GREENE DAVID J & CO LLC
13F-HR, 1999-05-14
Previous: IPALCO ENTERPRISES INC, 10-Q, 1999-05-14
Next: MERRILL LYNCH PIERCE FENNER & SMITH INC, S-1, 1999-05-14




                                    FORM 13F

                UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                              Washington D.C. 20549

                               Form 13F COVER PAGE

                  Report for the Quarter Ended: March 31, 1999

           Check Here if Amendment |_|; Amendment Number______________

Institutional Investment Manager Filing this Report:

Name:    David J. Greene and Company, LLC
      -----------------------------------------------------
Address: 599 Lexington Avenue
         --------------------------------------------------
         New York, NY 10022
- -----------------------------------------------------------

Form 13F File Number:  28-663
                       ------

The institutional investment manager filing this report and the person by whom
it is signed thereby represent that the person signing the report is authorized
to submit, 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:  E. Stephen Walsh
       ---------------------------------------------
Title: Principal and Chief Administrative Officer
       ---------------------------------------------
Phone: (212) 371-4200
       ---------------------------------------------

Signature, Place and Date of Signing:


/s/ E. Stephen Walsh
- ---------------------------------------------
[Signature]

New York, NY
- ---------------------------------------------
[City, State]

May 13, 1999
- ---------------------------------------------
[Date]

Report Type:

|X|   13F HOLDINGS REPORT
|_|   13F NOTICE
|_|   13F COMBINATION REPORT
<PAGE>

                              Form 13F Summary Page

                                 Report Summary:

Number of Other Included Managers:

      -0-
- ---------------------------------------------------------

Form 13F Information Table Entry Total:

      143
- ---------------------------------------------------------

Form 13F Information Table Value Total

      $1,631,097   (thousands)
- ---------------------------------------------------------

List of Other Included Managers:

      None
- ---------------------------------------------------------


<PAGE>

                                             FORM 13F                   03/31/99
       REPORTING MANAGER: David J. Greene and Company                     PAGE 1
<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                ITEM 6                    
                            ITEM 2                  ITEM 4      ITEM 5   INVESTMENT DISCRETION            ITEM 8
                            TITLE      ITEM 3        FAIR     SHARES OF                SHARED  ITEM 7          VOTING AUTHORITY
          ITEM 1              OF       CUSIP        MARKET    PRINCIPAL   SOLE  SHARED  OTHER   MANA-     SOLE     SHARED    NONE
     NAME OF ISSUER         CLASS      NUMBER       VALUE       AMOUNT    (A)     (B)    (C)    GERS      (A)       (B)      (C)
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>      <C>          <C>         <C>          <C>    <C>     <C>    <C>    <C>         <C>   <C>
ACTV INC                    COMMON   00088E104          114        10,000  X                     DJG                         10,000
AGCO CORP                   COMMON   001084102        1,493       227,500  X                     DJG      203,440            24,060
AMR CORPORATION             COMMON   001765106          211         3,600  X                     DJG        3,600
A T & T CORP                COMMON   001957109        4,431        55,514  X                     DJG        8,169            47,345
ACX TECHNOLOGIES INC        COMMON   005123104        6,972       531,225  X                     DJG      280,295           250,930
AERIAL COMM. INC            COMMON   007655103        2,364       305,000  X                     DJG      297,000             8,000
AETNA INC                   COMMON   008117103       49,566       597,175  X                     DJG      360,005           237,170
AIRTOUCH COMMUNICATIONS     COMMON   009491100          536         5,544  X                     DJG        1,200             4,344
ALLEN TELECOM INC           COMMON   018091108        1,300       200,000  X                     DJG      200,000
ALLTEL CORPORATION          COMMON   020039103        3,480        55,793  X                     DJG       27,472            28,321
AMERICAN EXPRESS CO         COMMON   025816109        2,963        25,160  X                     DJG          700            24,460
AMERICAN HOMEPRODUCTS COR   COMMON   026609107          947        14,508  X                     DJG                         14,508
AMERICAN INTERNATIONAL GRO  COMMON   026874107        2,434        20,179  X                     DJG       12,120             8,059
AMERICAN STORES CO NEW W/R  COMMON   030096101       21,393       648,276  X                     DJG      304,210           344,066
AMERITECH CORP NEW          COMMON   030954101        2,114        36,692  X                     DJG        1,000            35,692
AMGEN INC                   COMMON   031162100          457         6,100  X                     DJG                          6,100
APCO ARGENTINA INC. CAYMAN  COMMON   037489101          146        10,269  X                     DJG                         10,269
BHC COMMUNICATIONS INC      COMMON   055448104       26,775       218,130  X                     DJG      161,005            57,125
BJ'S WHOLESALE CLUB         COMMON   05548J106        1,079        41,000  X                     DJG       18,500            22,500
BP AMOCO PLC ADS            COMMON   055622104          921         9,118  X                     DJG                          9,118
BANCTEC INC                 COMMON   059784108        6,896       560,050  X                     DJG      299,580           260,470
BELL ATLANTIC CORP          COMMON   077853109        4,635        89,680  X                     DJG        8,518            81,162
BELLSOUTH CORP W/RTS        COMMON   079860102          530        13,220  X                     DJG                         13,220
BRISTOL MYERS SQUIBB CO W-  COMMON   110122108        2,148        33,496  X                     DJG                         33,496
C.I.T GROUP INC-A           COMMON   125577106        2,952        96,600  X                     DJG       86,600            10,000
CNA SURETY CORPORATION      COMMON   12612L108          911        73,600  X                     DJG       14,000            59,600
CVS CORP                    COMMON   126650100          267         5,620  X                     DJG        1,400             4,220
CALGON CARBON CORP          COMMON   129603106        5,400     1,040,800  X                     DJG      328,340           712,460
CENDANT CORPORATION         COMMON   151313103          161        10,100  X                     DJG                         10,100
CERNER CORP                 COMMON   156782104          233        14,500  X                     DJG       14,500
CHARTER ONE FINANCIAL INC   COMMON   160903100          253         8,763  X                     DJG        8,163               600
CHASE CAPITAL 7.34% 12/6/   PREFER   16147N208          202         8,000  X                     DJG                          8,000
CHASE MANHATTAN CORP NEW    COMMON   16161A108        3,990        49,028  X                     DJG       28,000            21,028
CHEMFAB, INC                COMMON   16361L102          223        13,500  X                     DJG        6,750             6,750
CHEVRON CORP W/RTS          COMMON   166751107          965        10,876  X                     DJG                         10,876
CITIGROUP INC               COMMON   172967101        9,110       142,627  X                     DJG       16,446           126,181
CITICORP CAPITAL TR 111.7   PREFER   17303U200          237         9,400  X                     DJG        2,000             7,400
CITIGROUP CAP I 8% TRUPS 9  PREFER   17305F201          337        13,200  X                     DJG        1,000            12,200
CITIGROUP CAPITAL IV 6.85%  PREFER   17305J203          317        13,000  X                     DJG        2,000            11,000
CITY INVESTING CO LIQUIDAT  COMMON   177900107           24        19,100  X                     DJG       15,300             3,800
COMDISCO INC                COMMON   200336105      102,229     5,719,114  X                     DJG    3,013,838         2,705,276
COMSAT CORP                 COMMON   20564D107       61,190     2,114,550  X                     DJG    1,232,215           882,335
COMSAT CAP I LP 8.125% MON  PREFER   205930209          391        15,600  X                     DJG        3,000            12,600
CONSOLIDATED EDISON INC     COMMON   209115104          216         4,770  X                     DJG                          4,770
CRESTLINE CAPITAL CORPORAT  COMMON   226153104        2,429       157,990  X                     DJG      140,350            17,640
                                                  ---------
   PAGE COLUMN TOTALS                               335,941
</TABLE>

<PAGE>

                                             FORM 13F                   03/31/99
       REPORTING MANAGER: David J. Greene and Company                     PAGE 2
<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                ITEM 6                    
                            ITEM 2                  ITEM 4      ITEM 5   INVESTMENT DISCRETION            ITEM 8
                            TITLE      ITEM 3        FAIR     SHARES OF                SHARED  ITEM 7          VOTING AUTHORITY
          ITEM 1              OF       CUSIP        MARKET    PRINCIPAL   SOLE  SHARED  OTHER   MANA-     SOLE     SHARED    NONE
     NAME OF ISSUER         CLASS      NUMBER       VALUE       AMOUNT    (A)     (B)    (C)    GERS      (A)       (B)      (C)
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>      <C>          <C>         <C>          <C>    <C>     <C>    <C>    <C>         <C>   <C>
CYTEC INDUSTRIES INC        COMMON   232820100      2,241        100,453    X                     DJG       64,000           36,453
DLJ CAPITAL TR I 8.42% 6/3  PREFER   23321W202        430         16,700    X                     DJG        2,700           14,000
DEPARTMENT 56               COMMON   249509100      1,443         47,400    X                     DJG        5,000           42,400
DEXTER CORP                 COMMON   252165105      2,378         75,500    X                     DJG       75,500     
DIAL CORPORATION (NEW)      COMMON   25247D101        626         18,200    X                     DJG        1,100           17,100
DIME BANCORP INC.NEW        COMMON   25429Q102     23,636      1,019,353    X                     DJG      476,998          542,355
DOLE FOOD CO                COMMON   256605106     33,797      1,126,551    X                     DJG      708,912          417,639
DOVER CORP                  COMMON   260003108        227          6,920    X                     DJG                         6,920 
E I DU PONT DE NEMOURS & C  COMMON   263534109        209          3,600    X                     DJG                         3,600 
EQK REALTY INVESTORS 1 SBI  COMMON   268820107         60        119,900    X                     DJG       64,300           55,600
EASTMAN CHEMICAL COMPANY    COMMON   277432100      1,350         32,087    X                     DJG                        32,087 
EASTMAN KODAK CO            COMMON   277461109        222          3,480    X                     DJG                         3,480 
EVEREST REINSURANCE HLDING  COMMON   299808105     39,870      1,278,400    X                     DJG      808,400          470,000
EXXON CORP                  COMMON   302290101      3,267         46,306    X                     DJG        2,600           43,706
FEDERAL NATIONAL MTGR ASSN  COMMON   313586109        914         13,200    X                     DJG       12,000            1,200
FISCHBACH CORP CONV SUB DE  CONV C   337659AA4         21         20,000    X                     DJG                        20,000 
FLEMING COS INC             COMMON   339130106        942        110,000    X                     DJG      110,000     
FOOTSTAR, INC               COMMON   344912100     83,103      2,596,965    X                     DJG    1,621,559          975,406
FOUNDATION HEALTH SYSTEMS   COMMON   350404109     38,344      3,146,144    X                     DJG    2,047,310        1,098,834
GATX CORP                   COMMON   361448103     34,380      1,043,800    X                     DJG      728,052          315,748
GENERAL ELECTRIC CO         COMMON   369604103      2,726         24,646    X                     DJG                        24,646 
GENERAL MOTORS CORP         COMMON   370442105     40,730        468,162    X                     DJG      327,700          140,462
GEON COMPANY                COMMON   37246W105        648         28,500    X                     DJG       18,500           10,000
GREAT LAKES CHEMICAL        COMMON   390568103        390         10,600    X                     DJG                        10,600 
HAYES LEMMERZ INTL INC      COMMON   420781106      1,323         56,300    X                     DJG          200           56,100
HERSHEY FOODS CORP          COMMON   427866108        225          4,016    X                     DJG                         4,016 
HOMEBASE INC                COMMON   43738E108     20,892      4,708,105    X                     DJG    2,685,910        2,022,195
HONEYWELL INC W/RTS         COMMON   438506107        349          4,600    X                     DJG                         4,600 
HOST MARRIOTT CORP (REIT)   COMMON   44107P104      1,295        116,400    X                     DJG      103,000           13,400
HOUSEHOLD INTL, INC         COMMON   441815107        289          6,339    X                     DJG                         6,339 
HUSSMANN INTL INC           COMMON   448110106     38,709      2,635,515    X                     DJG    1,517,725        1,117,790
IMC GLOBAL INC              COMMON   449669100     51,968      2,542,762    X                     DJG    1,581,637          961,125
IMC GLOBAL WTS - EXPIRE 12  COMMON   449669118        265        604,672    X                     DJG      385,197          219,475
ITT INDUSTRIES, INC         COMMON   450911102        325          9,200    X                     DJG        6,000            3,200
INTEL CORPORATION           COMMON   458140100      2,198         18,492    X                     DJG          500           17,992
INTL BUSINESS MACHINES COR  COMMON   459200101      1,557          8,786    X                     DJG          400            8,386
INTERNATIONAL GAME TECH     COMMON   459902102     37,016      2,531,000    X                     DJG    1,380,445        1,150,555
JSB FINANCIAL INC           COMMON   46624M100        401           8,000   X                     DJG        1,000            7,000
JOHNSON & JOHNSON           COMMON   478160104      4,052         43,333    X                     DJG                        43,333 
KANSAS CITY STHRN INDS INC  COMMON   485170104      3,648         64,000    X                     DJG       20,000           44,000
KIMBERLY CLARK CORP         COMMON   494368103        497         10,360    X                     DJG                        10,360 
ELI LILLY & CO              COMMON   532457108        276          3,250    X                     DJG                         3,250
LIMITED INC                 COMMON   532716107        389          9,805    X                     DJG                         9,805
LOCKHEED MARTIN CORP        COMMON   539830109      1,133         30,000    X                     DJG                        30,000
LUCASVARITY PLC ADS(REP 10  COMMON   549395101        637         13,766    X                     DJG                        13,766
                                                  -------                                     
   PAGE COLUMN TOTALS                             479,397                        
</TABLE>

<PAGE>

                                             FORM 13F                   03/31/99
       REPORTING MANAGER: David J. Greene and Company                     PAGE 3
<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                ITEM 6                    
                            ITEM 2                  ITEM 4      ITEM 5   INVESTMENT DISCRETION            ITEM 8
                            TITLE      ITEM 3        FAIR     SHARES OF                SHARED  ITEM 7          VOTING AUTHORITY
          ITEM 1              OF       CUSIP        MARKET    PRINCIPAL   SOLE  SHARED  OTHER   MANA-     SOLE     SHARED    NONE
     NAME OF ISSUER         CLASS      NUMBER       VALUE       AMOUNT    (A)     (B)    (C)    GERS      (A)       (B)      (C)
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>      <C>          <C>         <C>          <C>    <C>     <C>    <C>    <C>         <C>   <C>
LUCENT TECHNOLOGIES, INC    COMMON   549463107        2,097       19,421    X                    DJG          258            19,163
MCI WORLDCOM INC            COMMON   55268B106          246        2,782    X                    DJG                          2,782
MPTV INC                    COMMON   553424102            0       10,000    X                    DJG                         10,000
MANPOWER INC                COMMON   56418H100       14,191      607,100    X                    DJG      433,600           173,500
MAXWELL LABS                COMMON   577763105          935       40,000    X                    DJG                         40,000
McMORAN EXPLORATION CO.     COMMON   582411104        3,067      189,462    X                    DJG       95,194            94,268
MEDIAONE GROUP, INC         COMMON   58440J104        1,214       19,140    X                    DJG        1,200            17,940
MERCK & CO INC              COMMON   589331107        1,261       15,738    X                    DJG                         15,738
MIRAGE RESORTS INC.         COMMON   60462E104       26,163    1,231,200    X                    DJG      795,583           435,617
MOBIL CORP W/RTS            COMMON   607059102        1,095       12,442    X                    DJG        2,000            10,442
MUELLER IND                 COMMON   624756102       10,881      486,300    X                    DJG      151,700           334,600
NATIONAL INSURANCE GROUP    COMMON   636525107           96       10,000    X                    DJG                         10,000
NAVISTAR INTL               COMMON   63934E108       67,223    1,672,725    X                    DJG      998,680           674,045
OLSTEN CORP                 COMMON   681385100       14,127    2,283,200    X                    DJG    1,074,450         1,208,750
OWENS ILLINOIS INC          COMMON   690768403       16,620      664,800    X                    DJG      472,400           192,400
PHOSPHATE RESOURCES PARTNE  COMMON   719217101          792       67,429    X                                 DJG            67,429
PITTSTON BRINK'S GROUP      COMMON   725701106       52,976    2,254,300    X                    DJG    1,253,100         1,001,200
PLAYTEX PRODUCTS INC        COMMON   72813P100        1,513      100,000    X                    DJG      100,000     
PRIMEX TECHNOLOGIES INC.    COMMON   741597108        1,411       68,000    X                    DJG       61,000             7,000
PROCTER & GAMBLE CO         COMMON   742718109          666        6,800    X                    DJG        1,000             5,800
PUBLIC SERVICE ENTERPRISE   COMMON   744573106          305        7,987    X                    DJG                          7,987
RAYCHEM CORP W/RTS          COMMON   754603108       38,879    1,723,169    X                    DJG    1,100,719           622,450
ROYAL DUTCH PETE 1.25 GUIL  COMMON   780257804          442        8,496    X                    DJG                          8,496
RYDER SYSTEM INC W/RTS      COMMON   783549108       67,135    2,430,225    X                    DJG    1,432,645           997,580
SBC COMMUNICATIONS INC      COMMON   78387G103        1,718       36,400    X                    DJG        1,374            35,026
SAFETY KLEEN CORP           COMMON   78648R203          908       68,500    X                    DJG       68,500     
SAFEWAY INC                 COMMON   786514208          205        4,000    X                    DJG                          4,000
SCHERING-PLOUGH CORP.       COMMON   806605101          444        8,040    X                    DJG                          8,040
SENSORMATIC ELECT. CO       COMMON   817265101       36,409    3,832,550    X                    DJG    2,558,700         1,273,850
SHARED MEDICAL SYSTEMS COR  COMMON   819486101       19,830      356,100    X                    DJG      219,000           137,100
SMITHKLINE BEECHAM PLC- AD  COMMON   832378301          508        7,100    X                    DJG                          7,100
SPACELABS MEDICAL           COMMON   846247104        1,253       74,500    X                    DJG       74,500     
SPRINT CORP (FON GROUP)     COMMON   852061100       38,926      396,699    X                    DJG      176,469           220,230
SPRINT CORP (PCS GROUP)     COMMON   852061506          414        9,345    X                    DJG          250             9,095
STANDARD REGISTER CO.       COMMON   853887107        1,202       40,500    X                    DJG       40,500     
SUBURBAN PROPANE PARTNERS   COMMON   864482104          350       19,100    X                    DJG                         19,100
TDS CAPITAL I PREF 8.5% 12  PREFER   87235W202          310       12,300    X                    DJG        6,000             6,300
TIG HOLDINGS                COMMON   872469101       32,053    1,964,925    X                    DJG    1,259,890           705,035
TANDY CORP                  COMMON   875382103       46,156      723,300    X                    DJG      432,700           290,600
TEKTRONIX INC               COMMON   879131100        1,515       60,000    X                    DJG       60,000     
TELEPHONE & DATA SYS INC    COMMON   879433100      124,577    2,209,800    X                    DJG    1,309,550           900,250
TEXACO INC                  COMMON   881694103        2,665       46,967    X                    DJG        2,700            44,267
TOYS R US                   COMMON   892335100       56,231    2,989,024    X                    DJG    1,837,420         1,151,604
TRICON GLOBAL RESTAURANTS   COMMON   895953107          225        3,200    X                    DJG        1,900             1,300
U.S. INDUSTRIES, INC        COMMON   912080108          513       31,187    X                    DJG       14,200            16,987
                                                    -------
   PAGE COLUMN TOTALS                               689,747
</TABLE>

<PAGE>

                                             FORM 13F                   03/31/99
       REPORTING MANAGER: David J. Greene and Company                     PAGE 1
<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                ITEM 6                    
                            ITEM 2                  ITEM 4      ITEM 5   INVESTMENT DISCRETION            ITEM 8
                            TITLE      ITEM 3        FAIR     SHARES OF                SHARED  ITEM 7          VOTING AUTHORITY
          ITEM 1              OF       CUSIP        MARKET    PRINCIPAL   SOLE  SHARED  OTHER   MANA-     SOLE     SHARED    NONE
     NAME OF ISSUER         CLASS      NUMBER       VALUE       AMOUNT    (A)     (B)    (C)    GERS      (A)       (B)      (C)
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                         <C>      <C>          <C>         <C>          <C>    <C>     <C>    <C>    <C>         <C>   <C>
U S WEST INC.               COMMON   91273H101        358         6,499     X                    DJG           32             6,467
UNOVA INC                   COMMON   91529B106     24,992     1,895,100     X                    DJG    1,268,000           627,100
VARIAN ASSOCIATES INC W/RT  COMMON   922204102     51,809     1,337,000     X                    DJG      766,900           570,100
VARIAN INC                  COMMON   922206107        189        20,000     X                    DJG       20,000
WARNER LAMBERT CO           COMMON   934488107      1,570        23,700     X                    DJG                         23,700
WATKINS JOHNSON CO          COMMON   942486101      3,531       156,050     X                    DJG       86,000            70,050
WESTINGHOUSE AIR BRAKE CO   COMMON   960386100      6,226       298,250     X                    DJG      119,600           178,650
WHITMAN CORP                COMMON   96647K102     37,064     2,156,475     X                    DJG    1,327,350           829,125
XEROX CORP                  COMMON   984121103        250         4,800     X                    DJG                          4,800
                                                ---------
   PAGE COLUMN TOTALS                             125,988
                                                ---------
   AGGREGATE COLUMN TOTALS                      1,631,073
</TABLE>



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission