CNA FINANCIAL CORP
13F-HR, 1999-08-16
FIRE, MARINE & CASUALTY INSURANCE
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<PAGE>   1
                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: JUNE 30, 1999

Check here if Amendment [   ]; Amendment Number: ________
This Amendment (Check only one.):   [  ] is a restatement.
                                    [  ] adds new holdings
                                         entries.
Institutional Investment Manager Filing this Report:

Name:       CNAF
Address:    CNA Plaza
            Chicago, IL 60685


 Form 13F File Number: 28-217

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:    Tim Scott
Title:   Counsel
Phone:   (312) 822 4979

Signature, Place, and Date of Signing:

/s/ TIM SCOTT                    Chicago, IL                  August 6, 1999
- --------------------------------------------------------------------------------
[Signature]                      [City, State]                   [Date]

Report Type (Check only one.):

[X]       13F HOLDINGS REPORT. (Check here if all holdings of this reporting
          manager are reported in this report.)

[ ]       13F NOTICE. (Check here if no holdings reported are in this report,
          and all holdings are reported by other reporting manager (s) .)

[ ]       13F COMBINATION REPORT. (Check here if a portion of the holdings for
          this reporting manager are reported in this report and a portion are
          reported by other reporting manager(s).)


 List of Other Managers Reporting for this Manager:
 [If there are no entries in this list, omit this section.]

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934

          Form 13F File Number       Name

          28-_____________           _________________________________________
          [Repeat as necessary.]


<PAGE>   2




                              Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:          4

Form 13F Information Table Entry Total:     251

Form 13F Information Table Value Total:     $2,800,111
                                            (thousands)


List of Other Included Managers:


Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

          No.        Form 13F File Number       Name

          1          28-386                     CONTINENTAL ASSURANCE COMPANY
          2          28-387                     CONTINENTAL CASUALTY COMPANY
          3          28-217                     LOEWS CORPORATION
          4          28-172                     THE CONTINENTAL CORP.


<PAGE>   3
                            13F - Transmission Sheet

FORM 13F 6/30/99 NAME OF REPORTING MANAGER: CNAF

<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
                                                                                  VALUE        SHARES/      SH/    PUT/     INVSTMT
           NAME OF ISSUER               TITLE OF CLASS             CUSIP         (x1000)       PRN AMT      PRN    CALL     DSCRETN
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                     <C>                      <C>          <C>           <C>             <C>    <C>      <C>
ACNIELSEN CORP                          COM                      004833109          454          15,000     SH              DEFINED
ACX TECHNOLOGIES                        COM                      005123104            0               2     SH              DEFINED
ADVANTICA RESTAURANT GROUP              COM                      00758B109       13,326       3,877,287     SH              DEFINED
AFFIL COMPUTER                          SB NT CV 4%05            008190AD2        5,618       4,220,000     PRN             DEFINED
AGNICO-EAGLE MINES LTD                  COM                      008474108        1,701         275,000     SH              DEFINED
AGRIUM INC                              COM                      008916108           47           5,400     SH              DEFINED
ALLIANCE FOREST PRODUCTS                COM                      01859J108           18           1,500     SH              DEFINED
ALLIN COMMUNICATIONS CORP               COM                      019924109        1,020         340,000     SH              DEFINED
ALLTEL CORP                             COM                      020039103       14,325         200,352     SH              DEFINED
ALPHARMA INC                            SB NT CV 5.75%05         020813AB7        5,542       4,060,000     PRN             DEFINED
ALTIVA FINANCIAL CORP                   COM NEW                  021497300          144          32,000     SH              DEFINED
AMERADA HESS                            COM                      023551104        1,488          25,000     SH              DEFINED
AMERICA ONLINE INC                      COM                      02364J104        1,658          15,000     SH              DEFINED
AMERICA WEST HOLDINGS                   CL B                     023657208          402          21,278     SH              DEFINED
AMERICAN BUSINESS FINL SVCS             COM                      02476B106          292          23,850     SH              DEFINED
AMERICAN CAPITAL STRATEGIES             COM                      024937104        2,966         162,500     SH              DEFINED
AMERICAN EXPRESS                        COM                      025816109        3,904          30,000     SH              DEFINED
AMERICAN HOME PRODUCTS                  COM                      026609107        3,105          54,000     SH              DEFINED
AMERICAN INTL GROUP INC                 COM                      026874107          856           7,302     SH              DEFINED
AMR  CORP                               COM                      001765106        2,389          35,000     SH              DEFINED
ANHEUSER BUSCH CO                       COM                      035229103        3,554          50,100     SH              DEFINED
ANTEC CORP                              SB NT CV 144A 03         03664PAA3        3,251       2,250,000     PRN             DEFINED
ANTEC CORP                              SUB NT CV 4.5%03         03664PAB1        7,405       5,000,000     PRN             DEFINED
APPLIED MATERIALS INC.                  COM                      038222105        7,432         100,600     SH              DEFINED
ARCHER DANIELS                          COM                      039483102        5,808         376,265     SH              DEFINED
ARGUSS HOLDINGS INC                     COM                      040282105        6,153         324,912     SH              DEFINED
ASHANTI GOLDFIELDS-SPONS GDR            GLOB DEP RCPT            043743202        1,984         286,000     SH              DEFINED
ASTORIA FINANCIAL CORP                  COM                      046265104          395           9,000     SH              DEFINED
AT & T CORPORATION                      COM                      001957109       19,991         358,177     SH              DEFINED
AUTOTOTE CORP-CLASS A                   CL A                     053323101        1,585         667,503     SH              DEFINED
AVIRON                                  SB NT CV 5.75%05         053762AC4          475         500,000     PRN             DEFINED
BAKER HUGHES INC                        SR LYON ZERO 08          057224AH0        2,553       3,404,000     PRN             DEFINED
BANGOR HYDRO-ELECTRIC CO                COM                      060077104          108           6,700     SH              DEFINED
BANK UNITED CORP-CL A                   CL A                     065412108        2,813          70,000     SH              DEFINED
BARRICK GOLD CORP                       COM                      067901108        1,952         101,500     SH              DEFINED
BAYCORP HOLDINGS LTD                    COM                      072728108        4,007         667,842     SH              DEFINED
BCE INC.                                COM                      05534B109          126           2,600     SH              DEFINED
BUCKHEAD AMERICA CORP                   COM                      11835A105          121          21,579     SH              DEFINED
BUILDING ONE SERVICES CORP              COM                      120114103          759          54,718     SH              DEFINED
CALIFORNIA COASTAL COMM INC             COM                      129915104        3,256         449,158     SH              DEFINED
CANADIAN IMPERIAL BANK COMM             COM                      136069101           86           3,600     SH              DEFINED
CANADIAN NATL RAILWAY CO                COM                      136375102            8             112     SH              DEFINED
CANADIAN OCCIDENTAL PETE LTD            COM                      136420106           35           2,200     SH              DEFINED
CARDINAL HEALTH  INC.                   COM                      14149Y108        5,074          79,125     SH              DEFINED
CATELLUS DEVELOPMENT CORP               COM                      149111106        1,643         107,724     SH              DEFINED
CENTRAL GARDEN                          SUB NT CONV 6%03         153527AC0        2,941       3,770,000     PRN             DEFINED
CHECKPOINT SYS                          SDBCV144A5.25%05         162825AA1        2,835       3,730,000     PRN             DEFINED
CISCO SYSTEMS INC                       COM                      17275R102       10,455         162,100     SH              DEFINED

<CAPTION>

                                                          OTHER             VOTING AUTHORITY
           NAME OF ISSUER                              MANAGERS       SOLE            SHARED       NONE
- -----------------------------------------------------------------------------------------------------------
<S>                                                    <C>        <C>                   <C>         <C>
ACNIELSEN CORP                                                3       15,000             -           -
ACX TECHNOLOGIES                                            3,4            2             -           -
ADVANTICA RESTAURANT GROUP                                  2,3    3,877,287             -           -
AFFIL COMPUTER                                              1,3      -                   -           -
AGNICO-EAGLE MINES LTD                                      2,3      275,000             -           -
AGRIUM INC                                                  3,4        5,400             -           -
ALLIANCE FOREST PRODUCTS                                    3,4        1,500             -           -
ALLIN COMMUNICATIONS CORP                                   2,3      340,000             -           -
ALLTEL CORP                                               2,3,4      200,352             -           -
ALPHARMA INC                                                1,3      -                   -           -
ALTIVA FINANCIAL CORP                                       2,3       32,000             -           -
AMERADA HESS                                                2,3       25,000             -           -
AMERICA ONLINE INC                                          1,3       15,000             -           -
AMERICA WEST HOLDINGS                                       1,3       21,278             -           -
AMERICAN BUSINESS FINL SVCS                                 2,3       23,850             -           -
AMERICAN CAPITAL STRATEGIES                                 2,3      162,500             -           -
AMERICAN EXPRESS                                            1,3       30,000             -           -
AMERICAN HOME PRODUCTS                                      1,3       54,000             -           -
AMERICAN INTL GROUP INC                                     2,3        7,302             -           -
AMR  CORP                                                   2,3       35,000             -           -
ANHEUSER BUSCH CO                                         1,2,3       50,100             -           -
ANTEC CORP                                                  2,3      -                   -           -
ANTEC CORP                                                  1,3      -                   -           -
APPLIED MATERIALS INC.                                    1,3,4      100,600             -           -
ARCHER DANIELS                                                3      376,265             -           -
ARGUSS HOLDINGS INC                                         2,3      324,912             -           -
ASHANTI GOLDFIELDS-SPONS GDR                                2,3      286,000             -           -
ASTORIA FINANCIAL CORP                                        3        9,000             -           -
AT & T CORPORATION                                        1,2,3      358,177             -           -
AUTOTOTE CORP-CLASS A                                       2,3      667,503             -           -
AVIRON                                                        3      -                   -           -
BAKER HUGHES INC                                            2,3      -                   -           -
BANGOR HYDRO-ELECTRIC CO                                    2,3        6,700             -           -
BANK UNITED CORP-CL A                                       1,3       70,000             -           -
BARRICK GOLD CORP                                         2,3,4      101,500             -           -
BAYCORP HOLDINGS LTD                                      1,2,3      667,842             -           -
BCE INC.                                                    3,4        2,600             -           -
BUCKHEAD AMERICA CORP                                       2,3       21,579             -           -
BUILDING ONE SERVICES CORP                                  2,3       54,718             -           -
CALIFORNIA COASTAL COMM INC                                 2,3      449,158             -           -
CANADIAN IMPERIAL BANK COMM                                 3,4        3,600             -           -
CANADIAN NATL RAILWAY CO                                    1,3          112             -           -
CANADIAN OCCIDENTAL PETE LTD                                3,4        2,200             -           -
CARDINAL HEALTH  INC.                                       1,3       79,125             -           -
CATELLUS DEVELOPMENT CORP                                   2,3      107,724             -           -
CENTRAL GARDEN                                              1,3      -                   -           -
CHECKPOINT SYS                                              1,3      -                   -           -
CISCO SYSTEMS INC                                         1,3,4      162,100             -           -
</TABLE>

                                     Page 1

<PAGE>   4
                            13F - Transmission Sheet

<TABLE>
<S>                                     <C>                      <C>          <C>           <C>             <C>    <C>      <C>
CITIGROUP INC                           COM                      172967101         4,560          96,000    SH              DEFINED
CNA INCOME SHARES INC                   COM                      126119106         1,174         115,906    SH              DEFINED
CNA SURETY CORPORATION                  COM                      12612L108       414,913      27,096,347    SH              DEFINED
COCA COLA CO                            COM                      191216100           422           6,800    SH              DEFINED
COLUMBIA HCA HEALTHCARE CORP            COM                      197677107         1,027          45,000    SH              DEFINED
COMCAST CORP CL A SPL                   CL A SPL                 200300200        19,411         505,000    SH              DEFINED
COMMUNICATION INTELLIGENCE              COM                      20338K106         1,078         750,000    SH              DEFINED
COX COMMUNICATIONS INC-CL A             CL A                     224044107           810          22,000    SH              DEFINED
CRESCENT REAL ESTATE EQT CO             COM                      225756105         2,256          95,000    SH              DEFINED
CROWN RESOURCE CORP/COLO                COM                      228569109           815         501,400    SH              DEFINED
CYANOTECH CORP NEW                      COM NEW                  232437202           488         433,486    SH              DEFINED
DELL COMPUTER CORP                      COM                      247025109         1,606          43,400    SH              DEFINED
DELPHI INFORMATION SYSTEMS              COM NEW                  247171200         3,049         304,924    SH              DEFINED
DONALDSON LUFKIN & JENRETTE             COM DLJ                  257661108           904          15,000    SH              DEFINED
EAST-WEST BANCORP INC.                  COM                      27579R104        20,124       2,000,000    SH              DEFINED
EASTERN UTILITIES ASSOC                 COM                      277173100         2,977         102,200    SH              DEFINED
ECOLAB INC                              COM                      278865100            52           1,200    SH              DEFINED
ELAN CORP PLC -SPONS ADR                ADR                      284131208         1,110          40,000    SH              DEFINED
EMC CORP                                SB NT CV 3.25%02         26865YAA2         9,888       2,000,000    PRN             DEFINED
EMC CORPORATION                         COM                      268648102         5,500         100,000    SH              DEFINED
EMMIS COMMUNICATIONS CORPORATION        CL A                     291525103           988          20,000    SH              DEFINED
ENGEL GENERAL DEVELOPERS                ORD                      M40515104           270         120,000    SH              DEFINED
ENRON CORP                              COM                      293561106         7,317          89,500    SH              DEFINED
EQUITABLE RESOURCES INC                 COM                      294549100         4,153         110,000    SH              DEFINED
EQUITY OFFICE PROPERTIES TRUST          PFD CV B 5.25%           294741509         3,708          87,000    SH              DEFINED
ESTEE LAUDER COMPANIES                  CL A                     518439104            50           1,000    SH              DEFINED
EXIGENT INTERNATIONAL INC               COM                      302056106             1             125    SH              DEFINED
EXIGENT INTERNATIONAL INC-WT            WT EAP 013000            302056114          0.25             200    SH     CALL     DEFINED
FIRST ALLIANCE CORP                     COM                      317936102           902         262,500    SH              DEFINED
FIRST DATA CORP                         COM                      319963104         3,670          75,000    SH              DEFINED
FRIEDMAN BILLINGS RAMSEY-A              CL A                     358433100           606          51,000    SH              DEFINED
GENERAL COMMUNICATION  -CL A            CL A                     369385109            54           7,913    SH              DEFINED
GENERAL ELECTRIC CO                     COM                      369604103         5,469          48,400    SH              DEFINED
GILLETTE CO.                            COM                      375766102         3,928          95,800    SH              DEFINED
GLAMIS GOLD LTD          SV             COM                      376775102         2,829       1,508,640    SH              DEFINED
GLENBOROUGH REALTY TRUST INC            COM                      37803P105            70           4,000    SH              DEFINED
GLOBAL CROSSING LTD                     COM                      G3921A100     1,553,372      36,442,735    SH              DEFINED
GOLD RESERVE INC  COMMON STOCK          CL A                     38068N108         1,219       1,114,950    SH              DEFINED
GOLD STANDARD INC                       COM PAR $0.001           380724302           135          82,813    SH              DEFINED
GOLDCORP INC-CL A                       CL A SUB VTG             380956102         1,350         275,000    SH              DEFINED
GOLDEN STATE BANCORP                    COM                      381197102         2,882         128,100    SH              DEFINED
GOLDMAN SACHS GROUP INC                 COM                      38141G104            94           1,300    SH              DEFINED
GREENPOINT FINANCIAL CORP               COM                      395384100         1,680          51,200    SH              DEFINED
GREENSTONE RESOURCES                    COM                      39573W104           128         821,500    SH              DEFINED
HAYES LEMMERZ INTL INC COM              COM                      420781106         8,357         284,500    SH              DEFINED
HEALTHSOUTH CORP                        SB DB CV 3.25%03         421924AF8         5,070       6,000,000    PRN             DEFINED
HEALTHSOUTH CORP.                       COM                      421924101         1,488         100,000    SH              DEFINED
HEWLET-PACKARD                          SB LYON ZERO 17          428236AC7        30,929      47,400,000    PRN             DEFINED
HEWLETT-PACK FIN                        SBLYON144AZERO17         428236AA1         9,469      15,000,000    PRN             DEFINED
HOME DEPOT                              COM                      437076102         2,178          33,800    SH              DEFINED
HOMESTAKE MINING CO                     COM                      437614100         1,487         181,639    SH              DEFINED
HORIZON GROUP PROPERTIES INC            COM                      44041U102             2             630    SH              DEFINED
HUMANA INC.                             COM                      444859102         1,941         150,000    SH              DEFINED
HYPERION TELECOMM INC-CL A              CL A                     44914K306         1,333          70,882    SH              DEFINED


<S>                                                     <C>      <C>                    <C>         <C>
CITIGROUP INC                                               1,3       96,000             -           -
CNA INCOME SHARES INC                                       2,3      115,906             -           -
CNA SURETY CORPORATION                                    2,3,4   27,096,347             -           -
COCA COLA CO                                                3,4        6,800             -           -
COLUMBIA HCA HEALTHCARE CORP                                2,3       45,000             -           -
COMCAST CORP CL A SPL                                     1,2,3      505,000             -           -
COMMUNICATION INTELLIGENCE                                  2,3      750,000             -           -
COX COMMUNICATIONS INC-CL A                                 3,4       22,000             -           -
CRESCENT REAL ESTATE EQT CO                                 2,3       95,000             -           -
CROWN RESOURCE CORP/COLO                                    2,3      501,400             -           -
CYANOTECH CORP NEW                                          3,4      433,486             -           -
DELL COMPUTER CORP                                          3,4       43,400             -           -
DELPHI INFORMATION SYSTEMS                                  3,4      304,924             -           -
DONALDSON LUFKIN & JENRETTE                                 2,3       15,000             -           -
EAST-WEST BANCORP INC.                                      2,3    2,000,000             -           -
EASTERN UTILITIES ASSOC                                     2,3      102,200             -           -
ECOLAB INC                                                    3        1,200             -           -
ELAN CORP PLC -SPONS ADR                                    1,3       40,000             -           -
EMC CORP                                                  1,2,3      -                   -           -
EMC CORPORATION                                             1,3      100,000             -           -
EMMIS COMMUNICATIONS CORPORATION                            1,3       20,000             -           -
ENGEL GENERAL DEVELOPERS                                    2,3      120,000             -           -
ENRON CORP                                                1,3,4       89,500             -           -
EQUITABLE RESOURCES INC                                     2,3      110,000             -           -
EQUITY OFFICE PROPERTIES TRUST                              2,3       87,000             -           -
ESTEE LAUDER COMPANIES                                      2,3        1,000             -           -
EXIGENT INTERNATIONAL INC                                   1,3          125             -           -
EXIGENT INTERNATIONAL INC-WT                                1,3      -                   -           -
FIRST ALLIANCE CORP                                         2,3      262,500             -           -
FIRST DATA CORP                                             1,3       75,000             -           -
FRIEDMAN BILLINGS RAMSEY-A                                  2,3       51,000             -           -
GENERAL COMMUNICATION  -CL A                                1,3        7,913             -           -
GENERAL ELECTRIC CO                                         1,3       48,400             -           -
GILLETTE CO.                                              1,3,4       95,800             -           -
GLAMIS GOLD LTD          SV                                 2,3    1,508,640             -           -
GLENBOROUGH REALTY TRUST INC                                2,3        4,000             -           -
GLOBAL CROSSING LTD                                         2,3   36,442,735             -           -
GOLD RESERVE INC  COMMON STOCK                              2,3    1,114,950             -           -
GOLD STANDARD INC                                           2,3       82,813             -           -
GOLDCORP INC-CL A                                           2,3      275,000             -           -
GOLDEN STATE BANCORP                                        2,3      128,100             -           -
GOLDMAN SACHS GROUP INC                                     3,4        1,300             -           -
GREENPOINT FINANCIAL CORP                                   2,3       51,200             -           -
GREENSTONE RESOURCES                                        2,3      821,500             -           -
HAYES LEMMERZ INTL INC COM                                  2,3      284,500             -           -
HEALTHSOUTH CORP                                            2,3      -                   -           -
HEALTHSOUTH CORP.                                           2,3      100,000             -           -
HEWLET-PACKARD                                              2,3      -                   -           -
HEWLETT-PACK FIN                                            2,3      -                   -           -
HOME DEPOT                                                  3,4       33,800             -           -
HOMESTAKE MINING CO                                         2,3      181,639             -           -
HORIZON GROUP PROPERTIES INC                                2,3          630             -           -
HUMANA INC.                                                 2,3      150,000             -           -
HYPERION TELECOMM INC-CL A                                  2,3       70,882             -           -
</TABLE>

                                     Page 2

<PAGE>   5
                            13F - Transmission Sheet

<TABLE>
<S>                                     <C>                      <C>          <C>           <C>             <C>    <C>      <C>
ILLINOIS TOOL WORKS INC                 COM                      452308109        4,248         51,800      SH              DEFINED
IMPERIAL CREDIT COMMERCIAL              COM                      45272T102        1,622        150,000      SH              DEFINED
IMPERIAL OIL LTD-CO. PERTOLINE          COM NEW                  453038408           62          3,300      SH              DEFINED
INCO LTD                                COM                      453258402           23          1,300      SH              DEFINED
INTEL CORP                              COM                      458140100        4,379         73,600      SH              DEFINED
INTERMEDIA COMMUNICATIONS               COM                      458801107        2,650         88,324      SH              DEFINED
INTERNATIONAL BUSINESS MACHINE          COM                      459200101       12,124         93,800      SH              DEFINED
JPS INDUSTRIES INC                      COM                      46624E405        1,520        419,243      SH              DEFINED
K N ENERGY INC                          COM                      482620101        1,338        100,000      SH              DEFINED
KANSAS CITY SOUTHERN INDS               COM                      485170104        1,857         29,100      SH              DEFINED
KELLEY OIL & GAS                        PFD CONV EXCH            487906208          623        127,721      SH              DEFINED
KEMPER INTERMEDIATE GOVT TRUST          SH BEN INT               488413105        1,058        149,800      SH              DEFINED
KEYSTONE FINANCIAL INC                  COM                      493482103           30          1,013      SH              DEFINED
KROGER COMPANY                          COM                      501044101        5,593        200,200      SH              DEFINED
L-3 COMMUNICATIONS CORP                 COM                      502424104        2,594         53,700      SH              DEFINED
LAIDLAW INC                             COM                      50730K503           22          3,000      SH              DEFINED
LASALLE RE HOLDINGS                     ORD                      G5383Q101       24,231      1,425,354      SH              DEFINED
LIBERTY MEDIA                           COM LIB GRP A            001957208       10,328        281,024      SH              DEFINED
LIBERTY PROPERTY TRUST                  SH BEN INT               531172104          774         31,100      SH              DEFINED
LILLY (ELI) & CO.                       COM                      532457108        1,275         17,800      SH              DEFINED
LORAL SPACE & COMMUNICATIONS            COM                      G56462107        2,907        161,500      SH              DEFINED
LOWES CO INC                            COM                      548661107        2,834         50,000      SH              DEFINED
LSI LOGIC                               SUB NT CV 144A04         502161AB8        4,044      2,500,000      PRN             DEFINED
LUCENT TECHNOLOGIES                     COM                      549463107          958         14,200      SH              DEFINED
MACK-CALI REALTY CORP                   COM                      554489104          124          4,000      SH              DEFINED
MACMILLAN  BLOEDEL  LTD.                COM                      554783209           18          1,000      SH              DEFINED
MAGNA INT'L INC                         SUB DEB CV 5%02          559222AE4          391        360,000      PRN             DEFINED
MAXIM INTEGRATED PRODUCTS               COM                      57772K101          665         10,000      SH              DEFINED
MCI WORLDCOM INC.                       COM                      55268B106        7,245         84,000      SH              DEFINED
MCKESSON HBOC INC                       COM                      58155Q103        3,103         96,400      SH              DEFINED
MCLEODUSA INC-CL A                      COM                      582266102          495          9,000      SH              DEFINED
MEDIAONE GROUP                          PFD CV SER D             58440J203          164          1,095      SH              DEFINED
MEDIAONE GROUP, INC                     COM                      58440J104       21,007        282,449      SH              DEFINED
MEDTRONIC INC                           COM                      585055106        4,673         60,000      SH              DEFINED
MELLON BANK CORP                        COM                      585509102          473         13,000      SH              DEFINED
MERIDIAN GOLD INC                       COM                      589975101        1,240        265,000      SH              DEFINED
MERRILL LYNCH & CO INC                  COM                      590188108          763          9,600      SH              DEFINED
MICROCELL TELECOMMUNICATIONS            CL B NON VTG             59501T304        1,125        144,037      SH              DEFINED
MICROSOFT CORP                          COM                      594918104        4,185         46,400      SH              DEFINED
MIRAGE RESORTS INC                      COM                      60462E104        1,052         62,800      SH              DEFINED
MOLEX - CLASS A NON-VOTING              CL A                     608554200        3,654        115,995      SH              DEFINED
MONSANTO CO                             COM                      611662107        3,293         83,500      SH              DEFINED
MORRISON KNUDSEN CORP-WTS               WT ESP 031103            61844A117       0.1225             35      SH     CALL     DEFINED
MOTOROLA INC                            COM                      620076109        4,169         44,000      SH              DEFINED
MSDW ASIA PACIFIC FUND                  COM                      61744U106        1,828        189,900      SH              DEFINED
MSDW INDIA INVESTMENT FUND              COM                      61745C105        1,234        127,400      SH              DEFINED
NABORS INDUSTRIES CONV/CALL SUB NOTE    SUB NT CONV 5%06         629568AA4        3,884      2,853,000      PRN             DEFINED
NACCO INDS INC CL A                     CL A                     629579103        1,257         17,100      SH              DEFINED
NATL AUSTRALIABK                        CAP UTS EXCHBL           632525309       13,465        443,300      SH              DEFINED
NATL DATA CORP                          SUB NT CONV 5%03         635621AA3        4,982      4,750,000      PRN             DEFINED
NATL SEMICONDUCT                        SBNTCV144A6.5%02         637640AA1        1,629      1,715,000      PRN             DEFINED
NETOPIA INC                             COM                      64114K104          363         15,957      SH              DEFINED
NETWORK ACCESS SOLUTIONS CRP            COM                      64120S109        1,065         80,000      SH              DEFINED
NEXTEL COMMNS, INC CL A                 CL A                     65332V103          284          5,661      SH              DEFINED


<S>                                                     <C>      <C>                    <C>         <C>
ILLINOIS TOOL WORKS INC                                     1,3       51,800             -           -
IMPERIAL CREDIT COMMERCIAL                                  2,3      150,000             -           -
IMPERIAL OIL LTD-CO. PERTOLINE                              3,4        3,300             -           -
INCO LTD                                                    3,4        1,300             -           -
INTEL CORP                                                1,3,4       73,600             -           -
INTERMEDIA COMMUNICATIONS                                 1,2,3       88,324             -           -
INTERNATIONAL BUSINESS MACHINE                              2,3       93,800             -           -
JPS INDUSTRIES INC                                          2,3      419,243             -           -
K N ENERGY INC                                              2,3      100,000             -           -
KANSAS CITY SOUTHERN INDS                                   3,4       29,100             -           -
KELLEY OIL & GAS                                            2,3      127,721             -           -
KEMPER INTERMEDIATE GOVT TRUST                              2,3      149,800             -           -
KEYSTONE FINANCIAL INC                                      3,4        1,013             -           -
KROGER COMPANY                                              1,3      200,200             -           -
L-3 COMMUNICATIONS CORP                                     1,3       53,700             -           -
LAIDLAW INC                                                 3,4        3,000             -           -
LASALLE RE HOLDINGS                                         2,3    1,425,354             -           -
LIBERTY MEDIA                                               1,3      281,024             -           -
LIBERTY PROPERTY TRUST                                      2,3       31,100             -           -
LILLY (ELI) & CO.                                           1,3       17,800             -           -
LORAL SPACE & COMMUNICATIONS                                1,3      161,500             -           -
LOWES CO INC                                                1,3       50,000             -           -
LSI LOGIC                                                   1,3      -                   -           -
LUCENT TECHNOLOGIES                                         3,4       14,200             -           -
MACK-CALI REALTY CORP                                       2,3        4,000             -           -
MACMILLAN  BLOEDEL  LTD.                                    3,4        1,000             -           -
MAGNA INT'L INC                                             1,3      -                   -           -
MAXIM INTEGRATED PRODUCTS                                   3,4       10,000             -           -
MCI WORLDCOM INC.                                           1,3       84,000             -           -
MCKESSON HBOC INC                                           2,3       96,400             -           -
MCLEODUSA INC-CL A                                            3        9,000             -           -
MEDIAONE GROUP                                              3,4        1,095             -           -
MEDIAONE GROUP, INC                                       2,3,4      282,449             -           -
MEDTRONIC INC                                               1,3       60,000             -           -
MELLON BANK CORP                                              3       13,000             -           -
MERIDIAN GOLD INC                                           2,3      265,000             -           -
MERRILL LYNCH & CO INC                                      3,4        9,600             -           -
MICROCELL TELECOMMUNICATIONS                                2,3      -                   -           -
MICROSOFT CORP                                            1,3,4       46,400             -           -
MIRAGE RESORTS INC                                          3,4       62,800             -           -
MOLEX - CLASS A NON-VOTING                                  1,3      115,995             -           -
MONSANTO CO                                               1,3,4       83,500             -           -
MORRISON KNUDSEN CORP-WTS                                   3,4      -                   -           -
MOTOROLA INC                                                1,3       44,000             -           -
MSDW ASIA PACIFIC FUND                                      2,3      189,900             -           -
MSDW INDIA INVESTMENT FUND                                  2,3      127,400             -           -
NABORS INDUSTRIES CONV/CALL SUB NOTE                        1,3      -                   -           -
NACCO INDS INC CL A                                         2,3       17,100             -           -
NATL AUSTRALIABK                                          1,2,3      443,300             -           -
NATL DATA CORP                                              1,3      -                   -           -
NATL SEMICONDUCT                                            2,3      -                   -           -
NETOPIA INC                                                 3,4       15,957             -           -
NETWORK ACCESS SOLUTIONS CRP                                2,3       80,000             -           -
NEXTEL COMMNS, INC CL A                                     1,3        5,661             -           -
</TABLE>

                                     Page 3

<PAGE>   6
                            13F - Transmission Sheet

<TABLE>
<S>                                     <C>                      <C>          <C>           <C>             <C>    <C>      <C>
NIAGARA MOHAWK HOLDINGS INC             COM                      653520106       2,758         171,700      SH              DEFINED
NINE WEST GROUP                         SUB NT CV 144A03         65440DAA0         179         180,000      PRN             DEFINED
NINE WEST GROUP -TENDER                 SUB NT CV 5.5%03         65440DAC6       3,743       3,950,000      PRN             DEFINED
NORTH FORK BANCORPORATION               COM                      659424105       1,953          91,350      SH              DEFINED
NOVA CHEMICALS CORP                     COM                      66977W109          17             718      SH              DEFINED
OAK INDS-CALLED                         SB NT CV 144A 08         671400AJ8       5,387       4,200,000      PRN             DEFINED
OAK INDUSTRIES                          SB NT CV4.875%08         671400AL3       2,193       1,700,000      PRN             DEFINED
OMNICARE INC                            SUB DEB CV 5%07          681904AD0       2,881       3,920,000      PRN             DEFINED
ON COMMAND CORPORATION                  COM                      682160106       6,212         352,480      SH              DEFINED
ON COMMAND CORPORATION- CLASS B WTS     WT B EX 100703           682160122         800         123,130      SH     CALL     DEFINED
ORBITAL SCIENCES                        SB NT CV 5%02            685564AC0       1,347       1,250,000      PRN             DEFINED
OWENS-ILL INC                           PFD CONV $.01            690768502       4,343          98,700      SH              DEFINED
OWENS-ILLINOIS INC                      COM NEW                  690768403       6,381         195,200      SH              DEFINED
PAYCHEX INC                             COM                      704326107         732          22,950      SH              DEFINED
PEGASUS COMMUNICATIONS CORP             CL A                     705904100         411          10,424      SH              DEFINED
PEPSI BOTTLING GROUP INC                COM                      713409100       4,625         200,000      SH              DEFINED
PEPSICO INCORPORATED                    COM                      713448108       4,024         104,000      SH              DEFINED
PFIZER INC                              COM                      717081103       6,673          60,800      SH              DEFINED
PIER 1 IMPORTS                          SB NT CV 5.75%03         720279AF5       6,282       4,500,000      PRN             DEFINED
PLACER DOME INC                         COM                      725906101       9,713         831,252      SH              DEFINED
PLATINUM TECH                           SB NT CV 6.75%01         72764TAA9       3,867       1,850,000      PRN             DEFINED
POLICY MANAGEMENT SYSTEMS COEP          COM                      731108106      45,571       1,519,024      SH              DEFINED
POTASH CORP OF SASKATCHEWAN             COM                      73755L107       3,074          59,400      SH              DEFINED
POTOMAC ELECTRIC POWER                  COM                      737679100       3,706         125,900      SH              DEFINED
PREMIER PARKS                           COM NEW                  740540208         401          10,900      SH              DEFINED
PRENTISS PROPERTIES TRUST               SH BEN INT               740706106          95           4,000      SH              DEFINED
PRICE (T. ROWE) ASSOCIATES              COM                      741477103         898          23,400      SH              DEFINED
PRIME HOSPITALITY CORP                  COM                      741917108          77           6,375      SH              DEFINED
PRIME RETAIL INC                        COM                      741570105         109          12,600      SH              DEFINED
PRISON REALTY TRUST INC                 COM                      74264N105       4,237         431,800      SH              DEFINED
PROCTER & GAMBLE CO                     COM                      742718109       5,364          60,100      SH              DEFINED
PROGRESSIVE CORP                        COM                      743315103       1,320           9,100      SH              DEFINED
PROLOGIS TRUST                          SH BEN INT               743410102          81           4,000      SH              DEFINED
PUBLIC SERVICE CO OF N MEX              COM                      744499104       1,022          51,400      SH              DEFINED
QUINTILES TRANS                         SB NT CV 4.25%00         748767AC4       5,749       5,100,000      PRN             DEFINED
QWEST COMMUNICATIONS INTL               COM                      749121109         165           5,000      SH              DEFINED
RAYTHEON CO. COM                        CL B                     755111408       3,730          53,000      SH              DEFINED
REYNOLDS METALS CO                      COM                      761763101       7,818         132,500      SH              DEFINED
ROBERT HALF INTL INC                    COM                      770323103         733          28,400      SH              DEFINED
SAFEWAY INC                             COM NEW                  786514208       4,633          93,600      SH              DEFINED
SANTA FE INTERNATIONAL CORP             ORD                      G7805C108       2,645         115,000      SH              DEFINED
SCHERING PLOUGH                         COM                      806605101       7,155         135,000      SH              DEFINED
SCHLUMBERGER LIMITED                    COM                      806857108       4,369          68,600      SH              DEFINED
SCHWAB(CHARLES) CORP                    COM                      808513105       1,395          12,800      SH              DEFINED
SEAGATE TECHNOLOGY INC.                 COM                      811804103       2,563         100,000      SH              DEFINED
SEARS ROEBUCK & COMPANY INC             COM                      812387108       8,244         185,000      SH              DEFINED
SEPRACOR INC                            COM                      817315104         406           5,000      SH              DEFINED
SEPRACOR INC                            SB DB CV144A7%05         817315AF1       5,031       5,200,000      PRN             DEFINED
SIEBEL SYSTEMS INC                      COM                      826170102       1,790          27,000      SH              DEFINED
SODEXHO MARRIOTT SERVICES               COM                      833793102         146           7,600      SH              DEFINED
SOLECTRON CORP                          COM                      834182107       3,034          45,500      SH              DEFINED
SPEEDWAY MOTORSP                        SB DB CV 5.75%03         847788AC0       3,134       2,201,000      PRN             DEFINED
SPRINT CORP                             COM FON GROUP            852061100       4,851          91,856      SH              DEFINED
SPRINT CORP (PCS GROUP)                 PCS COM SER 1            852061506          41             714      SH              DEFINED


<S>                                                     <C>      <C>                    <C>         <C>
NIAGARA MOHAWK HOLDINGS INC                                 2,3      171,700             -           -
NINE WEST GROUP                                             2,3      -                   -           -
NINE WEST GROUP -TENDER                                   1,2,3      -                   -           -
NORTH FORK BANCORPORATION                                   2,3       91,350             -           -
NOVA CHEMICALS CORP                                         3,4          718             -           -
OAK INDS-CALLED                                             1,3      -                   -           -
OAK INDUSTRIES                                              1,3      -                   -           -
OMNICARE INC                                                1,3      -                   -           -
ON COMMAND CORPORATION                                      2,3      352,480             -           -
ON COMMAND CORPORATION- CLASS B WTS                         2,3      -                   -           -
ORBITAL SCIENCES                                            1,3      -                   -           -
OWENS-ILL INC                                               2,3       98,700             -           -
OWENS-ILLINOIS INC                                          2,3      195,200             -           -
PAYCHEX INC                                                 3,4       22,950             -           -
PEGASUS COMMUNICATIONS CORP                                 2,3       10,424             -           -
PEPSI BOTTLING GROUP INC                                    2,3      200,000             -           -
PEPSICO INCORPORATED                                        1,3      104,000             -           -
PFIZER INC                                                1,3,4       60,800             -           -
PIER 1 IMPORTS                                              1,3      -                   -           -
PLACER DOME INC                                           2,3,4      831,252             -           -
PLATINUM TECH                                               1,3      -                   -           -
POLICY MANAGEMENT SYSTEMS COEP                              2,3    1,519,024             -           -
POTASH CORP OF SASKATCHEWAN                                 2,3       59,400             -           -
POTOMAC ELECTRIC POWER                                      2,3      125,900             -           -
PREMIER PARKS                                                 3       10,900             -           -
PRENTISS PROPERTIES TRUST                                   2,3        4,000             -           -
PRICE (T. ROWE) ASSOCIATES                                  3,4       23,400             -           -
PRIME HOSPITALITY CORP                                      2,3        6,375             -           -
PRIME RETAIL INC                                            2,3       12,600             -           -
PRISON REALTY TRUST INC                                     2,3      431,800             -           -
PROCTER & GAMBLE CO                                       1,3,4       60,100             -           -
PROGRESSIVE CORP                                            3,4        9,100             -           -
PROLOGIS TRUST                                              2,3        4,000             -           -
PUBLIC SERVICE CO OF N MEX                                  2,3       51,400             -           -
QUINTILES TRANS                                             1,3      -                   -           -
QWEST COMMUNICATIONS INTL                                     3        5,000             -           -
RAYTHEON CO. COM                                            1,3       53,000             -           -
REYNOLDS METALS CO                                          2,3      132,500             -           -
ROBERT HALF INTL INC                                        3,4       28,400             -           -
SAFEWAY INC                                               1,3,4       93,600             -           -
SANTA FE INTERNATIONAL CORP                                 1,3      115,000             -           -
SCHERING PLOUGH                                             1,3      135,000             -           -
SCHLUMBERGER LIMITED                                        1,3       68,600             -           -
SCHWAB(CHARLES) CORP                                        3,4       12,800             -           -
SEAGATE TECHNOLOGY INC.                                     2,3      100,000             -           -
SEARS ROEBUCK & COMPANY INC                                 2,3      185,000             -           -
SEPRACOR INC                                                  3        5,000             -           -
SEPRACOR INC                                                1,3      -                   -           -
SIEBEL SYSTEMS INC                                          3,4       27,000             -           -
SODEXHO MARRIOTT SERVICES                                   3,4        7,600             -           -
SOLECTRON CORP                                              2,3       45,500             -           -
SPEEDWAY MOTORSP                                            1,3      -                   -           -
SPRINT CORP                                               1,3,4       91,856             -           -
SPRINT CORP (PCS GROUP)                                     3,4          714             -           -
</TABLE>

                                     Page 4

<PAGE>   7
                            13F - Transmission Sheet

<TABLE>
<S>                                     <C>                      <C>          <C>           <C>             <C>    <C>      <C>
STAR GAS PARTNER-SEN SUB UTS            SR SUB UN LTD            85512C204         369          42,434      SH              DEFINED
STILLWATER MINING COMPANY               COM                      86074Q102          88           2,700      SH              DEFINED
STORAGE TECHNOLOGY /NEW/COM             COM PAR $0.10            862111200          63           2,754      SH              DEFINED
SUN MICROSYSTEMS INC                    COM                      866810104       3,031          44,000      SH              DEFINED
SUNBEAM CORP                            SRSDCV ZRO144A18         867071AA0      16,490      97,000,000      PRN             DEFINED
SUNRISE ASSISTED                        SUB NT CV 5.5%02         86768KAC0       5,195       4,650,000      PRN             DEFINED
TANDY CORP                              COM                      875382103       3,421          70,000      SH              DEFINED
TECNOMATIX TECHNOLOGIES LTD             ORD                      M8743P105          18           1,000      SH              DEFINED
TEEKAY SHIPPING CORP                    COM                      V89564104       4,588         260,300      SH              DEFINED
TELLABS INC                             COM                      879664100       4,797          71,000      SH              DEFINED
TENNECO INC                             COM                      88037E101       1,194          50,000      SH              DEFINED
TEXACO INC                              COM                      881694103       9,980         160,000      SH              DEFINED
TEXAS INSTRUMENTS INCORPORATED          COM                      882508104       5,438          37,500      SH              DEFINED
TEXAS MICRO INC.                        COM                      88255T103         911         121,495      SH              DEFINED
THOUSAND TRAILS, INC                    COM                      885502104         708         159,660      SH              DEFINED
TIME WARNER INC                         COM                      887315109       1,590          21,900      SH              DEFINED
TORONTO DOMINION BK NEW CDN$            COM NEW                  891160509         118           2,600      SH              DEFINED
TOWER AUTOMOTIVE                        SB NT CV 5%04            891707AE1       4,471       4,000,000      PRN             DEFINED
TRANSCANADA PIPELINES LTD.              COM                      893526103          50           3,592      SH              DEFINED
TRIBUNE CO NEW                          COM                      896047107       7,580          87,000      SH              DEFINED
TYCO INTERNATIONAL LTD                  COM                      902124106       4,359          46,000      SH              DEFINED
UGLY DUCKLING CORP                      COM                      903512101         363          50,000      SH              DEFINED
UNIGENE LABORATORIES INC                COM                      904753100       1,874       2,000,000      SH              DEFINED
UNITED TECHNOLOGIES CORP.               COM                      913017109       3,326          46,400      SH              DEFINED
UNOCAL CORP                             COM                      915289102       2,322          58,600      SH              DEFINED
US AIR GROUP INC                        COM                      911905107         543          12,462      SH              DEFINED
US WEST INC                             COM                      91273H101          17             293      SH              DEFINED
USEC INC                                COM                      90333E108         744          50,000      SH              DEFINED
WAL MART STORES INC                     COM                      931142103         483          10,000      SH              DEFINED
WARNER LAMBERT CO                       COM                      934488107         892          12,900      SH              DEFINED
WASHINGTON REIT                         SH BEN INT               939653101          68           4,000      SH              DEFINED
WASTE MANAGEMENT                        SUB NT CONV 4%02         94106LAA7       5,940       4,500,000      PRN             DEFINED
WASTE MANAGEMENT INC                    COM                      94106L109      10,750         200,000      SH              DEFINED
WATSON PHARMACEUTICALS INC              COM                      942683103       1,052          30,000      SH              DEFINED
WELLS FARGO COMPANY                     COM                      949746101       3,848          90,000      SH              DEFINED
WESCO INTERNATIONAL INC                 COM                      95082P105         472          23,000      SH              DEFINED
WILLIAMS COS INC                        COM                      969457100          98           2,312      SH              DEFINED
WILLIAMS-SONOMA INC                     COM                      969904101         174           5,000      SH              DEFINED
XEROX CORP                              COM                      984121103       3,520          59,600      SH              DEFINED
XTRA CORP                               COM                      984138107         739          16,089      SH              DEFINED
ZAMBA CORPORATION                       COM                      988881108          62          32,000      SH              DEFINED

                                                                             2,800,111

<S>                                                     <C>      <C>                    <C>         <C>
STAR GAS PARTNER-SEN SUB UTS                                2,3       42,434             -           -
STILLWATER MINING COMPANY                                   2,3        2,700             -           -
STORAGE TECHNOLOGY /NEW/COM                                 1,3        2,754             -           -
SUN MICROSYSTEMS INC                                        1,3       44,000             -           -
SUNBEAM CORP                                                2,3      -                   -           -
SUNRISE ASSISTED                                            1,3      -                   -           -
TANDY CORP                                                  1,3       70,000             -           -
TECNOMATIX TECHNOLOGIES LTD                                 2,3        1,000             -           -
TEEKAY SHIPPING CORP                                        2,3      260,300             -           -
TELLABS INC                                                 1,3       71,000             -           -
TENNECO INC                                                 2,3       50,000             -           -
TEXACO INC                                                  1,3      160,000             -           -
TEXAS INSTRUMENTS INCORPORATED                              1,3       37,500             -           -
TEXAS MICRO INC.                                            3,4      121,495             -           -
THOUSAND TRAILS, INC                                        2,3      159,660             -           -
TIME WARNER INC                                             3,4       21,900             -           -
TORONTO DOMINION BK NEW CDN$                                3,4        2,600             -           -
TOWER AUTOMOTIVE                                            1,3      -                   -           -
TRANSCANADA PIPELINES LTD.                                  3,4        3,592             -           -
TRIBUNE CO NEW                                            1,2,3       87,000             -           -
TYCO INTERNATIONAL LTD                                      1,3       46,000             -           -
UGLY DUCKLING CORP                                          2,3       50,000             -           -
UNIGENE LABORATORIES INC                                    2,3    2,000,000             -           -
UNITED TECHNOLOGIES CORP.                                   1,3       46,400             -           -
UNOCAL CORP                                                 2,3       58,600             -           -
US AIR GROUP INC                                            2,3       12,462             -           -
US WEST INC                                                 3,4          293             -           -
USEC INC                                                    2,3       50,000             -           -
WAL MART STORES INC                                           3       10,000             -           -
WARNER LAMBERT CO                                           3,4       12,900             -           -
WASHINGTON REIT                                             2,3        4,000             -           -
WASTE MANAGEMENT                                            1,3      -                   -           -
WASTE MANAGEMENT INC                                        2,3      200,000             -           -
WATSON PHARMACEUTICALS INC                                  1,3       30,000             -           -
WELLS FARGO COMPANY                                         1,3       90,000             -           -
WESCO INTERNATIONAL INC                                       3       23,000             -           -
WILLIAMS COS INC                                            3,4        2,312             -           -
WILLIAMS-SONOMA INC                                         1,3        5,000             -           -
XEROX CORP                                                  2,3       59,600             -           -
XTRA CORP                                                   1,3       16,089             -           -
ZAMBA CORPORATION                                           3,4       32,000             -           -
</TABLE>

                                     Page 5




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