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
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