UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
REPORT FOR THE CALENDAR QUARTER ENDED: 03/31/2000
CHECK HERE IF AMENDMENT (X); AMENDMENT NUMBER: 1
THIS AMENDMENT (CHECK ONLY ONE):(X) 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. 05/18/2000
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: 12
LIST OF OTHER INCLUDED MANAGERS:
NO. 13F FILE NUMBER NAME
01 28-694 CAPITAL MARKET TRANSACTIONS INC.
02 28-694 CHASE ASSET MANAGEMENT INC.
03 28-694 CHASE EQUITY ASSOCIATES, L.P.
04 28-694 CHASE MANHATTAN PRIVATE BANK, NATIONAL
ASSOCIATION
05 28-694 CHASE MANHATTAN BANK AND TRUST COMPANY, NATIONAL
ASSOCIATION
06 28-694 CHASE SECURITIES INC.
07 28-694 CHASE VENTURE CAPITAL ASSOCIATES, L.P.
08 28-694 CHASE BANK OF TEXAS, NATIONAL ASSOCIATION
09 28-694 THE CHASE MANHATTAN BANK
10 28-694 OTHER CAPITAL VENTURE
11 28-694 CHASE MANHATTAN CAPITAL
12 28-694 HAMBRECHT & QUIST CALIFORNIA
<PAGE>
<TABLE>
<CAPTION>
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 1 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CELANESE AG D1497A10 391 19,000 ORD
- -
0 DAIMLERCHRYSLER AG D1668R12 20 300 X 04 300 0 0
ORD
0 49 747 X X 04 747 0 0
0 26 400 X 05 400 0 0
0 33 500 X X 05 0 0 500
0 379 5,797 X 08 5,797 0 0
0 950 14,518 X X 08 1,401 100 13,017
0 7,049 107,720 X 09 100,025 300 7,395
0 802 12,261 X X 09 7,072 0 5,189
- -
0 ACE LTD G0070K10 1,364 59,625 X 09 22,025 0 37,600
ORD
0 416 18,200 X X 09 3,900 0 14,300
0 10,598 463,301 X 10 463,301 0 0
- -
0 AMDOCS LTD G0260210 740 10,000 X 12 10,000 0 0
ORD
- -
0 ANNUITY AND LIFE RE HLDGS G0391010 6,848 263,400 X 06 263,400 0 0
ORD
0 1,599 61,500 X 08 61,500 0 0
0 4,740 182,300 X 09 182,200 0 100
- -
0 CHINA COM CORP G2108N10 316 3,900 X 09 3,900 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 2 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CORECOMM LTD G2422R10 1,432 32,550 X 12 32,550 0 0
ORD
- -
0 CREDICORP LTD G2519Y10 362 33,500 X 09 33,500 0 0
COM
- -
0 EVEREST RE GROUP LTD G3223R10 711 21,800 X X 08 21,800 0 0
COM
0 414 12,700 X 09 12,700 0 0
- -
0 GEMSTAR INTL GROUP LTD G3788V10 241 2,800 X 09 2,800 0 0
ORD
0 310 3,600 X X 09 3,600 0 0
- -
0 GLOBAL CROSSING LTD G3921A10 409 10,000 X 01 0 0 10,000
COM
0 41 1,000 X 04 1,000 0 0
0 202 4,924 X X 04 4,924 0 0
0 16 400 X X 05 0 0 400
0 16,677 407,375 X 06 407,375 0 0
0 25 615 X X 08 615 0 0
0 52,041 1,271,212 X 09 1,265,575 500 5,137
0 1,575 38,474 X X 09 28,092 0 10,382
0 950 23,214 X 12 23,214 0 0
- -
0 GLOBALSTAR TELECOMMUNICTNS L G3930H10 17 1,250 X 08 1,250 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 3 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 5,000 X X 08 5,000 0 0
0 132 9,500 X X 09 0 7,000 2,500
- -
0 LORAL SPACE & COMMUNICATIONS G5646210 45 4,400 X 08 4,400 0 0
COM
0 82 8,100 X X 08 100 0 8,000
0 132 13,075 X 09 13,075 0 0
0 30 2,994 X X 09 0 0 2,994
- -
0 LORAL SPACE & COMMUNICATIONS G5646214 640 20,000 X 01 0 0 20,000
PFD CONV C 6%
- -
0 RSL COMMUNICATIONS LTD G7702U10 1,320 55,000 X 09 55,000 0 0
CL A
- -
0 SANTA FE INTL CORP G7805C10 74 2,000 X 08 2,000 0 0
ORD
0 1,665 45,000 X 09 45,000 0 0
- -
0 HILFIGER TOMMY CORP G8915Z10 28 1,900 X 04 500 0 1,400
ORD
0 29 2,000 X 08 2,000 0 0
0 20 1,400 X X 08 1,400 0 0
0 22 1,500 X 09 1,500 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 4 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 4,000 X X 09 4,000 0 0
0 348 24,000 X 12 24,000 0 0
- -
0 TRANSOCEAN SEDCO FOREX INC G9007810 134 2,612 X 04 2,478 0 134
ORD
0 80 1,552 X X 04 385 250 917
0 4 77 X 05 77 0 0
0 2,724 53,077 X X 05 53,000 0 77
0 1,817 35,419 X 08 34,738 0 681
0 1,248 24,314 X X 08 19,711 3,143 1,460
0 7,964 155,214 X 09 143,610 1,791 9,813
0 4,513 87,960 X X 09 74,917 569 12,474
0 2,125 41,410 X 12 41,410 0 0
- -
0 TRITON ENERGY LTD G9075110 10,422 297,250 X 06 297,250 0 0
ORD
0 3,540 100,950 X 08 100,950 0 0
0 14,136 403,150 X 09 397,400 0 5,750
0 323 9,200 X X 09 8,900 0 300
- -
0 WHITE MTNS INS GROUP LTD G9618E10 335 2,500 X 09 2,500 0 0
COM
- -
0 XOMA LTD G9825R10 78 10,000 X 08 10,000 0 0
ORD
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 5 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
XL CAP LTD G9825510 111 2,000 X 04 500 0 1,500
CL A
0 100 1,808 X X 04 608 0 1,200
0 16,104 290,822 X 09 267,751 450 22,621
0 4,096 73,960 X X 09 60,084 0 13,876
- -
0 AUDIOCODES LTD M1534210 4,396 43,800 X 06 43,800 0 0
ORD
- -
0 CHECK POINT SOFTWARE TECH LT M2246510 9,635 56,326 X 09 56,326 0 0
ORD
0 3,507 20,504 X X 09 20,504 0 0
0 1,206 7,050 X 12 7,050 0 0
- -
0 ECTEL LTD M2992510 921 46,350 X 12 46,350 0 0
ORD
- -
0 GILAT SATELLITE NETWORKS LTD M5147410 551 4,700 X 01 0 0 4,700
ORD
0 6,074 51,800 X 09 51,800 0 0
0 1,079 9,200 X 12 9,200 0 0
- -
0 JACADA LTD M6184R10 246 16,800 X 09 16,800 0 0
ORD
- -
0 M SYS FLASH DISK PIONEERS LT M7061C10 40 750 X 09 0 0 750
ORD
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 6 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,055 19,900 X 12 19,900 0 0
- -
0 ORCKIT COMMUNICATIONS LTD M7531S10 456 6,800 X 09 6,800 0 0
COM
- -
0 TVG TECHNOLOGIES LTD M9027810 46 10,000 X 04 10,000 0 0
ORD
- -
0 VOCALTEC COMMUNICATIONS LTD M9760110 583 20,000 X X 09 20,000 0 0
ORD
- -
0 ASM LITHOGRAPHY HLDG N V N0705911 20,204 180,800 X 06 180,800 0 0
N Y SHS
0 19,556 175,000 X 09 175,000 0 0
- -
0 BAAN CO NV N0804410 25 4,400 X 05 4,400 0 0
COM
0 12 2,000 X X 05 0 0 2,000
0 530 91,655 X 09 91,655 0 0
0 13 2,200 X X 09 0 0 2,200
- -
0 ROYAL CARIBBEAN CRUISES LTD V7780T10 8 300 X 04 300 0 0
COM
0 112 4,000 X 09 4,000 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 7 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 501 17,910 X 12 17,910 0 0
- -
0 ASE TEST LTD Y0251610 357 12,300 X 09 12,300 0 0
ORD
0 3,548 122,350 X 12 122,350 0 0
- -
0 FLEXTRONICS INTL LTD Y2573F10 366 5,200 X 09 5,200 0 0
ORD
0 35 500 X X 09 500 0 0
0 585 8,300 X 12 8,300 0 0
- -
0 GIGAMEDIA LTD Y2711Y10 1,180 21,755 X 09 21,755 0 0
ORD
- -
0 AAR CORP 00036110 7,578 454,100 X 06 454,100 0 0
COM
0 2,782 166,710 X 08 166,710 0 0
0 6,651 398,525 X 09 398,025 0 500
- -
0 A D C TELECOMMUNICATIONS 00088610 469 8,700 X 04 8,700 0 0
COM
0 32 600 X X 04 600 0 0
0 453 8,400 X 05 1,400 0 7,000
0 6,648 123,400 X 06 123,400 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 8 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7,405 137,450 X 08 137,250 0 200
0 216 4,000 X X 08 4,000 0 0
0 10,480 194,527 X 09 152,325 13,000 29,202
0 680 12,616 X X 09 1,816 4,600 6,200
0 1,796 33,333 X 12 33,333 0 0
- -
0 AFLAC INC 00105510 103 2,260 X 04 2,260 0 0
COM
0 91 2,000 X X 08 2,000 0 0
0 923 20,254 X 09 17,954 0 2,300
0 862 18,915 X X 09 18,384 0 531
- -
0 AGCO CORP 00108410 141 12,366 X 09 3,800 0 8,566
COM
- -
0 AGL RES INC 00120410 17 900 X X 04 900 0 0
COM
0 10,569 575,200 X 06 575,200 0 0
0 1,408 76,650 X 08 76,650 0 0
0 18 1,000 X X 08 1,000 0 0
0 9,969 542,550 X 09 542,300 0 250
0 18 1,000 X X 09 1,000 0 0
- -
0 AES CORP 00130H10 39 500 X X 04 0 0 500
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 9 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,292 79,900 X 06 79,900 0 0
0 5,359 68,050 X 08 67,400 0 650
0 445 5,650 X X 08 5,550 0 100
0 15,183 192,800 X 09 189,800 0 3,000
0 3,633 46,135 X X 09 32,249 0 13,886
0 805 10,228 X 12 10,228 0 0
- -
0 AK STL HLDG CORP 00154710 2 191 X X 08 191 0 0
COM
0 1 57 X 09 57 0 0
0 16,602 1,600,153 X X 09 153 0 1,600,000
0 238 22,900 X 12 22,900 0 0
- -
0 AMR CORP 00176510 6 200 X 04 200 0 0
COM
0 88 2,770 X 08 2,770 0 0
0 4 140 X X 08 140 0 0
0 10,842 340,153 X 09 339,353 0 800
0 79 2,466 X X 09 514 0 1,952
- -
0 AT&T CORP 00195710 5,291 93,962 X 04 76,462 0 17,500
COM
0 3,659 64,976 X X 04 35,931 8,007 21,038
0 679 12,058 X 05 9,200 0 2,858
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 10 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,372 24,370 X X 05 23,220 0 1,150
0 124,376 2,208,661 X 06 2,208,661 0 0
0 68,448 1,215,494 X 08 1,206,494 450 8,550
0 20,977 372,501 X X 08 336,839 27,741 7,921
0 233,043 4,138,356 X 09 3,893,418 61,147 183,791
0 87,439 1,552,731 X X 09 1,060,664 44,269 447,798
0 10,661 189,318 X 12 189,318 0 0
- -
0 AT&T CORP 00195720 27 448 X 04 448 0 0
COM LIB GRP A
0 1,705 28,750 X X 05 28,750 0 0
0 38,845 654,918 X 06 654,918 0 0
0 7,633 128,689 X 08 128,389 0 300
0 1,168 19,700 X X 08 13,900 0 5,800
0 74,573 1,257,281 X 09 1,254,169 3,112 0
0 5,107 86,108 X X 09 54,904 23,880 7,324
- -
0 ASI SOLUTIONS INC 00206F10 80 20,000 X 03 20,000 0 0
COM
- -
0 ATMI INC 00207R10 774 16,205 X 12 16,205 0 0
COM
- -
0 ATS MED INC 00208310 305 27,400 X 09 27,400 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 11 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AVT CORP 00242010 325 27,500 X X 04 0 0 27,500
COM
0 178 15,100 X 09 15,100 0 0
0 47 4,000 X X 09 0 0 4,000
0 524 44,400 X 12 44,400 0 0
- -
0 AXA FINL INC 00245110 280 7,800 X X 04 7,000 800 0
COM
0 12,976 361,700 X 06 361,700 0 0
0 68 1,890 X 08 1,890 0 0
0 3 78 X X 08 0 78 0
0 16,340 455,471 X 09 379,846 1,905 73,720
0 273 7,600 X X 09 2,500 800 4,300
- -
0 ABBOTT LABS 00282410 2,027 57,619 X 04 39,219 0 18,400
COM
0 2,116 60,122 X X 04 20,200 2,200 37,722
0 88 2,500 X 05 1,800 0 700
0 14 400 X X 05 0 0 400
0 46,293 1,315,600 X 06 1,315,600 0 0
0 23,951 680,670 X 08 657,570 11,200 11,900
0 12,739 362,015 X X 08 258,363 63,232 40,420
0 127,690 3,628,793 X 09 3,502,983 21,960 103,850
0 102,132 2,902,475 X X 09 1,470,428 39,600 1,392,447
0 1,231 34,985 X 12 34,985 0 0
- -
0 ABERCROMBIE & FITCH CO 00289620 1,192 74,500 X X 05 74,500 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 12 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7,231 451,960 X 09 26,250 0 425,710
0 3,939 246,172 X X 09 10,340 0 235,832
- -
0 ABGENIX INC 00339B10 41 300 X 09 300 0 0
COM
0 1,668 12,075 X 12 12,075 0 0
- -
0 ABLE TELCOM HLDG CORP 00371230 63 14,000 X X 08 14,000 0 0
COM NEW
- -
0 ACCESS WORLDWIDE COMMUNICATI 00431910 83 34,123 X X 09 19,755 0 14,368
COM
- -
0 ACME COMMUNICATION INC 00463110 258 11,300 X 09 11,300 0 0
COM
- -
0 ACNIELSEN CORP 00483310 9 400 X X 04 0 400 0
COM
0 11,905 529,100 X 06 529,100 0 0
0 10,979 487,948 X 09 467,465 0 20,483
0 185 8,212 X X 09 4,981 133 3,098
0 299 13,301 X 12 13,301 0 0
- -
0 ACTIVISION INC NEW 00493020 9,389 778,300 X 06 778,300 0 0
COM NEW
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 13 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,887 239,325 X 08 239,325 0 0
0 8,132 674,150 X 09 673,500 0 650
- -
0 ACTEL CORP 00493410 22,116 619,700 X 06 619,700 0 0
COM
0 11,184 313,375 X 08 313,375 0 0
0 13,315 373,100 X 09 372,700 0 400
- -
0 ACTIVCARD S A 00505N10 213 5,000 X 12 5,000 0 0
SPONSORED ADR
- -
0 ACXIOM CORP 00512510 778 23,400 X 01 0 0 23,400
COM
- -
0 ADAMS EXPRESS CO 00621210 71 1,912 X 08 1,912 0 0
COM
0 135 3,603 X X 08 3,603 0 0
0 12 320 X 09 320 0 0
- -
0 ADAPTEC INC 00651F10 263 6,800 X 09 6,800 0 0
COM
0 13 336 X X 09 37 250 49
- -
0 ADELPHIA COMMUNICATIONS CORP 00684810 18,375 375,000 X 09 375,000 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 14 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 34 700 X X 09 0 0 700
- -
0 ADOBE SYS INC 00724F10 557 5,000 X 01 0 0 5,000
COM
0 223 2,000 X X 05 0 0 2,000
0 7,169 64,400 X 08 64,400 0 0
0 1,169 10,500 X X 08 10,100 400 0
0 3,801 34,150 X 09 26,100 1,000 7,050
0 2,748 24,691 X X 09 16,051 3,000 5,640
0 6,050 54,347 X 12 54,347 0 0
- -
0 ADTRAN INC 00738A10 222 3,730 X 12 3,730 0 0
COM
- -
0 ADVANCE PARADIGM INC 00749110 7,234 609,200 X 06 609,200 0 0
COM
0 2,188 184,250 X 08 184,250 0 0
0 6,433 541,700 X 09 541,200 0 500
0 1,898 159,800 X 12 159,800 0 0
- -
0 ADVANCED DIGITAL INFORMATION 00752510 144 4,200 X 09 4,200 0 0
COM
0 288 8,415 X 12 8,415 0 0
- -
0 ADVANCED FIBRE COMMUNICATION 00754A10 288 4,600 X 09 4,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 15 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,320 21,055 X 12 21,055 0 0
- -
0 ADVANCED POLYMER SYS INC 00754G10 550 110,000 X 12 110,000 0 0
COM
- -
0 ADVANTAGE LEARNING SYSTEMS 00757K10 313 18,800 X 09 18,800 0 0
COM
- -
0 ADVO INC 00758510 134 5,376 X X 04 0 0 5,376
COM
0 240 9,600 X 09 9,000 0 600
- -
0 AEGIS RLTY INC 00760P10 115 13,474 X 12 13,474 0 0
COM
- -
0 AERIAL COMMUNICATIONS INC 00765510 3,403 59,900 X 01 0 0 59,900
COM
- -
0 AEROFLEX INC 00776810 347 7,000 X 09 7,000 0 0
COM
- -
0 ADVANCED MICRO DEVICES INC 00790310 34 600 X 08 600 0 0
COM
0 258 4,525 X 09 4,525 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 16 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 37 653 X X 09 68 0 585
0 2,096 36,726 X 12 36,726 0 0
- -
0 AEGON N V 00792410 577 7,173 X 04 6,361 0 812
ORD AMER REG
0 45 564 X X 04 564 0 0
0 213 2,641 X 08 2,641 0 0
0 904 11,234 X X 08 7,574 3,660 0
0 1,018 12,641 X 09 11,112 0 1,529
0 1,355 16,829 X X 09 6,866 0 9,963
0 399 4,956 X 12 4,956 0 0
- -
0 ADVANTA CORP 00794210 516 25,400 X 09 25,400 0 0
CL A
- -
0 ADVENT SOFTWARE INC 00797410 11,136 242,750 X 06 242,750 0 0
COM
0 3,005 65,500 X 08 65,500 0 0
0 9,641 210,150 X 09 210,000 0 150
0 234 5,100 X X 09 0 5,100 0
0 4,797 104,562 X 12 104,562 0 0
- -
0 AETNA INC 00811710 122 2,200 X X 04 1,200 1,000 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 17 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,676 30,200 X X 05 30,200 0 0
0 73 1,317 X 08 567 750 0
0 22 400 X X 08 0 0 400
0 1,508 27,167 X 09 23,480 0 3,687
0 995 17,919 X X 09 16,310 809 800
- -
0 AFFILIATED COMPUTER SERVICES 00819010 11,389 299,700 X 06 299,700 0 0
CL A
0 11,020 290,000 X 09 290,000 0 0
0 11,268 296,521 X 12 296,521 0 0
- -
0 AFFILIATED MANAGERS GROUP 00825210 46,167 971,929 X 03 0 0 971,929
COM
0 1,473 31,000 X 09 31,000 0 0
- -
0 AFFYMETRIX INC 00826T10 178 1,200 X 09 1,200 0 0
COM
0 33 225 X X 09 225 0 0
0 327 2,200 X 12 2,200 0 0
- -
0 AGENCY COM LTD 00844710 5 200 X X 08 200 0 0
COM
0 2,904 108,825 X 12 108,825 0 0
- -
0 AGILENT TECHNOLOGIES INC 00846U10 51 495 X 09 495 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 18 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 944 9,076 X 12 9,076 0 0
- -
0 AGILE SOFTWARE CORP DEL 00846X10 1,106 17,700 X 12 17,700 0 0
COM
- -
0 AGRIBRANDS INTL INC 00849R10 3 80 X X 08 80 0 0
COM
0 292 7,426 X 09 7,426 0 0
0 18 462 X X 09 462 0 0
- -
0 AIR PRODS & CHEMS INC 00915810 102 3,600 X 04 2,600 0 1,000
COM
0 341 12,000 X X 04 11,000 0 1,000
0 26 900 X 05 100 0 800
0 759 26,699 X 08 26,699 0 0
0 694 24,396 X X 08 24,396 0 0
0 2,682 94,317 X 09 87,017 2,200 5,100
0 7,322 257,465 X X 09 132,219 16,144 109,102
0 245 8,615 X 12 8,615 0 0
- -
0 AIRNET COMMUNICATIONS CORP 00941P10 500 14,300 X 12 14,300 0 0
COM
- -
0 AKAMAI TECHNOLOGIES INC 00971T10 145 900 X 01 0 0 900
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 19 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 80 500 X 09 500 0 0
0 201 1,250 X 12 1,250 0 0
- -
0 AKZO NOBEL NV 01019930 26 600 X 08 600 0 0
SPONSORED ADR
0 556 12,900 X X 08 12,900 0 0
- -
0 ALAMOSA PCS HOLDINGS 01159310 378 10,000 X 09 10,000 0 0
COM
- -
0 ALASKA AIR GROUP INC 01165910 3 105 X X 08 105 0 0
COM
0 234 7,800 X 12 7,800 0 0
- -
0 ALASKA COMMUNICATIONS SYS GR 01167P10 305 25,150 X 12 25,150 0 0
COM
- -
0 ALBANY MOLECULAR RESH INC 01242310 724 12,400 X 09 12,400 0 0
COM
- -
0 ALBEMARLE CORP 01265310 247 11,900 X 09 11,900 0 0
COM
0 30 1,450 X X 09 0 0 1,450
- -
0 ALBERTSONS INC 01310410 279 9,031 X 04 8,086 0 945
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 20 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 19 630 X X 04 630 0 0
0 207 6,700 X 05 6,400 0 300
0 40 1,300 X X 05 400 0 900
0 931 30,170 X 08 28,170 0 2,000
0 1,198 38,800 X X 08 29,800 9,000 0
0 5,003 162,037 X 09 151,798 1,800 8,439
0 1,559 50,491 X X 09 45,782 320 4,389
- -
0 ALCAN ALUMINIUM LTD NEW 01371610 54 1,590 X 04 1,590 0 0
COM
0 7 200 X 08 200 0 0
0 146 4,300 X 09 200 0 4,100
0 1,029 30,200 X X 09 30,200 0 0
- -
0 ALCOA INC 01381710 2,566 36,525 X 04 31,325 0 5,200
COM
0 955 13,600 X X 04 9,000 1,300 3,300
0 829 11,800 X 05 8,500 0 3,300
0 1,763 25,100 X X 05 24,000 0 1,100
0 25,459 362,400 X 06 362,400 0 0
0 9,961 141,792 X 08 140,196 796 800
0 2,628 37,414 X X 08 32,014 5,400 0
0 58,407 831,415 X 09 766,579 15,700 49,136
0 15,955 227,117 X X 09 99,839 94,666 32,612
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 21 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ALCATEL 01390430 172 4,000 X 04 0 0 4,000
SPONSORED ADR
0 48 1,110 X 05 0 0 1,110
0 11,295 261,965 X 09 257,450 815 3,700
0 43 1,000 X X 09 0 0 1,000
0 3,290 76,302 X 12 76,302 0 0
- -
0 ALEXANDERS INC 01475210 394 6,200 X X 09 6,000 0 200
COM
- -
0 ALEXANDRIA REAL ESTATE EQ IN 01527110 7,950 265,000 X 06 265,000 0 0
COM
0 4,964 165,475 X 08 165,475 0 0
0 5,052 168,400 X 09 168,000 0 400
- -
0 ALIGN-RITE INTL INC 01625110 330 12,000 X 12 12,000 0 0
COM
- -
0 ALLEGHENY ENERGY INC 01736110 83 3,000 X 04 0 0 3,000
COM
0 39 1,400 X X 04 0 0 1,400
0 6 200 X X 08 0 0 200
0 795 28,700 X 09 27,300 0 1,400
0 609 22,013 X X 09 18,313 200 3,500
- -
0 ALLEGHENY TECHNOLOGIES INC 01741R10 54 2,703 X X 08 2,703 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 22 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 269 13,400 X 09 13,400 0 0
0 283 14,117 X X 09 0 0 14,117
- -
0 ALLERGAN INC 01849010 30 600 X 08 600 0 0
COM
0 475 9,500 X 09 4,100 0 5,400
0 597 11,934 X X 09 10,254 0 1,680
- -
0 ALLIANCE CAP MGMT HLDG L P 01855A10 116 2,800 X 04 0 0 2,800
UNIT LTD PARTN
0 124 3,000 X 09 3,000 0 0
- -
0 ALLIANT CORP 01880210 10,968 360,350 X 06 360,350 0 0
COM
0 39 1,295 X X 08 740 0 555
0 11,100 364,661 X 09 362,621 0 2,040
0 1,003 32,964 X X 09 28,632 3,420 912
- -
0 ALLIED RISER COMMUNICATIONS 01949610 12,118 348,731 X 03 348,731 0 0
COM
0 70 2,000 X 04 2,000 0 0
0 3 100 X X 09 0 0 100
- -
0 ALLIED WASTE INDS INC 01958930 26 4,000 X X 08 0 0 4,000
COM PAR$.01NEW
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 23 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,261 192,100 X 09 140,700 4,000 47,400
0 665 101,300 X X 09 78,300 2,000 21,000
- -
0 ALLMERICA FINL CORP 01975410 454 8,900 X 09 8,800 100 0
COM
- -
0 ALLSTATE CORP 02000210 55 2,318 X 04 1,318 0 1,000
COM
0 103 4,344 X X 04 200 2,944 1,200
0 7 300 X 05 100 0 200
0 71 3,000 X X 05 2,400 0 600
0 1,545 64,880 X 08 64,880 0 0
0 440 18,482 X X 08 11,388 5,184 1,910
0 6,358 266,982 X 09 246,632 1,170 19,180
0 6,597 277,039 X X 09 200,087 45,211 31,741
0 657 27,590 X 12 27,590 0 0
- -
0 ALLTEL CORP 02003910 400 6,327 X 04 6,127 0 200
COM
0 136 2,150 X X 04 550 300 1,300
0 5,399 85,362 X 08 84,862 0 500
0 1,273 20,125 X X 08 20,125 0 0
0 5,321 84,123 X 09 81,144 300 2,679
0 3,787 59,876 X X 09 28,887 1,700 29,289
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 24 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,701 90,131 X 12 90,131 0 0
- -
0 ALPHA INDS INC 02075310 86 900 X 09 900 0 0
COM
0 361 3,795 X 12 3,795 0 0
- -
0 ALPHARMA INC 02081310 518 14,100 X 09 14,100 0 0
CL A
- -
0 ALPINE GROUP INC 02082510 93 10,300 X 09 10,300 0 0
COM
- -
0 ALTERA CORP 02144110 1,330 14,900 X 04 13,600 0 1,300
COM
0 428 4,800 X X 04 0 0 4,800
0 348 3,900 X 05 2,400 0 1,500
0 6,783 76,000 X X 05 76,000 0 0
0 72,789 815,565 X 06 815,565 0 0
0 9,710 108,800 X 08 108,600 0 200
0 1,401 15,700 X X 08 14,300 1,000 400
0 73,928 828,330 X 09 811,430 4,000 12,900
0 1,140 12,775 X X 09 5,575 1,400 5,800
0 6,191 69,364 X 12 69,364 0 0
- -
0 ALZA CORP DEL 02261510 285 7,600 X 04 7,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 25 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,408 90,740 X 08 90,740 0 0
0 4,385 116,725 X X 08 97,743 18,982 0
0 6,744 179,529 X 09 168,129 3,700 7,700
0 5,120 136,297 X X 09 73,497 3,000 59,800
0 2,448 65,163 X 12 65,163 0 0
- -
0 AMAZON COM INC 02313510 2,251 33,600 X 01 0 0 33,600
COM
0 136 2,030 X 08 2,030 0 0
0 1,459 21,769 X 09 21,769 0 0
0 754 11,250 X X 09 10,050 600 600
0 3,600 53,736 X 12 53,736 0 0
- -
0 AMBAC FINL GROUP INC 02313910 13 266 X 04 266 0 0
COM
0 257 5,100 X 09 5,100 0 0
- -
0 AMCOR LTD 02341R30 554 38,175 X 12 38,175 0 0
ADR NEW
- -
0 AMERADA HESS CORP 02355110 29 450 X X 08 450 0 0
COM
0 860 13,300 X 09 12,800 0 500
0 682 10,550 X X 09 9,132 0 1,418
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 26 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AMEREN CORP 02360810 108 3,500 X 04 0 0 3,500
COM
0 67 2,157 X X 04 500 0 1,657
0 6 200 X X 05 0 0 200
0 36 1,150 X X 08 750 0 400
0 476 15,400 X 09 9,452 0 5,948
0 1,372 44,360 X X 09 43,022 565 773
- -
0 AMERICA ONLINE INC DEL 02364J10 6,365 94,390 X 01 0 0 94,390
COM
0 2,229 33,048 X 04 28,248 0 4,800
0 339 5,030 X X 04 1,800 1,530 1,700
0 283 4,200 X 05 1,800 0 2,400
0 3,884 57,600 X X 05 57,000 0 600
0 59,659 884,650 X 06 884,650 0 0
0 39,978 592,805 X 08 592,505 0 300
0 4,006 59,410 X X 08 57,150 1,060 1,200
0 124,036 1,839,253 X 09 1,758,513 13,690 67,050
0 34,675 514,177 X X 09 172,114 205,080 136,983
- -
0 AMERICA WEST HLDG CORP 02365720 767 49,500 X 09 49,500 0 0
CL B
- -
0 AMCORE FINL INC 02391210 4,957 277,300 X 06 277,300 0 0
COM
0 1,241 69,450 X 08 69,450 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 27 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,528 197,350 X 09 197,150 0 200
- -
0 AMERICAN EAGLE OUTFITTERS NE 02553E10 341 9,000 X X 09 9,000 0 0
COM
- -
0 AMERICAN ELEC PWR INC 02553710 60 2,000 X 04 0 0 2,000
COM
0 75 2,510 X X 04 2,056 0 454
0 18 600 X 08 600 0 0
0 234 7,849 X X 08 4,303 0 3,546
0 784 26,296 X 09 24,971 0 1,325
0 1,097 36,782 X X 09 27,819 630 8,333
- -
0 AMERICAN EXPRESS CO 02581610 4,920 33,037 X 04 31,537 0 1,500
COM
0 1,946 13,064 X X 04 10,064 300 2,700
0 923 6,200 X 05 4,700 0 1,500
0 2,264 15,200 X X 05 14,000 0 1,200
0 106,234 713,275 X 06 713,275 0 0
0 61,463 412,677 X 08 409,177 0 3,500
0 13,974 93,822 X X 08 64,292 12,680 16,850
0 192,223 1,290,623 X 09 1,206,721 14,150 69,752
0 56,253 377,697 X X 09 195,088 13,986 168,623
0 4,771 32,034 X 12 32,034 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 28 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 48 1,666 X X 08 0 1,666 0
COM
0 355 12,401 X 09 12,401 0 0
0 14,957 522,518 X X 09 522,518 0 0
- -
0 AMERICAN FREIGHTWAYS CORP 02629V10 182 12,200 X 09 12,200 0 0
COM
- -
0 AMERICAN GENERAL CORP 02635110 76 1,350 X 04 1,245 0 105
COM
0 79 1,416 X 05 1,416 0 0
0 10,314 183,766 X 08 183,766 0 0
0 19,662 350,322 X X 08 232,022 26,684 91,616
0 688 12,261 X 09 11,661 0 600
0 418 7,448 X X 09 6,655 793 0
- -
0 AMERICAN HOME PRODS CORP 02660910 2,536 47,184 X 04 43,584 0 3,600
COM
0 3,560 66,230 X X 04 31,270 18,860 16,100
0 409 7,600 X 05 6,200 0 1,400
0 204 3,800 X X 05 1,600 0 2,200
0 48,456 901,500 X 06 901,500 0 0
0 35,108 653,180 X 08 647,080 5,200 900
0 15,577 289,800 X X 08 178,764 17,746 93,290
0 152,725 2,841,394 X 09 2,669,822 79,972 91,600
0 121,746 2,265,048 X X 09 1,299,805 380,143 585,100
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 29 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,389 25,838 X 12 25,838 0 0
- -
0 AMERICAN INTL GROUP INC 02687410 8,040 73,425 X 04 65,411 0 8,014
COM
0 3,336 30,467 X X 04 14,387 1,901 14,179
0 2,067 18,874 X 05 11,337 0 7,537
0 5,220 47,675 X X 05 47,475 0 200
0 180,663 1,649,891 X 06 1,649,891 0 0
0 85,655 782,241 X 08 775,840 3,374 3,027
0 29,665 270,910 X X 08 229,210 33,571 8,129
0 422,833 3,861,490 X 09 3,636,577 42,908 182,005
0 201,912 1,843,948 X X 09 1,074,024 108,026 661,898
0 7,139 65,197 X 12 65,197 0 0
- -
0 AMERICAN ITALIAN PASTA CO 02707010 420 17,070 X 12 17,070 0 0
CL A
- -
0 AMERICAN MGMT SYS INC 02735210 21,052 480,500 X 06 480,500 0 0
COM
0 22,859 521,750 X 09 521,750 0 0
- -
0 AMERICAN PWR CONVERSION CORP 02906610 60 1,400 X 04 1,400 0 0
COM
0 206 4,800 X X 08 4,800 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 30 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 334 7,800 X 09 0 0 7,800
0 69 1,600 X X 09 0 0 1,600
0 2,672 62,329 X 12 62,329 0 0
- -
0 AMERICAN STS WTR CO 02989910 8,543 287,150 X 06 287,150 0 0
COM
0 2,526 84,900 X 08 84,900 0 0
0 5,895 198,150 X 09 197,950 0 200
- -
0 AMERICAN TOWER CORP 02991220 122,700 2,485,063 X 03 21,719 0 2,463,344
CL A
0 3,135 63,500 X 09 63,500 0 0
0 25 500 X X 09 500 0 0
0 189,105 3,829,969 X 11 3,829,969 0 0
- -
0 AMERICAN WTR WKS INC 03041110 5,674 238,900 X 06 238,900 0 0
COM
0 19 800 X X 08 800 0 0
0 5,486 231,000 X 09 231,000 0 0
0 1,249 52,600 X X 09 52,600 0 0
- -
0 AMERICAN XTAL TECHNOLOGY INC 03051410 2,240 69,200 X 09 69,200 0 0
COM
- -
0 AMERICREDIT CORP 03060R10 1,248 76,500 X 09 76,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 31 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AMERISOURCE HEALTH CORP 03071P10 13,523 901,500 X 09 901,500 0 0
CL A
- -
0 AMERITRADE HLDG CORP 03072H10 10 500 X X 04 0 0 500
CL A
0 84 4,040 X 09 4,040 0 0
0 158 7,540 X X 09 7,540 0 0
- -
0 AMERUS LIFE HLDGS INC 03073210 373 20,600 X 09 20,600 0 0
COM
- -
0 AMES DEPT STORES INC 03078950 7,305 297,400 X 06 297,400 0 0
COM NEW
0 2,570 104,625 X 08 104,625 0 0
0 6,822 277,750 X 09 277,500 0 250
- -
0 AMGEN INC 03116210 595 9,700 X 01 0 0 9,700
COM
0 7,583 123,550 X 04 77,850 0 45,700
0 991 16,140 X X 04 700 1,100 14,340
0 1,289 21,000 X 05 12,300 0 8,700
0 2,387 38,900 X X 05 38,600 0 300
0 70,917 1,155,475 X 06 1,155,475 0 0
0 56,709 923,982 X 08 923,332 0 650
0 10,231 166,693 X X 08 154,503 9,740 2,450
0 101,743 1,657,731 X 09 1,486,415 29,650 141,666
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 32 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 13,277 216,330 X X 09 165,182 18,942 32,206
0 2,990 48,717 X 12 48,717 0 0
- -
0 AMKOR TECHNOLOGY INC 03165210 287 5,400 X 09 5,400 0 0
COM
- -
0 AMPHENOL CORP NEW 03209510 24,785 242,400 X 06 242,400 0 0
CL A
0 2,621 25,630 X 08 25,630 0 0
0 21,938 214,550 X 09 214,450 0 100
- -
0 AMSOUTH BANCORPORATION 03216510 176 11,812 X 08 11,812 0 0
COM
0 279 18,654 X X 08 18,654 0 0
0 156 10,437 X 09 10,437 0 0
0 306 20,486 X X 09 11,226 9,260 0
- -
0 AMYLIN PHARMACEUTICALS INC 03234610 14 1,000 X 09 1,000 0 0
COM
0 237 17,500 X 12 17,500 0 0
- -
0 AMVESCAP PLC 03235E10 15,975 225,000 X 09 225,000 0 0
SPONSORED ADR
- -
0 ANADARKO PETE CORP 03251110 62 1,600 X X 04 0 0 1,600
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 33 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 17,510 452,600 X 06 452,600 0 0
0 116 3,000 X 08 3,000 0 0
0 143 3,700 X X 08 2,700 0 1,000
0 24,282 627,646 X 09 574,346 2,600 50,700
0 1,437 37,138 X X 09 24,838 0 12,300
- -
0 ANALOG DEVICES INC 03265410 81 1,000 X 01 0 0 1,000
COM
0 64 800 X 04 800 0 0
0 2,898 36,000 X X 04 36,000 0 0
0 374 4,646 X X 08 4,646 0 0
0 29,813 370,350 X 09 315,726 6,966 47,658
0 16,103 200,032 X X 09 187,322 1,000 11,710
0 467 5,800 X 12 5,800 0 0
- -
0 ANCOR COMMUNICATIONS INC 03332K10 10 250 X X 09 250 0 0
COM
0 222 5,400 X 12 5,400 0 0
- -
0 ANDREW CORP 03442510 3 150 X 08 150 0 0
COM
0 3 150 X X 08 150 0 0
0 229 10,000 X 09 10,000 0 0
0 30 1,301 X X 09 42 0 1,259
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 34 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ANGELICA CORP 03466310 666 67,000 X 09 67,000 0 0
COM
- -
0 ANGLO AMERN PLC 03485P10 286 6,219 X 09 6,219 0 0
ADR
0 137 2,975 X X 09 2,975 0 0
- -
0 ANHEUSER BUSCH COS INC 03522910 605 9,725 X 04 6,475 0 3,250
COM
0 862 13,850 X X 04 850 700 12,300
0 224 3,600 X 05 3,600 0 0
0 34,802 559,075 X 06 559,075 0 0
0 20,374 327,292 X 08 322,992 3,200 1,100
0 11,722 188,307 X X 08 86,924 3,700 97,683
0 133,765 2,148,841 X 09 2,123,767 12,000 13,074
0 107,869 1,732,841 X X 09 1,195,707 88,284 448,850
- -
0 ANIXTER INTL INC 03529010 507 18,200 X 08 18,000 0 200
COM
0 1,087 39,000 X X 08 16,800 22,200 0
0 387 13,900 X 09 13,900 0 0
0 3 122 X X 09 122 0 0
- -
0 ANNTAYLOR STORES CORP 03611510 345 15,000 X X 09 15,000 0 0
COM
- -
0 ANSOFT CORP 03638410 913 73,700 X 12 73,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 35 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AON CORP 03738910 196 6,074 X X 08 6,074 0 0
COM
0 143 4,428 X 09 4,428 0 0
0 278 8,623 X X 09 557 0 8,066
- -
0 APACHE CORP 03741110 60 1,200 X 04 1,200 0 0
COM
0 547 11,000 X X 04 0 0 11,000
0 70 1,400 X 05 1,400 0 0
0 4,149 83,400 X 08 82,800 0 600
0 803 16,150 X X 08 10,400 5,500 250
0 5,603 112,625 X 09 112,025 400 200
0 649 13,050 X X 09 7,868 0 5,182
0 475 9,542 X 12 9,542 0 0
- -
0 APARTMENT INVT & MGMT CO 03748R10 2,771 72,571 X 09 72,571 0 0
CL A
0 213 5,587 X X 09 3,096 1,400 1,091
0 241 6,300 X 12 6,300 0 0
- -
0 APEX INC 03754810 89 2,400 X 09 2,400 0 0
COM
0 223 6,000 X 12 6,000 0 0
- -
0 APPLE COMPUTER INC 03783310 14 100 X 04 100 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 36 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 178 1,312 X 08 1,312 0 0
0 136 1,000 X X 08 1,000 0 0
0 1,694 12,475 X 09 6,300 0 6,175
0 780 5,744 X X 09 1,865 75 3,804
0 219 1,612 X 12 1,612 0 0
- -
0 APPLEBEES INTL INC 03789910 242 8,605 X 09 3,100 0 5,505
COM
- -
0 APRIA HEALTHCARE GROUP INC 03793310 16,331 1,131,082 X 12 1,131,082 0 0
COM
- -
0 APPLIED INDL TECHNOLOGIES IN 03820C10 3,797 237,300 X 06 237,300 0 0
COM
0 3,826 239,100 X 09 237,300 180 1,620
- -
0 APPLIED MICRO CIRCUITS CORP 03822W10 450 3,000 X 09 3,000 0 0
COM
0 1,789 11,923 X 12 11,923 0 0
- -
0 APPLIED MATLS INC 03822210 424 4,500 X 04 4,500 0 0
COM
0 57 600 X 05 0 0 600
0 3,770 40,000 X X 05 40,000 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 37 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 123,544 1,310,810 X 06 1,310,810 0 0
0 63,868 677,648 X 08 676,848 0 800
0 11,941 126,690 X X 08 99,490 27,200 0
0 93,951 996,830 X 09 962,400 13,230 21,200
0 4,855 51,512 X X 09 27,030 3,200 21,282
- -
0 APPLIED PWR INC 03822510 5 170 X 05 0 0 170
CL A
0 36 1,266 X 09 0 120 1,146
0 1,206 42,320 X 12 42,320 0 0
- -
0 APROPOS TECHNOLOGY INC 03833410 8,054 217,675 X 12 217,675 0 0
COM
- -
0 ARCH CHEMICALS INC 03937R10 2 100 X X 04 0 100 0
COM
0 170 8,500 X 09 8,500 0 0
0 191 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 5 525 X 08 525 0 0
0 24 2,315 X X 08 2,315 0 0
0 47 4,571 X 09 4,256 0 315
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 38 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 4,344 X X 09 2,955 0 1,389
0 209 20,296 X 12 20,296 0 0
- -
0 ARCHSTONE CMNTYS TR 03958110 53 2,651 X 08 1,500 1,151 0
SH BEN INT
0 138 6,942 X 09 4,942 0 2,000
0 251 12,600 X X 09 10,100 0 2,500
- -
0 ARDEN RLTY GROUP INC 03979310 2,583 123,725 X 09 118,725 3,000 2,000
COM
- -
0 ARGOSY GAMING CO 04022810 335 23,500 X 09 23,500 0 0
COM
- -
0 ARIAD PHARMACEUTICALS INC 04033A10 569 35,673 X 12 35,673 0 0
COM
- -
0 ARIBA INC 04033V10 3,207 15,300 X 01 0 0 15,300
COM
0 562 2,679 X 09 2,649 30 0
0 31 150 X X 09 0 150 0
0 10,638 50,750 X 12 50,750 0 0
- -
0 ARROW ELECTRS INC 04273510 88 2,497 X 04 2,497 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 39 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 21 600 X X 08 0 0 600
0 2,334 66,200 X 09 64,800 0 1,400
- -
0 ARTESYN TECHNOLOGIES INC 04312710 11,590 611,978 X 06 611,978 0 0
COM
0 3,042 160,628 X 08 160,628 0 0
0 8,522 449,978 X 09 449,578 0 400
- -
0 ARTHROCARE CORP 04313610 1,490 16,200 X 09 16,200 0 0
COM
0 251 2,725 X 12 2,725 0 0
- -
0 ASK JEEVES INC 04517410 12 200 X X 08 200 0 0
COM
0 6 100 X X 09 0 0 100
0 654 10,700 X 12 10,700 0 0
- -
0 ASIAINFO HLDGS INC 04518A10 345 5,700 X 09 5,700 0 0
COM
- -
0 ASPECT COMMUNICATIONS CORP 04523Q10 215 5,800 X 09 3,500 0 2,300
COM
0 297 8,000 X 12 8,000 0 0
- -
0 ASPEC TECHNOLOGY INC 04523310 397 69,000 X 12 69,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 40 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ASPECT DEV INC 04523410 2,356 36,600 X 01 0 0 36,600
COM
0 52 800 X 09 800 0 0
0 515 8,000 X 12 8,000 0 0
- -
0 ASPECT MED SYS INC 04523510 208 5,800 X 09 5,800 0 0
COM
- -
0 AT HOME CORP 04591910 2,569 78,000 X 01 0 0 78,000
COM SER A
0 7 200 X 04 200 0 0
0 347 10,520 X X 04 0 0 10,520
0 287 8,725 X 09 8,625 0 100
0 369 11,200 X X 09 9,950 250 1,000
- -
0 ASSOCIATES FIRST CAP CORP 04600810 131 6,118 X 04 5,118 0 1,000
CL A
0 104 4,883 X X 04 4,883 0 0
0 5 234 X X 05 0 0 234
0 380 17,774 X 08 17,774 0 0
0 1,951 91,267 X X 08 36,622 4,067 50,578
0 12,739 595,961 X 09 585,173 1,480 9,308
0 10,868 508,441 X X 09 42,455 262 465,724
- -
0 ASTROPOWER INC 04644A10 36 1,100 X X 09 1,100 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 41 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,213 99,425 X 12 99,425 0 0
- -
0 ATLANTIC RICHFIELD CO 04882510 1,190 14,002 X 04 13,552 0 450
COM
0 563 6,620 X X 04 5,020 1,200 400
0 215 2,530 X 05 1,200 0 1,330
0 51 600 X X 05 200 0 400
0 14,450 170,000 X 06 170,000 0 0
0 8,149 95,876 X 08 92,676 3,200 0
0 6,504 76,519 X X 08 63,912 7,650 4,957
0 37,202 437,676 X 09 424,936 200 12,540
0 32,154 378,279 X X 09 299,569 12,034 66,676
0 870 10,239 X 12 10,239 0 0
- -
0 ATMEL CORP 04951310 36,938 715,500 X 06 715,500 0 0
COM
0 179 3,460 X X 08 3,460 0 0
0 33,358 646,160 X 09 629,110 300 16,750
0 1,616 31,300 X X 09 19,400 5,000 6,900
0 11,766 227,920 X 12 227,920 0 0
- -
0 ATPLAN INC 04962Q10 262 31,800 X 12 31,800 0 0
COM
- -
0 ATWOOD OCEANICS INC 05009510 21,466 323,700 X 06 323,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 42 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,114 92,200 X 08 92,200 0 0
0 19,101 288,050 X 09 287,800 0 250
0 232 3,500 X 12 3,500 0 0
- -
0 AUDIBLE INC 05069A10 10 1,000 X X 09 0 0 1,000
COM
0 574 57,404 X 12 57,404 0 0
- -
0 AURORA BIOSCIENCES CORP 05192010 556 13,600 X 12 13,600 0 0
COM
- -
0 AUSPEX SYS INC 05211610 828 75,300 X 12 75,300 0 0
COM
- -
0 AUTOBYTEL COM INC 05275N10 224 27,300 X 12 27,300 0 0
COM
- -
0 AUTODESK INC 05276910 1,202 26,416 X 09 26,416 0 0
COM
0 1,065 23,405 X X 09 15,814 0 7,591
- -
0 AUTOLIV INC 05280010 4 127 X X 08 127 0 0
COM
0 102 3,386 X 09 2,886 500 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 43 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 179 5,958 X X 09 5,550 0 408
- -
0 AUTOMATIC DATA PROCESSING IN 05301510 1,760 36,480 X 04 25,880 0 10,600
COM
0 680 14,100 X X 04 12,600 400 1,100
0 87 1,800 X 05 800 0 1,000
0 24 500 X X 05 500 0 0
0 5,488 113,750 X 08 113,550 0 200
0 7,413 153,635 X X 08 139,585 12,500 1,550
0 57,805 1,198,023 X 09 973,023 33,400 191,600
0 68,175 1,412,958 X X 09 922,486 53,150 437,322
0 772 16,007 X 12 16,007 0 0
- -
0 AUTONATION INC 05329W10 137 17,241 X 08 17,241 0 0
COM
0 171 21,600 X 09 21,600 0 0
- -
0 AUTOWEB COM INC 05333110 15 2,138 X 09 2,138 0 0
COM
0 161 22,377 X X 09 12,377 0 10,000
- -
0 AUTOZONE INC 05333210 169 6,100 X 09 6,100 0 0
COM
0 40 1,448 X X 09 1,381 0 67
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 44 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AVANEX CORP 05348W10 551 3,628 X 09 3,467 0 161
COM
0 75 491 X X 09 115 0 376
- -
0 AVALONBAY CMNTYS INC 05348410 1,656 45,218 X 09 35,377 2,000 7,841
COM
0 214 5,836 X X 09 768 384 4,684
- -
0 AVANT CORP 05348710 223 17,800 X 09 17,800 0 0
COM
- -
0 AVATAR HLDGS INC 05349410 20 1,000 X 09 1,000 0 0
COM
0 230 11,500 X X 09 9,500 0 2,000
- -
0 AVERY DENNISON CORP 05361110 374 6,132 X 04 5,232 0 900
COM
0 134 2,200 X X 04 1,100 0 1,100
0 31 500 X 05 500 0 0
0 1,960 32,100 X X 05 32,100 0 0
0 1,072 17,550 X 08 17,550 0 0
0 1,572 25,750 X X 08 16,450 1,100 8,200
0 10,499 171,935 X 09 135,035 3,540 33,360
0 14,650 239,910 X X 09 95,514 57,969 86,427
0 2,041 33,430 X 12 33,430 0 0
- -
0 AVIATION GROUP INC TEX 05366710 115 30,600 X 12 30,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 45 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
AVISTA CORP 05379B10 5 116 X X 04 116 0 0
COM
0 49 1,200 X 08 1,200 0 0
0 41 1,000 X X 08 0 0 1,000
0 73 1,800 X X 09 1,800 0 0
0 697 17,100 X 12 17,100 0 0
- -
0 AVIS RENT A CAR INC 05379010 659 37,400 X 09 37,400 0 0
COM
- -
0 AVITAR INC NEW 05380110 96 30,000 X X 04 0 30,000 0
COM
- -
0 AVNET INC 05380710 67 1,068 X 04 1,068 0 0
COM
0 39 615 X X 08 465 0 150
0 1,029 16,336 X 09 16,336 0 0
0 28 440 X X 09 440 0 0
- -
0 AVON PRODS INC 05430310 1,603 54,816 X 04 49,152 0 5,664
COM
0 64 2,200 X X 04 800 0 1,400
0 301 10,290 X 08 10,290 0 0
0 442 15,120 X X 08 15,120 0 0
0 20,424 698,240 X 09 685,240 0 13,000
0 629 21,511 X X 09 19,724 0 1,787
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 46 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 488 16,700 X 12 16,700 0 0
- -
0 AWARE INC MASS 05453N10 1,657 41,300 X 09 41,300 0 0
COM
- -
0 AXA 05453610 129 1,800 X 04 500 0 1,300
SPONSORED ADR
0 22 300 X X 05 0 0 300
0 1,484 20,700 X 08 20,700 0 0
0 3,541 49,400 X 09 31,000 9,500 8,900
0 136 1,900 X X 09 800 1,100 0
- -
0 AXYS PHARMACEUTICALS INC 05463510 92 12,000 X 12 12,000 0 0
COM
- -
0 AZTAR CORP 05480210 216 22,700 X 09 22,700 0 0
COM
- -
0 BB&T CORP 05493710 42 1,480 X X 04 0 0 1,480
COM
0 236 8,425 X 12 8,425 0 0
- -
0 BCE INC 05534B10 125 1,000 X X 04 0 0 1,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 47 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 514 4,100 X 08 4,100 0 0
0 26,666 212,582 X 09 212,582 0 0
0 7,702 61,400 X X 09 56,000 1,200 4,200
- -
0 BJS WHOLESALE CLUB INC 05548J10 47,449 1,236,450 X 06 1,236,450 0 0
COM
0 8,244 214,825 X 08 214,825 0 0
0 40,221 1,048,100 X 09 1,047,650 0 450
0 216 5,620 X 12 5,620 0 0
- -
0 BJ SVCS CO 05548210 2,216 30,000 X 04 26,000 0 4,000
COM
0 30 400 X X 04 400 0 0
0 621 8,400 X 05 2,600 0 5,800
0 1,478 20,000 X X 05 20,000 0 0
0 18,303 247,750 X 06 247,750 0 0
0 8,765 118,650 X 08 116,700 0 1,950
0 1,913 25,900 X X 08 22,450 2,700 750
0 21,085 285,420 X 09 278,050 3,570 3,800
0 706 9,555 X X 09 8,755 0 800
0 382 5,165 X 12 5,165 0 0
- -
0 BOC GROUP PLC 05561760 391 9,705 X 12 9,705 0 0
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 48 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BP AMOCO P L C 05562210 2,719 51,056 X 04 45,294 0 5,762
SPONSORED ADR
0 2,606 48,940 X X 04 19,998 5,854 23,088
0 577 10,844 X 05 7,244 0 3,600
0 64 1,200 X X 05 0 0 1,200
0 10,086 189,400 X 06 189,400 0 0
0 34,054 639,505 X 08 626,651 7,144 5,710
0 17,865 335,498 X X 08 267,606 40,302 27,590
0 118,020 2,216,332 X 09 2,108,207 16,846 91,279
0 69,430 1,303,841 X X 09 968,100 84,432 251,309
0 1,727 32,430 X 12 32,430 0 0
- -
0 BRE PROPERTIES INC 05564E10 98 3,800 X X 05 3,800 0 0
CL A
0 811 31,420 X X 09 28,420 0 3,000
- -
0 BMC SOFTWARE INC 05592110 336 6,800 X 04 4,600 0 2,200
COM
0 5,810 117,664 X 08 117,464 0 200
0 3,045 61,680 X X 08 47,980 9,800 3,900
0 3,011 60,980 X 09 59,530 1,000 450
0 425 8,605 X X 09 1,655 2,700 4,250
0 1,831 37,087 X 12 37,087 0 0
- -
0 BAKER HUGHES INC 05722410 21 700 X 04 700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 49 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,456 48,133 X 08 48,133 0 0
0 1,266 41,840 X X 08 36,000 3,200 2,640
0 5,671 187,484 X 09 182,384 1,500 3,600
0 651 21,523 X X 09 13,093 708 7,722
- -
0 BAKER J INC 05723210 113 16,200 X 09 3,500 0 12,700
COM
0 11 1,500 X X 09 0 0 1,500
- -
0 BALLY TOTAL FITNESS HLDG COR 05873K10 358 14,600 X 09 14,600 0 0
COM
- -
0 BANCO BILBAO VIZCAYA ARGENTA 05946K10 25 1,710 X 04 1,710 0 0
SPONSORED ADR
0 285 19,165 X 09 19,165 0 0
0 584 39,262 X 12 39,262 0 0
- -
0 BANCO DE GALICIA Y BUENOS AI 05953820 442 21,833 X 09 21,833 0 0
SPON ADR B NEW
- -
0 BANCO FRANCES DEL RIO DE LA 05959110 317 13,411 X 09 13,411 0 0
SPONSORED ADR
- -
0 BANCO SANTANDER CENT HISPANO 05964H10 132 12,240 X X 04 0 0 12,240
ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 50 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 3,672 X 09 3,672 0 0
0 66 6,120 X X 09 6,120 0 0
0 307 28,600 X 12 28,600 0 0
- -
0 BANK OF AMERICA CORPORATION 06050510 525 10,010 X 01 0 0 10,010
COM
0 2,858 54,508 X 04 42,290 0 12,218
0 2,678 51,062 X X 04 22,871 5,747 22,444
0 72 1,375 X 05 1,300 0 75
0 2,000 38,131 X X 05 36,131 0 2,000
0 21,085 402,096 X 06 402,096 0 0
0 10,843 206,769 X 08 205,212 1,357 200
0 3,912 74,598 X X 08 45,867 15,163 13,568
0 43,508 829,706 X 09 781,021 4,901 43,784
0 40,118 765,058 X X 09 260,565 4,170 500,323
0 2,234 42,600 X 12 42,600 0 0
- -
0 BANK NEW YORK INC 06405710 342 8,220 X 04 8,220 0 0
COM
0 1,877 45,160 X X 04 45,160 0 0
0 42 1,000 X X 05 1,000 0 0
0 76,407 1,838,350 X 06 1,838,350 0 0
0 37,088 892,331 X 08 884,781 0 7,550
0 10,725 258,040 X X 08 222,190 33,500 2,350
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 51 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 83,800 2,016,209 X 09 1,951,909 1,300 63,000
0 26,272 632,102 X X 09 218,392 379,294 34,416
0 1,418 34,106 X 12 34,106 0 0
- -
0 BANK ONE CORP 06423A10 265 7,685 X 04 7,685 0 0
COM
0 319 9,255 X X 04 2,600 6,050 605
0 163 4,730 X 05 4,202 0 528
0 23 660 X X 05 0 0 660
0 545 15,805 X 08 15,805 0 0
0 1,618 46,901 X X 08 31,398 9,821 5,682
0 5,231 151,626 X 09 132,175 605 18,846
0 5,130 148,706 X X 09 96,167 2,988 49,551
0 1,155 33,466 X 12 33,466 0 0
- -
0 BANK TOKYO-MITSUBISHI LTD 06537910 1,234 87,000 X 01 0 0 87,000
SPONSORED ADR
0 3,153 222,228 X 09 220,728 1,500 0
0 105 7,400 X X 09 7,400 0 0
- -
0 BANK UTD CORP 06541210 622 19,700 X 09 19,700 0 0
CL A
- -
0 BANTA CORP 06682110 435 23,655 X 09 9,905 140 13,610
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 52 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 671 36,500 X X 09 7,000 0 29,500
- -
0 BARCLAYS BK PLC 06738C80 91 3,500 X 04 0 0 3,500
ADR UNIT SERD2
0 580 22,400 X X 04 1,100 21,300 0
- -
0 BARCLAYS BK PLC 06738C83 46 2,000 X X 08 2,000 0 0
AM DEP NT RCPT
0 445 19,400 X X 09 0 0 19,400
- -
0 BARCLAYS PLC 06738E20 2,281 20,735 X 09 20,560 175 0
ADR
0 39 350 X X 09 50 0 300
- -
0 BARNES & NOBLE INC 06777410 33 1,400 X 08 1,400 0 0
COM
0 2,983 127,255 X 09 107,955 5,600 13,700
0 1,108 47,260 X X 09 29,580 600 17,080
- -
0 BARRICK GOLD CORP 06790110 16 1,000 X 09 1,000 0 0
COM
0 222 14,182 X X 09 13,963 0 219
- -
0 BARRA INC 06831310 239 7,050 X 08 7,050 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 53 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 437 12,900 X 09 12,900 0 0
0 149 4,400 X X 09 4,400 0 0
- -
0 BARRETT RES CORP 06848020 1,661 55,729 X 09 55,729 0 0
COM PAR $0.01
- -
0 BAUSCH & LOMB INC 07170710 1,148 22,000 X 08 22,000 0 0
COM
0 645 12,350 X X 08 8,150 2,700 1,500
0 1,164 22,305 X 09 22,305 0 0
0 725 13,900 X X 09 13,900 0 0
- -
0 BAXTER INTL INC 07181310 4,363 69,600 X 01 0 0 69,600
COM
0 191 3,050 X 04 2,550 0 500
0 320 5,100 X X 04 5,100 0 0
0 38 600 X 05 0 0 600
0 63 1,000 X X 05 1,000 0 0
0 3,022 48,210 X 08 48,210 0 0
0 1,760 28,074 X X 08 21,024 6,850 200
0 8,559 136,537 X 09 121,362 750 14,425
0 4,100 65,408 X X 09 38,643 3,838 22,927
0 298 4,750 X 12 4,750 0 0
- -
0 BAY VIEW CAP CORP DEL 07262L10 141 18,800 X 09 18,800 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 54 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BE FREE INC 07330810 7,013 318,750 X 12 318,750 0 0
COM
- -
0 BEA SYS INC 07332510 9,906 135,000 X X 05 135,000 0 0
COM
0 88 1,200 X 09 1,200 0 0
0 57 775 X X 09 775 0 0
0 385 5,252 X 12 5,252 0 0
- -
0 BEAR STEARNS COS INC 07390210 74 1,621 X 04 1,621 0 0
COM
0 407 8,920 X 09 8,920 0 0
0 56 1,221 X X 09 36 0 1,185
- -
0 BEAUTICONTROL COSMETICS INC 07465510 355 89,436 X X 08 0 89,436 0
COM
- -
0 BECKMAN COULTER INC 07581110 22 350 X 08 350 0 0
COM
0 813 12,669 X 09 5,769 0 6,900
0 664 10,345 X X 09 8,161 0 2,184
- -
0 BECTON DICKINSON & CO 07588710 181 6,880 X 04 6,880 0 0
COM
0 37 1,400 X X 04 1,400 0 0
0 6 220 X 08 220 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 55 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 985 37,422 X 09 37,422 0 0
0 1,091 41,464 X X 09 39,352 0 2,112
- -
0 BED BATH & BEYOND INC 07589610 313 7,950 X 04 7,550 0 400
COM
0 47 1,200 X X 04 0 400 800
0 126 3,200 X 05 3,200 0 0
0 2,048 52,000 X X 05 52,000 0 0
0 6,180 156,950 X 08 155,550 0 1,400
0 2,678 68,000 X X 08 67,000 200 800
0 7,551 191,763 X 09 167,588 5,550 18,625
0 2,018 51,251 X X 09 39,194 3,300 8,757
- -
0 BEDFORD PPTY INVS INC 07644630 2 125 X 08 125 0 0
COM PAR $0.02
0 2 125 X X 08 125 0 0
0 883 55,000 X 09 55,000 0 0
- -
0 BELL & HOWELL CO NEW 07785210 6,450 206,400 X 09 206,400 0 0
COM
- -
0 BELL ATLANTIC CORP 07785310 3,387 55,414 X 04 50,444 100 4,870
COM
0 3,477 56,878 X X 04 25,020 10,804 21,054
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 56 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 40,862 668,500 X 06 668,500 0 0
0 18,320 299,707 X 08 298,607 0 1,100
0 6,611 108,161 X X 08 89,545 14,332 4,284
0 104,703 1,712,939 X 09 1,631,175 17,452 64,312
0 54,715 895,126 X X 09 604,342 80,078 210,706
0 2,312 37,829 X 12 37,829 0 0
- -
0 BELLSOUTH CORP 07986010 6,475 138,127 X 04 108,547 0 29,580
COM
0 5,165 110,186 X X 04 47,046 16,752 46,388
0 286 6,100 X 05 6,100 0 0
0 1,900 40,532 X X 05 40,532 0 0
0 78,724 1,679,435 X 06 1,679,435 0 0
0 28,153 600,601 X 08 596,801 0 3,800
0 15,424 329,042 X X 08 232,724 17,498 78,820
0 145,199 3,097,575 X 09 2,986,671 8,116 102,788
0 77,963 1,663,217 X X 09 1,080,482 263,285 319,450
0 614 13,106 X 12 13,106 0 0
- -
0 BELO A H CORP DEL 08055510 25 1,400 X 08 1,400 0 0
COM SER A
0 1,587 88,800 X X 08 68,000 20,800 0
0 3,783 211,622 X X 09 211,622 0 0
- -
0 BEMIS INC 08143710 295 8,000 X 04 8,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 57 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 269 7,300 X 09 7,300 0 0
0 70 1,900 X X 09 600 0 1,300
0 221 6,000 X 12 6,000 0 0
- -
0 BERGEN BRUNSWIG CORP 08373910 4 600 X X 08 0 0 600
CL A
0 5 800 X 09 0 0 800
0 311 46,000 X 12 46,000 0 0
- -
0 BERKSHIRE HATHAWAY INC DEL 08467010 100 10 X 04 0 0 10
CL A
0 540 54 X X 08 26 0 28
0 1,590 159 X 09 149 0 10
0 370 37 X X 09 27 7 3
0 1,520 152 X 12 152 0 0
- -
0 BERKSHIRE HATHAWAY INC DEL 08467020 248 136 X 04 31 0 105
CL B
0 293 161 X X 04 99 15 47
0 710 390 X 08 390 0 0
0 1,380 758 X X 08 494 191 73
0 12,230 6,720 X 09 6,382 65 273
0 13,566 7,454 X X 09 6,155 129 1,170
- -
0 BEST BUY INC 08651610 796 9,250 X 04 6,450 0 2,800
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 58 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 52 600 X 05 600 0 0
0 9 100 X X 05 0 0 100
0 14,261 165,825 X 06 165,825 0 0
0 19,033 221,316 X 08 221,041 0 275
0 3,723 43,295 X X 08 35,095 7,800 400
0 17,979 209,059 X 09 201,979 2,300 4,780
0 11,226 130,537 X X 09 5,043 101,462 24,032
- -
0 BESTFOODS 08658U10 19 400 X 04 400 0 0
COM
0 302 6,450 X X 04 1,650 4,800 0
0 19 400 X 05 400 0 0
0 936 20,000 X X 05 20,000 0 0
0 1,524 32,560 X 08 26,460 4,000 2,100
0 2,093 44,710 X X 08 36,310 1,200 7,200
0 30,491 651,345 X 09 635,845 0 15,500
0 23,421 500,303 X X 09 366,916 6,920 126,467
0 307 6,565 X 12 6,565 0 0
- -
0 BETHLEHEM STL CORP 08750910 2 262 X X 08 262 0 0
COM
0 5 870 X X 09 870 0 0
0 150 25,000 X 12 25,000 0 0
- -
0 BINDLEY WESTN INDS INC 09032410 18 1,344 X 04 1,344 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 59 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 731 53,932 X 09 52,866 0 1,066
0 40 2,951 X X 09 2,241 0 710
- -
0 BINDVIEW DEV CORP 09032710 703 22,640 X 09 22,640 0 0
COM
- -
0 BIO TECHNOLOGY GEN CORP 09057810 166 10,700 X 09 10,700 0 0
COM
- -
0 BIOCRYST PHARMACEUTICALS 09058V10 2,155 78,900 X 12 78,900 0 0
COM
- -
0 BIOGEN INC 09059710 398 5,700 X 01 0 0 5,700
COM
0 775 11,090 X 04 9,690 0 1,400
0 161 2,300 X 05 900 0 1,400
0 1,537 22,000 X X 05 22,000 0 0
0 31,961 457,400 X 06 457,400 0 0
0 9,911 141,844 X 08 141,844 0 0
0 648 9,275 X X 08 9,275 0 0
0 28,573 408,915 X 09 401,765 2,950 4,200
0 859 12,300 X X 09 9,750 1,310 1,240
0 395 5,646 X 12 5,646 0 0
- -
0 BIOMET INC 09061310 218 6,000 X 04 6,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 60 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 222 6,100 X X 04 4,100 0 2,000
0 18 500 X 08 500 0 0
0 1,512 41,555 X 09 40,955 0 600
0 506 13,900 X X 09 8,500 0 5,400
- -
0 BIOPURE CORP 09065H10 292 8,764 X X 04 0 0 8,764
CL A
0 213 6,400 X 09 6,400 0 0
0 1,572 47,200 X 12 47,200 0 0
- -
0 BIOTECH HOLDERS TR 09067D20 17 100 X 08 100 0 0
DEPOSTRY RCPTS
0 24,063 141,965 X 12 141,965 0 0
- -
0 BIORELIANCE CORP 09095110 495 92,000 X 12 92,000 0 0
COM
- -
0 BLACK & DECKER CORP 09179710 49 1,300 X X 04 800 500 0
COM
0 30 800 X X 05 200 0 600
0 16,223 431,880 X 09 431,580 0 300
0 294 7,824 X X 09 4,613 0 3,211
- -
0 BLACK BOX CORP DEL 09182610 23,100 333,650 X 06 333,650 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 61 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7,589 109,610 X 08 109,610 0 0
0 15,896 229,600 X 09 229,350 0 250
- -
0 BLACKROCK INCOME TR INC 09247F10 287 48,400 X X 09 48,400 0 0
COM
- -
0 BLACKROCK MUN TARGET TERM TR 09247M10 67 7,000 X X 04 7,000 0 0
COM
0 48 5,000 X X 09 0 0 5,000
- -
0 BLOCK H & R INC 09367110 18 400 X 05 400 0 0
COM
0 694 15,514 X 08 15,314 0 200
0 380 8,486 X X 08 1,300 7,186 0
0 873 19,500 X 09 19,500 0 0
0 1,023 22,850 X X 09 20,350 0 2,500
- -
0 BLYTH INDS INC 09643P10 222 8,123 X 12 8,123 0 0
COM
- -
0 BOEING CO 09702310 186 4,914 X 04 3,914 0 1,000
COM
0 159 4,200 X X 04 4,200 0 0
0 11 300 X 05 0 0 300
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 62 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 465 12,300 X X 05 11,100 0 1,200
0 16,097 425,700 X 06 425,700 0 0
0 2,525 66,786 X 08 66,786 0 0
0 2,271 60,060 X X 08 56,860 2,800 400
0 22,102 584,500 X 09 562,298 0 22,202
0 8,535 225,717 X X 09 131,184 1,700 92,833
0 1,035 27,377 X 12 27,377 0 0
- -
0 BOISE CASCADE CORP 09738310 109 3,150 X 05 3,150 0 0
COM
0 28 800 X X 05 0 0 800
0 19 533 X 08 533 0 0
0 3,151 90,670 X 09 88,170 0 2,500
0 382 11,001 X X 09 6,601 0 4,400
- -
0 BOSTON PROPERTIES INC 10112110 1,129 35,500 X 09 34,000 0 1,500
COM
- -
0 BOSTON SCIENTIFIC CORP 10113710 471 22,100 X X 05 22,100 0 0
COM
0 94 4,426 X X 09 4,227 0 199
0 381 17,880 X 12 17,880 0 0
- -
0 BOUNDLESS CORP 10170620 778 50,000 X 10 0 0 50,000
COM NEW
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 63 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BRADLEY REAL ESTATE INC 10458010 5 300 X 05 0 0 300
COM
0 144 8,450 X 09 5,300 0 3,150
0 56 3,272 X X 09 0 1,372 1,900
- -
0 BRANDYWINE RLTY TR 10536820 17 1,000 X X 04 1,000 0 0
SH BEN INT NEW
0 3,160 184,500 X 09 182,500 0 2,000
0 334 19,500 X X 09 16,500 0 3,000
- -
0 BRAZIL FD INC 10575910 196 11,332 X 09 11,332 0 0
COM
- -
0 BRIGGS & STRATTON CORP 10904310 45 1,100 X X 08 1,100 0 0
COM
0 165 4,000 X 09 4,000 0 0
- -
0 BRIGHTPOINT INC 10947310 162 13,212 X 09 13,212 0 0
COM
- -
0 BRINKER INTL INC 10964110 15,025 506,100 X 06 506,100 0 0
COM
0 55 1,850 X 08 1,850 0 0
0 14,957 503,800 X 09 503,800 0 0
- -
0 BRIO TECHNOLOGY INC 10970410 83 2,200 X 09 2,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 64 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,359 36,000 X 12 36,000 0 0
- -
0 BRISTOL MYERS SQUIBB CO 11012210 4,842 83,484 X 04 53,904 0 29,580
COM
0 4,939 85,150 X X 04 40,514 21,136 23,500
0 957 16,500 X 05 13,400 0 3,100
0 1,960 33,800 X X 05 33,200 0 600
0 44,997 775,805 X 06 775,805 0 0
0 70,330 1,212,581 X 08 1,209,731 700 2,150
0 25,289 436,016 X X 08 367,402 38,814 29,800
0 200,359 3,454,468 X 09 3,300,923 17,110 136,435
0 145,112 2,501,927 X X 09 2,098,456 107,672 295,799
0 6,055 104,394 X 12 104,394 0 0
- -
0 BRITISH AMERN TOB PLC 11044810 8 761 X 09 761 0 0
SPONSORED ADR
0 9 862 X X 09 862 0 0
0 1,513 142,370 X 12 142,370 0 0
- -
0 BRITISH TELECOMMUNICATIONS P 11102140 282 1,500 X X 04 0 0 1,500
ADR FINAL INST
0 188 1,000 X 08 1,000 0 0
0 1,096 5,825 X 09 2,375 500 2,950
0 146 775 X X 09 775 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 65 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BROADBASE SOFTWARE 11130R10 471 5,900 X 09 5,900 0 0
COM
- -
0 BROADCOM CORP 11132010 49 200 X 01 0 0 200
CL A
0 5 20 X 04 20 0 0
0 49 200 X 08 0 0 200
0 3,501 14,415 X 09 14,415 0 0
0 1,372 5,650 X X 09 5,400 250 0
- -
0 BROADVISION INC 11141210 13 300 X 01 0 0 300
COM
0 40 900 X X 04 0 0 900
0 1,079 24,054 X 09 24,054 0 0
0 12,138 270,493 X 12 270,493 0 0
- -
0 BROADWING INC 11162010 104 2,800 X X 08 2,800 0 0
COM
0 186 5,000 X 09 4,000 0 1,000
0 391 10,512 X X 09 10,512 0 0
0 305 8,189 X 12 8,189 0 0
- -
0 BROCADE COMMUNICATIONS SYS I 11162110 9 50 X 08 0 0 50
COM
0 801 4,466 X 09 4,466 0 0
0 1,171 6,531 X 12 6,531 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 66 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
BROWN & BROWN INC 11523610 6,935 179,250 X 06 179,250 0 0
COM
0 2,093 54,100 X 08 54,100 0 0
0 6,045 156,250 X 09 156,150 0 100
- -
0 BROWN FORMAN CORP 11563720 376 6,900 X X 08 6,900 0 0
CL B
- -
0 BROWN TOM INC 11566020 404 22,000 X X 08 22,000 0 0
COM NEW
- -
0 BUCA INC 11776910 362 28,100 X 09 28,100 0 0
COM
- -
0 BUCKEYE TECHNOLOGIES INC 11825510 250 13,800 X 09 13,800 0 0
COM
- -
0 BUCKLE INC 11844010 359 22,288 X 09 22,288 0 0
COM
0 252 15,600 X 12 15,600 0 0
- -
0 BUDGET GROUP INC 11900310 1,567 317,247 X 03 317,247 0 0
CL A
- -
0 BULL RUN CORP GA 12018210 4,636 1,159,061 X X 08 0 1,159,061 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 67 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 66 2,905 X 04 2,905 0 0
COM
0 12 549 X X 04 249 0 300
0 27 1,200 X 05 600 0 600
0 68 3,000 X X 05 1,200 0 1,800
0 581 25,557 X 08 25,557 0 0
0 396 17,410 X X 08 16,410 0 1,000
0 4,537 199,431 X 09 166,641 850 31,940
0 4,625 203,279 X X 09 159,942 7,865 35,472
- -
0 BURLINGTON RES INC 12201410 740 20,000 X X 04 20,000 0 0
COM
0 4 100 X 05 0 0 100
0 391 10,578 X 08 10,578 0 0
0 730 19,731 X X 08 18,461 264 1,006
0 1,883 50,900 X 09 49,681 0 1,219
0 1,329 35,916 X X 09 27,983 600 7,333
- -
0 BURR BROWN CORP 12257410 125 2,300 X 09 2,300 0 0
COM
0 857 15,763 X 12 15,763 0 0
- -
0 BUSINESS OBJECTS S A 12328X10 809 8,130 X 12 8,130 0 0
SPONSORED ADR
- -
0 CAIS INTERNET INC 12476Q10 5 200 X 04 0 0 200
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 68 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,003 41,450 X 12 41,450 0 0
- -
0 CCC INFORMATION SVCS GROUP I 12487Q10 1,660 77,200 X 12 77,200 0 0
COM
- -
0 CBS CORP 12490K10 385 6,800 X 04 6,800 0 0
COM
0 299 5,287 X X 04 1,653 0 3,634
0 28 500 X 05 0 0 500
0 3,341 59,000 X X 05 59,000 0 0
0 47,378 836,700 X 06 836,700 0 0
0 127 2,250 X 08 2,250 0 0
0 1,699 30,000 X X 08 25,800 0 4,200
0 94,056 1,661,027 X 09 1,652,827 0 8,200
0 7,341 129,646 X X 09 43,059 81,732 4,855
0 891 15,735 X 12 15,735 0 0
- -
0 C COR NET CORP 12501010 240 4,900 X 09 4,900 0 0
COM
- -
0 C-CUBE MICROSYSTEMS INC 12501510 7,720 106,020 X 12 106,020 0 0
COM
- -
0 CDW COMPUTER CTRS INC 12512910 397 4,700 X 09 4,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 69 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CEC ENTMT INC 12513710 228 8,400 X 09 8,400 0 0
COM
- -
0 C H ROBINSON WORLDWIDE INC 12541W10 18,832 505,550 X 06 505,550 0 0
COM
0 3,258 87,450 X 08 87,450 0 0
0 16,910 453,950 X 09 453,750 0 200
- -
0 CHS ELECTRONICS INC 12542A20 17 25,000 X X 09 0 0 25,000
COM NEW
- -
0 CIGNA CORP 12550910 136 1,801 X 04 1,801 0 0
COM
0 31 414 X X 04 0 0 414
0 2,261 29,852 X 08 29,852 0 0
0 3,770 49,772 X X 08 1,972 39,000 8,800
0 2,412 31,845 X 09 27,270 0 4,575
0 7,350 97,026 X X 09 85,744 300 10,982
- -
0 CIGNA HIGH INCOME SHS 12551D10 63 11,478 X X 09 0 11,478 0
SH BEN INT
- -
0 CIT GROUP INC 12557710 234 12,000 X 09 12,000 0 0
CL A
0 722 37,005 X X 09 0 0 37,005
- -
0 CKE RESTAURANTS INC 12561E10 423 66,310 X 09 65,100 0 1,210
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 70 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CLECO CORP NEW 12561W10 100 3,000 X 04 0 0 3,000
COM
0 14 410 X X 04 410 0 0
0 200 6,000 X X 08 0 0 6,000
0 3 100 X 09 100 0 0
0 287 8,640 X X 09 3,640 0 5,000
- -
0 CK WITCO CORP 12562C10 1,281 125,700 X 08 125,100 0 600
COM
0 387 38,000 X X 08 16,500 10,000 11,500
0 27 2,684 X 09 2,684 0 0
0 44 4,348 X X 09 4,348 0 0
- -
0 CMGI INC 12575010 714 6,300 X 01 0 0 6,300
COM
0 555 4,900 X 04 4,900 0 0
0 340 3,000 X X 04 0 600 2,400
0 1,971 17,394 X 09 17,094 200 100
0 288 2,540 X X 09 1,840 200 500
- -
0 CMS ENERGY CORP 12589610 111 6,100 X 04 6,100 0 0
COM
0 693 38,220 X 09 38,220 0 0
0 10 534 X X 09 34 0 500
- -
0 CPI CORP 12590210 571 24,500 X 09 24,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 71 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CPI AEROSTRUCTURES INC 12591930 114 33,333 X 10 33,333 0 0
COM NEW
- -
0 CNF TRANSN INC 12612W10 425 15,300 X X 08 15,300 0 0
COM
0 13,209 476,000 X 09 476,000 0 0
- -
0 CNET NETWORKS INC 12613R10 814 16,050 X 09 16,050 0 0
COM
0 798 15,750 X X 09 15,750 0 0
- -
0 CSG SYS INTL INC 12634910 8,542 175,000 X 06 175,000 0 0
COM
0 7,732 158,400 X 09 158,400 0 0
0 4,914 100,680 X 12 100,680 0 0
- -
0 CSX CORP 12640810 139 5,919 X 04 5,919 0 0
COM
0 7 300 X X 04 300 0 0
0 36 1,550 X X 05 1,000 0 550
0 268 11,400 X 08 11,400 0 0
0 355 15,106 X X 08 13,906 0 1,200
0 5,374 228,691 X 09 222,991 0 5,700
0 1,279 54,425 X X 09 41,699 0 12,726
- -
0 CTS CORP 12650110 24,231 425,100 X 06 425,100 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 72 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8,128 142,600 X 08 142,600 0 0
0 17,924 314,450 X 09 314,200 0 250
- -
0 CVS CORP 12665010 387 10,316 X 04 9,216 0 1,100
COM
0 101 2,700 X X 04 1,500 0 1,200
0 1,521 40,500 X X 05 40,500 0 0
0 1,007 26,800 X 08 26,800 0 0
0 811 21,600 X X 08 19,000 0 2,600
0 23,463 624,635 X 09 486,235 29,250 109,150
0 9,749 259,548 X X 09 38,765 135,158 85,625
0 2,079 55,345 X 12 55,345 0 0
- -
0 CABLEVISION SYS CORP 12686C10 450 7,414 X 04 7,414 0 0
CL A
0 12 200 X 08 0 0 200
0 746 12,278 X 09 6,928 350 5,000
0 352 5,800 X 12 5,800 0 0
- -
0 CABLETRON SYS INC 12692010 88 3,000 X 04 0 0 3,000
COM
0 29 1,000 X 09 1,000 0 0
0 4 129 X X 09 67 0 62
0 6,752 229,865 X 12 229,865 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 73 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CABLE DESIGN TECHNOLOGIES CO 12692410 492 14,500 X 09 14,500 0 0
COM
- -
0 CABOT CORP 12705510 18 591 X 04 191 0 400
COM
0 12 400 X X 08 0 0 400
0 500 16,400 X 09 12,300 0 4,100
0 412 13,500 X X 09 8,500 0 5,000
- -
0 CABOT INDUSTRIAL TRUST 12707210 1,118 60,000 X 09 60,000 0 0
COM
- -
0 CACI INTL INC 12719030 488 16,300 X 09 16,300 0 0
CL A
- -
0 CADBURY SCHWEPPES PLC 12720930 276 9,715 X 12 9,715 0 0
ADR
- -
0 CADENCE DESIGN SYSTEM INC 12738710 59 2,850 X X 09 2,850 0 0
COM
0 1,081 52,410 X 12 52,410 0 0
- -
0 CALICO COMM INC 12989710 2,976 90,880 X 12 90,880 0 0
COM
- -
0 CALIPER TECHNOLOGIES CORP 13087610 40 500 X 09 500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 74 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 32 400 X X 09 400 0 0
0 259 3,200 X 12 3,200 0 0
- -
0 CALPINE CORP 13134710 47 500 X X 04 0 0 500
COM
0 940 10,000 X 09 10,000 0 0
0 47 500 X X 09 500 0 0
- -
0 CAMBREX CORP 13201110 21,060 484,147 X 09 484,147 0 0
COM
0 174 4,000 X X 09 4,000 0 0
- -
0 CAMBRIDGE TECH PARTNERS MASS 13252410 2,813 207,400 X 09 207,400 0 0
COM
- -
0 CAMDEN PPTY TR 13313110 2,306 85,200 X 09 85,200 0 0
SH BEN INT
0 197 7,295 X X 09 3,036 759 3,500
- -
0 CAMDEN PPTY TR 13313120 1,322 59,600 X 09 56,600 0 3,000
PFD A CV $2.25
- -
0 CAMINUS CORP 13376610 1,534 76,700 X 09 76,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 75 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CAMPBELL SOUP CO 13442910 34 1,100 X 04 1,100 0 0
COM
0 425 13,825 X 08 13,825 0 0
0 1,504 48,924 X X 08 35,424 2,750 10,750
0 528 17,170 X 09 16,570 0 600
0 677 22,020 X X 09 12,020 10,000 0
- -
0 CANADIAN PAC LTD NEW 13592310 104 4,670 X 04 4,320 0 350
COM
0 13 600 X X 08 0 0 600
0 114 5,100 X 09 5,100 0 0
0 300 13,400 X X 09 10,500 0 2,900
- -
0 CANANDAIGUA BRANDS INC 13721920 17 337 X 08 337 0 0
CL A
0 133 2,600 X 09 2,600 0 0
0 70 1,375 X X 09 675 0 700
- -
0 CANDLEWOOD HOTEL COMPANY INC 13741M10 787 406,125 X 07 0 0 406,125
COM
- -
0 CANON INC 13800630 17 390 X 05 0 0 390
ADR
0 32 750 X 09 0 750 0
0 881 20,435 X 12 20,435 0 0
- -
0 CAPITAL ONE FINL CORP 14040H10 2,349 49,000 X 01 0 0 49,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 76 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,894 122,951 X 09 122,951 0 0
- -
0 CAPROCK COMMUNICATIONS CORP 14066710 49 1,000 X 08 1,000 0 0
COM
0 490 10,000 X X 08 10,000 0 0
0 123 2,500 X 09 2,500 0 0
- -
0 CARAUSTAR INDS INC 14090910 1,554 110,000 X 09 110,000 0 0
COM
- -
0 CARDIMA INC 14147M10 1,238 495,000 X 07 495,000 0 0
COM
- -
0 CARDINAL HEALTH INC 14149Y10 60 1,300 X 04 1,300 0 0
COM
0 52 1,144 X X 04 1,144 0 0
0 9 200 X 05 0 0 200
0 73 1,600 X 08 1,600 0 0
0 246 5,373 X X 08 3,373 0 2,000
0 629 13,716 X 09 9,110 270 4,336
0 426 9,277 X X 09 4,264 830 4,183
- -
0 CARDIODYNAMICS INTL CORP 14159710 257 30,000 X 12 30,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 77 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 1,400 40,000 X 06 40,000 0 0
COM
- -
0 CAREERBUILDER INC 14168410 800 194,000 X 12 194,000 0 0
COM
- -
0 CAREINSITE INC 14170M10 1,064 45,500 X 01 0 0 45,500
COM
- -
0 CAREY INTERNATIONAL INC 14175010 395 23,253 X 12 23,253 0 0
COM
- -
0 CARLISLE COS INC 14233910 8 200 X 09 200 0 0
COM
0 280 7,000 X X 09 7,000 0 0
- -
0 CARNIVAL CORP 14365810 725 29,234 X 04 24,034 0 5,200
COM
0 631 25,440 X X 04 5,400 0 20,040
0 1,290 52,000 X X 05 52,000 0 0
0 2,089 84,200 X 08 84,200 0 0
0 605 24,400 X X 08 18,900 1,500 4,000
0 9,987 402,485 X 09 357,885 4,000 40,600
0 3,452 139,134 X X 09 96,137 2,600 40,397
0 1,654 66,666 X 12 66,666 0 0
- -
0 CAROLINA PWR & LT CO 14414110 101 3,100 X 04 3,100 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 78 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 88 2,700 X X 04 2,700 0 0
0 256 7,894 X X 08 1,000 294 6,600
0 1,181 36,394 X 09 33,594 0 2,800
0 618 19,040 X X 09 15,040 0 4,000
- -
0 CARRAMERICA RLTY CORP 14441810 2,238 105,300 X 09 105,300 0 0
COM
0 66 3,100 X X 09 2,600 500 0
- -
0 CARREKER ANTINORI INC 14443310 366 29,000 X 12 29,000 0 0
COM
- -
0 CARRIER ACCESS CORP 14446010 1,390 26,100 X 09 26,100 0 0
COM
0 1,646 30,918 X 12 30,918 0 0
- -
0 CARRIZO OIL & CO INC 14457710 19,829 5,117,243 X 10 2,909,092 0 2,208,151
COM
- -
0 CARTER WALLACE INC 14628510 8,049 429,260 X 09 428,060 0 1,200
COM
- -
0 CATALINA MARKETING CORP 14886710 22,275 220,000 X X 04 0 0 220,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 79 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7,695 76,000 X 06 76,000 0 0
0 1,926 19,020 X 08 19,020 0 0
0 5,108 50,450 X 09 50,400 0 50
- -
0 CATAPULT COMMUNICATIONS CORP 14901610 2,315 227,250 X 12 227,250 0 0
COM
- -
0 CATELLUS DEV CORP 14911110 8 543 X 08 543 0 0
COM
0 1,180 85,053 X 09 85,053 0 0
0 11 802 X X 09 125 573 104
- -
0 CATERPILLAR INC DEL 14912310 126 3,200 X 04 3,200 0 0
COM
0 55 1,400 X X 04 900 500 0
0 20 500 X 05 500 0 0
0 12 300 X X 05 0 0 300
0 627 15,900 X 08 15,900 0 0
0 710 18,015 X X 08 16,415 800 800
0 7,594 192,552 X 09 173,352 600 18,600
0 3,170 80,392 X X 09 41,848 2,000 36,544
0 284 7,190 X 12 7,190 0 0
- -
0 CATHAY BANCORP INC 14915010 732 15,917 X 12 15,917 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 80 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 184 9,250 X 09 8,250 0 1,000
DEPOSITRY UNIT
0 73 3,672 X X 09 1,000 0 2,672
- -
0 CELL GENESYS INC 15092110 298 14,000 X 12 14,000 0 0
COM
- -
0 CELL THERAPEUTICS INC 15093410 3,063 130,700 X 12 130,700 0 0
COM
- -
0 CELESTICA INC 15101Q10 16 300 X X 09 300 0 0
SUB VTG SHS
0 1,039 19,582 X 12 19,582 0 0
- -
0 CELGENE CORP 15102010 4,953 49,750 X 06 49,750 0 0
COM
0 797 8,000 X 09 8,000 0 0
0 100 1,000 X X 09 0 0 1,000
- -
0 CELL PATHWAYS INC NEW 15114R10 640 18,615 X 09 18,615 0 0
COM
0 289 8,411 X 12 8,411 0 0
- -
0 CELLTECH GROUP PLC 15115810 24 680 X X 09 0 0 680
SPONSORED ADR
0 247 7,100 X 12 7,100 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 81 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CEMEX S A 15129088 40,803 1,803,459 X 01 0 0 1,803,459
SPON ADR 5 ORD
0 1,675 74,038 X 04 74,038 0 0
0 2,302 101,751 X 09 101,481 0 270
- -
0 CENDANT CORP 15131310 46 2,500 X 01 0 0 2,500
COM
0 93 5,000 X X 08 0 0 5,000
0 148 7,975 X 09 7,975 0 0
0 169 9,126 X X 09 8,112 0 1,014
0 531 28,680 X 12 28,680 0 0
- -
0 CENTERPOINT PPTYS TR 15189510 269 7,379 X 09 7,379 0 0
SH BEN INT
0 219 6,000 X X 09 6,000 0 0
- -
0 CENTEX CONSTRUCTION PRODUCTS 15231R10 228 8,700 X 09 8,700 0 0
COM
- -
0 CENTEX CORP 15231210 25 1,034 X 04 1,034 0 0
COM
0 7 300 X X 08 300 0 0
0 16,076 675,100 X 09 674,800 0 300
- -
0 CENTRA SOFTWARE INC 15234X10 1,337 63,650 X 12 63,650 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 82 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CENTRAL & SOUTH WEST CORP 15235710 65 3,788 X 04 3,788 0 0
COM
0 89 5,180 X X 04 2,868 1,352 960
0 10 600 X X 05 600 0 0
0 101 5,900 X 08 5,900 0 0
0 165 9,652 X X 08 6,052 0 3,600
0 975 56,940 X 09 53,940 0 3,000
0 1,411 82,380 X X 09 65,898 4,000 12,482
- -
0 CENTRAL GARDEN & PET CO 15352710 270 27,350 X 12 27,350 0 0
COM
- -
0 CENTRAL NEWSPAPERS INC 15464710 261 7,800 X 12 7,800 0 0
CL A
- -
0 CENTURY CASINOS INC 15649210 18 10,000 X X 09 10,000 0 0
COM
- -
0 CENTURYTEL INC 15670010 133 3,585 X X 04 0 0 3,585
COM
0 2,527 68,057 X 08 68,057 0 0
0 632 17,025 X X 08 16,650 375 0
0 20,518 552,660 X 09 537,360 1,100 14,200
0 605 16,295 X X 09 12,445 0 3,850
- -
0 CERIDIAN CORP 15677T10 203 10,600 X 04 4,000 0 6,600
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 83 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 107 5,600 X 05 5,600 0 0
0 27 1,400 X X 05 0 0 1,400
0 1,848 96,300 X 08 95,800 0 500
0 641 33,400 X X 08 18,600 8,000 6,800
0 4,131 215,309 X 09 166,909 5,000 43,400
0 1,295 67,500 X X 09 48,100 0 19,400
- -
0 CHALONE WINE GROUP LTD 15763910 2 300 X X 08 0 0 300
COM
0 131 15,900 X 12 15,900 0 0
- -
0 CHAMPION ENTERPRISES INC 15849610 551 95,900 X 09 95,900 0 0
COM
- -
0 CHAMPION INTL CORP 15852510 134 2,518 X 04 2,518 0 0
COM
0 16 295 X X 04 295 0 0
0 31 574 X 08 574 0 0
0 69 1,300 X X 08 700 0 600
0 131 2,455 X 09 1,655 0 800
0 111 2,086 X X 09 2,047 0 39
- -
0 CHARTER COMMUNICATIONS INC D 16117M10 7,193 502,000 X 09 500,000 0 2,000
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 84 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4 300 X X 09 0 0 300
0 767 53,500 X 12 53,500 0 0
- -
0 CHARTERED SEMICONDUCTOR MFG 16133R10 495 5,250 X 09 5,250 0 0
ADR
0 2,085 22,122 X 12 22,122 0 0
- -
0 CHASE INDS INC 16156810 197 22,500 X X 09 22,500 0 0
COM
- -
0 CHASE MANHATTAN CORP NEW 16161A10 919 10,540 X 04 8,768 0 1,772
COM
0 1,409 16,165 X X 04 14,982 0 1,183
0 282 3,240 X 05 2,200 0 1,040
0 78 900 X X 05 0 0 900
0 3,793 43,499 X 08 42,999 0 500
0 10,103 115,877 X X 08 60,043 8,560 47,274
0 43,483 498,727 X 09 411,917 8,347 78,463
0 93,609 1,073,649 X X 09 179,738 483,497 410,414
0 3,195 36,643 X 12 36,643 0 0
- -
0 CHATEAU CMNTYS INC 16172610 2 73 X 08 73 0 0
COM
0 2 74 X X 08 0 0 74
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 85 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,009 39,553 X 09 38,511 0 1,042
0 27 1,042 X X 09 0 0 1,042
- -
0 CHECKFREE HLDGS CORP 16281610 10,575 150,000 X 01 0 0 150,000
COM
0 6,451 91,500 X 12 91,500 0 0
- -
0 CHEVRON CORPORATION 16675110 763 8,256 X 04 7,856 0 400
COM
0 1,106 11,966 X X 04 11,066 600 300
0 407 4,400 X 05 3,200 0 1,200
0 512 5,536 X X 05 5,336 0 200
0 87,934 951,275 X 06 951,275 0 0
0 27,224 294,514 X 08 294,164 0 350
0 10,954 118,501 X X 08 84,836 7,485 26,180
0 139,418 1,508,228 X 09 1,461,879 1,636 44,713
0 76,600 828,662 X X 09 418,578 98,477 311,607
0 2,844 30,766 X 12 30,766 0 0
- -
0 CHICOS FAS INC 16861510 15,871 936,200 X 06 936,200 0 0
COM
0 4,917 290,050 X 08 290,050 0 0
0 13,422 791,700 X 09 791,000 0 700
- -
0 CHIEFTAIN INTL INC 16867C10 318 15,800 X 12 15,800 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 86 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CHILDRENS PL RETAIL STORES I 16890510 534 37,500 X 09 37,500 0 0
COM
- -
0 CHINA TELECOM HONG KONG LTD 16942810 12,159 68,600 X 09 68,600 0 0
SPONSORED ADR
- -
0 CHIRON CORP 17004010 15,297 306,700 X 06 306,700 0 0
COM
0 14,713 295,000 X 09 295,000 0 0
0 75 1,500 X X 09 0 0 1,500
0 539 10,808 X 12 10,808 0 0
- -
0 CHITTENDEN CORP 17022810 5,163 173,900 X 06 173,900 0 0
COM
0 1,544 52,000 X 08 52,000 0 0
0 4,539 152,882 X 09 147,850 0 5,032
- -
0 CHOICEPOINT INC 17038810 649 17,376 X 09 17,376 0 0
COM
0 1,483 39,690 X X 09 39,690 0 0
- -
0 CHUBB CORP 17123210 241 3,568 X 04 2,668 0 900
COM
0 71 1,050 X X 04 600 0 450
0 20 300 X X 08 0 0 300
0 14,822 219,378 X 09 210,502 0 8,876
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 87 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 16,547 244,909 X X 09 217,052 157 27,700
0 310 4,589 X 12 4,589 0 0
- -
0 CHURCH & DWIGHT INC 17134010 14,067 818,400 X 09 818,400 0 0
COM
0 3,505 203,900 X X 09 202,300 0 1,600
- -
0 CIBER INC 17163B10 1,344 65,552 X 09 65,552 0 0
COM
- -
0 CIENA CORP 17177910 165 1,307 X 08 1,307 0 0
COM
0 95 750 X X 08 750 0 0
0 1,261 10,000 X 09 10,000 0 0
0 1,186 9,400 X X 09 600 8,800 0
0 3,678 29,165 X 12 29,165 0 0
- -
0 CINAR CORP 17190530 656 84,700 X 06 84,700 0 0
SUB VTG SHS B
0 116 14,950 X 08 14,950 0 0
0 234 30,200 X 09 30,150 0 50
- -
0 CINCINNATI FINL CORP 17206210 263 7,000 X 09 7,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 88 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 2,800 X X 09 2,800 0 0
- -
0 CINERGY CORP 17247410 26 1,210 X 04 1,210 0 0
COM
0 6 261 X X 04 261 0 0
0 8 350 X X 05 0 0 350
0 17 800 X X 08 0 0 800
0 321 14,949 X 09 12,849 0 2,100
0 859 39,937 X X 09 33,336 0 6,601
- -
0 CIRCLE INTL GROUP INC 17257410 2,621 100,800 X 09 100,800 0 0
COM
- -
0 CIRCUIT CITY STORE INC 17273710 4,261 70,000 X 09 70,000 0 0
CIRCT CITY GRP
0 254 4,176 X X 09 4,096 0 80
0 1,794 29,472 X 12 29,472 0 0
- -
0 CIRCUIT CITY STORE INC 17273730 40 12,000 X 09 12,000 0 0
CARMAX GROUP
- -
0 CISCO SYS INC 17275R10 1,203 15,560 X 01 0 0 15,560
COM
0 21,121 273,188 X 04 200,788 0 72,400
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 89 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,800 87,950 X X 04 36,150 10,200 41,600
0 3,274 42,350 X 05 26,000 0 16,350
0 10,561 136,600 X X 05 106,000 0 30,600
0 148,486 1,920,578 X 06 1,920,578 0 0
0 200,271 2,590,388 X 08 2,572,688 0 17,700
0 60,072 776,996 X X 08 610,928 55,760 110,308
0 693,197 8,966,118 X 09 7,989,530 168,534 808,054
0 412,390 5,334,032 X X 09 2,839,414 348,332 2,146,286
- -
0 CINTAS CORP 17290810 1,569 40,049 X 08 40,049 0 0
COM
0 1,966 50,172 X X 08 45,222 4,950 0
0 2,018 51,504 X 09 38,679 5,466 7,359
0 3,877 98,925 X X 09 81,250 2,700 14,975
- -
0 CITIGROUP INC 17296710 6,815 113,824 X 04 105,899 0 7,925
COM
0 2,673 44,638 X X 04 28,110 4,306 12,222
0 876 14,637 X 05 8,437 0 6,200
0 3,293 55,000 X X 05 54,250 0 750
0 189,756 3,169,195 X 06 3,169,195 0 0
0 69,022 1,152,760 X 08 1,146,935 0 5,825
0 35,097 586,173 X X 08 428,527 40,100 117,546
0 387,826 6,477,258 X 09 6,191,464 68,852 216,942
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 90 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 100,989 1,686,665 X X 09 1,067,951 249,830 368,884
0 10,657 177,986 X 12 177,986 0 0
- -
0 CITIZENS UTILS CO DEL 17734220 131 8,000 X 09 8,000 0 0
CL B
0 117 7,145 X X 09 0 0 7,145
- -
0 CITRIX SYS INC 17737610 732 11,050 X 04 10,050 0 1,000
COM
0 7 100 X X 04 0 100 0
0 232 3,500 X 05 1,500 0 2,000
0 17,268 260,650 X 06 260,650 0 0
0 8,127 122,668 X 08 122,268 0 400
0 93 1,400 X X 08 1,400 0 0
0 14,192 214,215 X 09 213,015 600 600
0 422 6,366 X X 09 5,962 0 404
- -
0 CITY NATL CORP 17856610 9,022 267,800 X 06 267,800 0 0
COM
0 2,742 81,380 X 08 81,380 0 0
0 7,893 234,302 X 09 234,100 0 202
0 67 2,000 X X 09 2,000 0 0
- -
0 CLAIRES STORES INC 17958410 319 15,890 X 12 15,890 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 91 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CLARUS CORP 18270710 4,685 66,330 X 12 66,330 0 0
COM
- -
0 CLASSIC COMMUNICATIONS INC 18272820 4,805 305,064 X X 03 305,064 0 0
CL A
- -
0 CLEAR CHANNEL COMMUNICATIONS 18450210 303 4,386 X 01 0 0 4,386
COM
0 3,057 44,270 X 04 40,070 0 4,200
0 382 5,525 X X 04 1,325 300 3,900
0 635 9,200 X 05 5,600 0 3,600
0 76 1,100 X X 05 1,100 0 0
0 6,440 93,250 X 06 93,250 0 0
0 7,884 114,150 X 08 114,150 0 0
0 1,571 22,750 X X 08 22,350 400 0
0 33,538 485,610 X 09 424,560 13,150 47,900
0 1,315 19,040 X X 09 16,774 2,200 66
0 873 12,637 X 12 12,637 0 0
- -
0 CLINTRIALS RESEARCH INC 18876710 39 10,000 X 12 10,000 0 0
COM
- -
0 CLOROX CO DEL 18905410 40 1,200 X 04 1,200 0 0
COM
0 100 3,038 X X 04 400 2,158 480
0 119 3,600 X 05 2,600 0 1,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 92 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 20 600 X X 05 0 0 600
0 6,718 203,575 X 08 203,275 0 300
0 3,732 113,078 X X 08 91,948 17,200 3,930
0 19,413 588,262 X 09 569,088 2,924 16,250
0 23,278 705,398 X X 09 690,395 1,300 13,703
- -
0 CLOSURE MED CORP 18909310 344 13,100 X 09 13,100 0 0
COM
- -
0 COACHMEN INDS INC 18987310 624 45,000 X 09 45,000 0 0
COM
- -
0 COASTAL CORP 19044110 924 20,092 X 04 17,092 0 3,000
COM
0 23 500 X X 04 0 0 500
0 521 11,325 X 08 11,325 0 0
0 12 266 X X 08 266 0 0
0 11,044 240,090 X 09 228,290 0 11,800
0 2,223 48,331 X X 09 35,646 1,400 11,285
- -
0 COBALT NETWORKS INC 19074R10 115,089 2,448,711 X 07 2,448,711 0 0
COM
0 28 600 X 09 600 0 0
- -
0 COCA COLA CO 19121610 5,920 126,127 X 04 82,499 0 43,628
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 93 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 679 14,460 X X 04 4,000 6,000 4,460
0 256 5,450 X 05 3,700 0 1,750
0 66 1,400 X X 05 800 0 600
0 38,258 815,065 X 06 815,065 0 0
0 53,885 1,148,002 X 08 1,143,702 0 4,300
0 47,383 1,009,491 X X 08 716,404 49,664 243,423
0 118,642 2,527,637 X 09 2,450,409 12,199 65,029
0 108,228 2,305,759 X X 09 1,410,065 48,600 847,094
0 3,480 74,133 X 12 74,133 0 0
- -
0 COCA COLA ENTERPRISES INC 19121910 8 380 X 01 0 0 380
COM
0 108 5,000 X 04 3,000 0 2,000
0 952 44,152 X 08 42,652 0 1,500
0 742 34,400 X X 08 30,500 3,900 0
0 1,969 91,305 X 09 88,280 425 2,600
0 606 28,125 X X 09 7,780 0 20,345
- -
0 COCA-COLA FEMSA S A DE C V 19124110 492 26,500 X 09 26,500 0 0
SPON ADR REP L
- -
0 COGNEX CORP 19242210 18,209 315,650 X 06 315,650 0 0
COM
0 4,208 72,950 X 08 72,950 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 94 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 13,141 227,800 X 09 227,600 0 200
0 2,235 38,735 X 12 38,735 0 0
- -
0 COHERENT INC 19247910 8 150 X 08 150 0 0
COM
0 8 150 X X 08 150 0 0
0 234 4,500 X 09 4,500 0 0
- -
0 COHU INC 19257610 713 17,100 X 09 17,100 0 0
COM
- -
0 COINSTAR INC 19259P30 4,167 330,500 X 12 330,500 0 0
COM
- -
0 COLD METAL PRODS INC 19286110 39 11,500 X 09 11,500 0 0
COM
- -
0 COLGATE PALMOLIVE CO 19416210 3,002 53,250 X 04 46,450 0 6,800
COM
0 2,018 35,792 X X 04 10,032 300 25,460
0 141 2,500 X 05 1,600 0 900
0 2,030 36,000 X X 05 36,000 0 0
0 10,252 181,855 X 06 181,855 0 0
0 15,121 268,227 X 08 266,977 0 1,250
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 95 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7,325 129,925 X X 08 124,425 2,900 2,600
0 54,739 970,983 X 09 889,717 18,100 63,166
0 31,424 557,404 X X 09 259,867 5,676 291,861
0 2,503 44,402 X 12 44,402 0 0
- -
0 COLONIAL PPTYS TR 19587210 48 2,000 X X 05 0 0 2,000
COM SH BEN INT
0 24 1,000 X X 08 1,000 0 0
0 1,259 53,000 X 09 37,500 2,500 13,000
0 405 17,050 X X 09 10,750 2,500 3,800
- -
0 COLUMBIA ENERGY GROUP 19764810 11,056 186,600 X 06 186,600 0 0
COM
0 38 636 X 08 636 0 0
0 209 3,521 X X 08 1,521 0 2,000
0 10,653 179,790 X 09 179,490 0 300
0 201 3,390 X X 09 750 640 2,000
- -
0 COLUMBIA/HCA HEALTHCARE CORP 19767710 889 35,115 X 01 0 0 35,115
COM
0 642 25,350 X 04 18,450 0 6,900
0 68 2,700 X X 04 700 0 2,000
0 63 2,500 X 05 2,500 0 0
0 24 950 X X 05 0 0 950
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 96 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 10 400 X 08 400 0 0
0 1,917 75,717 X 09 67,925 0 7,792
0 516 20,396 X X 09 15,927 0 4,469
- -
0 COMARCO INC 20008010 225 6,600 X 09 6,600 0 0
COM
- -
0 COMCAST CORP 20030010 33 800 X 08 800 0 0
CL A
0 2,822 68,400 X 09 65,300 500 2,600
0 652 15,800 X X 09 5,300 0 10,500
- -
0 COMCAST CORP 20030020 26 600 X 01 0 0 600
CL A SPL
0 2,411 55,584 X 04 50,384 0 5,200
0 796 18,350 X X 04 9,800 2,450 6,100
0 165 3,800 X X 05 3,000 0 800
0 39,981 921,750 X 06 921,750 0 0
0 12,044 277,671 X 08 277,271 0 400
0 1,453 33,500 X X 08 26,000 3,000 4,500
0 199,301 4,594,826 X 09 4,226,251 69,425 299,150
0 12,094 278,820 X X 09 133,439 14,800 130,581
0 603 13,894 X 12 13,894 0 0
- -
0 COMDISCO INC 20033610 13 291 X 08 291 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 97 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7 161 X X 08 0 0 161
0 2,443 55,370 X 09 15,270 0 40,100
0 1,597 36,200 X X 09 16,400 0 19,800
- -
0 COMERICA INC 20034010 81 1,935 X 04 1,935 0 0
COM
0 84 2,000 X 05 0 0 2,000
0 377 9,000 X 08 9,000 0 0
0 46 1,092 X X 08 1,092 0 0
0 643 15,358 X 09 15,358 0 0
0 434 10,363 X 12 10,363 0 0
- -
0 COMMERCE BANCORP INC NJ 20051910 9,961 269,220 X 06 269,220 0 0
COM
0 3,065 82,840 X 08 82,840 0 0
0 8,458 228,585 X 09 228,375 0 210
- -
0 COMMERCE GROUP INC MASS 20064110 322 10,900 X 09 10,900 0 0
COM
0 30 1,000 X X 09 0 0 1,000
- -
0 COMMERCE ONE INC DEL 20069310 2,731 18,300 X 01 0 0 18,300
COM
0 15 100 X 08 0 0 100
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 98 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 398 2,670 X 09 2,645 25 0
0 15 100 X X 09 0 100 0
0 1,269 8,500 X 12 8,500 0 0
- -
0 COMMERCIAL METALS CO 20172310 555 20,100 X 09 20,100 0 0
COM
- -
0 COMMERCIAL NET LEASE RLTY IN 20221810 89 8,500 X 09 8,500 0 0
COM
0 97 9,300 X X 09 7,500 1,800 0
- -
0 COMMONWEALTH TEL ENTERPRISES 20334910 258 5,500 X 09 5,500 0 0
COM
- -
0 COMMSCOPE INC 20337210 15 333 X 04 333 0 0
COM
0 38 832 X X 05 0 0 832
0 2,988 65,400 X 06 65,400 0 0
0 238 5,199 X 09 5,199 0 0
0 33 716 X X 09 716 0 0
- -
0 COMPANHIA BRASILEIRA DE DIST 20440T20 393 11,000 X 09 11,000 0 0
ADR
- -
0 COMPANHIA CERVEJARIA BRAHMA 20440X10 616 37,905 X 12 37,905 0 0
SPON ADR PFD
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 99 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COMPANHIA PARANAENSE ENERG C 20441B40 272 32,000 X 09 32,000 0 0
SPON ADR PFD
- -
0 COMPANIA ANONIMA NACIONL TEL 20442110 378 13,100 X 09 13,100 0 0
SPON ADR D
0 745 25,790 X 12 25,790 0 0
- -
0 COMPANIA DE TELECOMUNICS CHI 20444930 540 23,739 X 09 23,739 0 0
SPON ADR NEW
- -
0 COMPASS BANCSHARES INC 20449H10 466 23,392 X 01 0 0 23,392
COM
0 8 400 X 08 400 0 0
- -
0 COMPAQ COMPUTER CORP 20449310 566 20,950 X 01 0 0 20,950
COM
0 1,547 57,300 X 04 45,300 0 12,000
0 252 9,317 X X 04 6,900 0 2,417
0 11 400 X 05 0 0 400
0 86 3,200 X X 05 3,200 0 0
0 2,025 75,000 X 06 75,000 0 0
0 8,633 319,744 X 08 307,944 10,000 1,800
0 8,187 303,230 X X 08 263,880 32,400 6,950
0 22,849 846,254 X 09 760,304 3,650 82,300
0 12,678 469,574 X X 09 230,161 20,500 218,913
0 2,643 97,873 X 12 97,873 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 100 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 ASSOC INTL INC 20491210 1,148 19,399 X 04 18,649 0 750
COM
0 508 8,577 X X 04 3,675 0 4,902
0 41 700 X 05 0 0 700
0 67 1,125 X X 05 675 0 450
0 38,281 646,762 X 06 646,762 0 0
0 10,588 178,895 X 08 178,495 0 400
0 1,594 26,925 X X 08 26,825 100 0
0 57,184 966,147 X 09 907,850 2,675 55,622
0 17,967 303,566 X X 09 46,171 181,119 76,276
- -
0 COMPUTER MOTION INC 20525310 435 46,057 X 07 46,057 0 0
COM
0 735 77,929 X 11 77,929 0 0
- -
0 COMPUTER SCIENCES CORP 20536310 819 10,350 X 04 3,350 0 7,000
COM
0 79 1,000 X 05 500 0 500
0 16 200 X 08 200 0 0
0 169 2,130 X X 08 2,130 0 0
0 8,523 107,720 X 09 106,920 0 800
0 1,541 19,478 X X 09 15,333 0 4,145
- -
0 COMPUTER TASK GROUP INC 20547710 180 16,400 X 12 16,400 0 0
COM
- -
0 COMPUWARE CORP 20563810 225 10,700 X 04 7,800 0 2,900
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 101 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 63 3,000 X X 04 0 0 3,000
0 3,041 144,375 X 08 143,675 0 700
0 1,247 59,200 X X 08 51,500 7,700 0
0 3,788 179,825 X 09 167,875 3,300 8,650
0 640 30,400 X X 09 22,000 0 8,400
0 1,707 81,060 X 12 81,060 0 0
- -
0 COMVERSE TECHNOLOGY INC 20586240 25,175 133,200 X 06 133,200 0 0
COM PAR $0.10
0 6,570 34,762 X 08 34,762 0 0
0 21,206 112,200 X 09 112,150 0 50
0 135 714 X X 09 696 0 18
0 340 1,800 X 12 1,800 0 0
- -
0 CONAGRA INC 20588710 113 6,260 X 04 4,700 0 1,560
COM
0 21 1,150 X 05 950 0 200
0 704 38,843 X 09 24,129 1,014 13,700
0 349 19,279 X X 09 4,684 195 14,400
0 2,259 124,659 X 12 124,659 0 0
- -
0 CONCENTRIC NETWORK CORP 20589R10 4,375 79,550 X 01 0 0 79,550
COM
- -
0 COMPUTER HORIZONS CORP 20590810 1,113 65,000 X 09 65,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 102 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COM21 INC 20593710 832 17,700 X 09 17,700 0 0
COM
- -
0 CONCORD EFS INC 20619710 9,739 424,600 X 06 424,600 0 0
COM
0 9,405 410,000 X 09 410,000 0 0
- -
0 CONCUR TECHNOLOGIES INC 20670810 648 43,000 X 12 43,000 0 0
COM
- -
0 CONCURRENT COMPUTER CORP NEW 20671020 134 10,530 X 12 10,530 0 0
COM
- -
0 CONECTIV INC 20682910 13 750 X X 04 750 0 0
COM
0 27 1,546 X X 08 1,546 0 0
0 387 22,109 X 09 22,109 0 0
0 134 7,675 X X 09 4,675 0 3,000
- -
0 CONEXANT SYSTEMS INC 20714210 14 200 X 01 0 0 200
COM
0 36 500 X X 04 0 0 500
0 604 8,500 X 08 8,300 0 200
0 1,051 14,800 X X 08 5,800 9,000 0
0 277 3,898 X 09 1,898 0 2,000
0 1,799 25,333 X X 09 22,226 1,500 1,607
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 103 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,594 50,624 X 12 50,624 0 0
- -
0 CONMED CORP 20741010 639 25,500 X 09 25,500 0 0
COM
- -
0 CONNETICS CORP 20819210 2,731 297,216 X X 03 297,216 0 0
COM
0 119 13,000 X 12 13,000 0 0
- -
0 CONOCO INC 20825130 90 3,675 X 04 2,000 0 1,675
CL A
0 278 11,300 X 05 10,600 0 700
0 339 13,748 X 08 13,748 0 0
0 69 2,800 X X 08 2,800 0 0
0 14,875 604,073 X 09 581,973 9,750 12,350
0 691 28,050 X X 09 14,950 4,700 8,400
- -
0 CONOCO INC 20825140 324 12,636 X 04 11,899 0 737
CL B
0 202 7,880 X X 04 1,984 318 5,578
0 53 2,087 X 05 2,087 0 0
0 794 31,000 X X 05 31,000 0 0
0 9,565 373,279 X 08 371,679 0 1,600
0 2,688 104,890 X X 08 83,871 19,919 1,100
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 104 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 23,324 910,193 X 09 828,645 16,507 65,041
0 14,071 549,106 X X 09 221,160 227,082 100,864
- -
0 CONSECO INC 20846410 4 366 X 04 366 0 0
COM
0 241 21,054 X X 04 0 0 21,054
0 105 9,200 X 08 9,200 0 0
0 779 68,139 X 09 62,765 0 5,374
0 57 4,985 X X 09 4,007 0 978
0 394 34,408 X 12 34,408 0 0
- -
0 CONSOLIDATED EDISON INC 20911510 434 14,915 X 04 14,915 0 0
COM
0 96 3,300 X X 04 2,600 700 0
0 69 2,364 X 08 2,364 0 0
0 192 6,600 X X 08 5,800 800 0
0 4,024 138,178 X 09 128,794 0 9,384
0 2,235 76,724 X X 09 61,171 7,848 7,705
- -
0 CONSOLIDATED STORES CORP 21014910 890 78,200 X 09 78,200 0 0
COM
0 2 132 X X 09 72 0 60
- -
0 CONSTELLATION ENERGY CORP 21037110 29 897 X X 08 897 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 105 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 280 8,794 X 09 5,794 0 3,000
0 338 10,606 X X 09 7,556 0 3,050
- -
0 CONTINENTAL AIRLS INC 21079530 207 5,075 X 09 5,075 0 0
CL B
- -
0 CONTINENTAL INFORMATN SYS NE 21149710 1,418 596,978 X 09 596,978 0 0
COM
- -
0 CONVERGYS CORP 21248510 251 6,500 X 09 5,000 0 1,500
COM
0 581 15,012 X X 09 13,262 0 1,750
- -
0 COOPER CAMERON CORP 21664010 28,395 424,600 X 06 424,600 0 0
COM
0 74 1,100 X 08 1,100 0 0
0 4,315 64,518 X X 08 61,864 0 2,654
0 29,425 440,000 X 09 440,000 0 0
- -
0 COOPER COS INC 21664840 14,771 458,900 X 06 458,900 0 0
COM NEW
0 3,840 119,300 X 08 119,300 0 0
0 11,607 360,600 X 09 360,300 0 300
- -
0 COOPER INDS INC 21666910 60 1,710 X 04 1,710 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 106 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 96 X 08 96 0 0
0 242 6,903 X X 08 1,400 3,593 1,910
0 458 13,080 X 09 12,000 280 800
0 899 25,675 X X 09 22,003 2,100 1,572
- -
0 COOPER TIRE & RUBR CO 21683110 16 1,255 X 04 1,255 0 0
COM
0 109 8,700 X 08 8,700 0 0
0 5 400 X X 08 0 0 400
0 20 1,604 X 09 4 0 1,600
- -
0 COPPER MTN NETWORKS INC 21751010 16 200 X 09 200 0 0
COM
0 524 6,400 X 12 6,400 0 0
- -
0 COPYTELE INC 21772110 76 32,000 X 12 32,000 0 0
COM
- -
0 COR THERAPEUTICS INC 21775310 666 10,100 X 12 10,100 0 0
COM
- -
0 CORDANT TECHNOLOGIES INC 21841210 11,878 210,000 X 09 210,000 0 0
COM
0 272 4,800 X X 09 4,800 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 107 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CORINTHIAN COLLEGES INC 21886810 229 14,300 X 12 14,300 0 0
COM
- -
0 CORN PRODS INTL INC 21902310 33 1,375 X 08 1,375 0 0
COM
0 52 2,156 X X 08 1,256 0 900
0 379 15,766 X 09 15,391 0 375
0 500 20,759 X X 09 15,032 140 5,587
- -
0 CORNERSTONE PPTYS INC 21922H10 26 1,500 X 08 1,500 0 0
COM
0 11,659 668,594 X 09 668,594 0 0
0 272 15,600 X X 09 13,600 0 2,000
- -
0 CORNERSTONE RLTY INCOME TR I 21922V10 150 13,985 X 09 13,985 0 0
COM
- -
0 CORNING INC 21935010 4,189 21,593 X 04 17,693 0 3,900
COM
0 1,135 5,850 X X 04 1,250 300 4,300
0 815 4,200 X 05 1,800 0 2,400
0 1,668 8,600 X X 05 8,500 0 100
0 14,743 75,993 X 08 75,393 0 600
0 14,102 72,689 X X 08 59,739 6,650 6,300
0 55,399 285,563 X 09 250,254 5,805 29,504
0 83,459 430,202 X X 09 302,203 58,522 69,477
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 108 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,542 7,950 X 12 7,950 0 0
- -
0 CORPORATE EXECUTIVE BRD CO 21988R10 898 17,700 X 09 17,700 0 0
COM
- -
0 CORSAIR COMMUNICATIONS INC 22040610 507 26,501 X 09 26,501 0 0
COM
- -
0 CORUS GROUP PLC 22087M10 27 1,600 X X 09 1,600 0 0
SPONSORED ADR
0 369 22,026 X 12 22,026 0 0
- -
0 COSTCO WHSL CORP NEW 22160K10 2,381 45,300 X 04 38,000 0 7,300
COM
0 1,057 20,100 X X 04 6,100 3,900 10,100
0 1,335 25,400 X 05 18,400 0 7,000
0 2,313 44,000 X X 05 44,000 0 0
0 63,718 1,212,225 X 06 1,212,225 0 0
0 26,221 498,850 X 08 493,650 0 5,200
0 1,968 37,450 X X 08 33,550 0 3,900
0 74,711 1,421,365 X 09 1,315,315 30,500 75,550
0 7,269 138,299 X X 09 94,335 6,936 37,028
0 1,582 30,105 X 12 30,105 0 0
- -
0 COSTAR GROUP INC 22160N10 4,875 132,200 X X 09 0 0 132,200
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 109 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
COUNTRYWIDE CR INDS INC DEL 22237210 55 2,000 X 08 2,000 0 0
COM
0 0 15 X X 08 15 0 0
0 556 20,400 X 09 18,600 0 1,800
0 117 4,300 X X 09 4,300 0 0
- -
0 COUSINS PPTYS INC 22279510 479 13,000 X 04 13,000 0 0
COM
0 994 26,998 X 09 26,998 0 0
- -
0 COVAD COMMUNICATIONS GROUP I 22281420 15 200 X 08 200 0 0
COM
0 22 300 X 09 300 0 0
0 62 850 X X 09 0 0 850
0 1,024 14,129 X 12 14,129 0 0
- -
0 COVANCE INC 22281610 23 2,150 X 08 2,150 0 0
COM
0 23 2,175 X X 08 2,175 0 0
0 107 9,908 X 09 8,375 0 1,533
0 194 18,006 X X 09 9,131 2,550 6,325
0 227 21,100 X 12 21,100 0 0
- -
0 COX COMMUNICATIONS INC NEW 22404410 1,940 40,000 X 04 40,000 0 0
CL A
0 67 1,384 X 09 1,384 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 110 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,469 30,296 X X 09 11,098 0 19,198
- -
0 CRAIG CORP 22417410 103 20,000 X 09 20,000 0 0
COM
- -
0 CREDIT SUISSE ASSET MGMT INC 22491610 121 20,000 X X 04 0 0 20,000
COM
- -
0 CREATIVE BIOMOLECULES INC 22527010 10 1,000 X 09 0 0 1,000
COM
0 320 32,300 X 12 32,300 0 0
- -
0 CREDENCE SYS CORP 22530210 400 3,200 X 09 3,200 0 0
COM
- -
0 CREE INC 22544710 24,009 212,700 X 06 212,700 0 0
COM
0 6,524 57,800 X 08 57,800 0 0
0 19,567 173,350 X 09 173,150 0 200
- -
0 CREO PRODS INC 22560610 4,363 100,000 X 06 100,000 0 0
COM
0 5,802 133,000 X 09 133,000 0 0
- -
0 CRESCENT REAL ESTATE EQUITIE 22575610 15 830 X 05 0 0 830
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 111 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 938 53,620 X 08 53,020 0 600
0 978 55,875 X X 08 46,675 8,200 1,000
0 3,021 172,600 X 09 172,600 0 0
0 65 3,700 X X 09 3,500 0 200
- -
0 CRITICAL PATH INC 22674V10 13,361 157,186 X 12 157,186 0 0
COM
- -
0 CROSS A T CO 22747810 88 15,000 X 04 15,000 0 0
CL A
- -
0 CROSS TIMBERS OIL CO 22757310 137 10,500 X 09 10,500 0 0
COM
- -
0 CROWN AMERN RLTY TR 22818610 53 10,000 X 12 10,000 0 0
SH BEN INT
- -
0 CROWN CORK & SEAL INC 22825510 32 1,976 X 04 1,976 0 0
COM
0 285 17,800 X X 08 17,300 0 500
0 32 2,000 X 09 800 0 1,200
0 170 10,649 X X 09 1,539 0 9,110
- -
0 CROWN RES CORP 22856910 20 18,598 X 12 18,598 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 112 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 1,633 39,000 X 12 39,000 0 0
COM
- -
0 CULLEN FROST BANKERS INC 22989910 18,620 704,300 X 06 704,300 0 0
COM
0 3,527 133,400 X 08 133,400 0 0
0 32 1,200 X X 08 0 1,200 0
0 22,287 842,980 X 09 832,630 2,200 8,150
0 1,061 40,150 X X 09 19,150 0 21,000
- -
0 CURAGEN CORP 23126R10 554 11,850 X 12 11,850 0 0
COM
- -
0 CYBERCASH INC 23246210 10,345 766,292 X 12 766,292 0 0
COM
- -
0 CYBEX COMPUTER PRODS CORP 23252210 18,159 482,625 X 06 482,625 0 0
COM
0 4,902 130,275 X 08 130,275 0 0
0 13,472 358,050 X 09 357,750 0 300
- -
0 CYMER INC 23257210 200 4,000 X 09 4,000 0 0
COM
- -
0 CYPRESS COMMUNICATIONS INC 23274310 1,156 47,200 X 09 47,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 113 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
CYPRESS SEMICONDUCTOR CORP 23280610 176 3,600 X X 04 0 0 3,600
COM
0 88 1,800 X X 08 1,300 500 0
0 225 4,600 X 09 4,600 0 0
- -
0 CYTEC INDS INC 23282010 21 700 X 01 0 0 700
COM
0 17 555 X 04 555 0 0
0 61 2,000 X X 04 0 0 2,000
0 7,969 260,200 X 06 260,200 0 0
0 6 184 X 08 184 0 0
0 8 255 X X 08 255 0 0
0 7,978 260,495 X 09 260,495 0 0
0 688 22,464 X X 09 19,083 426 2,955
- -
0 DII GROUP INC 23294910 67,533 597,300 X 01 0 0 597,300
COM
0 24 216 X 09 0 0 216
0 81 720 X X 09 720 0 0
0 404 3,575 X 12 3,575 0 0
- -
0 DLJ HIGH YIELD BD FD 23322Y10 79 10,000 X 09 0 0 10,000
SH BEN INT
- -
0 DQE INC 23329J10 36,432 800,700 X 06 800,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 114 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8,353 183,590 X 08 183,590 0 0
0 38 825 X X 08 450 0 375
0 33,862 744,226 X 09 744,226 0 0
0 75 1,650 X X 09 1,500 150 0
- -
0 DPL INC 23329310 75 3,375 X 08 3,375 0 0
COM
0 142 6,412 X X 08 6,412 0 0
0 458 20,652 X 09 18,252 0 2,400
0 497 22,386 X X 09 22,386 0 0
- -
0 DRS TECHNOLOGIES INC 23330X10 311 31,250 X 09 31,250 0 0
COM
- -
0 DTE ENERGY CO 23333110 3 100 X 04 100 0 0
COM
0 190 6,500 X 09 3,700 0 2,800
0 112 3,850 X X 09 3,550 300 0
- -
0 DAISYTEK INTL CORP 23405310 1,105 69,900 X 12 69,900 0 0
COM
- -
0 DAL-TILE INTL INC 23426R10 3,047 383,850 X 06 383,850 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 115 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,091 263,475 X 08 263,475 0 0
0 2,635 332,000 X 09 331,700 0 300
0 428 53,948 X X 09 53,948 0 0
- -
0 DALLAS SEMICONDUCTOR CORP 23520410 8,921 244,400 X 06 244,400 0 0
COM
0 2,070 56,700 X 08 56,700 0 0
0 5,935 162,600 X 09 162,400 0 200
- -
0 DANA CORP 23581110 69 2,434 X 04 2,434 0 0
COM
0 9 325 X X 05 325 0 0
0 1,460 51,790 X X 08 49,200 1,890 700
0 7,751 274,976 X 09 272,976 0 2,000
0 5,781 205,077 X X 09 194,177 0 10,900
- -
0 DANAHER CORP DEL 23585110 2,851 55,900 X 09 55,900 0 0
COM
0 414 8,125 X X 09 8,125 0 0
- -
0 DARDEN RESTAURANTS INC 23719410 15 825 X 04 825 0 0
COM
0 29 1,600 X X 08 0 1,600 0
0 517 28,996 X 09 23,796 0 5,200
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 116 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 18,823 X X 09 12,351 0 6,472
- -
0 DATA RACE INC 23784210 25 5,000 X 04 5,000 0 0
COM
0 111 22,000 X 12 22,000 0 0
- -
0 DATASCOPE CORP 23811310 11,509 362,500 X 06 362,500 0 0
COM
0 3,029 95,400 X 08 95,400 0 0
0 8,733 275,050 X 09 274,800 0 250
0 44 1,400 X X 09 0 0 1,400
- -
0 DATASTREAM SYS INC 23812410 487 16,800 X 12 16,800 0 0
COM
- -
0 DE BEERS CONS MINES LTD 24025330 25 1,100 X 05 0 0 1,100
ADR DEFD
0 115 5,000 X 09 5,000 0 0
0 932 40,615 X 12 40,615 0 0
- -
0 DEERE & CO 24419910 749 19,700 X 08 19,700 0 0
COM
0 1,712 45,050 X X 08 29,250 13,800 2,000
0 2,611 68,710 X 09 68,710 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 117 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 18,401 X X 09 17,364 0 1,037
- -
0 DEL GLOBAL TECHNOLOGIES CORP 24507310 263 30,900 X 10 0 0 30,900
COM
- -
0 DEL LABS INC 24509110 110 13,143 X X 09 13,143 0 0
COM
- -
0 DELL COMPUTER CORP 24702510 167 3,100 X 04 2,300 0 800
COM
0 690 12,800 X X 04 8,600 0 4,200
0 140 2,600 X 05 1,600 0 1,000
0 76 1,400 X X 05 0 0 1,400
0 12,387 229,650 X 06 229,650 0 0
0 17,310 320,923 X 08 319,898 0 1,025
0 5,782 107,205 X X 08 104,805 1,800 600
0 65,686 1,217,798 X 09 1,195,598 9,700 12,500
0 5,310 98,449 X X 09 66,645 2,600 29,204
0 11,502 213,253 X 12 213,253 0 0
- -
0 DELPHI AUTOMOTIVE SYS CORP 24712610 51 3,179 X 04 3,179 0 0
COM
0 64 3,972 X X 04 1,520 698 1,754
0 13 800 X 05 0 0 800
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 118 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,890 118,122 X 08 117,913 209 0
0 353 22,080 X X 08 18,287 3,421 372
0 1,486 92,864 X 09 80,359 0 12,505
0 7,429 464,307 X X 09 114,763 1,712 347,832
- -
0 DELPHI FINL GROUP INC 24713110 378 12,446 X 01 0 0 12,446
CL A
0 3,092 101,782 X 06 101,782 0 0
0 2,709 89,183 X 08 89,183 0 0
0 2,707 89,129 X 09 84,645 0 4,484
- -
0 DELTA & PINE LD CO 24735710 824 41,717 X 08 41,717 0 0
COM
0 1,401 70,951 X X 08 63,201 7,750 0
- -
0 DELTA AIR LINES INC DEL 24736110 21 400 X 04 400 0 0
COM
0 32 600 X 05 600 0 0
0 25 470 X 08 470 0 0
0 69 1,300 X X 08 1,100 0 200
0 7,292 136,931 X 09 136,581 350 0
0 650 12,200 X X 09 11,495 134 571
- -
0 DELUXE CORP 24801910 16,356 617,200 X 09 610,800 0 6,400
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 119 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 216 8,162 X X 09 8,075 0 87
- -
0 DENDRITE INTL INC 24823910 8,549 408,300 X 06 408,300 0 0
COM
0 2,462 117,600 X 08 117,600 0 0
0 8,058 384,850 X 09 384,600 0 250
- -
0 DESC S A DE C V 25030910 1,560 104,000 X 04 104,000 0 0
SPON ADR C
- -
0 DETROIT DIESEL CORP 25083710 258 13,500 X 09 13,500 0 0
COM
- -
0 DEUTSCHE TELEKOM AG 25156610 63 790 X 05 0 0 790
SPONSORED ADR
0 112 1,400 X 09 0 500 900
0 1,112 13,861 X 12 13,861 0 0
- -
0 DEVELOPERS DIVERSIFIED RLTY 25159110 319 23,000 X 09 13,000 0 10,000
COM
0 14 1,000 X X 09 0 1,000 0
- -
0 DEVON ENERGY CORP NEW 25179M10 10 208 X X 04 208 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 120 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 26 544 X 08 44 0 500
0 20 411 X 09 316 0 95
0 24 502 X X 09 502 0 0
0 287 5,900 X 12 5,900 0 0
- -
0 DEVRY INC DEL 25189310 220 7,200 X 12 7,200 0 0
COM
- -
0 DIAGEO P L C 25243Q20 1,599 53,081 X 12 53,081 0 0
SPON ADR NEW
- -
0 DIAMOND OFFSHORE DRILLING IN 25271C10 16 400 X 04 400 0 0
COM
0 2,584 64,700 X X 05 64,700 0 0
0 367 9,193 X 08 9,193 0 0
0 198 4,950 X X 08 4,950 0 0
0 434 10,875 X 09 9,075 1,600 200
0 126 3,150 X X 09 150 0 3,000
- -
0 DIAMOND TECHNOLOGY PARTNERS 25276210 145 2,200 X 09 2,200 0 0
CL A
0 225 3,415 X 12 3,415 0 0
- -
0 DIAMONDS TR 25278710 80 732 X 08 732 0 0
UNIT SER 1
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 121 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 59 540 X X 08 540 0 0
0 239 2,187 X 09 2,187 0 0
- -
0 DIANON SYS INC 25282610 772 37,550 X 12 37,550 0 0
COM
- -
0 DIEBOLD INC 25365110 179 6,500 X 04 3,000 0 3,500
COM
0 202 7,339 X 08 7,339 0 0
0 366 13,326 X X 08 13,326 0 0
0 1,691 61,483 X 09 47,812 4,300 9,371
0 693 25,209 X X 09 21,109 0 4,100
- -
0 DIGEX INC DEL 25375610 2,884 26,000 X 06 26,000 0 0
CL A
0 1,087 9,799 X 12 9,799 0 0
- -
0 DIGIMARC CORP 25380710 238 5,400 X 12 5,400 0 0
COM
- -
0 DIGITAL IS INC DEL 25385N10 12 200 X 04 100 0 100
COM
0 158,487 2,600,796 X 07 2,600,796 0 0
0 378 6,200 X 09 6,200 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 122 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DIGITAL INSIGHT CORP 25385P10 297 5,790 X 08 5,790 0 0
COM
0 372 7,268 X 12 7,268 0 0
- -
0 DIGITALTHINK INC 25388M10 10,670 270,875 X 12 270,875 0 0
COM
- -
0 DIGITAL GENERATION SYS INC 25392110 101 14,000 X 12 14,000 0 0
COM
- -
0 DISNEY WALT CO 25468710 2,032 49,271 X 04 43,671 0 5,600
COM DISNEY
0 1,262 30,585 X X 04 18,635 6,050 5,900
0 80 1,950 X 05 600 0 1,350
0 109 2,650 X X 05 2,000 0 650
0 95,044 2,304,100 X 06 2,304,100 0 0
0 38,244 927,129 X 08 925,429 0 1,700
0 17,957 435,325 X X 08 326,984 67,641 40,700
0 168,443 4,083,465 X 09 3,831,281 29,037 223,147
0 93,146 2,258,074 X X 09 1,331,304 87,307 839,463
0 3,329 80,709 X 12 80,709 0 0
- -
0 DITECH COMMUNICATIONS CORP 25500M10 297 2,800 X 12 2,800 0 0
COM
- -
0 DIVERSA CORP 25506410 995 21,175 X 12 21,175 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 123 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DIVERSINET CORP 25536K20 181 10,100 X 12 10,100 0 0
COM NEW
- -
0 DOLLAR GEN CORP 25666910 1,522 56,625 X 08 56,625 0 0
COM
0 618 23,006 X X 08 18,006 5,000 0
0 4,277 159,153 X 09 144,753 2,600 11,800
0 2,985 111,058 X X 09 94,008 0 17,050
- -
0 DOLLAR THRIFTY AUTOMOTIVE GP 25674310 777 45,200 X 09 45,200 0 0
COM
0 222 12,900 X 12 12,900 0 0
- -
0 DOMINION RES INC VA NEW 25746U10 261 6,780 X 04 3,428 0 3,352
COM
0 225 5,852 X X 04 1,493 3,633 726
0 33 854 X 08 854 0 0
0 240 6,234 X X 08 6,208 1 25
0 1,948 50,668 X 09 46,414 0 4,254
0 3,832 99,688 X X 09 74,907 8,697 16,084
- -
0 DONALDSON LUFKIN & JENRETTE 25766110 19,888 384,300 X 09 384,300 0 0
COM DLJ
0 104 2,000 X X 09 2,000 0 0
- -
0 DONNELLEY R R & SONS CO 25786710 82 3,900 X X 08 3,900 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 124 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 563 26,907 X 09 26,907 0 0
0 1,055 50,399 X X 09 47,384 0 3,015
- -
0 DORAL FINL CORP 25811P10 207 18,300 X 09 18,300 0 0
COM
- -
0 DORCHESTER HUGOTON LTD 25820520 120 12,000 X 09 12,000 0 0
DEPOSTARY RCPT
- -
0 DOUBLECLICK INC 25860930 2,172 23,200 X 01 0 0 23,200
COM
0 2,359 25,200 X 06 25,200 0 0
0 538 5,750 X X 08 4,500 0 1,250
0 539 5,760 X 09 5,760 0 0
0 1,708 18,240 X X 09 18,240 0 0
0 203 2,165 X 12 2,165 0 0
- -
0 DOVER CORP 26000310 306 6,400 X X 04 6,400 0 0
COM
0 50,767 1,060,400 X 06 1,060,400 0 0
0 16,564 345,988 X 08 345,988 0 0
0 1,427 29,807 X X 08 17,707 8,300 3,800
0 64,765 1,352,792 X 09 1,335,892 240 16,660
0 9,267 193,569 X X 09 157,427 8,300 27,842
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 125 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
DOW CHEM CO 26054310 1,863 16,344 X 04 13,039 0 3,305
COM
0 1,135 9,957 X X 04 5,590 2,467 1,900
0 336 2,950 X 05 1,200 0 1,750
0 23 200 X X 05 200 0 0
0 25,205 221,100 X 06 221,100 0 0
0 19,120 167,720 X 08 167,720 0 0
0 10,418 91,386 X X 08 44,893 12,650 33,843
0 52,531 460,796 X 09 446,846 200 13,750
0 29,371 257,639 X X 09 187,700 6,325 63,614
0 268 2,350 X 12 2,350 0 0
- -
0 DOW JONES & CO INC 26056110 158 2,200 X 08 2,200 0 0
COM
0 1,441 20,070 X 09 20,070 0 0
0 126 1,750 X X 09 0 0 1,750
- -
0 DOWNEY FINL CORP 26101810 340 16,000 X 09 16,000 0 0
COM
- -
0 DREYERS GRAND ICE CREAM INC 26187810 6,244 242,500 X 12 242,500 0 0
COM
- -
0 DU PONT E I DE NEMOURS & CO 26353410 3,458 65,319 X 04 60,198 0 5,121
COM
0 1,707 32,243 X X 04 18,171 5,606 8,466
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 126 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 480 9,067 X 05 8,867 0 200
0 51 958 X X 05 458 0 500
0 62,816 1,186,600 X 06 1,186,600 0 0
0 17,158 324,113 X 08 321,613 2,000 500
0 16,579 313,181 X X 08 288,048 12,892 12,241
0 132,915 2,510,772 X 09 2,349,564 25,348 135,860
0 85,800 1,620,757 X X 09 939,952 175,634 505,171
0 1,217 22,990 X 12 22,990 0 0
- -
0 DUFF & PHELPS UTILS INCOME I 26432410 79 9,000 X X 04 0 9,000 0
COM
0 4 503 X X 08 503 0 0
0 2 222 X 09 222 0 0
0 263 29,800 X X 09 5,000 24,800 0
- -
0 DUKE ENERGY CORP 26439910 1,052 20,030 X 04 19,618 0 412
COM
0 188 3,589 X X 04 1,763 1,826 0
0 218 4,144 X 05 3,944 0 200
0 1,746 33,250 X X 05 33,250 0 0
0 29,799 567,600 X 06 567,600 0 0
0 11,697 222,805 X 08 220,003 0 2,802
0 6,296 119,921 X X 08 108,919 9,300 1,702
0 31,678 603,393 X 09 590,216 1,600 11,577
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 127 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,531 86,296 X X 09 66,457 730 19,109
- -
0 DUKE WEEKS REALTY CORP 26441150 19 1,000 X 08 1,000 0 0
COM NEW
0 1,240 64,853 X 09 60,853 0 4,000
- -
0 DUN & BRADSTREET CORP DEL 26483B10 34 1,200 X X 04 0 1,200 0
COM
0 31 1,100 X 08 1,100 0 0
0 32 1,124 X X 08 1,124 0 0
0 1,842 64,360 X 09 62,910 0 1,450
0 3,221 112,514 X X 09 28,298 3,100 81,116
- -
0 DURA AUTOMOTIVE SYSTEMS CORP 26590310 345 20,100 X 09 20,100 0 0
CL A
- -
0 DURA PHARMACEUTICALS INC 26632S10 145 11,800 X 09 11,800 0 0
COM
0 214 17,400 X 12 17,400 0 0
- -
0 DUSA PHARMACEUTICALS INC 26689810 1,129 47,150 X 12 47,150 0 0
COM
- -
0 DYCOM INDS INC 26747510 15,758 323,250 X 06 323,250 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 128 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,026 82,575 X 08 82,575 0 0
0 10,768 220,875 X 09 220,650 0 225
- -
0 DYNEGY INC NEW 26816Q10 10 158 X 04 158 0 0
CL A
0 12 190 X X 04 190 0 0
0 19 300 X X 08 300 0 0
0 17,099 272,550 X 09 272,550 0 0
0 13 215 X X 09 0 0 215
- -
0 ECI TELECOM LTD 26825810 8 250 X 04 250 0 0
ORD
0 75 2,400 X X 08 2,400 0 0
0 251 8,000 X X 09 0 0 8,000
- -
0 EEX CORP 26842V20 3 899 X 01 0 0 899
COM NEW
0 127 37,532 X 08 37,532 0 0
0 0 1 X X 08 1 0 0
0 510 151,073 X 09 151,073 0 0
0 34 10,000 X 12 10,000 0 0
- -
0 E M C CORP MASS 26864810 10,966 87,032 X 04 74,532 0 12,500
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 129 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,093 24,550 X X 04 9,250 2,100 13,200
0 1,896 15,050 X 05 9,500 0 5,550
0 12,159 96,500 X X 05 93,300 0 3,200
0 107,876 856,160 X 06 856,160 0 0
0 118,053 936,929 X 08 930,229 0 6,700
0 20,913 165,975 X X 08 150,575 11,000 4,400
0 384,440 3,051,115 X 09 2,578,003 79,720 393,392
0 133,272 1,057,716 X X 09 584,108 175,046 298,562
0 22,771 180,723 X 12 180,723 0 0
- -
0 ENSCO INTL INC 26874Q10 1,557 43,100 X 09 43,100 0 0
COM
0 2,416 66,884 X 12 66,884 0 0
- -
0 ENI S P A 26874R10 1,727 34,035 X 12 34,035 0 0
SPONSORED ADR
- -
0 EOG RES INC 26875P10 6 300 X 05 0 0 300
COM
0 123 5,800 X 08 5,000 0 800
0 417 19,700 X 09 11,700 8,000 0
- -
0 EPIX MEDICAL INC 26881Q10 3,396 154,360 X 12 154,360 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 130 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 PIPHANY INC 26881V10 815 6,100 X 12 6,100 0 0
COM
- -
0 ESPS INC 26912910 2,442 355,156 X 12 355,156 0 0
COM
- -
0 ETEC SYS INC 26922C10 0 169,100 X 01 0 0 169,100
COM
- -
0 E-TEK DYNAMICS INC 26924010 6 25 X 09 25 0 0
COM
0 1,047 4,450 X 12 4,450 0 0
- -
0 E TOWN 26924210 3,292 52,050 X 06 52,050 0 0
COM
0 686 10,850 X 08 10,850 0 0
0 2,135 33,750 X 09 33,750 0 0
- -
0 E TRADE GROUP INC 26924610 949 31,500 X 06 31,500 0 0
COM
0 200 6,640 X 09 6,640 0 0
0 606 20,100 X X 09 18,700 0 1,400
0 238 7,900 X 12 7,900 0 0
- -
0 EARTHGRAINS CO 27031910 11 768 X X 04 0 0 768
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 131 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,400 X X 08 1,400 0 0
0 1,307 87,832 X 09 87,776 0 56
0 1,065 71,600 X X 09 39,464 0 32,136
- -
0 EARTHSHELL CORP 27032B10 320 77,515 X 12 77,515 0 0
COM
- -
0 EARTHLINK INC 27032110 2,014 103,636 X 01 0 0 103,636
COM
0 3 150 X 04 150 0 0
0 184 9,461 X 09 9,200 0 261
0 136 7,000 X X 09 7,000 0 0
- -
0 EASTERN ENTERPRISES 27637F10 37 611 X X 08 611 0 0
COM
0 28 472 X 09 472 0 0
0 421 7,031 X X 09 531 0 6,500
- -
0 EASTMAN CHEM CO 27743210 82 1,806 X 04 1,806 0 0
COM
0 26 572 X X 04 450 0 122
0 55 1,200 X 05 1,200 0 0
0 34 750 X X 05 0 0 750
0 79 1,745 X 08 1,745 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 132 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 45 996 X X 08 396 0 600
0 11,404 250,646 X 09 249,336 56 1,254
0 3,978 87,418 X X 09 79,928 784 6,706
- -
0 EASTMAN KODAK CO 27746110 375 6,900 X 04 6,900 0 0
COM
0 148 2,723 X X 04 2,300 0 423
0 10 175 X 05 100 0 75
0 815 15,000 X X 05 15,000 0 0
0 922 16,973 X 08 16,973 0 0
0 535 9,859 X X 08 9,439 420 0
0 53,934 993,023 X 09 982,761 225 10,037
0 27,122 499,363 X X 09 416,728 39,489 43,146
- -
0 EATON CORP 27805810 94 1,200 X 04 1,200 0 0
COM
0 59 750 X X 08 0 0 750
0 1,223 15,683 X 09 13,783 0 1,900
0 1,171 15,014 X X 09 10,214 0 4,800
- -
0 EBAY INC 27864210 2,719 15,450 X 01 0 0 15,450
COM
0 2,149 12,209 X 09 12,209 0 0
0 1,015 5,765 X X 09 5,315 300 150
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 133 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,015 11,450 X 12 11,450 0 0
- -
0 ECHELON CORP 27874N10 5,940 90,685 X X 09 90,685 0 0
COM
- -
0 ECHOSTAR COMMUNICATIONS NEW 27876210 6 80 X 04 80 0 0
CL A
0 1,082 13,700 X X 08 10,800 0 2,900
0 901 11,400 X 09 11,400 0 0
0 47 600 X X 09 0 600 0
0 1,889 23,910 X 12 23,910 0 0
- -
0 ECOLAB INC 27886510 917 25,000 X X 05 25,000 0 0
COM
0 5,730 156,195 X 08 155,570 0 625
0 948 25,850 X X 08 24,150 1,450 250
0 4,132 112,620 X 09 110,070 500 2,050
0 576 15,700 X X 09 3,500 0 12,200
- -
0 EDISON INTL 28102010 33 2,000 X X 04 2,000 0 0
COM
0 50 3,000 X X 05 3,000 0 0
0 57 3,433 X 08 3,433 0 0
0 86 5,168 X X 08 4,550 0 618
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 134 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 666 40,217 X 09 40,217 0 0
0 560 33,781 X X 09 25,301 0 8,480
- -
0 EDISON SCHOOLS INC 28103310 981 50,000 X 06 50,000 0 0
CL A
- -
0 J D EDWARDS & CO 28166710 1,648 50,600 X 04 600 0 50,000
COM
0 1,343 41,250 X 09 41,250 0 0
- -
0 EDWARDS AG INC 28176010 36 900 X 05 0 0 900
COM
0 814 20,356 X 09 20,356 0 0
- -
0 EL PASO ELEC CO 28367785 1 64 X 08 64 0 0
COM NEW
0 164 15,800 X 09 15,800 0 0
- -
0 EL PASO ENERGY CORP DEL 28390510 928 22,984 X 04 21,984 0 1,000
COM
0 73 1,800 X X 04 0 1,800 0
0 16 400 X 05 200 0 200
0 140 3,466 X X 05 3,466 0 0
0 11,458 283,800 X 06 283,800 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 135 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,337 107,416 X 08 107,416 0 0
0 4,514 111,794 X X 08 100,112 11,000 682
0 24,092 596,695 X 09 579,114 9,060 8,521
0 4,983 123,418 X X 09 90,636 4,300 28,482
- -
0 ELAN PLC 28413120 2,173 45,750 X 04 33,450 0 12,300
ADR
0 105 2,200 X 05 0 0 2,200
0 5,131 108,020 X 08 108,020 0 0
0 3,396 71,500 X X 08 65,950 3,900 1,650
0 22,501 473,713 X 09 442,165 4,600 26,948
0 2,818 59,325 X X 09 47,155 900 11,270
- -
0 ELANTEC SEMICONDUCTOR INC 28415510 74 1,000 X X 09 0 0 1,000
COM
0 679 9,224 X 12 9,224 0 0
- -
0 ELBIT COMPUTERS LTD 28427510 325 25,000 X 12 25,000 0 0
ORD
- -
0 ELCOR CORP 28444310 14,342 415,700 X 06 415,700 0 0
COM
0 3,917 113,550 X 08 113,550 0 0
0 10,460 303,200 X 09 302,950 0 250
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 136 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 306 4,300 X 01 0 0 4,300
COM
0 8,543 120,000 X 06 120,000 0 0
0 14 200 X 08 0 0 200
0 8,258 116,000 X 09 116,000 0 0
0 46 650 X X 09 0 0 650
0 950 13,350 X 12 13,350 0 0
- -
0 ELECTRONIC DATA SYS NEW 28566110 64 1,000 X 04 1,000 0 0
COM
0 82 1,281 X X 04 1,281 0 0
0 71 1,100 X 05 0 0 1,100
0 90 1,400 X X 05 0 0 1,400
0 6,449 100,478 X 08 97,478 0 3,000
0 9,410 146,595 X X 08 111,634 10,140 24,821
0 6,470 100,797 X 09 79,845 0 20,952
0 4,168 64,937 X X 09 48,324 0 16,613
0 471 7,338 X 12 7,338 0 0
- -
0 ELECTRONICS FOR IMAGING INC 28608210 12,522 208,700 X 06 208,700 0 0
COM
0 12,168 202,800 X 09 202,800 0 0
- -
0 ELOYALTY CORP 29015110 2,048 85,769 X 09 85,769 0 0
COM
- -
0 EMBRATEL PARTICIPACOES S A 29081N10 1,376 53,700 X 09 53,700 0 0
SPON ADR PFD
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 137 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
EMERSON ELEC CO 29101110 340 6,400 X 04 5,400 0 1,000
COM
0 181 3,400 X X 04 400 0 3,000
0 142 2,675 X 05 2,200 0 475
0 40 750 X X 05 750 0 0
0 5,413 101,894 X 08 101,694 0 200
0 6,690 125,930 X X 08 93,130 16,100 16,700
0 20,946 394,287 X 09 368,267 5,560 20,460
0 21,439 403,550 X X 09 274,199 13,174 116,177
0 447 8,416 X 12 8,416 0 0
- -
0 EMERSON RADIO CORP 29108720 817 1,089,800 X 09 1,089,800 0 0
COM NEW
- -
0 EMISPHERE TECHNOLOGIES INC 29134510 363 7,000 X X 09 0 0 7,000
COM
0 6,837 131,800 X 12 131,800 0 0
- -
0 EMONS TRANSN GRP INC 29157510 632 288,682 X 09 288,613 0 69
COM
- -
0 EMPRESAS ICA SOCIEDAD CONTRL 29244810 520 213,200 X 04 213,200 0 0
SPONSORED ADR
- -
0 EMULEX CORP 29247520 207 1,900 X 09 1,900 0 0
COM NEW
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 138 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,528 23,170 X 12 23,170 0 0
- -
0 ENDESA S A 29258N10 188 8,000 X X 04 0 0 8,000
SPONSORED ADR
0 56 2,400 X 09 2,400 0 0
0 785 33,500 X X 09 22,400 0 11,100
- -
0 ENDOREX CORP 29264N30 476 86,487 X 09 86,487 0 0
COM NEW
- -
0 ENERGY EAST CORP 29266M10 107 5,400 X 04 5,400 0 0
COM
0 56 2,847 X X 04 2,577 270 0
0 4,642 234,300 X 06 234,300 0 0
0 31 1,588 X 08 1,588 0 0
0 20 1,000 X X 08 0 0 1,000
0 5,007 252,693 X 09 252,693 0 0
0 248 12,501 X X 09 7,501 5,000 0
- -
0 ENGELHARD CORP 29284510 6 424 X X 04 424 0 0
COM
0 51 3,400 X 09 1,400 0 2,000
0 1,111 73,462 X X 09 56,130 1,457 15,875
- -
0 ENRON CORP 29356110 1,697 22,670 X 04 21,270 0 1,400
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 139 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 462 6,175 X X 04 1,575 1,800 2,800
0 30 400 X 05 0 0 400
0 30 400 X X 05 0 0 400
0 91,259 1,218,820 X 06 1,218,820 0 0
0 60,111 802,824 X 08 796,024 0 6,800
0 20,409 272,577 X X 08 194,131 72,146 6,300
0 167,081 2,231,460 X 09 2,173,362 19,150 38,948
0 36,066 481,682 X X 09 404,844 16,140 60,698
0 447 5,970 X 12 5,970 0 0
- -
0 ENTERCOM COMMUNICATIONS CORP 29363910 71,179 1,395,669 X 03 0 0 1,395,669
CL A
- -
0 ENTERTAINMENT PPTYS TR 29380T10 597 45,300 X 09 45,300 0 0
COM SH BEN INT
0 80 6,100 X X 09 4,500 1,600 0
- -
0 ENTREMED INC 29382F10 912 15,400 X X 09 15,000 0 400
COM
- -
0 ENTRUST TECHNOLOGIES INC 29384810 438 5,150 X 12 5,150 0 0
COM
- -
0 ENVIRONMENTAL TECTONICS CORP 29409210 2,015 191,866 X 11 191,866 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 140 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ENZO BIOCHEM INC 29410010 229 3,300 X 09 3,300 0 0
COM
0 22 315 X X 09 0 0 315
- -
0 EPICOR SOFTWARE CORP 29426L10 434 51,005 X 12 51,005 0 0
COM
- -
0 EQUANT N V 29440910 12,450 146,367 X X 03 146,367 0 0
NY REG SHS
0 1,724 20,265 X 09 19,265 0 1,000
- -
0 EQUIFAX INC 29442910 590 23,350 X 08 23,350 0 0
COM
0 646 25,600 X X 08 15,250 1,050 9,300
0 533 21,125 X 09 19,525 1,400 200
0 4,826 191,117 X X 09 185,117 0 6,000
- -
0 EQUITABLE RES INC 29454910 45 1,000 X 08 1,000 0 0
COM
0 439 9,787 X 09 9,787 0 0
0 214 4,768 X X 09 4,518 0 250
- -
0 EQUITY INCOME FD 29470070 59 300 X 08 300 0 0
UT 1 EX SR-ATT
0 2,204 11,200 X X 08 11,200 0 0
0 177 900 X 09 900 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 141 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 316 1,606 X X 09 1,556 0 50
- -
0 EQUITY OFFICE PROPERTIES TRU 29474110 1,927 76,695 X 09 69,677 2,800 4,218
COM
0 455 18,117 X X 09 2,649 0 15,468
- -
0 EQUITY OFFICE PROPERTIES TRU 29474150 1,596 42,000 X X 09 42,000 0 0
PFD CV B 5.25%
- -
0 EQUITY RESIDENTIAL PPTYS TR 29476L10 241 6,000 X X 04 0 6,000 0
SH BEN INT
0 723 18,000 X X 05 17,000 0 1,000
0 1,739 43,275 X 08 42,875 0 400
0 1,164 28,975 X X 08 24,625 4,100 250
0 2,719 67,660 X 09 60,360 1,000 6,300
0 1,221 30,380 X X 09 18,880 4,600 6,900
- -
0 ERICSSON L M TEL CO 29482140 159 1,700 X 01 0 0 1,700
ADR CL B SEK10
0 4,184 44,600 X 04 22,600 0 22,000
0 388 4,140 X X 04 1,000 0 3,140
0 19 200 X 05 200 0 0
0 103 1,100 X X 05 1,100 0 0
0 2,120 22,600 X 08 22,600 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 142 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 19 200 X X 08 200 0 0
0 40,097 427,417 X 09 299,714 23,500 104,203
0 21,443 228,569 X X 09 109,689 7,200 111,680
0 2,974 31,700 X 12 31,700 0 0
- -
0 ESHARE TECHNOLOGIES INC GA 29642810 20,521 1,658,301 X 07 1,658,301 0 0
COM
- -
0 ESPEED INC 29664310 608 11,600 X 12 11,600 0 0
CL A
- -
0 ESSEX PPTY TR INC 29717810 3,121 86,700 X 06 86,700 0 0
COM
0 3,863 107,300 X 09 104,300 0 3,000
0 979 27,200 X X 09 24,200 3,000 0
0 562 15,600 X 12 15,600 0 0
- -
0 ETHAN ALLEN INTERIORS INC 29760210 11,273 450,900 X 06 450,900 0 0
COM
0 100 4,000 X 08 4,000 0 0
0 10,913 436,500 X 09 436,500 0 0
0 75 3,000 X X 09 3,000 0 0
- -
0 EVOLVING SYS INC 30049R10 582 61,250 X 12 61,250 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 143 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
EXABYTE CORP 30061510 542 72,900 X 09 72,900 0 0
COM
- -
0 EXCELON CORP 30069110 2,148 190,952 X 12 190,952 0 0
COM
- -
0 EXCHANGE APPLICATIONS 30086710 4,191 79,200 X 09 79,200 0 0
COM
0 2,704 51,100 X 12 51,100 0 0
- -
0 EXIDE CORP 30205110 253 21,400 X 09 21,400 0 0
COM
- -
0 EXODUS COMMUNICATIONS INC 30208810 2,093 14,900 X 01 0 0 14,900
COM
0 28 200 X 04 200 0 0
0 140 996 X X 08 896 100 0
0 21,378 152,160 X 09 152,160 0 0
0 5,369 38,210 X X 09 38,210 0 0
- -
0 EXPEDITORS INTL WASH INC 30213010 1,228 30,900 X 09 30,900 0 0
COM
- -
0 EXPONET INC 30214U10 825 75,000 X 12 75,000 0 0
COM
- -
0 EXPRESS SCRIPTS INC 30218210 869 20,700 X 09 20,700 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 144 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 193 4,600 X X 09 0 0 4,600
- -
0 EXTENSITY INC 30225510 300 6,250 X 12 6,250 0 0
COM
- -
0 EXTREME NETWORKS INC 30226D10 11 135 X 08 135 0 0
COM
0 1,562 19,771 X 12 19,771 0 0
- -
0 EXXON MOBIL CORP 30231G10 12,920 165,773 X 04 135,991 0 29,782
COM
0 15,385 197,402 X X 04 90,389 41,672 65,341
0 1,851 23,748 X 05 18,480 0 5,268
0 2,538 32,566 X X 05 32,302 0 264
0 163,565 2,098,652 X 06 2,098,652 0 0
0 193,967 2,488,731 X 08 2,473,245 11,584 3,902
0 732,200 9,394,642 X X 08 8,333,134 901,175 160,333
0 675,716 8,669,918 X 09 8,264,704 59,477 345,737
0 710,345 9,114,230 X X 09 5,602,632 251,859 3,259,739
0 5,947 76,306 X 12 76,306 0 0
- -
0 FEI CO 30241L10 480 16,000 X 12 16,000 0 0
COM
- -
0 FLIR SYS INC 30244510 951 103,500 X 12 103,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 145 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
F M C CORP 30249130 90 1,600 X X 08 1,600 0 0
COM NEW
0 237 4,200 X 09 4,200 0 0
0 379 6,700 X X 09 3,700 0 3,000
- -
0 FPL GROUP INC 30257110 514 11,150 X 04 9,250 0 1,900
COM
0 118 2,560 X X 04 1,960 400 200
0 493 10,700 X X 05 10,700 0 0
0 898 19,500 X 08 19,500 0 0
0 438 9,500 X X 08 6,500 0 3,000
0 9,211 199,964 X 09 195,104 0 4,860
0 3,609 78,348 X X 09 63,469 1,800 13,079
- -
0 FVNB CORP 30267410 684 18,240 X 08 18,240 0 0
COM
- -
0 F Y I INC 30271210 1,935 71,350 X 06 71,350 0 0
COM
0 81 3,000 X 09 3,000 0 0
- -
0 FACTORY 2-U INC 30307210 298 11,900 X 09 11,900 0 0
COM
- -
0 FACTSET RESH SYS INC 30307510 2,336 86,300 X 09 86,300 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 146 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
FAIR ISAAC & CO INC 30325010 264 6,800 X 09 6,800 0 0
COM
- -
0 FAIRCHILD SEMICONDUCTOR INTL 30372610 1,551 42,500 X 09 42,500 0 0
CL A
- -
0 FAIRMARKET INC 30515810 341 15,000 X 06 15,000 0 0
COM
- -
0 FARGO ELECTRONICS INC 30744P10 194 16,100 X 09 16,100 0 0
COM
- -
0 FASTNET CORP 31187710 655 54,000 X 09 54,000 0 0
COM
0 1,100 90,750 X 12 90,750 0 0
- -
0 FEDERAL HOME LN MTG CORP 31340030 614 13,900 X 04 6,700 0 7,200
COM
0 37 840 X X 04 400 0 440
0 27 600 X 05 300 0 300
0 2,351 53,200 X X 05 53,200 0 0
0 17,034 385,500 X 06 385,500 0 0
0 2,587 58,550 X 08 58,550 0 0
0 1,059 23,975 X X 08 23,675 300 0
0 40,894 925,447 X 09 864,037 18,650 42,760
0 9,234 208,960 X X 09 103,005 3,300 102,655
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 147 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 806 18,251 X 12 18,251 0 0
- -
0 FEDERAL NATL MTG ASSN 31358610 3,281 58,000 X 04 55,340 0 2,660
COM
0 1,366 24,157 X X 04 17,792 300 6,065
0 293 5,175 X 05 1,500 0 3,675
0 30,171 533,400 X 06 533,400 0 0
0 18,966 335,306 X 08 329,806 0 5,500
0 10,285 181,825 X X 08 120,600 3,500 57,725
0 94,041 1,662,580 X 09 1,552,307 15,383 94,890
0 39,444 697,348 X X 09 394,725 15,940 286,683
0 1,351 23,883 X 12 23,883 0 0
- -
0 FEDERAL SIGNAL CORP 31385510 68 3,790 X 09 3,040 500 250
COM
0 119 6,580 X X 09 3,540 0 3,040
- -
0 FEDERATED DEPT STORES INC DE 31410H10 318 7,525 X 04 7,005 0 520
COM
0 85 2,000 X X 04 0 0 2,000
0 173 4,100 X 05 2,500 0 1,600
0 2,182 51,649 X 08 51,649 0 0
0 2,400 56,800 X X 08 31,500 24,900 400
0 4,624 109,443 X 09 100,593 600 8,250
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 148 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 571 13,515 X X 09 9,565 1,499 2,451
- -
0 FEDERATED INVS INC PA 31421110 7,511 275,000 X 06 275,000 0 0
CL B
0 5,463 200,000 X 09 200,000 0 0
- -
0 FEDEX CORP 31428X10 8 200 X 04 0 0 200
COM
0 39 1,000 X 08 1,000 0 0
0 17,237 444,092 X 09 444,092 0 0
0 11 280 X X 09 149 0 131
0 256 6,600 X 12 6,600 0 0
- -
0 FELCOR LODGING TR INC 31430F10 1,846 103,300 X 09 103,300 0 0
COM
- -
0 FIFTH THIRD BANCORP 31677310 68 1,084 X 04 1,084 0 0
COM
0 6,660 105,721 X 09 98,072 1,125 6,524
0 81 1,288 X X 09 89 0 1,199
0 1,540 24,450 X 12 24,450 0 0
- -
0 FILENET CORP 31686910 10,874 365,500 X 06 365,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 149 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,939 98,800 X 08 98,800 0 0
0 8,745 293,950 X 09 293,700 0 250
- -
0 FINISAR 31787A10 1,538 10,500 X 09 10,500 0 0
COM
0 750 5,120 X 12 5,120 0 0
- -
0 FINOVA GROUP INC 31792810 48 2,850 X 04 2,600 0 250
COM
0 835 49,642 X 08 49,642 0 0
0 176 10,458 X X 08 4,658 5,000 800
0 473 28,158 X 09 21,958 3,250 2,950
0 228 13,590 X X 09 10,190 0 3,400
- -
0 FIRST AMERN FINL CORP 31852230 237 17,000 X 09 17,000 0 0
COM
- -
0 FIRST AUSTRALIA PRIME INCOME 31865310 6 1,440 X X 04 1,440 0 0
COM
0 5 1,000 X 08 1,000 0 0
0 1 315 X 09 315 0 0
0 77 17,132 X X 09 17,132 0 0
0 0 105 X 12 105 0 0
- -
0 FIRST CONSULTING GROUP INC 31986R10 408 25,080 X 12 25,080 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 150 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 DATA CORP 31996310 442 9,950 X X 04 9,950 0 0
COM
0 36 800 X X 05 0 0 800
0 2,245 50,600 X 08 50,600 0 0
0 943 21,250 X X 08 19,700 1,200 350
0 7,025 158,308 X 09 130,188 10,399 17,721
0 8,122 183,032 X X 09 129,639 13,942 39,451
0 247 5,568 X 12 5,568 0 0
- -
0 FIRST INDUSTRIAL REALTY TRUS 32054K10 2,346 86,100 X 09 86,100 0 0
COM
- -
0 FIRST SEC CORP DEL 33629410 589 49,065 X 09 49,065 0 0
COM
- -
0 FIRST UN CORP 33735810 484 13,000 X 04 11,990 0 1,010
COM
0 261 6,996 X X 04 3,496 1,600 1,900
0 51 1,367 X 05 800 0 567
0 91 2,434 X X 05 1,434 0 1,000
0 5,218 140,080 X 08 139,580 0 500
0 3,783 101,551 X X 08 86,600 13,300 1,651
0 24,017 644,752 X 09 587,618 7,150 49,984
0 19,551 524,847 X X 09 343,611 59,402 121,834
- -
0 FIRST VA BANKS INC 33747710 85 2,250 X 04 2,250 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 151 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 28 750 X X 08 750 0 0
0 3,740 99,579 X 09 93,404 0 6,175
0 6,378 169,785 X X 09 142,880 7,050 19,855
- -
0 FIRST WASH RLTY TR INC 33748950 780 42,000 X 09 42,000 0 0
COM
- -
0 FIRSTAR CORP NEW WIS 33763V10 422 18,419 X 04 18,419 0 0
COM
0 10,570 460,800 X 06 460,800 0 0
0 255 11,100 X 08 11,100 0 0
0 22,174 966,696 X 09 962,096 4,600 0
0 1,460 63,663 X X 09 59,263 0 4,400
- -
0 FISERV INC 33773810 251 6,750 X 04 0 0 6,750
COM
0 39 1,057 X 09 0 0 1,057
- -
0 FIRSTFED FINL CORP 33790710 404 30,500 X 09 30,500 0 0
COM
- -
0 FIRSTENERGY CORP 33793210 21 998 X 04 698 0 300
COM
0 12 600 X X 04 600 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 152 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,901 X X 08 300 1 1,600
0 174 8,435 X 09 5,435 0 3,000
0 403 19,533 X X 09 16,594 2,625 314
- -
0 FISHER SCIENTIFIC INTL INC 33803220 194,346 4,367,335 X 03 0 0 4,367,335
COM NEW
- -
0 FLEETBOSTON FINL CORP 33903010 53 1,460 X 04 276 0 1,184
COM
0 15 418 X 05 0 0 418
0 58 1,600 X X 05 1,600 0 0
0 22 600 X 08 600 0 0
0 619 16,952 X X 08 16,452 0 500
0 15,312 419,510 X 09 412,821 0 6,689
0 1,635 44,806 X X 09 33,022 207 11,577
- -
0 FLEETWOOD ENTERPRISES INC 33909910 12 800 X X 04 800 0 0
COM
0 21 1,400 X 05 0 0 1,400
0 103 7,000 X 08 7,000 0 0
0 735 49,800 X 09 49,800 0 0
0 1 100 X X 09 100 0 0
- -
0 FLEMING COS INC 33913010 297 19,702 X 09 19,702 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 153 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 108 2,345 X 04 2,345 0 0
COM
0 104 2,275 X X 04 2,275 0 0
0 7 150 X X 05 0 0 150
0 40 880 X 08 880 0 0
0 1,212 26,413 X 09 22,913 0 3,500
0 3,397 74,058 X X 09 49,108 1,500 23,450
- -
0 FLOWERS INDS INC 34349610 117 7,717 X 08 7,717 0 0
COM
0 1,202 79,115 X 09 79,115 0 0
0 285 18,762 X X 09 18,762 0 0
- -
0 FLUOR CORP 34386110 6 200 X 05 50 0 150
COM
0 31 1,000 X X 05 1,000 0 0
0 62 2,000 X 08 2,000 0 0
0 186 6,000 X X 08 6,000 0 0
0 161 5,200 X 09 3,100 0 2,100
0 353 11,390 X X 09 5,500 0 5,890
- -
0 FORD MTR CO DEL 34537010 390 8,500 X 01 0 0 8,500
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 154 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 330 7,190 X 04 7,190 0 0
0 672 14,620 X X 04 9,152 3,968 1,500
0 473 10,300 X 05 8,800 0 1,500
0 44 950 X X 05 500 0 450
0 56,937 1,239,440 X 06 1,239,440 0 0
0 13,431 292,369 X 08 292,169 0 200
0 7,607 165,585 X X 08 82,242 2,897 80,446
0 93,298 2,030,962 X 09 1,932,042 3,600 95,320
0 26,084 567,818 X X 09 64,538 9,609 493,671
0 2,189 47,643 X 12 47,643 0 0
- -
0 FOREST CITY ENTERPRISES INC 34555010 1,028 35,000 X 09 35,000 0 0
CL A
- -
0 FOREST LABS INC 34583810 21,319 252,300 X 06 252,300 0 0
COM
0 110 1,300 X X 08 1,300 0 0
0 20,884 247,150 X 09 246,000 0 1,150
0 761 9,000 X X 09 7,000 0 2,000
0 5,816 68,823 X 12 68,823 0 0
- -
0 FORRESTER RESH INC 34656310 315 5,800 X 09 5,800 0 0
COM
- -
0 FORTUNE BRANDS INC 34963110 111 4,442 X 04 3,892 0 550
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 155 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 220 8,800 X X 04 2,000 6,800 0
0 165 6,600 X 08 6,600 0 0
0 58 2,300 X X 08 400 1,200 700
0 630 25,217 X 09 23,717 0 1,500
0 615 24,602 X X 09 23,602 0 1,000
- -
0 FORWARD AIR CORP 34985310 272 11,500 X 09 11,500 0 0
COM
- -
0 FOUNDATION HEALTH SYS INC 35040410 189 23,600 X 09 23,600 0 0
COM
- -
0 FOUNDRY NETWORKS INC 35063R10 79 550 X 09 550 0 0
COM
0 216 1,500 X X 09 1,500 0 0
0 3,124 21,735 X 12 21,735 0 0
- -
0 FRANCE TELECOM 35177Q10 487 2,750 X 09 2,500 250 0
SPONSORED ADR
- -
0 FRANKLIN RES INC 35461310 75 2,250 X 04 0 0 2,250
COM
0 1,718 51,364 X 08 51,364 0 0
0 548 16,400 X X 08 10,400 3,000 3,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 156 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 74 2,215 X X 09 117 0 2,098
- -
0 FREEPORT-MCMORAN COPPER & GO 35671D85 9,606 796,300 X 06 796,300 0 0
CL B
0 19 1,555 X 08 1,555 0 0
0 9,311 771,857 X 09 771,856 0 1
0 17 1,405 X X 09 1,125 280 0
- -
0 FRIEDMANS INC 35843810 97 15,700 X 09 15,700 0 0
CL A
- -
0 FRITZ COS INC 35884610 111 11,000 X 09 11,000 0 0
COM
- -
0 FRONTIER OIL CORP 35914P10 75 10,000 X X 08 0 10,000 0
COM
- -
0 FUELCELL ENERGY INC 35952H10 235 3,000 X 09 3,000 0 0
COM
- -
0 GATX CORP 36144810 11 300 X 04 300 0 0
COM
0 611 16,076 X 09 16,076 0 0
0 936 24,640 X X 09 22,292 1,200 1,148
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 157 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
GPU INC 36225X10 22 800 X 05 800 0 0
COM
0 15 550 X X 05 0 0 550
0 296 10,800 X 08 10,800 0 0
0 129 4,700 X X 08 4,700 0 0
0 2,517 91,935 X 09 90,935 0 1,000
0 649 23,698 X X 09 19,764 1,200 2,734
- -
0 GTE CORP 36232010 3,133 44,123 X 04 36,623 100 7,400
COM
0 3,910 55,067 X X 04 24,891 16,426 13,750
0 146 2,050 X 05 1,700 0 350
0 3,195 45,000 X X 05 44,000 0 1,000
0 75,660 1,065,635 X 06 1,065,635 0 0
0 39,935 562,465 X 08 557,665 0 4,800
0 15,463 217,793 X X 08 190,412 24,348 3,033
0 127,505 1,795,848 X 09 1,680,824 15,800 99,224
0 47,026 662,333 X X 09 516,848 35,050 110,435
0 771 10,857 X 12 10,857 0 0
- -
0 GABELLI EQUITY TR INC 36239710 150 12,383 X 12 12,383 0 0
COM
- -
0 GABLES RESIDENTIAL TR 36241810 992 44,100 X 09 44,100 0 0
SH BEN INT
- -
0 GADZOOX NETWORKS INC 36255510 10 200 X 08 200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 158 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,386 70,627 X 12 70,627 0 0
- -
0 GALLAGHER ARTHUR J & CO 36357610 7,813 240,400 X 06 240,400 0 0
COM
0 2,030 62,460 X 08 62,460 0 0
0 5,805 178,600 X 09 178,400 0 200
- -
0 GALLAHER GROUP PLC 36359510 59 3,000 X 04 3,000 0 0
SPONSORED ADR
0 39 2,000 X X 04 2,000 0 0
0 104 5,268 X 08 5,268 0 0
0 24 1,200 X X 08 0 1,200 0
0 169 8,560 X 09 5,560 0 3,000
0 342 17,386 X X 09 16,386 0 1,000
- -
0 GANNETT INC 36473010 63 900 X 04 300 0 600
COM
0 253 3,600 X X 04 1,000 600 2,000
0 25,017 355,482 X 05 3,500 0 351,982
0 507 7,200 X X 05 7,200 0 0
0 3,419 48,584 X 08 46,584 2,000 0
0 3,425 48,666 X X 08 31,866 3,000 13,800
0 35,399 503,000 X 09 492,550 200 10,250
0 58,495 831,195 X X 09 777,348 5,850 47,997
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 159 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 257 3,653 X 12 3,653 0 0
- -
0 GAP INC DEL 36476010 9,091 182,509 X 04 155,447 0 27,062
COM
0 1,407 28,249 X X 04 6,524 800 20,925
0 77 1,550 X 05 1,550 0 0
0 47,599 955,561 X 06 955,561 0 0
0 32,147 645,348 X 08 644,698 0 650
0 4,481 89,960 X X 08 81,010 4,550 4,400
0 66,981 1,344,641 X 09 1,302,789 5,150 36,702
0 18,671 374,818 X X 09 80,270 204,916 89,632
0 2,776 55,725 X 12 55,725 0 0
- -
0 GARDEN COM INC 36519910 308 37,900 X 12 37,900 0 0
COM
- -
0 GARTNER GROUP INC NEW 36665120 4 312 X X 04 0 312 0
CL B
0 14 1,035 X 08 1,035 0 0
0 14 1,027 X X 08 1,027 0 0
0 139 10,409 X 09 10,292 0 117
0 307 23,033 X X 09 7,217 1,119 14,697
- -
0 GATEWAY INC 36762610 212 4,000 X 04 2,000 0 2,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 160 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 3,000 X X 04 0 1,000 2,000
0 27 500 X 08 500 0 0
0 2,831 53,360 X 09 44,360 0 9,000
0 1,592 30,016 X X 09 26,318 0 3,698
0 993 18,728 X 12 18,728 0 0
- -
0 GENE LOGIC INC 36868910 328 7,800 X 09 7,800 0 0
COM
0 63 1,500 X X 09 0 0 1,500
0 3,645 86,650 X 12 86,650 0 0
- -
0 GENENTECH INC 36871040 9,899 65,125 X 09 64,525 0 600
COM NEW
0 654 4,300 X X 09 900 0 3,400
0 5,376 35,371 X 12 35,371 0 0
- -
0 GENERAL AMERN INVS INC 36880210 127 3,216 X 09 3,216 0 0
COM
0 1,915 48,645 X X 09 33,662 14,983 0
- -
0 GENERAL CABLE CORP DEL NEW 36930010 202 25,800 X 12 25,800 0 0
COM
- -
0 GENERAL COMMUNICATION INC 36938510 328 61,032 X 08 61,032 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 161 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 DYNAMICS CORP 36955010 50 1,000 X 04 0 0 1,000
COM
0 124 2,496 X X 04 96 400 2,000
0 323 6,500 X X 08 1,000 0 5,500
0 244 4,900 X 09 3,700 0 1,200
0 612 12,300 X X 09 12,300 0 0
- -
0 GENERAL ELEC CO 36960410 1,012 6,500 X 01 0 0 6,500
COM
0 23,059 148,173 X 04 114,528 0 33,645
0 24,055 154,568 X X 04 83,591 21,518 49,459
0 3,140 20,174 X 05 14,274 0 5,900
0 3,259 20,944 X X 05 18,844 0 2,100
0 212,319 1,364,296 X 06 1,364,296 0 0
0 292,440 1,879,132 X 08 1,861,082 9,200 8,850
0 154,178 990,699 X X 08 749,856 98,621 142,222
0 107,297 7,115,159 X 09 6,733,379 50,570 331,210
0 28,871 6,611,219 X X 09 4,819,855 269,765 1,521,599
0 20,821 133,791 X 12 133,791 0 0
- -
0 GENERAL MLS INC 37033410 270 7,451 X 04 4,851 0 2,600
COM
0 340 9,400 X X 04 7,400 0 2,000
0 845 23,350 X 08 22,550 0 800
0 3,313 91,563 X X 08 73,946 13,617 4,000
0 24,516 677,461 X 09 666,437 2,400 8,624
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 162 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 9,835 271,784 X X 09 221,642 846 49,296
- -
0 GENERAL MTRS CORP 37044210 187 2,260 X 04 260 0 2,000
COM
0 437 5,280 X X 04 2,780 1,000 1,500
0 17 200 X 05 200 0 0
0 83 1,000 X X 05 300 0 700
0 41,632 502,725 X 06 502,725 0 0
0 21,969 265,280 X 08 264,880 300 100
0 3,710 44,801 X X 08 33,167 11,100 534
0 80,658 973,981 X 09 959,818 1,000 13,163
0 46,725 564,221 X X 09 116,951 1,450 445,820
0 1,228 14,826 X 12 14,826 0 0
- -
0 GENERAL MTRS CORP 37044283 286 2,300 X 04 300 0 2,000
CL H NEW
0 26 212 X X 04 212 0 0
0 87 700 X 05 700 0 0
0 1,877 15,075 X 08 15,075 0 0
0 1,793 14,400 X X 08 14,400 0 0
0 58,860 472,772 X 09 464,072 0 8,700
0 6,427 51,620 X X 09 44,014 700 6,906
- -
0 GENESCO INC 37153210 794 60,500 X 09 60,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 163 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 9 700 X X 09 0 0 700
- -
0 GENESEE CORP 37160120 904 43,052 X 09 43,052 0 0
CL B
- -
0 GENESIS HEALTH VENTURES INC 37191210 24 34,401 X 10 34,401 0 0
COM
- -
0 GENZYME TRANSGENICS CORP 37246E10 444 22,200 X 12 22,200 0 0
COM
- -
0 GENUINE PARTS CO 37246010 48 2,007 X 04 2,007 0 0
COM
0 41 1,700 X 05 450 0 1,250
0 21 900 X X 05 0 0 900
0 1,077 45,090 X 08 45,090 0 0
0 2,186 91,552 X X 08 82,777 7,975 800
0 1,440 60,306 X 09 38,513 0 21,793
0 2,585 108,268 X X 09 80,923 2,500 24,845
- -
0 GENZYME CORP 37291710 6,723 134,131 X 06 134,131 0 0
COM GENL DIV
0 2,905 57,946 X 08 57,946 0 0
0 52 1,042 X X 08 1,042 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 164 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,060 81,000 X 09 80,400 600 0
0 506 10,100 X X 09 700 0 9,400
0 1,175 23,434 X 12 23,434 0 0
- -
0 GEORGIA PAC CORP 37329810 82 2,080 X 04 2,080 0 0
COM GA PAC GRP
0 47 1,200 X X 08 1,200 0 0
0 4,195 106,031 X 09 104,831 0 1,200
0 3,895 98,442 X X 09 78,376 7,100 12,966
- -
0 GEORGIA PAC CORP 37329870 1 57 X 08 57 0 0
COM-TIMBER GRP
0 545 21,266 X 09 20,666 0 600
0 1,229 47,971 X X 09 39,688 2,600 5,683
- -
0 GERALD STEVENS INC 37369G10 568 71,000 X 12 71,000 0 0
COM
- -
0 GETTY IMAGES INC 37427610 885 24,638 X 09 24,638 0 0
COM
0 163 4,538 X X 09 2,538 0 2,000
- -
0 GILEAD SCIENCES INC 37555810 3,425 54,050 X 12 54,050 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 165 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
GILLETTE CO 37576610 49 1,300 X 01 0 0 1,300
COM
0 799 21,200 X 04 16,200 0 5,000
0 511 13,550 X X 04 2,100 1,000 10,450
0 23 600 X X 05 600 0 0
0 19,086 506,425 X 06 506,425 0 0
0 27,392 726,810 X 08 712,410 8,000 6,400
0 15,938 422,893 X X 08 285,661 63,082 74,150
0 46,185 1,225,453 X 09 1,162,213 17,800 45,440
0 30,990 822,290 X X 09 569,713 106,450 146,127
0 1,122 29,766 X 12 29,766 0 0
- -
0 GLAXO WELLCOME PLC 37733W10 599 10,450 X 04 9,650 0 800
SPONSORED ADR
0 344 6,006 X X 04 3,303 0 2,703
0 29 500 X X 05 500 0 0
0 160 2,800 X 08 0 2,800 0
0 1,477 25,775 X X 08 19,175 6,600 0
0 4,346 75,825 X 09 58,925 400 16,500
0 7,935 138,446 X X 09 45,058 0 93,388
- -
0 GLENBOROUGH RLTY TR INC 37803P10 363 25,000 X 09 25,000 0 0
COM
0 160 11,000 X X 09 0 1,000 10,000
0 189 13,000 X 12 13,000 0 0
- -
0 GLOBAL INDS LTD 37933610 2,445 167,200 X 09 167,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 166 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 15,212 599,500 X 06 599,500 0 0
COM
0 28 1,100 X X 08 1,100 0 0
0 14,718 580,000 X 09 580,000 0 0
0 533 21,000 X 12 21,000 0 0
- -
0 GLOBAL TELESYSTEMS GROUP 37936U10 1,175 57,320 X 09 57,320 0 0
COM
0 21 1,000 X X 09 1,000 0 0
- -
0 GLOBO CABO S A 37957X10 71 3,800 X X 05 0 0 3,800
SPONSORED ADR
0 5,315 283,491 X 09 283,491 0 0
- -
0 GOLDEN ST BANCORP INC 38119710 9,194 615,501 X 09 615,500 0 1
COM
- -
0 GOLDEN WEST FINL CORP DEL 38131710 44 1,400 X 04 1,400 0 0
COM
0 504 16,167 X X 08 0 16,167 0
0 104 3,350 X X 09 32 0 3,318
- -
0 GOLDMAN SACHS GROUP INC 38141G10 53 500 X X 04 0 200 300
COM
0 21 200 X X 05 0 0 200
0 91 860 X X 08 660 200 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 167 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 410 3,900 X 09 3,750 150 0
0 305 2,900 X X 09 0 1,500 1,400
0 1,613 15,321 X 12 15,321 0 0
- -
0 GOOD GUYS INC 38209110 413 100,000 X 09 100,000 0 0
COM
- -
0 GOODRICH B F CO 38238810 57 2,003 X 04 2,003 0 0
COM
0 83 2,900 X X 08 2,900 0 0
0 29 1,000 X 09 0 0 1,000
0 187 6,521 X X 09 5,296 0 1,225
- -
0 GOODYEAR TIRE & RUBR CO 38255010 22 931 X 04 931 0 0
COM
0 46 1,976 X X 04 1,976 0 0
0 30 1,300 X X 05 1,300 0 0
0 33 1,400 X 08 1,400 0 0
0 94 4,012 X X 08 3,312 0 700
0 181 7,774 X 09 4,774 0 3,000
0 191 8,189 X X 09 6,098 50 2,041
0 225 9,652 X 12 9,652 0 0
- -
0 GO2NET INC 38348610 645 8,000 X 09 8,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 168 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 81 1,000 X X 09 0 0 1,000
- -
0 GRACE W R & CO DEL NEW 38388F10 21 1,641 X X 04 0 1,241 400
COM
0 217 16,843 X 09 15,950 200 693
0 3 200 X X 09 0 0 200
- -
0 GRAINGER W W INC 38480210 117 2,150 X X 08 0 0 2,150
COM
0 2,296 42,330 X 09 40,330 400 1,600
0 5,622 103,632 X X 09 80,136 10,300 13,196
- -
0 GRAPHON CORP 38870710 6 300 X X 08 300 0 0
COM
0 198 10,000 X 09 0 0 10,000
- -
0 GREAT LAKES CHEM CORP 39056810 34 1,000 X 09 1,000 0 0
COM
0 181 5,332 X X 09 5,000 0 332
- -
0 GREIF BROS CORP 39762410 255 8,000 X 04 8,000 0 0
CL A
- -
0 GREY WOLF INC 39788810 79 20,000 X 08 20,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 169 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
GRIFFIN LD & NURSERIES INC 39823110 330 30,000 X X 09 30,000 0 0
CL A
- -
0 GROUPE DANONE 39944910 208 4,700 X 09 4,200 0 500
SPONSORED ADR
- -
0 GRUPO INDL DURANGO S A DE C 40048E10 14,840 1,120,000 X 01 0 0 1,120,000
SPONSORED ADR
- -
0 GRUPO IMSA S A DE C V 40048T10 249 19,400 X 09 19,400 0 0
SPON ADR UNITS
- -
0 GRUPO TELEVISA SA DE CV 40049J20 170 2,500 X 01 0 0 2,500
SP ADR REP ORD
0 1,404 20,650 X 09 20,450 0 200
- -
0 GTECH HLDGS CORP 40051810 414 22,300 X 09 22,300 0 0
COM
- -
0 GUIDANT CORP 40169810 777 13,200 X 04 11,500 0 1,700
COM
0 277 4,700 X X 04 700 500 3,500
0 2,061 35,000 X X 05 35,000 0 0
0 8,925 151,595 X 06 151,595 0 0
0 14,703 249,724 X 08 247,974 0 1,750
0 2,713 46,078 X X 08 45,178 0 900
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 170 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 22,171 376,577 X 09 359,277 8,300 9,000
0 2,861 48,601 X X 09 31,463 2,300 14,838
0 683 11,599 X 12 11,599 0 0
- -
0 GUITAR CTR MGMT INC 40204010 5,935 518,910 X 03 518,910 0 0
COM
0 52,605 4,599,164 X 07 4,589,164 0 10,000
- -
0 GULF ISLAND FABRICATION INC 40230710 1,463 100,000 X X 08 100,000 0 0
COM
- -
0 HMT TECHNOLOGY CORP 40391710 33 10,000 X 12 10,000 0 0
COM
- -
0 H & Q HEALTHCARE FD 40405210 43 1,601 X 09 1,600 0 1
SH BEN INT
0 27 1,000 X X 09 0 0 1,000
0 204 7,611 X 12 7,611 0 0
- -
0 H & Q LIFE SCIENCES INVS 40405310 3 100 X X 08 100 0 0
SH BEN INT
0 1,281 44,173 X 12 44,173 0 0
- -
0 HCC INS HLDGS INC 40413210 513 38,700 X 01 0 0 38,700
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 171 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,625 X 09 0 725 900
- -
0 HNC SOFTWARE INC 40425P10 252 3,500 X 09 3,500 0 0
COM
- -
0 HRPT PPTYS TR 40426W10 17 2,000 X 04 2,000 0 0
COM SH BEN INT
0 66 7,546 X X 04 1,546 6,000 0
0 4 500 X X 08 0 500 0
0 462 53,126 X 09 53,126 0 0
0 608 70,000 X 12 70,000 0 0
- -
0 HSB GROUP INC 40428N10 164 5,655 X 09 5,655 0 0
COM
0 230 7,943 X X 09 7,943 0 0
- -
0 HSBC HLDGS PLC 40428040 27 450 X 05 0 0 450
SPON ADR NEW
0 15 240 X 09 0 0 240
0 73 1,200 X X 09 0 0 1,200
0 1,501 24,633 X 12 24,633 0 0
- -
0 HS RES INC 40429710 6,509 308,100 X 01 0 0 308,100
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 172 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 184 8,700 X 09 8,700 0 0
- -
0 HADCO CORP 40468110 110 1,700 X 04 1,700 0 0
COM
0 21,785 335,800 X 06 335,800 0 0
0 6,543 100,850 X 08 100,850 0 0
0 16,190 249,550 X 09 249,300 0 250
- -
0 HAIN FOOD GROUP INC 40521910 1,450 51,200 X 09 51,200 0 0
COM
- -
0 HALLIBURTON CO 40621610 1,411 34,300 X 04 23,900 0 10,400
COM
0 317 7,700 X X 04 3,800 1,700 2,200
0 68 1,650 X 05 1,100 0 550
0 4,014 97,600 X X 05 97,200 0 400
0 22,430 545,400 X 06 545,400 0 0
0 6,304 153,279 X 08 152,554 0 725
0 2,266 55,093 X X 08 42,111 3,500 9,482
0 47,779 1,161,802 X 09 1,117,352 1,900 42,550
0 8,236 200,256 X X 09 122,113 7,160 70,983
0 2,190 53,251 X 12 53,251 0 0
- -
0 JOHN HANCOCK BK &THRIFT OPP 40973510 6 800 X X 04 800 0 0
SH BEN INT
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 173 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 189 27,200 X X 09 26,000 0 1,200
0 76 11,000 X 12 11,000 0 0
- -
0 HANCOCK JOHN FINL SVCS INC 41014S10 67 3,726 X 08 3,726 0 0
COM
0 7 411 X X 08 411 0 0
0 181 10,000 X 12 10,000 0 0
- -
0 HANDLEMAN CO DEL 41025210 101 11,427 X X 04 11,427 0 0
COM
0 208 23,400 X 09 23,400 0 0
- -
0 HANGER ORTHOPEDIC GROUP INC 41043F20 8,540 1,626,689 X 03 796,040 0 830,649
COM NEW
- -
0 HANNA M A CO 41052210 137 12,125 X X 08 0 12,125 0
COM
0 21 1,819 X 09 219 160 1,440
0 12 1,063 X X 09 1,063 0 0
- -
0 HANOVER DIRECT INC 41078310 119 50,000 X 12 50,000 0 0
COM
- -
0 HARCOURT GEN INC 41163G10 60 1,600 X 04 1,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 174 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 942 25,300 X 09 25,000 300 0
0 298 8,000 X X 09 8,000 0 0
- -
0 HARKEN ENERGY CORP 41255210 1 1,000 X 08 1,000 0 0
COM
0 91 90,900 X 12 90,900 0 0
- -
0 HARLAND JOHN H CO 41269310 3 250 X 08 250 0 0
COM
0 3 250 X X 08 250 0 0
0 252 18,700 X 09 18,700 0 0
- -
0 HARLEY DAVIDSON INC 41282210 127 1,600 X 04 0 0 1,600
COM
0 16 200 X X 08 200 0 0
0 14,634 184,362 X 09 182,862 900 600
0 128 1,611 X X 09 311 0 1,300
0 277 3,485 X 12 3,485 0 0
- -
0 HARMAN INTL INDS INC 41308610 8 125 X 08 125 0 0
COM
0 15,066 251,100 X 09 251,100 0 0
- -
0 HARMONIC INC 41316010 7,043 84,600 X 06 84,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 175 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,260 75,200 X 09 75,200 0 0
0 572 6,870 X 12 6,870 0 0
- -
0 HARRAHS ENTMT INC 41361910 19 1,000 X X 05 0 0 1,000
COM
0 7,900 425,600 X 06 425,600 0 0
0 7,611 410,000 X 09 410,000 0 0
- -
0 HARRIS CORP DEL 41387510 14,299 413,696 X 09 413,696 0 0
COM
0 442 12,800 X X 09 9,600 0 3,200
- -
0 HARTE-HANKS INC 41619610 372 16,400 X X 09 0 16,400 0
COM
- -
0 HARTFORD FINL SVCS GROUP INC 41651510 290 5,500 X 04 2,500 0 3,000
COM
0 26 500 X 05 0 0 500
0 42 800 X X 05 800 0 0
0 170 3,227 X 08 3,227 0 0
0 3 66 X X 08 0 0 66
0 1,207 22,880 X 09 19,086 0 3,794
0 2,090 39,617 X X 09 34,658 347 4,612
- -
0 HASBRO INC 41805610 2 112 X 08 112 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 176 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2 113 X X 08 113 0 0
0 1,663 99,667 X 09 96,667 0 3,000
0 86 5,175 X X 09 5,175 0 0
- -
0 HAYES LEMMERZ INTL INC 42078110 24,480 1,280,000 X 03 1,100,974 0 179,026
COM
- -
0 HEALTH CARE PPTY INVS INC 42191510 64 2,500 X X 05 500 0 2,000
COM
0 51 2,000 X X 08 2,000 0 0
0 5,133 201,783 X 09 184,823 0 16,960
0 1,384 54,409 X X 09 36,910 5,300 12,199
- -
0 HEALTHSOUTH CORP 42192410 6 1,000 X 04 1,000 0 0
COM
0 753 132,400 X X 05 132,400 0 0
0 483 84,997 X 09 71,412 2,400 11,185
0 51 9,041 X X 09 41 1,000 8,000
- -
0 HEALTH MGMT ASSOC INC NEW 42193310 16,378 1,149,300 X 06 1,149,300 0 0
CL A
0 200 14,000 X X 08 0 0 14,000
0 15,818 1,110,000 X 09 1,110,000 0 0
- -
0 HEALTHCARE RLTY TR 42194610 25 1,500 X X 04 1,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 177 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 1,100 X 08 1,100 0 0
0 2,377 141,921 X 09 141,921 0 0
- -
0 HEARTPORT INC 42196910 2 500 X 09 500 0 0
COM
0 105 22,700 X 12 22,700 0 0
- -
0 HEADHUNTER NET INC 42207710 361 20,000 X 08 20,000 0 0
COM
- -
0 HEALTHEON WEBMD CORP 42220910 0 2 X 09 2 0 0
COM
0 69 3,000 X X 09 1,000 0 2,000
0 544 23,659 X 12 23,659 0 0
- -
0 HEALTHCENTRAL COM 42221V10 132 23,700 X 12 23,700 0 0
COM
- -
0 HEINZ H J CO 42307410 834 23,900 X 04 20,600 0 3,300
COM
0 105 3,000 X X 04 3,000 0 0
0 50 1,425 X 05 600 0 825
0 919 26,350 X X 05 26,350 0 0
0 3,422 98,133 X 08 97,733 0 400
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 178 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,869 82,251 X X 08 49,001 850 32,400
0 13,677 392,162 X 09 379,962 1,800 10,400
0 10,625 304,654 X X 09 245,554 4,450 54,650
0 209 5,986 X 12 5,986 0 0
- -
0 HELIX TECHNOLOGY CORP 42331910 60 1,000 X X 09 0 0 1,000
COM
0 309 5,150 X 12 5,150 0 0
- -
0 HELMERICH & PAYNE INC 42345210 1,705 55,000 X 06 55,000 0 0
COM
0 313 10,100 X 09 10,100 0 0
0 155 4,986 X X 09 4,847 0 139
- -
0 HERCULES INC 42705610 493 30,600 X X 08 23,400 0 7,200
COM
0 208 12,908 X 09 12,908 0 0
0 280 17,340 X X 09 17,230 0 110
- -
0 HERSHEY FOODS CORP 42786610 49 1,000 X 04 1,000 0 0
COM
0 20 400 X X 04 400 0 0
0 84 1,720 X 08 1,720 0 0
0 2,477 50,800 X 09 40,300 500 10,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 179 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,801 36,940 X X 09 18,560 1,800 16,580
- -
0 HEWLETT PACKARD CO 42823610 971 7,305 X 04 6,705 0 600
COM
0 1,176 8,850 X X 04 4,700 400 3,750
0 1,183 8,900 X 05 7,100 0 1,800
0 306 2,300 X X 05 1,500 0 800
0 40,872 307,600 X 06 307,600 0 0
0 47,265 355,714 X 08 350,964 3,600 1,150
0 19,711 148,343 X X 08 119,893 7,650 20,800
0 123,899 932,445 X 09 871,121 4,100 57,224
0 151,405 1,139,455 X X 09 675,787 16,685 446,983
0 7,741 58,258 X 12 58,258 0 0
- -
0 HI / FN INC 42835810 2,336 35,900 X 09 35,900 0 0
COM
- -
0 HIGH YIELD INCOME FD INC 42990410 259 50,000 X 12 50,000 0 0
COM
- -
0 HIGH YIELD PLUS FD INC 42990610 625 100,935 X 12 100,935 0 0
COM
- -
0 HIGHWOODS PPTYS INC 43128410 21 1,000 X X 05 0 0 1,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 180 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,300 X 08 1,300 0 0
0 3,149 147,300 X 09 139,100 2,500 5,700
0 140 6,550 X X 09 4,050 2,500 0
- -
0 HILLENBRAND INDS INC 43157310 68 2,000 X 08 2,000 0 0
COM
0 656 19,300 X X 09 9,300 3,000 7,000
- -
0 HILTON HOTELS CORP 43284810 252 32,475 X 08 32,475 0 0
COM
0 10,667 1,376,400 X X 08 1,376,400 0 0
0 314 40,500 X 09 40,500 0 0
0 163 20,998 X X 09 19,000 0 1,998
- -
0 HISPANIC BROADCASTING CORP 43357B10 113 1,000 X 04 1,000 0 0
CL A
0 5,572 49,200 X 06 49,200 0 0
0 3,964 35,000 X 09 35,000 0 0
- -
0 HITACHI LIMITED 43357850 48 390 X 05 0 0 390
ADR 10 COM
0 384 3,150 X X 09 0 0 3,150
0 1,691 13,878 X 12 13,878 0 0
- -
0 HOLOGIC INC 43644010 110 13,916 X 08 13,916 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 181 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HOME DEPOT INC 43707610 14,065 218,068 X 04 180,940 0 37,128
COM
0 2,695 41,777 X X 04 25,026 500 16,251
0 1,192 18,478 X 05 7,350 0 11,128
0 3,838 59,500 X X 05 59,200 0 300
0 80,809 1,252,851 X 06 1,252,851 0 0
0 82,923 1,285,634 X 08 1,267,609 0 18,025
0 23,458 363,696 X X 08 293,987 58,284 11,425
0 219,152 3,397,711 X 09 3,093,025 84,640 220,046
0 89,692 1,390,567 X X 09 608,370 40,941 741,256
0 6,293 97,571 X 12 97,571 0 0
- -
0 HOME PRODS INTL INC 43730510 14,831 1,333,139 X 07 1,333,139 0 0
COM
- -
0 HOME PPTYS N Y INC 43730610 2,639 98,670 X 09 98,670 0 0
COM
0 27 1,000 X X 09 0 0 1,000
- -
0 HOMEBASE INC 43738E10 192 95,800 X 09 95,800 0 0
COM
0 6 3,000 X X 09 3,000 0 0
- -
0 HOMESTAKE MNG CO 43761410 3 500 X X 04 500 0 0
COM
0 335 55,760 X X 09 55,760 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 182 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HONDA MOTOR LTD 43812830 488 6,000 X 09 6,000 0 0
AMERN SHS
0 81 1,000 X X 09 0 0 1,000
- -
0 HONEYWELL INTL INC 43851610 988 18,754 X 04 18,514 0 240
COM
0 987 18,741 X X 04 4,966 1,400 12,375
0 32 600 X 05 0 0 600
0 2,466 46,800 X X 05 46,000 0 800
0 29,400 558,000 X 06 558,000 0 0
0 10,768 204,369 X 08 204,169 0 200
0 5,123 97,238 X X 08 47,892 9,010 40,336
0 85,037 1,613,965 X 09 1,546,172 12,462 55,331
0 22,212 421,580 X X 09 204,008 136,941 80,631
0 865 16,411 X 12 16,411 0 0
- -
0 HOOPER HOLMES INC 43910410 19,394 565,200 X 06 565,200 0 0
COM
0 4,648 135,450 X 08 135,450 0 0
0 13,662 398,150 X 09 397,800 0 350
- -
0 HORACE MANN EDUCATORS CORP N 44032710 1 81 X 08 81 0 0
COM
0 1 81 X X 08 0 0 81
0 719 39,000 X 09 39,000 0 0
- -
0 HOSPITALITY PPTYS TR 44106M10 790 39,000 X 09 39,000 0 0
COM SH BEN INT
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 183 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
HOST MARRIOTT CORP NEW 44107P10 15 1,641 X 04 0 0 1,641
COM
0 1,529 172,300 X 09 172,300 0 0
0 401 45,164 X X 09 0 0 45,164
- -
0 HOT TOPIC INC 44133910 245 7,000 X 09 7,000 0 0
COM
- -
0 HOTEL RESERVATIONS NETWORK I 44145110 870 49,000 X 06 49,000 0 0
CL A
0 254 14,300 X 09 14,300 0 0
- -
0 HOUSEHOLD INTL INC 44181510 140 3,750 X X 04 3,750 0 0
COM
0 22 600 X X 05 600 0 0
0 224 6,000 X 08 6,000 0 0
0 119 3,200 X X 08 3,200 0 0
0 12,020 322,132 X 09 313,132 0 9,000
0 1,912 51,233 X X 09 51,233 0 0
- -
0 HOUSTON EXPL CO 44212010 265 14,700 X 12 14,700 0 0
COM
- -
0 HUBBELL INC 44351020 694 25,350 X X 04 25,350 0 0
CL B
0 11 400 X 05 0 0 400
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 184 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 61 X 08 61 0 0
0 2 62 X X 08 0 0 62
0 127 4,650 X 09 4,050 600 0
0 2 80 X X 09 0 80 0
- -
0 HUDSON HOTELS CORP 44379410 212 225,573 X 09 225,573 0 0
COM
- -
0 HUMANA INC 44485910 13 1,800 X 09 0 0 1,800
COM
0 84 11,470 X X 09 8,770 0 2,700
0 88 12,000 X 12 12,000 0 0
- -
0 HUMAN GENOME SCIENCES INC 44490310 1,049 12,625 X 09 12,625 0 0
COM
0 6 70 X X 09 0 0 70
- -
0 HUNTINGTON BANCSHARES INC 44615010 77 3,448 X X 04 0 0 3,448
COM
0 129 5,754 X 09 5,754 0 0
0 86 3,836 X X 09 0 0 3,836
- -
0 HUTCHINSON TECHNOLOGY INC 44840710 494 28,000 X 09 28,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 185 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ICN PHARMACEUTICALS INC NEW 44892410 22 823 X 08 823 0 0
COM
0 35 1,300 X X 09 0 0 1,300
0 3,826 140,411 X 12 140,411 0 0
- -
0 IDT CORP 44894710 7,853 189,240 X 12 189,240 0 0
COM
- -
0 HYPERION SOLUTIONS CORP 44914M10 1,102 33,900 X 09 33,900 0 0
COM
0 615 18,921 X 12 18,921 0 0
- -
0 IBP INC 44922310 321 20,400 X 09 20,400 0 0
COM
0 159 10,100 X 12 10,100 0 0
- -
0 ICG COMMUNICATIONS INC 44924610 3,876 107,300 X 06 107,300 0 0
COM
0 694 19,200 X 09 19,200 0 0
- -
0 ICICI LTD 44926P10 306 13,600 X 09 13,600 0 0
SPONSORED ADR
- -
0 ICOS CORP 44929510 36 1,000 X 08 1,000 0 0
COM
0 25 700 X X 08 700 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 186 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 380 10,525 X 12 10,525 0 0
- -
0 ICU MED INC 44930G10 324 18,000 X 12 18,000 0 0
COM
- -
0 IDEC PHARMACEUTICALS CORP 44937010 19,237 195,800 X 06 195,800 0 0
COM
0 3,766 38,330 X 08 38,330 0 0
0 14,227 144,800 X 09 144,600 0 200
- -
0 IDX SYS CORP 44949110 829 30,300 X X 05 30,300 0 0
COM
0 1,456 53,200 X 12 53,200 0 0
- -
0 IGO CORP 44959210 219 30,400 X 12 30,400 0 0
COM
- -
0 IHOP CORP 44962310 1,105 78,900 X 12 78,900 0 0
COM
- -
0 IMS HEALTH INC 44993410 7 434 X 04 434 0 0
COM
0 41 2,400 X X 04 0 2,400 0
0 999 59,000 X X 05 59,000 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 187 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,535 326,780 X 08 326,180 0 600
0 2,623 154,882 X X 08 95,482 25,300 34,100
0 4,333 255,800 X 09 138,200 1,800 115,800
0 4,566 269,555 X X 09 136,148 18,800 114,607
0 16,938 1,000,010 X 12 1,000,010 0 0
- -
0 IRT PPTY CO 45005810 19 2,400 X 09 2,400 0 0
COM
0 170 21,284 X 12 21,284 0 0
- -
0 ISS GROUP INC 45030610 1,541 13,224 X X 04 0 0 13,224
COM
0 12 102 X 08 102 0 0
0 373 3,200 X 09 3,200 0 0
- -
0 ITC DELTACOM INC 45031T10 15,272 428,700 X 06 428,700 0 0
COM
0 5,451 153,000 X 08 153,000 0 0
0 10,766 302,200 X 09 301,900 0 300
- -
0 ITXC CORP 45069F10 200,554 4,261,395 X 07 4,261,395 0 0
COM
- -
0 IXL ENTERPRISES INC 45071810 222,304 7,939,427 X 10 7,939,427 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 188 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
IBASIS INC 45073210 314 7,650 X 12 7,650 0 0
COM
- -
0 ITT INDS INC IND 45091110 36 1,150 X 05 0 0 1,150
COM
0 438 14,088 X 09 12,514 0 1,574
0 218 7,026 X X 09 6,026 0 1,000
- -
0 IDACORP INC 45110710 278 8,000 X X 08 8,000 0 0
COM
0 156 4,500 X 09 4,500 0 0
0 70 2,000 X X 09 2,000 0 0
- -
0 IGATE CAPITAL CORP 45169U10 68 1,500 X 09 1,500 0 0
COM
0 307 6,800 X X 09 1,800 0 5,000
- -
0 IKON OFFICE SOLUTIONS INC 45171310 40 6,400 X 09 2,600 0 3,800
COM
0 24 3,900 X X 09 3,900 0 0
0 473 76,368 X 12 76,368 0 0
- -
0 ILEX ONCOLOGY INC 45192310 22,093 526,028 X 07 526,028 0 0
COM
- -
0 ILLINOIS TOOL WKS INC 45230810 66 1,200 X 04 900 0 300
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 189 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 139 2,514 X X 04 2,514 0 0
0 17 300 X 05 300 0 0
0 6,586 119,206 X 08 118,906 0 300
0 5,133 92,914 X X 08 69,914 19,100 3,900
0 19,805 358,468 X 09 337,818 6,850 13,800
0 9,433 170,736 X X 09 135,988 3,518 31,230
0 3,633 65,754 X 12 65,754 0 0
- -
0 ILLUMINET HLDGS INC 45233410 320 6,500 X 09 6,500 0 0
COM
- -
0 IMAGEX COM INC 45244D10 9,174 455,850 X 12 455,850 0 0
COM
- -
0 IMATION CORP 45245A10 11 395 X 04 395 0 0
COM
0 11 400 X X 04 0 0 400
0 3 130 X 08 130 0 0
0 3 100 X X 08 100 0 0
0 550 20,609 X 09 20,449 0 160
0 122 4,555 X X 09 2,777 0 1,778
- -
0 IMCLONE SYS INC 45245W10 1,776 23,100 X 09 1,100 2,000 20,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 190 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 154 2,000 X X 09 0 0 2,000
- -
0 IMMERSION CORP 45252110 882 14,700 X 09 14,700 0 0
COM
0 17,469 291,150 X 12 291,150 0 0
- -
0 IMMUNEX CORP NEW 45252810 2,098 33,075 X 06 33,075 0 0
COM
0 19 300 X 08 0 0 300
0 2,027 31,950 X 09 31,350 0 600
0 76 1,200 X X 09 0 0 1,200
- -
0 IMPERIAL BANCORP 45255610 362 11,664 X 09 11,664 0 0
COM
- -
0 IMPERIAL CHEM INDS PLC 45270450 16 500 X X 04 500 0 0
ADR NEW
0 26 800 X X 09 300 0 500
0 685 21,245 X 12 21,245 0 0
- -
0 IMPERIAL OIL LTD 45303840 21 1,026 X 09 1,026 0 0
COM NEW
0 356 17,000 X X 09 12,000 0 5,000
- -
0 IMPSAT FIBER NETWORKS INC 45321T10 560 20,000 X 09 20,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 191 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
INCYTE PHARMACEUTICALS INC 45337C10 2,096 23,975 X 06 23,975 0 0
COM
0 34 385 X 08 385 0 0
0 625 7,150 X 09 7,150 0 0
0 5,478 62,650 X 12 62,650 0 0
- -
0 INDEPENDENCE CMNTY BK CORP 45341410 529 47,526 X 09 47,526 0 0
COM
0 64 5,758 X X 09 5,758 0 0
- -
0 INFERENCE CORP 45662K10 97 16,000 X 09 16,000 0 0
CL A
- -
0 INFINEON TECHNOLOGIES AG 45662N10 2,898 50,400 X 09 50,400 0 0
SPONSORED ADR
- -
0 INFINITY BROADCASTING CP NEW 45662S10 483 14,925 X X 08 11,750 0 3,175
CL A
0 20,267 626,000 X 09 626,000 0 0
0 94 2,900 X X 09 1,900 0 1,000
- -
0 INET TECHNOLOGIES INC 45662V10 1,001 18,900 X 09 18,900 0 0
COM
- -
0 INFOCURE CORP 45665A10 175 10,100 X 09 10,100 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 192 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 14 800 X X 09 800 0 0
- -
0 INFORMIX CORP 45677910 21,294 1,257,150 X 06 1,257,150 0 0
COM
0 20,745 1,224,750 X 09 1,224,550 0 200
- -
0 INFOUSA INC NEW 45681830 1,065 116,700 X 12 116,700 0 0
COM
- -
0 ING GROEP N V 45683710 23 425 X 05 0 0 425
SPONSORED ADR
0 22 400 X X 08 400 0 0
0 116 2,107 X 09 806 0 1,301
0 1,949 35,430 X 12 35,430 0 0
- -
0 INGERSOLL-RAND CO 45686610 510 11,532 X 04 10,532 0 1,000
COM
0 100 2,250 X X 04 0 750 1,500
0 1,947 44,000 X X 05 44,000 0 0
0 4,410 99,660 X 08 97,860 0 1,800
0 4,499 101,672 X X 08 69,836 29,257 2,579
0 5,241 118,451 X 09 113,801 0 4,650
0 3,490 78,874 X X 09 75,649 900 2,325
- -
0 INHALE THERAPEUTIC SYS INC 45719110 149 2,000 X 04 2,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 193 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,592 155,600 X 06 155,600 0 0
0 3,067 41,170 X 08 41,170 0 0
0 8,221 110,350 X 09 110,200 100 50
0 37 500 X X 09 0 0 500
- -
0 INKTOMI CORP 45727710 2,360 12,100 X 01 0 0 12,100
COM
0 10 50 X 08 50 0 0
0 73 376 X X 08 376 0 0
0 2,768 14,194 X 09 12,594 0 1,600
0 3,492 17,910 X X 09 15,410 2,500 0
- -
0 INSIGHT ENTERPRISES INC 45765U10 758 20,800 X 09 20,800 0 0
COM
- -
0 INSITE VISION INC 45766010 59 10,000 X 12 10,000 0 0
COM
- -
0 INSO CORP 45767410 211 15,600 X X 09 0 0 15,600
COM
- -
0 INSPIRE INS SOLUTIONS INC 45773210 2,083 640,931 X 12 640,931 0 0
COM
- -
0 INSURED MUN INCOME FD 45809F10 4 300 X X 04 300 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 194 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 406 33,869 X 08 33,869 0 0
0 5 400 X X 09 0 0 400
- -
0 INTEGRAL SYS INC MD 45810H10 716 15,900 X 09 15,900 0 0
COM
- -
0 INTEGRA INC 45811M10 15 16,833 X X 09 8,417 0 8,416
COM
- -
0 INTEGRATED DEVICE TECHNOLOGY 45811810 1,177 29,700 X 09 29,700 0 0
COM
- -
0 INTEL CORP 45814010 16,283 123,416 X 04 106,216 0 17,200
COM
0 8,691 65,870 X X 04 26,000 8,000 31,870
0 1,939 14,695 X 05 7,700 0 6,995
0 8,655 65,600 X X 05 64,600 0 1,000
0 228,159 1,729,290 X 06 1,729,290 0 0
0 208,781 1,582,415 X 08 1,564,365 8,400 9,650
0 90,941 689,270 X X 08 513,360 64,360 111,550
0 586,221 4,443,152 X 09 4,132,467 62,480 248,205
0 384,843 2,916,848 X X 09 1,668,102 196,012 1,052,734
0 42,299 320,597 X 12 320,597 0 0
- -
0 INTER TEL INC 45837210 1,982 72,400 X 09 72,400 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 195 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
INTERCEPT GROUP INC 45845L10 811 31,500 X 09 31,500 0 0
COM
- -
0 INTERDENT INC 45865R10 5,565 1,085,867 X 10 0 0 1,085,867
COM
- -
0 INTERNAP NETWORK SVCS CORP 45885A10 46 1,000 X X 09 0 1,000 0
COM
0 4,733 102,900 X 12 102,900 0 0
- -
0 INTERNATIONAL BUSINESS MACHS 45920010 826 7,000 X 01 0 0 7,000
COM
0 12,724 107,831 X 04 92,555 0 15,276
0 7,643 64,774 X X 04 42,174 8,600 14,000
0 1,109 9,397 X 05 6,900 0 2,497
0 2,714 23,000 X X 05 21,000 0 2,000
0 124,249 1,052,955 X 06 1,052,955 0 0
0 110,745 938,514 X 08 937,114 0 1,400
0 29,853 252,989 X X 08 214,469 25,820 12,700
0 523,974 4,440,455 X 09 4,231,291 27,573 181,591
0 823,098 6,975,404 X X 09 3,918,633 75,848 2,980,923
0 7,444 63,085 X 12 63,085 0 0
- -
0 INTERNATIONAL FLAVORS&FRAGRA 45950610 60 1,700 X 08 1,700 0 0
COM
0 526 15,000 X 09 14,100 0 900
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 196 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,197 34,139 X X 09 32,325 0 1,814
- -
0 INTERNATIONAL HOME FOODS INC 45965510 35,135 2,195,933 X 03 2,195,933 0 0
COM
- -
0 INTERNATIONAL GAME TECHNOLOG 45990210 914 42,121 X X 05 42,121 0 0
COM
0 2 111 X 09 0 0 111
- -
0 INTL PAPER CO 46014610 2,629 61,500 X 01 0 0 61,500
COM
0 1,146 26,798 X 04 26,514 0 284
0 44 1,040 X X 04 0 0 1,040
0 252 5,900 X 05 3,600 0 2,300
0 2,561 59,900 X X 05 59,300 0 600
0 28,732 672,100 X 06 672,100 0 0
0 4,808 112,461 X 08 112,261 0 200
0 2,322 54,319 X X 08 43,219 4,200 6,900
0 39,619 926,758 X 09 909,413 1,100 16,245
0 8,124 190,032 X X 09 154,161 5,141 30,730
- -
0 INTERNET CAP GROUP INC 46059C10 2,023 22,400 X 01 0 0 22,400
COM
0 1,183 13,100 X 09 13,100 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 197 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,500 X X 09 1,500 0 0
0 7,476 82,783 X 12 82,783 0 0
- -
0 INTERNET PICTURES CORP 46059S10 4,826 142,200 X 12 142,200 0 0
COM
- -
0 INTERPUBLIC GROUP COS INC 46069010 189 4,000 X 01 0 0 4,000
COM
0 80 1,700 X 04 1,700 0 0
0 139 2,940 X X 04 0 0 2,940
0 189 4,000 X 05 0 0 4,000
0 99 2,100 X 08 2,100 0 0
0 645 13,650 X X 08 13,650 0 0
0 9,799 207,384 X 09 173,284 0 34,100
0 12,553 265,662 X X 09 139,773 2,400 123,489
0 2,600 55,031 X 12 55,031 0 0
- -
0 INTRANET SOLUTIONS INC 46093930 616 13,400 X 09 13,400 0 0
COM NEW
- -
0 INTERNET COM CORP 46096710 2,683 64,070 X 12 64,070 0 0
COM
- -
0 INTERTRUST TECHNOLOGIES CORP 46113Q10 234 5,500 X 09 5,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 198 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
INTERVU INC 46114R10 3,342 37,135 X 01 0 0 37,135
COM
0 126 1,400 X 09 1,400 0 0
- -
0 INTERVOICE-BRITE INC 46114210 2,021 70,000 X X 04 0 0 70,000
COM
- -
0 INTRAWARE INC 46118M10 8 196 X 08 196 0 0
COM
0 4,118 99,678 X 12 99,678 0 0
- -
0 INTUIT 46120210 326 6,000 X 05 4,600 0 1,400
COM
0 3,273 60,190 X 08 60,190 0 0
0 3,445 63,350 X X 08 53,350 10,000 0
0 1,282 23,575 X 09 21,175 1,300 1,100
0 24 450 X X 09 450 0 0
0 3,046 56,010 X 12 56,010 0 0
- -
0 INVACARE CORP 46120310 82 3,000 X 09 3,000 0 0
COM
0 148 5,400 X X 09 5,400 0 0
- -
0 INVITROGEN CORP 46185R10 38 650 X X 09 650 0 0
COM
0 9,244 159,200 X 12 159,200 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 199 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
INVESTORS FINL SERVICES CORP 46191510 13,453 228,500 X 06 228,500 0 0
COM
0 3,209 54,500 X 08 54,500 0 0
0 9,656 164,000 X 09 163,900 0 100
0 8 130 X X 09 130 0 0
- -
0 ION NETWORKS INC 46205P10 303 9,000 X X 09 0 9,000 0
COM
0 878 26,100 X 12 26,100 0 0
- -
0 IPALCO ENTERPRISES INC 46261310 59 3,000 X 08 3,000 0 0
COM
0 59 3,000 X X 08 3,000 0 0
0 648 33,252 X X 09 33,252 0 0
- -
0 IRELAND BK 46267Q10 30 1,000 X 04 1,000 0 0
SPONSORED ADR
0 569 19,300 X X 04 0 0 19,300
0 540 18,300 X 09 17,300 1,000 0
- -
0 IRON MTN INC PA 46284610 1,197 35,150 X 01 0 0 35,150
COM
0 15,320 449,750 X 06 449,750 0 0
0 4,893 143,650 X 08 143,650 0 0
0 11,331 332,650 X 09 332,300 0 350
0 40 1,172 X X 09 1,172 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 200 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
IT GROUP INC 46526610 231 30,600 X 09 30,600 0 0
COM
- -
0 ITRON INC 46574110 149 21,448 X 12 21,448 0 0
COM
- -
0 ITURF INC 46575Q10 259 24,975 X 12 24,975 0 0
CL A
- -
0 I2 TECHNOLOGIES INC 46575410 2 20 X 08 20 0 0
COM
0 305 2,500 X X 08 0 0 2,500
0 140 1,150 X X 09 550 0 600
0 14,041 114,975 X 12 114,975 0 0
- -
0 IVAX CORP 46582310 844 30,974 X 09 22,724 0 8,250
COM
0 41 1,500 X X 09 0 0 1,500
- -
0 JDS UNIPHASE CORP 46612J10 2,450 20,318 X 04 20,218 0 100
COM
0 169 1,400 X X 04 800 200 400
0 711 5,900 X 05 3,000 0 2,900
0 10,643 88,280 X X 05 88,000 0 280
0 1,694 14,050 X 08 13,450 0 600
0 109 900 X X 08 900 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 201 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 54,626 453,088 X 09 416,338 11,450 25,300
0 7,539 62,530 X X 09 38,400 4,850 19,280
0 18,484 153,318 X 12 153,318 0 0
- -
0 JLG INDS INC 46621010 37 4,000 X X 08 4,000 0 0
COM
0 100 10,900 X 09 10,900 0 0
0 37 4,000 X X 09 4,000 0 0
- -
0 JMAR TECHNOLOGIES INC 46621210 563 50,000 X 09 0 0 50,000
COM
- -
0 JNI CORP 46622G10 534 10,500 X 09 10,500 0 0
COM
0 448 8,800 X 12 8,800 0 0
- -
0 JP REALTY INC 46624A10 1,589 89,200 X 09 89,200 0 0
COM
- -
0 JACK IN THE BOX INC 46636710 14,665 688,100 X 06 688,100 0 0
COM
0 5,075 238,125 X 08 238,125 0 0
0 10,894 511,150 X 09 510,550 0 600
0 343 16,100 X 12 16,100 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 202 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
JACOBS ENGR GROUP INC DEL 46981410 6,856 215,100 X 06 215,100 0 0
COM
0 1,743 54,675 X 08 54,675 0 0
0 4,534 142,250 X 09 142,150 0 100
- -
0 JAZZTEL P L C 47214R15 1,218 15,050 X 09 15,050 0 0
SPONSORED ADR
- -
0 JEFFERIES GROUP INC NEW 47231910 348 15,200 X 09 15,200 0 0
COM
- -
0 JEFFERSON PILOT CORP 47507010 355 5,330 X X 04 0 0 5,330
COM
0 60 900 X 09 900 0 0
0 119 1,785 X X 09 182 1,575 28
- -
0 JO-ANN STORES INC 47758P10 251 30,000 X 09 30,000 0 0
CL A
- -
0 JO-ANN STORES INC 47758P20 180 30,000 X 09 30,000 0 0
CL B NON VTG
- -
0 JOHNS MANVILLE CORP NEW 47812910 114 10,700 X X 09 10,700 0 0
COM
- -
0 JOHNSON & JOHNSON 47816010 3,934 56,000 X 01 0 0 56,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 203 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,153 44,882 X 04 33,482 0 11,400
0 3,279 46,682 X X 04 12,325 5,242 29,115
0 998 14,200 X 05 8,500 0 5,700
0 1,265 18,000 X X 05 17,600 0 400
0 30,241 430,480 X 06 430,480 0 0
0 55,032 783,372 X 08 779,822 2,400 1,150
0 27,007 384,436 X X 08 289,492 28,263 66,681
0 174,552 2,484,725 X 09 2,305,353 17,812 161,560
0 221,995 3,160,076 X X 09 1,953,718 173,031 1,033,327
0 3,387 48,219 X 12 48,219 0 0
- -
0 JOHNSON CTLS INC 47836610 570 10,550 X 04 8,950 0 1,600
COM
0 92 1,700 X X 04 1,700 0 0
0 56 1,040 X 05 600 0 440
0 74 1,360 X X 05 840 0 520
0 187 3,450 X 08 3,450 0 0
0 9,065 167,680 X 09 152,730 500 14,450
0 1,795 33,200 X X 09 23,900 2,500 6,800
- -
0 JONES APPAREL GROUP INC 48007410 13,428 424,600 X 06 424,600 0 0
COM
0 13,118 414,800 X 09 410,000 0 4,800
- -
0 JONES PHARMA INC 48023610 533 17,550 X 09 17,550 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 204 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 2,250 X X 09 0 0 2,250
- -
0 JUNIPER NETWORKS INC 48203R10 830 3,150 X 09 3,150 0 0
COM
0 13 50 X X 09 50 0 0
0 4,978 18,889 X 12 18,889 0 0
- -
0 JUNO ONLINE SVCS INC 48204810 260 16,500 X 12 16,500 0 0
COM
- -
0 KLA-TENCOR CORP 48248010 826 9,800 X 04 9,400 0 400
COM
0 84 1,000 X X 04 0 0 1,000
0 354 4,200 X 05 1,200 0 3,000
0 125,899 1,494,350 X 06 1,494,350 0 0
0 28,818 342,048 X 08 341,448 0 600
0 590 7,000 X X 08 6,600 0 400
0 109,454 1,299,161 X 09 1,294,061 1,700 3,400
0 123 1,464 X X 09 1,398 0 66
0 2,203 26,149 X 12 26,149 0 0
- -
0 K MART CORP 48258410 29 3,000 X 05 3,000 0 0
COM
0 208 21,460 X 08 20,660 0 800
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 205 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 116 12,000 X X 08 12,000 0 0
0 719 74,260 X 09 65,160 0 9,100
0 323 33,332 X X 09 32,132 0 1,200
0 212 21,866 X 12 21,866 0 0
- -
0 K V PHARMACEUTICAL CO 48274010 588 20,000 X 12 20,000 0 0
CL B CONV
- -
0 KANA COMMUNICATIONS 48360010 17 250 X 09 250 0 0
COM
0 754 11,092 X 10 11,092 0 0
0 9,897 145,540 X 12 145,540 0 0
- -
0 KANSAS CITY SOUTHN INDS INC 48517010 31,797 370,000 X 09 370,000 0 0
COM
0 1,145 13,320 X X 09 12,120 0 1,200
- -
0 KAYE GROUP INC 48658910 1,836 253,248 X X 03 253,248 0 0
COM
- -
0 KEANE INC 48666510 356 14,100 X X 08 10,700 0 3,400
COM
- -
0 KELLOGG CO 48783610 23 900 X 04 900 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 206 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 82 3,200 X 05 3,200 0 0
0 997 38,706 X 08 38,706 0 0
0 2,031 78,860 X X 08 35,935 7,325 35,600
0 4,014 155,875 X 09 151,175 0 4,700
0 4,147 161,066 X X 09 145,600 4,400 11,066
- -
0 KELLWOOD CO 48804410 777 44,233 X 09 33,350 0 10,883
COM
0 32 1,833 X X 09 0 0 1,833
0 234 13,300 X 12 13,300 0 0
- -
0 KEMET CORP 48836010 25 400 X X 04 0 0 400
COM
0 873 13,800 X 09 13,800 0 0
0 277 4,385 X 12 4,385 0 0
- -
0 KENNAMETAL INC 48917010 30 1,000 X 08 1,000 0 0
COM
0 622 20,700 X X 08 20,700 0 0
0 959 31,916 X 09 25,316 0 6,600
0 84 2,800 X X 09 2,800 0 0
- -
0 KENSEY NASH CORP 49005710 469 28,300 X 09 28,300 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 207 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
KERR MCGEE CORP 49238610 968 16,769 X X 08 16,769 0 0
COM
0 39 669 X 09 669 0 0
0 298 5,153 X X 09 5,153 0 0
- -
0 KEYCORP NEW 49326710 20 1,040 X 04 700 0 340
COM
0 68 3,604 X X 04 1,204 2,400 0
0 27 1,400 X X 05 0 0 1,400
0 15 800 X 08 800 0 0
0 471 24,774 X X 08 15,374 0 9,400
0 452 23,778 X 09 18,178 0 5,600
0 1,400 73,680 X X 09 52,152 0 21,528
- -
0 KEYNOTE SYS INC 49330810 900 8,800 X 12 8,800 0 0
COM
- -
0 KEYSPAN CORP 49337W10 41 1,496 X 04 0 0 1,496
COM
0 241 8,729 X X 04 0 1,777 6,952
0 1,044 37,780 X 09 33,098 0 4,682
0 1,854 67,119 X X 09 55,520 2,639 8,960
- -
0 KIMBERLY CLARK CORP 49436810 505 9,000 X 04 7,600 0 1,400
COM
0 577 10,300 X X 04 2,550 3,600 4,150
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 208 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 272 4,850 X 05 2,900 0 1,950
0 1,278 22,800 X X 05 22,200 0 600
0 8,492 151,466 X 08 148,666 0 2,800
0 10,069 179,596 X X 08 86,976 900 91,720
0 23,629 421,471 X 09 378,460 9,540 33,471
0 28,084 500,929 X X 09 179,609 294,171 27,149
0 302 5,380 X 12 5,380 0 0
- -
0 KIMCO REALTY CORP 49446R10 1,388 37,000 X 09 37,000 0 0
COM
0 19 500 X X 09 0 0 500
- -
0 KINDER MORGAN ENERGY PARTNER 49455010 40 1,000 X 04 0 0 1,000
UT LTD PARTNER
0 190 4,798 X 08 4,798 0 0
0 79 2,000 X X 08 2,000 0 0
0 238 6,000 X 09 6,000 0 0
0 139 3,500 X X 09 0 3,000 500
- -
0 KING PHARMACEUTICALS INC 49558210 27,122 861,025 X 06 861,025 0 0
COM
0 3,900 123,825 X 08 123,825 0 0
0 22,004 698,525 X 09 698,300 0 225
0 5,557 176,400 X 12 176,400 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 209 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
KMART FING I 49877820 2,153 50,000 X 01 0 0 50,000
PFD TRCV 7.75%
0 624 14,500 X 08 14,500 0 0
0 189 4,400 X X 08 1,500 400 2,500
- -
0 KNIGHT RIDDER INC 49904010 70,145 1,368,678 X 09 1,368,678 0 0
COM
0 42 810 X X 09 0 0 810
- -
0 KNIGHT/TRIMARK GROUP INC NEW 49906810 12,643 247,900 X 06 247,900 0 0
CL A
0 12,235 239,900 X 09 239,800 100 0
- -
0 KNOT INC 49918410 203 27,950 X 12 27,950 0 0
COM
- -
0 KOHLS CORP 50025510 238 2,325 X 04 1,825 0 500
COM
0 22 210 X X 04 0 0 210
0 216 2,110 X 08 2,110 0 0
0 871 8,500 X X 08 8,500 0 0
0 1,302 12,700 X 09 10,100 1,900 700
0 161 1,574 X X 09 397 1,100 77
- -
0 KONINKLIJKE AHOLD N V 50046730 53 2,000 X 04 0 0 2,000
SPON ADR NEW
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 210 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 6,000 X 05 0 0 6,000
0 21 800 X X 05 0 0 800
0 66 2,484 X X 08 2,484 0 0
0 90 3,411 X 09 1,010 0 2,401
- -
0 KONINKLIJKE PHILIPS ELECTRS 50047220 142 828 X 04 368 0 460
SPON ADR NEW
0 452 2,636 X 08 2,636 0 0
0 11,193 65,335 X 09 53,018 0 12,317
0 1,804 10,528 X X 09 7,912 0 2,616
- -
0 KOREA TELECOM 50063P10 895 20,438 X 09 20,438 0 0
SPONSORED ADR
0 263 6,000 X X 09 0 0 6,000
- -
0 KOREA ELECTRIC PWR 50063110 79 5,000 X 09 0 0 5,000
SPONSORED ADR
0 764 48,345 X 12 48,345 0 0
- -
0 KOREA FD 50063410 224 15,000 X 09 0 15,000 0
COM
0 670 44,825 X 12 44,825 0 0
- -
0 KROGER CO 50104410 1,799 102,450 X 04 92,450 0 10,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 211 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 7,000 X X 04 7,000 0 0
0 95 5,400 X 05 5,400 0 0
0 1,563 89,000 X X 05 88,300 0 700
0 4,233 241,025 X 08 230,925 0 10,100
0 731 41,650 X X 08 35,150 6,500 0
0 24,484 1,394,039 X 09 1,272,775 4,800 116,464
0 9,931 565,422 X X 09 137,269 304,605 123,548
- -
0 KYOCERA CORP 50155620 837 5,040 X 12 5,040 0 0
ADR
- -
0 LCC INTERNATIONAL INC 50181010 396 10,000 X 09 10,000 0 0
CL A
- -
0 LJL BIOSYSTEMS INC 50187310 219 12,000 X 12 12,000 0 0
COM
- -
0 LG&E ENERGY CORP 50191710 9 400 X 04 400 0 0
COM
0 23 1,002 X X 04 1,002 0 0
0 104 4,550 X 09 2,750 0 1,800
0 199 8,707 X X 09 5,107 3,600 0
- -
0 LTV CORP NEW 50192110 1,148 322,308 X 09 321,908 0 400
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 212 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
LHS GROUP INC 50193810 270 6,000 X 12 6,000 0 0
COM
- -
0 LNR PPTY CORP 50194010 446 23,400 X 09 23,400 0 0
COM
- -
0 LL & E RTY TR 50200310 57 19,666 X 08 19,666 0 0
UNIT BEN INT
0 2 575 X X 08 375 0 200
0 2 660 X 09 660 0 0
0 0 66 X X 09 66 0 0
- -
0 LSI LOGIC CORP 50216110 145 2,000 X 04 2,000 0 0
COM
0 36 500 X X 08 500 0 0
0 102 1,400 X 09 1,400 0 0
0 87 1,194 X X 09 96 0 1,098
0 5,206 71,682 X 12 71,682 0 0
- -
0 LTC PPTYS INC 50217510 22 4,000 X X 08 4,000 0 0
COM
0 15 2,700 X 09 2,700 0 0
0 44 8,100 X X 09 5,800 0 2,300
- -
0 LA JOLLA PHARMACEUTICAL CO 50345910 98 15,000 X 03 15,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 213 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,425 521,828 X X 03 521,828 0 0
- -
0 LABRANCHE & CO INC 50544710 510 40,200 X 09 40,200 0 0
COM
- -
0 LACLEDE GAS CO 50558810 3,731 186,550 X 06 186,550 0 0
COM
0 1,391 69,525 X 08 69,525 0 0
0 3,353 167,650 X 09 167,450 0 200
- -
0 LAFARGE CORP 50586210 299 12,600 X 09 12,600 0 0
COM
- -
0 LAKEHEAD PIPE LINE PARTNERS 51155710 5 150 X 08 150 0 0
COM UNIT-CL A
0 71 2,050 X 09 1,650 0 400
0 434 12,500 X X 09 3,400 2,000 7,100
- -
0 LAKELAND BANCORP INC 51163710 199 18,331 X 09 18,331 0 0
COM
- -
0 LAM RESEARCH CORP 51280710 10,153 225,300 X 06 225,300 0 0
COM
0 13,409 297,563 X 09 275,470 0 22,093
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 214 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 802 17,805 X X 09 8,825 0 8,980
0 1,167 25,903 X 12 25,903 0 0
- -
0 LAMAR ADVERTISING CO 51281510 6,313 138,750 X 06 138,750 0 0
CL A
0 4,891 107,500 X 09 107,500 0 0
- -
0 LANDACORP INC 51475610 2,864 266,450 X 12 266,450 0 0
COM
- -
0 LANDEC CORP 51476610 9,055 1,341,527 X 07 1,306,817 0 34,710
COM
- -
0 LANDRYS SEAFOOD RESTAURANTS 51508L10 6 1,000 X X 08 1,000 0 0
COM
0 106 16,700 X 09 16,700 0 0
- -
0 LANDS END INC 51508610 245 4,000 X X 09 4,000 0 0
COM
- -
0 LANIER WORLDWIDE INC 51589L10 7 3,460 X 09 1,396 0 2,064
COM
0 17 8,000 X X 09 4,800 0 3,200
- -
0 LASER-PACIFIC MEDIA CORP 51792310 3,046 512,993 X 09 512,993 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 215 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
LATIN AMERN DISCOVERY FD INC 51828C10 115 10,000 X 12 10,000 0 0
COM
- -
0 LATITUDE COMMUNICATIONS INC 51829210 2,189 83,400 X 12 83,400 0 0
COM
- -
0 LAUDER ESTEE COS INC 51843910 30 600 X 04 600 0 0
CL A
0 50 1,000 X X 05 0 0 1,000
0 3,413 68,180 X 08 67,980 0 200
0 3,186 63,645 X X 08 59,745 3,600 300
0 757 15,130 X 09 15,130 0 0
0 78 1,568 X X 09 1,400 168 0
0 2,433 48,590 X 12 48,590 0 0
- -
0 LAUNCH MEDIA INC 51856710 1,876 120,050 X 12 120,050 0 0
COM
- -
0 LEAP WIRELESS INTL INC 52186310 12 125 X 04 125 0 0
COM
0 897 9,088 X 09 8,746 0 342
0 208 2,108 X X 09 1,290 34 784
- -
0 LEGATO SYS INC 52465110 714 16,000 X X 08 16,000 0 0
COM
0 158 3,548 X 09 3,548 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 216 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 446 10,000 X X 09 0 0 10,000
0 1,914 42,882 X 12 42,882 0 0
- -
0 LEHMAN BROS HLDGS INC 52490810 24 250 X 04 250 0 0
COM
0 9 93 X X 04 93 0 0
0 17,635 181,800 X 06 181,800 0 0
0 1,183 12,200 X 08 12,200 0 0
0 18,305 188,712 X 09 184,172 0 4,540
0 3,614 37,256 X X 09 16,982 700 19,574
0 260 2,680 X 12 2,680 0 0
- -
0 LENNOX INTL INC 52610710 7,062 807,100 X 01 0 0 807,100
COM
0 3,938 450,000 X 09 450,000 0 0
- -
0 LEUCADIA NATL CORP 52728810 17 700 X X 08 700 0 0
COM
0 390 16,400 X 09 16,400 0 0
- -
0 LEVEL 3 COMMUNICATIONS INC 52729N10 169 1,600 X 08 1,600 0 0
COM
0 212 2,000 X X 08 0 0 2,000
- -
0 LEXMARK INTL GROUP INC 52977110 1,956 18,500 X 04 15,900 0 2,600
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 217 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 32 300 X X 04 300 0 0
0 3,384 32,000 X X 05 32,000 0 0
0 4,066 38,450 X 06 38,450 0 0
0 4,133 39,080 X 08 39,030 0 50
0 169 1,600 X X 08 1,600 0 0
0 15,775 149,176 X 09 145,976 1,400 1,800
0 7,674 72,566 X X 09 2,665 53,614 16,287
0 233 2,200 X 12 2,200 0 0
- -
0 LIBERATE TECHNOLOGIES 53012910 10,395 165,650 X 12 165,650 0 0
COM
- -
0 LIBERTY DIGITAL INC 53043610 308 8,000 X 04 0 0 8,000
CL A
0 39 1,000 X 05 0 0 1,000
0 651 16,900 X 09 16,900 0 0
- -
0 LIBERTY PPTY TR 53117210 3,047 127,300 X 09 121,300 0 6,000
SH BEN INT
0 136 5,700 X X 09 4,000 0 1,700
- -
0 LIFEMINDERS COM INC 53219H10 9,910 146,000 X 12 146,000 0 0
COM
- -
0 LIGHTBRIDGE INC 53222610 535 22,900 X 09 22,900 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 218 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
LIGHTPATH TECHNOLOGIES INC 53225710 31 690 X 08 690 0 0
CL A
0 257 5,700 X 09 4,200 0 1,500
- -
0 LILLY ELI & CO 53245710 365 5,834 X 04 3,034 0 2,800
COM
0 296 4,720 X X 04 2,900 0 1,820
0 50 800 X 05 300 0 500
0 4,440 70,900 X X 05 68,500 0 2,400
0 32,877 524,975 X 06 524,975 0 0
0 19,973 318,938 X 08 310,538 8,400 0
0 5,107 81,554 X X 08 53,776 10,778 17,000
0 39,159 625,296 X 09 599,696 8,150 17,450
0 27,685 442,071 X X 09 242,332 22,634 177,105
0 1,809 28,886 X 12 28,886 0 0
- -
0 LIMITED INC 53271610 119,916 2,846,672 X 09 300 0 2,846,372
COM
0 83,436 1,980,676 X X 09 750 0 1,979,926
- -
0 LINCOLN ELEC HLDGS INC 53390010 184 7,600 X 09 7,600 0 0
COM
0 368 15,200 X X 09 15,200 0 0
- -
0 LINCOLN NATL CORP IND 53418710 575 17,160 X X 08 960 0 16,200
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 219 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 590 17,600 X 09 17,600 0 0
0 1,021 30,473 X X 09 20,296 0 10,177
- -
0 LINEAR TECHNOLOGY CORP 53567810 88 1,600 X 04 1,600 0 0
COM
0 132 2,400 X X 04 0 0 2,400
0 627 11,400 X 05 6,000 0 5,400
0 333 6,060 X X 08 6,060 0 0
0 1,199 21,800 X 09 21,800 0 0
0 6,160 112,000 X X 09 112,000 0 0
0 3,030 55,093 X 12 55,093 0 0
- -
0 LITHIA MTRS INC 53679710 5,774 378,650 X 06 378,650 0 0
CL A
0 2,476 162,375 X 08 162,375 0 0
0 3,971 260,400 X 09 260,000 0 400
- -
0 LITTELFUSE INC 53700810 325 8,872 X 09 5,200 0 3,672
COM
0 301 8,200 X X 09 7,200 0 1,000
- -
0 LOCKHEED MARTIN CORP 53983010 5 235 X 04 235 0 0
COM
0 19 948 X X 04 948 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 220 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 2,286 X 08 2,286 0 0
0 227 11,088 X 09 4,112 0 6,976
0 40 1,945 X X 09 1,240 500 205
0 399 19,535 X 12 19,535 0 0
- -
0 LODGIAN INC 54021P10 75 20,000 X X 09 20,000 0 0
COM
- -
0 LOEWS CORP 54042410 38 750 X 08 750 0 0
COM
0 15 300 X X 08 300 0 0
0 107 2,142 X 09 2,142 0 0
0 225 4,500 X X 09 4,500 0 0
- -
0 LONE STAR STEAKHOUSE SALOON 54230710 358 35,100 X 09 35,100 0 0
COM
- -
0 LOOKSMART LTD 54344210 8,048 182,900 X 12 182,900 0 0
COM
- -
0 LOUDEYE TECHNOLOGIES INC 54575410 872 25,010 X 12 25,010 0 0
COM
- -
0 LOUIS DREYFUS NAT GAS CORP 54601110 17,018 500,518 X 06 500,518 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 221 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,998 205,817 X 08 205,817 0 0
0 13,526 397,828 X 09 397,278 0 550
- -
0 LOUISIANA PAC CORP 54634710 19 1,400 X 05 0 0 1,400
COM
0 1 100 X 08 100 0 0
0 26 1,882 X X 08 1,882 0 0
0 56 4,024 X 09 4,024 0 0
0 1,056 76,110 X X 09 76,062 0 48
- -
0 LOWES COS INC 54866110 175 3,000 X X 04 0 0 3,000
COM
0 48 830 X X 08 830 0 0
0 56 960 X 09 300 660 0
0 3,176 54,400 X X 09 33,200 13,200 8,000
0 229 3,918 X 12 3,918 0 0
- -
0 LUBRIZOL CORP 54927110 13 450 X X 08 0 0 450
COM
0 468 16,250 X 09 14,950 0 1,300
0 360 12,500 X X 09 2,200 0 10,300
- -
0 LUBYS INC 54928210 94 10,000 X 08 10,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 222 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7 700 X X 08 0 700 0
0 1 100 X 09 100 0 0
- -
0 LUCENT TECHNOLOGIES INC 54946310 8,473 138,336 X 04 118,750 0 19,586
COM
0 4,784 78,101 X X 04 40,474 10,271 27,356
0 597 9,742 X 05 6,192 0 3,550
0 3,063 50,000 X X 05 50,000 0 0
0 82,774 1,351,417 X 06 1,351,417 0 0
0 87,908 1,435,232 X 08 1,423,782 388 11,062
0 28,578 466,577 X X 08 407,883 49,888 8,806
0 224,846 3,670,948 X 09 3,311,343 65,640 293,965
0 126,261 2,061,410 X X 09 1,255,708 195,377 610,325
- -
0 LUFKIN INDS INC 54976410 254 17,493 X X 08 17,493 0 0
COM
- -
0 LUMINANT WORLDWIDE CORP 55026010 637 38,300 X 12 38,300 0 0
COM
- -
0 LUXOTTICA GROUP S P A 55068R20 936 38,200 X 12 38,200 0 0
SPONSORED ADR
- -
0 LYCOS INC 55081810 2,143 30,500 X 01 0 0 30,500
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 223 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,036 157,100 X 06 157,100 0 0
0 2,440 34,734 X 07 34,734 0 0
0 11,226 159,800 X 09 153,600 0 6,200
0 41 588 X X 09 588 0 0
- -
0 LYNX THERAPEUTICS INC 55181230 30 1,000 X 09 1,000 0 0
COM NEW
0 393 13,205 X 10 13,205 0 0
0 6,494 218,300 X 12 218,300 0 0
- -
0 LYONDELL CHEMICAL CO 55207810 40 2,730 X 08 2,730 0 0
COM
0 128 8,700 X 09 7,100 0 1,600
- -
0 M & T BK CORP 55261F10 89 200 X 09 200 0 0
COM
0 1,340 3,000 X X 09 0 0 3,000
- -
0 MBIA INC 55262C10 42 816 X 04 816 0 0
COM
0 109 2,100 X X 04 550 0 1,550
0 21 400 X 05 0 0 400
0 104 2,000 X X 05 2,000 0 0
0 2,092 40,176 X 08 40,176 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 224 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 526 10,100 X X 08 10,100 0 0
0 1,541 29,600 X 09 19,730 0 9,870
0 3,408 65,467 X X 09 50,207 2,310 12,950
0 781 15,000 X 12 15,000 0 0
- -
0 MBNA CORP 55262L10 714 28,000 X 01 0 0 28,000
COM
0 5,197 203,811 X 09 201,454 1,600 757
0 33,939 1,330,942 X X 09 325,652 2,250 1,003,040
0 343 13,445 X 12 13,445 0 0
- -
0 MCN ENERGY GROUP INC 55267J10 7 296 X X 08 296 0 0
COM
0 72 2,872 X 09 2,476 0 396
0 190 7,604 X X 09 5,032 0 2,572
- -
0 M D C HLDGS INC 55267610 407 22,700 X 09 22,700 0 0
COM
- -
0 MCI WORLDCOM INC 55268B10 3,681 81,235 X 01 0 0 81,235
COM
0 7,068 155,984 X 04 129,080 0 26,904
0 1,383 30,515 X X 04 13,175 3,600 13,740
0 449 9,904 X 05 6,004 0 3,900
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 225 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,701 59,600 X X 05 59,000 0 600
0 71,684 1,581,979 X 06 1,581,979 0 0
0 48,690 1,074,520 X 08 1,060,970 0 13,550
0 15,328 338,263 X X 08 288,859 33,592 15,812
0 227,282 5,015,823 X 09 4,533,877 96,182 385,764
0 78,973 1,742,832 X X 09 763,852 274,043 704,937
0 9,836 217,064 X 12 217,064 0 0
- -
0 MDSI MOBILE DATA SOLUTIONS I 55268N10 320 6,755 X 12 6,755 0 0
COM
- -
0 MGC COMMUNICATIONS INC 55276350 3,998 65,000 X 01 0 0 65,000
PFD CV SER D
- -
0 MGM GRAND INC 55295310 2,209 92,050 X 12 92,050 0 0
COM
- -
0 MMC NETWORKS INC 55308N10 223 6,772 X X 04 0 0 6,772
COM
- -
0 MRV COMMUNICATIONS INC 55347710 82 900 X 09 900 0 0
COM
0 586 6,400 X 12 6,400 0 0
- -
0 MSC INDL DIRECT INC 55353010 270 15,000 X X 09 7,000 0 8,000
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 226 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MSC SOFTWARE CORP 55353110 1,902 161,020 X X 09 161,020 0 0
COM
- -
0 MACK CALI RLTY CORP 55448910 4,501 176,500 X 09 173,500 0 3,000
COM
0 38 1,500 X X 09 0 0 1,500
- -
0 MACROVISION CORP 55590410 3,445 40,000 X 06 40,000 0 0
COM
0 9,775 113,500 X 09 113,500 0 0
0 26,286 305,210 X 12 305,210 0 0
- -
0 MACROMEDIA INC 55610010 1,124 12,450 X 12 12,450 0 0
COM
- -
0 MADDEN STEVEN LTD 55626910 239 12,600 X 09 12,600 0 0
COM
- -
0 MAGIC SOFTWARE ENTERPRISES L 55916610 315 16,600 X 09 16,600 0 0
ORD
- -
0 MAIN STR BANCORP INC 55990610 47 4,280 X 09 4,280 0 0
COM
0 78 7,134 X X 09 7,134 0 0
- -
0 MAIL COM INC 56031110 604 35,000 X 12 35,000 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 227 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MAIL-WELL INC 56032120 136 15,700 X 09 15,700 0 0
COM
- -
0 MALLINCKRODT INC NEW 56123210 365 12,700 X 09 12,700 0 0
COM
0 228 7,920 X X 09 7,470 450 0
- -
0 MANAGEMENT NETWORK GROUP INC 56169310 2,127 78,970 X 12 78,970 0 0
COM
- -
0 MANDALAY RESORT GROUP 56256710 223 13,200 X 09 13,200 0 0
MANDALAY
- -
0 MANITOWOC INC 56357110 613 22,300 X 06 22,300 0 0
COM
0 113 4,100 X 09 4,100 0 0
0 29 1,050 X X 09 0 0 1,050
- -
0 MANOR CARE INC NEW 56405510 334 24,748 X 09 12,600 600 11,548
COM
0 142 10,500 X X 09 1,500 0 9,000
- -
0 MANPOWER INC 56418H10 7,544 212,500 X 06 212,500 0 0
COM
0 7,909 222,800 X 09 222,800 0 0
- -
0 MANULIFE FINL CORP 56501R10 454 30,926 X 08 30,926 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 228 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 7,157 X X 08 3,981 3,176 0
0 17,538 1,194,065 X 09 1,194,065 0 0
- -
0 MANUGISTICS GROUP INC 56501110 1,923 37,700 X 09 37,700 0 0
COM
- -
0 MARIMBA INC 56781Q10 4 100 X 08 100 0 0
COM
0 9 200 X 09 200 0 0
0 494 11,200 X 12 11,200 0 0
- -
0 MARINE DRILLING COS INC 56824020 862 31,400 X 09 31,400 0 0
COM PAR $0.01
- -
0 MARSH & MCLENNAN COS INC 57174810 31,770 288,000 X 06 288,000 0 0
COM
0 1,561 14,151 X 08 13,851 0 300
0 4,335 39,299 X X 08 16,500 0 22,799
0 35,826 324,764 X 09 321,314 0 3,450
0 10,076 91,337 X X 09 87,175 300 3,862
0 559 5,065 X 12 5,065 0 0
- -
0 MARRIOTT INTL INC NEW 57190320 152 4,820 X 04 1,000 0 3,820
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 229 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,053 160,417 X X 04 4,000 0 156,417
0 32 1,000 X 05 1,000 0 0
0 1,348 42,778 X 09 42,778 0 0
0 1,016 32,244 X X 09 20,994 0 11,250
- -
0 MARTEK BIOSCIENCES CORP 57290110 2,859 217,800 X 12 217,800 0 0
COM
- -
0 MARVEL ENTERPRISES INC 57383M10 7,653 1,288,778 X 09 1,288,778 0 0
COM
- -
0 MASCO CORP 57459910 19 950 X 05 250 0 700
COM
0 152 7,400 X X 08 7,400 0 0
0 4,319 210,676 X 09 203,376 0 7,300
0 1,505 73,426 X X 09 48,426 3,200 21,800
- -
0 MATRIX PHARMACEUTICAL INC 57684410 122 12,000 X X 04 0 0 12,000
COM
0 204 20,000 X 12 20,000 0 0
- -
0 MATSUSHITA ELEC INDL 57687920 38 125 X 05 0 0 125
ADR
0 1,329 4,385 X 12 4,385 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 230 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MATTEL INC 57708110 33 3,179 X 04 3,179 0 0
COM
0 3 326 X X 04 0 0 326
0 2 200 X 05 0 0 200
0 96 9,190 X 08 9,190 0 0
0 86 8,233 X X 08 5,933 0 2,300
0 1,961 186,780 X 09 137,295 1,400 48,085
0 254 24,164 X X 09 6,926 1,000 16,238
0 862 82,095 X 12 82,095 0 0
- -
0 MATTSON TECHNOLOGY INC 57722310 1,158 27,166 X 12 27,166 0 0
COM
- -
0 MAXIM INTEGRATED PRODS INC 57772K10 4,690 66,000 X X 05 66,000 0 0
COM
0 244 3,440 X X 08 3,440 0 0
0 5,344 75,200 X 09 75,200 0 0
0 2,558 36,000 X X 09 36,000 0 0
0 17,476 245,918 X 12 245,918 0 0
- -
0 MAXIM PHARMACEUTICALS INC 57772M10 751 16,000 X 09 16,000 0 0
COM
- -
0 MAXTOR CORP 57772920 1,163 89,900 X X 05 89,900 0 0
COM NEW
- -
0 MAY DEPT STORES CO 57777810 137 4,792 X 04 4,792 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 231 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 17 600 X 05 0 0 600
0 1,221 42,850 X 08 42,550 0 300
0 1,760 61,748 X X 08 29,798 4,500 27,450
0 3,896 136,717 X 09 129,631 1,190 5,896
0 2,404 84,364 X X 09 69,714 4,500 10,150
- -
0 MAVERICK TUBE CORP 57791410 2,060 63,500 X X 05 63,500 0 0
COM
- -
0 MAXIMUS INC 57793310 7,058 231,400 X 06 231,400 0 0
COM
0 5,954 195,200 X 09 195,200 0 0
- -
0 MAYTAG CORP 57859210 109 3,300 X X 08 3,300 0 0
COM
0 297 8,969 X X 09 8,900 0 69
- -
0 MCAFEE COM CORP 57906210 4,419 85,500 X 12 85,500 0 0
CL A
- -
0 MCCLATCHY CO 57948910 622 19,000 X 09 19,000 0 0
CL A
- -
0 MCCORMICK & CO INC 57978020 3,647 113,075 X 08 113,075 0 0
COM NON VTG
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 232 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,769 116,865 X X 08 106,665 9,700 500
0 290 9,000 X X 09 0 0 9,000
- -
0 MCDONALDS CORP 58013510 2,590 69,300 X 01 0 0 69,300
COM
0 841 22,506 X 04 12,800 0 9,706
0 476 12,740 X X 04 7,600 0 5,140
0 280 7,500 X 05 6,700 0 800
0 19 500 X X 05 500 0 0
0 31,133 833,000 X 06 833,000 0 0
0 5,298 141,752 X 08 141,252 0 500
0 4,611 123,370 X X 08 99,970 600 22,800
0 84,842 2,270,024 X 09 2,132,143 7,433 130,448
0 63,595 1,701,531 X X 09 821,700 48,600 831,231
0 1,589 42,502 X 12 42,502 0 0
- -
0 MCGRAW HILL COS INC 58064510 26 568 X 04 568 0 0
COM
0 64 1,400 X X 04 1,400 0 0
0 23 500 X 05 500 0 0
0 86 1,900 X 08 1,900 0 0
0 4,536 99,700 X X 08 65,000 0 34,700
0 2,753 60,496 X 09 57,776 0 2,720
0 6,337 139,270 X X 09 120,534 2,000 16,736
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 233 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MCKESSON HBOC INC 58155Q10 16 740 X 04 0 0 740
COM
0 8 400 X X 04 400 0 0
0 3 125 X 05 0 0 125
0 63 3,000 X X 05 3,000 0 0
0 25 1,200 X 09 1,200 0 0
0 182 8,659 X X 09 8,100 400 159
0 426 20,271 X 12 20,271 0 0
- -
0 MCLEODUSA INC 58226610 556 6,550 X X 08 5,100 0 1,450
COM
- -
0 MEAD CORP 58283410 17 500 X X 05 500 0 0
COM
0 14 400 X X 08 0 0 400
0 1,817 51,996 X 09 51,396 0 600
0 727 20,800 X X 09 13,200 400 7,200
0 349 10,000 X 12 10,000 0 0
- -
0 MECHANICAL TECHNOLOGY INC 58353810 114 1,600 X 09 1,600 0 0
COM
0 781 11,000 X 12 11,000 0 0
- -
0 MEDAREX INC 58391610 50 1,000 X 09 1,000 0 0
COM
0 5,457 108,600 X 12 108,600 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 234 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MED-DESIGN CORP 58392610 171 10,500 X 12 10,500 0 0
COM
- -
0 MEDIAONE GROUP INC 58440J10 17,407 214,900 X 01 0 0 214,900
COM
0 71 875 X 04 475 0 400
0 693 8,554 X X 04 3,849 0 4,705
0 563 6,948 X 08 6,160 0 788
0 683 8,428 X X 08 6,894 894 640
0 3,849 47,518 X 09 40,540 798 6,180
0 23,387 288,724 X X 09 267,049 2,124 19,551
0 230 2,834 X 12 2,834 0 0
- -
0 MEDIA METRIX INC 58440X10 971 23,121 X X 09 23,121 0 0
COM
0 457 10,891 X 10 10,891 0 0
- -
0 MEDIACOM COMMUNICATIONS CORP 58446K10 46,934 3,367,334 X 10 3,367,334 0 0
CL A
0 11,934 856,200 X 11 856,200 0 0
- -
0 MEDICAL MANAGER CORP NEW 58461U10 2,745 78,300 X 01 0 0 78,300
COM
- -
0 MEDICALOGIC INC 58464210 341 19,600 X 06 19,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 235 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MEDICONSULT COM INC 58469J10 3 1,000 X 09 0 0 1,000
COM
0 106 37,000 X 12 37,000 0 0
- -
0 MEDICIS PHARMACEUTICAL CORP 58469030 2,569 64,236 X 12 64,236 0 0
CL A NEW
- -
0 MEDIMMUNE INC 58469910 145 830 X 04 830 0 0
COM
0 2,090 12,000 X X 05 12,000 0 0
0 5,711 32,800 X 06 32,800 0 0
0 216 1,240 X 08 1,140 0 100
0 187 1,075 X X 08 1,000 0 75
0 12,325 70,780 X 09 69,830 350 600
0 505 2,900 X X 09 1,200 0 1,700
- -
0 MEDQUIST INC 58494910 15,492 569,800 X 06 569,800 0 0
COM
0 4,901 180,250 X 08 180,250 0 0
0 14,070 517,500 X 09 517,000 0 500
- -
0 MEDITRUST CORP 58501T30 2 1,032 X X 08 720 312 0
PAIRED CTF NEW
0 2 1,252 X 09 1,252 0 0
0 7 4,000 X X 09 4,000 0 0
0 37 20,500 X 12 20,500 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 236 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MEDTRONIC INC 58505510 5,799 112,736 X 04 106,336 0 6,400
COM
0 957 18,600 X X 04 4,900 1,600 12,100
0 185 3,600 X 05 0 0 3,600
0 3,189 62,000 X X 05 62,000 0 0
0 18,525 360,150 X 06 360,150 0 0
0 41,826 813,132 X 08 800,282 0 12,850
0 21,995 427,608 X X 08 378,608 29,200 19,800
0 84,030 1,633,617 X 09 1,418,987 48,130 166,500
0 42,554 827,289 X X 09 261,097 22,080 544,112
0 20,188 392,469 X 12 392,469 0 0
- -
0 MELLON FINL CORP 58551A10 1,205 40,500 X 04 40,500 0 0
COM
0 60 2,000 X X 04 2,000 0 0
0 18 600 X 05 600 0 0
0 4,810 161,673 X 08 160,873 0 800
0 6,181 207,770 X X 08 153,970 53,800 0
0 44,585 1,498,650 X 09 1,473,978 12,550 12,122
0 2,648 89,018 X X 09 37,387 5,100 46,531
- -
0 MEMBERWORKS INC 58600210 321 8,000 X 09 8,000 0 0
COM
- -
0 MENTOR CORP MINN 58718810 13,709 507,750 X 06 507,750 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 237 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,615 133,900 X 08 133,900 0 0
0 9,721 360,050 X 09 359,750 0 300
- -
0 MERCK & CO INC 58933110 4,866 78,326 X 04 64,436 0 13,890
COM
0 7,701 123,956 X X 04 53,166 15,200 55,590
0 761 12,250 X 05 8,650 0 3,600
0 2,174 35,000 X X 05 34,200 0 800
0 49,447 795,920 X 06 795,920 0 0
0 95,326 1,534,416 X 08 1,521,516 5,600 7,300
0 33,508 539,366 X X 08 343,540 42,976 152,850
0 282,166 4,541,900 X 09 4,290,202 9,970 241,728
0 352,195 5,669,134 X X 09 3,371,000 226,634 2,071,500
0 5,397 86,871 X 12 86,871 0 0
- -
0 MERCURY INTERACTIVE CORP 58940510 365 4,600 X 09 4,600 0 0
COM
0 10,783 136,060 X 12 136,060 0 0
- -
0 MERISTAR HOSPITALITY CORP 58984Y10 2,729 156,500 X 09 156,500 0 0
COM
- -
0 MERITOR AUTOMOTIVE INC 59000G10 2 146 X 08 146 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 238 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2 140 X X 08 140 0 0
0 124 7,833 X 09 7,833 0 0
0 88 5,584 X X 09 5,584 0 0
- -
0 MERRILL LYNCH & CO INC 59018810 3,911 37,245 X 04 32,505 0 4,740
COM
0 729 6,945 X X 04 2,125 0 4,820
0 935 8,900 X 05 6,900 0 2,000
0 2,625 25,000 X X 05 25,000 0 0
0 112,492 1,071,350 X 06 1,071,350 0 0
0 32,140 306,095 X 08 305,645 0 450
0 2,061 19,625 X X 08 18,025 0 1,600
0 131,875 1,255,948 X 09 1,203,648 5,760 46,540
0 5,254 50,034 X X 09 32,246 8,238 9,550
- -
0 METAL MGMT INC 59109710 24 11,000 X 04 11,000 0 0
COM
- -
0 METAMOR WORLDWIDE INC 59133P10 1,444 51,000 X 01 0 0 51,000
COM
0 1,557 55,000 X 09 55,000 0 0
- -
0 METRICOM INC 59159610 359 7,750 X 12 7,750 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 239 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
METRIS COS INC 59159810 6,780 174,414 X 09 7,293 167,121 0
COM
- -
0 METROMEDIA FIBER NETWORK INC 59168910 83,340 861,400 X 01 0 0 861,400
CL A
0 19 200 X 08 0 0 200
0 48 500 X X 08 500 0 0
0 194 2,000 X 09 0 0 2,000
0 791 8,175 X X 09 175 5,000 3,000
0 846 8,740 X 12 8,740 0 0
- -
0 METTLER TOLEDO INTERNATIONAL 59268810 53 1,300 X 09 0 1,300 0
COM
0 5,347 130,600 X X 09 130,600 0 0
- -
0 MIAMI COMPUTER SUPPLY CORP 59326110 314 10,000 X 09 10,000 0 0
COM
- -
0 MICHAELS STORES INC 59408710 6 150 X 08 150 0 0
COM
0 6 150 X X 08 150 0 0
0 1,858 45,600 X 09 45,600 0 0
- -
0 MICRO COMPONENT TECHNOLOGY I 59479Q10 137 15,000 X 12 15,000 0 0
COM
- -
0 MICREL INC 59479310 1,306 13,600 X 09 13,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 240 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 739 7,700 X 12 7,700 0 0
- -
0 MICROS SYS INC 59490110 23,707 376,667 X 06 376,667 0 0
COM
0 5,992 95,208 X 08 95,208 0 0
0 19,720 313,326 X 09 313,076 0 250
- -
0 MICROSOFT CORP 59491810 2,617 24,629 X 01 0 0 24,629
COM
0 9,755 91,812 X 04 69,742 0 22,070
0 3,803 35,794 X X 04 19,400 3,550 12,844
0 1,301 12,245 X 05 10,145 0 2,100
0 5,366 50,500 X X 05 49,600 0 900
0 167,693 1,578,285 X 06 1,578,285 0 0
0 197,168 1,855,701 X 08 1,834,324 14,000 7,377
0 59,649 561,404 X X 08 469,173 68,031 24,200
0 377,795 3,555,719 X 09 3,362,568 43,906 149,245
0 183,122 1,723,503 X X 09 691,733 139,435 892,335
0 50,353 473,910 X 12 473,910 0 0
- -
0 MICROSTRATEGY INC 59497210 3,918 45,000 X 01 0 0 45,000
CL A
0 331 3,800 X 09 3,800 0 0
- -
0 MICROCHIP TECHNOLOGY INC 59501710 26,303 400,042 X 06 400,042 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 241 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 23,423 356,250 X 09 356,250 0 0
0 1,368 20,810 X 12 20,810 0 0
- -
0 MICROCIDE PHARMACEUTICALS IN 59501810 13 1,000 X X 04 0 0 1,000
COM
0 3,047 234,350 X 12 234,350 0 0
- -
0 MICRON TECHNOLOGY INC 59511210 655 5,200 X 09 200 5,000 0
COM
0 594 4,713 X X 09 4,552 0 161
0 1,404 11,141 X 12 11,141 0 0
- -
0 MIDWAY GAMES INC 59814810 252 19,000 X 09 19,000 0 0
COM
- -
0 MILACRON INC 59870910 7 500 X X 05 500 0 0
COM
0 1 100 X 08 100 0 0
0 1 100 X X 08 100 0 0
0 5,214 361,138 X 09 358,538 0 2,600
0 29 2,000 X X 09 2,000 0 0
- -
0 MILLENNIUM PHARMACEUTICALS I 59990210 520 4,000 X X 08 4,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 242 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 208 1,600 X 09 1,600 0 0
0 390 3,000 X X 09 0 0 3,000
0 4,262 32,816 X 12 32,816 0 0
- -
0 MILLENNIUM CHEMICALS INC 59990310 27 1,332 X 04 1,332 0 0
COM
0 6 300 X X 08 0 0 300
0 2,863 143,129 X 09 141,988 0 1,141
0 5 251 X X 09 184 67 0
- -
0 MILLER HERMAN INC 60054410 2,800 100,000 X 09 100,000 0 0
COM
- -
0 MILLER INDS INC TENN 60055110 53 14,000 X 09 14,000 0 0
COM
0 57 15,000 X X 09 15,000 0 0
- -
0 MILLIPORE CORP 60107310 356 6,300 X X 09 6,300 0 0
COM
- -
0 MINIMED INC 60365K10 1,800 13,900 X 09 13,900 0 0
COM
0 628 4,850 X 12 4,850 0 0
- -
0 MINNESOTA MNG & MFG CO 60405910 1,495 16,876 X 04 15,676 0 1,200
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 243 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,168 13,184 X X 04 784 600 11,800
0 89 1,000 X 05 500 0 500
0 354 4,000 X X 05 4,000 0 0
0 6,812 76,916 X 08 76,716 0 200
0 7,138 80,594 X X 08 66,504 8,570 5,520
0 42,481 479,670 X 09 414,242 13,498 51,930
0 46,957 530,211 X X 09 414,963 30,700 84,548
0 232 2,618 X 12 2,618 0 0
- -
0 MINNESOTA PWR INC 60411010 10 584 X X 04 584 0 0
COM
0 1 63 X 08 63 0 0
0 233 14,000 X X 09 12,000 2,000 0
- -
0 MIPS TECHNOLOGIES INC 60456710 2,067 37,155 X 12 37,155 0 0
CL A
- -
0 MIRAGE RESORTS INC 60462E10 10 500 X 08 500 0 0
COM
0 601 31,000 X 09 7,000 0 24,000
0 625 32,282 X X 09 157 0 32,125
- -
0 MISSION CRITICAL SOFTWARE IN 60504710 1,150 18,820 X 10 18,820 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 244 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MOLECULAR DEVICES CORP 60851C10 36,560 476,350 X 06 476,350 0 0
COM
0 12,666 165,025 X 08 165,025 0 0
0 27,975 364,500 X 09 364,150 0 350
- -
0 MOLEX INC 60855410 225 3,827 X 04 3,827 0 0
COM
0 23,233 395,450 X 06 395,450 0 0
0 11,011 187,420 X 08 187,420 0 0
0 434 7,387 X X 08 5,435 0 1,952
0 25,332 431,181 X 09 398,524 711 31,946
0 7,209 122,711 X X 09 67,929 3,250 51,532
- -
0 MOLEX INC 60855420 469 10,576 X 08 10,576 0 0
CL A
0 183 4,126 X X 08 4,126 0 0
0 559 12,589 X 09 5,488 1,562 5,539
0 3,776 85,086 X X 09 31,991 1,525 51,570
- -
0 MONARCH DENTAL CORP 60904410 435 151,450 X 12 151,450 0 0
COM
- -
0 MONSANTO CO 61166210 2,575 50,000 X 01 0 0 50,000
COM
0 963 18,691 X 04 12,941 0 5,750
0 322 6,260 X X 04 760 0 5,500
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 245 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 5,300 X 05 5,300 0 0
0 31 600 X X 05 0 0 600
0 15,298 297,050 X 08 296,750 0 300
0 3,371 65,450 X X 08 55,950 3,500 6,000
0 63,936 1,241,477 X 09 1,227,077 3,150 11,250
0 9,958 193,363 X X 09 163,155 1,589 28,619
0 277 5,380 X 12 5,380 0 0
- -
0 MONSANTO CO 61166230 1,327 29,000 X X 05 29,000 0 0
ADJ CONVR RATE
0 169 3,700 X 08 3,700 0 0
0 2,937 64,200 X 09 40,600 3,600 20,000
0 1,996 43,625 X X 09 29,400 1,800 12,425
- -
0 MONTANA POWER CO 61208510 279 4,363 X 04 1,063 0 3,300
COM
0 397 6,200 X X 04 6,200 0 0
0 64 1,000 X X 08 1,000 0 0
0 8,422 131,600 X 09 131,600 0 0
0 2,291 35,798 X X 09 32,800 0 2,998
- -
0 MONY GROUP INC 61533710 0 7 X 04 7 0 0
COM
0 19 594 X 08 594 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 246 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 475 14,685 X 09 14,685 0 0
- -
0 MOORE LTD 61578510 49 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 99 750 X 01 0 0 750
COM
0 1,251 9,495 X 04 8,845 0 650
0 2,333 17,705 X X 04 9,199 2,500 6,006
0 46 350 X 05 350 0 0
0 1,140 8,650 X X 05 8,500 0 150
0 54,571 414,200 X 06 414,200 0 0
0 8,735 66,300 X 08 66,300 0 0
0 2,759 20,940 X X 08 11,134 9,506 300
0 118,746 901,301 X 09 864,917 12,700 23,684
0 81,121 615,717 X X 09 348,486 9,700 257,531
0 651 4,942 X 12 4,942 0 0
- -
0 MORGAN STANLEY DEAN WITTER&C 61744644 6,158 74,300 X 01 0 0 74,300
COM NEW
0 5,714 68,950 X 04 60,750 0 8,200
0 3,098 37,382 X X 04 22,882 5,700 8,800
0 613 7,400 X 05 4,600 0 2,800
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 247 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,525 54,600 X X 05 53,800 0 800
0 173,287 2,090,950 X 06 2,090,950 0 0
0 58,155 701,725 X 08 698,475 0 3,250
0 6,909 83,364 X X 08 74,176 3,938 5,250
0 336,136 4,055,935 X 09 3,801,820 35,172 218,943
0 44,195 533,269 X X 09 288,851 147,272 97,146
0 1,432 17,276 X 12 17,276 0 0
- -
0 MOTOROLA INC 62007610 1,535 10,516 X 04 8,516 0 2,000
COM
0 190 1,300 X X 04 1,000 0 300
0 998 6,839 X 05 5,064 0 1,775
0 6,174 42,285 X X 05 40,250 0 2,035
0 151,579 1,038,215 X 06 1,038,215 0 0
0 51,256 351,068 X 08 350,718 0 350
0 15,722 107,686 X X 08 84,941 16,345 6,400
0 190,581 1,305,349 X 09 1,278,142 6,829 20,378
0 39,472 270,357 X X 09 231,036 6,425 32,896
0 5,420 37,121 X 12 37,121 0 0
- -
0 MP3 COM INC 62473M10 2 100 X X 09 100 0 0
COM
0 795 37,850 X 12 37,850 0 0
- -
0 MUELLER INDS INC 62475610 328 10,800 X 09 10,800 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 248 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MULTEX COM INC 62536710 91,480 2,464,117 X 07 2,464,117 0 0
COM
0 1,247 33,600 X 09 33,600 0 0
- -
0 MUNIVEST FD INC 62629510 168 21,539 X 08 21,539 0 0
COM
- -
0 MUNIYIELD CALIF FD INC 62629610 2,713 220,300 X 12 220,300 0 0
COM
- -
0 MUNIYIELD FD INC 62629910 117 10,008 X 08 10,008 0 0
COM
- -
0 MUNIYIELD INSD FD INC 62630E10 670 54,671 X 08 54,671 0 0
COM
0 0 10 X 09 10 0 0
- -
0 MUNIYIELD QUALITY FD II 62630T10 85 7,800 X X 08 7,800 0 0
COM
0 44 4,000 X 09 4,000 0 0
- -
0 MURPHY OIL CORP 62671710 735 12,760 X 09 12,760 0 0
COM
0 197 3,425 X X 09 3,425 0 0
- -
0 MUSTANG COM INC 62818810 1,355 61,600 X 06 61,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 249 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
MYLAN LABS INC 62853010 163 5,940 X 09 4,840 0 1,100
COM
0 41 1,500 X X 09 900 0 600
- -
0 MYTURN COM 62869010 1,009 42,582 X 10 0 0 42,582
COM
- -
0 NABI INC 62871610 3 450 X X 09 450 0 0
COM
0 159 23,500 X 12 23,500 0 0
- -
0 NBC INTERNET INC 62873D10 9 200 X X 08 0 200 0
CL A
0 723 16,800 X 09 16,800 0 0
0 1,060 24,625 X 12 24,625 0 0
- -
0 NBTY INC 62878210 590 43,100 X 09 43,100 0 0
COM
- -
0 NCI BUILDING SYS INC 62885210 230 12,200 X 09 12,200 0 0
COM
- -
0 NCR CORP NEW 62886E10 2 59 X 04 59 0 0
COM
0 23 566 X X 04 423 0 143
0 2,484 61,916 X 08 61,616 0 300
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 250 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 760 18,935 X X 08 10,439 5,271 3,225
0 5,622 140,108 X 09 130,346 1,656 8,106
0 965 24,038 X X 09 20,643 181 3,214
- -
0 NDS GROUP PLC 62889110 423 6,000 X 09 6,000 0 0
SPONSORED ADR
0 14 200 X X 09 0 0 200
- -
0 NEC CORP 62905020 74 500 X 09 0 500 0
ADR
0 786 5,294 X X 09 0 0 5,294
- -
0 NFO WORLDWIDE INC 62910N10 13,822 593,200 X 06 593,200 0 0
COM
0 5,737 246,200 X 08 246,200 0 0
0 15,917 683,100 X 09 680,900 150 2,050
0 82 3,525 X X 09 0 0 3,525
- -
0 NTL INC 62940710 74 800 X 01 0 0 800
COM
0 325 3,500 X X 09 3,500 0 0
0 810 8,727 X 12 8,727 0 0
- -
0 NUCO2 INC 62942810 8,788 657,042 X 03 0 0 657,042
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 251 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 7 500 X 09 500 0 0
- -
0 NVR INC 62944T10 340 6,300 X 09 6,300 0 0
COM
- -
0 NABORS INDS INC 62956810 8 200 X 08 200 0 0
COM
0 128 3,302 X X 08 3,302 0 0
0 1,866 48,075 X 09 48,075 0 0
0 560 14,436 X 12 14,436 0 0
- -
0 NASDAQ 100 TR 63110010 22 200 X 08 200 0 0
UNIT SER 1
0 914 8,350 X 09 8,000 0 350
0 580 5,300 X X 09 2,350 2,950 0
0 13,922 127,140 X 12 127,140 0 0
- -
0 NATCO GROUP INC 63227W20 636 60,600 X X 05 60,600 0 0
CL A
- -
0 NATIONAL BANCORP ALASKA 63258710 783 20,736 X X 09 20,736 0 0
COM
- -
0 NATIONAL CITY CORP 63540510 179 8,666 X 04 8,666 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 252 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 161 7,800 X X 04 400 1,000 6,400
0 10 500 X 08 500 0 0
0 14 700 X X 08 0 0 700
0 313 15,168 X 09 13,768 800 600
0 392 19,000 X X 09 12,400 0 6,600
0 601 29,120 X 12 29,120 0 0
- -
0 NATIONAL COMPUTER SYS INC 63551910 30,303 597,100 X 06 597,100 0 0
COM
0 9,477 186,730 X 08 186,730 0 0
0 22,112 435,700 X 09 435,400 0 300
- -
0 NATIONAL FUEL GAS CO N J 63618010 27 600 X 04 0 0 600
COM
0 365 8,200 X 09 8,200 0 0
0 396 8,886 X X 09 8,886 0 0
- -
0 NATIONAL HEALTH INVS INC 63633D10 3 255 X X 08 0 255 0
COM
0 148 12,368 X 09 9,368 0 3,000
0 33 2,800 X X 09 0 0 2,800
- -
0 NATIONAL INFO CONSORTIUM INC 63649110 372 10,700 X 09 10,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 253 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,635 104,600 X 12 104,600 0 0
- -
0 NATIONAL INSTRS CORP 63651810 10,186 217,000 X 06 217,000 0 0
COM
0 2,314 49,300 X 08 49,300 0 0
0 6,074 129,400 X 09 129,300 0 100
- -
0 NATIONAL PWR PLC 63719440 937 45,025 X 12 45,025 0 0
SPON ADR FINAL
- -
0 NATIONAL SEMICONDUCTOR CORP 63764010 18 300 X 01 0 0 300
COM
0 243 4,000 X 09 3,300 0 700
0 10 161 X X 09 81 0 80
0 367 6,046 X 12 6,046 0 0
- -
0 NATIONAL SVC INDS INC 63765710 84 4,000 X X 04 1,000 3,000 0
COM
0 295 14,000 X 09 10,900 0 3,100
0 312 14,799 X X 09 12,099 0 2,700
- -
0 NATIONAL WESTMINSTER BK PLC 63853940 61 500 X X 05 0 0 500
ADR
0 283 2,309 X 09 2,309 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 254 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 49 403 X X 09 403 0 0
- -
0 NATIONWIDE HEALTH PPTYS INC 63862010 7 700 X X 05 700 0 0
COM
0 2,974 284,910 X 09 266,310 1,000 17,600
0 759 72,760 X X 09 52,100 4,500 16,160
- -
0 NATROL INC 63878910 128 25,000 X 12 25,000 0 0
COM
- -
0 NATURAL MICROSYSTEMS CORP 63888210 4,073 47,500 X 09 47,500 0 0
COM
- -
0 NAVISTAR INTL CORP NEW 63934E10 434 10,805 X 09 10,805 0 0
COM
- -
0 NAVISITE INC 63935M10 1,102 9,050 X 12 9,050 0 0
COM
- -
0 NAVIGANT CONSULTING INC 63935N10 2,209 200,800 X 09 200,800 0 0
COM
- -
0 NEIMAN MARCUS GROUP INC 64020430 13 482 X 04 482 0 0
CL B
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 255 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 210 7,622 X 09 7,532 90 0
0 66 2,409 X X 09 2,409 0 0
- -
0 NEOMAGIC CORP 64049710 10 2,000 X 09 2,000 0 0
COM
0 50 10,000 X 12 10,000 0 0
- -
0 NEOSE TECHNOLOGIES INC 64052210 1,891 58,750 X 12 58,750 0 0
COM
- -
0 NETWORKS ASSOCS INC 64093810 2,759 85,559 X 09 84,658 0 901
COM
0 594 18,423 X X 09 6,675 0 11,748
0 577 17,900 X 12 17,900 0 0
- -
0 NET GENESIS CORP 64107E10 8,643 193,150 X 12 193,150 0 0
COM
- -
0 NET PERCEPTIONS INC 64107U10 290 7,850 X 12 7,850 0 0
COM
- -
0 NET2PHONE 64108N10 769 13,000 X 09 13,000 0 0
COM
0 11,189 189,250 X 12 189,250 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 256 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NETCENTIVES INC 64108P10 288 9,600 X 12 9,600 0 0
COM
- -
0 NETCURRENTS INC 64110J10 722 74,000 X 12 74,000 0 0
COM
- -
0 NETCREATIONS INC 64110N10 434 10,200 X 09 10,200 0 0
COM
- -
0 NETIA HLDGS S A 64114B10 700 20,000 X 12 20,000 0 0
SPONSORED ADR
- -
0 NETOBJECTS INC 64114L10 556 24,433 X X 09 24,433 0 0
COM
- -
0 NETRIX CORP 64114810 212 10,500 X 09 500 10,000 0
COM
0 207 10,250 X 12 10,250 0 0
- -
0 NETIQ CORP 64115P10 748 11,200 X 12 11,200 0 0
COM
- -
0 NETWORK APPLIANCE INC 64120L10 25 300 X 08 0 0 300
COM
0 50 600 X 09 600 0 0
0 547 6,612 X X 09 6,516 0 96
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 257 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,791 21,642 X 12 21,642 0 0
- -
0 NETWORK ACCESS SOLUTIONS COR 64120S10 220 10,000 X 09 10,000 0 0
COM
- -
0 NETWORK SOLUTIONS INC DEL 64121Q10 307 2,000 X 09 2,000 0 0
COM
0 3,899 25,370 X 12 25,370 0 0
- -
0 NETZERO INC 64122R10 1,144 75,000 X 09 75,000 0 0
COM
0 1,219 79,950 X 12 79,950 0 0
- -
0 NEW AMER HIGH INCOME FD INC 64187610 54 17,871 X 12 17,871 0 0
COM
- -
0 NEW CENTURY ENERGIES INC 64352U10 20 668 X 04 668 0 0
COM
0 30 1,000 X X 04 1,000 0 0
0 12 400 X X 05 400 0 0
0 170 5,655 X 08 5,655 0 0
0 279 9,278 X X 08 6,979 0 2,299
0 342 11,392 X 09 9,612 0 1,780
0 318 10,577 X X 09 3,740 3,800 3,037
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 258 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 ERA OF NETWORKS INC 64431210 1,219 31,060 X X 09 31,060 0 0
COM
0 559 14,250 X 12 14,250 0 0
- -
0 NEW GERMANY FD INC 64446510 32 2,149 X 04 2,149 0 0
COM
0 140 9,498 X 09 9,498 0 0
- -
0 NEW PLAN EXCEL RLTY TR INC 64805310 7 500 X 08 500 0 0
COM
0 25 1,850 X X 08 1,850 0 0
0 138 10,000 X 09 10,000 0 0
- -
0 NEW YORK TIMES CO 65011110 3,779 88,000 X 04 78,500 0 9,500
CL A
0 769 17,900 X X 04 14,100 1,800 2,000
0 31,589 735,700 X 06 735,700 0 0
0 189 4,400 X 08 4,000 0 400
0 34 800 X X 08 800 0 0
0 39,789 926,658 X 09 880,048 7,010 39,600
0 9,192 214,066 X X 09 92,966 4,300 116,800
- -
0 NEWBRIDGE NETWORKS CORP 65090110 438 13,500 X X 04 0 0 13,500
COM
0 91 2,800 X 08 1,000 0 1,800
0 16 500 X X 08 0 500 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 259 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 216 6,650 X 09 6,650 0 0
0 308 9,500 X X 09 0 0 9,500
- -
0 NEWELL RUBBERMAID INC 65122910 20 800 X 04 800 0 0
COM
0 27 1,100 X X 08 1,100 0 0
0 651 26,240 X 09 21,875 0 4,365
0 1,091 43,966 X X 09 34,542 400 9,024
- -
0 NEWFIELD EXPL CO 65129010 7,579 215,000 X 06 215,000 0 0
COM
0 5,926 168,100 X 09 168,100 0 0
- -
0 NEWGEN RESULTS CORP 65135910 5,735 376,065 X 12 376,065 0 0
COM
- -
0 NEWHALL LAND & FARMING CO CA 65142610 212 7,500 X 09 7,500 0 0
DEPOSITARY REC
- -
0 NEWMONT MINING CORP 65163910 51 2,276 X 08 2,276 0 0
COM
0 6 250 X X 08 250 0 0
0 1,000 44,566 X 09 43,407 0 1,159
0 446 19,874 X X 09 18,951 816 107
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 260 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NEWPORT NEWS SHIPBUILDING IN 65222810 22 738 X 08 738 0 0
COM
0 99 3,282 X X 08 3,282 0 0
0 48 1,583 X 09 1,243 0 340
0 769 25,428 X X 09 25,329 0 99
- -
0 NEWS CORP LTD 65248770 411 7,300 X 04 6,600 0 700
ADR NEW
0 96 1,700 X X 04 1,100 600 0
0 208 3,700 X 05 1,200 0 2,500
0 1,221 21,700 X 08 21,700 0 0
0 1,316 23,400 X X 08 11,000 0 12,400
0 43,332 770,350 X 09 752,800 0 17,550
0 624 11,100 X X 09 6,700 1,500 2,900
- -
0 NEWS CORP LTD 65248780 69 1,450 X X 04 1,450 0 0
SP ADR PFD
0 559 11,700 X X 08 5,500 0 6,200
0 36 750 X 09 750 0 0
- -
0 NEXTEL COMMUNICATIONS INC 65332V10 1,912 12,900 X 04 11,850 0 1,050
CL A
0 385 2,600 X X 04 1,300 300 1,000
0 1,646 11,100 X 05 5,200 0 5,900
0 30 200 X X 05 0 0 200
0 24,824 167,450 X 06 167,450 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 261 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 13,669 92,203 X 08 92,203 0 0
0 865 5,835 X X 08 5,635 200 0
0 57,358 386,901 X 09 365,451 4,400 17,050
0 6,279 42,352 X X 09 27,216 600 14,536
0 741 5,000 X 12 5,000 0 0
- -
0 NEXTLINK COMMUNICATIONS INC 65333H70 13,482 109,000 X 06 109,000 0 0
CL A
0 13,606 110,000 X 09 110,000 0 0
0 754 6,096 X 12 6,096 0 0
- -
0 NEXT LEVEL COMM INC 65333U10 654 6,013 X 12 6,013 0 0
COM
- -
0 NIKE INC 65410610 83 2,100 X X 08 2,100 0 0
CL B
0 1,613 40,700 X 09 40,700 0 0
0 9,098 229,598 X X 09 0 0 229,598
0 296 7,475 X 12 7,475 0 0
- -
0 99 CENTS ONLY STORES 65440K10 654 16,666 X 09 16,666 0 0
COM
- -
0 NIPPON TELEG & TEL CORP 65462410 701 8,900 X X 05 8,900 0 0
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 262 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,865 74,419 X 09 73,519 600 300
0 445 5,650 X X 09 3,650 0 2,000
0 535 6,790 X 12 6,790 0 0
- -
0 NISOURCE INC 65473P10 844 50,000 X X 05 50,000 0 0
COM
0 793 47,005 X 08 47,005 0 0
0 940 55,700 X X 08 52,400 3,300 0
0 762 45,140 X 09 44,140 0 1,000
0 251 14,900 X X 09 8,900 0 6,000
- -
0 NOBLE AFFILIATES INC 65489410 66 2,000 X X 08 2,000 0 0
COM
0 596 18,150 X 09 18,150 0 0
0 343 10,450 X X 09 10,450 0 0
- -
0 NOKIA CORP 65490220 255 1,150 X 01 0 0 1,150
SPONSORED ADR
0 2,420 10,900 X 04 9,500 0 1,400
0 444 2,000 X X 04 1,200 100 700
0 1,587 7,150 X 05 4,550 0 2,600
0 44 200 X X 05 200 0 0
0 21,158 95,305 X 08 95,105 0 200
0 13,370 60,225 X X 08 58,090 1,100 1,035
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 263 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 189,135 851,960 X 09 787,400 14,960 49,600
0 22,894 103,125 X X 09 67,570 9,300 26,255
0 17,017 76,655 X 12 76,655 0 0
- -
0 NOODLE KIDOODLE INC 65537010 435 87,000 X 12 87,000 0 0
COM
- -
0 NORDSTROM INC 65566410 59 2,000 X 04 2,000 0 0
COM
0 106 3,600 X 09 3,600 0 0
0 59 2,000 X X 09 2,000 0 0
- -
0 NORFOLK SOUTHERN CORP 65584410 88 6,170 X 04 5,170 0 1,000
COM
0 128 8,970 X X 04 4,420 300 4,250
0 2 150 X 05 0 0 150
0 713 50,000 X X 05 50,000 0 0
0 450 31,575 X 08 30,575 0 1,000
0 1,246 87,415 X X 08 46,465 9,100 31,850
0 4,427 310,698 X 09 292,078 0 18,620
0 4,250 298,258 X X 09 224,942 4,199 69,117
- -
0 NORTEK INC 65655910 259 11,700 X 09 11,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 264 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NORTEL NETWORKS CORP 65656910 791 6,268 X 01 0 0 6,268
COM
0 2,598 20,600 X 04 19,400 0 1,200
0 2,367 18,768 X X 04 900 500 17,368
0 1,110 8,800 X 05 4,000 0 4,800
0 25 200 X X 05 0 0 200
0 62,416 494,875 X 06 494,875 0 0
0 18,011 142,800 X 08 142,250 0 550
0 2,442 19,360 X X 08 17,610 0 1,750
0 109,952 871,767 X 09 815,809 9,125 46,833
0 17,102 135,596 X X 09 117,901 4,180 13,515
- -
0 NORTH AMERN VACCINE INC 65720110 40 15,000 X 08 15,000 0 0
COM
0 8 3,000 X 09 3,000 0 0
0 5 2,000 X X 09 2,000 0 0
- -
0 NORTH FACE INC 65931710 53 14,000 X 12 14,000 0 0
COM
- -
0 NORTH FORK BANCORPORATION NY 65942410 27 1,515 X X 04 1,515 0 0
COM
0 826 46,200 X 09 46,200 0 0
0 17 978 X X 09 0 0 978
- -
0 NORTHEAST UTILS 66439710 37 1,732 X 04 1,732 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 265 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 184 8,569 X 09 5,568 0 3,001
0 64 2,967 X X 09 460 2,507 0
- -
0 NORTHERN BORDER PARTNERS L P 66478510 109 4,000 X 09 4,000 0 0
UNIT LTD PARTN
0 176 6,500 X X 09 2,000 3,000 1,500
- -
0 NORTHN STS PWR CO MINN 66577210 3 131 X 04 131 0 0
COM
0 14 700 X X 04 700 0 0
0 40 2,000 X 08 2,000 0 0
0 22 1,132 X X 08 0 132 1,000
0 639 32,140 X 09 31,140 0 1,000
0 843 42,416 X X 09 33,616 5,400 3,400
- -
0 NORTHERN TR CORP 66585910 270 4,000 X 05 0 0 4,000
COM
0 277 4,100 X 08 3,700 0 400
0 81 1,200 X X 08 0 1,200 0
0 331 4,900 X 09 4,900 0 0
0 1,747 25,859 X X 09 103 0 25,756
0 973 14,399 X 12 14,399 0 0
- -
0 NORTHPOINT COMMUNICATIONS HL 66661010 423 18,350 X 12 18,350 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 266 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NORTHROP GRUMMAN CORP 66680710 3 50 X X 08 50 0 0
COM
0 418 7,900 X 09 6,700 0 1,200
0 14 269 X X 09 234 0 35
- -
0 NORTHWEST NAT GAS CO 66765510 3,893 199,650 X 06 199,650 0 0
COM
0 1,350 69,225 X 08 69,225 0 0
0 3,730 191,265 X 09 191,065 0 200
- -
0 NOVA CORP GA 66978410 958 32,908 X 06 32,908 0 0
COM
0 332 11,400 X 09 11,400 0 0
0 22 750 X X 09 750 0 0
0 1,365 46,865 X 12 46,865 0 0
- -
0 NOTIFY TECHNOLOGY CORP 66995610 234 30,000 X 12 30,000 0 0
COM
- -
0 NOVAVAX INC 67000210 160 20,000 X X 09 20,000 0 0
COM
- -
0 NOVELL INC 67000610 209 7,300 X 01 0 0 7,300
COM
0 29 1,000 X 08 1,000 0 0
0 34 1,200 X X 08 700 0 500
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 267 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 5,550 X 09 4,550 1,000 0
0 389 13,606 X X 09 606 10,000 3,000
0 602 21,018 X 12 21,018 0 0
- -
0 NOVELLUS SYS INC 67000810 84 1,500 X 04 1,500 0 0
COM
0 72,290 1,288,025 X 06 1,288,025 0 0
0 32,624 581,269 X 08 581,269 0 0
0 210 3,750 X X 08 3,750 0 0
0 40,376 719,400 X 09 717,000 2,400 0
0 62 1,100 X X 09 0 0 1,100
0 8,904 158,650 X 12 158,650 0 0
- -
0 NOVOSTE CORP 67010C10 2,000 50,000 X 06 50,000 0 0
COM
- -
0 NU SKIN ENTERPRISES INC 67018T10 2,605 328,213 X 07 328,213 0 0
CL A
- -
0 NSTAR 67019E10 59 1,410 X X 04 0 0 1,410
COM
0 29 693 X X 08 693 0 0
0 203 4,828 X 09 4,428 0 400
0 167 3,972 X X 09 185 3,577 210
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 268 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NUCOR CORP 67034610 100 2,000 X 04 1,000 0 1,000
COM
0 60 1,200 X X 04 0 0 1,200
0 30 600 X X 05 0 0 600
0 30 600 X 08 0 0 600
0 100 2,000 X X 08 2,000 0 0
0 843 16,860 X 09 11,660 0 5,200
0 2,555 51,100 X X 09 44,500 0 6,600
- -
0 NUVEEN INSD PREM INCOME MUN 6706D810 156 13,828 X 08 13,828 0 0
COM
0 45 4,000 X X 08 4,000 0 0
- -
0 NUVEEN MUN ADVANTAGE FD INC 67062H10 13 1,000 X 04 1,000 0 0
COM
0 279 22,301 X 08 22,301 0 0
0 6 500 X X 09 500 0 0
- -
0 NUVEEN NY MUN VALUE FD 67062M10 54 6,500 X 09 6,500 0 0
COM
0 124 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
0 154 11,351 X 08 11,351 0 0
- -
0 NUVEEN PERFORMANCE PLUS MUN 67062P10 5 394 X 04 394 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 269 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 1,515 X 08 1,515 0 0
0 17 1,400 X X 08 1,400 0 0
0 34 2,800 X 09 2,800 0 0
0 633 52,450 X X 09 52,450 0 0
- -
0 NUVEEN N Y INVT QUALITY MUN 67062X10 27 2,000 X 09 2,000 0 0
COM
0 120 8,900 X X 09 8,500 0 400
- -
0 NVIDIA CORP 67066G10 127 1,500 X 09 1,500 0 0
COM
0 6,702 79,329 X 12 79,329 0 0
- -
0 NYFIX INC 67071210 5,038 100,000 X 12 100,000 0 0
COM
- -
0 OGE ENERGY CORP 67083710 96 5,000 X X 04 5,000 0 0
COM
0 79 4,100 X X 08 4,100 0 0
0 533 27,800 X 09 26,200 0 1,600
0 148 7,700 X X 09 7,700 0 0
- -
0 OM GROUP INC 67087210 6 130 X 09 130 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 270 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,100 X X 09 0 0 1,100
0 253 5,565 X 12 5,565 0 0
- -
0 NUVEEN MUN VALUE FD INC 67092810 11 1,250 X 04 1,250 0 0
COM
0 477 56,550 X 08 56,550 0 0
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
0 102 7,380 X X 09 7,380 0 0
- -
0 NUVEEN SELECT QUALITY MUN FD 67097310 389 29,901 X 08 29,901 0 0
COM
0 7 551 X X 08 551 0 0
0 91 7,000 X X 09 7,000 0 0
0 1 60 X 12 60 0 0
- -
0 NUVEEN NY SELECT QUALITY MUN 67097610 197 14,700 X X 09 10,500 0 4,200
COM
- -
0 NUVEEN TEX QUALITY INCOME MU 67098310 161 12,800 X X 08 10,800 2,000 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 271 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
NUVEEN INSD MUN OPPORTUNITY 67098410 330 26,423 X 08 26,423 0 0
COM
0 13 1,000 X X 08 1,000 0 0
0 1 100 X 09 100 0 0
0 25 2,000 X X 09 2,000 0 0
- -
0 NUVEEN NY QUALITY INCM MUN F 67098610 111 8,600 X 09 7,200 0 1,400
COM
0 72 5,550 X X 09 1,550 0 4,000
0 155 12,000 X 12 12,000 0 0
- -
0 NUVEEN NJ PREM INCOME MUN FD 67101N10 88 6,700 X 09 6,700 0 0
COM
0 46 3,557 X X 09 3,557 0 0
- -
0 OAK TECHNOLOGY INC 67180210 8,702 452,053 X 12 452,053 0 0
COM
- -
0 OCCIDENTAL PETE CORP DEL 67459910 25 1,183 X 04 1,183 0 0
COM
0 8 377 X X 04 377 0 0
0 9 450 X 05 150 0 300
0 8 400 X 08 400 0 0
0 29 1,400 X X 08 0 0 1,400
0 221 10,655 X 09 4,211 0 6,444
0 22 1,069 X X 09 752 107 210
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 272 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
OCEAN ENERGY INC TEX 67481E10 7 455 X 08 455 0 0
COM
0 4 250 X X 08 250 0 0
0 15,277 1,062,730 X 09 1,062,730 0 0
- -
0 OCEANEERING INTL INC 67523210 401 21,400 X 09 21,400 0 0
COM
- -
0 OCEANFIRST FINL CORP 67523410 188 12,000 X 09 12,000 0 0
COM
- -
0 OCULAR SCIENCES INC 67574410 1,120 71,200 X 12 71,200 0 0
COM
- -
0 OFFICE DEPOT INC 67622010 30 2,625 X X 04 0 0 2,625
COM
0 9 800 X 08 800 0 0
0 156 13,500 X X 08 13,500 0 0
0 62 5,355 X 09 5,355 0 0
0 9 750 X X 09 750 0 0
- -
0 OGDEN CORP 67634610 8 700 X 08 700 0 0
COM
0 232 19,469 X X 09 19,085 384 0
- -
0 OHIO CAS CORP 67724010 279 15,600 X 09 15,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 273 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 197 11,000 X X 09 5,000 2,000 4,000
- -
0 OLD KENT FINL CORP 67983310 615 19,217 X 09 19,217 0 0
COM
0 124 3,871 X X 09 2,595 0 1,276
- -
0 OLIN CORP 68066520 4 200 X X 04 0 200 0
COM PAR $1
0 160 9,000 X 09 9,000 0 0
0 48 2,700 X X 09 2,500 0 200
- -
0 OMNICOM GROUP INC 68191910 1,405 15,007 X 04 13,607 0 1,400
COM
0 371 3,960 X X 04 2,400 300 1,260
0 2,163 23,100 X X 05 23,100 0 0
0 4,953 52,900 X 06 52,900 0 0
0 24,990 266,915 X 08 263,615 0 3,300
0 5,206 55,600 X X 08 52,150 2,900 550
0 50,737 541,919 X 09 457,519 20,600 63,800
0 5,718 61,078 X X 09 18,584 8,086 34,408
0 1,038 11,091 X 12 11,091 0 0
- -
0 OMEGA HEALTHCARE INVS INC 68193610 100 15,883 X 09 13,383 0 2,500
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 274 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 238 37,681 X X 09 30,681 4,000 3,000
- -
0 ON ASSIGNMENT INC 68215910 7,461 165,800 X 06 165,800 0 0
COM
0 1,476 32,800 X 08 32,800 0 0
0 5,011 111,350 X 09 111,350 0 0
- -
0 ONE VALLEY BANCORP INC 68241910 219 6,331 X X 09 1,000 0 5,331
COM
- -
0 1 800 FLOWERS COM 68243Q10 28,960 4,064,589 X 07 4,064,589 0 0
CL A
- -
0 ONEOK INC NEW 68268010 25 1,000 X X 08 1,000 0 0
COM
0 260 10,414 X 09 10,414 0 0
- -
0 ONESOURCE INFORMATION SVCS I 68272J10 219 26,500 X 09 26,500 0 0
COM
- -
0 ONVIA COM INC 68338T10 4,031 190,820 X 12 190,820 0 0
COM
- -
0 ONYX PHARMACEUTICALS INC 68339910 5,498 394,428 X 03 394,428 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 275 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 38 2,712 X X 04 0 0 2,712
- -
0 ONYX SOFTWARE CORP 68340210 1,128 35,400 X 09 35,400 0 0
COM
- -
0 OPEN JT STK CO-VIMPEL COMMUN 68370R10 427 10,100 X 09 10,100 0 0
SPONSORED ADR
0 76 1,800 X X 09 1,800 0 0
- -
0 OPTICAL CABLE CORP 68382710 77 2,500 X 09 2,500 0 0
COM
0 320 10,400 X 12 10,400 0 0
- -
0 ORACLE CORP 68389X10 726 9,300 X 01 0 0 9,300
COM
0 1,281 16,410 X 04 11,900 0 4,510
0 1,050 13,450 X 05 8,650 0 4,800
0 1,514 19,400 X X 05 19,400 0 0
0 94,878 1,215,400 X 06 1,215,400 0 0
0 72,781 932,331 X 08 923,181 8,500 650
0 12,536 160,585 X X 08 138,185 6,400 16,000
0 130,068 1,666,187 X 09 1,573,887 30,580 61,720
0 11,868 152,031 X X 09 87,925 47,534 16,572
0 17,599 225,445 X 12 225,445 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 276 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
OREGON STL MLS INC 68607910 229 59,000 X 09 59,000 0 0
COM
- -
0 O REILLY AUTOMOTIVE INC 68609110 4,863 342,750 X 09 342,750 0 0
COM
- -
0 ORTEL CORP 68749W10 5,912 31,500 X 01 0 0 31,500
COM
0 938 5,000 X 12 5,000 0 0
- -
0 OWENS CORNING 69073F10 10 506 X 04 506 0 0
COM
0 4 200 X X 08 0 0 200
0 335 17,300 X 09 7,250 0 10,050
0 120 6,200 X X 09 2,400 0 3,800
- -
0 OWENS ILL INC 69076850 219 8,100 X 09 8,100 0 0
PFD CONV $.01
0 146 5,400 X X 09 3,900 0 1,500
- -
0 PECO ENERGY CO 69330410 18 500 X X 04 500 0 0
COM
0 74 2,000 X X 08 0 2,000 0
0 560 15,178 X 09 15,178 0 0
0 159 4,316 X X 09 2,955 1,161 200
- -
0 PG&E CORP 69331C10 12 584 X 04 584 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 277 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 14 666 X X 04 0 0 666
0 26 1,250 X 05 200 0 1,050
0 42 2,000 X X 05 2,000 0 0
0 988 47,056 X 08 47,056 0 0
0 56 2,674 X X 08 974 1,000 700
0 568 27,029 X 09 25,629 0 1,400
0 231 10,978 X X 09 9,848 400 730
0 329 15,644 X 12 15,644 0 0
- -
0 PFF BANCORP INC 69331W10 231 14,900 X 09 14,900 0 0
COM
- -
0 PE CORP 69332S10 39 400 X X 08 400 0 0
COM PE BIO GRP
0 9,901 102,600 X 09 102,600 0 0
0 1,692 17,536 X X 09 17,476 0 60
0 5,791 60,013 X 12 60,013 0 0
- -
0 PE CORP 69332S20 28 300 X 04 300 0 0
CELERA GEN GRP
0 3,943 42,800 X 09 42,800 0 0
0 1,248 13,548 X X 09 3,548 0 10,000
- -
0 P F CHANGS CHINA BISTRO INC 69333Y10 775 23,400 X 09 23,400 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 278 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PIMCO ADVISORS HLDGS L P 69338P10 256 6,680 X X 08 6,680 0 0
UT LTD PART INT
0 51 1,336 X 09 835 0 501
- -
0 PLX TECHNOLOGY INC 69341710 551 14,800 X 09 14,800 0 0
COM
- -
0 PMC-SIERRA INC 69344F10 468 2,300 X 01 0 0 2,300
COM
0 6,925 34,000 X X 05 34,000 0 0
0 2,220 10,900 X 06 10,900 0 0
0 163 800 X 08 800 0 0
0 326 1,600 X X 08 1,600 0 0
0 295 1,450 X 09 1,450 0 0
0 519 2,550 X X 09 2,550 0 0
- -
0 PMI GROUP INC 69344M10 446 9,400 X 09 9,400 0 0
COM
- -
0 PNC FINL SVCS GROUP INC 69347510 36 800 X 04 800 0 0
COM
0 5 100 X 05 0 0 100
0 20 450 X 08 450 0 0
0 194 4,300 X X 08 0 0 4,300
0 15,885 352,503 X 09 340,120 10,783 1,600
0 2,635 58,471 X X 09 45,031 1,334 12,106
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 279 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PPG INDS INC 69350610 209 4,000 X X 04 2,400 0 1,600
COM
0 10 200 X 05 200 0 0
0 73 1,400 X 08 1,400 0 0
0 178 3,400 X X 08 3,400 0 0
0 5,238 100,134 X 09 96,202 1,100 2,832
0 7,741 147,970 X X 09 119,706 4,000 24,264
- -
0 PPL CORP 69351T10 40 1,898 X X 04 1,398 500 0
COM
0 700 33,449 X 09 30,649 0 2,800
0 233 11,150 X X 09 11,150 0 0
- -
0 PRI AUTOMATION INC 69357H10 23,851 390,200 X 06 390,200 0 0
COM
0 12,381 202,555 X 08 202,555 0 0
0 13,515 221,100 X 09 220,950 0 150
0 416 6,800 X 12 6,800 0 0
- -
0 PTEK HLDGS INC 69366M10 1 200 X 09 200 0 0
COM
0 199 30,000 X 12 30,000 0 0
- -
0 PACCAR INC 69371810 253 5,060 X 08 5,060 0 0
COM
0 253 5,060 X X 08 5,060 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 280 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PACIFIC CENTY FINL CORP 69405810 206 10,141 X 05 10,141 0 0
COM
0 449 22,100 X 09 22,100 0 0
0 333 16,400 X 12 16,400 0 0
- -
0 PACIFIC GULF PPTYS INC 69439610 3,354 170,900 X 09 170,900 0 0
COM
- -
0 PACIFIC SUNWEAR CALIF INC 69487310 13,063 339,300 X 06 339,300 0 0
COM
0 3,222 83,700 X 08 83,700 0 0
0 9,606 249,500 X 09 249,300 0 200
- -
0 PACKETEER INC 69521010 644 18,390 X 12 18,390 0 0
COM
- -
0 PACTIV CORP 69525710 11 1,316 X X 04 1,316 0 0
COM
0 2 200 X 05 100 0 100
0 1 100 X X 05 0 0 100
0 15 1,724 X 08 1,674 50 0
0 92 10,566 X X 08 9,837 129 600
0 50 5,766 X 09 5,266 0 500
0 55 6,281 X X 09 5,458 0 823
- -
0 PAIRGAIN TECHNOLOGIES INC 69593410 934 50,000 X 01 0 0 50,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 281 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PALL CORP 69642930 112 5,000 X X 08 5,000 0 0
COM
0 1,225 54,609 X 09 52,709 0 1,900
0 1,096 48,828 X X 09 23,468 6,000 19,360
- -
0 PALM INC 69664210 3 68 X X 04 0 68 0
COM
0 241 5,370 X 09 2,432 0 2,938
0 3 65 X X 09 65 0 0
0 848 18,900 X 12 18,900 0 0
- -
0 PAN PACIFIC RETAIL PPTYS INC 69806L10 1,016 55,100 X 09 55,100 0 0
COM
- -
0 PANTRY INC 69865710 7,992 926,648 X 10 926,648 0 0
COM
0 8,973 1,040,366 X 11 1,040,366 0 0
- -
0 PARAMETRIC TECHNOLOGY CORP 69917310 1,194 56,700 X X 05 56,700 0 0
COM
0 25 1,200 X X 08 1,200 0 0
0 0 10 X 09 0 0 10
0 40 1,899 X X 09 140 0 1,759
0 1,674 79,469 X 12 79,469 0 0
- -
0 PAREXEL INTL CORP 69946210 436 46,200 X 12 46,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 282 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PARK PL ENTMT CORP 70069010 11,842 1,024,100 X 06 1,024,100 0 0
COM
0 23 2,000 X 08 2,000 0 0
0 15,915 1,376,400 X X 08 1,376,400 0 0
0 11,613 1,004,300 X 09 1,004,300 0 0
0 162 14,000 X X 09 14,000 0 0
- -
0 PARKER HANNIFIN CORP 70109410 227 5,500 X 04 5,500 0 0
COM
0 37 900 X X 04 0 900 0
0 667 16,154 X X 08 16,154 0 0
0 13,782 333,592 X 09 331,592 0 2,000
0 107 2,597 X X 09 2,576 0 21
0 21,812 527,961 X 12 527,961 0 0
- -
0 PARKERVISION INC 70135410 227 7,700 X 12 7,700 0 0
COM
- -
0 PATINA OIL & GAS CORP 70322410 23,455 1,729,323 X 07 86,167 0 1,643,156
COM
- -
0 PATTERSON DENTAL CO 70341210 6,330 165,500 X 06 165,500 0 0
COM
0 2,010 52,550 X 08 52,550 0 0
0 5,424 141,800 X 09 141,700 0 100
0 23 600 X X 09 0 0 600
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 283 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PATTERSON ENERGY INC 70341410 3,524 111,000 X 09 111,000 0 0
COM
- -
0 PAXAR CORP 70422710 92 9,532 X 04 9,532 0 0
COM
0 158 16,400 X 09 16,400 0 0
- -
0 PAXSON COMMUNICATIONS CORP 70423110 5,355 691,000 X 09 691,000 0 0
COM
- -
0 PAYCHEX INC 70432610 3,469 66,242 X 09 65,962 280 0
COM
0 1,636 31,227 X X 09 10,227 0 21,000
0 1,191 22,735 X 12 22,735 0 0
- -
0 PAYLESS SHOESOURCE INC 70437910 214 4,111 X 09 4,111 0 0
COM
0 165 3,170 X X 09 2,690 480 0
- -
0 PEAPOD INC 70471810 29 10,900 X 12 10,900 0 0
COM
- -
0 PEDIATRIX MED GROUP 70532410 36 5,000 X 09 0 0 5,000
COM
0 44 6,000 X X 09 0 0 6,000
- -
0 PEERLESS SYS CORP 70553610 372 76,295 X 12 76,295 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 284 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PEGASUS COMMUNICATIONS CORP 70590410 366 2,600 X 09 2,600 0 0
CL A
- -
0 PEGASUS SYSTEMS INC 70590610 497 31,400 X 09 31,400 0 0
COM
0 716 45,300 X 12 45,300 0 0
- -
0 PENNACO ENERGY INC 70804610 1,300 95,000 X 09 95,000 0 0
COM
- -
0 PENNEY J C INC 70816010 15 1,000 X 04 1,000 0 0
COM
0 16 1,100 X X 04 700 400 0
0 14 920 X X 08 720 200 0
0 1,839 123,661 X 09 111,976 0 11,685
0 3,245 218,181 X X 09 214,493 0 3,688
0 151 10,130 X 12 10,130 0 0
- -
0 PENTAIR INC 70963110 22 600 X 04 400 0 200
COM
0 13,888 374,700 X 06 374,700 0 0
0 14,807 399,500 X 09 399,500 0 0
0 107 2,875 X X 09 2,000 0 875
0 1,861 50,205 X 12 50,205 0 0
- -
0 PEOPLES ENERGY CORP 71103010 35 1,284 X X 04 1,284 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 285 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 12 437 X 08 437 0 0
0 176 6,399 X 09 6,399 0 0
0 213 7,749 X X 09 6,139 0 1,610
- -
0 PEOPLESOFT INC 71271310 199 9,968 X X 04 0 0 9,968
COM
0 8 400 X 09 400 0 0
0 83 4,144 X X 09 4,079 0 65
0 1,358 67,888 X 12 67,888 0 0
- -
0 PEP BOYS MANNY MOE & JACK 71327810 25 4,200 X 08 3,200 0 1,000
COM
0 3 500 X X 08 0 500 0
0 48 8,100 X 09 7,100 1,000 0
0 110 18,600 X X 09 18,050 0 550
0 59 10,000 X 12 10,000 0 0
- -
0 PEPSI BOTTLING GROUP INC 71340910 100 5,000 X X 08 0 0 5,000
COM
0 104 5,200 X X 09 0 0 5,200
- -
0 PEPSICO INC 71344810 25,197 722,500 X 01 0 0 722,500
COM
0 2,661 76,304 X 04 60,004 0 16,300
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 286 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,936 55,500 X X 04 31,700 1,800 22,000
0 328 9,400 X 05 5,400 0 4,000
0 1,967 56,400 X X 05 55,000 0 1,400
0 28,426 815,075 X 06 815,075 0 0
0 37,416 1,072,847 X 08 1,067,947 4,300 600
0 21,925 628,674 X X 08 360,224 54,200 214,250
0 91,373 2,620,004 X 09 2,390,444 30,366 199,194
0 65,991 1,892,214 X X 09 1,146,359 302,498 443,357
0 425 12,190 X 12 12,190 0 0
- -
0 PEREGRINE SYSTEMS INC 71366Q10 1,368 20,400 X 09 20,400 0 0
COM
- -
0 PERFORMANCE FOOD GROUP CO 71375510 7,206 329,400 X 06 329,400 0 0
COM
0 1,999 91,400 X 08 91,400 0 0
0 5,270 240,900 X 09 240,600 0 300
- -
0 PERKINELMER INC 71404610 286 4,300 X 04 3,300 0 1,000
COM
0 23 350 X 05 150 0 200
0 23 350 X X 05 350 0 0
0 40,811 613,700 X 06 613,700 0 0
0 6,337 95,300 X 08 95,300 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 287 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 34,248 515,000 X 09 514,700 0 300
0 126 1,900 X X 09 1,900 0 0
- -
0 PERMIAN BASIN RTY TR 71423610 51 11,600 X 08 11,600 0 0
UNIT BEN INT
- -
0 PEROT SYS CORP 71426510 1,788 89,400 X 12 89,400 0 0
CL A
- -
0 PERSONNEL GROUP AMER INC 71533810 119 19,400 X 09 19,400 0 0
COM
- -
0 P T TELEKOMUNIKASI INDONESIA 71568410 326 34,300 X 09 34,300 0 0
SPONSORED ADR
0 308 32,400 X X 09 0 0 32,400
- -
0 PETCO ANIMAL SUPPLIES 71601610 6,591 555,000 X 03 555,000 0 0
COM
0 139 11,700 X 09 11,700 0 0
- -
0 PETROLEUM & RES CORP 71654910 202 5,609 X 08 5,609 0 0
COM
- -
0 PHARMACYCLICS INC 71693310 72 1,300 X 09 1,300 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 288 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,285 94,900 X 12 94,900 0 0
- -
0 PHARMACIA & UPJOHN INC 71694110 121 2,030 X 04 2,030 0 0
COM
0 31,107 522,800 X 06 522,800 0 0
0 238 4,000 X 08 4,000 0 0
0 123 2,063 X X 08 2,063 0 0
0 32,196 541,114 X 09 539,814 1,000 300
0 1,104 18,553 X X 09 15,576 2,172 805
0 2,041 34,297 X 12 34,297 0 0
- -
0 PFIZER INC 71708110 4,975 136,077 X 04 117,477 0 18,600
COM
0 5,060 138,385 X X 04 26,800 1,675 109,910
0 569 15,550 X 05 13,800 0 1,750
0 3,656 100,000 X X 05 100,000 0 0
0 75,125 2,054,670 X 06 2,054,670 0 0
0 78,766 2,154,252 X 08 2,147,727 300 6,225
0 40,539 1,108,747 X X 08 758,164 88,125 262,458
0 268,877 7,353,793 X 09 6,683,099 110,406 560,288
0 137,827 3,769,588 X X 09 2,915,181 270,397 584,010
0 6,878 188,121 X 12 188,121 0 0
- -
0 PFSWEB INC 71709810 3,630 226,850 X 12 226,850 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 289 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PHELPS DODGE CORP 71726510 5 100 X 08 100 0 0
COM
0 76 1,603 X X 08 1,603 0 0
0 571 12,060 X 09 8,819 0 3,241
0 247 5,213 X X 09 5,079 0 134
- -
0 PHILIP MORRIS COS INC 71815410 569 26,917 X 04 21,217 0 5,700
COM
0 1,692 80,095 X X 04 33,700 28,005 18,390
0 25 1,200 X 05 1,200 0 0
0 38 1,800 X X 05 1,200 0 600
0 13,763 651,490 X 06 651,490 0 0
0 4,805 227,450 X 08 223,250 2,700 1,500
0 8,238 389,981 X X 08 204,581 30,100 155,300
0 38,282 1,812,147 X 09 1,691,444 1,400 119,303
0 18,257 864,254 X X 09 662,340 9,750 192,164
0 1,103 52,223 X 12 52,223 0 0
- -
0 PHILIPPINE LONG DISTANCE TEL 71825260 44 2,000 X 09 0 0 2,000
SPONSORED ADR
0 5,776 263,276 X X 09 0 0 263,276
- -
0 PHILIPS INTL RLTY CORP 71833310 1,653 99,400 X 09 88,000 11,400 0
COM
- -
0 PHILLIPS PETE CO 71850710 138 2,983 X 04 2,983 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 290 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 303 6,542 X 08 6,542 0 0
0 1,090 23,565 X X 08 20,250 1,046 2,269
0 1,718 37,155 X 09 35,355 0 1,800
0 682 14,752 X X 09 14,530 222 0
- -
0 PHILLIPS VAN HEUSEN CORP 71859210 165 21,452 X X 09 0 0 21,452
COM
- -
0 PHOTOWORKS INC 71940B10 136 20,000 X 12 20,000 0 0
COM
- -
0 PHYCOR INC 71940F10 11 10,200 X 12 10,200 0 0
COM
- -
0 PHOTRONICS INC 71940510 8,828 250,000 X 09 0 250,000 0
COM
- -
0 PIER 1 IMPORTS INC 72027910 4 350 X 08 350 0 0
COM
0 50 4,850 X X 08 350 0 4,500
0 90 8,800 X X 09 8,800 0 0
- -
0 PILGRIM PRIME RATE TR NEW 72146W10 129 16,000 X X 09 6,000 0 10,000
SH BEN INT
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 291 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 225 11,100 X 09 11,100 0 0
COM
- -
0 PINNACLE HLDGS INC 72346N10 14,292 265,900 X 06 265,900 0 0
COM
0 30 550 X 08 550 0 0
0 8,917 165,900 X 09 165,900 0 0
- -
0 PINNACLE SYS INC 72348110 399 12,000 X 12 12,000 0 0
COM
- -
0 PINNACLE WEST CAP CORP 72348410 14 500 X X 04 500 0 0
COM
0 70 2,500 X 08 2,500 0 0
0 916 32,494 X 09 32,494 0 0
0 220 7,800 X X 09 7,100 0 700
- -
0 PIONEER COS INC 72364310 3,856 701,062 X 09 701,062 0 0
CL A
- -
0 PIONEER STD ELECTRS INC 72387710 252 16,000 X 09 16,000 0 0
COM
- -
0 PITNEY BOWES INC 72447910 263 5,880 X 04 5,880 0 0
COM
0 89 2,000 X X 04 1,000 0 1,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 292 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,100 X 05 1,100 0 0
0 210 4,690 X 08 4,690 0 0
0 1,148 25,700 X X 08 25,200 0 500
0 17,458 390,670 X 09 341,260 9,800 39,610
0 14,783 330,797 X X 09 235,897 7,200 87,700
- -
0 PITTSTON CO 72570110 304 17,905 X 09 4,934 0 12,971
COM BRINKS GRP
0 40 2,379 X X 09 1,996 0 383
- -
0 PIVOTAL CORP 72581R10 726 22,605 X 12 22,605 0 0
COM
- -
0 PLACER DOME INC 72590610 49 6,067 X 08 3,067 3,000 0
COM
0 7 800 X X 08 800 0 0
0 558 68,735 X X 09 58,191 0 10,544
- -
0 PLANTRONICS INC NEW 72749310 19,113 205,100 X 09 205,100 0 0
COM
- -
0 PLAYTEX PRODS INC 72813P10 17,333 1,333,333 X X 03 1,333,333 0 0
COM
- -
0 PLUG POWER INC 72919P10 17 200 X X 09 0 0 200
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 293 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 478 5,625 X 12 5,625 0 0
- -
0 PLUM CREEK TIMBER CO INC 72925110 89 3,600 X 04 3,000 0 600
COM
0 123 5,000 X 08 5,000 0 0
0 7 300 X X 08 300 0 0
0 25 1,000 X 09 0 0 1,000
0 138 5,600 X X 09 900 2,700 2,000
- -
0 POLYCOM INC 73172K10 214 2,700 X 09 2,700 0 0
COM
- -
0 PORTAL SOFTWARE INC 73612610 1,066 18,721 X 12 18,721 0 0
COM
- -
0 PORTUGAL TELECOM S A 73727310 87 7,000 X 05 7,000 0 0
SPONSORED ADR
0 5,532 444,740 X 09 431,615 3,125 10,000
0 68 5,500 X X 09 3,000 0 2,500
- -
0 POST PPTYS INC 73746410 252 6,242 X 04 6,242 0 0
COM
0 16 400 X X 05 0 0 400
0 20 500 X 09 0 0 500
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 294 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 469 11,637 X X 09 5,500 500 5,637
- -
0 POTASH CORP SASK INC 73755L10 696 13,920 X 08 13,920 0 0
COM
0 1,078 21,550 X X 08 19,050 2,300 200
0 1,354 27,075 X 09 26,875 0 200
0 25 496 X X 09 0 0 496
- -
0 POTLATCH CORP 73762810 43 1,000 X X 05 1,000 0 0
COM
0 181 4,200 X 09 4,200 0 0
0 2 43 X X 09 22 0 21
- -
0 POTOMAC ELEC PWR CO 73767910 13 587 X X 04 587 0 0
COM
0 27 1,200 X 08 1,200 0 0
0 100 4,400 X X 08 4,400 0 0
0 381 16,825 X 09 16,825 0 0
0 101 4,484 X X 09 2,884 1,600 0
- -
0 POWERGEN PLC 73890540 709 27,800 X 12 27,800 0 0
SPON ADR FINAL
- -
0 POWER INTEGRATIONS INC 73927610 60 2,400 X 09 2,400 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 295 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 2,597 103,887 X 12 103,887 0 0
- -
0 POWERTEL INC 73936C10 5,599 80,925 X 08 80,925 0 0
COM
- -
0 POWERWAVE TECHNOLOGIES INC 73936310 288 2,300 X 09 2,300 0 0
COM
0 519 4,150 X 12 4,150 0 0
- -
0 PRAXAIR INC 74005P10 104 2,498 X 04 2,498 0 0
COM
0 57 1,361 X X 04 0 361 1,000
0 30 725 X 05 600 0 125
0 1,760 42,275 X 08 42,275 0 0
0 1,490 35,805 X X 08 30,355 4,600 850
0 1,302 31,277 X 09 28,777 0 2,500
0 677 16,266 X X 09 13,690 2,047 529
- -
0 PRECISION DRILLING CORP 74022D10 834 25,000 X 09 25,000 0 0
COM
- -
0 PRECISION RESPONSE CORP 74031410 509 21,000 X 01 0 0 21,000
COM
- -
0 PRENTISS PPTYS TR 74070610 281 12,600 X 09 5,000 2,000 5,600
SH BEN INT
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 296 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 225 10,100 X X 09 5,300 2,800 2,000
- -
0 PRICE COMMUNICATIONS CORP 74143730 16,917 735,500 X 06 735,500 0 0
COM NEW
0 4,455 193,700 X 08 193,700 0 0
0 12,131 527,450 X 09 527,050 0 400
- -
0 PRICELINE COM INC 74150310 125 1,560 X 09 1,560 0 0
COM
0 228 2,855 X X 09 2,455 400 0
- -
0 PRIMACOM AG 74154N10 3,010 65,000 X 12 65,000 0 0
SPONSORED ADR
- -
0 PRIMEDIA INC 74157K10 4,371 136,600 X 12 136,600 0 0
COM
- -
0 PRIME GROUP REALTY TRUST 74158J10 385 26,900 X 09 26,900 0 0
SH BEN INT
- -
0 PRIMUS KNOWLEDGE SOLUTIONS I 74163Q10 206 2,400 X 12 2,400 0 0
COM
- -
0 PRIMUS TELECOMMUNICATIONS GR 74192910 2,584 50,000 X 09 50,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 297 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PRIDE INTL INC 74193210 19,793 865,275 X 06 865,275 0 0
COM
0 5,810 254,000 X 08 254,000 0 0
0 14,304 625,300 X 09 624,700 0 600
- -
0 PRINCETON VIDEO IMAGE INC 74247610 93 13,350 X 09 0 0 13,350
COM
- -
0 PRIORITY HEALTHCARE CORP 74264T10 851 16,943 X 09 16,933 0 10
CL B
- -
0 PROCTER & GAMBLE CO 74271810 1,102 19,500 X 01 0 0 19,500
COM
0 3,656 64,710 X 04 53,760 0 10,950
0 1,502 26,590 X X 04 10,800 4,000 11,790
0 991 17,540 X 05 11,490 0 6,050
0 113 2,000 X X 05 1,700 0 300
0 34,929 618,210 X 06 618,210 0 0
0 51,730 915,578 X 08 914,292 1,136 150
0 17,426 308,432 X X 08 200,257 16,275 91,900
0 140,681 2,489,932 X 09 2,303,028 43,499 143,405
0 81,749 1,446,888 X X 09 1,118,415 37,427 291,046
0 2,026 35,856 X 12 35,856 0 0
- -
0 PROFESSIONAL DETAILING INC 74312N10 750 30,000 X 06 30,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 298 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
PROFIT RECOVERY GROUP INTL I 74316810 14,067 760,357 X 06 760,357 0 0
COM
0 4,147 224,187 X 08 224,187 0 0
0 11,782 636,850 X 09 636,400 0 450
0 5,967 322,554 X 12 322,554 0 0
- -
0 PROGRESS SOFTWARE CORP 74331210 771 32,900 X 09 32,900 0 0
COM
0 23 1,000 X X 09 1,000 0 0
- -
0 PROLOGIS TR 74341010 17 900 X 05 900 0 0
SH BEN INT
0 1,240 64,413 X 08 63,313 100 1,000
0 560 29,112 X X 08 21,112 8,000 0
0 1,382 71,800 X 09 69,800 0 2,000
0 395 20,500 X X 09 10,100 5,500 4,900
- -
0 PROVANT INC 74372410 4 500 X 04 500 0 0
COM
0 80 10,000 X 12 10,000 0 0
- -
0 PROVIDENT BANKSHARES CORP 74385910 862 54,754 X 09 54,754 0 0
COM
- -
0 PROVINCE HEALTHCARE CO 74397710 18,300 639,300 X 06 639,300 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 299 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 5,297 185,050 X 08 185,050 0 0
0 14,177 495,250 X 09 494,850 0 400
- -
0 PROVIDIAN FINL CORP 74406A10 593 6,850 X 04 6,250 100 500
COM
0 26 300 X X 04 300 0 0
0 429 4,950 X 08 4,950 0 0
0 316 3,650 X X 08 3,650 0 0
0 806 9,300 X 09 6,575 0 2,725
0 541 6,250 X X 09 1,600 0 4,650
0 1,322 15,256 X 12 15,256 0 0
- -
0 PROXIM INC 74428410 12 100 X 09 100 0 0
COM
0 648 5,415 X 12 5,415 0 0
- -
0 PSINET INC 74437C10 7,279 214,000 X 01 0 0 214,000
COM
0 27 800 X X 08 800 0 0
0 1,265 37,200 X X 09 200 36,000 1,000
0 765 22,488 X 12 22,488 0 0
- -
0 PUBLIC SVC CO N MEX 74449910 6 382 X X 04 382 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 300 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 450 28,600 X 09 28,600 0 0
- -
0 PUBLIC SVC ENTERPRISE GROUP 74457310 6 187 X 04 187 0 0
COM
0 52 1,750 X X 04 1,750 0 0
0 200 6,758 X X 08 6,757 1 0
0 1,195 40,329 X 09 35,677 0 4,652
0 1,935 65,321 X X 09 55,449 4,431 5,441
- -
0 PUBLIC STORAGE INC 74460D10 999 47,566 X 09 47,566 0 0
COM
- -
0 PULTE CORP 74586710 486 23,300 X 09 23,300 0 0
COM
0 0 20 X X 09 20 0 0
- -
0 PUMA TECHNOLOGY INC 74588710 13,601 268,654 X 07 268,654 0 0
COM
0 41 800 X 09 800 0 0
- -
0 PURCHASEPRO COM 74614410 341 4,700 X 12 4,700 0 0
COM
- -
0 QLT PHOTOTHERAPEUTICS INC 74692710 231 4,190 X 12 4,190 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 301 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
QRS CORP 74726X10 602 8,000 X X 04 0 0 8,000
COM
0 1,023 13,600 X 09 13,600 0 0
0 11 150 X X 09 150 0 0
0 828 11,000 X 12 11,000 0 0
- -
0 QLOGIC CORP 74727710 163 1,200 X X 09 0 600 600
COM
0 845 6,235 X 12 6,235 0 0
- -
0 QUAKER FABRIC CORP NEW 74739910 76 16,500 X 12 16,500 0 0
COM
- -
0 QUAKER OATS CO 74740210 139 2,300 X 04 2,300 0 0
COM
0 85 1,400 X X 04 1,400 0 0
0 49 800 X 08 800 0 0
0 49 800 X X 08 800 0 0
0 11,201 184,751 X 09 183,151 600 1,000
0 1,564 25,799 X X 09 20,399 2,000 3,400
0 545 8,984 X 12 8,984 0 0
- -
0 QUALCOMM INC 74752510 119 800 X 01 0 0 800
COM
0 1,441 9,650 X 04 7,950 0 1,700
0 403 2,700 X X 04 100 100 2,500
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 302 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 15 100 X 05 0 0 100
0 1,195 8,000 X X 05 8,000 0 0
0 23,061 154,450 X 06 154,450 0 0
0 38,811 259,933 X 08 259,233 0 700
0 11,157 74,720 X X 08 62,020 8,500 4,200
0 151,628 1,015,503 X 09 991,428 3,050 21,025
0 12,820 85,863 X X 09 65,018 2,100 18,745
0 7,685 51,469 X 12 51,469 0 0
- -
0 QUALMARK CORP 74758710 73 21,093 X 12 21,093 0 0
COM
- -
0 QUANTA SVCS INC 74762E10 303 5,000 X 09 0 0 5,000
COM
- -
0 QUANTUM CORP 74790620 46 3,834 X 04 3,834 0 0
COM DSSG
0 537 45,000 X X 05 36,000 0 9,000
0 12 1,000 X X 08 0 0 1,000
0 123 10,300 X 09 7,200 0 3,100
- -
0 QUANTUM CORP 74790630 23 2,036 X 04 2,036 0 0
COM HDDG
0 1,403 124,700 X X 05 120,200 0 4,500
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 303 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6 500 X X 08 0 0 500
0 41 3,600 X 09 3,600 0 0
- -
0 QUEST DIAGNOSTICS INC 74834L10 50 1,253 X 09 487 0 766
COM
0 435 10,944 X X 09 5,682 5,200 62
- -
0 QUESTAR CORP 74835610 210 11,300 X X 08 11,300 0 0
COM
0 379 20,400 X 09 20,400 0 0
0 37 2,000 X X 09 2,000 0 0
- -
0 QUICKLOGIC CORP 74837P10 1,328 39,200 X 09 39,200 0 0
COM
- -
0 QUIDEL CORP 74838J10 70 10,000 X X 09 0 10,000 0
COM
- -
0 QUINTILES TRANSNATIONAL CORP 74876710 353 20,700 X 08 20,500 0 200
COM
0 130 7,600 X X 08 2,600 0 5,000
0 5 307 X X 09 307 0 0
0 208 12,200 X 12 12,200 0 0
- -
0 QUORUM HEALTH GROUP INC 74908410 120 11,900 X 12 11,900 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 304 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
QUOTESMITH COM INC 74911710 1,746 410,800 X 12 410,800 0 0
COM
- -
0 R & B FALCON CORP 74912E10 17,227 875,000 X 03 0 0 875,000
COM
0 53 2,698 X 08 2,698 0 0
0 95 4,849 X X 08 4,750 0 99
0 2,215 112,493 X 09 112,493 0 0
0 12,924 656,444 X 10 656,444 0 0
0 407 20,668 X 12 20,668 0 0
- -
0 QWEST COMMUNICATIONS INTL IN 74912110 6,709 139,775 X 01 0 0 139,775
COM
0 125 2,600 X 04 1,600 0 1,000
0 96 2,000 X X 04 2,000 0 0
0 216 4,500 X 08 4,500 0 0
0 534 11,130 X X 08 8,530 0 2,600
0 4,026 83,866 X 09 83,366 500 0
0 156 3,250 X X 09 2,250 0 1,000
0 3,039 63,315 X 12 63,315 0 0
- -
0 RCM TECHNOLOGIES INC 74936040 75 6,000 X 09 6,000 0 0
COM NEW
0 94 7,500 X X 09 7,500 0 0
- -
0 RCN CORP 74936110 32 600 X 04 600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 305 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,401 26,000 X 09 26,000 0 0
- -
0 RFS HOTEL INVS INC 74955J10 110 10,200 X 09 10,200 0 0
COM
- -
0 R H DONNELLEY CORP 74955W30 4 240 X X 04 0 240 0
COM NEW
0 1 50 X X 08 50 0 0
0 139 8,198 X 09 8,108 0 90
0 344 20,224 X X 09 4,001 180 16,043
- -
0 R G S ENERGY GROUP INC 74956K10 94 4,420 X 08 4,420 0 0
COM
0 455 21,424 X 09 21,424 0 0
0 69 3,238 X X 09 2,068 1,170 0
- -
0 RPM INC OHIO 74968510 58 5,312 X X 08 5,312 0 0
COM
0 12 1,087 X 09 1,087 0 0
0 62 5,643 X X 09 5,643 0 0
- -
0 RSA SEC INC 74971910 409 7,900 X 04 7,600 0 300
COM
0 11,580 223,500 X 06 223,500 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 306 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,427 85,450 X 08 85,450 0 0
0 635 12,250 X X 08 12,100 0 150
0 8,635 166,650 X 09 163,750 2,200 700
0 62 1,200 X X 09 0 1,200 0
- -
0 RMH TELESERVICES INC 74993810 205 21,000 X 12 21,000 0 0
COM
- -
0 RF MICRODEVICES INC 74994110 202 1,500 X 09 300 0 1,200
COM
0 104 775 X X 09 775 0 0
0 11,756 87,490 X 12 87,490 0 0
- -
0 RADIAN GROUP INC 75023610 13,516 283,800 X 06 283,800 0 0
COM
0 13,097 275,000 X 09 275,000 0 0
0 333 7,000 X X 09 7,000 0 0
- -
0 RAINMAKER SYSTEMS 75087510 80 10,000 X 12 10,000 0 0
COM
- -
0 RALCORP HLDGS INC NEW 75102810 90 6,200 X 09 6,200 0 0
COM
0 73 5,058 X X 09 5,058 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 307 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
RALSTON PURINA CO 75127730 1,276 46,398 X 08 46,398 0 0
COM RAL-PUR GP
0 562 20,430 X X 08 18,930 300 1,200
0 1,414 51,430 X 09 50,730 400 300
0 2,104 76,527 X X 09 75,531 900 96
- -
0 RARE MEDIUM GROUP INC 75382N10 163 3,700 X 09 3,700 0 0
COM
0 265 6,000 X X 09 6,000 0 0
- -
0 RATIONAL SOFTWARE CORP 75409P20 18,467 241,400 X 06 241,400 0 0
COM NEW
0 15,124 197,700 X 09 197,700 0 0
0 2,068 27,034 X 12 27,034 0 0
- -
0 RAWLINGS SPORTING GOODS INC 75445910 158 35,000 X 09 35,000 0 0
COM
- -
0 RAYMOND JAMES FINANCIAL INC 75473010 342 16,500 X 09 16,500 0 0
COM
- -
0 RAYTHEON CO 75511130 0 2 X 04 2 0 0
CL A
0 4 219 X X 04 219 0 0
0 7 393 X 05 393 0 0
0 0 25 X X 05 0 0 25
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 308 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 232 12,328 X 08 12,328 0 0
0 47 2,517 X X 08 2,509 0 8
0 6,500 345,525 X 09 341,312 700 3,513
0 409 21,749 X X 09 16,771 393 4,585
0 301 16,020 X 12 16,020 0 0
- -
0 RAYTHEON CO 75511140 176 9,924 X 04 9,924 0 0
CL B
0 187 10,540 X X 04 8,940 1,600 0
0 22 1,240 X X 05 1,240 0 0
0 215 12,108 X 08 12,108 0 0
0 217 12,200 X X 08 7,000 3,600 1,600
0 2,558 144,095 X 09 122,434 700 20,961
0 3,344 188,399 X X 09 139,373 4,000 45,026
- -
0 READ-RITE CORP 75524610 547 116,628 X 12 116,628 0 0
COM
- -
0 REALNETWORKS INC 75605L10 1,765 31,000 X 01 0 0 31,000
COM
0 1,023 17,970 X 09 17,970 0 0
0 1,460 25,650 X X 09 25,650 0 0
0 1,120 19,670 X 12 19,670 0 0
- -
0 RECKSON ASSOCS RLTY CORP 75621K10 189 10,100 X 12 10,100 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 309 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
RECKSON ASSOCS RLTY CORP 75621K20 636 33,600 X 09 33,600 0 0
PFD CV SER A%
- -
0 RECKSON ASSOCS RLTY CORP 75621K30 743 36,261 X 09 36,261 0 0
CL B
- -
0 RECOTON CORP 75626810 402 34,000 X 09 34,000 0 0
COM
- -
0 RED HAT INC 75657710 195 4,600 X 09 4,600 0 0
COM
0 932 22,000 X X 09 0 22,000 0
0 3,187 75,200 X 12 75,200 0 0
- -
0 REDBACK NETWORKS INC 75720910 300 1,000 X 09 1,000 0 0
COM
0 787 2,625 X 12 2,625 0 0
- -
0 REEBOK INTL LTD 75811010 491 53,100 X 09 53,100 0 0
COM
0 555 60,000 X X 09 0 0 60,000
- -
0 REGIONS FINL CORP 75894010 29 1,280 X X 04 0 0 1,280
COM
0 87 3,831 X X 08 1,231 0 2,600
0 242 10,600 X 09 9,400 0 1,200
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 310 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 330 14,469 X X 09 13,989 0 480
- -
0 REGISTER COM INC 75914G10 893 12,850 X 06 12,850 0 0
COM
0 145 2,090 X 09 2,090 0 0
- -
0 RELIANCE GROUP HOLDINGS INC 75946410 280 80,010 X 09 70,910 0 9,100
COM
0 16 4,500 X X 09 1,200 0 3,300
- -
0 RELIANCE STEEL & ALUMINUM CO 75950910 246 11,000 X 12 11,000 0 0
COM
- -
0 RELIANT ENERGY INC 75952J10 57 2,400 X 04 2,400 0 0
COM
0 61 2,600 X X 04 600 2,000 0
0 274 11,627 X 08 11,627 0 0
0 1,614 68,499 X X 08 61,731 2,000 4,768
0 646 27,426 X 09 21,024 2,248 4,154
0 1,194 50,656 X X 09 43,471 4,000 3,185
- -
0 RELIASTAR FINL CORP 75952U10 13,977 412,600 X 06 412,600 0 0
COM
0 14,248 420,600 X 09 415,200 0 5,400
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 311 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 288 8,504 X X 09 3,600 2,400 2,504
- -
0 REMEDY CORP 75954810 4,423 105,000 X 06 105,000 0 0
COM
0 3,534 83,900 X 09 83,900 0 0
0 16 375 X X 09 375 0 0
- -
0 RENAISSANCE WORLDWIDE INC 75968A10 459 88,000 X 12 88,000 0 0
COM
- -
0 REPLIGEN CORP 75991610 10 1,000 X 09 1,000 0 0
COM
0 173 18,000 X 12 18,000 0 0
- -
0 RENAL CARE GROUP INC 75993010 959 44,200 X 09 44,200 0 0
COM
0 24 1,100 X X 09 0 0 1,100
- -
0 RENT A CTR INC NEW 76009N10 278 18,500 X 09 18,500 0 0
COM
- -
0 RENT WAY INC 76009U10 218 11,200 X 09 11,200 0 0
COM
- -
0 REPSOL S A 76026T20 45 2,100 X 04 0 0 2,100
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 312 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 8,100 X 05 0 0 8,100
0 150 7,050 X 09 0 0 7,050
0 179 8,400 X X 09 900 0 7,500
- -
0 REPUBLIC SVCS INC 76075910 171 15,600 X 09 15,600 0 0
COM
- -
0 RESTORATION HARDWARE INC DEL 76098110 349 66,505 X 03 66,505 0 0
COM
0 7,508 1,430,030 X 07 1,430,030 0 0
0 55 10,561 X 10 10,561 0 0
- -
0 RESMED INC 76115210 2,427 34,000 X 06 34,000 0 0
COM
- -
0 REUTERS GROUP PLC 76132M10 259 2,166 X 04 2,166 0 0
SPONSORED ADR
0 50 421 X 08 421 0 0
0 325 2,720 X X 08 1,854 0 866
0 8,464 70,906 X 09 69,435 346 1,125
0 10,164 85,141 X X 09 74,489 4,937 5,715
- -
0 REYNOLDS & REYNOLDS CO 76169510 65 2,400 X 05 2,400 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 313 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,200 X X 05 0 0 1,200
0 384 14,225 X 09 14,225 0 0
0 402 14,900 X X 09 13,600 0 1,300
0 405 14,985 X 12 14,985 0 0
- -
0 REYNOLDS METALS CO 76176310 66 990 X 09 190 0 800
COM
0 214 3,200 X X 09 2,000 0 1,200
- -
0 RHYTHMS NETCONNECTIONS INC 76243020 42 1,138 X 08 1,138 0 0
COM
0 31 850 X 09 850 0 0
0 74 2,000 X X 09 2,000 0 0
0 574 15,595 X 12 15,595 0 0
- -
0 RIBOZYME PHARMACEUTICALS INC 76256710 501 19,800 X 12 19,800 0 0
COM
- -
0 RITE AID CORP 76775410 28 5,004 X X 09 3,810 0 1,194
COM
0 124 22,000 X 12 22,000 0 0
- -
0 ROADWAY EXPRESS INC DEL 76974210 4,508 222,600 X 09 222,600 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 314 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ROCKWELL INTL CORP NEW 77390310 42 1,000 X 04 1,000 0 0
COM
0 355 8,500 X 08 8,500 0 0
0 941 22,500 X X 08 8,800 6,200 7,500
0 3,441 82,300 X 09 81,900 0 400
0 912 21,817 X X 09 21,137 0 680
- -
0 ROHM & HAAS CO 77537110 88 1,976 X 08 1,976 0 0
COM
0 2,095 46,938 X X 08 20,838 0 26,100
0 1,348 30,199 X 09 29,199 0 1,000
0 482 10,811 X X 09 10,400 0 411
- -
0 ROSLYN BANCORP INC 77816210 401 22,500 X X 09 0 0 22,500
COM
- -
0 ROSS STORES INC 77829610 2,077 86,300 X 09 86,300 0 0
COM
0 599 24,900 X X 09 23,500 0 1,400
- -
0 ROSS SYS INC 77830310 104 42,000 X 12 42,000 0 0
COM
- -
0 ROUGE INDS INC DEL 77908810 566 89,700 X 09 89,700 0 0
CL A
- -
0 ROUSE CO 77927310 1,047 49,541 X 08 49,541 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 315 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,641 219,706 X X 08 212,927 6,779 0
0 16 763 X X 09 0 0 763
- -
0 ROWAN COS INC 77938210 1,192 40,500 X X 08 5,000 35,500 0
COM
0 2,741 93,100 X 09 93,100 0 0
- -
0 ROYAL BK SCOTLAND GROUP PLC 78009730 102 4,000 X 04 4,000 0 0
SP ADR B PREF
0 729 28,600 X X 04 2,100 26,500 0
- -
0 ROYAL BK SCOTLAND GROUP PLC 78009787 40 2,000 X 09 2,000 0 0
SPON ADR SER H
0 242 12,000 X X 09 0 0 12,000
- -
0 ROYAL DUTCH PETE CO 78025780 1,622 28,056 X 04 25,456 0 2,600
NY REG GLD1.25
0 1,981 34,272 X X 04 11,608 2,964 19,700
0 59 1,025 X 05 0 0 1,025
0 711 12,300 X X 05 12,300 0 0
0 88,980 1,539,097 X 06 1,539,097 0 0
0 30,189 522,177 X 08 519,977 0 2,200
0 15,867 274,449 X X 08 181,449 9,100 83,900
0 125,201 2,165,619 X 09 2,079,800 8,799 77,020
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 316 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 48,239 834,403 X X 09 630,544 13,891 189,968
0 404 6,981 X 12 6,981 0 0
- -
0 RYANAIR HLDGS PLC 78351310 555 12,100 X 09 12,100 0 0
SPONSORED ADR
- -
0 RYDER SYS INC 78354910 2 100 X 04 0 0 100
COM
0 793 34,964 X 09 28,464 0 6,500
0 174 7,683 X X 09 5,100 0 2,583
- -
0 RYERSON TULL INC NEW 78375P10 105 6,800 X 09 6,800 0 0
COM
0 155 10,000 X X 09 10,000 0 0
- -
0 RYLAND GROUP INC 78376410 621 33,100 X 09 33,100 0 0
COM
- -
0 SBC COMMUNICATIONS INC 78387G10 3,202 76,020 X 04 63,747 0 12,273
COM
0 4,157 98,674 X X 04 42,913 8,840 46,921
0 20 480 X 05 0 0 480
0 1,775 42,130 X X 05 41,604 0 526
0 89,156 2,116,471 X 06 2,116,471 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 317 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 70,625 1,676,561 X 08 1,665,011 400 11,150
0 29,774 706,794 X X 08 549,305 56,255 101,234
0 147,127 3,492,620 X 09 3,399,284 3,591 89,745
0 61,708 1,464,883 X X 09 1,089,427 109,319 266,137
0 8,015 190,276 X 12 190,276 0 0
- -
0 SCI SYS INC 78389010 589 10,964 X 09 4,364 0 6,600
COM
0 86 1,600 X X 09 0 0 1,600
- -
0 SDL INC 78407610 33,592 157,800 X 09 157,800 0 0
COM
0 766 3,600 X X 09 1,000 0 2,600
0 6,388 30,006 X 12 30,006 0 0
- -
0 SEI INVESTMENTS CO 78411710 6,182 54,500 X 06 54,500 0 0
COM
0 1,942 17,120 X 08 17,120 0 0
0 5,207 45,900 X 09 45,800 0 100
- -
0 SFX ENTMT INC 78417810 1,807 44,280 X 09 44,280 0 0
CL A
- -
0 SK TELECOM LTD 78440P10 530 13,585 X 09 11,585 0 2,000
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 318 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SL GREEN RLTY CORP 78440X10 2,458 103,500 X 09 103,500 0 0
COM
0 43 1,800 X X 09 0 800 1,000
- -
0 SLM HLDG CORP 78442A10 140 4,200 X X 04 4,200 0 0
COM
0 74 2,225 X 08 2,225 0 0
0 41 1,225 X X 08 1,225 0 0
0 15,010 450,578 X 09 450,578 0 0
0 1,777 53,352 X X 09 53,352 0 0
0 232 6,960 X 12 6,960 0 0
- -
0 SPDR TR 78462F10 30 200 X 04 200 0 0
UNIT SER 1
0 41 270 X X 04 0 0 270
0 89 595 X X 08 595 0 0
0 1,861 12,374 X 09 12,374 0 0
0 30 200 X X 09 200 0 0
0 1,895 12,605 X 12 12,605 0 0
- -
0 S1 CORPORATION 78463B10 19,729 230,239 X 07 230,239 0 0
COM
- -
0 SPX CORP 78463510 22,517 197,627 X 09 197,627 0 0
COM
0 12,686 111,340 X X 09 111,340 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 319 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SABINE ROYALTY TR 78568810 234 19,774 X 08 19,774 0 0
UNIT BEN INT
0 248 21,000 X X 08 21,000 0 0
- -
0 SABRE HLDGS CORP 78590510 5 144 X 04 144 0 0
CL A
0 73 1,999 X 08 1,999 0 0
0 4 100 X X 08 100 0 0
0 8,962 245,530 X 09 244,540 289 701
0 65 1,778 X X 09 369 0 1,409
- -
0 SAFECO CORP 78642910 9 350 X 05 0 0 350
COM
0 681 25,632 X X 09 25,076 0 556
0 248 9,350 X 12 9,350 0 0
- -
0 SAFEGUARD SCIENTIFICS INC 78644910 766 11,100 X 09 11,100 0 0
COM
0 207 3,000 X X 09 3,000 0 0
0 1,480 21,450 X 12 21,450 0 0
- -
0 SAFEWAY INC 78651420 2,777 61,378 X 08 61,378 0 0
COM NEW
0 1,058 23,388 X X 08 21,388 0 2,000
0 3,351 74,065 X 09 74,065 0 0
0 132 2,917 X X 09 2,406 0 511
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 320 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,654 80,755 X 12 80,755 0 0
- -
0 SAGA COMMUNICATIONS 78659810 218 11,400 X 09 11,400 0 0
CL A
- -
0 SAGENT TECHNOLOGY INC 78669310 279 9,700 X 12 9,700 0 0
COM
- -
0 ST JOE CO 79014810 43 1,500 X 09 1,500 0 0
COM
0 341 11,800 X X 09 6,800 0 5,000
- -
0 ST MARY LD & EXPL CO 79222810 6,800 227,600 X 06 227,600 0 0
COM
0 2,418 80,950 X 08 80,950 0 0
0 5,726 191,650 X 09 191,450 0 200
- -
0 ST PAUL COS INC 79286010 130 3,804 X 04 3,204 0 600
COM
0 109 3,200 X X 04 3,200 0 0
0 27 800 X 05 800 0 0
0 793 23,239 X 08 23,239 0 0
0 2,699 79,088 X X 08 5,054 68,000 6,034
0 1,564 45,834 X 09 45,270 0 564
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 321 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 6,260 X X 09 6,260 0 0
0 348 10,206 X 12 10,206 0 0
- -
0 SAKS INC 79377W10 236 16,310 X 09 16,310 0 0
COM
0 75 5,200 X X 09 5,200 0 0
- -
0 SALTON INC 79575710 332 7,653 X 09 7,653 0 0
COM
- -
0 SAN JUAN BASIN RTY TR 79824110 100 10,033 X 08 10,033 0 0
UNIT BEN INT
0 20 2,000 X X 08 2,000 0 0
- -
0 SANDISK CORP 80004C10 392 3,200 X 09 3,200 0 0
COM
0 245 2,000 X X 09 2,000 0 0
0 741 6,045 X 12 6,045 0 0
- -
0 SANMINA CORP 80090710 23,201 343,400 X 06 343,400 0 0
COM
0 4,858 71,900 X 08 71,700 0 200
0 203 3,000 X X 08 3,000 0 0
0 19,850 293,800 X 09 293,800 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 322 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 182 2,700 X X 09 2,700 0 0
0 1,677 24,822 X 12 24,822 0 0
- -
0 SANTA BARBARA RESTAURANT GP 80137810 28 20,000 X 12 20,000 0 0
COM
- -
0 SANTA FE SNYDER CORP 80218K10 2 172 X 08 172 0 0
COM
0 196 20,603 X X 08 20,603 0 0
0 202 21,258 X 09 20,957 0 301
0 11 1,183 X X 09 225 833 125
- -
0 SAP AKTIENGESELLSCHAFT 80305420 12 200 X 09 200 0 0
SPONSORED ADR
0 382 6,400 X X 09 6,400 0 0
- -
0 SAPIENT CORP 80306210 1,631 19,450 X 09 19,450 0 0
COM
0 1,812 21,600 X X 09 18,600 3,000 0
0 411 4,900 X 12 4,900 0 0
- -
0 SARA LEE CORP 80311110 725 40,273 X 04 40,273 0 0
COM
0 356 19,800 X X 04 16,800 0 3,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 323 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 900 50,000 X X 05 50,000 0 0
0 2,232 124,022 X 08 124,022 0 0
0 5,451 302,816 X X 08 225,716 24,500 52,600
0 8,339 463,268 X 09 446,418 2,600 14,250
0 4,683 260,176 X X 09 224,950 7,066 28,160
- -
0 SATYAM INFOWAY LTD 80409910 305 5,686 X 09 5,686 0 0
SPONSORED ADR
0 666 12,420 X 12 12,420 0 0
- -
0 SAWTEK INC 80546810 68 1,300 X 09 1,300 0 0
COM
0 15,175 288,710 X 12 288,710 0 0
- -
0 SCANA CORP NEW 80589M10 10,405 423,600 X 06 423,600 0 0
COM
0 10,164 413,773 X 09 411,656 0 2,117
0 564 22,963 X X 09 18,728 0 4,235
- -
0 SCHERING PLOUGH CORP 80660510 570 15,353 X 01 0 0 15,353
COM
0 4,394 118,360 X 04 97,450 0 20,910
0 3,696 99,566 X X 04 45,850 4,700 49,016
0 67 1,800 X 05 800 0 1,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 324 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,661 44,750 X X 05 42,350 0 2,400
0 12,101 325,945 X 08 323,245 0 2,700
0 5,288 142,438 X X 08 111,850 24,000 6,588
0 206,964 5,574,786 X 09 5,479,044 17,150 78,592
0 98,738 2,659,620 X X 09 2,493,188 7,814 158,618
0 2,558 68,910 X 12 68,910 0 0
- -
0 SCHLUMBERGER LTD 80685710 2,375 31,044 X 04 29,844 0 1,200
COM
0 1,000 13,070 X X 04 1,200 2,020 9,850
0 54 700 X 05 700 0 0
0 2,050 26,800 X X 05 26,000 0 800
0 31,120 406,800 X 06 406,800 0 0
0 29,097 380,357 X 08 377,233 0 3,124
0 18,408 240,623 X X 08 208,293 23,156 9,174
0 90,795 1,186,866 X 09 1,074,587 24,540 87,739
0 42,231 552,034 X X 09 349,086 73,710 129,238
0 3,074 40,180 X 12 40,180 0 0
- -
0 SCHOLASTIC CORP 80706610 4,021 74,547 X X 09 74,547 0 0
COM
- -
0 SCHWAB CHARLES CORP NEW 80851310 2,355 41,450 X 04 30,750 0 10,700
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 325 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,165 20,500 X X 04 11,700 1,000 7,800
0 40 700 X 05 700 0 0
0 2,841 50,000 X X 05 50,000 0 0
0 69,922 1,230,745 X 06 1,230,745 0 0
0 51,537 907,128 X 08 906,103 0 1,025
0 11,032 194,175 X X 08 175,025 11,300 7,850
0 96,721 1,702,452 X 09 1,656,852 13,900 31,700
0 12,433 218,839 X X 09 29,219 130,993 58,627
0 2,044 35,979 X 12 35,979 0 0
- -
0 SCHWEITZER-MAUDUIT INTL INC 80854110 2 180 X 08 180 0 0
COM
0 17 1,280 X 09 1,280 0 0
0 276 21,361 X X 09 1,361 20,000 0
- -
0 SCIENTIFIC ATLANTA INC 80865510 664 10,500 X 04 10,300 0 200
COM
0 73 1,150 X X 04 1,150 0 0
0 8,659 136,900 X 08 135,300 0 1,600
0 1,550 24,500 X X 08 14,500 6,000 4,000
0 4,837 76,475 X 09 65,625 4,050 6,800
0 1,444 22,834 X X 09 12,312 4,300 6,222
- -
0 SCIQUEST COM INC 80908Q10 699 27,138 X 12 27,138 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 326 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SCOTTISH PWR PLC 81013T70 17 522 X 04 522 0 0
SPON ADR FINAL
0 23 728 X 08 728 0 0
0 7 232 X X 08 0 232 0
0 508 16,032 X 09 16,032 0 0
0 936 29,543 X X 09 21,146 2,904 5,493
- -
0 SCRIPPS E W CO OHIO 81105420 16 335 X X 08 335 0 0
CL A
0 11,768 242,641 X 09 242,641 0 0
- -
0 SEAGATE TECHNOLOGY 81180410 1,112 18,000 X 01 0 0 18,000
COM
0 852 13,795 X 04 5,795 0 8,000
0 25 400 X 05 0 0 400
0 136 2,200 X X 05 0 0 2,200
0 74 1,200 X X 08 300 0 900
0 5,372 86,995 X 09 79,595 0 7,400
0 678 10,985 X X 09 8,312 0 2,673
0 946 15,320 X 12 15,320 0 0
- -
0 SEAGRAM LTD 81185010 119 2,000 X X 04 2,000 0 0
COM
0 36 600 X 08 600 0 0
0 417 7,000 X X 08 0 0 7,000
0 405 6,800 X 09 0 5,000 1,800
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 327 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 396 6,663 X X 09 89 0 6,574
- -
0 SEACOR SMIT INC 81190410 519 8,600 X 09 8,600 0 0
COM
0 263 4,350 X 12 4,350 0 0
- -
0 SEALED AIR CORP NEW 81211K10 36 668 X X 04 240 428 0
COM
0 54 1,000 X 08 1,000 0 0
0 866 15,950 X 09 9,349 900 5,701
0 3,167 58,315 X X 09 23,907 1,500 32,908
- -
0 SEALED AIR CORP NEW 81211K20 1,558 30,000 X 01 0 0 30,000
PFD CV A $2
0 59 1,133 X X 04 212 589 332
0 545 10,500 X 09 8,972 0 1,528
0 1,934 37,244 X X 09 32,849 0 4,395
- -
0 SEARS ROEBUCK & CO 81238710 9 300 X 04 300 0 0
COM
0 45 1,454 X X 04 720 734 0
0 737 24,076 X 08 24,076 0 0
0 720 23,500 X X 08 16,900 5,600 1,000
0 2,233 72,902 X 09 65,203 200 7,499
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 328 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4,301 140,450 X X 09 106,040 25,124 9,286
- -
0 SECTOR SPDR TR 81369Y60 24 1,000 X 04 1,000 0 0
SBI INT-FINL
0 47 1,950 X 08 1,950 0 0
0 68 2,800 X X 09 2,800 0 0
0 345 14,200 X 12 14,200 0 0
- -
0 SECTOR SPDR TR 81369Y80 203 3,350 X 08 3,350 0 0
SBI INT-TECH
- -
0 SEITEL INC 81607430 217 27,360 X 09 27,360 0 0
COM NEW
0 24 3,000 X X 09 3,000 0 0
- -
0 SEMTECH CORP 81685010 14,382 224,500 X 06 224,500 0 0
COM
0 10,487 163,700 X 09 163,700 0 0
- -
0 SEMPRA ENERGY 81685110 34 2,012 X 04 2,012 0 0
COM
0 5 300 X X 04 300 0 0
0 25 1,503 X 08 1,503 0 0
0 255 15,248 X X 08 15,248 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 329 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 924 55,175 X 09 52,675 1,000 1,500
0 439 26,236 X X 09 17,194 3,000 6,042
0 174 10,381 X 12 10,381 0 0
- -
0 SENSORMATIC ELECTRS CORP 81726510 357 15,900 X 08 15,900 0 0
COM
0 381 17,000 X X 08 3,000 8,000 6,000
0 10,697 476,729 X 09 455,329 2,000 19,400
0 298 13,300 X X 09 1,200 2,000 10,100
- -
0 SEPRACOR INC 81731510 15 200 X 08 200 0 0
COM
0 34 470 X 09 470 0 0
0 29 400 X X 09 0 0 400
0 1,056 14,500 X 12 14,500 0 0
- -
0 SERENA SOFTWARE INC 81749210 320 10,050 X 09 10,050 0 0
COM
0 363 11,400 X 12 11,400 0 0
- -
0 SERVICE CORP INTL 81756510 2 800 X 05 800 0 0
COM
0 180 59,850 X 08 58,000 0 1,850
0 530 176,734 X X 08 70,400 106,334 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 330 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 30 9,955 X 09 5,255 0 4,700
0 17 5,750 X X 09 2,000 0 3,750
0 79 26,415 X 12 26,415 0 0
- -
0 SERVICEMASTER CO 81760N10 15 1,349 X X 08 1,349 0 0
COM
0 1,082 96,184 X 09 86,889 0 9,295
0 417 37,090 X X 09 33,690 0 3,400
- -
0 7-ELEVEN INC 81782610 19 5,000 X X 04 5,000 0 0
COM
0 39 10,500 X 08 10,500 0 0
- -
0 SHANDONG HUANENG PWR DEV LTD 81941910 81 25,000 X X 09 0 0 25,000
SPON ADR N
- -
0 SHARED MED SYS CORP 81948610 1,992 38,400 X X 05 38,400 0 0
COM
0 104 2,000 X 09 2,000 0 0
- -
0 SHAW COMMUNICATIONS INC 82028K20 269 10,000 X 12 10,000 0 0
CL B CONV
- -
0 SHAW INDS INC 82028610 46 3,000 X X 04 3,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 331 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,519 100,000 X 09 100,000 0 0
- -
0 SHEFFIELD PHARMACEUTICALS IN 82123D30 84 15,000 X 09 15,000 0 0
COM NEW
- -
0 SHELL TRANS & TRADING PLC 82270360 500 10,200 X 04 10,200 0 0
NEW YRK SH NEW
0 118 2,400 X X 04 2,400 0 0
0 4,401 89,696 X 09 89,696 0 0
0 986 20,100 X X 09 4,900 0 15,200
- -
0 SHERWIN WILLIAMS CO 82434810 7 300 X 05 0 0 300
COM
0 223 10,100 X 08 10,100 0 0
0 423 19,136 X X 08 17,600 0 1,536
0 1,697 76,720 X 09 61,620 2,700 12,400
0 415 18,741 X X 09 12,693 0 6,048
0 240 10,840 X 12 10,840 0 0
- -
0 SHOE CARNIVAL INC 82488910 5,781 625,000 X 09 0 0 625,000
COM
- -
0 SHOPKO STORES INC 82491110 249 14,000 X 12 14,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 332 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SHONEYS INC 82503910 108 107,569 X 04 0 0 107,569
COM
0 433 432,902 X X 04 0 0 432,902
0 18 17,608 X 09 0 0 17,608
0 351 350,900 X X 09 0 0 350,900
- -
0 SHOPNOW COM INC 82508R10 38,838 2,655,556 X 11 2,655,556 0 0
COM
- -
0 SIEBEL SYS INC 82617010 107 900 X 09 900 0 0
COM
0 215 1,800 X X 09 800 0 1,000
0 19,817 165,920 X 12 165,920 0 0
- -
0 SIERRA PAC RES NEW 82642810 7 576 X 04 0 0 576
COM
0 38 3,009 X X 04 2,528 0 481
0 9 720 X 05 0 0 720
0 550 43,978 X 09 43,544 0 434
0 94 7,488 X X 09 7,344 144 0
- -
0 SIGMA ALDRICH CORP 82655210 62 2,300 X X 08 0 0 2,300
COM
0 151 5,600 X 09 5,600 0 0
0 1,149 42,740 X X 09 2,400 0 40,340
- -
0 SILICON GRAPHICS INC 82705610 87 8,200 X 08 8,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 333 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8 800 X X 08 0 800 0
0 263 24,900 X 12 24,900 0 0
- -
0 SILICON STORAGE TECHNOLOGY I 82705710 2,955 40,001 X 12 40,001 0 0
COM
- -
0 SILICON VY BANCSHARES 82706410 3,220 44,800 X 09 44,800 0 0
COM
- -
0 SILICONIX INC 82707920 494 5,200 X 09 5,200 0 0
COM NEW
- -
0 SIMON PPTY GROUP INC NEW 82880610 35 1,500 X X 05 0 0 1,500
COM
0 23 1,000 X 08 1,000 0 0
0 3,094 132,719 X 09 130,719 0 2,000
0 741 31,800 X X 09 26,100 2,100 3,600
- -
0 SINCLAIR BROADCAST GROUP INC 82922610 2,101 235,100 X 01 0 0 235,100
CL A
- -
0 SIRIUS SATELLITE RADIO INC 82966U10 1,767 31,000 X 09 31,000 0 0
COM
0 339 5,950 X 12 5,950 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 334 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SITEL CORP 82980K10 76 11,000 X 09 11,000 0 0
COM
- -
0 SMARTERKIDS COM 83169C10 1,495 379,600 X 12 379,600 0 0
COM
- -
0 SMARTFORCE PUB LTD CO 83170A20 2,271 49,500 X 12 49,500 0 0
SPONSORED ADR
- -
0 SMITH-GARDNER & ASSOCS 83205910 899 51,000 X 12 51,000 0 0
COM
- -
0 SMITH INTL INC 83211010 233 3,000 X 01 0 0 3,000
COM
0 4,616 59,558 X X 08 59,558 0 0
0 8,570 110,583 X 09 95,850 0 14,733
0 1,452 18,733 X X 09 12,500 0 6,233
- -
0 SMITH MICRO SOFTWARE INC 83215410 160 10,000 X 12 10,000 0 0
COM
- -
0 SMITH CHARLES E RESDNTL RLTY 83219710 748 20,700 X 09 20,700 0 0
COM
0 18 500 X X 09 0 0 500
- -
0 SMITHFIELD FOODS INC 83224810 244 12,200 X 09 12,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 335 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 1,400 X X 09 0 0 1,400
- -
0 SMITHKLINE BEECHAM PLC 83237830 647 9,800 X 04 9,600 0 200
ADR REP ORD
0 529 8,000 X X 04 8,000 0 0
0 40 600 X 05 600 0 0
0 1,447 21,901 X 08 20,301 1,600 0
0 585 8,850 X X 08 8,850 0 0
0 18,361 277,926 X 09 244,026 1,600 32,300
0 11,918 180,402 X X 09 114,282 2,200 63,920
0 3,303 50,000 X 12 50,000 0 0
- -
0 SNYDER COMMUNICATIONS INC 83291410 563 25,000 X 09 25,000 0 0
COM SNC
- -
0 SNAP ON INC 83303410 79 3,000 X X 08 3,000 0 0
COM
0 76 2,900 X 09 2,900 0 0
0 66 2,526 X X 09 2,526 0 0
- -
0 SODEXHO MARRIOTT SVCS INC 83379310 55 3,662 X 09 3,662 0 0
COM
0 348 23,171 X X 09 450 0 22,721
- -
0 SOFTWARE COM INC 83402P10 1,289 10,000 X X 09 0 10,000 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 336 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SOLA INTL INC 83409210 1 100 X 04 0 100 0
COM
0 613 100,000 X X 09 100,000 0 0
- -
0 SOLECTRON CORP 83418210 2,107 52,500 X 04 49,900 0 2,600
COM
0 217 5,400 X X 04 4,400 0 1,000
0 847 21,100 X 05 14,300 0 6,800
0 24 600 X X 05 0 0 600
0 10,701 266,700 X 06 266,700 0 0
0 22,468 559,948 X 08 552,648 0 7,300
0 2,805 69,918 X X 08 69,518 0 400
0 41,272 1,028,590 X 09 960,620 16,540 51,430
0 3,196 79,640 X X 09 41,234 26,200 12,206
0 8,839 220,276 X 12 220,276 0 0
- -
0 SOLUTIA INC 83437610 2 150 X 04 150 0 0
COM
0 19 1,452 X X 04 152 0 1,300
0 7 500 X 08 500 0 0
0 44 3,320 X X 08 3,320 0 0
0 102 7,636 X 09 7,636 0 0
0 170 12,742 X X 09 9,254 0 3,488
- -
0 SONERA GROUP PLC 83543320 1,565 23,580 X 09 22,030 800 750
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 337 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SONICWALL INC 83547010 7 100 X 04 100 0 0
COM
0 8,588 128,895 X 12 128,895 0 0
- -
0 SONOCO PRODS CO 83549510 2 89 X 04 89 0 0
COM
0 757 32,926 X 09 30,626 1,100 1,200
0 596 25,930 X X 09 15,550 1,140 9,240
- -
0 SONUS PHARMACEUTICALS INC 83569210 95 24,250 X 12 24,250 0 0
COM
- -
0 SONY CORP 83569930 56 200 X 04 0 0 200
ADR NEW
0 112 400 X 08 400 0 0
0 5,689 20,309 X 09 14,259 1,050 5,000
0 8,741 31,205 X X 09 17,805 2,450 10,950
0 2,273 8,114 X 12 8,114 0 0
- -
0 SOUTHDOWN INC 84129710 157 2,643 X 04 2,643 0 0
COM
0 889 15,000 X 09 15,000 0 0
0 65 1,102 X X 09 1,102 0 0
- -
0 SOUTHERN CO 84258710 102 4,682 X 04 750 0 3,932
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 338 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 56 2,579 X X 04 1,310 600 669
0 172 7,900 X 08 7,900 0 0
0 861 39,566 X X 08 25,100 13,966 500
0 335 15,384 X 09 15,384 0 0
0 1,128 51,870 X X 09 33,135 12,194 6,541
- -
0 SOUTHERN UN CO NEW 84403010 363 20,118 X 12 20,118 0 0
COM
- -
0 SOUTHSIDE BANCSHARES INC 84470P10 253 14,904 X X 08 0 14,904 0
COM
- -
0 SOUTHTRUST CORP 84473010 7,609 299,100 X 06 299,100 0 0
COM
0 5,405 212,462 X 08 211,062 0 1,400
0 1,805 70,975 X X 08 61,025 9,950 0
0 7,998 314,400 X 09 314,400 0 0
0 27 1,053 X X 09 0 0 1,053
- -
0 SOUTHWEST AIRLS CO 84474110 266 12,800 X 04 12,800 0 0
COM
0 62 3,000 X X 04 2,250 750 0
0 1,041 50,000 X X 05 50,000 0 0
0 9,984 479,722 X 06 479,722 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 339 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 19,867 954,558 X 08 946,558 0 8,000
0 8,788 422,247 X X 08 361,645 30,927 29,675
0 15,208 730,701 X 09 716,751 0 13,950
0 79 3,788 X X 09 3,238 0 550
0 294 14,112 X 12 14,112 0 0
- -
0 SOUTHWEST BANCORPORATION TEX 84476R10 2,689 138,324 X 08 138,324 0 0
COM
- -
0 SOUTHWEST SECS GROUP INC 84522410 404 9,300 X 09 9,300 0 0
COM
- -
0 SOVEREIGN BANCORP INC 84590510 36 4,800 X 09 4,800 0 0
COM
0 68 9,000 X X 09 9,000 0 0
- -
0 SPARTECH CORP 84722020 21,758 632,950 X 06 632,950 0 0
COM NEW
0 8,376 243,675 X 08 243,675 0 0
0 15,378 447,350 X 09 447,050 0 300
- -
0 SPECTRA-PHYSICS LASERS INC 84756810 519 11,400 X 09 11,400 0 0
COM
- -
0 SPECTRALINK CORP 84758010 104 5,783 X X 09 5,783 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 340 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,807 100,400 X 12 100,400 0 0
- -
0 SPIEKER PPTYS INC 84849710 45 1,000 X X 05 0 0 1,000
COM
0 2,007 45,100 X 09 43,100 0 2,000
0 439 9,875 X X 09 8,675 1,200 0
0 306 6,880 X 12 6,880 0 0
- -
0 SPRINT CORP 85206110 155 2,448 X 04 1,848 0 600
COM FON GROUP
0 523 8,268 X X 04 4,600 0 3,668
0 89 1,400 X 05 1,100 0 300
0 1,565 24,740 X X 05 24,740 0 0
0 52,839 835,393 X 06 835,393 0 0
0 15,878 251,028 X 08 249,778 0 1,250
0 5,425 85,765 X X 08 53,265 32,500 0
0 80,435 1,271,707 X 09 1,247,203 1,000 23,504
0 12,612 199,395 X X 09 130,964 2,882 65,549
0 4,302 68,022 X 12 68,022 0 0
- -
0 SPRINT CORP 85206150 70 1,064 X 04 1,064 0 0
PCS COM SER 1
0 304 4,634 X X 04 2,300 0 2,334
0 1,007 15,370 X X 05 15,370 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 341 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,835 28,018 X 08 28,018 0 0
0 2,479 37,850 X X 08 22,300 15,550 0
0 13,633 208,138 X 09 197,868 200 10,070
0 6,041 92,228 X X 09 59,462 2,190 30,576
- -
0 SPYGLASS INC 85219210 2,210 28,500 X 01 0 0 28,500
COM
- -
0 ST ASSEMBLY TEST SVSC LTD 85227G10 3,103 63,975 X 06 63,975 0 0
ADR
0 4,278 88,200 X 09 88,200 0 0
0 8,083 166,650 X 12 166,650 0 0
- -
0 STAMPS COM INC 85285710 30,869 1,598,361 X 07 1,598,361 0 0
COM
- -
0 STANCORP FINL GROUP INC 85289110 1,122 41,000 X 09 41,000 0 0
COM
0 411 15,000 X 12 15,000 0 0
- -
0 STANDARD PAC CORP NEW 85375C10 137 13,700 X 09 13,700 0 0
COM
0 26 2,550 X X 09 0 0 2,550
- -
0 STANLEY WKS 85461610 279 10,589 X 09 9,709 0 880
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 342 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 486 18,432 X X 09 4,395 0 14,037
- -
0 STAR TELECOMMUNICATIONS INC 85492310 14,124 2,354,021 X 09 2,354,021 0 0
COM
- -
0 STAPLES INC 85503010 68 3,375 X X 04 3,375 0 0
COM
0 18 900 X 08 900 0 0
0 56 2,800 X X 08 2,800 0 0
0 91 4,540 X 09 3,940 0 600
0 6,019 300,948 X X 09 2,813 0 298,135
0 1,919 95,935 X 12 95,935 0 0
- -
0 STARBUCKS CORP 85524410 126 2,820 X X 08 2,820 0 0
COM
0 659 14,700 X X 09 3,000 0 11,700
0 1,782 39,770 X 12 39,770 0 0
- -
0 STARMEDIA NETWORK INC 85554610 87 2,900 X 04 2,900 0 0
COM
0 1,510 50,225 X 06 50,225 0 0
0 352,890 11,738,333 X 07 11,738,333 0 0
0 2,328 77,450 X 09 75,450 0 2,000
0 1,607 53,456 X 12 53,456 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 343 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
STARWOOD HOTELS&RESORTS WRLD 85590A20 6 231 X 04 231 0 0
PAIRED CTF
0 5 200 X 08 200 0 0
0 143 5,541 X 09 1,988 0 3,553
0 149 5,771 X X 09 5,605 0 166
- -
0 STATE STR CORP 85747710 1,216 12,550 X 04 7,750 0 4,800
COM
0 194 2,000 X X 04 0 0 2,000
0 1,127 11,630 X 05 8,800 0 2,830
0 3,420 35,300 X X 05 35,000 0 300
0 6,954 71,787 X 08 71,787 0 0
0 2,180 22,500 X X 08 21,200 500 800
0 24,613 254,065 X 09 236,935 4,200 12,930
0 19,311 199,343 X X 09 23,131 133,684 42,528
0 441 4,554 X 12 4,554 0 0
- -
0 STATION CASINOS INC 85768910 14,691 673,500 X 06 673,500 0 0
COM
0 3,201 146,750 X 08 146,750 0 0
0 10,885 499,000 X 09 498,650 0 350
- -
0 STERLING BANCSHARES INC 85890710 108 11,250 X 08 11,250 0 0
COM
0 353 36,921 X X 08 36,921 0 0
- -
0 STERIS CORP 85915210 761 74,200 X 09 40,400 0 33,800
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 344 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 117 11,400 X X 09 3,000 0 8,400
- -
0 STERLING COMM INC 85920510 0 5,600 X 04 2,000 0 3,600
COM
0 0 2,200 X X 04 700 0 1,500
0 0 175 X 08 175 0 0
0 0 18,600 X 09 18,600 0 0
0 0 150 X X 09 150 0 0
- -
0 STERLING VISION INC 85972710 165 20,000 X 12 20,000 0 0
COM
- -
0 STET HELLAS COMMUNICATIONS S 85982310 3,025 105,200 X 09 104,000 0 1,200
ADR
- -
0 STILLWATER MNG CO 86074Q10 6 150 X X 08 150 0 0
COM
0 1,020 25,500 X 12 25,500 0 0
- -
0 STMICROELECTRONICS N V 86101210 154 825 X 09 275 300 250
COM
0 562 3,000 X X 09 3,000 0 0
- -
0 STONE ENERGY CORP 86164210 2,251 45,700 X 06 45,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 345 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 TECHNOLOGY CORP 86211120 429 26,900 X 09 23,700 0 3,200
COM PAR $0.10
0 116 7,300 X X 09 4,900 1,200 1,200
- -
0 STRYKER CORP 86366710 8,084 115,900 X 06 115,900 0 0
COM
0 105 1,500 X 08 1,500 0 0
0 8,237 118,100 X 09 118,100 0 0
- -
0 STURM RUGER & CO INC 86415910 109 12,400 X 09 12,400 0 0
COM
- -
0 SUIZA FOODS CORP 86507710 20,459 508,300 X 09 508,300 0 0
COM
0 483 12,000 X X 09 12,000 0 0
- -
0 SUMMIT BANCORP 86600510 26 1,000 X X 08 1,000 0 0
COM
0 338 12,893 X 09 12,893 0 0
0 552 21,014 X X 09 20,225 0 789
- -
0 SUMMIT PPTYS INC 86623910 1,679 87,800 X 09 87,800 0 0
COM
- -
0 SUMMIT TECHNOLOGY INC 86627E10 91 10,000 X 12 10,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 346 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 COMMUNITIES INC 86667410 124 4,300 X 09 1,300 0 3,000
COM
0 188 6,500 X X 09 6,000 500 0
- -
0 SUN MICROSYSTEMS INC 86681010 272 2,900 X 01 0 0 2,900
COM
0 19,036 203,150 X 04 154,150 0 49,000
0 4,333 46,240 X X 04 19,900 5,440 20,900
0 918 9,800 X 05 6,400 0 3,400
0 13,924 148,600 X X 05 146,800 0 1,800
0 46,568 496,975 X 06 496,975 0 0
0 53,881 575,019 X 08 569,444 0 5,575
0 8,163 87,120 X X 08 69,670 3,250 14,200
0 373,598 3,987,046 X 09 3,475,255 60,850 450,941
0 124,034 1,323,692 X X 09 1,068,549 41,925 213,218
0 22,851 243,867 X 12 243,867 0 0
- -
0 SUN HYDRAULICS CORP 86694210 132 15,000 X 09 15,000 0 0
COM
- -
0 SUNCOR ENERGY INC 86722910 1,063 25,000 X 09 25,000 0 0
COM
- -
0 SUNGARD DATA SYS INC 86736310 3,461 91,680 X 09 91,680 0 0
COM
0 643 17,025 X X 09 16,025 0 1,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 347 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SUNOCO INC 86764P10 29 1,042 X 04 1,042 0 0
COM
0 3 100 X 08 100 0 0
0 174 6,351 X X 08 6,351 0 0
0 161 5,864 X 09 5,864 0 0
0 179 6,551 X X 09 3,450 0 3,101
- -
0 SUNTERRA CORP 86787D10 27 13,440 X 12 13,440 0 0
COM
- -
0 SUNTRUST BKS INC 86791410 87 1,500 X 04 1,500 0 0
COM
0 81 1,400 X X 04 400 0 1,000
0 1,444 25,000 X 08 25,000 0 0
0 1,484 25,700 X X 08 3,300 200 22,200
0 3,937 68,170 X 09 67,970 200 0
0 1,155 19,996 X X 09 16,695 901 2,400
- -
0 SUPERTEX INC 86853210 36 1,200 X 09 0 0 1,200
COM
0 36 1,200 X X 09 0 0 1,200
0 1,099 36,800 X 12 36,800 0 0
- -
0 SURMODICS INC 86887310 605 22,000 X 09 22,000 0 0
COM
- -
0 SWISSCOM AG 87101310 1,016 26,605 X 12 26,605 0 0
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 348 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SYCAMORE NETWORKS INC 87120610 381 2,950 X 09 2,950 0 0
COM
0 546 4,235 X 12 4,235 0 0
- -
0 SYMANTEC CORP 87150310 23,214 309,000 X 06 309,000 0 0
COM
0 7,826 104,175 X 08 104,025 0 150
0 2,134 28,400 X X 08 26,150 1,700 550
0 31,448 418,613 X 09 378,315 3,700 36,598
0 11,131 148,160 X X 09 30,675 83,920 33,565
0 722 9,610 X 12 9,610 0 0
- -
0 SYMBOL TECHNOLOGIES INC 87150810 399 4,850 X 04 4,350 0 500
COM
0 7,079 86,000 X 06 86,000 0 0
0 4,375 53,150 X 08 52,650 0 500
0 1,724 20,950 X X 08 19,650 500 800
0 7,375 89,600 X 09 88,100 300 1,200
0 1,101 13,375 X X 09 12,775 0 600
0 1,886 22,915 X 12 22,915 0 0
- -
0 SYMMETRICOM INC 87154310 555 52,550 X 12 52,550 0 0
COM
- -
0 SYNBIOTICS CORP 87156610 53 15,000 X X 09 0 0 15,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 349 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SYNOPSYS INC 87160710 8,283 169,900 X 06 169,900 0 0
COM
0 6 130 X 08 130 0 0
0 7,995 164,000 X 09 164,000 0 0
0 34 700 X X 09 700 0 0
- -
0 SYNTROLEUM CORP 87163010 334 14,300 X 09 14,300 0 0
COM
- -
0 SYSCO CORP 87182910 1,111 30,750 X 04 27,450 0 3,300
COM
0 99 2,750 X X 04 750 0 2,000
0 34,019 941,700 X 06 941,700 0 0
0 24,316 673,109 X 08 673,109 0 0
0 12,564 347,790 X X 08 294,590 51,800 1,400
0 39,147 1,083,650 X 09 1,056,150 10,600 16,900
0 4,681 129,574 X X 09 38,442 721 90,411
- -
0 TCF FINL CORP 87227510 6,178 259,440 X 06 259,440 0 0
COM
0 5,968 250,640 X 09 250,640 0 0
- -
0 TCSI CORP 87233R10 120 30,000 X 12 30,000 0 0
COM
- -
0 TCW CONV SECS FD INC 87234010 18 1,700 X 04 1,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 350 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8 800 X X 04 0 0 800
0 161 15,232 X 12 15,232 0 0
- -
0 TD WATERHOUSE GRP INC 87236210 978 39,100 X 12 39,100 0 0
COM
- -
0 TECO ENERGY INC 87237510 16 800 X 04 800 0 0
COM
0 29 1,500 X X 04 1,500 0 0
0 10 500 X X 08 500 0 0
0 738 37,966 X 09 32,366 0 5,600
0 886 45,604 X X 09 35,604 5,000 5,000
- -
0 TEPPCO PARTNERS L P 87238410 13 600 X X 04 600 0 0
UT LTD PARTNER
0 45 2,000 X 08 2,000 0 0
0 18 800 X X 08 800 0 0
0 89 4,000 X 09 2,000 2,000 0
0 45 2,000 X X 09 0 0 2,000
- -
0 TLC LASER EYE CENTERS INC 87255E10 1,962 195,000 X 09 195,000 0 0
COM
- -
0 TRW INC 87264910 70 1,200 X 04 1,200 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 351 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 12 200 X X 04 0 200 0
0 7 112 X 08 112 0 0
0 632 10,800 X X 08 10,800 0 0
0 1,305 22,306 X 09 19,506 0 2,800
0 3,234 55,284 X X 09 38,030 16,000 1,254
- -
0 TSI INTERNATIONAL SOFTWARE L 87287910 4,984 60,000 X 06 60,000 0 0
COM
- -
0 TMP WORLDWIDE INC 87294110 93 1,200 X 08 1,200 0 0
COM
0 785 10,100 X 09 10,100 0 0
0 687 8,840 X X 09 8,840 0 0
- -
0 TAIWAN SEMICONDUCTOR MFG LTD 87403910 46 800 X 09 0 800 0
SPONSORED ADR
0 593 10,396 X 12 10,396 0 0
- -
0 TALK COM INC 87426410 1,430 89,350 X 12 89,350 0 0
COM
- -
0 TANDY BRANDS ACCESSORIES INC 87537810 338 38,684 X 08 38,684 0 0
COM
- -
0 TANDY CORP 87538210 3,240 63,846 X 08 63,846 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 352 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 30 600 X X 08 0 600 0
0 8 150 X 09 150 0 0
- -
0 TARGET CORP 87612E10 2,626 35,130 X 04 34,780 0 350
COM
0 1,398 18,700 X X 04 1,400 700 16,600
0 366 4,900 X 05 4,900 0 0
0 112 1,500 X X 05 1,500 0 0
0 47,793 639,375 X 06 639,375 0 0
0 17,850 238,798 X 08 236,598 0 2,200
0 3,919 52,425 X X 08 46,125 4,100 2,200
0 69,491 929,641 X 09 902,381 560 26,700
0 8,127 108,723 X X 09 96,156 135 12,432
0 881 11,783 X 12 11,783 0 0
- -
0 TAUBMAN CTRS INC 87666410 2,345 210,750 X 09 209,500 0 1,250
COM
- -
0 TECHNICLONE CORP 87851730 159 25,000 X 12 25,000 0 0
COM NEW
- -
0 TECHNITROL INC 87855510 13,310 228,500 X 06 228,500 0 0
COM
0 3,012 51,700 X 08 51,700 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 353 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 9,215 158,200 X 09 158,000 0 200
- -
0 TECHNOLOGY SOLUTIONS CO 87872T10 253 27,769 X 09 27,769 0 0
COM
- -
0 TECUMSEH PRODS CO 87889520 427 9,700 X 09 9,700 0 0
CL A
- -
0 TEKELEC 87910110 82 2,200 X 09 2,200 0 0
COM
0 2,812 75,740 X 12 75,740 0 0
- -
0 TELCOM SEMICONDUCTOR INC 87921P10 300 9,920 X X 04 0 0 9,920
COM
- -
0 TELECOM ITALIA SPA 87927W10 64 420 X 04 420 0 0
SPON ADR ORD
0 35 230 X 05 0 0 230
0 603 3,970 X 09 3,970 0 0
0 1,028 6,765 X 12 6,765 0 0
- -
0 TELECOMM ARGENTINA STET-FRAN 87927320 191 5,500 X 01 0 0 5,500
SPON ADR REP B
0 647 18,630 X 09 18,630 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 354 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 521 15,000 X 12 15,000 0 0
- -
0 TELECOM CORP NEW ZEALAND LTD 87927820 15 400 X 09 0 400 0
SPONSORED ADR
0 73 2,000 X X 09 2,000 0 0
0 902 24,575 X 12 24,575 0 0
- -
0 TELECOMUNICACOES BRASILEIRAS 87928730 239 1,600 X 01 0 0 1,600
SPONSORED ADR
0 30 200 X 05 0 0 200
0 11,074 74,076 X 09 73,076 200 800
0 45 300 X X 09 0 0 300
- -
0 TELECOMUNICACOES DE SAO PAUL 87929A10 269 9,060 X 12 9,060 0 0
SPON ADR PFD
- -
0 TELECORP PCS INC 87929910 5 100 X X 09 0 0 100
CL A
0 816,540 15,778,560 X 10 15,778,560 0 0
0 4,192 81,010 X 12 81,010 0 0
- -
0 TELEFLEX INC 87936910 159 4,500 X X 04 4,500 0 0
COM
0 3,530 99,800 X 09 95,800 0 4,000
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 355 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 750 21,200 X X 09 19,600 0 1,600
- -
0 TELEFONICA DE ARGENTINA S A 87937820 12,643 322,123 X 01 0 0 322,123
SPON ADR CL B
0 23 590 X 05 0 0 590
0 854 21,770 X 09 21,770 0 0
- -
0 TELEFONICA S A 87938220 5,494 73,870 X 01 0 0 73,870
SPONSORED ADR
0 35 477 X 04 477 0 0
0 237 3,182 X X 04 0 0 3,182
0 473 6,364 X 08 6,364 0 0
0 118 1,591 X X 08 1,591 0 0
0 2,472 33,234 X 09 27,882 1,358 3,994
0 333 4,478 X X 09 24 1,272 3,182
0 598 8,040 X 12 8,040 0 0
- -
0 TELEFONOS DE MEXICO S A 87940378 135,595 2,035,200 X 01 0 0 2,035,200
SPON ADR ORD L
0 67 1,000 X 04 0 0 1,000
0 48 720 X 05 0 0 720
0 52 780 X X 08 780 0 0
0 4,207 63,140 X 09 61,090 50 2,000
0 110 1,650 X X 09 1,250 0 400
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 356 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,797 26,978 X 12 26,978 0 0
- -
0 TELEPHONE & DATA SYS INC 87943310 555 5,000 X 09 4,800 0 200
COM
0 233 2,100 X X 09 1,600 0 500
0 233 2,100 X 12 2,100 0 0
- -
0 TELIGENT INC 87959Y10 3,341 50,000 X 03 0 0 50,000
CL A
- -
0 TELLABS INC 87966410 104 1,650 X 01 0 0 1,650
COM
0 1,383 21,952 X 04 20,252 0 1,700
0 309 4,900 X X 04 200 200 4,500
0 2,362 37,500 X X 05 37,500 0 0
0 3,069 48,725 X 08 46,525 0 2,200
0 1,606 25,500 X X 08 21,850 3,650 0
0 28,394 450,805 X 09 423,855 8,000 18,950
0 1,466 23,274 X X 09 19,376 1,300 2,598
0 3,268 51,887 X 12 51,887 0 0
- -
0 TELXON CORP 87970010 193 11,000 X 12 11,000 0 0
COM
- -
0 TEMPLE INLAND INC 87986810 28 571 X 04 27 0 544
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 357 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 832 16,704 X X 04 0 0 16,704
0 5,076 101,900 X 06 101,900 0 0
0 1,391 27,924 X X 08 27,674 0 250
0 5,108 102,540 X 09 101,940 0 600
0 577 11,574 X X 09 7,974 100 3,500
- -
0 TELESYSTEM INTL WIRELESS INC 87994610 1,004 27,500 X X 09 0 0 27,500
SUB VTG SHS
- -
0 TEMPLETON EMERG MKTS INCOME 88019210 232 24,369 X X 09 24,369 0 0
COM
- -
0 TENET HEALTHCARE CORP 88033G10 12 500 X 04 0 0 500
COM
0 560 24,100 X X 08 24,100 0 0
0 1,861 80,055 X 09 57,783 0 22,272
0 466 20,048 X X 09 17,708 0 2,340
- -
0 TERA COMPUTER CO 88076P10 143 22,200 X 09 22,200 0 0
COM
0 129 20,000 X 12 20,000 0 0
- -
0 TERADYNE INC 88077010 558 6,800 X 04 6,800 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 358 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,312 16,000 X X 04 0 0 16,000
0 29,110 355,000 X 06 355,000 0 0
0 115 1,400 X X 08 1,400 0 0
0 46,100 562,196 X 09 542,500 0 19,696
0 9,169 111,817 X X 09 87,413 8,200 16,204
0 1,515 18,470 X 12 18,470 0 0
- -
0 TERAYON COMMUNICATION SYS 88077510 21 100 X X 08 100 0 0
COM
0 1,148 5,600 X 09 5,600 0 0
0 3,331 16,250 X 12 16,250 0 0
- -
0 TEREX CORP NEW 88077910 298 20,700 X 09 20,700 0 0
COM
0 431 30,000 X X 09 0 0 30,000
- -
0 TERRA NETWORKS S A 88100W10 2,382 30,350 X 09 29,900 450 0
SPONSORED ADR
- -
0 TESORO PETE CORP 88160910 481 41,850 X 09 41,850 0 0
COM
- -
0 TEXACO INC 88169410 1,349 25,094 X 04 22,394 0 2,700
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 359 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 608 11,320 X X 04 3,120 1,700 6,500
0 54 1,000 X 05 1,000 0 0
0 65 1,200 X X 05 0 0 1,200
0 3,772 70,173 X 08 70,173 0 0
0 3,224 59,979 X X 08 48,468 8,264 3,247
0 15,605 290,333 X 09 245,914 3,900 40,519
0 11,023 205,083 X X 09 116,399 41,352 47,332
0 2,750 51,167 X 12 51,167 0 0
- -
0 TEXAS INDS INC 88249110 11 343 X 08 343 0 0
COM
0 57 1,800 X X 08 1,800 0 0
0 351 11,100 X 09 9,300 0 1,800
0 187 5,900 X X 09 5,600 0 300
- -
0 TEXAS INSTRS INC 88250810 96 600 X 01 0 0 600
COM
0 2,504 15,650 X 04 12,850 0 2,800
0 2,560 16,000 X X 04 4,700 300 11,000
0 640 4,000 X 05 4,000 0 0
0 3,504 21,900 X X 05 20,700 0 1,200
0 154,952 968,450 X 06 968,450 0 0
0 108,624 678,898 X 08 675,048 3,200 650
0 54,950 343,436 X X 08 287,536 17,600 38,300
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 360 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 404,824 2,530,151 X 09 2,427,546 8,275 94,330
0 61,469 384,184 X X 09 343,634 9,100 31,450
0 25,343 158,396 X 12 158,396 0 0
- -
0 TEXAS UTILS CO 88284810 802 27,000 X X 05 27,000 0 0
COM
0 1,099 37,003 X 08 37,003 0 0
0 1,767 59,518 X X 08 50,319 5,767 3,432
0 3,826 128,862 X 09 128,097 0 765
0 1,610 54,243 X X 09 46,634 830 6,779
0 333 11,232 X 12 11,232 0 0
- -
0 TEXTRON INC 88320310 37 600 X 04 600 0 0
COM
0 85 1,400 X X 04 1,400 0 0
0 12 200 X 05 0 0 200
0 852 14,000 X X 05 14,000 0 0
0 12 200 X 08 200 0 0
0 128 2,100 X X 08 2,100 0 0
0 5,221 85,770 X 09 85,770 0 0
0 237 3,900 X X 09 3,500 0 400
- -
0 THERMO ELECTRON CORP 88355610 47 2,288 X 08 2,288 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 361 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 189 9,293 X X 08 0 9,293 0
0 2,317 113,699 X 09 90,599 2,100 21,000
0 732 35,917 X X 09 17,534 3,375 15,008
- -
0 THESTREET COM 88368Q10 13,735 1,474,780 X 07 1,474,780 0 0
COM
- -
0 THOMAS & BETTS CORP 88431510 723 25,600 X X 08 25,400 0 200
COM
0 440 15,590 X 09 14,790 0 800
0 1,037 36,700 X X 09 35,100 800 800
0 307 10,880 X 12 10,880 0 0
- -
0 THOR INDS INC 88516010 948 39,000 X 09 39,000 0 0
COM
- -
0 3DFX INTERACTIVE INC 88553X10 859 71,961 X X 09 71,961 0 0
COM
- -
0 3COM CORP 88553510 4 65 X 04 65 0 0
COM
0 488 8,770 X 09 1,800 795 6,175
0 277 4,988 X X 09 2,103 0 2,885
0 1,444 25,955 X 12 25,955 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 362 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
THREE FIVE SYS INC 88554L10 1,290 21,500 X 09 21,500 0 0
COM
- -
0 TIBCO SOFTWARE INC 88632Q10 2,282 28,000 X 06 28,000 0 0
COM
0 147 1,800 X 09 1,800 0 0
0 440 5,400 X 12 5,400 0 0
- -
0 TICKETS COM INC 88633M10 5,529 582,000 X X 07 582,000 0 0
COM
- -
0 TIDEWATER INC 88642310 10 300 X 04 300 0 0
COM
0 324 10,200 X 09 8,300 500 1,400
0 121 3,800 X X 09 3,100 0 700
- -
0 TIFFANY & CO NEW 88654710 326 3,900 X 05 300 0 3,600
COM
0 8 100 X X 05 0 0 100
0 3,180 38,025 X 08 38,025 0 0
0 1,254 15,000 X X 08 12,600 2,000 400
0 38 450 X 09 450 0 0
0 619 7,400 X X 09 600 0 6,800
0 22,823 272,924 X 12 272,924 0 0
- -
0 TIMBERLAND CO 88710010 428 8,400 X 09 8,400 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 363 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TIME WARNER INC 88731510 4,500 45,000 X 01 0 0 45,000
COM
0 8,836 88,355 X 04 84,055 0 4,300
0 14,727 147,266 X X 04 10,896 7,400 128,970
0 40 400 X 05 300 0 100
0 4,890 48,900 X X 05 48,500 0 400
0 71,823 718,225 X 06 718,225 0 0
0 57,518 575,180 X 08 573,530 0 1,650
0 11,819 118,190 X X 08 98,090 15,700 4,400
0 173,085 1,730,853 X 09 1,513,471 47,555 169,827
0 65,839 658,387 X X 09 420,776 25,628 211,983
0 1,825 18,250 X 12 18,250 0 0
- -
0 TIMES MIRROR CO NEW 88736410 792 8,522 X 09 615 0 7,907
COM SER A
0 1,531 16,468 X X 09 13,468 0 3,000
- -
0 TIMKEN CO 88738910 2,444 150,400 X 09 150,000 0 400
COM
0 1 57 X X 09 57 0 0
- -
0 TITAN CORP 88826610 128 2,500 X 09 2,500 0 0
COM
0 51 1,000 X X 09 1,000 0 0
0 326 6,386 X 12 6,386 0 0
- -
0 TITAN PHARMACEUTICALS INC DE 88831410 9 300 X X 09 300 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 364 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 285 9,180 X 12 9,180 0 0
- -
0 TOKIO MARINE & FIRE INS LTD 88909040 21 400 X 05 0 0 400
ADR NEW
0 1,590 30,320 X 12 30,320 0 0
- -
0 TOLL BROTHERS INC 88947810 463 23,159 X 09 23,159 0 0
COM
0 126 6,298 X X 09 6,298 0 0
- -
0 TOMKINS PLC 89003020 627 47,310 X 12 47,310 0 0
SPONSORED ADR
- -
0 TOO INC 89033310 12,867 407,672 X 09 1,042 0 406,630
COM
0 8,931 282,966 X X 09 111 0 282,855
- -
0 TORO CO 89109210 269 9,000 X 09 9,000 0 0
COM
- -
0 TORONTO DOMINION BK ONT 89116050 267 10,000 X 09 10,000 0 0
COM NEW
0 2,677 100,320 X 12 100,320 0 0
- -
0 TOSCO CORP 89149030 14,535 474,600 X 06 474,600 0 0
COM NEW
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 365 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 16,948 553,400 X 09 553,400 0 0
0 2 61 X X 09 61 0 0
- -
0 TOTAL RENAL CARE HLDGS INC 89151A10 1 300 X 09 300 0 0
COM
0 111 35,615 X 12 35,615 0 0
- -
0 TOTAL FINA S A 89151E10 52 700 X 04 0 0 700
SPONSORED ADR
0 1,687 22,915 X 09 13,603 0 9,312
0 67 906 X X 09 469 0 437
0 2,017 27,401 X 12 27,401 0 0
- -
0 TOWER AUTOMOTIVE INC 89170710 15,278 933,000 X 06 933,000 0 0
COM
0 2,120 129,440 X 08 129,440 0 0
0 14,182 866,100 X 09 865,700 0 400
- -
0 TRACK N TRAIL INC 89192410 100 100,000 X 12 100,000 0 0
COM
- -
0 TOWNE SERVICES INC 89214810 539 308,000 X 12 308,000 0 0
COM
- -
0 TOYOTA MOTOR CORP 89233130 34 325 X X 08 325 0 0
SP ADR REP2COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 366 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 208 2,000 X 09 2,000 0 0
- -
0 TOYS R US INC 89233510 3 200 X 08 200 0 0
COM
0 22 1,475 X X 08 1,475 0 0
0 625 42,225 X 09 42,225 0 0
0 737 49,775 X X 09 36,800 0 12,975
0 234 15,775 X 12 15,775 0 0
- -
0 TRAMMELL CROW CO 89288R10 136 12,300 X 09 12,300 0 0
COM
- -
0 TRANSACTION SYS ARCHITECTS 89341610 335 11,600 X 09 11,600 0 0
CL A
- -
0 TRANSATLANTIC HLDGS INC 89352110 38 450 X 08 450 0 0
COM
0 751 8,787 X 09 3,375 0 5,412
0 453 5,300 X X 09 2,550 0 2,750
- -
0 TRANSPORT CORP OF AMER INC 89385P10 106 21,700 X 12 21,700 0 0
COM
- -
0 TRANSWITCH CORP 89406510 13,698 142,500 X 06 142,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 367 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 11,271 117,250 X 09 117,250 0 0
0 92 955 X X 09 955 0 0
0 610 6,349 X 12 6,349 0 0
- -
0 TRI CONTL CORP 89543610 3 126 X 04 126 0 0
COM
0 141 5,521 X X 04 969 0 4,552
0 449 17,609 X 08 17,609 0 0
0 217 8,495 X X 08 7,795 700 0
0 56 2,213 X 09 500 0 1,713
0 351 13,770 X X 09 13,770 0 0
- -
0 TRIANGLE PHARMACEUTICALS INC 89589H10 11,025 700,000 X 07 700,000 0 0
COM
0 5,563 353,201 X X 07 353,201 0 0
0 194 12,295 X 12 12,295 0 0
- -
0 TRICON GLOBAL RESTAURANTS 89595310 16 527 X 04 157 0 370
COM
0 51 1,644 X X 04 1,170 0 474
0 65 2,100 X 08 2,100 0 0
0 648 20,862 X X 08 9,327 400 11,135
0 1,345 43,293 X 09 35,522 920 6,851
0 939 30,224 X X 09 25,488 1,400 3,336
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 368 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TRIBUNE CO NEW 89604710 73 2,000 X 05 1,200 0 800
COM
0 1,952 53,400 X 09 39,000 1,000 13,400
0 701 19,160 X X 09 15,260 0 3,900
0 268 7,328 X 12 7,328 0 0
- -
0 TRIMBLE NAVIGATION LTD 89623910 2,869 111,400 X 06 111,400 0 0
COM
0 2,723 105,750 X 09 105,750 0 0
- -
0 TRINITY INDS INC 89652210 12 524 X 08 524 0 0
COM
0 12 500 X X 08 500 0 0
0 593 25,041 X 09 20,944 0 4,097
0 40 1,700 X X 09 1,000 0 700
- -
0 TRIQUINT SEMICONDUCTOR INC 89674K10 154 2,100 X 04 2,100 0 0
COM
0 382 5,200 X 09 5,200 0 0
0 479 6,515 X 12 6,515 0 0
- -
0 TRITEL INC 89675X10 392 10,250 X 12 10,250 0 0
CL A
- -
0 TRITON PCS HLDGS INC 89677M10 733,177 12,270,744 X 10 12,270,744 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 369 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TRIZETTO GROUP INC 89688210 1,434 41,200 X 01 0 0 41,200
COM
- -
0 TRIPOS INC 89692810 261 9,900 X 12 9,900 0 0
COM
- -
0 TRUE NORTH COMMUNICATIONS IN 89784410 29,544 751,500 X 06 751,500 0 0
COM
0 3,507 89,200 X 08 89,200 0 0
0 25,337 644,500 X 09 644,300 0 200
- -
0 TRUETIME INC 89786810 155 21,400 X 09 21,400 0 0
COM
- -
0 TRUSTMARK CORP 89840210 5,388 266,900 X 06 266,900 0 0
COM
0 1,508 74,700 X 08 74,700 0 0
0 4,625 229,100 X 09 228,900 0 200
- -
0 TUBOSCOPE INC 89860010 264 15,500 X 08 15,500 0 0
COM
- -
0 TUMBLEWEED COMMUNICATIONS CO 89969010 597 5,119 X 12 5,119 0 0
COM
- -
0 TURBOCHEF TECHNOLOGIES INC 90000610 123 20,000 X 01 0 0 20,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 370 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
TUT SYSTEMS 90110310 703 11,800 X 09 11,800 0 0
COM
0 62 1,046 X X 09 0 0 1,046
0 328 5,500 X 12 5,500 0 0
- -
0 24 / 7 MEDIA INC 90131410 640 16,200 X 09 16,200 0 0
COM
- -
0 TYCO INTL LTD NEW 90212410 6,997 139,594 X 04 111,084 0 28,510
COM
0 1,944 38,778 X X 04 23,654 1,750 13,374
0 3,539 70,600 X X 05 70,000 0 600
0 44,752 892,810 X 06 892,810 0 0
0 56,910 1,135,353 X 08 1,128,678 0 6,675
0 12,783 255,013 X X 08 211,958 27,723 15,332
0 193,194 3,854,238 X 09 3,374,218 104,610 375,410
0 91,278 1,821,010 X X 09 1,044,650 292,626 483,734
0 7,193 143,510 X 12 143,510 0 0
- -
0 UAL CORP 90254950 182 3,000 X 09 3,000 0 0
COM PAR $0.01
0 70 1,165 X X 09 165 0 1,000
0 278 4,600 X 12 4,600 0 0
- -
0 UGI CORP NEW 90268110 210 9,700 X 09 9,700 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 371 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 108 5,000 X X 09 5,000 0 0
- -
0 USX MARATHON GROUP 90290582 19 725 X 08 725 0 0
COM NEW
0 53 2,050 X X 08 1,000 1,050 0
0 3,195 122,605 X 09 120,105 0 2,500
0 278 10,665 X X 09 8,165 2,500 0
- -
0 UST INC 90291110 92 5,900 X 08 5,900 0 0
COM
0 221 14,150 X 09 10,400 0 3,750
0 823 52,656 X X 09 51,945 0 711
- -
0 US BANCORP DEL 90297310 210 9,600 X 04 9,600 0 0
COM
0 66 3,000 X X 04 3,000 0 0
0 341 15,586 X X 08 15,586 0 0
0 1,087 49,692 X 09 34,820 0 14,872
0 1,741 79,586 X X 09 69,333 0 10,253
- -
0 USA NETWORKS INC 90298410 9,896 438,600 X 06 438,600 0 0
COM
0 9,585 424,800 X 09 424,000 0 800
0 95 4,196 X X 09 4,196 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 372 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
URS CORP NEW 90323610 144 11,000 X 09 11,000 0 0
COM
- -
0 U S G CORP 90329340 11 271 X 08 271 0 0
COM NEW
0 419 10,000 X 09 10,000 0 0
- -
0 U S FOODSERVICE 90331R10 10,358 402,240 X 06 402,240 0 0
COM
0 9,920 385,240 X 09 385,240 0 0
- -
0 US LEC CORP 90331S10 254 6,400 X 09 6,400 0 0
CL A
- -
0 U S CONCRETE INC 90333L10 1,530 254,942 X 08 254,942 0 0
COM
- -
0 USX-U S STL 90337T10 4 145 X 08 145 0 0
COM
0 3 131 X X 08 0 131 0
0 373 14,931 X 09 7,431 0 7,500
0 58 2,303 X X 09 2,003 0 300
- -
0 ULTRAPAR PARTICIPACOES S A 90400P10 220 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
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 373 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 817 32,199 X 09 21,800 0 10,399
0 114 4,477 X X 09 2,610 0 1,867
- -
0 UNIBANCO-UNIAO DE BANCOS BRA 90458E10 1,197 37,710 X 09 37,710 0 0
GDR REP PFD UT
- -
0 UNILEVER PLC 90476770 50 1,909 X X 08 356 0 1,553
SPON ADR NEW
0 1,613 61,731 X 12 61,731 0 0
- -
0 UNILEVER N V 90478470 414 8,601 X 04 7,887 0 714
N Y SHS NEW
0 87 1,815 X X 04 1,315 0 500
0 49 1,024 X 05 400 0 624
0 28 578 X X 05 0 0 578
0 1,957 40,657 X 08 40,457 0 200
0 760 15,798 X X 08 15,798 0 0
0 4,494 93,372 X 09 79,846 0 13,526
0 3,146 65,378 X X 09 42,874 3,119 19,385
- -
0 UNICOM CORP 90491110 9 250 X 04 250 0 0
COM
0 19 513 X 08 513 0 0
0 22 600 X X 08 600 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 374 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 4 108 X 09 108 0 0
0 157 4,289 X X 09 1,834 2,400 55
0 203 5,555 X 12 5,555 0 0
- -
0 UNION CARBIDE CORP 90558110 210 3,604 X 04 3,604 0 0
COM
0 51 875 X X 04 500 375 0
0 50 850 X 08 850 0 0
0 67 1,150 X X 08 500 0 650
0 1,462 25,065 X 09 22,465 0 2,600
0 783 13,432 X X 09 11,575 0 1,857
- -
0 UNION PAC CORP 90781810 184 4,700 X 04 4,700 0 0
COM
0 35 900 X X 04 0 0 900
0 12 300 X 05 0 0 300
0 57 1,450 X X 05 350 0 1,100
0 702 17,938 X 08 17,338 200 400
0 731 18,687 X X 08 6,387 4,100 8,200
0 22,062 563,893 X 09 549,137 2,420 12,336
0 13,737 351,101 X X 09 201,219 120,373 29,509
0 231 5,900 X 12 5,900 0 0
- -
0 UNION PAC RES GROUP INC 90783410 93 6,435 X 04 6,435 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 375 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 13,958 962,600 X 06 962,600 0 0
0 976 67,320 X 08 67,151 169 0
0 924 63,708 X X 08 51,555 4,700 7,453
0 15,050 1,037,953 X 09 1,035,118 0 2,835
0 2,910 200,716 X X 09 95,681 99,049 5,986
- -
0 UNION PLANTERS CORP 90806810 175 5,687 X 04 5,687 0 0
COM
0 66 2,144 X 08 2,144 0 0
0 310 10,072 X X 08 10,072 0 0
0 116 3,758 X 09 3,758 0 0
0 585 19,000 X X 09 1,000 0 18,000
- -
0 UNISOURCE ENERGY CORP 90920510 671 45,696 X 09 45,696 0 0
COM
- -
0 UNISYS CORP 90921410 17,863 695,400 X 09 690,900 0 4,500
COM
0 43 1,668 X X 09 1,668 0 0
- -
0 UNITED ASSET MGMT CORP 90942010 339 19,600 X 09 17,200 0 2,400
COM
- -
0 UNITED AUTO GROUP INC 90944010 13,458 1,527,079 X X 03 0 0 1,527,079
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 376 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 BANKSHARES INC WEST V 90990710 237 10,770 X X 09 0 1,530 9,240
COM
- -
0 UNITED DOMINION REALTY TR IN 91019710 2,346 233,124 X 09 233,124 0 0
COM
0 10 1,000 X X 09 0 1,000 0
- -
0 UNITED HEALTHCARE CORP 91058110 2 30 X 04 30 0 0
COM
0 5 80 X 08 80 0 0
0 179 3,000 X 09 0 500 2,500
0 291 4,887 X X 09 3,787 800 300
- -
0 UNITED PARCEL SERVICE INC 91131210 661 10,496 X 04 10,400 0 96
CL B
0 6 96 X X 05 0 0 96
0 88 1,400 X 08 1,400 0 0
0 733 11,641 X 09 10,541 0 1,100
0 467 7,416 X X 09 6,936 0 480
0 498 7,900 X 12 7,900 0 0
- -
0 UNITED STATES CELLULAR CORP 91168410 12,695 178,800 X 06 178,800 0 0
COM
0 12,549 176,750 X 09 176,000 750 0
- -
0 UNITED STATES LIME & MINERAL 91192210 110 13,726 X 08 13,726 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 377 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS 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 INDS INC NEW 91208010 251 22,667 X 09 21,667 0 1,000
COM
0 4 360 X X 09 360 0 0
- -
0 U S WEST INC NEW 91273H10 1,641 22,600 X 01 0 0 22,600
COM
0 338 4,654 X 04 4,244 0 410
0 832 11,457 X X 04 5,225 100 6,132
0 11 150 X 05 150 0 0
0 726 10,000 X X 05 10,000 0 0
0 863 11,889 X 08 11,889 0 0
0 1,932 26,606 X X 08 25,031 918 657
0 7,308 100,623 X 09 94,350 41 6,232
0 8,974 123,567 X X 09 82,977 6,795 33,795
- -
0 U S TR CORP NEW 91288L10 7,193 38,000 X 01 0 0 38,000
COM
0 379 2,000 X 08 2,000 0 0
0 1,607 8,488 X 09 8,488 0 0
0 95 500 X X 09 500 0 0
- -
0 UNITED STATIONERS INC 91300410 268 7,500 X 09 7,500 0 0
COM
- -
0 UNITED TECHNOLOGIES CORP 91301710 1,049 16,600 X 04 12,900 0 3,700
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 378 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 240 3,796 X X 04 196 0 3,600
0 598 9,460 X 05 6,160 0 3,300
0 101 1,600 X X 05 0 0 1,600
0 946 14,973 X 08 14,673 0 300
0 844 13,362 X X 08 5,483 7,600 279
0 41,795 661,436 X 09 622,287 7,200 31,949
0 11,703 185,202 X X 09 156,900 5,600 22,702
0 254 4,019 X 12 4,019 0 0
- -
0 UNITED THERAPEUTICS CORP DEL 91307C10 1,353 17,400 X 09 17,400 0 0
COM
0 533 6,850 X 12 6,850 0 0
- -
0 UNITED WTR RES INC 91319010 2,443 70,300 X X 04 70,300 0 0
COM
0 389 11,200 X 06 11,200 0 0
0 798 22,950 X 08 22,950 0 0
0 217 6,256 X 09 6,256 0 0
0 63 1,812 X X 09 125 0 1,687
- -
0 UNITEDGLOBALCOM 91324710 7,660 80,000 X 06 80,000 0 0
CV PFD 1/20
- -
0 UNITRIN INC 91327510 89 2,235 X 08 2,235 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 379 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,123 28,259 X X 08 11,069 0 17,190
0 437 11,000 X X 09 0 0 11,000
- -
0 UNIVERSAL AMERN FINL CORP 91337710 979 252,631 X 03 252,631 0 0
COM
0 2,170 559,955 X X 03 559,955 0 0
0 19 5,000 X 09 5,000 0 0
- -
0 UNIVERSAL FOODS CORP 91353810 383 17,900 X X 08 17,900 0 0
COM
0 169 7,900 X 09 3,400 0 4,500
- -
0 UNIVERSAL HLTH SVCS INC 91390310 123 2,500 X 08 2,500 0 0
CL B
0 29,028 592,400 X 09 22,200 0 570,200
- -
0 UNIVISION COMMUNICATIONS INC 91490610 11 100 X 09 100 0 0
CL A
0 57 500 X X 09 0 0 500
0 495 4,377 X 12 4,377 0 0
- -
0 UNOCAL CORP 91528910 2 71 X 04 71 0 0
COM
0 38 1,270 X 08 1,270 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 380 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 97 3,276 X X 08 3,276 0 0
0 3,299 110,876 X 09 110,876 0 0
0 279 9,363 X X 09 5,383 0 3,980
- -
0 UNUMPROVIDENT CORP 91529Y10 14 800 X X 04 0 0 800
COM
0 18 1,050 X 05 0 0 1,050
0 13 750 X X 05 750 0 0
0 10 600 X 08 600 0 0
0 197 11,628 X 09 9,000 0 2,628
0 165 9,759 X X 09 5,699 0 4,060
- -
0 USFREIGHTWAYS CORP 91690610 431 11,500 X 09 11,500 0 0
COM
- -
0 USDATA CORP 91729410 244 16,450 X 12 16,450 0 0
COM
- -
0 VI TECHNOLOGIES INC 91792010 15,201 1,801,470 X 10 1,801,470 0 0
COM
- -
0 UTILICORP UTD INC 91800510 41 2,250 X 08 2,250 0 0
COM
0 19 1,050 X X 08 1,050 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 381 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 1,253 69,367 X 09 69,367 0 0
0 305 16,899 X X 09 16,899 0 0
- -
0 UTSTARCOM INC 91807610 529 6,775 X 09 6,775 0 0
COM
- -
0 VA LINUX SYSTEMS INC 91819B10 6 100 X 04 100 0 0
COM
0 1,621 26,850 X 12 26,850 0 0
- -
0 V F CORP 91820410 2 100 X 04 0 0 100
COM
0 250 10,392 X X 08 10,292 0 100
0 34 1,400 X 09 0 0 1,400
0 79 3,300 X X 09 3,100 200 0
- -
0 VALENTIS INC 91913E10 23 2,000 X 09 2,000 0 0
COM
0 182 16,000 X 12 16,000 0 0
- -
0 VALERO ENERGY CORP NEW 91913Y10 239 7,800 X 09 7,800 0 0
COM
- -
0 VALLEY NATL BANCORP 91979410 1,197 44,549 X 09 43,031 0 1,518
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 382 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,034 224,538 X X 09 222,196 0 2,342
- -
0 VAN KAMPEN MUN INCOME TR 92090910 8 1,000 X 04 1,000 0 0
COM
0 28 3,500 X 08 3,500 0 0
0 50 6,200 X X 08 6,200 0 0
- -
0 VAN KAMPEN TR INVT GRADE MUN 92092910 155 11,700 X 08 11,700 0 0
COM
- -
0 VAN KAMPEN SENIOR INCOME TR 92096110 167 20,552 X 12 20,552 0 0
COM
- -
0 VANGUARD AIRLS INC 92201B20 94 32,000 X 12 32,000 0 0
COM NEW
- -
0 VARIAN MED SYS INC 92220P10 16,523 362,150 X 06 362,150 0 0
COM
0 4,412 96,700 X 08 96,700 0 0
0 11,890 260,600 X 09 260,400 0 200
- -
0 VARIAN INC 92220610 23,493 612,200 X 06 612,200 0 0
COM
0 6,380 166,250 X 08 166,250 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 383 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 19,249 501,600 X 09 501,200 0 400
- -
0 VARIAN SEMICONDUCTOR EQUIPMN 92220710 1,190 18,700 X 09 18,700 0 0
COM
0 1,782 28,000 X 12 28,000 0 0
- -
0 VASTAR RES INC 92238010 186 2,500 X X 08 0 0 2,500
COM
0 2,601 35,000 X 09 35,000 0 0
- -
0 VELCRO INDS N V 92257110 167 15,000 X X 09 5,000 0 10,000
COM
- -
0 VENTAS INC 92276F10 1 452 X 08 452 0 0
COM
0 461 139,000 X 09 139,000 0 0
- -
0 VENTANA MED SYS INC 92276H10 22,490 520,750 X 06 520,750 0 0
COM
0 5,756 133,275 X 08 133,275 0 0
0 18,176 420,850 X 09 420,500 0 350
- -
0 VERITY INC 92343C10 265 6,500 X 12 6,500 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 384 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
VERISIGN INC 92343E10 1,872 12,520 X 09 12,520 0 0
COM
0 3,618 24,200 X X 09 21,200 0 3,000
- -
0 VERIO INC 92343310 81 1,800 X 01 0 0 1,800
COM
0 406 9,000 X X 09 0 0 9,000
0 15,251 338,448 X 12 338,448 0 0
- -
0 VERITAS SOFTWARE CO 92343610 20 150 X 08 0 0 150
COM
0 395 3,013 X 09 3,000 0 13
0 371 2,830 X X 09 2,830 0 0
0 63,002 480,929 X 12 480,929 0 0
- -
0 VERTICALNET INC 92532L10 1,918 14,100 X 01 0 0 14,100
COM
0 7 50 X 04 50 0 0
0 1,544 11,350 X 09 11,350 0 0
- -
0 VETERINARY CTRS AMER INC 92551410 147 10,700 X 09 10,700 0 0
COM
- -
0 VIAD CORP 92552R10 9 400 X X 08 400 0 0
COM
0 2,320 101,436 X 09 101,436 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 385 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 59 2,600 X X 09 2,600 0 0
- -
0 VIACOM INC 92552410 9 160 X 04 160 0 0
CL A
0 32 600 X X 04 0 600 0
0 23 430 X 05 0 0 430
0 37 686 X 09 46 0 640
0 534 10,000 X X 09 0 0 10,000
0 693 12,975 X 12 12,975 0 0
- -
0 VIACOM INC 92552430 176 3,336 X 04 3,336 0 0
CL B
0 28 528 X 05 0 0 528
0 1,583 30,000 X X 05 30,000 0 0
0 25,195 477,625 X 06 477,625 0 0
0 364 6,898 X 08 6,898 0 0
0 27,123 514,182 X 09 504,430 0 9,752
0 247 4,691 X X 09 1,612 1,400 1,679
- -
0 VIATEL INC 92552920 396 7,900 X 09 7,900 0 0
COM
- -
0 VIA NET WRKS INC 92591210 34,867 1,312,612 X 03 1,312,612 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 386 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 2,857 X 09 2,857 0 0
- -
0 VIGNETTE CORP 92673410 438 2,732 X X 04 0 0 2,732
COM
0 321 2,000 X 09 2,000 0 0
- -
0 VINA CONCHA Y TORO S A 92719110 2,792 72,522 X 09 72,522 0 0
SPONSORED ADR
- -
0 VINTAGE PETE INC 92746010 11,420 567,450 X 06 567,450 0 0
COM
0 3,833 190,450 X 08 190,450 0 0
0 8,333 414,050 X 09 413,550 0 500
- -
0 VIRATA CORP 92764610 789 7,900 X 09 7,900 0 0
COM
- -
0 VISHAY INTERTECHNOLOGY INC 92829810 55,328 994,655 X 06 994,655 0 0
COM
0 11,952 214,873 X 08 214,873 0 0
0 20 354 X X 08 354 0 0
0 75,062 1,349,432 X 09 1,349,032 0 400
- -
0 VISION TWENTY-ONE INC FLA 92831N10 138 92,109 X 07 92,109 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 387 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
VISTA EYECARE INC 92835210 88 100,000 X 08 100,000 0 0
COM
- -
0 VISUAL NETWORKS INC 92844410 1,095 19,300 X 09 19,300 0 0
COM
0 8,041 141,684 X X 09 141,684 0 0
- -
0 VITAL SIGNS INC 92846910 860 37,500 X 09 37,500 0 0
COM
0 15,150 660,494 X 12 660,494 0 0
- -
0 VITAMINSHOPPE COM INC 92848M10 2,606 651,606 X 10 651,606 0 0
CL A
- -
0 VITRIA TECHNOLOGY 92849Q10 625 6,200 X 09 6,200 0 0
COM
- -
0 VITESSE SEMICONDUCTOR CORP 92849710 35,680 370,700 X 06 370,700 0 0
COM
0 144 1,500 X 08 1,500 0 0
0 337 3,500 X X 08 3,500 0 0
0 34,650 360,000 X 09 360,000 0 0
0 303 3,150 X X 09 1,150 0 2,000
- -
0 VITRO SOCIEDAD ANONIMA 92850230 356 75,000 X 12 75,000 0 0
SPONSORED ADR
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 388 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
VODAFONE AIRTOUCH PLC 92857T10 5,449 98,060 X 04 85,960 0 12,100
SPONSORED ADR
0 2,236 40,245 X X 04 19,245 1,450 19,550
0 1,395 25,100 X 05 14,600 0 10,500
0 167 3,000 X X 05 2,700 0 300
0 9,127 164,260 X 06 164,260 0 0
0 30,353 546,272 X 08 545,272 0 1,000
0 12,822 230,765 X X 08 212,740 9,750 8,275
0 73,435 1,321,648 X 09 1,127,459 38,350 155,839
0 29,923 538,550 X X 09 326,325 91,620 120,605
0 3,080 55,425 X 12 55,425 0 0
- -
0 VOICESTREAM WIRELESS CORP 92861510 871 6,765 X 01 0 0 6,765
COM
0 583 4,525 X X 08 3,550 0 975
0 763 5,920 X 09 5,920 0 0
0 155 1,203 X X 09 1,200 3 0
0 2,089 16,216 X 12 16,216 0 0
- -
0 VORNADO RLTY TR 92904210 4 121 X 04 121 0 0
SH BEN INT
0 1,005 30,000 X 09 30,000 0 0
0 134 4,000 X X 09 2,000 0 2,000
- -
0 VOXWARE INC 92906L10 722 70,000 X X 04 0 0 70,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 389 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 31 3,000 X X 09 0 0 3,000
- -
0 WFS FINL INC 92923B10 1,891 97,300 X 09 97,300 0 0
COM
- -
0 WEBS INDEX FD INC 92923H70 554 40,500 X 12 40,500 0 0
HONG KONG WEBS
- -
0 WPS RESOURCES CORP 92931B10 8 303 X X 08 303 0 0
COM
0 119 4,600 X 09 3,400 0 1,200
0 258 9,960 X X 09 4,960 0 5,000
- -
0 WABASH NATL CORP 92956610 162 11,400 X 09 11,400 0 0
COM
- -
0 WACHOVIA CORP 92977110 163 2,410 X 04 1,610 0 800
COM
0 88 1,300 X X 04 1,300 0 0
0 26 380 X 08 380 0 0
0 162 2,400 X X 08 2,400 0 0
0 1,959 28,993 X 09 27,393 300 1,300
0 4,020 59,496 X X 09 34,003 109 25,384
- -
0 WADDELL & REED FINL INC 93005910 400 9,445 X 09 9,400 0 45
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 390 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 17 X X 09 0 17 0
- -
0 WAL MART STORES INC 93114210 3,047 53,932 X 04 45,282 0 8,650
COM
0 1,593 28,200 X X 04 11,384 1,000 15,816
0 186 3,300 X 05 1,400 0 1,900
0 186 3,300 X X 05 3,200 0 100
0 120,868 2,139,257 X 06 2,139,257 0 0
0 112,120 1,984,431 X 08 1,971,206 0 13,225
0 47,593 842,351 X X 08 556,485 111,836 174,030
0 213,860 3,785,139 X 09 3,490,963 66,400 227,776
0 48,021 849,921 X X 09 498,475 199,858 151,588
0 5,578 98,725 X 12 98,725 0 0
- -
0 WALGREEN CO 93142210 1,616 62,750 X 04 62,450 0 300
COM
0 1,960 76,100 X X 04 1,200 70,700 4,200
0 322 12,500 X 05 7,000 0 5,500
0 8,282 321,650 X 06 321,650 0 0
0 35,213 1,367,481 X 08 1,366,856 0 625
0 50,214 1,950,047 X X 08 1,833,747 400 115,900
0 30,729 1,193,364 X 09 997,904 22,400 173,060
0 16,176 628,175 X X 09 485,503 19,650 123,022
0 680 26,423 X 12 26,423 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 391 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WALKER INTERACTIVE SYS INC 93166410 753 93,405 X 12 93,405 0 0
COM
- -
0 WARNACO GROUP INC 93439010 207 17,500 X 08 17,500 0 0
CL A
0 42 3,550 X X 08 1,150 2,400 0
0 524 44,400 X 09 31,400 2,500 10,500
0 159 13,450 X X 09 11,150 0 2,300
- -
0 WARNER LAMBERT CO 93448810 10,160 104,000 X 01 0 0 104,000
COM
0 3,405 34,860 X 04 26,360 0 8,500
0 6,589 67,448 X X 04 37,888 1,100 28,460
0 212 2,175 X 05 700 0 1,475
0 2,638 27,000 X X 05 27,000 0 0
0 28,066 287,300 X 06 287,300 0 0
0 33,394 341,843 X 08 338,943 0 2,900
0 21,031 215,292 X X 08 130,443 50,924 33,925
0 83,159 851,268 X 09 736,883 22,920 91,465
0 120,140 1,229,838 X X 09 762,289 24,430 443,119
0 5,409 55,366 X 12 55,366 0 0
- -
0 WASHINGTON MUT INC 93932210 3,173 119,725 X 01 0 0 119,725
COM
0 26 975 X 04 675 0 300
0 38 1,435 X X 04 1,120 0 315
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 392 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 8 300 X 05 0 0 300
0 18 688 X X 05 688 0 0
0 13 500 X 08 500 0 0
0 453 17,100 X X 08 17,100 0 0
0 68 2,574 X 09 2,574 0 0
0 188 7,112 X X 09 3,606 0 3,506
0 284 10,711 X 12 10,711 0 0
- -
0 WASHINGTON POST CO 93964010 27 50 X X 08 50 0 0
CL B
0 5,572 10,300 X 09 10,300 0 0
0 108 200 X X 09 200 0 0
- -
0 WASTE MGMT INC DEL 94106L10 7 500 X 01 0 0 500
COM
0 8 600 X X 05 0 0 600
0 12 862 X 08 862 0 0
0 73 5,354 X X 08 5,354 0 0
0 330 24,141 X 09 20,089 3,000 1,052
0 308 22,514 X X 09 19,494 0 3,020
0 303 22,171 X 12 22,171 0 0
- -
0 WATERS CORP 94184810 1,334 14,000 X X 09 14,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 393 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 985 10,337 X 12 10,337 0 0
- -
0 WATSON PHARMACEUTICALS INC 94268310 266 6,700 X 09 3,100 0 3,600
COM
0 435 10,968 X X 09 39 0 10,929
- -
0 WAVE SYSTEMS CORP 94352610 7,032 176,064 X 07 176,064 0 0
CL A
- -
0 WEATHERFORD INTL INC 94707410 72 1,225 X 08 1,225 0 0
COM
0 159 2,725 X X 08 2,725 0 0
0 39 668 X X 09 0 0 668
0 368 6,288 X 12 6,288 0 0
- -
0 WEBB DEL CORP 94742310 168 11,320 X 12 11,320 0 0
COM
- -
0 WEBMETHODS INC 94768C10 92 380 X X 05 380 0 0
COM
0 18 73 X 08 73 0 0
0 459 1,900 X 09 1,900 0 0
- -
0 WEBVAN GROUP INC 94845V10 154 20,000 X X 09 0 0 20,000
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 394 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WEINGARTEN RLTY INVS 94874110 850 23,125 X 08 23,125 0 0
SH BEN INT
0 2,421 65,871 X X 08 61,871 1,000 3,000
0 1,723 46,890 X 09 46,890 0 0
0 221 6,000 X X 09 4,000 0 2,000
- -
0 WELLMAN INC 94970210 12,516 631,700 X 06 631,700 0 0
COM
0 12,326 622,100 X 09 622,100 0 0
- -
0 WELLS FARGO & CO NEW 94974610 753 18,480 X 04 17,780 0 700
COM
0 391 9,588 X X 04 7,942 0 1,646
0 14 350 X 05 0 0 350
0 2,241 55,000 X X 05 55,000 0 0
0 65,379 1,604,400 X 06 1,604,400 0 0
0 18,511 454,265 X 08 444,365 6,200 3,700
0 7,378 181,047 X X 08 164,437 15,710 900
0 89,087 2,186,196 X 09 2,076,076 29,719 80,401
0 15,512 380,656 X X 09 320,536 2,950 57,170
0 3,908 95,908 X 12 95,908 0 0
- -
0 WENDYS INTL INC 95059010 5 250 X X 08 250 0 0
COM
0 1,443 71,500 X 09 70,200 0 1,300
0 40 2,000 X X 09 2,000 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 395 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 262 13,000 X 12 13,000 0 0
- -
0 WESBANCO INC 95081010 702 36,338 X X 08 36,338 0 0
COM
0 153 7,920 X X 09 0 0 7,920
- -
0 WESCO INTL INC 95082P10 36,062 4,653,131 X 03 4,653,131 0 0
COM
- -
0 WESTELL TECHNOLOGIES INC 95754110 2,853 89,500 X 12 89,500 0 0
CL A
- -
0 WESTCORP INC 95790710 368 26,250 X 09 26,250 0 0
COM
- -
0 WESTERN DIGITAL CORP 95810210 216 29,100 X X 05 29,100 0 0
COM
0 74 10,000 X X 09 0 0 10,000
- -
0 WESTERN WIRELESS CORP 95988E20 448 9,786 X 09 9,786 0 0
CL A
0 792 17,284 X X 09 17,284 0 0
- -
0 WESTVACO CORP 96154810 25 750 X X 04 750 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 396 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 18 550 X X 08 0 0 550
0 12,129 363,426 X 09 361,826 0 1,600
0 9,516 285,134 X X 09 280,522 0 4,612
- -
0 WESTWOOD ONE INC 96181510 15,760 434,750 X 06 434,750 0 0
COM
0 7,095 195,724 X 08 195,724 0 0
0 10,380 286,350 X 09 285,850 0 500
0 618 17,040 X 12 17,040 0 0
- -
0 WEYERHAEUSER CO 96216610 21,432 376,000 X 06 376,000 0 0
COM
0 619 10,851 X 08 10,851 0 0
0 2,449 42,964 X X 08 37,014 0 5,950
0 23,461 411,596 X 09 400,046 0 11,550
0 3,676 64,493 X X 09 44,731 3,000 16,762
- -
0 WHIRLPOOL CORP 96332010 81 1,380 X 04 1,380 0 0
COM
0 32 550 X X 04 0 0 550
0 138 2,350 X X 08 2,000 0 350
0 240 4,100 X 09 1,750 0 2,350
0 76 1,300 X X 09 1,300 0 0
- -
0 WHITNEY HLDG CORP 96661210 881 27,000 X X 09 27,000 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 397 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
WHOLE FOODS MKT INC 96683710 195 4,700 X 08 4,700 0 0
COM
0 4 100 X 09 100 0 0
0 37 900 X X 09 0 0 900
- -
0 WILD OATS MARKETS INC 96808B10 15,918 776,475 X 06 776,475 0 0
COM
0 48,212 2,351,827 X 07 2,351,827 0 0
0 4,543 221,600 X 08 221,600 0 0
0 13,132 640,568 X 09 640,118 0 450
0 236 11,500 X 12 11,500 0 0
- -
0 WILEY JOHN & SONS INC 96822320 216 12,000 X 09 12,000 0 0
CL A
- -
0 WILLAMETTE INDS INC 96913310 73 1,822 X 04 1,822 0 0
COM
0 26,767 667,100 X 06 667,100 0 0
0 261 6,500 X 08 6,500 0 0
0 88 2,200 X X 08 0 0 2,200
0 27,863 694,410 X 09 685,060 0 9,350
0 2,470 61,548 X X 09 35,848 3,000 22,700
0 1,201 29,928 X 12 29,928 0 0
- -
0 WILLIAMS COMMUNICATIONS GROU 96945510 52 1,000 X 04 1,000 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 398 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS 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 5,300 X X 09 0 0 5,300
- -
0 WILLIAMS COS INC DEL 96945710 2,631 59,880 X 04 49,880 0 10,000
COM
0 758 17,255 X X 04 8,355 1,600 7,300
0 57 1,300 X 05 1,300 0 0
0 2,417 55,000 X X 05 55,000 0 0
0 13,586 309,217 X 08 301,667 950 6,600
0 2,812 63,993 X X 08 58,893 500 4,600
0 27,457 624,902 X 09 547,472 3,000 74,430
0 7,222 164,357 X X 09 108,559 8,404 47,394
0 388 8,835 X 12 8,835 0 0
- -
0 WILLIAMS SONOMA INC 96990410 620 20,000 X X 09 20,000 0 0
COM
- -
0 WILMINGTON TRUST CORP 97180710 97 2,000 X 08 2,000 0 0
COM
0 1,399 28,780 X 09 28,780 0 0
0 392 8,060 X X 09 4,080 3,000 980
- -
0 WIND RIVER SYSTEMS INC 97314910 141 3,900 X 09 3,900 0 0
COM
0 16 450 X X 09 450 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 399 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 3,840 105,926 X 12 105,926 0 0
- -
0 WINN DIXIE STORES INC 97428010 45 2,300 X X 04 2,300 0 0
COM
0 28 1,432 X 08 1,432 0 0
0 16 800 X X 08 400 400 0
0 225 11,585 X 09 10,585 0 1,000
0 144 7,420 X X 09 7,360 0 60
- -
0 WINSTAR COMMUNICATIONS INC 97551510 306 5,100 X X 08 900 0 4,200
COM
0 927 15,455 X 09 15,450 0 5
0 600 10,000 X 12 10,000 0 0
- -
0 WIRELESS FACILITIES INC 97653A10 1,084 10,300 X 12 10,300 0 0
COM
- -
0 WISCONSIN ENERGY CORP 97665710 100 5,000 X X 08 4,500 0 500
COM
0 1,045 52,392 X 09 50,380 0 2,012
0 1,523 76,370 X X 09 61,745 3,900 10,725
- -
0 WITNESS SYS INC 97742410 23 752 X 09 752 0 0
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 400 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 6,070 199,825 X 12 199,825 0 0
- -
0 WOLVERINE WORLD WIDE INC 97809710 564 51,250 X X 09 0 0 51,250
COM
- -
0 WORKFLOW MGMT INC 98137N10 135 5,000 X 09 5,000 0 0
COM
0 320 11,880 X 12 11,880 0 0
- -
0 WORLD ACCESS INC 98141A10 341 17,814 X 09 17,814 0 0
COM
0 55 2,900 X X 09 0 0 2,900
- -
0 WRIGLEY WM JR CO 98252610 131 1,700 X 04 1,200 0 500
COM
0 115 1,500 X X 04 1,500 0 0
0 263 3,425 X 08 2,525 0 900
0 349 4,550 X X 08 3,950 0 600
0 3,769 49,070 X 09 48,570 0 500
0 1,920 25,000 X X 09 17,677 0 7,323
- -
0 WYNDHAM INTL INC 98310110 34 17,986 X 10 17,986 0 0
CL A
- -
0 XM SATELLITE RADIO HLDGS INC 98375910 1,744 50,000 X 09 50,000 0 0
CL A
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 401 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
XILINX INC 98391910 265 3,200 X 01 0 0 3,200
COM
0 75 900 X 08 0 0 900
0 17 200 X X 08 200 0 0
0 7 89 X X 09 56 0 33
0 9,766 117,931 X 12 117,931 0 0
- -
0 XIRCOM INC 98392210 252 6,800 X 09 6,800 0 0
COM
- -
0 XEROX CORP 98412110 806 31,000 X 01 0 0 31,000
COM
0 199 7,650 X 04 600 0 7,050
0 52 2,000 X X 04 0 0 2,000
0 13 500 X 05 0 0 500
0 23 900 X X 05 0 0 900
0 4,577 176,050 X 08 176,050 0 0
0 902 34,678 X X 08 23,900 9,578 1,200
0 27,255 1,048,264 X 09 998,856 3,500 45,908
0 6,336 243,704 X X 09 156,082 9,426 78,196
0 561 21,576 X 12 21,576 0 0
- -
0 XYBERNAUT CORP 98414910 8 500 X 04 500 0 0
COM
0 167 10,000 X 12 10,000 0 0
- -
0 YAHOO INC 98433210 5,246 30,610 X 01 0 0 30,610
COM
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 402 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
SECURITY CONTINUED FROM PREVIOUS PAGE
0 86 500 X 04 500 0 0
0 25,826 150,700 X 06 150,700 0 0
0 12,581 73,410 X 08 73,360 0 50
0 737 4,300 X X 08 3,700 0 600
0 20,948 122,232 X 09 121,862 170 200
0 1,924 11,226 X X 09 10,728 400 98
0 11,190 65,296 X 12 65,296 0 0
- -
0 YANKEE CANDLE INC 98475710 332 21,000 X 09 21,000 0 0
COM
- -
0 XICOR INC 98490310 198 14,000 X 12 14,000 0 0
COM
- -
0 YELLOW CORP 98550910 337 18,300 X 09 18,300 0 0
COM
- -
0 YOUNG & RUBICAM INC 98742510 926 19,700 X 09 19,700 0 0
COM
0 251 5,335 X 12 5,335 0 0
- -
0 ZALE CORP NEW 98885810 184 3,900 X 09 3,900 0 0
COM
0 358 7,595 X 12 7,595 0 0
1AMS0449A RUN DATE/TIME: 05/18/00 07:41 *** FORM 13F *** THE CHASE MANHATTAN CORPORATION FILE NUMBER 28-694
FOR QTR ENDING 03/31/00 * * * S E C USE ONLY * * * PAGE 403 OF 403
____
ITEM 6:
INVESTMENT DISCRETION
ITEM 4: ITEM 5: --------------------- ITEM 7: ITEM 8:
FAIR MKT SHARES OR A: B:SHARE C: MANAGERS VOTING AUTHORITY (SHARES)
ITEMS 1 & 2: ITEM 3: VALUE PRINCIPAL AS IN SHARED SEE ----------------------------------
NAME AND CLASS OF ISSUER CUSIP (000'S) AMOUNT SOLE INS.V OTHER INS.V A:SOLE B:SHARED C:NONE
-----------------------------------------------------------------------------------------------------------------------------------
ZEBRA TECHNOLOGIES CORP 98920710 21,793 435,850 X 06 435,850 0 0
CL A
0 3,409 68,175 X 08 68,175 0 0
0 18,170 363,400 X 09 363,200 0 200
- -
0 ZIFF-DAVIS INC 98951110 545 34,900 X 12 34,900 0 0
COM ZD
- -
0 ZIONS BANCORPORATION 98970110 791 19,000 X X 05 19,000 0 0
COM
0 12,579 302,200 X 06 302,200 0 0
0 12,861 308,975 X 09 308,475 0 500
0 42 1,000 X X 09 1,000 0 0
- -
0 ZOLL MED CORP 98992210 1,061 20,700 X 09 20,700 0 0
COM
0 TOTAL FAIR MARKET VALUE 54,377,271
</TABLE>