WEISS PECK & GREER LLC
13F-HR, 1999-11-17
Previous: BELL ATLANTIC CORP, 8-K, 1999-11-17
Next: LEGALOPINION COM, 10KSB, 1999-11-17




<PAGE>

                                  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, 1999

Check here if Amendment |_|;     Amendment Number:
      This Amendment (Check only one.):   |_|  is a restatement.
                                          |_|  adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Weiss, Peck & Greer, L.L.C.
         -----------------------------------------------------------------------
Address: One New York Plaza, 30th Floor
         -----------------------------------------------------------------------
         New York, NY 10004
         -----------------------------------------------------------------------

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

Form 13F File Number: 28- 14
                          ---------------

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:     Richard Pollack
          -------------------------------------------------------
Title:    General Counsel & Managing Director
          -------------------------------------------------------
Phone:    (212) 908-9620
          -------------------------------------------------------

Signature, Place, and Date of Signing:

      /s/ Richard Pollack          New York, NY                     11/15/99
- -------------------------------   -----------------------------   -------------
          (Signature)                (City, State)                   (Date)

Report Type (Check only one.):

|X|   13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
      manager are reported in this report.)

|_|   13F NOTICE. (Check here if no holindgs are reported in this report, and
      all holdings are reported by other reporting manager (s).)

|_|   13F COMBINATION REPORT. (Check here is a portion of the holdings for this
      reporting manager are reported in this report and a portion are reported
      by other reporting manager(s).)

List of Other Managers Reporting for this Manager:
(If there are no entries in this list, omit this section.)

     Form 13F File Number                Name

     28- __________________              ___________________________________
     [Repeat as necessary.]

<PAGE>

                          Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:        ___________________

Form 13F Information Table Entry Total:   1,548
                                          -------------------

Form 13F Information Table Value Total:   $3,691,564
                                          -------------------
                                             (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other that the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]


  No.         13F File Number       Name

________    28-______________      ______________________________

     [Repeat as necessary.]

<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
AAR Corp                           COMMON  000361105        15,390        855           X            1           855
Abc-Naco Inc                       COMMON  000752105        77,688      5,500     X                                      5,500
ADC Telecommunication Inc          COMMON  000886101     7,473,263    178,200     X                                    178,200
ADC Telecommunication Inc          COMMON  000886101       116,377      2,775           X            1         2,775
ADE Corp Mass                      COMMON  00089C107       254,800     18,200     X                                     18,200
ADE Corp Mass                      COMMON  00089C107     1,050,000     75,000           X            1        75,000
Abn Amro Holding Nv Sp Adr         OPTION  0009379JE           625        100     X
AFC Cable Systems Inc              COMMON  000950105       318,750      7,500     X                                      7,500
Afc Cable Systems Inc              OPTION  0009509JH        23,625         90     X
A.B.M. Inds Inc.00                 COMMON  000957100        15,859        625           X            1           625
Aflac Inc                          COMMON  001055102       466,906     11,150     X                                     11,150
Aes Corporation                    COMMON  00130H105       106,200      1,800     X                                      1,800
AK Steel Holding Corp              COMMON  001547108     5,253,263    287,850     X                                    287,850
AK Steel Holding Corp              COMMON  001547108        79,388      4,350           X            1         4,350
AMFM Inc                           COMMON  001693100        83,835      1,380     X                                      1,380
AMR Corp/Del                       COMMON  001765106       592,688     10,875     X                                     10,875
AMR Corp/Del                       COMMON  001765106       566,800     10,400           X            1        10,400
A T & T Corp                       COMMON  001957109    18,654,997    428,851     X                                    428,851
A T & T Corp                       COMMON  001957109       270,788      6,225           X            1         6,225
AT&T Corp - Liberty Media - Cl A   COMMON  001957208    53,930,144  1,445,364     X                                  1,445,364
AT&T Corp - Liberty Media - Cl A   COMMON  001957208     3,731,250    100,000           X            1       100,000
Axa Financial Inc                  COMMON  002451102        89,300      1,600     X                                      1,600
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 1
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Abacus Direct Corp                 COMMON  002553105       914,063      7,500     X                                      7,500
Abbott Labs                        COMMON  002824100    25,004,182    681,545     X                                    681,545
Abbott Labs                        COMMON  002824100     1,658,275     45,200           X            1        45,200
Abercrombie & Fitch Co             COMMON  002896207       402,176     11,807     X                                     11,807
Abercrombie & Fitch Co             COMMON  002896207        18,734        550           X            1           550
Acclaim Enmnt Inc                  COMMON  004325205            53          7     X                                          7
Accredo Health inc                 COMMON  00437V104        15,750        500     X                                        500
Accredo Health inc                 COMMON  00437V104       378,000     12,000           X            1        12,000
Active Software Inc                COMMON  00504E100     2,149,588     89,800     X                                     89,800
Acxiom Corp                        COMMON  005125109         5,897        300           X            1           300
Adaptive Broadband Corp            COMMON  00650M104        21,775        650           X            1           650
Adaptec Inc                        COMMON  00651F108     1,015,246     25,581     X                                     25,581
Adelphia Communications Corp Cl A  COMMON  006848105     6,098,856    103,700     X                                    103,700
Adelphia Communications Corp Cl A  COMMON  006848105       711,631     12,100           X            1        12,100
Adelphia Communications Corp Cl A  OPTION  0068488VK         3,719         35     X
Administaff Inc00                  COMMON  007094105     1,179,375     74,000     X                                     74,000
Adobe Sys Inc                      COMMON  00724F101    11,558,500    101,837     X                                    101,837
Adobe Sys Inc                      COMMON  00724F101       224,163      1,975           X            1         1,975
Advanced Fibre Communication       COMMON  00754A105        91,225      4,100     X                                      4,100
Advanced Fibre Communication       COMMON  00754A105     1,533,025     68,900           X            1        68,900
Advanced Tissue Sciences Inc       COMMON  00755F103           831        270           X            1           270
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 2
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Aeroflex Inc                       COMMON  007768104     1,023,750     84,000     X                                     84,000
Aegon N.V.                         COMMON  007924103       658,438      7,612           X            1         7,612
Affiliated Computer Svcs-A         COMMON  008190100       740,391     18,225     X                                     18,225
Affiliated Computer Svcs-A         COMMON  008190100        26,406        650           X            1           650
Affiliated Managers Group          COMMON  008252108        35,425      1,300     X                                      1,300
Affiliated Managers Group          COMMON  008252108       711,225     26,100           X            1        26,100
Agritope Inc Del                   COMMON  00855D107           400        200     X                                        200
Air Prods & Chems Inc              COMMON  009158106        23,400        800     X                                        800
Airborne Freight Corp              COMMON  009266107        71,613      3,400     X                                      3,400
Airgate PCS Inc                    COMMON  009367103       559,688     22,500     X                                     22,500
Airgate PCS Inc                    COMMON  009367103       116,913      4,700           X            1         4,700
Airtran Holdings Inc               COMMON  00949P108        50,313     10,000     X                                     10,000
Alaska Airlgroup Inc               COMMON  011659109       691,688     17,000     X                                     17,000
Alaska Airlgroup Inc               COMMON  011659109        43,739      1,075           X            1         1,075
Albany Intl Corp New               COMMON  012348108            15          1           X            1             1
Albertsons Inc                     COMMON  013104104    27,242,896    688,604     X                                    688,604
Albertsons Inc                     COMMON  013104104     1,978,125     50,000           X            1        50,000
Alcoa Inc                          COMMON  013817101        20,853        336     X                                        336
Alcatel S A                        COMMON  013904305       596,625     21,500     X                                     21,500
Align-Rite Int'l Inc               COMMON  016251100       250,206     13,300     X                                     13,300
Allegheny Energy Inc               COMMON  017361106       757,031     23,750     X                                     23,750
Allegheny Energy Inc               COMMON  017361106       170,531      5,350           X            1         5,350
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 3
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Allergan Inc                       COMMON  018490102     4,671,260     42,466     X                                     42,466
Allergan Inc                       COMMON  018490102        22,000        200           X            1           200
Allied Signal Inc                  COMMON  019512102       325,101      5,424     X                                      5,424
Allied Waste Inds Inc              COMMON  019589308       298,616     25,550     X                                     25,550
Allied Waste Inds Inc              COMMON  019589308         9,642        825           X            1           825
Allstate Corp                      COMMON  020002101       369,574     14,820     X                                     14,820
Allstate Corp                      COMMON  020002101       935,156     37,500           X            1        37,500
Alltel Corp                        COMMON  020039103     9,285,735    131,947     X                                    131,947
Alltel Corp                        COMMON  020039103       147,788      2,100           X            1         2,100
Alpha Inds Inc                     COMMON  020753109     2,730,063     48,400     X                                     48,400
Alpharma Inc Cl A                  COMMON  020813101       551,758     15,625     X                                     15,625
Alpharma Inc Cl A                  COMMON  020813101     1,086,742     30,775           X            1        30,775
Altera Corp                        COMMON  021441100     1,263,297     29,125     X                                     29,125
Altera Corp                        COMMON  021441100        43,375      1,000           X            1         1,000
Alteon Websystems Inc              COMMON  02145A109       987,000     10,500     X                                     10,500
Alza Corp                          COMMON  022615108     1,264,142     29,527     X                                     29,527
Alza Corp                          COMMON  022615108       770,625     18,000           X            1        18,000
Amazon.com Inc                     COMMON  023135106        15,988        200     X                                        200
Ambac Financial Group, Inc.        COMMON  023139108    38,357,169    809,650     X                                    809,650
Ambac Financial Group, Inc.        COMMON  023139108     1,078,966     22,775           X            1        22,775
Ameren Corp                        COMMON  023608102        34,485        912     X                                        912
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 4
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
America Online Inc                 COMMON  02364J104     1,739,925     16,720     X                                     16,720
America West Hldg Corp             COMMON  023657208        34,625      2,000     X                                      2,000
America West Hldg Corp             COMMON  023657208       720,200     41,600           X            1        41,600
American Elec Pwr Inc              COMMON  025537101        34,125      1,000     X                                      1,000
American Express Co                COMMON  025816109    37,024,560    274,256     X                                    274,256
American Express Co                COMMON  025816109     2,970,000     22,000           X            1        22,000
American Gen Corp                  COMMON  026351106       327,635      5,180     X                                      5,180
American Home Prods Corp           COMMON  026609107     2,749,209     66,246     X                                     66,246
American Intl Group Inc            COMMON  026874107    29,244,971    336,391     X                                    336,391
American Intl Group Inc            COMMON  026874107     5,159,197     59,344           X            1        59,344
American Italian Pasta Co-A        COMMON  027070101        42,938      1,500     X                                      1,500
American Italian Pasta Co-A        COMMON  027070101       878,788     30,700           X            1        30,700
American Mgmt Sys I                COMMON  027352103        16,677        650           X            1           650
American Pwr Conversion Corp       COMMON  029066107       600,400     31,600     X                                     31,600
American Real Estate Prtnrs        COMMON  029169109     1,214,684    142,904     X                                    142,904
American Xtal Technology Inc       COMMON  030514103     2,231,550    104,400     X                                    104,400
Amerisource Health Corp - Cl A     COMMON  03071P102       596,925     25,200     X                                     25,200
Amerisource Health Corp - Cl A     COMMON  03071P102        18,950        800           X            1           800
Ametek Inc New                     COMMON  031100100       143,641      7,250     X                                      7,250
AMF BOWLING INC                    COMMON  03113V109       209,545     50,799     X                                     50,799
Amgen                              COMMON  031162100     7,018,780     86,120     X                                     86,120
Amresco Inc                        COMMON  031909104           900        300           X            1           300
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 5
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Amsouth Bancorporation             COMMON  032165102     1,734,891     74,022     X                                     74,022
Amsouth Bancorporation             COMMON  032165102        40,430      1,725           X            1         1,725
Anadigics Inc                      COMMON  032515108     1,274,063     45,300     X                                     45,300
Anadigics Inc                      COMMON  032515108       883,125     31,400           X            1        31,400
Analog Devices Inc                 COMMON  032654105    10,111,625    197,300     X                                    197,300
Analog Devices Inc                 COMMON  032654105       201,156      3,925           X            1         3,925
Anheuser Busch Cos Inc             COMMON  035229103    11,766,997    167,950     X                                    167,950
Anheuser Busch Cos Inc             COMMON  035229103       178,659      2,550           X            1         2,550
Anixter International Inc          COMMON  035290105        26,273      1,130           X            1         1,130
Anntaylor Stores Corp              OPTION  0361159VI        23,750         50     X
Ann Taylor Stores Corp             OPTION  0361159VJ        23,125         25     X
Antec Corpt 50.00                  COMMON  03664P105     2,236,563     42,100     X                                     42,100
Apache Corp                        COMMON  037411105       433,603     10,040     X                                     10,040
Aphton Corp                        COMMON  03759P101        53,000      4,000     X                                      4,000
Apple Computer Inc                 COMMON  037833100    18,309,025    289,185     X                                    289,185
Apple Computer Inc                 COMMON  037833100       326,059      5,150           X            1         5,150
Applied Materials Inc              COMMON  038222105     7,112,291     91,550     X                                     91,550
Applied Materials Inc              COMMON  038222105       126,242      1,625           X            1         1,625
Applied Pwr Inc                    COMMON  038225108     2,402,663     79,100     X                                     79,100
Applied Pwr Inc                    COMMON  038225108       881,634     29,025           X            1        29,025
Aptargroup Inc                     COMMON  038336103        16,719        625           X            1           625
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 6
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Archstone Communities Trust        COMMON  039581103       513,500     26,000     X                                     26,000
Arctic Cat Inc                     COMMON  039670104         9,802      1,025           X            1         1,025
Arizona Instrument Corp            COMMON  040903205         2,050        400     X                                        400
Armstrong World Inds Inc           COMMON  042476101       337,031      7,500     X                                      7,500
Armstrong World Inds Inc           COMMON  042476101       741,469     16,500           X            1        16,500
Aronex Pharmaceuticals Inc         COMMON  042666206         3,875      1,000     X                                      1,000
Arvin Inds Inc                     COMMON  043339100       249,356      8,060     X                                      8,060
Arvin Inds Inc                     COMMON  043339100        13,148        425           X            1           425
Asarco Inc                         COMMON  043413103       810,000     30,000     X                                     30,000
Asarco Inc                         OPTION  0434139O3         1,531         35     X
Ashland Inc 22.50                  COMMON  044204105         6,725        200     X                                        200
Aspect Telecommunictions           COMMON  045237104     3,230,850    190,400     X                                    190,400
Aspect Telecommunictions           COMMON  045237104         5,091        300           X            1           300
Aspen Technology Inc               COMMON  045327103     2,907,450    298,200     X                                    298,200
At Home Corp - Ser A               COMMON  045919107        47,239      1,140     X                                      1,140
Associates First Capital Crp       COMMON  046008108        21,456        596     X                                        596
Astoria Finl Corp                  COMMON  046265104         2,768         90           X            1            90
Atlantic Richfield Co              COMMON  048825103     1,005,717     11,348     X                                     11,348
Atmel Corp                         COMMON  049513104     1,103,133     32,625     X                                     32,625
Atmel Corp                         COMMON  049513104        14,370        425           X            1           425
Aurora Foods Inc/De                COMMON  05164B106       283,200     17,700     X                                     17,700
Aurora Foods Inc/De                COMMON  05164B106     1,076,800     67,300           X            1        67,300
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 7
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>      <C>    <C>        <C>
Automatic Data Processing In       COMMON  053015103       128,163      2,872     X                                      2,872
Autozone Inc                       COMMON  053332102    30,629,405  1,091,471     X                                  1,091,471
Autozone Inc                       COMMON  053332102     2,245,000     80,000           X            1        80,000
Avalonbay Cmntys Inc               COMMON  053484101        33,875      1,000     X                                      1,000
Aviron                             COMMON  053762100         6,063        250     X                                        250
Avon Products                      COMMON  054303102       930,469     37,500           X            1        37,500
Axent Technologies Inc             COMMON  05459C108     4,090,838    316,200     X                                    316,200
Axsys Technologies Inc             COMMON  054615109       128,125     12,500     X                                     12,500
Azurix Corp                        COMMON  05501M104     1,203,125     70,000     X                                     70,000
Bei Medical Systems Co Inc         COMMON  05538E109         6,250      4,000     X                                      4,000
BJ Svcs Co                         COMMON  055482103        54,081      1,700     X                                      1,700
BJ Svcs Co                         COMMON  055482103     1,177,063     37,000           X            1        37,000
BJS Whsl Club Inc                  COMMON  05548J106       460,436     15,575     X                                     15,575
BJS Whsl Club Inc                  COMMON  05548J106        21,433        725           X            1           725
BP Amoco PLC                       COMMON  055622104     2,067,245     18,655     X                                     18,655
BSB Bancorp                        COMMON  055652101           192          8           X            1             8
BMC Software Inc                   COMMON  055921100    55,938,617    781,675     X                                    781,675
BMC Software Inc                   COMMON  055921100     5,367,188     75,000           X            1        75,000
Bank of America Corp               COMMON  060505104     4,278,025     76,822     X                                     76,822
Bank of America Corp               COMMON  060505104       651,562     11,700           X            1        11,700
Bank New York Inc                  COMMON  064057102    29,337,160    877,373     X                                    877,373
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 8
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>     <C>       <C>      <C>
Bank New York Inc                  COMMON  064057102     3,343,750    100,000           X            1       100,000
Bank One Corp                      COMMON  06423A103       151,086      4,340     X                                      4,340
Bank One Corp                      COMMON  06423A103     1,861,076     53,460           X            1        53,460
Banknorth Group Inc                COMMON  06646L100        19,419        650           X            1           650
Banta Corp                         COMMON  066821109         7,809        350     X                                        350
Bard Cr Inc                        COMMON  067383109     2,130,755     45,275     X                                     45,275
Bard Cr Inc                        COMMON  067383109        23,531        500           X            1           500
Barnes & Noble Inc                 COMMON  067774109        39,000      1,500     X                                      1,500
Barnesandnoble.Com Inc             COMMON  067846105        15,450        800     X                                        800
Barrick Gold Corp                  COMMON  067901108     3,436,500    158,000     X                                    158,000
Barrett Res Corp                   COMMON  068480201        11,081        300           X            1           300
Battle Mtn Gold Co                 COMMON  071593107         7,229      2,268     X                                      2,268
Baxter International Inc           COMMON  071813109    31,086,650    515,961     X                                    515,961
Baxter International Inc           COMMON  071813109     3,111,913     51,650           X            1        51,650
BE Aerospace Inc                   COMMON  073302101       213,681     17,900     X                                     17,900
BE Aerospace Inc                   COMMON  073302101       593,294     49,700           X            1        49,700
Bear Stearns Cos Inc               COMMON  073902108     6,792,867    176,725     X                                    176,725
Bear Stearns Cos Inc               COMMON  073902108     1,755,248     45,665           X            1        45,665
Beauticontrol Cosmetics Inc        COMMON  074655101        38,648     12,125     X                                     12,125
Beckman Coulter Inc                COMMON  075811109        68,139      1,510     X                                      1,510
Beckman Coulter Inc                COMMON  075811109       676,875     15,000           X            1        15,000
Becton Dickinson & Co              COMMON  075887109        30,869      1,100     X                                      1,100
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 9
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Bed Bath & Beyond Inc              COMMON  075896100        48,913      1,400     X                                      1,400
Bed Bath & Beyond Inc              COMMON  075896100       939,819     26,900           X            1        26,900
Bedford Ppty Invs I                COMMON  076446301        10,125        600     X                                        600
Bel Fuse Inc                       COMMON  077347201       345,000     10,000     X                                     10,000
Bel Fuse Inc                       COMMON  077347300       373,438     12,500     X                                     12,500
Belden Inc                         COMMON  077459105       896,875     43,750     X                                     43,750
Belden Inc                         COMMON  077459105        52,788      2,575           X            1         2,575
Bell Atlantic Corp                 COMMON  077853109    35,468,572    526,924     X                                    526,924
Bell Atlantic Corp                 COMMON  077853109     3,180,516     47,250           X            1        47,250
Bellsouth Corp                     COMMON  079860102    18,778,500    417,300     X                                    417,300
Bellsouth Corp                     COMMON  079860102       193,500      4,300           X            1         4,300
Bergen Brunswig Corp               COMMON  083739102        23,240      2,240     X                                      2,240
Berkshire Hathaway                 COMMON  084670108     2,834,392         52     X                                         52
Berkshire Hathaway Inc Del         COMMON  084670207       306,240        165     X                                        165
Best Buy Inc                       COMMON  086516101       191,580      3,090     X                                      3,090
Bestfoods                          COMMON  08658U101     7,865,522    161,967     X                                    161,967
Bestfoods                          COMMON  08658U101       128,691      2,650           X            1         2,650
Beverly Enterprises Inc            COMMON  087851309         4,250      1,000     X                                      1,000
Big Flower Holdings Inc            COMMON  089159107       240,656      8,500     X                                      8,500
Big Flower Holdings Inc            OPTION  0891598OF         6,000         20     X
Big Flower Holdings Inc            OPTION  0891598XF         8,625         30     X
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 10
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>       <C>     <C>      <C>
Big Flower Holdings Inc            OPTION  0891599C3         5,000         50     X
Billing Concepts Corp              COMMON  090063108         7,000      1,400           X            1         1,400
Biochem Pharmaceuticals            COMMON  09058T108       112,291      4,691     X                                      4,691
Biochem Pharma Inc                 OPTION  09058T9VD         1,500         60     X
Biogen N Vct 20.00                 COMMON  090597105     5,392,745     68,425     X                                     68,425
Biogen N V                         COMMON  090597105        55,169        700           X            1           700
Biomet Inc                         COMMON  090613100        26,313      1,000     X                                      1,000
Biomet Inc                         COMMON  090613100       510,463     19,400           X            1        19,400
Biotime Inc                        OPTION  09066l9XB         4,375         25     X
Birmingham Stl Corp                COMMON  091250100           763        100           X            1           100
Biomira Inc                        COMMON  09161R106         5,821      2,166     X                                      2,166
Block H & R Inc                    COMMON  093671105     1,849,178     42,571     X                                     42,571
Blount International Inc           COMMON  095180105         9,248        685     X                                        685
Bluefly Inc                        COMMON  096227103       666,775     71,600     X                                     71,600
Boeing Co                          COMMON  097023105       575,565     13,503     X                                     13,503
Boise Cascade Corp                 COMMON  097383103    14,839,937    407,271     X                                    407,271
Boise Cascade Corp                 COMMON  097383103       275,103      7,550           X            1         7,550
Borders Group Inc                  COMMON  099709107        11,750        800     X                                        800
Borg-Warner Automotive Inc         COMMON  099724106         8,600        200     X                                        200
Boston Properties Inc              COMMON  101121101       503,275     16,400     X                                     16,400
Bradlees Inc                       COMMON  104499207       296,000     18,500     X                                     18,500
Brandwine Realty Trust             COMMON  105368203        16,250      1,000     X                                      1,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 11
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Brass Eagle Inc                    COMMON  10553F106         9,188        700     X                                        700
Brinker Intl Inc                   COMMON  109641100       583,197     21,550     X                                     21,550
Brinker Intl Inc                   COMMON  109641100        18,267        675           X            1           675
Bristol Myers Squibb Co            COMMON  110122108    68,151,105  1,009,646     X                                  1,009,646
Bristol Myers Squibb Co            COMMON  110122108     9,058,500    134,200           X            1       134,200
Broadbase Software Inc             COMMON  11130R100     1,302,094     81,700     X                                     81,700
Broad com Corp - Cl A              COMMON  111320107        54,500        500     X                                        500
Brocade Communications Sys         COMMON  111621108        49,140        234     X                                        234
Brocade Communications Sys         COMMON  111621108     1,197,000      5,700           X            1         5,700
Brunswick Corp                     COMMON  117043109     9,599,263    385,900     X                                    385,900
Brunswick Corp                     COMMON  117043109       166,663      6,700           X            1         6,700
BUCKEYE TECHNOLOGIES INC           COMMON  118255108        25,100      1,600     X                                      1,600
Burlington Northern Santafe        COMMON  12189T104       375,678     13,661     X                                     13,661
Burlington Northern Santafe        COMMON  12189T104       841,500     30,600           X            1        30,600
CBS Corp                           COMMON  12490K107    39,775,463    860,010     X                                    860,010
CBS Corp                           COMMON  12490K107     4,625,000    100,000           X            1       100,000
C-COR ELECTRONICS                  COMMON  125010108       455,625     15,000     X                                     15,000
C-Cube Microsystems Inc            COMMON  125015107        23,925        550           X            1           550
CDI Corp                           COMMON  125071100       502,550     18,400     X                                     18,400
CDI Corp                           COMMON  125071100        44,383      1,625           X            1         1,625
Cigna Corp                         COMMON  125509109       283,788      3,650     X                                      3,650
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 12
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
CK Witco Corp                      COMMON  12562C108       755,219     50,771     X                                     50,771
CK Witco Corp                      COMMON  12562C108        23,800      1,600           X            1         1,600
CNF Transportation Inc             COMMON  12612W104       204,875      5,500     X                                      5,500
CSX Corp                           COMMON  126408103       210,858      4,976     X                                      4,976
CTS Corp                           COMMON  126501105       103,500      1,800     X                                      1,800
CVS Corp                           COMMON  126650100            21          1     X                                          1
Cablevision Sys Corp               COMMON  12686C109    10,556,025    145,100     X                                    145,100
Cadbury Schweppes P L C            COMMON  127209302        42,805      1,546     X                                      1,546
Cadence Designs Sys Inc            COMMON  127387108       423,988     31,700     X                                     31,700
Cambrex Corp                       COMMON  132011107        21,811        825           X            1           825
Campbell Soup Co                   COMMON  134429109     1,752,800     44,800           X            1        44,800
Cantel Ind Inc                     COMMON  138098108     1,458,115    291,623     X                                    291,623
Capital Enviro Resource Inc        COMMON  14008M104       522,500     95,000     X                                     95,000
Capital One Finl Corp              COMMON  14040H105       298,350      7,650     X                                      7,650
Cardinal Health Inc                COMMON  14149Y108        19,212        353     X                                        353
Career Education Corp              COMMON  141665109        46,400      1,600     X                                      1,600
Career Education Corp              COMMON  141665109       855,500     29,500           X            1        29,500
Caredata.com Inc                   COMMON  14166W100     3,311,463    362,900     X                                    362,900
Cardiothoracic Systems Inc         COMMON  141907105       757,100     45,200     X                                     45,200
Carmike Cinemas Inc                COMMON  143436103         4,856        370           X            1           370
Carnival Corp Cl A                 COMMON  143658102    36,192,740    832,017     X                                    832,017
Carnival Corp Cl A                 COMMON  143658102     4,350,000    100,000           X            1       100,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 13
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Carter Wallace Inc                 COMMON  146285101        53,625      3,000     X                                      3,000
Case Corporation                   OPTION  14743R9A3        16,875         50     X
CASELLA WASTE SYSTEMS INC-A        COMMON  147448104     1,046,306     62,700     X                                     62,700
Casey's General Stores Inc         COMMON  147528103        10,055        750           X            1           750
Cash Amer Invts Inc                COMMON  14754D100         1,888        200           X            1           200
Catalina Marketing Corp            COMMON  148867104        42,406        500     X                                        500
Catalina Marketing Corp            COMMON  148867104       644,575      7,600           X            1         7,600
Catellus Dev Corp                  COMMON  149111106        27,190      2,314     X                                      2,314
Caterpillar Inc                    COMMON  149123101       119,711      2,184     X                                      2,184
Cell Pathways Inc                  OPTION  15114R9JV           500         40     X
Cell Pathways Inc0                 OPTION  15114R9VB         2,344         25     X
Cendant Corporation                COMMON  151313103        28,933      1,630     X                                      1,630
Cenit Bancorp Inc                  COMMON  15131W109        18,125      1,000     X                                      1,000
Centerpoint Pptys Corp             COMMON  151895109       506,250     15,000     X                                     15,000
Centex Corp                        COMMON  152312104       130,075      4,400     X                                      4,400
Central & South West Corp          COMMON  152357109       372,328     17,625     X                                     17,625
Central Vt Pub Svc Corp            COMMON  155771108         2,967        225     X                                        225
Centris Group Inc                  COMMON  155904105        20,125      2,000     X                                      2,000
Centura Bks Inc                    COMMON  15640T100         6,206        150           X            1           150
CenturyTel Inc                     COMMON  156700106       672,831     16,562     X                                     16,562
CenturyTel Inc                     COMMON  156700106        36,563        900           X            1           900
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 14
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Champion Enterprises Inc           COMMON  158496109         3,780        420           X            1           420
Champion Intl Corp                 COMMON  158525105     3,776,063     73,500     X                                     73,500
Charter One Fincl Inc              COMMON  160903100         7,479        323     X                                        323
Charming Shoppes Inc               COMMON  161133103        25,625      5,000     X                                      5,000
Chase Manhattan Corp               COMMON  16161A108     1,372,956     18,215     X                                     18,215
Cheap Tickets Inc                  COMMON  162672109        29,138        900     X                                        900
Chesapeake Corp                    COMMON  165159104        80,163      2,650     X                                      2,650
Chevron Corp                       COMMON  166751107     1,794,348     20,218     X                                     20,218
Chicago Title Corp                 COMMON  168228104       139,781      3,500     X                                      3,500
Children's Place                   OPTION  1689059VE         2,000         20     X
Chiron Corp 25.00                  COMMON  170040109        58,891      2,127     X                                      2,127
Chris Craft Inds Inc               COMMON  170520100        37,051        660     X                                        660
Chubb Corp                         COMMON  171232101       235,719      4,750     X                                      4,750
Ciber Inc                          COMMON  17163B102        13,398        875           X            1           875
Ciena Corp                         COMMON  171779101       145,088      3,975     X                                      3,975
Cincinnati Bell Inc                COMMON  171870108       304,197     15,650     X                                     15,650
Cinergy Corp                       COMMON  172474108        30,153      1,065     X                                      1,065
Cisco Systems                      COMMON  17275R102    49,238,571    718,156     X                                    718,156
Cisco Systems                      COMMON  17275R102     4,398,284     64,150           X            1        64,150
Citadel Communications Corp        COMMON  172853202        47,775      1,400     X                                      1,400
Citadel Communications Corp        COMMON  172853202       890,663     26,100           X            1        26,100
Cintas                             COMMON  172908105       837,414     14,485     X                                     14,485
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 15
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>         <C>         <C>   <C>     <C>    <C>        <C>    <C>      <C>
Cintas                             COMMON  172908105        28,906        500           X            1           500
Citigroup Inc                      COMMON  172967101    47,350,864  1,076,156     X                                  1,076,156
Citigroup Inc                      COMMON  172967101     2,367,200     53,800           X            1        53,800
Citrix Systems Inc                 COMMON  177376100     8,423,500    136,000     X                                    136,000
Citrix Systems Inc                 COMMON  177376100        30,969        500           X            1           500
Claires Stores Inc                 COMMON  179584107       152,375      9,200     X                                      9,200
Clarcor Inc                        COMMON  179895107         7,061        420           X            1           420
Clarify Inc                        COMMON  180492100     2,012,500     40,000     X                                     40,000
Clayton Homes Inc                  COMMON  184190106        52,994      6,100     X                                      6,100
Clear Channel Communications       COMMON  184502102    10,719,225    134,200     X                                    134,200
Clear Channel Communications       OPTION  1845029VQ        27,500         50     X
Clinichem Dev Inc                  COMMON  186906103           915        118     X                                        118
Clorox Co                          COMMON  189054109        55,080      1,440     X                                      1,440
Coastal Corp                       COMMON  190441105    10,718,256    261,820     X                                    261,820
Coastal Corp                       COMMON  190441105     1,326,375     32,400           X            1        32,400
Coca-Cola Company                  COMMON  191216100     4,370,968     90,590     X                                     90,590
Coca Cola Co  Lg-Tm                OPTION  1912169MM        34,000         20     X
Coca-Cola Enterprises              COMMON  191219104         8,123        360     X                                        360
Cogeneration Corp of Amer          COMMON  19238M105       614,363     25,400     X                                     25,400
Cognex Corp                        COMMON  192422103         8,453        280           X            1           280
Colgate Palmolive Co               COMMON  194162103    31,831,844    695,778     X                                    695,778
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 16
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Colgate Palmolive Co               COMMON  194162103     3,019,500     66,000           X            1        66,000
Columbia Energy Group              OPTION  1976489A8        11,200         28     X
Comair Holdings Inc                COMMON  199789108        12,507        750           X            1           750
Comfort Systems U S A Inc          COMMON  199908104            59          5     X                                          5
Comcast Corp                       COMMON  200300200       231,754      5,812     X                                      5,812
Comdisco Inc                       COMMON  200336105     1,006,761     52,130     X                                     52,130
Comdisco Inc                       COMMON  200336105        11,588        600           X            1           600
Comerica Inc                       COMMON  200340107     9,918,703    195,925     X                                    195,925
Comerica Inc                       COMMON  200340107       129,094      2,550           X            1         2,550
Commerce One Inc                   COMMON  200693109        39,088        400     X                                        400
Commerce One Inc                   COMMON  200693109       674,259      6,900           X            1         6,900
Commercial Federal                 COMMON  201647104         4,121        210           X            1           210
Compaq Computers                   COMMON  204493100       569,588     24,900     X                                     24,900
Compass Bancshares Inc             COMMON  20449H109       542,500     21,700     X                                     21,700
Compass Bancshares Inc             COMMON  20449H109        26,250      1,050           X            1         1,050
Complete Business Solutions        COMMON  20452F107        88,969      6,500     X                                      6,500
Compucredit Corp                   COMMON  20478N100        72,394      3,900     X                                      3,900
Compucredit Corp                   COMMON  20478N100     1,223,269     65,900           X            1        65,900
Computer Assoc Intl Inc            COMMON  204912109    46,143,263    754,900     X                                    754,900
Computer Assoc Intl Inc            COMMON  204912109       149,756      2,450           X            1         2,450
Compusa Inc                        COMMON  204932107         2,400        400     X                                        400
Computer Sciences Corp             COMMON  205363104    28,518,750    405,600     X                                    405,600
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 17
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Computer Sciences Corp             COMMON  205363104     2,460,938     35,000           X            1        35,000
Computer Sciences Corp             OPTION  2053639X4         7,438         35     X
Computer Task Group Inc            COMMON  205477102        14,750      1,000           X            1         1,000
Computron Software Inc             COMMON  205631104       151,125    241,800     X                                    241,800
Compuware                          COMMON  205638109    11,999,071    460,396     X                                    460,396
Compuware                          COMMON  205638109       204,591      7,850           X            1         7,850
Comsat Corp                        OPTION  20564D8MF        25,594        105     X
Comverse Technology Inc            COMMON  205862402     1,246,057     13,212     X                                     13,212
Comverse Technology Inc            COMMON  205862402        40,083        425           X            1           425
Conagra Par $0.10                  COMMON  205887102     7,839,905    347,475     X                                    347,475
Concentric Network Corp            COMMON  20589R107     4,491,094    221,100     X                                    221,100
Concentric Network Corp            COMMON  20589R107       621,563     30,600           X            1        30,600
Concord Communications Inc         COMMON  206186108     1,303,800     32,800     X                                     32,800
Conectiv Inc                       COMMON  206829103       920,648     46,912     X                                     46,912
Conectiv Inc                       COMMON  206829103        26,494      1,350           X            1         1,350
Connecticut Energy Corp            COMMON  207567108       804,700     20,800     X                                     20,800
Conseco Inc                        COMMON  208464107       187,150      9,850     X                                      9,850
Conseco Inc                        COMMON  208464107         9,025        475           X            1           475
Consolidated Edison Inc            COMMON  209115104        37,558        905     X                                        905
Consolidated Natural Gas Co        COMMON  209615103        87,637      1,405     X                                      1,405
Constellation Energy Group         COMMON  210371100    15,540,750    552,560     X                                    552,560
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 18
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Constellation Energy Group         COMMON  210371100     1,109,531     39,450           X            1        39,450
Convergys Corp                     COMMON  212485106       427,950     21,600     X                                     21,600
Convergys Corp                     COMMON  212485106        16,841        850           X            1           850
Cooper Inds Inc                    COMMON  216669101       144,691      3,095     X                                      3,095
Cooper Inds Inc                    COMMON  216669101       626,450     13,400           X            1        13,400
Cooper Tire & Rubr Co              COMMON  216831107         2,168        123     X                                        123
Coors Adolph Co                    COMMON  217016104       566,959     10,475     X                                     10,475
Coors Adolph Co                    COMMON  217016104        21,650        400           X            1           400
Copper Mountain Networks Inc       COMMON  217510106        43,813        500     X                                        500
Copper Mountain Networks Inc       COMMON  217510106       753,575      8,600           X            1         8,600
Cordant Technologies Inc           COMMON  218412104        54,788      1,800     X                                      1,800
Cornerstone Propane Partners       COMMON  218916104         7,938        500     X                                        500
Corn Prods Intl Inc                COMMON  219023108         6,727        221     X                                        221
Cornerstone Properties Inc         COMMON  21922H103       716,750     47,000     X                                     47,000
Corning Inc                        COMMON  219350105     1,403,817     20,475     X                                     20,475
Cort Business Corp                 COMMON  220493100       173,438      7,500     X                                      7,500
Costco Wholesale Corp              COMMON  22160K105        21,600        300     X                                        300
Costar Group Inc                   COMMON  22160N109       885,763     37,100     X                                     37,100
Countrywide Cr Inds Inc            COMMON  222372104        35,475      1,100     X                                      1,100
Countrywide Cr Inds Inc            COMMON  222372104       651,450     20,200           X            1        20,200
Covance Inc                        COMMON  222816100        14,531      1,500     X                                      1,500
Cover-all Technologies Inc         COMMON  222892101       636,813    443,000     X                                    443,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 19
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>     <C>
Cox Communications Inc New         COMMON  224044107       310,734      7,443     X                                      7,443
Coyote Network Systems Inc         COMMON  22406P108        26,563      5,000     X                                      5,000
Crane Co                           COMMON  224399105       302,906     13,500     X                                     13,500
Crane Co                           COMMON  224399105        17,950        800           X            1           800
CREDITRUST CORPORATION             COMMON  225429109     1,077,000     48,000     X                                     48,000
Cree Resh Inc                      COMMON  225447101        67,875      2,000     X                                      2,000
Crescent Real Estate               COMMON  225756105       738,090     41,005     X                                     41,005
Crescent Real Estate               COMMON  225756105     1,440,000     80,000           X            1        80,000
Crescent Operating Inc             COMMON  22575M100             8          2     X                                          2
Crown Pac Partners L P             COMMON  228439105        10,469        500     X                                        500
Cullen Frost Banker                COMMON  229899109         7,500        300           X            1           300
Cummins Engine Co Inc              COMMON  231021106       242,836      4,875     X                                      4,875
Cypress Semiconductor Corp         COMMON  232806109     1,217,438     56,625     X                                     56,625
Cypress Semiconductor Corp         COMMON  232806109        45,150      2,100           X            1         2,100
Cyprus Amax Minerals Co            COMMON  232809103       405,943     20,685     X                                     20,685
Cytec Inds Inc                     COMMON  232820100     9,041,555    384,747     X                                    384,747
Cytec Inds Inc                     COMMON  232820100     1,385,913     58,975           X            1        58,975
Cytyc Corporation                  COMMON  232946103        58,031      1,500     X                                      1,500
Dii Group Inc                      COMMON  232949107       351,875     10,000     X                                     10,000
DQE Inc                            COMMON  23329J104        15,650        400     X                                        400
DST Systems Inc                    COMMON  233326107       480,594      8,450     X                                      8,450
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 20
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
DST Systems Inc                    COMMON  233326107        18,484        325           X            1           325
DTE Energy Co                      COMMON  233331107       995,766     27,375     X                                     27,375
DTE Energy Co                      COMMON  233331107        10,913        300           X            1           300
Dairy Mart Convenience Strs        COMMON  233860204         6,750      2,000     X                                      2,000
Dallas Semiconductor Corp          COMMON  235204104       152,297      2,850     X                                      2,850
Dallas Semiconductor Corp          COMMON  235204104        28,055        525           X            1           525
Dana Corp                          COMMON  235811106       129,938      3,500     X                                      3,500
Danaher Corp                       COMMON  235851102        10,538        200     X                                        200
Darden Restaurants Inc             COMMON  237194105     9,880,843    505,091     X                                    505,091
Darden Restaurants Inc             COMMON  237194105       178,019      9,100           X            1         9,100
Data Broadcasting Corp             COMMON  237596101        94,531     12,500     X                                     12,500
Dayton Hudson Corp                 COMMON  239753106    10,403,546    173,212     X                                    173,212
Dayton Hudson Corp                 COMMON  239753106       117,122      1,950           X            1         1,950
Dean Foods Co                      COMMON  242361103       102,372      2,350     X                                      2,350
Del Laboratories Inc               COMMON  245091103       119,000      8,500     X                                      8,500
Dell Computer Corp                 COMMON  247025109    27,499,245    657,680     X                                    657,680
Dell Computer Corp                 COMMON  247025109     4,848,159    115,950           X            1       115,950
Delphi Automotive Systems          COMMON  247126105        45,519      2,834     X                                      2,834
Delphi Finl Group Inc              COMMON  247131105         6,913        229           X            1           229
Delta & Pine Ld Co                 COMMON  247357106       258,750     10,000     X                                     10,000
Delta & Pine Ld Co                 OPTION  2473578VE         5,775         42     X
Delta & Pine Ld Co                 OPTION  2473578VX         1,400         28     X
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 21
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>          <C>        <C>  <C>     <C>    <C>        <C>    <C>      <C>
Delta Air Lines Inc Del            COMMON  247361108     9,280,718    191,355     X                                    191,355
Delta Air Lines Inc Del            COMMON  247361108       162,475      3,350           X            1         3,350
Denali Inc                         COMMON  248221103       148,656     35,500     X                                     35,500
Dentsply International Inc         COMMON  249030107       468,081     20,575     X                                     20,575
Dentsply International Inc         COMMON  249030107        31,850      1,400           X            1         1,400
Devon Energy Corp                  COMMON  25179M103     6,251,924    150,876     X                                    150,876
Devry Inc                          COMMON  251893103        11,200        560           X            1           560
Dial Corp                          COMMON  25247D101       888,675     34,850     X                                     34,850
Diamond Tech Partners Inc.         COMMON  252762109        76,288      1,700     X                                      1,700
Diamond Tech Partners Inc.         COMMON  252762109     1,247,525     27,800           X            1        27,800
Digital Insight                    COMMON  25385P106        18,000      1,200     X                                      1,200
Digital Insight                    COMMON  25385P106         4,500        300           X            1           300
Dillards Inc - Cl A                COMMON  254067101       130,000      6,400     X                                      6,400
Dillards Inc - Cl A                COMMON  254067101        50,781      2,500           X            1         2,500
Dime Bancorp Inc New               COMMON  25429Q102       960,750     54,900     X                                     54,900
Dime Bancorp Inc New               COMMON  25429Q102        24,500      1,400           X            1         1,400
Dimon Inc                          COMMON  254394109         1,085        280           X            1           280
Dionex Corp                        COMMON  254546104     1,080,036     25,264     X                                     25,264
The Walt Disney Co.                COMMON  254687106     5,236,374    201,399     X                                    201,399
Dollar Thrifty Automotive GP       COMMON  256743105       331,000     16,000     X                                     16,000
Dollar Tree Stores Inc             COMMON  256747106        59,906      1,500     X                                      1,500
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 22
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Dollar Tree Stores Inc             COMMON  256747106     1,202,119     30,100           X            1        30,100
Dominion Res Inc Va                COMMON  257470104        22,563        500     X                                        500
Donaldson Lufkin & Jenrette        COMMON  257661108        19,781        500     X                                        500
Donnelley R R & Sons Co            COMMON  257867101     7,908,863    273,900     X                                    273,900
Donnelley R R & Sons Co            COMMON  257867101       129,938      4,500           X            1         4,500
Doubleclick                        COMMON  258609304        17,869        150     X                                        150
Dow Chemical Corp                  COMMON  260543103       343,148      3,020     X                                      3,020
Dress Barn Inc                     COMMON  261570105        18,344      1,000           X            1         1,000
Drkoop.com Inc                     COMMON  262098106     2,217,506    156,300     X                                    156,300
Drugstore.com Inc                  COMMON  262241102        32,625        900     X                                        900
Drugstore.com Inc                  COMMON  262241102       565,500     15,600           X            1        15,600
Dset Software                      COMMON  262504103     2,278,031    155,100     X                                    155,100
Du Pont E I De Nemours & Co        COMMON  263534109     1,145,568     18,935     X                                     18,935
Du Pont E I De Nemours & Co        COMMON  263534109     1,082,950     17,900           X            1        17,900
Duane Reade Inc                    COMMON  263578106        24,100        800     X                                        800
Duff & Phelps Selected Utils       COMMON  264324104        29,063      3,000     X                                      3,000
Duke Realty Investment Inc         COMMON  264411505       273,000     14,000     X                                     14,000
Duke Realty Investment Inc         COMMON  264411505     1,560,000     80,000           X            1        80,000
Dycom Industries Inc               COMMON  267475101        42,188      1,000     X                                      1,000
Dycom Industries Inc               COMMON  267475101       739,336     17,525           X            1        17,525
EEX Corp                           COMMON  26842V207        88,125     30,000     X                                     30,000
EMC Corp Mass                      COMMON  268648102    30,381,126    425,655     X                                    425,655
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 23
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
EMC Corp Mass                      COMMON  268648102     2,064,522     28,925           X            1        28,925
Ensco International Inc            COMMON  26874Q100     3,216,480    178,075     X                                    178,075
E.Piphany Inc                      COMMON  26881V100        39,000        800     X                                        800
E.Piphany Inc                      COMMON  26881V100       463,125      9,500           X            1         9,500
ESPS Inc                           COMMON  269129102     2,631,256    307,300     X                                    307,300
Etec Sys Inc                       COMMON  26922C103        48,913      1,300     X                                      1,300
Etec Sys Inc                       COMMON  26922C103     1,079,838     28,700           X            1        28,700
E Trade Group Inc                  COMMON  269246104        28,200      1,200     X                                      1,200
Eastern Enterprises                COMMON  27637F100       278,114      5,989     X                                      5,989
Eastern Utils Assoc                COMMON  277173100        23,900        800     X                                        800
Eastern Utils Assoc                COMMON  277173100        56,763      1,900           X            1         1,900
Eastman Chem Co                    COMMON  277432100        45,657      1,145     X                                      1,145
Eastman Kodak Co                   COMMON  277461109     9,166,506    121,210     X                                    121,210
Eastman Kodak Co                   COMMON  277461109     2,293,328     30,325           X            1        30,325
Ebay                               COMMON  278642103       211,594      1,500     X                                      1,500
EBIX.com Inc                       COMMON  278715107       761,940    112,880     X                                    112,880
Edison International               COMMON  281020107       193,284      7,950     X                                      7,950
J.D. Edwards & Co                  COMMON  281667105       113,953      5,500     X                                      5,500
Edwards A G Inc                    COMMON  281760108       256,497      9,725     X                                      9,725
Edwards A G Inc                    COMMON  281760108        21,759        825           X            1           825
Egain Communications Corp          COMMON  28225C103       148,000      8,000     X                                      8,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 24
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Egghead.Com Inc                    COMMON  282330109       175,000     25,000     X                                     25,000
El Paso Energy Corp                COMMON  283905107       252,569      6,275     X                                      6,275
Elan Corp Plc Spons ADR            OPTION  2841319AF         5,625         10     X
Elan Corp Plc Spons ADR            OPTION  2841319AH         3,125         20     X
Electronic Arts Inc                COMMON  285512109     4,624,763     63,900     X                                     63,900
Electronic Arts Inc                COMMON  285512109     1,071,150     14,800           X            1        14,800
Electronic Data Sys Corp           COMMON  285661104       127,050      2,400     X                                      2,400
Electronics For Imaging Corp       COMMON  286082102    32,197,791    626,340     X                                    626,340
Emerson Elec Co                    COMMON  291011104    37,717,377    596,912     X                                    596,912
Emerson Elec Co                    COMMON  291011104     3,925,523     62,125           X            1        62,125
Energy East Corp                   COMMON  29266M109       698,915     29,428     X                                     29,428
Energy East Corp                   COMMON  29266M109        35,625      1,500           X            1         1,500
Energy East Corp                   OPTION  29266M9N1         2,625         35     X
Engage Technologies Inc            COMMON  292827102        11,306        300     X                                        300
Enron Corp                         COMMON  293561106     8,204,288    199,800     X                                    199,800
Entergy Corp New                   COMMON  29364G103        52,088      1,800     X                                      1,800
Entergy Corp New                   COMMON  29364G103     1,383,213     47,800           X            1        47,800
Epimmune Inc                       COMMON  29425Y101             2          1     X                                          1
Epitope Inc                        COMMON  294261102         6,750      1,000     X                                      1,000
Equifax Inc                        COMMON  294429105        14,063        500     X                                        500
Equity Inns Inc                    COMMON  294703103        21,250      2,500     X                                      2,500
Equity Residential Pptys Tr        COMMON  29476L107       603,844     14,250     X                                     14,250
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 25
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Ericsson L M Tel Co                OPTION  2948219MD           500         40     X
Ethan Allen Interiors Inc          COMMON  297602104        46,128      1,450     X                                      1,450
Ethan Allen Interiors Inc          COMMON  297602104       828,716     26,050           X            1        26,050
Etoys Inc                          OPTION  2978629WL        11,375         20     X
Everest Reinsurance Hldgs          COMMON  299808105        59,531      2,500     X                                      2,500
Express Scripts Inc                COMMON  302182100        23,475        300           X            1           300
Extreme Networks Inc               COMMON  30226D106       949,688     15,000     X                                     15,000
Exxon Corp                         COMMON  302290101    12,095,324    159,149     X                                    159,149
Exxon Corp                         COMMON  302290101     3,974,800     52,300           X            1        52,300
FPIC INSURANCE GROUP INC           COMMON  302563101        46,694      3,100     X                                      3,100
FPL Group Inc                      COMMON  302571104    13,077,350    259,600     X                                    259,600
FPL Group Inc                      COMMON  302571104       256,913      5,100           X            1         5,100
Ftd.Com Inc                        COMMON  30265F103       624,038     77,400     X                                     77,400
Ftd.Com Inc                        COMMON  30265F103        37,088      4,600           X            1         4,600
FDX Corp                           COMMON  31304N107     1,909,462     49,118     X                                     49,118
FDX Corp LG-TM                     OPTION  31304N9AH         3,500         10     X
Fed Home Loan Mtg Corp             COMMON  313400301    24,841,180    477,715     X                                    477,715
Fed Home Loan Mtg Corp             COMMON  313400301     3,120,000     60,000           X            1        60,000
Federal Mogul Corp                 COMMON  313549107         1,378         50     X                                         50
Federal Natl Mtg Assn              COMMON  313586109    47,708,573    761,054     X                                    761,054
Federal Natl Mtg Assn              COMMON  313586109     3,496,395     55,775           X            1        55,775
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 26
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
<S>                            <C>                                            <C>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
Federal Rlty Invt Tr               COMMON  313747206         5,863        280           X            1           280
Federated Dept Stores Inc De       COMMON  31410H101    10,576,088    242,085     X                                    242,085
Federated Dept Stores Inc De       COMMON  31410H101       113,588      2,600           X            1         2,600
Felcor Lodging Trust Inc           COMMON  31430F101        73,500      4,200     X                                      4,200
Felcor Lodging Trust Inc           COMMON  31430F101         3,500        200           X            1           200
Ferro Corp                         COMMON  315405100        16,517        775     X                                        775
Ferro Corp                         COMMON  315405100         3,197        150           X            1           150
Fidelity Nat Finl Corp             COMMON  316326107     1,066,163     70,200     X                                     70,200
Fidelity Nat Finl Corp             COMMON  316326107         7,837        516           X            1           516
Filenet Corp                       COMMON  316869106        55,767      5,218     X                                      5,218
Filenet Corp                       COMMON  316869106        23,780      2,225           X            1         2,225
Finova Group Inc                   COMMON  317928109       313,900      8,600     X                                      8,600
Finova Group Inc                   COMMON  317928109        13,688        375           X            1           375
First American Financial Corp      COMMON  318522307        84,263      6,300     X                                      6,300
First American Financial Corp      COMMON  318522307         8,025        600           X            1           600
First Data Corp                    COMMON  319963104     1,079,325     24,600           X            1        24,600
First Tenn Natl Corp               COMMON  337162101       784,688     27,900     X                                     27,900
First Tenn Natl Corp               COMMON  337162101        23,906        850           X            1           850
First Union Corp                   COMMON  337358105    11,033,597    309,715     X                                    309,715
First Union Corp                   COMMON  337358105       183,469      5,150           X            1         5,150
Fiserv Inc                         COMMON  337738108        19,500        600     X                                        600
Fiserv Inc                         COMMON  337738108       357,500     11,000           X            1        11,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 27
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Firstmerit Corporation             COMMON  337915102        15,859        625           X            1           625
Firstenergy Corp                   COMMON  337932107        44,044      1,740     X                                      1,740
Fleet Boston Corp                  COMMON  33901A108     6,581,476    179,699     X                                    179,699
Florida Progress Corp              COMMON  341109106     1,059,125     22,900     X                                     22,900
Florida Progress Corp              COMMON  341109106        20,813        450           X            1           450
Florida Progress                   OPTION  3411099O6         4,063         25     X
Flycast Communications Corp        COMMON  344067103       523,250     11,500     X                                     11,500
Footstar Inc                       COMMON  344912100        18,506        525           X            1           525
Ford Motor Company                 COMMON  345370100    18,845,057    375,026     X                                    375,026
Ford Motor Company                 COMMON  345370100     2,703,450     53,800           X            1        53,800
Forest Labs Inc                    COMMON  345838106     4,751,700    112,800     X                                    112,800
Fort James Corporation             COMMON  347471104        61,381      2,300     X                                      2,300
Fortune Brands                     COMMON  349631101     5,547,000    172,000     X                                    172,000
Fortune Brands                     COMMON  349631101     1,210,988     37,550           X            1        37,550
Fox Entertainment Group Inc Cl A   COMMON  35138T107     3,475,313    165,000     X                                    165,000
Franchise Fin Corp Amer            COMMON  351807102       701,250     30,000     X                                     30,000
Franchise Fin Corp Amer            COMMON  351807102         4,675        200           X            1           200
French Fragrances Inc              COMMON  357658103       270,000     40,000     X                                     40,000
Frontier Ins Group Inc New         COMMON  359081106         1,348        154           X            1           154
Fuisz Technologies Ltd             COMMON  359536109       361,561     57,277     X                                     57,277
Furon Company                      COMMON  361106107       623,438     25,000     X                                     25,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 28
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
GST Telecommunications Inc         COMMON  361942105        33,047      4,700     X                                      4,700
GPU Inc                            COMMON  36225X100     1,037,638     31,805     X                                     31,805
GPU Inc                            COMMON  36225X100        34,256      1,050           X            1         1,050
GTE Corp                           COMMON  362320103    32,344,388    420,740     X                                    420,740
GTE Corp                           COMMON  362320103     2,811,703     36,575           X            1        36,575
Gabelli Equity Tr Inc              COMMON  362397101        31,163      2,770     X                                      2,770
Gabelli Utility Tr                 COMMON  36240A101         2,316        277     X                                        277
Galileo International Inc          COMMON  363547100     8,310,619    206,475     X                                    206,475
Galileo International Inc          COMMON  363547100       134,838      3,350           X            1         3,350
Gallaher Group Plc                 COMMON  363595109        21,750        800     X                                        800
Gannett Inced A D R                COMMON  364730101        78,874      1,140     X                                      1,140
Gannett Inc                        COMMON  364730101     1,522,125     22,000           X            1        22,000
Gap Inc                            COMMON  364760108     1,026,080     32,065     X                                     32,065
Gateway Inc                        COMMON  367626108        44,000      1,000     X                                      1,000
Gencorp Inc                        COMMON  368682100         8,241        450     X                                        450
Gene Logic Inc                     COMMON  368689105     2,198,924    348,344     X                                    348,344
Genentech Inc                      COMMON  368710406     3,481,652     23,796     X                                     23,796
General Amern Invs Inc             COMMON  368802104        29,502        906     X                                        906
General Communication Inc.         COMMON  369385109         4,436        850           X            1           850
General Dynamics Corp              COMMON  369550108       764,859     12,250     X                                     12,250
General Electric Co                COMMON  369604103    92,696,431    781,836     X                                    781,836
General Electric Co                COMMON  369604103    10,519,458     88,725           X            1        88,725
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 29
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
General Elec  Lg-Tm                OPTION  3696049MP           656         15     X
General Growth Pprts Inc           COMMON  370021107        10,238        325           X            1           325
General Instrument Corp            COMMON  370120107     5,880,000    122,500     X                                    122,500
General Magic                      COMMON  370253106           953        500     X                                        500
General Mls Inc                    COMMON  370334104    41,076,021    506,330     X                                    506,330
General Mls Inc                    COMMON  370334104     1,196,594     14,750           X            1        14,750
General Mtrs Corp                  COMMON  370442105       765,320     12,160     X                                     12,160
General Mtrs Corp                  COMMON  370442832         9,733        170     X                                        170
Genesys Tlelcomm Labs Inc          COMMON  371931106       741,462     16,229     X                                     16,229
Genesys Telcomm Labs Inc           OPTION  3719319C2        18,375         49     X
Genesys Telcomm Labs Inc           OPTION  3719319O6         5,775         28     X
Genlyte Group Inc                  COMMON  372302109       412,846     17,383     X                                     17,383
Genrad Inc                         COMMON  372447102        63,113      3,300     X                                      3,300
Genzyme Corp                       COMMON  372917104       136,990      3,040     X                                      3,040
Georgia Pac Corp                   COMMON  373298108         8,088        200     X                                        200
Georgia Pac Corp                   COMMON  373298702       177,281      7,750     X                                      7,750
Gerber Scientific Inc              COMMON  373730100        43,072      1,925           X            1         1,925
Giga Information Group Inc         COMMON  37517M109       808,088    195,900     X                                    195,900
Gillette Co                        COMMON  375766102    24,529,170    722,775     X                                    722,775
Gillette Co                        COMMON  375766102     2,338,294     68,900           X            1        68,900
Glatfelter P H Co                  COMMON  377316104       472,167     28,725     X                                     28,725
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 30
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>       <C>     <C>      <C>
Glatfelter P H Co                  COMMON  377316104        23,013      1,400           X            1         1,400
Glaxo Wellcome P L C               COMMON  37733W105        24,960        480     X                                        480
Global Imaging SysR                COMMON  37934A100       275,118     18,500     X                                     18,500
Global Marine Inc                  COMMON  379352404       244,919     14,900     X                                     14,900
Golden State Bancorp               COMMON  381197102        52,019      2,900     X                                      2,900
Golden West Finl Corp Del          COMMON  381317106       186,794      1,900     X                                      1,900
Golden West Finl Corp Del          COMMON  381317106     1,219,075     12,400           X            1        12,400
Goldman Sachs Group Inc            COMMON  38141G104       219,600      3,600     X                                      3,600
Goodrich B F Co                    COMMON  382388106        16,675        575     X                                        575
Goodyear Tire & Rubr Co            COMMON  382550101        15,978        332     X                                        332
GOODY'S FAMILY CLOTHING INC        COMMON  382588101        32,250      4,000     X                                      4,000
Go2net Inc                         COMMON  383486107        45,325        700     X                                        700
Go2net Inc                         COMMON  383486107       738,150     11,400           X            1        11,400
Greenpoint Financial Corp          COMMON  395384100        26,563      1,000     X                                      1,000
GROUP MAINTENANCE AMERICA CP       COMMON  39943E107       705,000     56,400     X                                     56,400
Gtech Hldgs Corp                   COMMON  400518106        11,791        550           X            1           550
Guidant Corp                       COMMON  401698105       155,513      2,900     X                                      2,900
Guidant Corp                       OPTION  4016988VJ         3,413         42     X
Guilford Pharmaceuticals Inc       COMMON  401829106        78,568      5,152     X                                      5,152
Guilford Pharmaceuticals Inc       COMMON  401829106       516,975     33,900           X            1        33,900
Gulf Canada Resources              COMMON  40218L305       477,794    114,100     X                                    114,100
Gulf Canada Resources              COMMON  40218L305     1,039,338    248,200           X            1       248,200
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 31
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
HCC Ins Hldgs Inc                  COMMON  404132102        10,088        600     X                                        600
Hcr Manor Care                     OPTION  4041349VW           875         10     X
HRPT Properties Trust              COMMON  40426W101        16,875      1,500     X                                      1,500
Hadco Corp                         COMMON  404681108        51,900      1,200     X                                      1,200
Hadco Corp                         COMMON  404681108     1,016,375     23,500           X            1        23,500
Halliburton Co                     COMMON  406216101    23,223,261    566,421     X                                    566,421
Halliburton Co                     COMMON  406216101     2,050,000     50,000           X            1        50,000
Hancock Fabrics Inc                COMMON  409900107     1,207,500    280,000     X                                    280,000
Hannaford Bros co                  OPTION  4105509A7        17,500         50     X
Hannaford Bros co                  OPTION  4105509M1        12,188         50     X
Hanover Direct Inc                 COMMON  410783104        96,094     37,500     X                                     37,500
Hanson Tr P L C                    COMMON  411352404         8,666        224     X                                        224
Harbinger CorpA D R                COMMON  41145C103        16,875      1,000     X                                      1,000
Harcourt Gen Inc                   COMMON  41163G101    31,726,575    762,200     X                                    762,200
Harcourt Gen Inc                   COMMON  41163G101     2,064,600     49,600           X            1        49,600
Harley Davidson Inc                COMMON  412822108       662,077     13,225     X                                     13,225
Harley Davidson Inc                COMMON  412822108        20,025        400           X            1           400
Harmonic Inc                       COMMON  413160102     1,133,621      8,666     X                                      8,666
Harrah's Entertainment Inc         COMMON  413619107     8,358,300    301,200     X                                    301,200
Harrah's Entertainment Inc         COMMON  413619107     1,857,863     66,950           X            1        66,950
Harris Corp Del                    COMMON  413875105       132,600      4,800     X                                      4,800
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 32
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Hartford Financial Svcs Grp        COMMON  416515104     3,736,997     91,425     X                                     91,425
Hartford Financial Svcs Grp        COMMON  416515104        76,641      1,875           X            1         1,875
Harvey Electronics Group           COMMON  417660107        10,352      5,521     X                                      5,521
Hasbro Inc                         COMMON  418056107        10,148        472     X                                        472
Health Care Ppty Invs Inc          COMMON  421915109       656,250     25,000     X                                     25,000
Health Care Ppty Invs Inc          COMMON  421915109         5,250        200           X            1           200
Healthsouth Corp                   COMMON  421924101        12,250      2,000     X                                      2,000
Health Care Reit Inc               COMMON  42217K106       900,000     45,000     X                                     45,000
Heinz H J Co                       COMMON  423074103    24,263,266    564,262     X                                    564,262
Heinz H J Co                       COMMON  423074103     3,541,050     82,350           X            1        82,350
Helmerich & Payne Inc              COMMON  423452101       230,344      9,100     X                                      9,100
Helmerich & Payne Inc              COMMON  423452101        25,313      1,000           X            1         1,000
Hercules Inc                       COMMON  427056106       171,750      6,000     X                                      6,000
Hershey Foods Corp                 COMMON  427866108           195          4     X                                          4
Hewlett Packard Co                 COMMON  428236103     5,849,836     64,461     X                                     64,461
Hibernia Corp                      COMMON  428656102       127,294     10,950     X                                     10,950
Highwood Properties Inc            COMMON  431284108        25,875      1,000     X                                      1,000
Highwood Properties Inc            COMMON  431284108         7,763        300           X            1           300
Hilb Rogal & Hamilton Co           COMMON  431294107        10,526        420           X            1           420
Hilton Hotel Corp                  COMMON  432848109        49,375      5,000     X                                      5,000
Hollinger Intl Inc                 COMMON  435569108        35,625      3,000     X                                      3,000
Hollinger Intl Inc                 COMMON  435569108       727,938     61,300           X            1        61,300
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 33
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Home Depot Inc                     COMMON  437076102    14,024,685    204,367     X                                    204,367
Home Depot Inc                     COMMON  437076102       113,231      1,650           X            1         1,650
Homestake Mng Co                   COMMON  437614100        12,734      1,386     X                                      1,386
Honeywell Inc                      COMMON  438506107    11,890,958    106,825     X                                    106,825
Honeywell Inc                      COMMON  438506107     2,398,784     21,550           X            1        21,550
Horace Mann Educators              COMMON  440327104       271,031     10,500     X                                     10,500
Horizon Group Pptys Inc            COMMON  44041U102           140         40     X                                         40
Hormel Foods Corp                  COMMON  440452100       313,975      7,600     X                                      7,600
Hospitality Pptys Tr               COMMON  44106M102        44,375      2,000     X                                      2,000
Host Marrioten Int                 COMMON  44107P104        24,990      2,631     X                                      2,631
Hot Topic Inc                      COMMON  441339108       640,375     23,500     X                                     23,500
Household International Inc        COMMON  441815107    12,013,907    299,412     X                                    299,412
Household International Inc        COMMON  441815107       174,544      4,350           X            1         4,350
Hubbell Inc                        COMMON  443510102       100,875      3,000     X                                      3,000
Hubbell Inc                        COMMON  443510201         4,781        150     X                                        150
Hudson United Bancorp              COMMON  444165104        16,177        525           X            1           525
Hunt J B Trans Svcs Inc            COMMON  445658107        15,956      1,150     X                                      1,150
Hussmann International Inc         COMMON  448110106         8,500        500     X                                        500
Hutchinson Technology              COMMON  448407106        37,800      1,400     X                                      1,400
Hutchinson Technology              COMMON  448407106       629,100     23,300           X            1        23,300
Idec Pharmaceuticals Corp          COMMON  449370105     7,710,563     82,000     X                                     82,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 34
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
IMC Global Inc                     COMMON  449669100        85,191      5,850     X                                      5,850
Imco Recycling Inc                 COMMON  449681105        12,375        825           X            1           825
ITXC Corp                          COMMON  45069F109         3,181        100     X                                        100
ITXC Corp                          COMMON  45069F109        31,813      1,000           X            1         1,000
Ibis Technology Corp               COMMON  450909106        69,000      2,000     X                                      2,000
ITT Inds Inc                       COMMON  450911102         6,363        200     X                                        200
Idacorp Inc                        COMMON  451107106       192,047      6,375     X                                      6,375
Idexx Laboratories Inc             COMMON  45168D104        17,219      1,000     X                                      1,000
Illinois Tool Wks Inc              COMMON  452308109        31,018        416     X                                        416
Immulogic Pharmaceutical           COMMON  45252R100         3,281     15,000     X                                     15,000
Incyte Pharmaceuticals Inc         OPTION  45337C9JF            63          5     X
Incyte Pharmaceuticals Inc         OPTION  45337C9JI           313         25     X
Indiana Energy Inc                 COMMON  454707100         8,025        400     X                                        400
Indymac Mortgage Holdings          COMMON  456607100     3,172,500    211,500     X                                    211,500
Indymac Mortgage Holdings          COMMON  456607100         1,500        100           X            1           100
Inference Corp                     COMMON  45662K109       652,794    242,900     X                                    242,900
Infinity Broadcasting Corp Cl A    COMMON  45662S102     4,074,438    139,000     X                                    139,000
Infonautics Inc Cl A               COMMON  456662105         2,875        500     X                                        500
Infospace.Com Inc                  COMMON  45678T102     2,418,150     58,800     X                                     58,800
Ing Groep N V                      COMMON  456837103        16,699        305     X                                        305
Ingersoll Rand Coed                COMMON  456866102       829,666     15,102     X                                     15,102
Information Mgmt Associates        COMMON  456923101       736,975    143,800     X                                    143,800
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 35
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Insituform Technologies Inc        COMMON  457667103        23,500        940           X            1           940
Inprise Corp                       COMMON  45766C102             4          1     X                                          1
Innkeepers U S A Tr                COMMON  4576J0104        20,781      2,500     X                                      2,500
Insweb Corporation                 COMMON  45809K103         3,925        200     X                                        200
Integrated Device Tech Inc         COMMON  458118106       554,538     29,975     X                                     29,975
Integrated Device Tech Inc         COMMON  458118106        26,363      1,425           X            1         1,425
Integrated Health Services         COMMON  45812C106           478        306           X            1           306
Intel Corp                         COMMON  458140100    73,926,447    994,805     X                                    994,805
Intel Corp                         COMMON  458140100     8,051,759    108,350           X            1       108,350
Interactive Intelligence Inc       COMMON  45839M103       841,800     36,600     X                                     36,600
Interim Svcs Inc                   COMMON  45868P100        35,370      2,160     X                                      2,160
Interim Svcs Inc                   COMMON  45868P100       692,663     42,300           X            1        42,300
Intermedia Communications          COMMON  458801107        36,975      1,700     X                                      1,700
Intermedia Communications          COMMON  458801107       659,025     30,300           X            1        30,300
Intermet Corp                      COMMON  45881K104        15,032      1,775           X            1         1,775
Internap Network Services          COMMON  45885A102       446,250     10,000     X                                     10,000
Intl Business Mach                 COMMON  459200101    14,194,631    117,311     X                                    117,311
Intl Business Mach                 COMMON  459200101     4,416,500     36,500           X            1        36,500
International Game Tech            COMMON  459902102         7,650        425     X                                        425
International Paper Co             COMMON  460146103       177,062      3,684     X                                      3,684
International Specialty Prod       COMMON  460337108        40,247      4,050     X                                      4,050
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 36
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Interpublic Group Cos Inc          COMMON  460690100       592,200     14,400           X            1        14,400
Interspeed Inc                     COMMON  46070W107       759,638     43,100     X                                     43,100
Interspeed Inc                     COMMON  46070W107        81,075      4,600           X            1         4,600
Interstate Bakeries Corp New       COMMON  46072H108        20,700        900     X                                        900
Interstate Bakeries Corp New       COMMON  46072H108       798,100     34,700           X            1        34,700
Intertan Inc                       COMMON  461120107       520,063     26,500     X                                     26,500
Intervoice Inc                     COMMON  461142101         9,403        850           X            1           850
Intimate Brands Inc                COMMON  461156101     1,578,137     40,530           X            1        40,530
Intuit Inc                         COMMON  461202103       479,918      7,375     X                                      7,375
Intuit Inc                         COMMON  461202103        21,914        750           X            1           750
Invacare Corp                      COMMON  461203101       426,463     21,800     X                                     21,800
Invacare Corp                      COMMON  461203101       536,013     27,400           X            1        27,400
Investment Technology Group        COMMON  46145F105     4,532,312    197,057     X                                    197,057
I2 Technologies Inc                COMMON  465754109     2,949,750     76,000     X                                     76,000
Ivax Corp                          COMMON  465823102       559,763     33,925     X                                     33,925
Ivax Corp                          COMMON  465823102        24,750      1,500           X            1         1,500
Ivax Corp                          OPTION  4658239CW         2,750         20     X
Ivax CorpMar 17.50                 OPTION  4658239JW         3,125        100     X
Ivax CorpOct 17.50                 OPTION  4658239LW         1,500         20     X
JDN Realty Corp.50                 COMMON  465917102        61,500      3,000     X                                      3,000
JDS Uniphase Corp                  COMMON  46612J101     5,007,750     44,000     X                                     44,000
J. Jill Group Inc                  COMMON  466189107       468,750    100,000     X                                    100,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 37
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
JSB Financial Inc                  COMMON  46624M100        16,030        280           X            1           280
Jack In The Box Inc                COMMON  466367109     8,095,336    324,625     X                                    324,625
Jackpot Enterprises Inc            COMMON  466392107         8,750      1,000     X                                      1,000
Jason Inc                          COMMON  471171108        98,438     12,500     X                                     12,500
Jefferson Pilot Corp               COMMON  475070108         9,478        150     X                                        150
Johns Manville Corporation         COMMON  478129109       328,125     25,000     X                                     25,000
Johnson & Johnson                  COMMON  478160104    55,532,558    604,436     X                                    604,436
Johnson & Johnson                  COMMON  478160104     4,377,844     47,650           X            1        47,650
Johnson & Johnson                  OPTION  4781608VP           469         75     X
Johnson Ctls Inc0                  COMMON  478366107    14,423,632    217,510     X                                    217,510
Johnson Ctls Inc                   COMMON  478366107       260,277      3,925           X            1         3,925
Jones Apparel Group Inc            COMMON  480074103       436,454     15,181     X                                     15,181
Jones Intercable Inc               COMMON  480206200        54,063      1,000     X                                      1,000
Jones Intercable Inc               COMMON  480206200       940,688     17,400           X            1        17,400
Jostens Inc                        COMMON  481088102        26,852      1,404     X                                      1,404
Just For Feet Inc                  COMMON  48213P106       206,250    100,000     X                                    100,000
Kmart Corp                         COMMON  482584109        80,352      6,875     X                                      6,875
KTI Inc                            COMMON  482689205       156,250     20,000     X                                     20,000
Kana Comunications Inc             COMMON  483600102        24,938        500     X                                        500
Kana Comunications Inc             COMMON  483600102       389,025      7,800           X            1         7,800
Kansas City Pwr & Lt Co            COMMON  485134100        16,931        700     X                                        700
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 38
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Kellogg Co                         COMMON  487836108        44,925      1,200     X                                      1,200
Kellwood Co                        COMMON  488044108         6,160        280           X            1           280
Kemet Corp                         COMMON  488360108        40,600      1,270           X            1         1,270
Keycorp New                        COMMON  493267108     7,741,814    299,925     X                                    299,925
Keycorp New                        COMMON  493267108       116,156      4,500           X            1         4,500
Keynote Systems Inc                COMMON  493308100        12,500        500     X                                        500
Keynote Systems Inc                COMMON  493308100       585,000     23,400           X            1        23,400
Keyspan Corp                       COMMON  49337W100        34,350      1,200     X                                      1,200
Keystone Finl Inc                  COMMON  493482103         6,650        280           X            1           280
Kimberly Clark Corp                COMMON  494368103     1,567,308     29,712     X                                     29,712
Kimberly Clark Corp                COMMON  494368103       886,200     16,800           X            1        16,800
Kimberly Clark Corp                OPTION  4943688VE         8,438         50     X
Kimberly Clark Corp                OPTION  4943689JE           625         50     X
KIMCO Realty Corp0                 COMMON  49446R109       536,250     15,000     X                                     15,000
Kinder Morgan Inc                  COMMON  49455P101         7,898        352     X                                        352
King World Prodtns Inc             COMMON  495667107       119,438      3,185     X                                      3,185
King World Prodtns Inc             COMMON  495667107     1,575,000     42,000           X            1        42,000
Kinross Gold Corp                  COMMON  496902107           253         88     X                                         88
Krauses Furniture Inc              COMMON  500760202           188        100     X                                        100
Kroger Co                          COMMON  501044101       161,056      7,300     X                                      7,300
LG&G Energy Corp                   COMMON  501917108       375,063     17,650     X                                     17,650
LNR Ppty Corp                      COMMON  501940100       933,175     45,800     X                                     45,800
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 39
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
LSI Logic Corp                     COMMON  502161102       421,200      8,100     X                                      8,100
LTC Pptys Inc                      COMMON  502175102       239,063     22,500     X                                     22,500
LTC Pptys Inc                      COMMON  502175102       269,875     25,400           X            1        25,400
LTX CORP                           COMMON  502392103       889,688     65,000     X                                     65,000
Lakes Gaming Inc                   COMMON  51206P109           397         41     X                                         41
Lancaster Colony Corp              COMMON  513847103       237,760      7,430     X                                      7,430
Lancaster Colony Corp              COMMON  513847103        16,800        525           X            1           525
Landauer Inc                       COMMON  51476K103        90,450      3,600     X                                      3,600
Landamerica Financial Group        OPTION  5149369L9         1,313         70     X
Lands End Inc30.00                 COMMON  515086106       214,500      3,250     X                                      3,250
Laser-Pac Media Cor                COMMON  517923108       282,875     31,000     X                                     31,000
Lattice Semiconductor Corp         COMMON  518415104        53,438      1,800     X                                      1,800
Lattice Semiconductor Corp         COMMON  518415104     1,134,063     38,200           X            1        38,200
Lazare Kaplan International        COMMON  521078105       362,813     45,000     X                                     45,000
Legg Mason Inc                     COMMON  524901105        17,509        457           X            1           457
Lehman Bros Hldgs Inc              COMMON  524908100           350          6     X                                          6
Leucadia Natl Corp                 COMMON  527288104         3,045        145     X                                        145
Leukosite Inc                      COMMON  52728R102       815,698     40,532     X                                     40,532
Lexmark Intl Group Inc             COMMON  529771107    22,233,054    276,187     X                                    276,187
Lexmark Intl Group Inc             COMMON  529771107       372,313      4,625           X            1         4,625
Libbey Inc                         COMMON  529898108         8,869        300           X            1           300
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 40
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Liberty Ppty Tr                    COMMON  531172104         4,538        200           X            1           200
Lifetime Hoan Corp                 COMMON  531926103       376,594     51,500     X                                     51,500
Lifecell Corporation               COMMON  531927101        71,875     12,500     X                                     12,500
Lifepoint Hospitals Inc            COMMON  53219L109             0          0     X                                          0
Ligand Pharmaceuticals Inc         COMMON  53220K207        59,282      7,775     X                                      7,775
Lilly Eli & Co                     COMMON  532457108    10,869,832    169,345     X                                    169,345
Lilly Eli & Co                     COMMON  532457108       131,584      2,050           X            1         2,050
Lilly Inds Inc                     COMMON  532491107         7,834        575           X            1           575
Limited Inc                        COMMON  532716107     5,029,875    131,500     X                                    131,500
Lincare Hldgs Inc                  COMMON  532791100        61,309      2,300     X                                      2,300
Lincare Hldgs Inc                  COMMON  532791100     1,178,206     44,200           X            1        44,200
Lincoln Electric Holdings          COMMON  533900106           104          5     X                                          5
Lincoln Natl Corp                  COMMON  534187109     6,030,284    160,540     X                                    160,540
Lincoln Natl Corp                  COMMON  534187109        56,344      1,500           X            1         1,500
Linear Technology Corp             COMMON  535678106     1,592,972     27,100     X                                     27,100
Lionbridge Technologies Inc        COMMON  536252109        91,819      5,900     X                                      5,900
Litton Inds Inc                    COMMON  538021106     7,326,371    133,815     X                                    133,815
Litton Inds Inc                    COMMON  538021106        60,225      1,100           X            1         1,100
Liz Claiborne Inc                  COMMON  539320101        12,400        400     X                                        400
Lockheed Martin                    COMMON  539830109       124,213      3,800     X                                      3,800
Loews Corp                         COMMON  540424108       645,725      9,200     X                                      9,200
Lowes Cos Inc                      COMMON  548661107        24,375        500     X                                        500
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 41
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Lubrizol Corp                      COMMON  549271104        17,108        666     X                                        666
Lucent Techologies Inc             COMMON  549463107    21,652,726    333,761     X                                    333,761
Lucent Techologies Inc             COMMON  549463107     1,123,959     17,325           X            1        17,325
Lycos Inc                          COMMON  550818108        50,125      1,000     X                                      1,000
Lynx Therapeutics Inc              COMMON  551812308     5,508,000    489,600     X                                    489,600
Lyondell Chemical Co               COMMON  552078107        46,813      3,500     X                                      3,500
Lyondell Chemical Co               COMMON  552078107       678,113     50,700           X            1        50,700
Maf Bancorp Inc                    COMMON  55261R108        10,434        525           X            1           525
MBIA Inc                           COMMON  55262C100        41,030        880     X                                        880
MBNA                               COMMON  55262L100       125,104      5,484     X                                      5,484
MCI Worldcom Inc                   COMMON  55268B106    48,951,763    681,068     X                                    681,068
MCI Worldcom Inc                   COMMON  55268B106     3,396,094     47,250           X            1        47,250
MGIC Investments Corp              COMMON  552848103       148,025      3,100     X                                      3,100
MRV Communications Inc             COMMON  553477100         4,738        200     X                                        200
Macdermid Inc                      COMMON  554273102       204,375      6,000     X                                      6,000
Macdermid Inc                      COMMON  554273102        17,031        500           X            1           500
Mack Cali Rlty Corp                COMMON  554489104       536,250     20,000     X                                     20,000
Mack Cali Rlty Corp                COMMON  554489104         5,363        200           X            1           200
Mackie Designs Inc                 COMMON  554541102       127,500     30,000     X                                     30,000
Macromedia                         COMMON  556100105     3,678,750     90,000     X                                     90,000
Magellan Health Services Inc       COMMON  559079108         1,024        140           X            1           140
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 42
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Mallinckrodt Inc New               COMMON  561232109        49,900      1,653     X                                      1,653
Mandalay Resort Group              COMMON  562567107       408,825     20,700     X                                     20,700
Mandalay Resort Group              COMMON  562567107        13,331        675           X            1           675
Manitowoc Inc                      COMMON  563571108         7,166        210           X            1           210
Manufactured Home Cmntys Inc       COMMON  564682102        72,463      3,100     X                                      3,100
Manugistics Group Inc              COMMON  565011103     1,969,800    187,600     X                                    187,600
Manugistics Group Inc              COMMON  565011103       852,600     81,200           X            1        81,200
Mark Iv Inds Inc                   COMMON  570387100       714,950     36,200     X                                     36,200
Marsh & Mclennan Cos Inc           COMMON  571748102        80,488      1,175     X                                      1,175
Marriott Intl Inc New              COMMON  571903202       310,531      9,500     X                                      9,500
Mascotech Inc                      COMMON  574670105        14,963        900           X            1           900
Mattel Inc                         COMMON  577081102        52,839      2,781     X                                      2,781
May Dept Stores Co                 COMMON  577778103       114,341      3,138     X                                      3,138
May Dept Stores Co                 COMMON  577778103     1,967,625     54,000           X            1        54,000
Maytag Co                          COMMON  578592107         9,994        300     X                                        300
Maytag Co                          COMMON  578592107       413,075     12,400           X            1        12,400
McCormick & Co Inc - Non Vtg Shrs  COMMON  579780206       768,703     23,250     X                                     23,250
McCormick & Co Inc - Non Vtg Shrs  COMMON  579780206        30,583        925           X            1           925
McDermott Intl Inc                 COMMON  580037109       435,375     21,500     X                                     21,500
McDonalds Corp                     COMMON  580135101    43,782,062  1,012,302     X                                  1,012,302
McDonalds Corp                     COMMON  580135101     3,892,500     90,000           X            1        90,000
McNaughton Apparel Group Inc       COMMON  582524104       240,625     27,500     X                                     27,500
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 43
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Mediaone Group                     COMMON  58440J104     7,554,748    110,591     X                                    110,591
Mediaone Group                     COMMON  58440J104       107,592      1,575           X            1         1,575
Mediaone Group Inc                 OPTION  58440J9JM        38,750        100     X
Medical Manager Corporation        COMMON  58461U103     6,247,307    125,574     X                                    125,574
Medimmune Inc                      COMMON  584699102    11,208,837    112,475     X                                    112,475
Medimmune Inc                      COMMON  584699102       192,835      1,935           X            1         1,935
Medimmune Inc                      OPTION  5846998VT         7,350         14     X
Medscape Inc100                    COMMON  585046105        38,475      3,800     X                                      3,800
Mellon Financial Corp              COMMON  58551A108       470,750     14,000     X                                     14,000
Mens Wearhouse Inc                 COMMON  587118100        11,288        525           X            1           525
Mentor Corp Minn                   COMMON  587188103         7,980        280           X            1           280
Mercantile Bankshares Corp         COMMON  587405101       191,813      6,200     X                                      6,200
Merck & Co Inc                     COMMON  589331107    23,439,441    361,650     X                                    361,650
Merck & Co Inc                     COMMON  589331107       311,100      4,800           X            1         4,800
Meritor Automotive Inc             COMMON  59000G100       212,403     10,175     X                                     10,175
Meritor Automotive Inc             COMMON  59000G100        27,659      1,325           X            1         1,325
Merrimac Inds Inc                  COMMON  590262101        13,755      2,620     X                                      2,620
Metris Companies                   COMMON  591598107        26,550        900           X            1           900
Micro Linear Corp                  COMMON  594850109       105,354     23,412     X                                     23,412
Microsoft Corp                     COMMON  594918104    99,227,973  1,095,685     X                                  1,095,685
Microsoft Corp                     COMMON  594918104     9,081,155    100,275           X            1       100,275
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 44
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Microstrategy Inc                  COMMON  594972101     5,471,700     97,600     X                                     97,600
Microchip Technology Inc           COMMON  595017104        33,908        660           X            1           660
Micro Warehouse Inc                COMMON  59501B105       182,144     15,100     X                                     15,100
Micro Warehouse Inc                COMMON  59501B105       774,413     64,200           X            1        64,200
Microwave Power Devices Inc        COMMON  59517M103       622,781     45,500     X                                     45,500
Midatlantic Realty Trust           COMMON  595232109       521,875     50,000     X                                     50,000
Midas Inc                          COMMON  595626102         3,424        166     X                                        166
Midamerican Energy Holdings CompanyCOMMON  59562V107        17,700        600           X            1           600
Midway Games Inc                   COMMON  598148104        29,925      1,900           X            1         1,900
Milacron Inc                       COMMON  598709103        93,631      5,275     X                                      5,275
Milacron Inc                       COMMON  598709103       777,450     43,800           X            1        43,800
Millennium Pharmaceuticals         COMMON  599902103        45,500        700     X                                        700
Millennium Pharmaceuticals         COMMON  599902103       715,000     11,000           X            1        11,000
Miller Herman Inc                  COMMON  600544100       164,953      6,900     X                                      6,900
Mills Corporation                  COMMON  601148109     1,825,781    102,500     X                                    102,500
Minnesota Mng & Mfg Co             COMMON  604059105     9,837,857    102,411     X                                    102,411
Minnesota Mng & Mfg Co             COMMON  604059105       127,283      1,325           X            1         1,325
Minnesota Power Inc                COMMON  604110106       316,125     18,000     X                                     18,000
Mitchell Energy & Dev Corp         COMMON  606592202        12,219        500     X                                        500
Mitchell Energy & Dev Corp         COMMON  606592301        11,750        500     X                                        500
Mitel Corp                         COMMON  606711109         7,938      1,000     X                                      1,000
Mobil Corp                         COMMON  607059102     3,939,426     39,101     X                                     39,101
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 45
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Mobil Corp                         OPTION  60706D9M6        27,500         50     X
MCI Worldcom Inc                   OPTION  6074078MD        10,313         50     X
Mohawk Industries Inc              COMMON  608190104       887,219     44,500     X                                     44,500
Momentum Business Applications     COMMON  60877P108     1,149,300    127,700     X                                    127,700
Mondavi Robert Corp                COMMON  609200100        33,806        900     X                                        900
Monsanto Co                        COMMON  611662107     9,196,669    257,700     X                                    257,700
Montana Pwr Co                     COMMON  612085100       178,059      5,850     X                                      5,850
Moore Med Corp                     COMMON  615799103         7,563      1,000     X                                      1,000
J.P. Morgan & Company              COMMON  616880100       222,559      1,948     X                                      1,948
Morgan St Dean Witter & Co         COMMON  617446448     8,817,433     98,864     X                                     98,864
Morgan St Dean Witter & Co         COMMON  617446448       133,781      1,500           X            1         1,500
Morrison Knudsen Corp New          COMMON  61844A109        17,634      1,710           X            1         1,710
MOTIVEPOWER INDUSTRIES INC         COMMON  61980K101       103,400      9,400     X                                      9,400
Motorola Inc                       COMMON  620076109     2,411,112     27,399     X                                     27,399
Mueller Inds Inc                   COMMON  624756102       825,313     27,800     X                                     27,800
Multex.Com Inc                     COMMON  625367107       144,075     11,300     X                                     11,300
Murphy Oil Corp                    COMMON  626717102       381,141      7,050     X                                      7,050
Murphy Oil Corp                    COMMON  626717102        27,031        500           X            1           500
** Mutual Risk Mgmt Ltd            COMMON  628351108         3,124        255           X            1           255
Mylan Labs Inc                     COMMON  628530107        42,263      2,300     X                                      2,300
Nam Corporation                    COMMON  62872L108       878,875    158,000     X                                    158,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 46
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Natures Bounty Inc.                COMMON  628782104         7,625      1,000     X                                      1,000
NCR Corp                           COMMON  62886E108         5,290        160     X                                        160
NTL Inc                            COMMON  629407107     6,692,065     69,641     X                                     69,641
Nuco2 Inc                          COMMON  629428103         5,341        971     X                                        971
Nabors Inds Inc                    COMMON  629568106     5,740,000    229,600     X                                    229,600
Nalco Chem Co                      OPTION  6298539L8        12,250         56     X
Nashua Corpc 50.00                 COMMON  631226107         5,946        670           X            1           670
National City Corp                 COMMON  635405103        55,563      2,082     X                                      2,082
National Health Invs Inc           COMMON  63633D104        49,313      3,000     X                                      3,000
National Info Consortium Inc       COMMON  636491102     3,416,750    138,400     X                                    138,400
National Info Consortium Inc       COMMON  636491102       965,281     39,100           X            1        39,100
Nationwide Financial Serv Cl A     COMMON  638612101         1,769         50     X                                         50
Nationwide Health Pptys Inc        COMMON  638620104       498,750     30,000     X                                     30,000
Nautica Enterprises Inc            COMMON  639089101         4,515        280           X            1           280
Navigant Consulting Co             OPTION  63935N9JI        32,500        100     X
Neiman Marcus Groups Inc - Cl B    COMMON  640204301             0     10,710     X                                     10,710
Networks Assocs Inc                COMMON  640938106     4,647,375    243,000     X                                    243,000
Netspeak Corp                      COMMON  64115D109        18,563      1,500     X                                      1,500
Network Computing Devices          COMMON  64120N100       150,318     33,404     X                                     33,404
Netzero Inc                        COMMON  64122R109     1,047,800     40,300     X                                     40,300
Netzero Inc                        COMMON  64122R109       215,800      8,300           X            1         8,300
New England Business Svc Inc       COMMON  643872104        26,849        940           X            1           940
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 47
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>     <C>     <C>
New England Elec Sys               COMMON  644001109       518,750     10,000     X                                     10,000
New Plan Realty Excel Trust        COMMON  648053106        26,719      1,500     X                                      1,500
New York Times Co                  COMMON  650111107       791,625     21,110     X                                     21,110
Newell Rubbermaid Inc              COMMON  651229106        14,281        500     X                                        500
Newfield Exploration Co.           COMMON  651290108         9,223        280           X            1           280
Newmont Mng Corp                   COMMON  651639106     3,555,380    137,406     X                                    137,406
Nextel Communications              COMMON  65332V103     5,513,156     81,300     X                                     81,300
Nextel Communications              COMMON  65332V103       152,578      2,250           X            1         2,250
Nextel Strypes Tr                  COMMON  65332Y107     1,741,875     30,000     X                                     30,000
Niagara Mohawk Holdings Inc        COMMON  653520106     3,253,341    209,050     X                                    209,050
Nichols Research Corporation       COMMON  653818104       670,950     25,200     X                                     25,200
Nicor Inc                          COMMON  654086107        20,453        550     X                                        550
Nisource Inc                       COMMON  65473P105         9,293        420     X                                        420
Noble Drilling Corp                COMMON  655042109       624,531     28,550     X                                     28,550
Noble Drilling Corp                COMMON  655042109        27,344      1,250           X            1         1,250
Norfolk Southn Corp                COMMON  655844108       168,756      6,888     X                                      6,888
Northern Telecom                   OPTION  6565699X0         3,281         75     X
North Amern Vaccine Inc            COMMON  657201109        33,555      4,474     X                                      4,474
North Fork Bancorp                 COMMON  659424105       800,846     41,069     X                                     41,069
North Fork Bancorp                 COMMON  659424105        31,200      1,600           X            1         1,600
Northern Sts Pwr Co Minn           COMMON  665772109        18,328        850     X                                        850
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 48
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>       <C>     <C>      <C>
Northwest Nat Gas Co               COMMON  667655104        27,103      1,050           X            1         1,050
Novacare Inc                       COMMON  669930109         1,366      1,150     X                                      1,150
Novadigm Inc                       COMMON  669937104       761,963     52,100     X                                     52,100
Novell Inc                         COMMON  670006105     4,048,544    195,700     X                                    195,700
Novellus Systems Inc               COMMON  670008101        32,033        475           X            1           475
Nstar                              COMMON  67019E107       296,438      7,650     X                                      7,650
Nucor Corp                         COMMON  670346105     4,907,756    103,050     X                                    103,050
OGE Energy Corp                    COMMON  670837103       298,150     13,400     X                                     13,400
OM Group Inc                       COMMON  670872100        69,075      1,800     X                                      1,800
OM Group Inc                       COMMON  670872100     1,346,963     35,100           X            1        35,100
Oakwood Homes Corp                 COMMON  674098108        22,500      5,000     X                                      5,000
Occidental Pete Corp               COMMON  674599105    11,424,814    494,046     X                                    494,046
Occidental Pete Corp               COMMON  674599105       195,406      8,450           X            1         8,450
Ocean Energy Inc                   COMMON  67481E106       560,313     55,000     X                                     55,000
Oceaneering Intl Inc               COMMON  675232102       200,909     11,950     X                                     11,950
Oceaneering Intl Inc               COMMON  675232102        23,874      1,420           X            1         1,420
Officemax Inc                      COMMON  67622M108     3,709,973    638,275     X                                    638,275
Officemax Inc                      COMMON  67622M108     1,164,244    200,300           X            1       200,300
Old Kent Finl Corp                 COMMON  679833103     7,559,077    203,612     X                                    203,612
Old Kent Finl Corp                 COMMON  679833103       154,551      4,163           X            1         4,163
Old Rep Intl Corp                  COMMON  680223104         4,331        300     X                                        300
Olsten Corp                        COMMON  681385100       260,938     25,000     X                                     25,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 49
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Omnicom Group                      COMMON  681919106       752,281      9,500     X                                      9,500
One Vy Bancorp West Va Inc         COMMON  682419106            69          2           X            1             2
1-800-Flowers.com Inc              COMMON  68243Q106            72          5     X                                          5
Oneok Inc New                      COMMON  682680103        51,531      1,700     X                                      1,700
Onsale Inc                         OPTION  6828389W9        26,606         99     X
Onyx Acceptance Corp               COMMON  682914106        30,500      4,000     X                                      4,000
Open Market                        COMMON  68370M100       787,500     60,000     X                                     60,000
Open Text Corp                     COMMON  683715106     2,670,200    135,200     X                                    135,200
Oracle Corp                        COMMON  68389X105    37,109,163    815,586     X                                    815,586
Oracle Corp                        COMMON  68389X105     6,165,250    135,500           X            1       135,500
Oregon Steel Mills Inc             COMMON  686079104         3,356        300     X                                        300
Orion Capital                      OPTION  6862689W5        10,063         70     X
Orthodontic Ctrs Amer Inc          COMMON  68750P103         4,883        280           X            1           280
Oshkosh B Gosh Inc                 COMMON  688222207         8,943        560           X            1           560
Owens & Minor Inc New              COMMON  690732102         4,043        420           X            1           420
Owens Illinois                     COMMON  690768403         3,467        175     X                                        175
P-Com Incew                        COMMON  693262107        54,782      7,826     X                                      7,826
PG & E Corp                        COMMON  69331C108       111,263      4,300     X                                      4,300
PLX TECHNOLOGY INC                 COMMON  693417107       759,938     31,500     X                                     31,500
The PMI Group Inc                  COMMON  69344M101       841,494     20,587     X                                     20,587
The PMI Group Inc                  COMMON  69344M101     1,527,172     37,362           X            1        37,362
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 50
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>       <C>     <C>      <C>
PNC Financial Corp                 COMMON  693475105    15,488,386    293,967     X                                    293,967
PNC Financial Corp                 COMMON  693475105     2,385,427     45,275           X            1        45,275
PP & L Resources Inc               COMMON  693499105       945,834     34,950     X                                     34,950
PPG Inds Inc                       COMMON  693506107        30,000        500     X                                        500
PSS World Medical Inc              COMMON  69366A100       630,094     70,500     X                                     70,500
Pacificare Hlth Sys                COMMON  695112102       639,019     14,775     X                                     14,775
Pacificare Hlth Sys                COMMON  695112102        60,550      1,400           X            1         1,400
Paine Webber Group Inc             COMMON  695629105       137,750      3,800     X                                      3,800
Papa Johns Intl Inc                COMMON  698813102     1,237,500     30,000     X                                     30,000
Park Place Entertainment Corp      COMMON  700690100         2,063        165     X                                        165
Pathogenesis Corp                  COMMON  70321E104        42,604      2,771     X                                      2,771
Paul Harris Stores                 COMMON  703555201       118,125     30,000     X                                     30,000
Paychex Inc                        COMMON  704326107        15,356        450     X                                        450
Pcorder.Com Inc                    COMMON  70453H107     2,044,275     58,200     X                                     58,200
Penney J C Inc                     COMMON  708160106         6,900        200     X                                        200
Pennzoil-Quaker State Co           COMMON  709323109        19,089      1,512     X                                      1,512
Peoples Heritage Fin'l Group       COMMON  711147108        28,263      1,700     X                                      1,700
Peoples Heritage Fin'l Group       COMMON  711147108       585,200     35,200           X            1        35,200
Pepsico                            COMMON  713448108    31,545,510  1,034,279     X                                  1,034,279
Pepsico                            COMMON  713448108     3,050,000    100,000           X            1       100,000
Perclose Inc                       COMMON  71361C107       237,469      5,100     X                                      5,100
Perclose                           OPTION  71361C9JJ         3,750        100     X
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 51
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>     <C>     <C>
Periphonics Corporation            COMMON  714005105       658,875     21,000     X                                     21,000
Perot Systems Corp Cl  A           COMMON  714265105         1,869        100     X                                        100
Petrol Geo Services                COMMON  716597109        13,344        700     X                                        700
Petsmart Inc                       COMMON  716768106        60,988     16,400     X                                     16,400
Pharmacia & Upjohn Inc             COMMON  716941109       391,194      7,883     X                                      7,883
Pharm & Upjohn Inc                 OPTION  7169418VJ         4,375         25     X
Pharmacia & Upjohn Inc             OPTION  7169419W1         5,938         50     X
Pfizer Incv 30                     COMMON  717081103    26,078,793    726,935     X                                    726,935
Pfizer Inc                         COMMON  717081103     4,305,000    120,000           X            1       120,000
PHILADELPHIA SUBURBAN CORP         COMMON  718009608        80,961      3,436     X                                      3,436
Philip Morris Companies Inc        COMMON  718154107    40,033,631  1,171,002     X                                  1,171,002
Philip Morris Companies Inc        COMMON  718154107     3,572,594    104,500           X            1       104,500
Phillips Pete Co                   COMMON  718507106     2,424,094     49,725     X                                     49,725
Photronics Inc                     OPTION  7194058XD         6,125         35     X
Pier 1 Incc 20.00                  COMMON  720279108        95,156     14,500     X                                     14,500
Pier 1 Incn Int                    COMMON  720279108        10,336      1,575           X            1         1,575
Pinnacle West Cap Corp             COMMON  723484101        23,644        650           X            1           650
Pitney Bowes Inc                   COMMON  724479100        70,992      1,165     X                                      1,165
Pittston Co                        COMMON  725701106         2,319        100     X                                        100
Plum Creek Timber Co Inc           COMMON  729251108        47,063      1,500     X                                      1,500
Polaris Industries Inc             COMMON  731068102        10,388        300           X            1           300
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 52
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>       <C>     <C>      <C>
Polo Ralph Lauren Corp             COMMON  731572103            90          5     X                                          5
Pope & Talbot Inc                  COMMON  732827100        13,613      1,100           X            1         1,100
Post Properties                    COMMON  737464107     1,111,266     28,268     X                                     28,268
Potomac Elec Pwr Co                COMMON  737679100         5,088        200     X                                        200
Powerwave Technologies Inc         COMMON  739363109        72,328      1,500     X                                      1,500
Powerwave Technologies Inc         COMMON  739363109     1,330,838     27,600           X            1        27,600
Praxair Inc                        COMMON  74005P104       269,100      5,850     X                                      5,850
Precision Castparts Corp           COMMON  740189105         3,050        100           X            1           100
Premark Intl Inc                   COMMON  740459102     1,527,878     30,255     X                                     30,255
Presstek Inc                       COMMON  741113104         5,800        800     X                                        800
Price T Rowe & Assoc Inc           COMMON  741477103       293,581     10,700     X                                     10,700
Price T Rowe & Assoc Inc           COMMON  741477103        16,463        600           X            1           600
Priceline.Com Inc                  COMMON  741503106         6,450        100     X                                        100
Prime Retail Inc                   COMMON  741570105         5,900        800     X                                        800
Primark Corp                       COMMON  741903108         8,531        300     X                                        300
Procter & Gamble                   COMMON  742718109    17,306,531    184,603     X                                    184,603
Procter & Gamble                   COMMON  742718109       283,594      3,025           X            1         3,025
Promus Hotel Corp New              COMMON  74342P106         4,884        150     X                                        150
Promus Hotel Corp New              OPTION  74342P8NG        34,125        105     X
Protective Life Corp               COMMON  743674103        57,710      1,990     X                                      1,990
Provident American Corp            COMMON  743832107        45,375      3,000     X                                      3,000
Providian Finl Corp                COMMON  74406A102    27,673,022    349,462     X                                    349,462
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 53
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Providian Finl Corp                COMMON  74406A102     3,563,438     45,000           X            1        45,000
Public Svc Enterprises             COMMON  744573106        28,969        750     X                                        750
QLT Phototherapeutics Inc          COMMON  746927102        30,575        400     X                                        400
QLT Phototherapeutics Inc          COMMON  746927102       565,638      7,400           X            1         7,400
Quaker Oats Co                     COMMON  747402105     1,248,328     20,175     X                                     20,175
Quaker Oats Co                     COMMON  747402105       256,781      4,150           X            1         4,150
Quanex Corp                        COMMON  747620102         7,175        280           X            1           280
Quantum Corp - Dlt & Storage       COMMON  747906204        68,203      4,850     X                                      4,850
Quantum Corp - Hard Disk Drive     COMMON  747906303        18,036      2,425     X                                      2,425
Quebecor Printing                  OPTION  7479229W4         2,188         50     X
Questar Corp35.00                  COMMON  748356102     1,128,100     62,240     X                                     62,240
Questar Corp                       COMMON  748356102        47,125      2,600           X            1         2,600
Quintiles Transnational Corp       COMMON  748767100         6,185        325           X            1           325
Quokka Sports Inc                  COMMON  749077103       173,438     25,000           X            1        25,000
Qwest Communications Intl          COMMON  749121109         5,913        200     X                                        200
Radian Group Inc                   COMMON  750236101         6,441        150           X            1           150
Ragen Mackenzie Group Inc          COMMON  750642100       351,250     20,000     X                                     20,000
Rainforest Cafe Inc                COMMON  75086K104       613,594    115,500     X                                    115,500
Ralcorp Hldgs Inc New              COMMON  751028101        12,381        700           X            1           700
Raymond James Financial Inc        COMMON  754730109        14,455        725           X            1           725
Raytheon Co- Class B               COMMON  755111408     1,528,450     30,800           X            1        30,800
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 54
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Razorfish Inc                      COMMON  755236106       435,000     10,000     X                                     10,000
Read-Rite Corp                     COMMON  755246105         1,234        280           X            1           280
Readers Digest Assn Inc            COMMON  755267101       122,850      4,200     X                                      4,200
Reckson Assocs Rlty Corp           COMMON  75621K106        31,219      1,500     X                                      1,500
Reckson Assocs Rlty Corp - Cl B    COMMON  75621K304        10,978        502     X                                        502
Redwood Trust Inc                  COMMON  758075402       424,350     32,800     X                                     32,800
REGIS CORP                         COMMON  758932107        48,125      2,500     X                                      2,500
Regions Finl Corp                  COMMON  758940100        14,850        495     X                                        495
Rehabcare Group, Inc               COMMON  759148109       310,625     17,500     X                                     17,500
Reliance Group Hldgs Inc           COMMON  759464100        69,003     15,550     X                                     15,550
Reliastar Financial Corp           COMMON  75952U103       294,263      8,850     X                                      8,850
Remec Inc                          COMMON  759543101       939,125     68,300     X                                     68,300
Remedy Corporation                 COMMON  759548100       102,150      3,600     X                                      3,600
Remedy Corporation                 COMMON  759548100     1,830,188     64,500           X            1        64,500
Republic N Y Corp                  COMMON  760719104     1,817,198     29,578     X                                     29,578
Republic N Y Corp                  OPTION  7607199JM        16,875        150     X
Republic N Y Corp0                 OPTION  7607199LL        15,625         25     X
Republic Services Inc Cl A         COMMON  760759100       271,875     25,000     X                                     25,000
Respironics Inc                    COMMON  761230101         2,310        280           X            1           280
Reynolds & Reynolds Co             COMMON  761695105     1,333,544     65,450     X                                     65,450
Reynolds & Reynolds Co             COMMON  761695105        45,844      2,250           X            1         2,250
Reynolds Metals Co                 COMMON  761763101     1,442,963     23,900     X                                     23,900
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 55
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Reynolds Metals Co                 OPTION  7617638WM        43,125         75     X
RJ Reynolds Tobacco Holdings       COMMON  76182K105        51,975      1,925     X                                      1,925
Riddell Sports Inc                 COMMON  765670104        33,781     11,500     X                                     11,500
Right Management Consultants       COMMON  766573109        22,000      2,000     X                                      2,000
Rio Tinto Ltd                      COMMON  767204100        14,200        200     X                                        200
Rite Aid Corpnsored                COMMON  767754104        99,119      7,176     X                                      7,176
Roberts Pharmaceutical Corp        COMMON  770491108        21,931        725           X            1           725
Rock Of Ages Corp D                COMMON  772632105       540,075     75,800     X                                     75,800
Rohm & Haas Co                     COMMON  775371107        32,513        900     X                                        900
Ross Stores Inc                    COMMON  778296103       559,475     27,800     X                                     27,800
Ross Stores Inc                    COMMON  778296103        26,163      1,300           X            1         1,300
Royal Dutch Petro - N Y Shares     COMMON  780257804    28,618,793    484,551     X                                    484,551
Royal Dutch Petro - N Y Shares     COMMON  780257804     2,276,859     38,550           X            1        38,550
Rubio's Restaurants Inc            COMMON  78116B102        20,700      2,400     X                                      2,400
Rubio's Restaurants Inc            COMMON  78116B102       342,413     39,700           X            1        39,700
Rural Metro Corp                   COMMON  781748108         1,855        280           X            1           280
Ryder Sys Inc                      COMMON  783549108        28,525      1,400           X            1         1,400
Ryerson Tull Inc                   COMMON  78375P107       473,484     20,475     X                                     20,475
Ryerson Tull Inc                   COMMON  78375P107        26,016      1,125           X            1         1,125
Ryland Group Inc                   COMMON  783764103         8,418        370           X            1           370
SBC Communcations Inc.             COMMON  78387G103     2,571,610     50,362     X                                     50,362
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 56
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
SBC Communcations Inc.             COMMON  78387G103     2,839,075     55,600           X            1        55,600
Sci Sys Inc                        COMMON  783890106     1,049,836     23,625     X                                     23,625
Sci Sys Inc                        COMMON  783890106        31,106        700           X            1           700
SFX Entertainment                  COMMON  784178105     3,125,281    102,050     X                                    102,050
SFX Entertainment                  COMMON  784178105       721,219     23,550           X            1        23,550
Slm Hldg Corp                      COMMON  78442A109     1,459,850     33,950           X            1        33,950
SLI INC                            COMMON  78442T108       159,844      7,500     X                                      7,500
SPS Technologies Inc               COMMON  784626103         5,311        140           X            1           140
SPDR Tr                            COMMON  78462F103        77,250        600     X                                        600
SPDR Trt Ser 1                     COMMON  78462F103       107,249        833           X            1           833
SPX Corp Ser 1                     COMMON  784635104       589,875      6,500     X                                      6,500
SPX Corp                           COMMON  784635104        18,150        200           X            1           200
S 3 Inc                            COMMON  784849101         7,619        730           X            1           730
Safeskin Corp.                     COMMON  786454108         2,301        280           X            1           280
Safeway Inc                        COMMON  786514208     6,106,139    160,424     X                                    160,424
Safeway Inc                        COMMON  786514208        93,253      2,450           X            1         2,450
St Jude Med Inc                    COMMON  790849103     5,533,763    175,675     X                                    175,675
St Jude Med Inc                    COMMON  790849103        94,500      3,000           X            1         3,000
St Paul Cos Inc                    COMMON  792860108         7,755        282     X                                        282
Saks Inc                           COMMON  79377W108        60,750      4,000     X                                      4,000
Sanmina Corp                       COMMON  800907107        21,665        280           X            1           280
Sangstat Medical Corp              COMMON  801003104       120,983      5,660     X                                      5,660
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 57
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>         <C>         <C>   <C>     <C>    <C>     <C>     <C>        <C>
Sangstat Medical Corp              COMMON  801003104     1,040,963     48,700           X            1        48,700
Santa Fe Snyder Corp               COMMON  80218K105        25,110      2,790     X                                      2,790
Santa Fe Snyder Corp               COMMON  80218K105        19,800      2,200           X            1         2,200
Sara Lee                           COMMON  803111103    35,534,885  1,520,209     X                                  1,520,209
Sara Lee                           COMMON  803111103     3,363,663    143,900           X            1       143,900
Saul Ctrs Inc                      COMMON  804395101        94,500      6,000     X                                      6,000
Scan Optics Inc                    COMMON  805894102         1,406        500     X                                        500
Scana Corp                         COMMON  805898103        12,094        500     X                                        500
HENRY SCHEIN INC                   COMMON  806407102        14,250      1,000     X                                      1,000
Schering Plough Corp               COMMON  806605101    13,689,481    313,799     X                                    313,799
Schering Plough Corp               COMMON  806605101     3,828,094     87,750           X            1        87,750
Schlumberger Ltd                   COMMON  806857108     4,509,805     72,374     X                                     72,374
Schulman A Inc                     COMMON  808194104        85,697      4,950     X                                      4,950
Charles Schwab                     COMMON  808513105        50,156      1,500     X                                      1,500
Schweitzer-Mauduit Intl Inc        COMMON  808541106         4,386        339     X                                        339
Scientific Atlanta Inc             COMMON  808655104        29,738        600     X                                        600
Scientific Games Hldgs Corp        COMMON  808747109            99          5     X                                          5
Scientific Learning Corp           COMMON  808760102       284,750     17,000     X                                     17,000
Scios Inc                          COMMON  808905103        92,188     25,000     X                                     25,000
Sealed Air Corp New                COMMON  81211K100       477,206      9,300     X                                      9,300
Sears Roebuck & Co                 COMMON  812387108        13,491        430     X                                        430
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 58
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Sedona Corp                        COMMON  815677109       106,500     48,000     X                                     48,000
Sepracor Inc                       COMMON  817315104        45,300        600     X                                        600
Shaw Inds Inc                      COMMON  820286102       738,188     46,500     X                                     46,500
Shaw Inds Inc                      COMMON  820286102        36,909      2,325           X            1         2,325
Sherwin Williams Co                COMMON  824348106     6,849,703    327,150     X                                    327,150
Sherwin Williams Co                COMMON  824348106       121,438      5,800           X            1         5,800
Shopko Stores Inc                  COMMON  824911101        34,800      1,200     X                                      1,200
Shurgard Storage Centers Inc       COMMON  82567D104        24,750      1,000     X                                      1,000
Siebel Systems Inc                 COMMON  826170102       296,481      4,450     X                                      4,450
Sierra Health Svcs Inc             COMMON  826322109       207,563     20,500     X                                     20,500
Simon Debartolo Group Inc          COMMON  828806109       560,938     25,000     X                                     25,000
Sinclair Broadcast Group Inc       COMMON  829226109       484,844     53,500     X                                     53,500
Sinclair Broadcast Group Inc       COMMON  829226109       542,844     59,900           X            1        59,900
Skywest Inc                        COMMON  830879102        37,294      1,700     X                                      1,700
Skywest Inc                        COMMON  830879102       763,425     34,800           X            1        34,800
Smithfield Foods Inc               COMMON  832248108        14,044        525           X            1           525
Smithkline Beecham P L C           COMMON  832378301       513,093      8,904     X                                      8,904
Smurfit-Stone Container Corp       COMMON  832727101     4,908,875    227,000     X                                    227,000
Snyder Communications Inc - SNC    COMMON  832914105           152         10     X                                         10
Sodexho Marriott Svcs Inc          COMMON  833793102         6,375        375     X                                        375
Softnet Systems Inc                COMMON  833964109         2,438        100     X                                        100
Sola International Inc             COMMON  834092108         4,340        280           X            1           280
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 59
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>        <C>    <C>      <C>
Solectron                          COMMON  834182107       333,928      4,650     X                                      4,650
Solutia Inc                        COMMON  834376105       768,089     42,970     X                                     42,970
Solutia Inc                        COMMON  834376105        21,450      1,200           X            1         1,200
Sonat Inc                          OPTION  8354159JG        45,000        100     X
Southdown Inc35.00                 COMMON  841297104        97,370      1,820     X                                      1,820
Southern Co                        COMMON  842587107        92,700      3,600     X                                      3,600
Southern Energy Homes Inc          COMMON  842814105         1,864        710           X            1           710
Southtrust Corp                    COMMON  844730101     8,053,938    224,500     X                                    224,500
Southtrust Corp                    COMMON  844730101       133,634      3,725           X            1         3,725
Southwest Airls Co                 COMMON  844741108        11,391        750     X                                        750
Sovereign Bancorp Inc              COMMON  845905108       125,494     13,800     X                                     13,800
Sprint Corp                        COMMON  852061100        43,400        800     X                                        800
Sprint Corp  (PCS GROUP)           COMMON  852061506     3,964,861     53,175     X                                     53,175
Sprint Corp  (PCS GROUP)           COMMON  852061506     1,260,106     16,900           X            1        16,900
SS&C TECHNOLOGIES INC              COMMON  85227Q100       110,000     20,000     X                                     20,000
Stancorp Financial Group           COMMON  852891100        60,413      2,700     X                                      2,700
Standard Products Co               OPTION  8538369JG         1,375         20     X
Standard Register Co               COMMON  853887107         4,700        200     X                                        200
Stanford Telecommunications        COMMON  854402104       477,188     15,000     X                                     15,000
Stanford Telecommunications        OPTION  8544028K3        33,125         50     X
Stanford Telecommunications        OPTION  8544029W6           875         35     X
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 60
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Staples Inc.25.00                  COMMON  855030102       111,789      5,125     X                                      5,125
Star Gas Partners L P              COMMON  85512C105        14,569        900     X                                        900
Starbucks Corpt                    COMMON  855244109     1,075,506     43,400     X                                     43,400
Starwood Hotels & Resorts World    COMMON  85590A203       974,677     43,683     X                                     43,683
Sterling Software Inc              COMMON  859547101       602,500     30,125     X                                     30,125
Sterling Software Inc              COMMON  859547101        10,500        525           X            1           525
Stoneridge Inc                     COMMON  86183P102        20,850      1,200     X                                      1,200
Stoneridge Inc                     COMMON  86183P102       741,061     42,651           X            1        42,651
Storage USA Inc                    COMMON  861907103         5,500        200           X            1           200
Storage Technology Corp            COMMON  862111200     1,021,052     52,870     X                                     52,870
Structural Dynamics Resh Cp        COMMON  863555108        40,584      2,700     X                                      2,700
Structural Dynamics Resh Cp        COMMON  863555108       829,094     55,158           X            1        55,158
Student Loan Corp                  COMMON  863902102        40,938      1,000     X                                      1,000
Suiza Foods Corp                   COMMON  865077101       471,563     12,575     X                                     12,575
Suiza Foods Corp                   COMMON  865077101        22,500        600           X            1           600
Summit Bancorp                     COMMON  866005101        89,949      2,773     X                                      2,773
Sun Microsystem Inc                COMMON  866810104     8,449,050     90,850     X                                     90,850
Sungard Data Systems Inc           COMMON  867363103     1,728,021     65,673     X                                     65,673
Sungard Data Systems Inc           COMMON  867363103        18,419        700           X            1           700
Sunrise Assisted Living Inc        COMMON  86768K106       610,938     23,000     X                                     23,000
Sunrise Assisted Living Inc        COMMON  86768K106       733,125     27,600           X            1        27,600
Supervalu Inc                      COMMON  868536103    13,079,003    592,816     X                                    592,816
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 61
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>       <C>     <C>      <C>
Supervalu Inc                      COMMON  868536103       218,816      9,918           X            1         9,918
Supervalu Inc                      OPTION  8685368VD           313         50     X
Sybron Intl Corp - Wisc            COMMON  87114F106       279,500     10,400     X                                     10,400
Symantec Inc                       COMMON  871503108       588,089     16,350     X                                     16,350
Symantec Inc                       COMMON  871503108        26,077        725           X            1           725
Symbol Technologies Inc            COMMON  871508107        55,885      1,662     X                                      1,662
Symix Sys Inc                      COMMON  871535100     1,762,369    164,900     X                                    164,900
Synopsys Inc                       COMMON  871607107       648,605     11,550     X                                     11,550
Synopsys Inc                       COMMON  871607107        22,463        400           X            1           400
Sysco Corp                         COMMON  871829107       245,157      6,992     X                                      6,992
TCF Finl Corp                      COMMON  872275102       618,378     21,650     X                                     21,650
TCF Finl Corp                      COMMON  872275102        23,564        825           X            1           825
Teco Energy Inc                    COMMON  872375100        38,025      1,800     X                                      1,800
TJX Cos Inc   New                  COMMON  872540109    11,684,383    416,370     X                                    416,370
TJX Cos Inc   New                  COMMON  872540109       172,584      6,150           X            1         6,150
TSI Int'l Software Ltd             COMMON  872879101     1,760,413     64,900     X                                     64,900
Tmp Worldwide Inc                  COMMON  872941109     3,640,325     59,800     X                                     59,800
TARRANT APPAREL GROUP              COMMON  876289109        54,000      4,800     X                                      4,800
Tech-Sym Corp                      COMMON  878308105       348,469     17,700     X                                     17,700
Technitrol Inc                     COMMON  878555101        16,744        475           X            1           475
Technology Solutions Co            COMMON  87872T108        46,613      3,300     X                                      3,300
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 62
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Technology Solutions Co            COMMON  87872T108       929,425     65,800           X            1        65,800
Tekelec                            COMMON  879101103     1,330,144     96,300     X                                     96,300
Telefonica S.A.                    COMMON  879382208       149,760      3,120     X                                      3,120
Telescan Inc                       COMMON  879516102         1,644        100     X                                        100
Tenet Healthcare                   COMMON  88033G100       497,019     28,300           X            1        28,300
Teva Pharmaceutical Inds           COMMON  881624209     5,826,188    115,800     X                                    115,800
Texaco Inc                         COMMON  881694103    12,932,798    204,876     X                                    204,876
Texaco Inc                         COMMON  881694103       208,313      3,300           X            1         3,300
Texas Instrs Inc                   COMMON  882508104     9,795,975    119,100     X                                    119,100
Textron Inc                        COMMON  883203101        61,900        800     X                                        800
Theragenics Corp                   OPTION  8833759CA        15,500         20     X
Theragenics Corp0                  OPTION  8833759CB        13,563         35     X
Theragenics Corp00                 OPTION  8833759LV         4,688         25     X
Thermo Electron Corp               COMMON  883556102        30,234      2,250     X                                      2,250
Thermo Cardiosystems Inc           COMMON  88355K200         1,069        150     X                                        150
Thestreet.Com Inc                  COMMON  88368Q103        18,125      1,000     X                                      1,000
Thestreet.Com Inc                  COMMON  88368Q103       418,688     23,100           X            1        23,100
Thomas & Betts Corp                COMMON  884315102        12,750        250     X                                        250
Thomas Industries Inc              COMMON  884425109       351,325     18,800     X                                     18,800
Tibco Software Inc                 COMMON  88632Q103        51,159      1,700     X                                      1,700
Tibco Software Inc                 COMMON  88632Q103       908,831     30,200           X            1        30,200
Tidewater Inc                      COMMON  886423102       219,173      8,595     X                                      8,595
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 63
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Tiffany & Co New                   COMMON  886547108       672,798     11,225     X                                     11,225
Tiffany & Co New                   COMMON  886547108        19,480        325           X            1           325
Timberline Software                COMMON  887134104     5,311,217    285,166     X                                    285,166
Time Warner Inc                    COMMON  887315109    31,637,932    520,789     X                                    520,789
Time Warner Inc                    COMMON  887315109     2,909,925     47,900           X            1        47,900
Times Mirror Co New                COMMON  887364107       286,284      4,350     X                                      4,350
Todd Ao Corp - Cl A                COMMON  888896107       147,000      9,800     X                                      9,800
Tompkinstrustco, Inc               COMMON  890110109       183,313      5,866     X                                      5,866
Too Inc                            COMMON  890333107            18          1     X                                          1
Toro Co                            COMMON  891092108        28,966        775           X            1           775
Tosco Corp                         COMMON  891490302       720,256     28,525     X                                     28,525
Tosco Corp                         COMMON  891490302        30,300      1,200           X            1         1,200
Tower Automotive Inc               COMMON  891707101       384,363     19,400     X                                     19,400
Toys R Us Holding Co               COMMON  892335100     6,511,695    434,113     X                                    434,113
Toys R Us Holding Co               COMMON  892335100       100,500      6,700           X            1         6,700
Travelers Prop Casualty            COMMON  893939108     6,099,863    206,775     X                                    206,775
Travelers Prop Casualty            COMMON  893939108        78,175      2,650           X            1         2,650
Trenwick Group Inc                 COMMON  895290104         4,638        280           X            1           280
Triad Hospitals Inc                COMMON  89579K109        45,563      4,500     X                                      4,500
TRIAD GUARANTY INC                 COMMON  895925105        33,750      2,000     X                                      2,000
Triarc Cos Inc                     COMMON  895927101     1,071,875     50,000     X                                     50,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 64
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Tricon Global Restaurants          COMMON  895953107       101,075      2,469     X                                      2,469
Tribune Co                         COMMON  896047107       333,325      6,700     X                                      6,700
Trimeris Inc                       OPTION  8962639JE           188         15     X
Trinity Inds Inc00                 COMMON  896522109         6,175        200     X                                        200
True North Communications          COMMON  897844106     1,178,550     32,400     X                                     32,400
True North Communications          COMMON  897844106       115,673      3,180           X            1         3,180
Tuesday Morning Corp               COMMON  899035505        95,950      3,800     X                                      3,800
Tuesday Morning Corp               COMMON  899035505     1,676,600     66,400           X            1        66,400
Tupperware Corp                    COMMON  899896104       212,828     10,510     X                                     10,510
Tupperware Corp                    COMMON  899896104        14,175        700           X            1           700
20Th Centy Inds Cal                COMMON  901272203            97          5     X                                          5
Tyco International Ltd             COMMON  902124106    71,508,369    692,575     X                                    692,575
Tyco International Ltd             COMMON  902124106     5,131,525     49,700           X            1        49,700
Tyco International Ltd             OPTION  9021248VT         6,344         35     X
Tyco International Ltd             OPTION  9021249VA        14,500         40     X
TYLER TECHNOLOGIES INC             COMMON  902252105       301,306     67,900     X                                     67,900
UAL Corp New                       COMMON  902549500        52,250        800     X                                        800
UST Corp                           COMMON  902900109        23,831        775           X            1           775
USX Marathon Group                 COMMON  902905827    14,946,019    510,975     X                                    510,975
USX Marathon Group                 COMMON  902905827       246,431      8,425           X            1         8,425
US Energy Systems Inc              COMMON  902951102            22         11     X                                         11
US Bancorp                         COMMON  902973106       137,051      4,540     X                                      4,540
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 65
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
US Bancorp                         COMMON  902973106       869,974     28,819           X            1        28,819
USG Corp                           COMMON  903293405       527,447     11,075     X                                     11,075
USG Corp                           COMMON  903293405        21,431        450           X            1           450
U.S. Interactive Inc               COMMON  90334M109           221         10     X                                         10
U.S. Interactive Inc               COMMON  90334M109         7,281        330           X            1           330
USX  U S Steel Group               COMMON  90337T101     2,542,169     98,725     X                                     98,725
ULTIMATE SOFTWARE GROUP INC        COMMON  90385D107     1,469,250    195,900     X                                    195,900
Unilever N V                       COMMON  904784709    31,462,605    461,836     X                                    461,836
Union Carbide Corp                 COMMON  905581104       426,094      7,500     X                                      7,500
Union Carbide Corp                 OPTION  9055818VK         1,875         25     X
Union Pac Corp.00                  COMMON  907818108        57,675      1,200     X                                      1,200
Union Pac Res Group Inc            COMMON  907834105     6,760,033    416,002     X                                    416,002
Union Pac Res Group Inc            COMMON  907834105       106,438      6,550           X            1         6,550
Unisys Corp                        COMMON  909214108       336,181      7,450     X                                      7,450
United Healthcare Corp             COMMON  910581107        26,778        550     X                                        550
U S Bioscience Inc                 COMMON  911646206       213,750     15,000     X                                     15,000
U S Bioscience Inc                 OPTION  9116469C3        35,000        140     X
US West Incr 12.50                 COMMON  91273H101     3,915,458     68,617     X                                     68,617
US West Inc                        COMMON  91273H101     1,900,124     33,299           X            1        33,299
US Tr Corp New                     COMMON  91288L105        11,253        140           X            1           140
United Technologies Corp           COMMON  913017109    13,902,298    234,391     X                                    234,391
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 66
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>          <C>          <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
United Technologies Corp           COMMON  913017109     1,218,279     20,540           X            1        20,540
UnitedGlobalcom Inc - Cl A         COMMON  913247508    12,648,975    176,600     X                                    176,600
Universal Foods Corp               COMMON  913538104       306,216     13,350     X                                     13,350
Univision Communications Inc       COMMON  914906102     5,502,984     67,625     X                                     67,625
Univision Communications Inc       COMMON  914906102        30,516        375           X            1           375
Utah Medical Products Inc          COMMON  917488108         2,044        300     X                                        300
Utilicorp Utd Inc                  COMMON  918005109        18,956        900           X            1           900
Valhi Inc New                      COMMON  918905100            54          5     X                                          5
Vantive                            COMMON  922091103       103,659     11,932     X                                     11,932
Vantive                            COMMON  922091103       970,741    111,740           X            1       111,740
Varco Intl Inc                     COMMON  922126107       286,406     23,500     X                                     23,500
Vaxgen Inc                         COMMON  922390208         2,925        200     X                                        200
Veba A G                           COMMON  92239H102        11,350        200     X                                        200
Ventiv Health Inc                  COMMON  922793104            33          3     X                                          3
Veritas Software Corp              COMMON  923436109     6,466,078     85,150     X                                     85,150
Veritas Software Corp              COMMON  923436109        37,969        500           X            1           500
Veritas Dgc Inc                    COMMON  92343P107        36,575      1,900     X                                      1,900
Veritas Dgc Inc                    COMMON  92343P107       631,400     32,800           X            1        32,800
Viacom Inc Cl B                    COMMON  925524308     5,998,486    141,976     X                                    141,976
Viad CorpCom Non Vtg               COMMON  92552R109     8,742,325    296,350     X                                    296,350
Viad Corp                          COMMON  92552R109       132,750      4,500           X            1         4,500
Vignette Corporation               COMMON  926734104       905,000     10,000     X                                     10,000
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 67
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Vishay Intertechnologies Inc       COMMON  928298108       232,156      9,775     X                                      9,775
Vishay Intertechnologies Inc       COMMON  928298108        16,031        675           X            1           675
VISX Inc                           COMMON  92844S105     4,256,035     53,810     X                                     53,810
VISX Inc                           COMMON  92844S105        45,479        575           X            1           575
Vitesse Semiconductor Corp         COMMON  928497106       326,559      3,825     X                                      3,825
Voicestream Wireless Corp          COMMON  928615103        37,031        600     X                                        600
Voicestream Wireless Corp          COMMON  928615103       853,262     13,825           X            1        13,825
Vulcan Matls Co                    COMMON  929160109       263,700      7,200     X                                      7,200
WLR Foods Inc                      COMMON  929286102            14          2           X            1             2
Wabash Natl Corp                   COMMON  929566107         6,094        300           X            1           300
Wackenhut                          COMMON  929798106        46,813      3,500     X                                      3,500
Waddell & Reed                     COMMON  930059100        39,938      1,800     X                                      1,800
Waddell & Reed                     COMMON  930059100       939,019     42,322           X            1        42,322
Wal Mart Stores Inc                COMMON  931142103    30,128,085    633,442     X                                    633,442
Wal Mart Stores Inc                COMMON  931142103       410,227      8,625           X            1         8,625
Walgreen Co                        COMMON  931422109     2,643,796    104,189     X                                    104,189
Warnaco Group Inc                  COMMON  934390105       175,200      9,600     X                                      9,600
Warnaco Group Inc                  COMMON  934390105        16,425        900           X            1           900
Warner Chilcott Labs Sp ADR        COMMON  934435207         3,688        500     X                                        500
Warner Lambert Co                  COMMON  934488107     6,881,229    103,672     X                                    103,672
Warner Lambert Co                  COMMON  934488107     2,250,113     33,900           X            1        33,900
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 68
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Warner Lambert lg-Tm               OPTION  9344889MM         4,250         10     X
Washington Fed Inc0                COMMON  938824109        51,476      2,220     X                                      2,220
Washington Fed Inc                 COMMON  938824109     1,150,457     49,615           X            1        49,615
Washington Mutual                  COMMON  939322103        50,895      1,740     X                                      1,740
Washington Post Co                 COMMON  939640108        12,750         25     X                                         25
Waste Management Inc               COMMON  94106L109        40,233      2,090     X                                      2,090
Waste Management Inc               COMMON  94106L109        12,994        675           X            1           675
Waters Corp                        COMMON  941848103     5,798,859     95,750     X                                     95,750
Waters Corp                        COMMON  941848103        22,711        375           X            1           375
Webb Del E Corp                    COMMON  947423109        50,600      2,300     X                                      2,300
Webb Del E Corp                    COMMON  947423109     1,053,800     47,900           X            1        47,900
Webstakes.com Inc                  COMMON  94768K100     1,611,700    181,600     X                                    181,600
Webstakes.com Inc                  COMMON  94768K100        30,175      3,400           X            1         3,400
Weider Nutrition In                COMMON  948603105         9,563      3,000     X                                      3,000
Wellpoint Health Ntwrks New        COMMON  94973H108     7,300,275    128,075     X                                    128,075
Wellpoint Health Ntwrks New        COMMON  94973H108        94,050      1,650           X            1         1,650
Wendys Intl Inc                    COMMON  950590109       718,150     27,100           X            1        27,100
Western Properties Trust           COMMON  959261108        14,681      1,350     X                                      1,350
Western Resources Inc              COMMON  959425109       192,375      9,000     X                                      9,000
Western Wireless Corp              COMMON  95988E204        58,297      1,300     X                                      1,300
Western Wireless Corp              COMMON  95988E204     1,247,777     27,825           X            1        27,825
Weyerhaeuser Co                    COMMON  962166104        52,381        909     X                                        909
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 69
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Whitman Corp                       COMMON  96647R107        14,250      1,000     X                                      1,000
Whole Foods Mkt Inc                COMMON  966837106           818         25     X                                         25
Wild Oats Markets Inc              COMMON  96808B107        67,150      1,700     X                                      1,700
Wild Oats Markets Inc              COMMON  96808B107     1,204,750     30,500           X            1        30,500
Willamette Inds Inc                COMMON  969133107         4,313        100     X                                        100
Williams Cos                       COMMON  969457100        25,058        666     X                                        666
Williams Sonoma Inc                COMMON  969904101        14,569        300           X            1           300
Winnebago Inds Inc                 COMMON  974637100        20,347        850           X            1           850
Wolverine World Wide Inc           COMMON  978097103        78,488      6,900     X                                      6,900
World Access Inc                   COMMON  98141A101        44,750      4,000     X                                      4,000
Worthington Foods Inc              COMMON  981809106       492,216     34,241     X                                     34,241
Worthington Inds Inc               COMMON  981811102     1,098,200     64,600           X            1        64,600
Wyman Gordon Co                    COMMON  983085101       915,688     49,000     X                                     49,000
Xilinx Inc                         COMMON  983919101     1,467,900     22,400     X                                     22,400
Xilinx Inc                         COMMON  983919101     1,156,627     17,650           X            1        17,650
Xircom Inc                         COMMON  983922105        22,411        525           X            1           525
Xerox Corp                         COMMON  984121103    13,424,571    320,109     X                                    320,109
Xerox Corp                         COMMON  984121103     1,999,370     47,675           X            1        47,675
Xerox Corp                         OPTION  9841219MH         5,500         20     X
Xomed Surgical Products            OPTION  98412V9O7        18,194         71     X
Xoom.Com Inc55.00                  COMMON  98413F101     5,404,163    108,900     X                                    108,900
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                    Page 70
<PAGE>

WEISS, PECK & GREER                REPORT 13F
   INVESTMENTS        REPORTING MANAGER: WEISS, PECK & GREER
                                As of 09/30/1999

<TABLE>
<CAPTION>
                                                                                    INVESTMENT
                                                                                    DISCRETION                VOTING AUTHORITY
                                                                                ------------------            ----------------
                                   TITLE                  FAIR         SHARES
                                    OF                   MARKET      PRINCIPAL  SOLE  SHARED  OTHER  MANA-      SOLE   SHARED   NONE
NAME OF ISSUES                     CLASS   CUSIP NO.      VALUE        AMOUNT    (A)   (B)     (C)   GERS       (A)      (B)     (C)
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                <C>     <C>           <C>         <C>        <C>   <C>     <C>    <C>      <C>      <C>      <C>
Yahoo Inc                          COMMON  984332106     5,923,500     33,000     X                                     33,000
Yellow Corporation                 COMMON  985509108        19,047      1,150           X            1         1,150
York International Corp            COMMON  986670107     8,671,719    241,300     X                                    241,300
York International Corp            COMMON  986670107       168,008      4,675           X            1         4,675
Zale Corp                          COMMON  988858106       730,811     19,075     X                                     19,075
Zale Corp                          COMMON  988858106     1,058,383     27,625           X            1        27,625
Zonagen Inc                        COMMON  98975L108         2,938      1,000     X                                      1,000
Global Crossing Ltd                OPTION  G3921A9JK        22,500        100     X
    Call Oct 55.00
                                           Totals:   3,691,361,564

- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                     Page 71



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