CNA FINANCIAL CORP
13F-HR/A, 1999-09-09
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: March 31, 1999

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:       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:    (313) 822-4979

Signature, Place, and Date of Signing:

                                 Chicago, Illinois             September 8, 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:

 I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>   2




                              Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                     4
                                              -----------------------
Form 13F Information Table Entry Total:                  233
                                              -----------------------
Form 13F Information Table Value Total:      $     2,980,405
                                              -----------------------
                                                   (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.
          -----         -------------           ------------------------------

          [Repeat as necessary.]

<PAGE>   3




<TABLE>
<CAPTION>

                                                                           FORM 13F INFORMATION TABLE
                                                                  VALUE    SHARES/  SH/ PUT/  INVSTMT    OTHER     VOTING AUTHORITY
          NAME OF ISSUER           TITLE OF CLASS      CUSIP     (X1000)   PRN AMT  PRN CALL  DSCRETN   MANAGERS   SOLE  SHARED NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>        <C>      <C>         <C>       <C>       <C>   <C>        <C>    <C>
ACX TECHNOLOGIES                   COM               005123104        0           2  SH        DEFINED   3,4           2      -    -
ADVANTICA RESTAURANT GROUP         COM               00758B109   19,386   3,877,287  SH        DEFINED   2,3   3,877,287      -    -
ADVENT SOFTWARE INC                COM               007974108      416       8,314  SH        DEFINED   3,4       8,314      -    -
AFFILIATED COMPUTER                SB NT CV 4%05     008190AD2    5,296   4,220,000  PRN       DEFINED   1,3           -      -    -
AGNICO-EAGLE MINES LTD             COM               008474108    1,444     275,000  SH        DEFINED   2,3     275,000      -    -
AGRIUM INC                         COM               008916108       50       5,400  SH        DEFINED   3,4       5,400      -    -
ALLIANCE FOREST PRODUCTS           COM               01859J108       17       1,500  SH        DEFINED   3,4       1,500      -    -
ALLIN COMMUNICATIONS CORP          COM               019924109      850     340,000  SH        DEFINED   2,3     340,000      -    -
ALLTEL CORP                        COM               020039103   12,497     200,352  SH        DEFINED   2,3     200,352      -    -
ALPHARMA INC                       SB NT CV 5.75%05  020813AB7    6,095   4,060,000  PRN       DEFINED   1,3           -      -    -
ALT LIVING SVCS                    SB DB CV 5.25%02  02145KAB3    3,153   3,470,000  PRN       DEFINED   1,3           -      -    -
ALZA CORP CONV/CALL                SUB DB CONV 5%06  022615AD0    4,106   3,540,000  PRN       DEFINED   1,3           -      -    -
AMERICA WEST HOLDINGS              CL B              023657208      406      21,278  SH        DEFINED   1,3      21,278      -    -
AMERICAN BUSINESS FINL SVCS        COM               02476B106      292      23,850  SH        DEFINED   2,3      23,850      -    -
AMERICAN CAPITAL STRATEGIES        COM               024937104    2,783     162,500  SH        DEFINED   2,3     162,500      -    -
AMERICAN EXPRESS                   COM               025816109    3,525      30,000  SH        DEFINED   1,3      30,000      -    -
AMERICAN HOME PRODUCTS             COM               026609107    3,524      54,000  SH        DEFINED   1,3      54,000      -    -
AMERICAN INTL GROUP INC            COM               026874107      881       7,302  SH        DEFINED   2,3       7,302      -    -
AMR CORP                           COM               001765106    2,050      35,000  SH        DEFINED   2,3      35,000      -    -
ANHEUSER BUSCH CO                  COM               035229103    3,817      50,100  SH        DEFINED   1,3      50,100      -    -
ANTEC CORP                         SB NT CV 144A 03  03664PAA3    2,576   2,250,000  PRN       DEFINED   2,3           -      -    -
ANTEC CORP                         SUB NT CV 4.5%03  03664PAB1    5,313   5,000,000  PRN       DEFINED   1,3           -      -    -
APPLIED MATERIALS INC.             COM               038222105    6,823     110,600  SH        DEFINED   1,3     110,600      -    -
ARCHER DANIELS                     COM               039483102    5,526     376,265  SH        DEFINED   1,3     376,265      -    -
ARGUSS HOLDINGS INC                COM               040282105    2,004     124,750  SH        DEFINED   2,3     124,750      -    -
ASHANTI GOLDFIELDS-SPONS GDR       GLOB DEP RCPT     043743202    2,503     286,000  SH        DEFINED   2,3     286,000      -    -
ASPECT TELECOMMUNICATIONS          COM               045237104      130      19,656  SH        DEFINED   3,4      19,656      -    -
AT & T CORPORATION                 COM               001957109    3,096      38,785  SH        DEFINED   1,3      38,785      -    -
AUTOTOTE CORP-CLASS A              CL A              053323101    1,210     667,503  SH        DEFINED   2,3     667,503      -    -
BAKER HUGHES INC                   SR LYON ZERO 08   057224AH0    6,188   8,904,000  PRN       DEFINED   2,3           -      -    -
BANK UNITED CORP-CL A              CL A              065412108    2,861      70,000  SH        DEFINED   1,3      70,000      -    -
BARRICK GOLD CORP                  COM               067901108       25       1,500  SH        DEFINED   3,4       1,500      -    -
BAYCORP HOLDINGS LTD               COM               072728108    2,004     667,842  SH        DEFINED   1,3     667,842      -    -
BCE INC.                           COM               05534B109      115       2,600  SH        DEFINED   3,4       2,600      -    -
BUCKHEAD AMERICA CORP              COM               11835A105      116      21,579  SH        DEFINED   2,3      21,579      -    -
BUILDING ONE SERVICES CORP         COM               120114103    2,320     135,000  SH        DEFINED   2,3     135,000      -    -
CALIFORNIA COASTAL COMM INC        COM               129915104    2,920     449,158  SH        DEFINED   2,3     449,158      -    -
CANADIAN IMPERIAL BANK COMM        COM               136069101       92       3,600  SH        DEFINED   3,4       3,600      -    -
CANADIAN NATL RAILWAY CO           COM               136375102        6         112  SH        DEFINED   1,3         112      -    -
CANADIAN OCCIDENTAL PETE LTD       COM               136420106       27       2,200  SH        DEFINED   3,4       2,200      -    -
CARDINAL HEALTH INC.               COM               14149Y108    5,222      79,125  SH        DEFINED   1,3      79,125      -    -
CATELLUS DEVELOPMENT CORP          COM               149111106    1,441     107,724  SH        DEFINED   2,3     107,724      -    -
CENTRAL GARDEN                     SUB NT CONV 6%03  153527AC0    3,393   3,770,000  PRN       DEFINED   1,3           -      -    -
CHECKPOINT SYS                     SDBCV144A5.25%05  162825AA1    2,737   3,730,000  PRN       DEFINED   1,3           -      -    -
CISCO SYSTEMS INC                  COM               17275R102    9,044      82,550  SH        DEFINED   1,3      82,550      -    -
CITIGROUP INC                      COM               172967101    4,088      64,000  SH        DEFINED   1,3      64,000      -    -
CNA INCOME SHARES INC              COM               126119106    1,180     113,053  SH        DEFINED   2,3     113,053      -    -
CNA SURETY CORPORATION             COM               12612L108  335,317  27,096,347  SH        DEFINED   2,3  27,096,347      -    -
COCA COLA CO                       COM               191216100      417       6,800  SH        DEFINED   3,4       6,800      -    -
COLUMBIA HCA HEALTHCARE CORP       COM               197677107    2,178     115,000  SH        DEFINED   2,3     115,000      -    -
COMCAST CORP CL A SPL              CL A SPL          200300200    4,091      65,000  SH        DEFINED   1,3      65,000      -    -
COMMUNICATION INTELLIGENCE         COM               20338K106    1,453     750,000  SH        DEFINED   2,3     750,000      -    -
CONCORD EFS                        COM               206197105      890      32,294  SH        DEFINED   3,4      32,294      -    -
CONTL AIRLINES                     SB NT CV 6.75%06  210795AS9    4,080   3,200,000  PRN       DEFINED   1,3           -      -    -
COX COMMUNICATIONS INC-CL A        CL A              224044107      811      11,000  SH        DEFINED   3,4      11,000      -    -
CRESCENT REAL ESTATE EQT CO        COM               225756105    2,043      95,000  SH        DEFINED   2,3      95,000      -    -
CROWN RESOURCE CORP/COLO           COM               228569109      831     501,400  SH        DEFINED   2,3     501,400      -    -
CYANOTECH CORP NEW                 COM NEW           232437202      433     433,486  SH        DEFINED   3,4     433,486      -    -
DELL COMPUTER CORP                 COM               247025109    1,774      43,400  SH        DEFINED   3,4      43,400      -    -
DELPHI INFORMATION SYSTEMS         COM NEW           247171200    2,592     304,924  SH        DEFINED   3,4     304,924      -    -
DONALDSON LUFKIN & JENRETTE        COM               257661108    2,093      30,000  SH        DEFINED   2,3      30,000      -    -

</TABLE>

<PAGE>   4


<TABLE>
<CAPTION>

                                                                           FORM 13F INFORMATION TABLE
                                                                  VALUE    SHARES/  SH/ PUT/  INVSTMT    OTHER     VOTING AUTHORITY
          NAME OF ISSUER           TITLE OF CLASS      CUSIP     (X1000)   PRN AMT  PRN CALL  DSCRETN   MANAGERS   SOLE  SHARED NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>        <C>       <C>       <C> <C>   <C>        <C>   <C>       <C>    <C>
EAST-WEST BANCORP INC.             COM               27579R104    17,874  2,000,000  SH        DEFINED   2,3   2,000,000      -    -
EASTERN UTILITIES ASSOC.           COM               277173100     2,893    102,200  SH        DEFINED   2,3     102,200      -    -
ELAN CORP PLC -SPONS ADR           ADR               284131208     1,395     20,000  SH        DEFINED   1,3      20,000      -    -
EMC CORP                           SB NT CV 3.25%02  26865YAA2    14,175  2,500,000  PRN       DEFINED   2,3           -      -    -
EMC CORPORATION                    COM               268648102     7,026     55,000  SH        DEFINED   1,3      55,000      -    -
EMMIS COMMUNICATIONS CORPORATION   CL A              291525103     2,250     45,000  SH        DEFINED   1,3      45,000      -    -
ENGEL GENERAL DEVELOPERS           ORD               M40515104       240    120,000  SH        DEFINED   2,3     120,000      -    -
ENRON CORP                         COM               293561106     5,885     91,600  SH        DEFINED   1,3      91,600      -    -
EQUITABLE COMPANIES INC.           COM               29444G107     1,400     20,000  SH        DEFINED   2,3      20,000      -    -
EQUITABLE RESOURCES INC            COM               294549100     2,085     80,000  SH        DEFINED   2,3      80,000      -    -
EQUITY OFFICE PROPERTIES TRUST     PFD CV B 5.25%    294741509     3,409     87,000  SH        DEFINED   2,3           -      -    -
ESTEE LAUDER COMPANIES             CL A              518439104        47        500  SH        DEFINED   2,3         500      -    -
EXIGENT INTERNATIONAL INC          COM               302056106         1        125  SH        DEFINED   1,3         125      -    -
EXIGENT INTERNATIONAL INC-WT       WT EXP 013000     302056114         0        200  SH  CALL  DEFINED   1,3           -      -    -
FAMILY GOLF CTRS                   SB NT CV 5.75%04  30701AAC0     2,309  3,800,000  PRN       DEFINED   1,3           -      -    -
FIRST ALLIANCE CORP                COM               317936102       952    262,500  SH        DEFINED   2,3     262,500      -    -
FIRST DATA CORP                    COM               319963104     3,206     75,000  SH        DEFINED   1,3      75,000      -    -
FIRST UNION CORP                   COM               337358105     2,405     45,000  SH        DEFINED   1,3      45,000      -    -
FRED MEYER INC                     COM               592907109     5,599     95,100  SH        DEFINED   1,3      95,100      -    -
FRIEDMAN BILLINGS RAMSEY-A         CL A              358433100       669    100,000  SH        DEFINED   2,3     100,000      -    -
GENENTECH INC                      SUB DEB CV 5%02   368710AA7     4,813  4,040,000  PRN       DEFINED   2,3           -      -    -
GENERAL COMMUNICATION-CL A         CL A              369385109        36      7,913  SH        DEFINED   1,3       7,913      -    -
GENERAL ELECTRIC CO                COM               369604103     5,354     48,400  SH        DEFINED   1,3      48,400      -    -
GETCHELL GOLD CORP                 COM               374265106    10,713    409,097  SH        DEFINED   2,3     409,097      -    -
GILLETTE CO.                       COM               375766102     5,599     94,200  SH        DEFINED   1,3      94,200      -    -
GLAMIS GOLD LTD          SV        COM               376775102     2,074  1,508,640  SH        DEFINED   2,3   1,508,640      -    -
GLOBAL CROSSING LTD                COM               G3921A100 1,853,477 40,075,170  SH        DEFINED   2,3  40,075,170      -    -
GOLD STANDARD INC                  COM PAR $0.001    380724302        96     82,813  SH        DEFINED   2,3      82,813      -    -
GOLDCORP INC-CL A                  CL A SUB VTG      380956102     1,649    275,000  SH        DEFINED   2,3     275,000      -    -
GOLDEN STATE BANCORP               COM               381197102     2,850    128,100  SH        DEFINED   2,3     128,100      -    -
GREENPOINT FINANCIAL CORP          COM               395384100       139      4,000  SH        DEFINED   2,3       4,000      -    -
GREENSTONE RESOURCES               COM               39573W104       370  1,317,900  SH        DEFINED   2,3   1,317,900      -    -
HAYES LEMMERZ INTL INC COM         COM               420781106     6,686    284,500  SH        DEFINED   2,3     284,500      -    -
HEALTHSOUTH CORP.                  COM               421924101     2,552    246,000  SH        DEFINED   2,3     246,000      -    -
HEWLET-PACKARD                     SB LYON ZERO 17   428236AC7    32,144 57,400,000  PRN       DEFINED   2,3           -      -    -
HEWLETT-PACK FIN                   SBLYON144AZERO    428236AA1     8,334 15,000,000  PRN       DEFINED   2,3           -      -    -
HOME DEPOT                         COM               437076102     2,291     36,800  SH        DEFINED   3,4      36,800      -    -
HOMESTAKE MINING CO                COM               437614100     1,567    181,639  SH        DEFINED   2,3     181,639      -    -
HORIZON GROUP PROPERTIES INC       COM               44041U102         3        630  SH        DEFINED   2,3         630      -    -
HYPERION SOLUTIONS CORP            COM               44914M104        84      5,816  SH        DEFINED   3,4       5,816      -    -
HYPERION TELECOMM INC-CL A         CL A              44914K306     1,163     95,882  SH        DEFINED   2,3      95,882      -    -
ILLINOIS TOOL WORKS INC            COM               452308109     3,515     56,800  SH        DEFINED   1,3      56,800      -    -
IMPERIAL CREDIT COMMERCIAL         COM               45272T102     1,444    150,000  SH        DEFINED   2,3     150,000      -    -
IMPERIAL OIL LTD-CO. PERTOLINE     COM NEW           453038408        63      3,300  SH        DEFINED   3,4       3,300      -    -
INCO LTD                           COM               453258402        17      1,300  SH        DEFINED   3,4       1,300      -    -
INHALE THERAPEUTIC SYS INC         COM               457191104       351     12,934  SH        DEFINED   3,4      12,934      -    -
INTEL CORP                         COM               458140100     4,363     36,700  SH        DEFINED   3,4      36,700      -    -
INTERMEDIA COMMUNICATIONS          COM               458801107     2,130     80,000  SH        DEFINED   1,3      80,000      -    -
INTERNATIONAL BUSINESS MACHINE     COM               459200101    10,086     56,900  SH        DEFINED   2,3      56,900      -    -
JPS TEXTILE GROUP INC              COM               46624E405     2,358    419,243  SH        DEFINED   2,3     419,243      -    -
KANSAS CITY SOUTHERN INDS          COM               485170104     1,659     29,100  SH        DEFINED   3,4      29,100      -    -
KELLEY OIL & GAS                   PFD CONV EXCH     487906208       639    127,721  SH        DEFINED   2,3           -      -    -
KEMPER INTERMEDIATE GOVT TRUST     SH BEN TRUST      488413105     1,095    149,800  SH        DEFINED   2,3           -      -    -
KEYSPAN ENERGY                     COM               49337K106     8,212    326,860  SH        DEFINED   2,3     326,860      -    -
KEYSTONE FINANCIAL INC             COM               493482103        33      1,013  SH        DEFINED   3,4       1,013      -    -
KROGER COMPANY                     COM               501044101     2,994     50,000  SH        DEFINED   1,3      50,000      -    -
L-3 COMMUNICATIONS CORP            COM               502424104     2,484     53,700  SH        DEFINED   1,3      53,700      -    -
LAIDLAW INC                        COM               50730K503        17      3,000  SH        DEFINED   3,4       3,000      -    -
LASALLE RE HOLDINGS                ORD               G5383Q101    24,231  1,425,354  SH        DEFINED   2,3   1,425,354      -    -
LEGATO SYSTEMS INC                 COM               524651106     1,563     30,280  SH        DEFINED   3,4      30,280      -    -
LILLY (ELI) & CO.                  COM               532457108     1,511     17,800  SH        DEFINED   1,3      17,800      -    -

</TABLE>

<PAGE>   5


<TABLE>
<CAPTION>

                                                                           FORM 13F INFORMATION TABLE
                                                                  VALUE    SHARES/  SH/ PUT/  INVSTMT    OTHER     VOTING AUTHORITY
          NAME OF ISSUER           TITLE OF CLASS      CUSIP     (X1000)   PRN AMT  PRN CALL  DSCRETN   MANAGERS   SOLE  SHARED NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>         <C>       <C>      <C> <C>  <C>        <C>      <C>      <C>   <C>
LORAL SPACE & COMMUNICATIONS       COM               G56462107      2,837   196,500 SH       DEFINED     1,3      196,500     -    -
LOWES CO INC                       COM               548661107      3,025    50,000 SH       DEFINED     1,3       50,000     -    -
LUCENT TECHNOLOGIES                COM               549463107        767     7,100 SH       DEFINED     3,4        7,100     -    -
MACMILLAN BLOEDEL LTD.             COM               554783209         11     1,000 SH       DEFINED     3,4        1,000     -    -
MAGNA INT'L INC                    SUB DEB CV 5%02   559222AE4        398   360,000 PRN      DEFINED     1,3            -     -    -
MCI WORLDCOM INC.                  COM               55268B106      7,528    85,000 SH       DEFINED     1,3       85,000     -    -
MEDIAONE GROUP                     PFD CV SER D      58440J203        141     1,095 SH       DEFINED     3,4            -     -    -
MEDIAONE GROUP, INC                COM               58440J104     43,540   686,349 SH       DEFINED     2,3      686,349     -    -
MEDTRONIC INC                      COM               585055106      4,305    60,000 SH       DEFINED     1,3       60,000     -    -
MERIDIAN GOLD INC                  COM               589975101      1,528   265,000 SH       DEFINED     2,3      265,000     -    -
MERRILL LYNCH & CO INC             COM               590188108        850     9,600 SH       DEFINED     3,4        9,600     -    -
METAMOR WORLDWIDE INC.             SB NT CV 2.94%04  59133PAA8        756 1,161,000 PRN      DEFINED     2,3            -     -    -
MICROCELL TELECOMMUNICATIONS       CL B NON VTG      59501T304      1,179   144,037 SH       DEFINED     2,3            -     -    -
MICROSOFT CORP                     COM               594918104      3,800    42,400 SH       DEFINED     3,4       42,400     -    -
MIRAGE RESORTS INC                 COM               60462E104      1,466    69,000 SH       DEFINED     3,4       69,000     -    -
MIRAMAR MINING CORP.       SV      COM               60466E100      2,008 2,677,700 SH       DEFINED     2,3    2,677,700     -    -
MMI COMPANIES                      COM               553087107        356    23,170 SH       DEFINED     3,4       23,170     -    -
MOLEX - CLASS A NON-VOTING         CL A              608554200      3,648   140,995 SH       DEFINED     1,3      140,995     -    -
MONSANTO CO                        COM               611662107      3,836    83,500 SH       DEFINED     1,3       83,500     -    -
MORGAN STANLEY ASIA-PACIF FD       COM               61744U106      1,519   189,900 SH       DEFINED     2,3      189,900     -    -
MORGAN STANLEY INDIA INVT FD       COM               61745C105      1,163   127,400 SH       DEFINED     2,3      127,400     -    -
MORRISON KNUDSEN CORP-WTS          WT EXP 031103     61844A117          0        35 SH  CALL DEFINED     3,4            -     -    -
MOTOROLA INC                       COM               620076109      3,223    44,000 SH       DEFINED     1,3       44,000     -    -
NABORS INDUSTRIES INC CONV/CALL SUBSUB NT CONV 5%06  629568AA4      3,807 3,380,000 PRN      DEFINED     1,3            -     -    -
NATL AUSTRALIABK                   CAPS UTS EXCHBL   632525309      7,750   247,500 SH       DEFINED     2,3      247,500     -    -
NATL DATA CORP                     SUB NT CONV 5%03  635621AA3      4,993 4,750,000 PRN      DEFINED     1,3            -     -    -
NATL SEMICONDUCT                   SBNTCV144A6.5%02  637640AA1      1,406 1,715,000 PRN      DEFINED     2,3            -     -    -
NETOPIA INC                        COM               64114K104        130    15,957 SH       DEFINED     3,4       15,957     -    -
NEXTEL COMMNS, INC CL A            CL A              65332V103        207     5,661 SH       DEFINED     1,3        5,661     -    -
NORTH FORK BANCORPORATION          COM               659424105        377    17,850 SH       DEFINED     2,3       17,850     -    -
NOVA CHEMICALS CORP.               COM               66977W109         12       718 SH       DEFINED     3,4          718     -    -
OAK INDS-CALLED                    SB NT CV 144A 07  671400AJ8      4,274 4,200,000 PRN      DEFINED     1,3            -     -    -
OAK INDUSTRIES                     SB NT CV4.875%08  671400AL3      1,730 1,700,000 PRN      DEFINED     1,3            -     -    -
OMNICARE INC                       SUB DEB CV 5%06   681904AD0      3,175 3,920,000 PRN      DEFINED     1,3            -     -    -
ON COMMAND CORPORATION             COM               682160106      3,216   352,480 SH       DEFINED     2,3      352,480     -    -
ON COMMAND CORPORATION- CLASS B WT WT B EX 100703    682160122        308   123,130 SH  CALL DEFINED     2,3            -     -    -
ORBITAL SCIENCES                   SB NT CV 5%02     685564AC0      1,478 1,250,000 PRN      DEFINED     1,3            -     -    -
OWENS-ILL INC                      PFD CONV $.01     690768502      3,596    98,700 SH       DEFINED     2,3            -     -    -
OWENS-ILLINOIS INC                 COM NEW           690768403      7,250   290,000 SH       DEFINED     2,3      290,000     -    -
PAYCHEX INC                        COM               704326107        688    14,500 SH       DEFINED     3,4       14,500     -    -
PEPSICO INCORPORATED               COM               713448108      4,076   104,000 SH       DEFINED     1,3      104,000     -    -
PERSONNEL GROUP                    SB NT CV 5.75%04  715338AE9      2,447 3,290,000 PRN      DEFINED     1,3            -     -    -
PETSMART INC                       SB NT CV 144A 04  716768AA4      3,185 2,850,000 PRN      DEFINED     1,3            -     -    -
PETSMART INC                       SB NT CV 6.75%04  716768AB2      1,944 1,740,000 PRN      DEFINED     1,3            -     -    -
PFIZER INC                         COM               717081103      8,159    58,800 SH       DEFINED     1,3       58,800     -    -
PIER 1 IMPORTS                     SB NT CV 5.75%03  720279AF5      5,113 4,500,000 PRN      DEFINED     1,3            -     -    -
PLACER DOME INC                    COM               725906101         18     1,600 SH       DEFINED     3,4        1,600     -    -
PLATINUM TECH                      SB NT CV 6.75%01  72764TAA9      3,418 1,850,000 PRN      DEFINED     1,3            -     -    -
POLICY MANAGEMENT SYSTEMS COEP     COM               731108106     46,520 1,519,024 SH       DEFINED     2,3    1,519,024     -    -
POTASH CORP OF SASKATCHEWAN        COM               73755L107        910    17,000 SH       DEFINED     2,3       17,000     -    -
POTOMAC ELECTRIC POWER             COM               737679100     14,886   642,000 SH       DEFINED     2,3      642,000     -    -
PRICE (T. ROWE) ASSOCIATES         COM               741477103        804    23,400 SH       DEFINED     3,4       23,400     -    -
PRIME HOSPITALITY CORP             COM               741917108         63     6,375 SH       DEFINED     2,3        6,375     -    -
PRIME RETAIL INC                   COM               741570105        110    12,600 SH       DEFINED     2,3       12,600     -    -
PROCTER & GAMBLE CO                COM               742718109      6,082    62,100 SH       DEFINED     1,3       62,100     -    -
PROGRESSIVE CORP                   COM               743315103      1,306     9,100 SH       DEFINED     3,4        9,100     -    -
QUINTILES TRANS                    SB NT CV 4.25%00  748767AC4      5,438 5,100,000 PRN      DEFINED     1,3            -     -    -
RAYTHEON CO. COM                   CL B              755111408      3,224    55,000 SH       DEFINED     1,3       55,000     -    -
REYNOLDS METALS CO                 COM               761763101      5,556   115,000 SH       DEFINED     2,3      115,000     -    -
ROBERT HALF INTL INC               COM               770323103        932    28,400 SH       DEFINED     3,4       28,400     -    -
SAFEWAY INC                        COM NEW           786514208      5,224   101,800 SH       DEFINED     3,4      101,800     -    -

</TABLE>

<PAGE>   6

<TABLE>
<CAPTION>

                                                                           FORM 13F INFORMATION TABLE
                                                                  VALUE    SHARES/  SH/ PUT/  INVSTMT    OTHER     VOTING AUTHORITY
          NAME OF ISSUER           TITLE OF CLASS      CUSIP     (X1000)   PRN AMT  PRN CALL  DSCRETN   MANAGERS   SOLE  SHARED NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>               <C>        <C>       <C>       <C>      <C>         <C>    <C>      <C>    <C>
SANTA FE INTERNATIONAL CORP        ORD               G7805C108   2,149      115,000 SH       DEFINED     1,3      115,000     -    -
SCHERING PLOUGH                    COM               806605101   7,467      135,000 SH       DEFINED     1,3      135,000     -    -
SCHLUMBERGER LIMITED               COM               806857108   4,129       68,600 SH       DEFINED     1,3       68,600     -    -
SCHWAB(CHARLES) CORP               COM               808513105   1,846       19,200 SH       DEFINED     3,4       19,200     -    -
SEMPRA ENERGY                      COM               816851109   5,372      280,000 SH       DEFINED     2,3      280,000     -    -
SEPRACOR INC                       SB DB CV144A7%06  817315AF1   6,071    5,200,000 PRN      DEFINED     1,3            -     -    -
SODEXHO MARRIOTT SERVICES          COM               833793102     677       30,700 SH       DEFINED     3,4       30,700     -    -
SPRINT CORP                        COM FON GROUP     852061100   4,507       45,928 SH       DEFINED     1,3       45,928     -    -
SPRINT CORP (PCS GROUP)            PCS COM SER 2     852061506      32          714 SH       DEFINED     3,4          714     -    -
STILLWATER MINING COMPANY          COM               86074Q102      71        2,700 SH       DEFINED     2,3        2,700     -    -
STILLWATER MINING COMPANY          SBNTCV 144A 7%03  86074QAA0     373      250,000 PRN      DEFINED     1,3            -     -    -
STORAGE TECHNOLOGY /NEW/COM        COM PAR $0.10     862111200      77        2,754 SH       DEFINED     1,3        2,754     -    -
SUN MICROSYSTEMS INC               COM               866810104   2,751       22,000 SH       DEFINED     1,3       22,000     -    -
SUNBEAM CORP                       SRSDCV ZRO144A1   867071AA0  10,858   101,000,00 PRN      DEFINED     2,3            -     -    -
SUNRISE ASSISTED                   SUB NT CV 5.5%02  86768KAC0   6,196    4,650,000 PRN      DEFINED     1,3            -     -    -
SYLVAN INC                         COM               871371100      39        3,925 SH       DEFINED     1,3        3,925     -    -
TANDY CORP                         COM               875382103   2,233       35,000 SH       DEFINED     1,3       35,000     -    -
TECNOMATIX TECHNOLOGIES LTD        ORD               M8743P105      13        1,000 SH       DEFINED     2,3        1,000     -    -
TEEKAY SHIPPING CORP               COM               V89564104   4,295      260,300 SH       DEFINED     2,3      260,300     -    -
TELLABS INC                        COM               879664100   3,226       33,000 SH       DEFINED     1,3       33,000     -    -
TEXACO INC                         COM               881694103   9,080      160,000 SH       DEFINED     1,3      160,000     -    -
TEXAS INSTRUMENTS INCORPORATED     COM               882508104   3,722       37,500 SH       DEFINED     1,3       37,500     -    -
TEXAS MICRO INC.                   COM               88255T103     463      121,495 SH       DEFINED     3,4      121,495     -    -
THOUSAND TRAILS, INC               COM               885502104     699      159,660 SH       DEFINED     2,3      159,660     -    -
TIME WARNER INC                    COM               887315109   1,834       25,900 SH       DEFINED     3,4       25,900     -    -
TORONTO DOMINION BK NEW CDN$       COM NEW           891160509     119        2,600 SH       DEFINED     3,4        2,600     -    -
TOSCO CORP                         COM NEW           891490302     504       20,307 SH       DEFINED     1,3       20,307     -    -
TOWER AUTOMOTIVE                   SB NT CV 5%04     891707AE1   3,770    4,000,000 PRN      DEFINED     1,3            -     -    -
TRANSCANADA PIPELINES LTD.         COM               893526103      46        3,592 SH       DEFINED     3,4        3,592     -    -
TRANSWITCH CORP                    COM               894065101   2,183       48,243 SH       DEFINED     3,4       48,243     -    -
TRIBUNE CO NEW                     COM               896047107   7,002      107,000 SH       DEFINED     2,3      107,000     -    -
TRW INC                            COM               872649108   1,251       27,500 SH       DEFINED     2,3       27,500     -    -
TYCO INTERNATIONAL LTD             COM               902124106   3,301       46,000 SH       DEFINED     1,3       46,000     -    -
UGLY DUCKLING CORP                 COM               903512101     277       50,000 SH       DEFINED     2,3       50,000     -    -
UNIGENE LABORATORIES INC           COM               904753100   1,936    2,000,000 SH       DEFINED     2,3    2,000,000     -    -
UNITED TECHNOLOGIES CORP.          COM               913017109   3,142       23,200 SH       DEFINED     1,3       23,200     -    -
UNOCAL CORP                        COM               915289102   6,014      163,100 SH       DEFINED     2,3      163,100     -    -
US AIR GROUP INC                   COM               911905107     608       12,462 SH       DEFINED     2,3       12,462     -    -
US WEST INC                        COM               91273H101      16          293 SH       DEFINED     3,4          293     -    -
WANG LABORATORIES INC              COM               93369N109     245       12,504 SH       DEFINED     1,3       12,504     -    -
WARNER LAMBERT CO                  COM               934488107     855       12,900 SH       DEFINED     3,4       12,900     -    -
WASTE MANAGEMENT INC               SUB NT CONV 4%02  94106LAA7   4,967    4,300,000 PRN      DEFINED     2,3            -     -    -
WASTE MANAGEMENT INC               COM               94106L109  18,859      425,000 SH       DEFINED     1,3      425,000     -    -
WAVEPHORE INC                      COM               943567107     179       22,241 SH       DEFINED     2,3       22,241     -    -
WELLS FARGO COMPANY                COM               949746101   3,156       90,000 SH       DEFINED     1,3       90,000     -    -
WILLIAMS COS INC                   COM               969457100      91        2,312 SH       DEFINED     3,4        2,312     -    -
WILLIAMS-SONOMA INC                COM               969904101     141        5,000 SH       DEFINED     1,3        5,000     -    -
WIND RIVER SYSTEM                  SUB NT CONV 5%02  973149AC1   4,045    4,610,000 PRN      DEFINED     1,3            -     -    -
XTRA CORP                          COM               984138107     616       16,089 SH       DEFINED     1,3       16,089     -    -
ZAMBA CORPORATION                  COM               988881108      83       37,560 SH       DEFINED     3,4       37,560     -    -

</TABLE>




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