UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549
FORM 13F
FORM 13F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER END: JUNE 30 1999
CHECK HERE IF AMENDMENT {X}; AMENDMENT NUMBER: 2
THIS AMENDMENT (CHECK ONLY ONE); { } IS A RESTATEMENT
{X} ADDS NEW ENDINGS ENTRIES
INSTITUTIONAL INVENSTMENT MANAGER FILING THIS REPORT
NAME: J.P. MORGAN & CO. INCORPORATED
ADDRESS: 60, WALL STREET
NEW YORK, NY 10260
13F FILE NUMBER: 28-490
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 HERIN 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.
THE PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:
NAME: JAMES C.P. BERRY
TITLE: VICE PRESIDENT
PHONE: (212)648-3380
SIGNATURE, PLACE, AND DATE OF SIGNING:
JAMES C.P. BERRY NEW YORK, NEW YORK JUNE 30 1999
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: 11
FORM 13F INFORMATION TABLE ENTRY TOTAL: 264
FORM 13F INFORMATION TABLE VALUE TOTAL: 3,635,514
LIST OF OTHER INCLUDED-MANAGERS:
NO. 13F FILE NUMBER NAME
01 28-707 MORGAN GUARANTY TRUST CO. OF NEW YORK
02 28-1482 J.P. MORGAN INVESTMENT MANAGEMENT INC
03 28-1820 MARY L.F. WILEY
04 28-1818 THOMAS S. KENAN III
05 28-3387 J. P. MORGAN FSB
06 28-3389 J. P. MORGAN VENTURES CORPORATION
09 ROBERT J. MURTAGH
16 J. P. MORGAN SECURITIES, INC.
17 J. P. MORGAN WHITEFRIARS, INC.
18 J. P. MORGAN GT CORPORATION
19 J. P. MORGAN CAPITAL CORPORATION
<PAGE>
<TABLE>
<C> <C>
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 1
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D TOTAL FINA S A COMMON F9212D142 104 4500 SH DEFINED 16 4500 0 0
D TOTAL FINA S A COMMON F9212D142 3519 153000 SH DEFINED 17 153000 0 0
D TRANSOCEAN OFFSHORE INC CAYM COMMON G90076103 1284 48900 SH DEFINED 16 48900 0 0
D TRANSOCEAN OFFSHORE INC CAYM COMMON G90076103 837 31900 SH DEFINED 17 31900 0 0
D TRANSOCEAN OFFSHORE INC CAYM COMMON G90076103 18 700 SH DEFINED 01 700 0 0
D ABOUT COM INC COMMON 003736105 399 7700 SH DEFINED 01 7700 0 0
D ABOUT COM INC COMMON 003736105 929 17900 SH DEFINED 02 13300 0 4600
D ACCREDO HEALTH INC COMMON 00437V104 7 200 SH DEFINED 05 0 0 200
D ACCREDO HEALTH INC COMMON 00437V104 693 21175 SH DEFINED 01 14850 0 6325
D ACCREDO HEALTH INC COMMON 00437V104 10 300 SH DEFINED 02 0 0 300
D ADELPHIA COMMUNICATIONS CORP PREFERRED 006848402 10050 50000 SH DEFINED 02
D ALLIANT CORP COMMON 018802108 655 23100 SH DEFINED 01 23100 0 0
D ALLIANT CORP COMMON 018802108 85 3000 SH DEFINED 02 300 0 2700
D ALLOY ONLINE INC COMMON 019855105 5 450 SH DEFINED 05 0 0 450
D ALLOY ONLINE INC COMMON 019855105 793 69350 SH DEFINED 01 58775 0 10575
D ALLOY ONLINE INC COMMON 019855105 938 82050 SH DEFINED 02 61500 0 20550
D ALTERRA HEALTHCARE CORP COMMON 02146C104 5145 374190 SH DEFINED 01 374190 0 0
D ALTERRA HEALTHCARE CORP COMMON 02146C104 10625 772709 SH DEFINED 02 579699 0 193010
D AMERICAN EAGLE OUTFITTERS NE COMMON 02553E106 425 9334 SH DEFINED 16 9334 0 0
D AMERICAN EAGLE OUTFITTERS NE COMMON 02553E106 246 5400 SH DEFINED 01 5400 0 0
D AMERICAN EAGLE OUTFITTERS NE COMMON 02553E106 446 9800 SH DEFINED 02 800 0 9000
D AT HOME PREF-CONV 045919AA5 0 5275000 SH DEFINED 16
D ASTRAZENECA PLC COMMON 046353108 86 2183 SH DEFINED 01 872 0 1311
D ASTRAZENECA PLC COMMON 046353108 53 1344 SH OTHER 05 0 1344 0
D ASTRAZENECA PLC COMMON 046353108 376 9597 SH OTHER 01 0 9597 0
D BANK OF AMERICA CORP COMMON 060505104 10794 147235 SH DEFINED 05 73590 0 73645
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 2
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D BANK OF AMERICA CORP COMMON 060505104 293 4000 SH DEFINED 16 4000 0 0
D BANK OF AMERICA CORP COMMON 060505104 139931 1908675 SH DEFINED 17 1908675 0 0
D BANK OF AMERICA CORP COMMON 060505104 561782 7662783 SH DEFINED 01 4568643 0 3094140
D BANK OF AMERICA CORP COMMON 060505104 1422773 19406833 SH DEFINED 02 14590018 0 4816815
D BANK OF AMERICA CORP COMMON 060505104 1051 14342 SH OTHER 05 5000 9342 0
D BANK OF AMERICA CORP COMMON 060505104 5518 75269 SH OTHER 09 75269 0 0
D BANK OF AMERICA CORP COMMON 060505104 50384 687247 SH OTHER 01 225305 461942 0
D BANK OF AMERICA CORP COMMON 060505104 4927 67210 SH OTHER 0304 67210 0 0
D BARNESANDNOBLE COM INC COMMON 067846105 153 8500 SH DEFINED 06 8500 0 0
D BARNESANDNOBLE COM INC COMMON 067846105 619 34400 SH DEFINED 01 34400 0 0
D BARNESANDNOBLE COM INC COMMON 067846105 1588 88200 SH DEFINED 02 67400 0 20800
D BEA SYSTEMS INC BOND 073325AB8 2860 4000000 PRN DEFINED 02
D BROCADE COMMUNICATIONS SYS I COMMON 111621108 10 100 SH DEFINED 05 0 0 100
D BROCADE COMMUNICATIONS SYS I COMMON 111621108 1140 11825 SH DEFINED 01 9300 0 2525
D BROCADE COMMUNICATIONS SYS I COMMON 111621108 904 9375 SH DEFINED 02 7100 0 2275
D BROWN & BROWN INC COMMON 115236101 148 3900 SH DEFINED 01 3900 0 0
D BROWN & BROWN INC COMMON 115236101 160 4200 SH DEFINED 02 0 0 4200
D CAIS INTERNET INC COMMON 12476Q102 17 900 SH DEFINED 05 0 0 900
D CAIS INTERNET INC COMMON 12476Q102 1850 100700 SH DEFINED 01 75750 0 24950
D CAIS INTERNET INC COMMON 12476Q102 684 37250 SH DEFINED 02 27500 0 9750
D CDNOW N2K INC COMMON 125086108 185 10500 SH DEFINED 01 10500 0 0
D CAPITAL ENVIRONMENTAL RESOUR COMMON 14008M104 2175 150000 SH DEFINED 01 0 0 150000
D CAREERBUILDER INC COMMON 141684100 1313 100000 SH DEFINED 01 0 0 100000
D CAREINSITE INC COMMON 14170M106 21 450 SH DEFINED 05 0 0 450
D CAREINSITE INC COMMON 14170M106 2665 56400 SH DEFINED 01 45250 0 11150
D CAREINSITE INC COMMON 14170M106 2091 44250 SH DEFINED 02 33300 0 10950
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 3
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D CENTURYTEL INC COMMON 156700106 107 2700 SH DEFINED 17 2700 0 0
D CENTURYTEL INC COMMON 156700106 402 10125 SH DEFINED 01 10125 0 0
D CENTURYTEL INC COMMON 156700106 882 22200 SH DEFINED 02 0 0 22200
D CONSOL ENERGY INC COMMON 20854P109 11525 960440 SH DEFINED 16 960440 0 0
D CONSTELLATION ENERGY CORP COMMON 210371100 86 2900 SH DEFINED 17 2900 0 0
D CONSTELLATION ENERGY CORP COMMON 210371100 13257 447509 SH DEFINED 01 314611 0 132898
D CONSTELLATION ENERGY CORP COMMON 210371100 23860 805400 SH DEFINED 02 530500 0 274900
D CONSTELLATION ENERGY CORP COMMON 210371100 948 32000 SH OTHER 01 3200 28800 0
D CONSTELLATION ENERGY CORP COMMON 210371100 1778 60000 SH OTHER 0304 60000 0 0
D COPPER MTN NETWORKS INC COMMON 217510106 664 8600 SH DEFINED 01 8600 0 0
D COPPER MTN NETWORKS INC COMMON 217510106 1723 22300 SH DEFINED 02 17200 0 5100
D DONALDSON LUFKIN & JENRETTE COMMON 257661504 445 15100 SH DEFINED 01 15100 0 0
D DONALDSON LUFKIN & JENRETTE COMMON 257661504 1100 37300 SH DEFINED 02 28100 0 9200
D DOUBLECLICK INC 4.75% PFD BOND 258609AA4 0 4000000 PRN DEFINED 17
D DRKOOP COM INC COMMON 262098106 9 550 SH DEFINED 05 0 0 550
D DRKOOP COM INC COMMON 262098106 1235 77500 SH DEFINED 01 61775 0 15725
D DRKOOP COM INC COMMON 262098106 958 60100 SH DEFINED 02 45000 0 15100
D DUCATI MTR HLDGS SPA COMMON 264066101 129 4900 SH DEFINED 01 4100 0 800
D DUCATI MTR HLDGS SPA COMMON 264066101 87 3300 SH DEFINED 02 2500 0 800
D EPICOR SOFTWARE CORP COMMON 29426L108 103 13900 SH DEFINED 01 13900 0 0
D EPICOR SOFTWARE CORP COMMON 29426L108 118 15812 SH DEFINED 02 100 0 15712
D ETOYS INC COMMON 297862104 22 550 SH DEFINED 05 0 0 550
D ETOYS INC COMMON 297862104 41 1000 SH DEFINED 16 1000 0 0
D ETOYS INC COMMON 297862104 2695 66125 SH DEFINED 01 53075 0 13050
D ETOYS INC COMMON 297862104 2144 52625 SH DEFINED 02 39400 0 13225
D GATEWAY INC COMMON 367626108 183 3100 SH DEFINED 17 3100 0 0
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 4
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D GATEWAY INC COMMON 367626108 20570 348280 SH DEFINED 01 263780 0 84500
D GATEWAY INC COMMON 367626108 26125 442330 SH DEFINED 02 269630 0 172700
D GATEWAY INC COMMON 367626108 53 900 SH OTHER 01 900 0 0
D GENTEK INC COMMON 37245X104 87 6300 SH DEFINED 05 0 0 6300
D GENTEK INC COMMON 37245X104 13847 997950 SH DEFINED 01 830150 0 167800
D GENTEK INC COMMON 37245X104 7599 547700 SH DEFINED 02 436600 0 111100
D GOLDMAN SACHS GROUP INC COMMON 38141G104 726 10052 SH DEFINED 05 2700 0 7352
D GOLDMAN SACHS GROUP INC COMMON 38141G104 71239 986004 SH DEFINED 01 679990 0 306014
D GOLDMAN SACHS GROUP INC COMMON 38141G104 142322 1969850 SH DEFINED 02 1440250 0 529600
D GOLDMAN SACHS GROUP INC COMMON 38141G104 510 7059 SH OTHER 01 3550 3509 0
D HIGH SPEED ACCESS CORP COMMON 42979U102 272 10621 SH DEFINED 16 10621 0 0
D HISPANIC BROADCASTING CORP COMMON 43357B104 258 3400 SH DEFINED 02 0 0 3400
D HONG KONG TELECOMMUNICATIONS COMMON 438579203 620 23000 SH DEFINED 01 23000 0 0
D HUDSON UNITED BANCORP COMMON 444165104 11240 358244 SH DEFINED 01 356133 0 2111
D HUDSON UNITED BANCORP COMMON 444165104 11054 352330 SH DEFINED 02 244120 0 108210
D INFORMATICA CORP COMMON 45666Q102 39 1100 SH DEFINED 05 0 0 1100
D INFORMATICA CORP COMMON 45666Q102 3557 99850 SH DEFINED 01 70900 0 28950
D INFORMATICA CORP COMMON 45666Q102 52 1450 SH DEFINED 02 0 0 1450
D INTELLIGENT LIFE CORP COMMON 45816V100 196 29800 SH DEFINED 01 29800 0 0
D INTELLIGENT LIFE CORP COMMON 45816V100 475 72300 SH DEFINED 02 54300 0 18000
D INTERPUBLIC GRP PREF-CONV 460690AG5 0 500000 SH DEFINED 16
D INVESTMENT TECHNOLOGY GRP NE COMMON 46145F105 347 10800 SH DEFINED 02 0 0 10800
D IVILLAGE INC COMMON 46588H105 487 9700 SH DEFINED 01 9700 0 0
D IVILLAGE INC COMMON 46588H105 1171 23300 SH DEFINED 02 17400 0 5900
D JEFFERIES GROUP INC NEW COMMON 472319102 313 10800 SH DEFINED 02 0 0 10800
D KERR-MCGEE CORP BOND 492386AL1 1175 1187000 PRN DEFINED 02
D KONINKLIJKE PHILIPS ELECTRS COMMON 500472204 497 4922 SH DEFINED 01 46 0 4876
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 5
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D KOREA TELECOM COMMON 50063P103 9019 225477 SH DEFINED 01 225477 0 0
D LIFEPOINT HOSPITALS INC COMMON 53219L109 1 78 SH DEFINED 05 78 0 0
D LIFEPOINT HOSPITALS INC COMMON 53219L109 90 6736 SH DEFINED 17 6736 0 0
D LIFEPOINT HOSTITALS INC COMMON 53219L109 6238 46184 SH DEFINED 18 46184 0 0
D LIFEPOINT HOSPITALS INC COMMON 53219L109 113 8444 SH DEFINED 01 6905 0 1539
D LIFEPOINT HOSPITALS INC COMMON 53219L109 224 16686 SH DEFINED 02 13026 0 3660
D MKS INSTRUMENT INC COMMON 55306N104 47 2500 SH DEFINED 06 2500 0 0
D MKS INSTRUMENT INC COMMON 55306N104 102 5500 SH DEFINED 05 0 0 5500
D MKS INSTRUMENT INC COMMON 55306N104 11680 627100 SH DEFINED 01 483250 0 143850
D MKS INSTRUMENT INC COMMON 55306N104 5692 305600 SH DEFINED 02 224900 0 80700
D MSC INDUSTRIAL DIRECT CO INC COMMON 553530106 342 33400 SH DEFINED 01 33400 0 0
D MAKER COMMUNICATIONS INC COMMON 560875106 40 1300 SH DEFINED 05 0 0 1300
D MAKER COMMUNICATIONS INC COMMON 560875106 4311 139050 SH DEFINED 01 104825 0 34225
D MAKER COMMUNICATIONS INC COMMON 560875106 1665 53700 SH DEFINED 02 39000 0 14700
D MEDIA METRIX INC COMMON 58440X103 5 100 SH DEFINED 05 0 0 100
D MEDIA METRIX INC COMMON 58440X103 699 13125 SH DEFINED 01 10600 0 2525
D MEDIA METRIX INC COMMON 58440X103 675 12675 SH DEFINED 02 9400 0 3275
D MEDICONSULT COM INC COMMON 58469J100 16 1500 SH DEFINED 05 0 0 1500
D MEDICONSULT COM INC COMMON 58469J100 1476 141450 SH DEFINED 01 100350 0 41100
D MEDICONSULT COM INC COMMON 58469J100 21 2000 SH DEFINED 02 0 0 2000
D MPATH INTERACTIVE INC COMMON 62473C101 48 2200 SH DEFINED 05 0 0 2200
D MPATH INTERACTIVE INC COMMON 62473C101 5336 242525 SH DEFINED 01 185250 0 57275
D MPATH INTERACTIVE INC COMMON 62473C101 2385 108400 SH DEFINED 02 78200 0 30200
D MULTEX COM INC COMMON 625367107 47 1800 SH DEFINED 05 0 0 1800
D MULTEX COM INC COMMON 625367107 5425 207650 SH DEFINED 01 157725 0 49925
D MULTEX COM INC COMMON 625367107 2424 92800 SH DEFINED 02 67100 0 25700
D NMT MED INC COMMON 629294109 43 14577 SH DEFINED 16 14577 0 0
D NABISCO GROUP HLDG CORP COMMON 62952P102 1160 59300 SH DEFINED 17 59300 0 0
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 6
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D NABISCO GROUP HLDG CORP COMMON 62952P102 6 300 SH DEFINED 01 300 0 0
D NABISCO GROUP HLDG CORP COMMON 62952P102 17 855 SH OTHER 01 855 0 0
D NET PERCEPTIONS INC COMMON 64107U101 1335 61200 SH DEFINED 01 61200 0 0
D NET PERCEPTIONS INC COMMON 64107U101 3108 142500 SH DEFINED 02 105500 0 37000
D NEWELL RUBBERMAID INC COMMON 651229106 93 2000 SH DEFINED 05 2000 0 0
D NEWELL RUBBERMAID INC COMMON 651229106 255 5500 SH DEFINED 17 5500 0 0
D NEWELL RUBBERMAID INC COMMON 651229106 2345 50574 SH DEFINED 01 4255 0 46319
D NEWELL RUBBERMAID INC COMMON 651229106 188 4064 SH DEFINED 02 0 0 4064
D NEWELL RUBBERMAID INC COMMON 651229106 183 3940 SH OTHER 01 2364 1576 0
D NEWGEN RESULTS CORP COMMON 651359101 6 500 SH DEFINED 05 0 0 500
D NEWGEN RESULTS CORP COMMON 651359101 686 57150 SH DEFINED 01 45775 0 11375
D NEWGEN RESULTS CORP COMMON 651359101 534 44500 SH DEFINED 02 33600 0 10900
D NISOURCE INC COMMON 65473P105 451 17480 SH DEFINED 05 14000 0 3480
D NISOURCE INC COMMON 65473P105 9244 358100 SH DEFINED 01 257400 0 100700
D NISOURCE INC COMMON 65473P105 9124 353465 SH DEFINED 02 199570 0 153895
D NISOURCE INC COMMON 65473P105 1058 41000 SH OTHER 01 11700 29300 0
D NORTEL NETWORKS CORP COMMON 656569100 17 200 SH DEFINED 05 200 0 0
D NORTEL NETWORKS CORP COMMON 656569100 1215 14000 SH DEFINED 17 14000 0 0
D NORTEL NETWORKS CORP COMMON 656569100 3629 41800 SH DEFINED 18 41800 0 0
D NORTEL NETWORKS CORP COMMON 656569100 18409 212053 SH DEFINED 01 90467 0 121586
D NORTEL NETWORKS CORP COMMON 656569100 8024 92430 SH DEFINED 02 28230 0 64200
D NORTEL NETWORKS CORP COMMON 656569100 13 150 SH OTHER 01 0 150 0
D NORTHPOINT COMMUNICATIONS HL COMMON 666610100 16 450 SH DEFINED 05 0 0 450
D NORTHPOINT COMMUNICATIONS HL COMMON 666610100 2121 58100 SH DEFINED 01 46400 0 11700
D NORTHPOINT COMMUNICATIONS HL COMMON 666610100 1674 45850 SH DEFINED 02 34600 0 11250
D OCEAN ENERGY INC TEX COMMON 67481E106 2627 272900 SH DEFINED 17 272900 0 0
D OCEAN ENERGY INC TEX COMMON 67481E106 331 34420 SH DEFINED 02 0 0 34420
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 7
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D PE CORP COMMON 69332S102 4642 40450 SH DEFINED 05 12250 0 28200
D PE CORP COMMON 69332S102 115 1000 SH DEFINED 17 1000 0 0
D PE CORP COMMON 69332S102 48741 424755 SH DEFINED 01 256605 0 168150
D PE CORP COMMON 69332S102 145053 1264078 SH DEFINED 02 1040350 0 223728
D PE CORP COMMON 69332S102 241 2100 SH OTHER 05 1600 500 0
D PE CORP COMMON 69332S102 4058 35361 SH OTHER 01 7250 28111 0
D PE CORP COMMON 69332S201 300 18525 SH DEFINED 05 5525 0 13000
D PE CORP COMMON 69332S201 846 52252 SH DEFINED 01 21877 0 30375
D PE CORP COMMON 69332S201 5147 317929 SH DEFINED 02 287325 0 30604
D PE CORP COMMON 69332S201 17 1050 SH OTHER 05 800 250 0
D PE CORP COMMON 69332S201 236 14554 SH OTHER 01 2750 11804 0
D PLX TECHNOLOGY INC COMMON 693417107 156 3300 SH DEFINED 05 0 0 3300
D PLX TECHNOLOGY INC COMMON 693417107 14743 311200 SH DEFINED 01 223800 0 87400
D PLX TECHNOLOGY INC COMMON 693417107 1222 25800 SH DEFINED 02 16500 0 9300
D PEPSI BOTTLING GROUP COMMON 713409100 13933 602500 SH DEFINED 01 406700 0 195800
D PEPSI BOTTLING GROUP COMMON 713409100 83256 3600250 SH DEFINED 02 3097450 0 502800
D PEPSI BOTTLING GROUP COMMON 713409100 19 800 SH OTHER 01 800 0 0
D PHONE COM INC COMMON 71920Q100 594 10600 SH DEFINED 01 10600 0 0
D PHONE COM INC COMMON 71920Q100 1484 26500 SH DEFINED 02 20200 0 6300
D POGO TRUST I PFD PREFERRED 73044P208 9886 196000 SH DEFINED 16
D PRIVATE BUSINESS INC COMMON 74267D104 38 3800 SH DEFINED 05 0 0 3800
D PRIVATE BUSINESS INC COMMON 74267D104 3482 343900 SH DEFINED 01 243800 0 100100
D PRIVATE BUSINESS INC COMMON 74267D104 49 4800 SH DEFINED 02 0 0 4800
D PROSOFT I-NET SOLUTIONS INC COMMON 743477101 15856 1515245 SH DEFINED 01 1515245 0 0
D RADIAN GROUP INC COMMON 750236101 179 3665 SH DEFINED 05 3665 0 0
D RADIAN GROUP INC COMMON 750236101 10940 224111 SH DEFINED 01 223110 0 1000
D RADIAN GROUP INC COMMON 750236101 52 1066 SH DEFINED 02 1066 0 0
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 8
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D RADIAN GROUP INC COMMON 750236101 25 508 SH OTHER 01 508 0 0
D RADIO ONE INC COMMON 75040P108 14 300 SH DEFINED 05 0 0 300
D RADIO ONE INC COMMON 75040P108 1583 34050 SH DEFINED 01 27200 0 6850
D RADIO ONE INC COMMON 75040P108 1239 26650 SH DEFINED 02 20000 0 6650
D RARE MEDIUM GROUP INC COMMON 75382N109 121 9700 SH DEFINED 06 9700 0 0
D RARE MEDIUM GROUP INC COMMON 75382N109 12 950 SH DEFINED 16 950 0 0
D RARE MEDIUM GROUP INC COMMON 75382N109 468 37600 SH DEFINED 01 37600 0 0
D RARE MEDIUM GROUP INC COMMON 75382N109 1103 88700 SH DEFINED 02 65900 0 22800
D RAZORFISH INC COMMON 755236106 700 18900 SH DEFINED 01 18900 0 0
D RAZORFISH INC COMMON 755236106 1701 45900 SH DEFINED 02 34500 0 11400
D REDBACK NETWORKS INC COMMON 757209101 515 4100 SH DEFINED 01 4100 0 0
D REDBACK NETWORKS INC COMMON 757209101 1381 11000 SH DEFINED 02 8400 0 2600
D REYNOLDS R J TOB HLDGS INC COMMON 76182K105 561 17666 SH DEFINED 17 17666 0 0
D REYNOLDS R J TOB HLDGS INC COMMON 76182K105 3 100 SH DEFINED 01 100 0 0
D REYNOLDS R J TOB HLDGS INC COMMON 76182K105 9 285 SH OTHER 01 285 0 0
D RHYTHMS NETCONNECTIONS INC COMMON 762430205 23 400 SH DEFINED 05 0 0 400
D RHYTHMS NETCONNECTIONS INC COMMON 762430205 3718 63700 SH DEFINED 01 53075 0 10625
D RHYTHMS NETCONNECTIONS INC COMMON 762430205 3660 62700 SH DEFINED 02 47100 0 15600
D SALESLOGIX CORP COMMON 79466P105 40 2700 SH DEFINED 05 0 0 2700
D SALESLOGIX CORP COMMON 79466P105 4487 301650 SH DEFINED 01 230150 0 71500
D SALESLOGIX CORP COMMON 79466P105 2016 135550 SH DEFINED 02 100700 0 34850
D SANTA FE SNYDER CORP COMMON 80218K105 1381 172600 SH DEFINED 16 172600 0 0
D SANTA FE SNYDER CORP COMMON 80218K105 2959 369900 SH DEFINED 17 369900 0 0
D SANTA FE SNYDER CORP COMMON 80218K105 558 69720 SH DEFINED 02 19700 0 50020
D SEAGRAM LTD PREF-CONV 811850205 5551 112000 SH DEFINED 01
D SEAGRAM LTD PREF-CONV 811850205 11895 240000 SH DEFINED 02
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 9
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D SPORTSLINE USA INC BOND 848934AA3 270830 3500000 PRN DEFINED 16
D STMICROELLECTRON BOND 861012AA0 559390 4500000 PRN DEFINED 16
D TALK COM INC COMMON 874264104 964 85700 SH DEFINED 01 85700 0 0
D TALK COM INC COMMON 874264104 249 22100 SH DEFINED 02 17700 0 4400
D TELEFONOS MEXICO BOND 879403AD5 340 24575000 PRN DEFINED 16
D THESTREET COM COMMON 88368Q103 515 14300 SH DEFINED 01 14300 0 0
D THESTREET COM COMMON 88368Q103 1310 36400 SH DEFINED 02 27700 0 8700
D TRIAD HOSPITALS INC COMMON 89579K109 1 78 SH DEFINED 05 78 0 0
D TRIAD HOSPITALS INC COMMON 89579K109 9 689 SH DEFINED 16 689 0 0
D TRIAD HOSPITALS INC COMMON 89579K109 91 6736 SH DEFINED 17 6736 0 0
D TRIAD HOSPITALS INC COMMON 89579K109 624 46184 SH DEFINED 18 46184 0 0
D TRIAD HOSPITALS INC COMMON 89579K109 108 7966 SH DEFINED 01 6905 0 1061
D TRIAD HOSPITALS INC COMMON 89579K109 235 17443 SH DEFINED 02 13783 0 3660
D UNILEVER N V NY SHS COMMON 904784709 5564 79773 SH DEFINED 05 34761 0 45012
D UNILEVER N V NY SHS COMMON 904784709 774 11100 SH DEFINED 17 11100 0 0
D UNILEVER N V NY SHS COMMON 904784709 182799 2620776 SH DEFINED 01 1677887 0 942889
D UNILEVER N V NY SHS COMMON 904784709 219323 3144409 SH DEFINED 02 2243535 0 900874
D UNILEVER N V NY SHS COMMON 904784709 436 6247 SH OTHER 05 3927 2320 0
D UNILEVER N V NY SHS COMMON 904784709 1572 22539 SH OTHER 09 22539 0 0
D UNILEVER N V NY SHS COMMON 904784709 6802 97526 SH OTHER 01 18588 78938 0
D USINTERNETWORKING INC COMMON 917311805 32 750 SH DEFINED 05 0 0 750
D USINTERNETWORKING INC COMMON 917311805 2812 66950 SH DEFINED 01 47900 0 19050
D USINTERNETWORKING INC COMMON 917311805 38 900 SH DEFINED 02 0 0 900
D VALLEY MEDIA INC COMMON 91972C106 36 2400 SH DEFINED 06 2400 0 0
D VALLEY MEDIA INC COMMON 91972C106 1265 85054 SH DEFINED 16 85054 0 0
D VALLEY MEDIA INC COMMON 91972C106 42 2850 SH DEFINED 01 0 0 2850
D VARIAN MED SYS INC COMMON 92220P105 250 9900 SH DEFINED 16 9900 0 0
D VARIAN MED SYS INC COMMON 92220P105 63 2500 SH OTHER 01 0 2500 0
D VOICESTREAM WIRELESS CORP COMMON 928615103 252 8860 SH DEFINED 16 8860 0 0
FORM 13F INFORMATION TABLE JUNE 30 1999 PAGE 10
VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
D VOICESTREAM WIRELESS CORP COMMON 928615103 6452 226863 SH DEFINED 01 226863 0 0
D VOICESTREAM WIRELESS CORP COMMON 928615103 1604 56400 SH DEFINED 02 11100 0 45300
D WAVO CORP COMMON 944027101 159 25000 SH DEFINED 02 0 0 25000
D WESCO INTL INC COMMON 95082P105 1212 59100 SH DEFINED 01 59100 0 0
D WESCO INTL INC COMMON 95082P105 3057 149100 SH DEFINED 02 113700 0 35400
D WHITE MTNS INS GROUP INC COMMON 964126106 2820 20000 SH DEFINED 01 0 0 20000
D WHITE MTNS INS GROUP INC COMMON 964126106 1720 12200 SH DEFINED 02 0 0 12200
D WHITMAN CORP NEW COMMON 96647R107 1231 68400 SH DEFINED 01 68400 0 0
D WHITMAN CORP NEW COMMON 96647R107 248 13800 SH DEFINED 02 4500 0 9300
D WIT CAP GROUP INC COMMON 97737K309 112 3300 SH DEFINED 05 0 0 3300
D WIT CAP GROUP INC COMMON 97737K309 11397 335200 SH DEFINED 01 249450 0 85750
D WIT CAP GROUP INC COMMON 97737K309 3233 95100 SH DEFINED 02 68500 0 26600
D WORLDGATE COMMUNICATIONS INC COMMON 98156L307 3357 65500 SH DEFINED 01 65500 0 0
D WORLDGATE COMMUNICATIONS INC COMMON 98156L307 8031 156700 SH DEFINED 02 116800 0 39900
S REPORT SUMMARY 264 DATA RECORDS
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