
0                                              41        1,435        X       X        04          1,120             0           315
0                                               9          300        X                05              0             0           300
0                                              53        1,841        X       X        05          1,841             0             0
0                                              14          500        X                08            500             0             0
0                                             422       14,600        X       X        08         14,600             0             0
0                                           2,329       80,663        X                09         80,663             0             0
0                                             277        9,587        X       X        09          3,606             0         5,981
0                                              22          750        X       X        12              0           750             0
-
0 WASHINGTON POST CO            93964010       24           50        X       X        08             50             0             0
  CL B
0                                           4,923       10,300        X                09         10,300             0             0
0                                              96          200        X       X        09            200             0             0
-
0 WASTE MGMT INC DEL            94106L10       10          500        X                01              0             0           500
  COM
0                                              36        1,881        X       X        05          1,581             0           300
0                                               7          362        X                08            362             0             0
0                                               5          254        X       X        08            254             0             0
0                                           2,725      143,418        X                09        143,418             0             0
0                                             422       22,206        X       X        09         16,009             0         6,197
0                                              30        1,596        X       X        12              0         1,596             0
-
0 WATERS CORP                   94184810    1,204        9,650        X       X        09          9,650             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  403  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  WATSON PHARMACEUTICALS INC    94268310    1,546       28,760        X       X        05         28,760             0             0
  COM
0                                           1,489       27,700        X                06         27,700             0             0
0                                           1,559       29,000        X                09         29,000             0             0
0                                             149        2,778        X       X        09             39             0         2,739
0                                               7          123        X       X        12              0           123             0
-
0 WAVE SYSTEMS CORP             94352610    2,424      153,263        X                07        153,263             0             0
  CL A
0                                              44        2,800        X                09          2,800             0             0
0                                               8          500        X       X        12              0           500             0
-
0 WEATHERFORD INTL INC          94707410      191        4,800        X                01              0             0         4,800
  COM
0                                              38          950        X                08            950             0             0
0                                             104        2,600        X       X        08          2,600             0             0
0                                              27          668        X       X        09              0             0           668
-
0 WEBB DEL CORP                 94742310      172       11,200        X                09         11,200             0             0
  COM
-
0 WEBSENSE INC                  94768410      481       19,151        X                12         19,151             0             0
  COM
0                                             509       20,250        X       X        12              0        20,250             0
-
0 WEBVAN GROUP INC              94845V10       18        2,500        X                09          2,500             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  404  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       20,000        X       X        09              0             0        20,000
0                                              98       13,500        X       X        12              0        13,500             0
-
0 WEINGARTEN RLTY INVS          94874110      837       20,725        X                08         20,725             0             0
  SH BEN INT
0                                           2,514       62,271        X       X        08         59,271             0         3,000
0                                           2,041       50,550        X                09         50,550             0             0
0                                             315        7,800        X       X        09          5,800             0         2,000
0                                              12          300        X       X        12              0           300             0
-
0 WELLMAN INC                   94970210   10,323      637,700        X                06        637,700             0             0
  COM
0                                          10,062      621,600        X                09        621,600             0             0
-
0 WELLS FARGO & CO NEW          94974610      759       19,580        X                04         18,880             0           700
  COM
0                                             372        9,588        X       X        04          7,942             0         1,646
0                                              14          350        X                05              0             0           350
0                                           2,253       58,150        X       X        05         58,150             0             0
0                                          57,660    1,488,000        X                06      1,488,000             0             0
0                                          16,780      433,035        X                08        422,935         6,200         3,900
0                                           6,855      176,897        X       X        08        159,537        16,460           900
0                                          82,914    2,139,719        X                09      2,048,697        20,719        70,303
0                                          14,441      372,673        X       X        09        316,956         2,000        53,717
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  405  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             377        9,734        X       X        12              0         9,734             0
-
0 WENDYS INTL INC               95059010        4          250        X       X        08            250             0             0
  COM
0                                           1,222       68,600        X                09         68,600             0             0
0                                              11          597        X       X        09              0             0           597
-
0 WESBANCO INC                  95081010      881       36,338        X       X        08         36,338             0             0
  COM
0                                             192        7,920        X       X        09              0             0         7,920
-
0 WESCO INTL INC                95082P10   44,498    4,653,131        X                03      4,653,131             0             0
  COM
-
0 WESTELL TECHNOLOGIES INC      95754110      150       10,000        X                12         10,000             0             0
  CL A
0                                           1,350       90,000        X       X        12              0        90,000             0
-
0 WESTCORP INC                  95790710      376       31,500        X                09         31,500             0             0
  COM
-
0 WESTERN DIGITAL CORP          95810210    1,137      227,400        X       X        05        227,400             0             0
  COM
0                                              50       10,000        X       X        09              0             0        10,000
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  406  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  WESTERN PWR & EQUIP CORP      95922110       53       10,000        X       X        12              0        10,000             0
  COM
-
0 WESTERN RES INC               95942510        2          102        X       X        04            102             0             0
  COM
0                                               3          200        X                08            200             0             0
0                                               4          268        X       X        08            268             0             0
0                                             550       35,500        X                09         35,500             0             0
0                                              66        4,266        X       X        09          4,266             0             0
-
0 WESTERN WIRELESS CORP         95988E20   11,696      214,600        X                06        214,600             0             0
  CL A
0                                          11,815      216,786        X                09        216,786             0             0
0                                             942       17,284        X       X        09         17,284             0             0
-
0 WESTVACO CORP                 96154810       19          750        X       X        04            750             0             0
  COM
0                                               3          114        X       X        05            114             0             0
0                                           8,556      344,833        X                09        343,233             0         1,600
0                                           7,215      290,788        X       X        09        287,515             0         3,273
-
0 WESTWOOD ONE INC              96181510   18,583      544,550        X                06        544,550             0             0
  COM
0                                           6,860      201,024        X                08        201,024             0             0
0                                           9,703      284,350        X                09        283,850             0           500
-
0 WEYERHAEUSER CO               96216610    1,238       28,800        X                02              0             0        28,800
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  407  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              33          773        X       X        05            773             0             0
0                                          14,930      347,200        X                06        347,200             0             0
0                                             452       10,520        X                08         10,520             0             0
0                                             753       17,500        X       X        08         11,550             0         5,950
0                                          17,630      409,996        X                09        405,996             0         4,000
0                                           2,809       65,334        X       X        09         41,531         6,200        17,603
-
0 WHIRLPOOL CORP                96332010       19          400        X                04            400             0             0
  COM
0                                              26          550        X       X        04              0             0           550
0                                              10          218        X       X        05            218             0             0
0                                              91        1,950        X                09          1,550             0           400
0                                              76        1,640        X       X        09          1,300             0           340
-
0 WHITNEY HLDG CORP             96661210      923       27,000        X       X        09         27,000             0             0
  COM
-
0 WHOLE FOODS MKT INC           96683710      194        4,700        X                08          4,700             0             0
  COM
0                                             215        5,200        X                09          5,200             0             0
0                                              37          900        X       X        09              0             0           900
0                                               3           65        X                12             65             0             0
0                                              74        1,800        X       X        12              0         1,800             0
-
0 WILD OATS MARKETS INC         96808B10    9,648      767,950        X                06        767,950             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  408  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          29,546    2,351,827        X                07      2,351,827             0             0
0                                           2,784      221,600        X                08        221,600             0             0
0                                           7,425      591,000        X                09        590,550             0           450
-
0 WILLAMETTE INDS INC           96913310        5          200        X                04            200             0             0
  COM
0                                          17,579      645,100        X                06        645,100             0             0
0                                             177        6,500        X                08          6,500             0             0
0                                              60        2,200        X       X        08              0             0         2,200
0                                          19,010      697,610        X                09        693,960             0         3,650
0                                           1,625       59,651        X       X        09         29,948         6,500        23,203
0                                             214        7,848        X       X        12              0         7,848             0
-
0 WILLIAMS COMMUNICATIONS GROU  96945510       33        1,000        X                04          1,000             0             0
  CL A
0                                             275        8,300        X       X        09          3,000             0         5,300
0                                             166        5,000        X       X        12              0         5,000             0
-
0 WILLIAMS COS INC DEL          96945710    2,613       62,680        X                04         54,180             0         8,500
  COM
0                                             782       18,755        X       X        04          9,455         1,300         8,000
0                                              21          500        X                05            200             0           300
0                                           2,303       55,250        X       X        05         55,250             0             0
0                                          14,094      338,072        X                08        330,422           950         6,700
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  409  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                           3,119       74,818        X       X        08         69,218           500         5,100
0                                          28,638      686,963        X                09        650,642         1,800        34,521
0                                           7,884      189,129        X       X        09        126,384         7,704        55,041
0                                             168        4,024        X       X        12              0         4,024             0
-
0 WILLIAMS SONOMA INC           96990410      649       20,000        X       X        09         20,000             0             0
  COM
0                                              32        1,000        X       X        12              0         1,000             0
-
0 WILMINGTON TRUST CORP         97180710       86        2,000        X                08          2,000             0             0
  COM
0                                           1,230       28,780        X                09         28,780             0             0
0                                             345        8,060        X       X        09          4,080         3,000           980
0                                              17          400        X       X        12              0           400             0
-
0 WIND RIVER SYSTEMS INC        97314910      136        3,600        X                09          3,600             0             0
  COM
0                                              17          450        X       X        09            450             0             0
0                                             292        7,700        X                12          7,700             0             0
0                                             479       12,637        X       X        12              0        12,637             0
-
0 WINN DIXIE STORES INC         97428010       33        2,300        X       X        04          2,300             0             0
  COM
0                                               1           94        X       X        05             94             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  410  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              20        1,432        X                08          1,432             0             0
0                                              11          800        X       X        08            400           400             0
0                                             166       11,585        X                09         11,585             0             0
0                                             116        8,092        X       X        09          7,360             0           732
-
0 WINSTAR COMMUNICATIONS INC    97551510      251        7,400        X       X        08            900             0         6,500
  COM
0                                              15          450        X                09            450             0             0
0                                             102        3,000        X                12          3,000             0             0
-
0 WIRELESS FACILITIES INC       97653A10    2,048       40,200        X       X        12              0        40,200             0
  COM
-
0 WISCONSIN ENERGY CORP         97665710       89        4,500        X       X        08          4,500             0             0
  COM
0                                             972       49,065        X                09         47,065             0         2,000
0                                           1,541       77,770        X       X        09         60,895         3,900        12,975
-
0 WITNESS SYS INC               97742410       15          600        X                09            600             0             0
  COM
0                                          20,739      850,847        X                12          1,100             0       849,747
0                                             795       32,625        X       X        12              0        32,625             0
-
0 WORKFLOW MGMT INC             98137N10       59        5,000        X                09          5,000             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  411  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS 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       10,000        X       X        12              0        10,000             0
-
0 WORLD ACCESS INC              98141A10      197       17,814        X                09         17,814             0             0
  COM
0                                              32        2,900        X       X        09              0             0         2,900
0                                             277       25,000        X       X        12              0        25,000             0
-
0 WORLDCOM INC GA NEW           98157D10    6,807      148,375        X                04        127,225             0        21,150
  COM
0                                           1,502       32,740        X       X        04         17,250         1,000        14,490
0                                             200        4,354        X                05          3,254             0         1,100
0                                           2,917       63,578        X       X        05         63,128             0           450
0                                          97,338    2,121,813        X                06      2,121,813             0             0
0                                          50,985    1,111,389        X                08      1,097,439             0        13,950
0                                          15,774      343,848        X       X        08        293,444        34,242        16,162
0                                         240,278    5,237,677        X                09      4,960,077        48,700       228,900
0                                          73,925    1,611,451        X       X        09        826,101        30,862       754,488
0                                             125        2,732        X                12          2,732             0             0
0                                           3,259       71,037        X       X        12              0        71,037             0
-
0 WRIGLEY WM JR CO              98252610      136        1,700        X                04          1,200             0           500
  COM
0                                             120        1,500        X       X        04          1,500             0             0
0                                              20          245        X       X        05            245             0             0
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  412  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                             275        3,425        X                08          2,525             0           900
0                                             469        5,850        X       X        08          5,250             0           600
0                                           2,875       35,850        X                09         34,650             0         1,200
0                                           1,902       23,724        X       X        09         15,877             0         7,847
0                                              48          600        X       X        12              0           600             0
-
0 WYNDHAM INTL INC              98310110       75       29,943        X                03              0             0        29,943
  CL A
0                                              45       17,986        X                10         17,986             0             0
-
0 XILINX INC                    98391910       83        1,000        X                05          1,000             0             0
  COM
0                                              51          619        X       X        05            619             0             0
0                                              33          400        X                08              0             0           400
0                                              83        1,000        X       X        08          1,000             0             0
0                                              33          400        X                09            400             0             0
0                                             126        1,523        X       X        09             61             0         1,462
0                                             661        8,000        X                12          8,000             0             0
0                                           4,318       52,305        X       X        12              0        52,305             0
-
0 XEROX CORP                    98412110        8          400        X                04            400             0             0
  COM
0                                              42        2,000        X       X        04              0             0         2,000
0                                              12          600        X                05            100             0           500
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  413  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                              33        1,610        X       X        05          1,610             0             0
0                                           3,644      175,600        X                08        175,600             0             0
0                                             595       28,678        X       X        08         22,500         5,378           800
0                                          22,076    1,063,897        X                09      1,045,689           500        17,708
0                                           5,137      247,586        X       X        09        141,786         9,228        96,572
0                                             147        7,084        X       X        12              0         7,084             0
-
0 XYBERNAUT CORP                98414910      112       10,000        X       X        12              0        10,000             0
  COM
-
0 YAHOO INC                     98433210   13,950      112,610        X                01              0             0       112,610
  COM
0                                              50          400        X                04            400             0             0
0                                               6           49        X       X        05             49             0             0
0                                           6,627       53,500        X                06         53,500             0             0
0                                           2,949       23,810        X                08         23,760             0            50
0                                             691        5,575        X       X        08          4,600             0           975
0                                           6,422       51,839        X                09         51,789            50             0
0                                           1,527       12,323        X       X        09         10,617           300         1,406
0                                           1,761       14,214        X                12         14,214             0             0
0                                           3,525       28,454        X       X        12              0        28,454             0
-
0 YANKEE CANDLE INC             98475710      923       42,700        X                09         42,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  414  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  XICOR INC                     98490310       15        2,250        X                06          2,250             0             0
  COM
0                                               0            6        X                12              6             0             0
0                                             923      138,000        X       X        12              0       138,000             0
-
0 YELLOW CORP                   98550910      177       12,000        X                09         12,000             0             0
  COM
-
0 YOUNG & RUBICAM INC           98742510    3,849       67,300        X                01              0             0        67,300
  COM
0                                              25          438        X       X        05            438             0             0
0                                           1,127       19,700        X                09         19,700             0             0
0                                              11          200        X       X        12              0           200             0
-
0 ZALE CORP NEW                 98885810      339        9,300        X                09          9,300             0             0
  COM
0                                           1,755       48,075        X       X        12              0        48,075             0
-
0 ZEBRA TECHNOLOGIES CORP       98920710   20,242      456,800        X                06        456,800             0             0
  CL A
0                                           3,136       70,775        X                08         70,775             0             0
0                                          16,219      366,000        X                09        365,800             0           200
-
0 ZIFF-DAVIS INC                98951110      144       16,000        X       X        12              0        16,000             0
  COM ZD
-
0 ZIONS BANCORPORATION          98970110   14,029      305,700        X                06        305,700             0             0
  COM
1AMS0449A    RUN DATE/TIME: 08/10/00  10:46    ***  FORM 13F  ***       THE CHASE MANHATTAN CORPORATION           FILE NUMBER 28-694
  FOR QTR ENDING 06/30/00                                   * * *  S E C   USE   ONLY  * * *                      PAGE  415  OF  415
                                                                                                                                ____
                                                                 ITEM 6:
                                                                 INVESTMENT DISCRETION
                                          ITEM 4:      ITEM 5:   --------------------- ITEM 7:    ITEM 8:
                                         FAIR MKT    SHARES OR   A:   B:SHARE C:       MANAGERS   VOTING   AUTHORITY   (SHARES)
  ITEMS  1  &  2:               ITEM  3:    VALUE    PRINCIPAL        AS IN   SHARED   SEE        ----------------------------------
  NAME AND CLASS OF ISSUER      CUSIP     (000'S)       AMOUNT   SOLE INS.V   OTHER    INS.V      A:SOLE      B:SHARED        C:NONE
 -----------------------------------------------------------------------------------------------------------------------------------
  SECURITY CONTINUED FROM PREVIOUS PAGE
0                                          13,648      297,400        X                09        296,900             0           500
0                                              46        1,000        X       X        09          1,000             0             0
-
0 ZWEIG TOTAL RETURN FD INC     98983710        1          200        X                09            200             0             0
  COM
0                                             265       40,000        X       X        12              0        40,000             0
-
0 ZOLL MED CORP                 98992210    1,744       35,600        X                06         35,600             0             0
  COM
0                                           1,666       34,000        X                09         34,000             0             0
0 TOTAL FAIR MARKET VALUE              54,570,786
</TABLE>


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