HOLMAN JOHN W JR
13F-HR, 2000-02-09
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                       UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C.  20549

                                  FORM 13F

                            FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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:     JOHN W. HOLMAN, JR.
Address:

13 File Number:

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
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:      JOHN W. HOLMAN, JR.
Title:
Phone:
Signature, Place and Date of Signing:

    JOHN W. HOLMAN, JR.  February  4, 2000


Report Type (Check only one.):
[ X]        13F HOLDINGS REPORT.
[  ]        13F NOTICE.
[  ]        13F COMBINATION REPORT.


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934
<PAGE>
                           FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:         1

Form 13F Information Table Entry Total:    56

Form 13F Information Table Value Total:    245556

List of Other Included Managers:

 No.  13F File Number     Name

 01                       JOHN W. HOLMAN, III


<PAGE>
<TABLE>                          <C>                                            <C>
                                                                FORM 13F INFORMATION TABLE
                                                              VALUE   SHARES/ SH/ PUT/ INVSTMT   OTHER        VOTING AUTHORITY
           NAME OF ISSUER        TITLE OF CLASS     CUSIP   x($1000) PRN AMT  PRN CALL DISCRETN MANAGERS   SOLE    SHARED    NONE
  ------------------------------ ---------------- --------- -------- -------- --- ---- -------- --------- -------- -------- --------
D A T & T CORP COM               COMMON STOCK     001957109     2921    57505 SH       OTHER    01               0    57505        0
D ADOBE SYS INC COM              COMMON STOCK     00724F101    10760   160000 SH       OTHER    01               0   160000        0
D AMER INTL GROUP INC COM        COMMON STOCK     026874107     5217    48250 SH       OTHER    01               0    48250        0
D AMERICA ONLINE INC COM STK     COMMON STOCK     02364J104     5690    75000 SH       OTHER    01               0    75000        0
D AMGEN INC USD.0001 COM         COMMON STOCK     031162100    55915   930960 SH       OTHER    01               0   930960        0
D APPLE COMPUTER INC COM         COMMON STOCK     037833100     3557    34600 SH       OTHER    01               0    34600        0
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208     5681   100000 SH       OTHER    01               0   100000        0
D BED BATH AND BEYOND COM        COMMON STOCK     075896100     2298    66155 SH       OTHER    01               0    66155        0
D BIOGEN INC                     COMMON STOCK     090597105    17069   202000 SH       OTHER    01               0   202000        0
D CBS CORPORATION COM            COMMON STOCK     12490K107     3836    60000 SH       OTHER    01               0    60000        0
D CERNER CORP COM                COMMON STOCK     156782104     1476    75000 SH       OTHER    01               0    75000        0
D CIRRUS LOGIC INC COM           COMMON STOCK     172755100     1065    80000 SH       OTHER    01               0    80000        0
D CITIGROUP INC COM STK          COMMON STOCK     172967101     5597   100518 SH       OTHER    01               0   100518        0
D CLEAR CHANNEL COMMUNICATIONS I COMMON STOCK     184502102     3570    40000 SH       OTHER    01               0    40000        0
D COMCAST CORP CL A SPECIAL      COMMON STOCK     200300200     2528    50000 SH       OTHER    01               0    50000        0
D COMPAQ COMPUTER CORP COM       COMMON STOCK     204493100     9463   349690 SH       OTHER    01               0   349690        0
D COVAD COMMUNICATIONS GROUP COM COMMON STOCK     222814204     1230    22000 SH       OTHER    01               0    22000        0
D CRESTLINE CAPITAL CORP COM     COMMON STOCK     226153104      433    21000 SH       OTHER    01               0    21000        0
D CYPRESS SEMICONDUCTOR CORP     COMMON STOCK     232806109     6258   193300 SH       OTHER    01               0   193300        0
D DUKE ENERGY CORP COM           COMMON STOCK     264399106     3291    65671 SH       OTHER    01               0    65671        0
D ECHOSTAR COMMUNICATIONS CORP   COMMON STOCK     278762109     5850    60000 SH       OTHER    01               0    60000        0
D ELECTRONIC ARTS COM            COMMON STOCK     285512109     1680    20000 SH       OTHER    01               0    20000        0
D GLOBALSTAR TELECOMMUNICATIONS  COMMON STOCK     G3930H104     4400   100000 SH       OTHER    01               0   100000        0
D GLOBALSTAR TELECOMMUNICATIONS  OPTIONS - CALLS  G3930H0FD      440    10000 SH  CALL OTHER    01               0    10000        0
D HNC SOFTWARE INC COM           COMMON STOCK     40425P107     1216    11500 SH       OTHER    01               0    11500        0
D HOME DEPOT INC COM             COMMON STOCK     437076102     3093    45000 SH       OTHER    01               0    45000        0
D HOST MARRIOT CORP COM STK      COMMON STOCK     44107P104     1289   156270 SH       OTHER    01               0   156270        0
D INDIGO NV NLG.04 ORD S (USD)   COMMON STOCK     N44495104       53    16750 SH       OTHER    01               0    16750        0
D KOMAG INC COM                  COMMON STOCK     500453105      250    80000 SH       OTHER    01               0    80000        0
D MILLENNIUM PHARMACEUTICALS INC COMMON STOCK     599902103     1220    10000 SH       OTHER    01               0    10000        0
D MISSION CRITICAL SOF TWARE COM COMMON STOCK     605047109     1232    17600 SH       OTHER    01               0    17600        0
D MORGAN STANLEY DEAN WITTER & C COMMON STOCK     617446448     6898    48328 SH       OTHER    01               0    48328        0
D NEXT LEVEL COMM INC.           COMMON STOCK     65333U104     1871    25000 SH       OTHER    01               0    25000        0
D NOKIA CORP ADS SHRS EACH       ADRS STOCKS      654902204     2865    15000 SH       OTHER    01               0    15000        0
D NORTEL NETWORKS CORP NPV COM   COMMON STOCK     656569100    28942   286556 SH       OTHER    01               0   286556        0
D PACKAGED ICE INC COM           COMMON STOCK     695148106      585   180000 SH       OTHER    01               0   180000        0
D PAIRGAIN TECHNOLOGIES INC      COMMON STOCK     695934109      227    16000 SH       OTHER    01               0    16000        0
D PHYCOR INC USD COM NPV         COMMON STOCK     71940F100      243   130000 SH       OTHER    01               0   130000        0
D PINNACLE HOLDINGS INC COM      COMMON STOCK     72346N101     1695    40000 SH       OTHER    01               0    40000        0
D SIEBEL SYS INC COM             COMMON STOCK     826170102     3360    40000 SH       OTHER    01               0    40000        0
D SILICON GRAPHICS INC  COM      COMMON STOCK     827056102      203    21000 SH       OTHER    01               0    21000        0
D SYBASE INC COM                 COMMON STOCK     871130100      453    26700 SH       OTHER    01               0    26700        0
D SYNOPSYS COM                   COMMON STOCK     871607107     1755    26300 SH       OTHER    01               0    26300        0
D TANDY CORP USD1 COM            COMMON STOCK     875382103     2656    54000 SH       OTHER    01               0    54000        0
D TELEFONOS DE MEXICO SA TELMEX  ADRS STOCKS      879403780     2250    20000 SH       OTHER    01               0    20000        0
D TODD AO CORP CL-A COM          COMMON STOCK     888896107     1220    40000 SH       OTHER    01               0    40000        0
D UNITEDGLOBALCOM INC CL-A COM   COMMON STOCK     913247508     1567    22200 SH       OTHER    01               0    22200        0
D VALUEVISION INTL INC COM       COMMON STOCK     92047K107     1289    22500 SH       OTHER    01               0    22500        0
D VINTAGE PETROLEUM INC COM      COMMON STOCK     927460105      723    60000 SH       OTHER    01               0    60000        0
D VISX INC (DELAWARE)  USD.01 CO COMMON STOCK     92844S105     1785    34500 SH       OTHER    01               0    34500        0
D VISX INC (DELAWARE)  USD.01 CO OPTIONS - PUTS   92844S0MK     2728    34500 SH  PUT  OTHER    01               0    34500        0
D WESTWOOD ONE INC COM           COMMON STOCK     961815107     3420    45000 SH       OTHER    01               0    45000        0
D WHITE MOUNTAINS INSURANCE GROU COMMON STOCK     G9618E107     3253    27000 SH       OTHER    01               0    27000        0
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107     1505    20000 SH       OTHER    01               0    20000        0
D XL CAPITAL LTD CL-A COM STK    COMMON STOCK     G98255105     3322    64050 SH       OTHER    01               0    64050        0
D YAHOO INC COM                  COMMON STOCK     984332106     2163     5000 SH       OTHER    01               0     5000        0
S REPORT SUMMARY                 56 DATA RECORDS              245556        1 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>


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