CHASE MANHATTAN CORP /DE/
13F-HR/A, 2000-05-18
NATIONAL COMMERCIAL BANKS
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                       UNITED STATES
             SECURITIES AND EXCHANGE COMMISSION
                   WASHINGTON, D.C. 20549

                         FORM 13F

                   FORM 13F COVER PAGE

REPORT FOR THE CALENDAR QUARTER ENDED: 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

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