GREENE DAVID J & CO LLC
13F-HR, 2000-11-14
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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: September 30,2000

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

13F File Number: 28-663

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:     E. Stephen Walsh
Title:    Principal and Chief Administrative Officer
Phone:    (212) 371-4200

Signature, Place, and Date of Signing:

/s/ E. Stephen Walsh            New York, NY            November 1, 2000
--------------------------------------------------------------------------------

Report Type (Check only one.):

|X|   13F HOLDINGS REPORT.

|_|   13F NOTICE.

|_|   13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

--------------------------------------------------------------------------------

--------------------------------------------------------------------------------

--------------------------------------------------------------------------------

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:        -0-

Form 13F Information Table Entry Total:   152

Form 13F Information Table Value Total:   $1,625,499,213

List of Other Included Managers:          None

No. 13F File Number     Name
<PAGE>

                                    FORM 13 F
                                                                        09/30/00
REPORTING MANAGER : David J. Greene and Company, LLC                      Page 1

<TABLE>
<CAPTION>
===================================================================================================================================
             ITEM 1            ITEM 2     ITEM 3     ITEM 4          ITEM 5           ITEM 6         ITEM 7         ITEM 8
         NAME OF ISSUER         TITLE      CUSIP     FAIR          SHARES OF  INVESTMENT DISCRETION  MANA-    VOTING AUTHORITY
                                 OF       NUMBER     MARKET        PRINCIPAL                SHARED   GERS
                                CLASS                VALUE          AMOUNT    SOLE  SHARED   OTHER        SOLE    SHARED    NONE
                                                                              (A)    (B)     (C)          (A)      (B)      (C)
===================================================================================================================================
<S>                            <C>       <C>       <C>            <C>          <C>    <C>     <C>    <C>  <C>      <C>    <C>
AAR CORP                       Common    000361105     285,938       25,000    X                     DJG   25,000
AGCO CORP                      Common    001084102   3,916,791      329,835    X                     DJG  275,260            54,575
A T & T CORP                   Common    001957109  10,458,146      356,022    X                     DJG   81,805           274,217
AETNA INC.                     Common    008117103  33,525,578      577,405    X                     DJG  260,680           316,725
ALBERTSONS INC                 Common    013104104     513,639       24,459    X                     DJG    4,331            20,128
ALLEN TELECOM INC              Common    018091108  10,854,397      640,850    X                     DJG  561,670            79,180
ALLTEL CORPORATION             Common    020039103   1,374,828       26,344    X                     DJG                     26,344
AMERICAN EXPRESS CO            Common    025816109   3,765,285       61,980    X                     DJG    1,100            60,880
AMERICAN INTERNATIONAL         Common    026874107   3,392,792       35,457    X                     DJG   20,348            15,109
AMGEN INC.                     Common    031162100     251,381        3,600    X                     DJG                      3,600
APCO ARGENTINA INC             Common    037489101     249,023       10,269    X                     DJG                     10,269
HISCOX PLC                     Common    0428828        12,720       12,000    X                     DJG                     12,000
BHC COMMUNICATIONS INC         Common    055448104  12,134,399       77,105    X                     DJG   44,205            32,900
BJ'S WHOLESALE CLUB INC.       Common    05548J106     447,038       13,100    X                     DJG    1,500            11,600
BP AMOCO PLC ADS               Common    055622104     793,993       14,981    X                     DJG                     14,981
BANK OF NEW YORK CO INC        Common    064057102     224,250        4,000    X                     DJG                      4,000
BAUSCH & LOMB INC              Common    071707103   3,092,611       79,425    X                     DJG   69,220            10,205
BELLSOUTH CORP W/RTS           Common    079860102     259,613        6,450    X                     DJG                      6,450
BERGEN BRUNSWIG CORP CL A      Common    083739102     631,125       54,000    X                     DJG   54,000
BRISTOL MYERS SQUIBB CO        Common    110122108   1,601,214       28,030    X                     DJG                     28,030
C&D TECHNOLOGIES INC           Common    124661109   1,135,000       20,000    X                     DJG   20,000
C.I.T GROUP INC-A              Common    125577106   1,767,500      101,000    X                     DJG  101,000
CNA SURETY CORPORATION         Common    12612L108     546,250       47,500    X                     DJG   27,000            20,500
CALGON CARBON CORP             Common    129603106   7,563,646    1,110,260    X                     DJG  750,590           359,670
CENDANT CORPORATION            Common    151313103  10,968,525    1,008,600    X                     DJG  279,100           729,500
CHARTER ONE FINANCIAL INC      Common    160903100     317,885       13,041    X                     DJG   12,381               660
CHASE MANHATTAN CORP           Common    16161A108     984,902       21,324    X                     DJG    1,500            19,824
CHEVRON CORP W/RTS             Common    166751107     494,791        5,804    X                     DJG                      5,804
CIRCLE INTERNATIONAL CRP       Common    172574105     847,000       28,000    X                     DJG   28,000
CITIGROUP INC.                 Common    172967101  11,988,305      221,749    X                     DJG   26,091           195,658
CITY INVESTING CO              Common    177900107      16,784       13,100    X                     DJG    9,300             3,800
COCA-COLA ENTERPRISES INC      Common    191219104  15,700,031      985,100    X                     DJG  331,300           653,800
COMDISCO INC                   Common    200336105  43,912,299    2,303,596    X                     DJG  988,918         1,314,678
CONSOLIDATED STORES CORP       Common    210149100     364,500       27,000    X                     DJG   27,000
COORSTEK INC.                  Common    217020106  13,863,866      362,454    X                     DJG  218,719           143,735
COVANCE INC                    Common    222816100   1,525,577      186,330    X                     DJG  163,200            23,130
CRESTLINE CAPITAL              Common    226153104   5,389,791      268,650    X                     DJG  229,820            38,830
CYTEC INDUSTRIES INC.          Common    232820100  56,707,960    1,695,939    X                     DJG  867,770           828,169
DEPARTMENT 56                  Common    249509100     497,169       37,700    X                     DJG                     37,700
DIAL CORPORATION (NEW)         Common    25247D101  25,754,025    2,215,400    X                     DJG  933,200         1,282,200
DIEBOLD INC                    Common    253651103  16,118,125      606,800    X                     DJG  371,700           235,100

                                                   -----------

      PAGE COLUMN TOTALS                           304,248,690
</TABLE>


<PAGE>

                                    FORM 13 F
                                                                        09/30/00
REPORTING MANAGER : David J. Greene and Company, LLC                      Page 2

<TABLE>
<CAPTION>
===================================================================================================================================
             ITEM 1            ITEM 2     ITEM 3     ITEM 4          ITEM 5           ITEM 6         ITEM 7         ITEM 8
         NAME OF ISSUER         TITLE      CUSIP     FAIR          SHARES OF  INVESTMENT DISCRETION  MANA-    VOTING AUTHORITY
                                 OF       NUMBER     MARKET        PRINCIPAL                SHARED   GERS
                                CLASS                VALUE          AMOUNT    SOLE  SHARED   OTHER        SOLE    SHARED    NONE
                                                                              (A)    (B)     (C)          (A)      (B)      (C)
===================================================================================================================================
<S>                           <C>        <C>       <C>            <C>          <C>    <C>     <C>    <C>  <C>      <C>    <C>
DIME BANCORP INC. NEW         Common     25429Q102  66,760,605    3,096,144    X                     DJG  1,384,548       1,711,596
DOLE FOOD CO.                 Common     256605106  16,991,385    1,132,759    X                     DJG    597,316         535,443
DOVER CORP                    Common     260003108     277,870        5,920    X                     DJG                      5,920
EMC CORP                      Common     268648102     218,075        2,200    X                     DJG                      2,200
EQK REALTY INVESTORS 1 SBI    Common     268820107       1,689      112,600    X                     DJG     57,000          55,600
EASTMAN KODAK CO              Common     277461109  25,715,689      629,130    X                     DJG    291,800         337,330
EDO CORP                      Common     281347104     116,325       13,200    X                     DJG     12,200           1,000
EFUNDS CORP                   Common     28224R101   1,543,145      209,240    X                     DJG    182,670          26,570
EL PASO ELECTRIC COMPANY      Common     283677854   1,101,600       80,000    X                     DJG     80,000
EMMIS COMMUNICATIONS -CL      Common     291525103     247,500       10,000    X                     DJG     10,000
EXXON MOBIL CORPORATION       Common     30231G102   3,709,115       41,617    X                     DJG      2,989          38,628
FEDERATED DEPARTMENT          Common     31410H101   2,612,500      100,000    X                     DJG    100,000
FINOVA GROUP INC              Common     317928109  27,517,339    3,795,495    X                     DJG  1,763,910       2,031,585
FOOTSTAR, INC.                Common     344912100  64,530,227    1,997,067    X                     DJG  1,004,582         992,485
FOUNDATION HEALTH             Common     350404109  30,291,615    1,822,052    X                     DJG  1,032,855         789,197
H.B. FULLER CO.               Common     359694106     980,375       34,100    X                     DJG     34,100
GATX CORP                     Common     361448103  57,313,978    1,368,692    X                     DJG    717,902         650,790
GALILEO INTERNATIONAL INC     Common     363547100  56,834,160    3,666,720    X                     DJG  1,826,130       1,840,590
GENERAL ELECTRIC CO           Common     369604103   3,307,571       57,336    X                     DJG                     57,336
GENERAL MOTORS CORP           Common     370442105  22,149,075      340,755    X                     DJG    165,400         175,355
GILEAD SCIENCES INC           Common     375558103     517,286        4,716    X                     DJG                      4,716
GRAPHIC PACKAGING INTL        Common     388690109   2,621,610    1,233,699    X                     DJG    583,955         649,744
HARRIS CORP                   Common     413875105  13,931,418      489,896    X                     DJG    342,100         147,796
HEALTHSOUTH CORPORATION       Common     421924101  55,621,800    6,845,760    X                     DJG  3,816,800       3,028,960
HERSHEY FOODS CORP            Common     427866108     217,366        4,016    X                     DJG                      4,016
HILB, ROGAL & HAMILTON CO     Common     431294107   1,167,250       28,000    X                     DJG     28,000
HOMEBASE INC                  Common     43738E108   7,318,347    3,345,530    X                     DJG  1,745,710       1,599,820
HONEYWELL                     Common     438516106     227,858        6,396    X                     DJG                      6,396
HOST MARRIOTT CORP (REIT)     Common     44107P104  20,488,500    1,821,200    X                     DJG  1,054,300         766,900
HOUGHTON MIFFLIN CO           Common     441560109     314,000        8,000    X                     DJG      8,000
HOUSEHOLD INTL, INC.          Common     441815107     358,946        6,339    X                     DJG                      6,339
IMC GLOBAL INC.               Common     449669100  31,088,812    2,144,056    X                     DJG  1,213,194         930,862
IMC GLOBAL WTS - EXPIRE       Common     449669118           0      270,639    X                     DJG    177,222          93,417
ITT EDUCATIONAL SERVICES      Common     45068B109     976,500       36,000    X                     DJG     36,000
INTEL CORPORATION             Common     458140100   2,665,320       64,128    X                     DJG      2,000          62,128
INTL BUSINESS MACHINES        Common     459200101   1,762,200       15,664    X                     DJG        800          14,864
INTERNATIONAL GAME TECH       Common     459902102  30,065,289      894,135    X                     DJG    374,052         520,083
JOHNSON & JOHNSON             Common     478160104   3,079,647       32,784    X                     DJG                     32,784
KIMBERLY CLARK CORP           Common     494368103     578,218       10,360    X                     DJG                     10,360
LANIER WORLDWIDE INC          Common     51589L105   4,713,936    4,713,936    X                     DJG  2,863,640       1,850,296
ELI LILLY & CO                Common     532457108     263,656        3,250    X                     DJG                      3,250

                                                   -----------

      PAGE COLUMN TOTALS                           560,197,795
</TABLE>
<PAGE>

                                    FORM 13 F
                                                                        09/30/00
REPORTING MANAGER : David J. Greene and Company, LLC                      Page 3

<TABLE>
<CAPTION>
===================================================================================================================================
             ITEM 1            ITEM 2     ITEM 3     ITEM 4          ITEM 5           ITEM 6         ITEM 7         ITEM 8
         NAME OF ISSUER         TITLE      CUSIP     FAIR          SHARES OF  INVESTMENT DISCRETION  MANA-    VOTING AUTHORITY
                                 OF       NUMBER     MARKET        PRINCIPAL                SHARED   GERS
                                CLASS                VALUE          AMOUNT    SOLE  SHARED   OTHER        SOLE    SHARED    NONE
                                                                              (A)    (B)     (C)          (A)      (B)      (C)
===================================================================================================================================
<S>                           <C>        <C>       <C>            <C>          <C>    <C>     <C>    <C>  <C>      <C>    <C>
LINCOLN NATIONAL CORP         Common     534187109   1,039,500       21,600    X                     DJG      9,000          12,600
LUCENT TECHNOLOGIES, INC.     Common     549463107   1,004,284       32,860    X                     DJG        516          32,344
MPTV INC                      Common     553424102         279       10,000    X                     DJG                     10,000
MANDALAY RESORT GROUP         Common     562567107  16,197,563      632,100    X                     DJG    366,800         265,300
MAXWELL TECHNOLOGIES          Common     577767106   5,474,838      302,060    X                     DJG    229,810          72,250
McMORAN EXPLORATION CO.       Common     582411104     565,140       48,719    X                     DJG     12,503          36,216
MERCK & CO INC                Common     589331107     733,954        9,860    X                     DJG                      9,860
MEREDITH CORP                 Common     589433101   4,429,425      150,150    X                     DJG    131,450          18,700
MILLIPORE CORP W/RTS          Common     601073109   3,355,266       69,270    X                     DJG     62,780           6,490
MODIS PROFESSIONAL            Common     607830106   1,812,616      349,420    X                     DJG    308,010          41,410
MUELLER IND.                  Common     624756102     468,944       20,900    X                     DJG      2,300          18,600
MYND CORPORATION              Common     628551103   5,648,400      418,400    X                     DJG    277,500         140,900
NABISCO GROUP HOLDINGS        Common     62952P102     686,109       24,074    X                     DJG     20,000           4,074
NATL COMMERCE                 Common     635449101     498,438       25,000    X                     DJG     25,000
NAVISTAR INTL                 Common     63934E108  62,325,414    2,081,851    X                     DJG  1,005,436       1,076,415
NORTH FORK                    Common     659424105     281,125       13,000    X                     DJG      3,000          10,000
OMNICARE INC                  Common     681904108   1,888,238      117,100    X                     DJG     40,500          76,600
ORBITAL SCIENCES CORP         Common     685564106   3,733,910      445,840    X                     DJG    396,880          48,960
OWENS & MINOR INC             Common     690732102     252,000       16,000    X                     DJG     16,000
PACTIV CORPORATION            Common     695257105  40,212,205    3,594,387    X                     DJG  1,511,900       2,082,487
PAREXEL INTERNATIONAL         Common     699462107   3,235,058      380,595    X                     DJG    330,590          50,005
PEOPLES BANK                  Common     710198102     758,250       36,000    X                     DJG     36,000
PFIZER INC                    Common     717081103   1,742,766       38,782    X                     DJG                     38,782
PITTSTON BRINK'S GROUP        Common     725701106  61,878,558    3,992,165    X                     DJG  1,979,528       2,012,637
PLAYTEX PRODUCTS INC.         Common     72813P100   7,045,684      596,460    X                     DJG    531,850          64,610
POLYONE CORPORATION           Common     73179P106     109,688       15,000    X                     DJG     15,000
PRIMEX TECHNOLOGIES INC.      Common     741597108   9,380,503      322,770    X                     DJG    283,550          39,220
PROCTER & GAMBLE CO           Common     742718109     415,400        6,200    X                     DJG      1,000           5,200
QUANTUM CORP - DLT &          Common     747906204  69,536,935    4,616,560    X                     DJG  2,661,140       1,955,420
QUANTUM CORP - HARD DISK      Common     747906303   9,755,992      981,735    X                     DJG    809,480         172,255
QWEST COMMUNICATIONS          Common     749121109     502,532       10,456    X                     DJG        310          10,146
RECKSON ASSOC REALTY CORP     Common     75621K106     204,000        8,000    X                     DJG      8,000
ROGERS CORP                   Common     775133101   1,423,125       45,000    X                     DJG     45,000
ROYAL DUTCH PETE 1.25         Common     780257804     588,107        9,812    X                     DJG                      9,812
RUBY TUESDAY INC              Common     781182100     900,000       80,000    X                     DJG     80,000
RYDER SYSTEM INC W/RTS        Common     783549108  58,554,126    3,175,817    X                     DJG  1,537,010       1,638,807
SBC COMMUNICATIONS INC.       Common     78387G103   3,270,200       65,404    X                     DJG      3,258          62,146
THE ST JOE CORP               Common     790148100     277,500       10,000    X                     DJG     10,000
SAKS INCORPORATED             Common     79377W108     987,500      100,000    X                     DJG    100,000
SCHERING-PLOUGH CORP.         Common     806605101     234,360        5,040    X                     DJG                      5,040
SENSORMATIC ELECTRONICS       Common     817265101   5,414,550      360,970    X                     DJG    318,200          42,770

                                                   -----------

       PAGE COLUMN TOTALS                          386,822,477
</TABLE>
<PAGE>

                                    FORM 13 F
                                                                        09/30/00
REPORTING MANAGER : David J. Greene and Company, LLC                      Page 4

<TABLE>
<CAPTION>
===================================================================================================================================
             ITEM 1            ITEM 2     ITEM 3     ITEM 4          ITEM 5           ITEM 6         ITEM 7         ITEM 8
         NAME OF ISSUER         TITLE      CUSIP     FAIR          SHARES OF  INVESTMENT DISCRETION  MANA-    VOTING AUTHORITY
                                 OF       NUMBER     MARKET        PRINCIPAL                SHARED   GERS
                                CLASS                VALUE          AMOUNT    SOLE  SHARED   OTHER        SOLE    SHARED    NONE
                                                                              (A)    (B)     (C)          (A)      (B)      (C)
===================================================================================================================================
<S>                           <C>        <C>       <C>            <C>          <C>    <C>     <C>    <C>  <C>      <C>    <C>
SILVERSTREAM SOFTWARE         Common     827907106       586,022     19,453    X                     DJG                     19,453
SMITHKLINE BEECHAM PLC-       Common     832378301       301,950      4,400    X                     DJG                      4,400
SPACELABS MEDICAL             Common     846247104     3,308,421    335,030    X                     DJG    292,730          42,300
SPRINT CORP (FON GROUP)       Common     852061100    32,885,518  1,121,894    X                     DJG    529,488         592,406
STANDARD REGISTER CO.         Common     853887107       419,360     26,210    X                     DJG     25,320             890
SUBURBAN PROPANE              Common     864482104       319,000     14,500    X                     DJG                     14,500
TJX COS INC- NEW              Common     872540109    51,223,500  2,276,600    X                     DJG    974,900       1,301,700
TEKTRONIX INC                 Common     879131100       553,050      7,200    X                     DJG                      7,200
TELEDYNE TECHNOLOGIES         Common     879360105    17,560,628    602,940    X                     DJG    524,060          78,880
TELEPHONE & DATA SYS INC.     Common     879433100    72,057,730    650,928    X                     DJG    266,750         384,178
TENNECO AUTOMOTIVE INC        Common     880349105        62,307     12,011    X                     DJG      2,000          10,011
TEXACO INC                    Common     881694103     1,739,850     33,140    X                     DJG      1,550          31,590
TOSCO CORP                    Common     891490302     1,150,850     36,901    X                     DJG     36,901
TRICON GLOBAL                 Common     895953107    16,871,313    550,900    X                     DJG    317,400         233,500
UNIGRAPHICS SOLUTIONS INC     Common     904928108       353,250     18,000    X                     DJG     18,000
UNISYS CORP                   Common     909214108    40,397,738  3,590,910    X                     DJG  2,038,590       1,552,320
UNIVERSAL HEALTH              Common     913903100     1,883,750     22,000    X                     DJG     22,000
UNOVA INC                     Common     91529B106     4,460,991  1,132,950    X                     DJG    921,960         210,990
VARIAN MEDICAL SYSTEMS        Common     92220P105    19,263,205    426,295    X                     DJG    229,610         196,685
VERIZON COMMUNICATIONS        Common     92343V104    24,940,953    514,910    X                     DJG    178,518         336,392
VOLT INFO SCIENCES INC        Common     928703107       559,000     26,000    X                     DJG     26,000
WABTEC CORP                   Common     929740108    11,467,818  1,132,624    X                     DJG    739,750         392,874
WACHOVIA CORP                 Common     929771103    19,103,688    337,000    X                     DJG    140,700         196,300
WALLACE                       Common     932270101     1,389,275     91,100    X                     DJG     30,400          60,700
WARNER LAMBERT CO             Common     934488107       206,692      1,593    X                     DJG                      1,593
WHITMAN CORP                  Common     96647R107    39,334,469  3,401,900    X                     DJG  1,562,775       1,839,125
XTRA                          Common     984138107     3,403,024     76,580    X                     DJG     66,530          10,050
ZIONS BANCORPORATION          Common     989701107       920,531     18,000    X                     DJG     18,000
LORAL SPACE &                 Common     G56462107     7,506,371  1,225,530    X                     DJG  1,082,680         142,850
                                                     -----------

      PAGE COLUMN TOTALS                             374,230,251

                                                   -------------
   AGGREGATE COLUMN TOTALS                         1,625,499,213
</TABLE>



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