MORGAN J P & CO INC
13F-HR/A, 1999-09-17
STATE COMMERCIAL BANKS
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                         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
</TABLE>


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