ZWEIG DIMENNA PARTNERS L P
13F-HR, 1999-05-17
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                       UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C.  20549

                                  FORM 13F

                            FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 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:     ZWEIG-DIMENNA PARTNERS, L.P.
Address:  900 THIRD AVENUE
          NEW YORK N.Y. 10022
          X

13 File Number: 28-4790

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
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:      MARC BALTUCH
Title:     CHIEF COMPL. OFFICER
Phone:     212-451-1100
Signature, Place and Date of Signing:

    MARC BALTUCH  May 17, 1999


Report Type (Check only one.):
[ X]        13F HOLDINGS REPORT.
[  ]        13F NOTICE.
[  ]        13F COMBINATION REPORT.


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934
<PAGE>
                           FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:         3

Form 13F Information Table Entry Total:    320

Form 13F Information Table Value Total:    5370111



List of Other Included Managers: 

 No.  13F File Number     Name

 01                       ZWEIG-DIMENNA ASSOCIATES LLC  
 02                       ZWEIG-DIMENNA INTERNATIONAL   
 03                       GOTHAM ADVISORS, INC.         
<PAGE>
<TABLE>                          <C>                                            <C>
                                                                FORM 13F INFORMATION TABLE
                                                              VALUE   SHARES/ SH/ PUT/ INVSTMT   OTHER        VOTING AUTHORITY
           NAME OF ISSUER        TITLE OF CLASS     CUSIP   x($1000) PRN AMT  PRN CALL DISCRETN MANAGERS   SOLE    SHARED    NONE
  ------------------------------ ---------------- --------- -------- -------- --- ---- -------- --------- -------- -------- --------
D A T & T CORP COM               COMMON STOCK     001957109    77941   976561 SH       SOLE     010203      976561        0        0
D ABERCROMBIE & FITCH CO CL A CO COMMON STOCK     002896207     6134    66500 SH       SOLE     010203       66500        0        0
D ACE LTD COM                    COMMON STOCK     G0070K103    13410   430000 SH       SOLE     010203      430000        0        0
D ADAC LABS COM NEW              COMMON STOCK     005313200      340    25000 SH       SOLE     010203       25000        0        0
D ADELPHIA COMMUNICATIONS CORP   COMMON STOCK     006848105     9450   150000 SH       SOLE     010203      150000        0        0
D AGRIBIOTECH INC NEV COM        COMMON STOCK     008494106     1453   232500 SH       SOLE     010203      232500        0        0
D AIRBORNE FGHT CORP COM         COMMON STOCK     009266107     5623   181400 SH       SOLE     010203      181400        0        0
D AK STEEL HOLDING CORP COM      COMMON STOCK     001547108     6202   274900 SH       SOLE     010203      274900        0        0
D ALCAN ALUMINIUM LTD CAD COM NP COMMON STOCK     013716105     5175   200500 SH       SOLE     010203      200500        0        0
D ALLEGHENY TELEDYNE INC COM     COMMON STOCK     017415100     3418   180500 SH       SOLE     010203      180500        0        0
D ALLSTATE CORP COM              COMMON STOCK     020002101    35661   962200 SH       SOLE     010203      962200        0        0
D ALZA CORP COM FORMERLY CL A UN COMMON STOCK     022615108    23810   622500 SH       SOLE     010203      622500        0        0
D AMAZON COM INC COM             COMMON STOCK     023135106    73093   424500 SH       SOLE     010203      424500        0        0
D AMER HOME PRODS CORP COM       COMMON STOCK     026609107    54216   830900 SH       SOLE     010203      830900        0        0
D AMER INTL GROUP INC COM        COMMON STOCK     026874107    41012   340000 SH       SOLE     010203      340000        0        0
D AMERICA ONLINE INC COM STK     COMMON STOCK     02364J104   208240  1416600 SH       SOLE     010203     1416600        0        0
D AMGEN INC USD.0001 COM         COMMON STOCK     031162100    88936  1187800 SH       SOLE     010203     1187800        0        0
D AMR CORP COM                   COMMON STOCK     001765106    29281   500000 SH       SOLE     010203      500000        0        0
D ANHEUSER BUSCH COS INC COM     COMMON STOCK     035229103    22837   300000 SH       SOLE     010203      300000        0        0
D ANNALY MORTGAGE MANAGEMENT COM COMMON STOCK     035710409     1013   101300 SH       SOLE     010203      101300        0        0
D AON CORP                       COMMON STOCK     037389103    24591   388800 SH       SOLE     010203      388800        0        0
D APPLIED MAGNETICS CORP COM     OPTIONS - PUTS   0382130PB     1046   250000 SH  PUT  SOLE     010203      250000        0        0
D APPLIED MATERIALS INC COM      COMMON STOCK     038222105    80588  1306400 SH       SOLE     010203     1306400        0        0
D ARMSTRONG WORLD INDS  COM      COMMON STOCK     042476101     4075    90200 SH       SOLE     010203       90200        0        0
D ASHLAND INC COM                COMMON STOCK     044204105     7401   180800 SH       SOLE     010203      180800        0        0
D ASSOCIATES FIRST CAP ITAL CORP COMMON STOCK     046008108    29587   657500 SH       SOLE     010203      657500        0        0
D ASTORIA FINL CORP COM          COMMON STOCK     046265104    43880   877605 SH       SOLE     010203      877605        0        0
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208   142855  2716412 SH       SOLE     010203     2716412        0        0
D ATI TECHNOLOGIES INC  CAD NPV  COMMON STOCK     001941103      229    15000 SH       SOLE     010203       15000        0        0
D ATLANTIC COAST AIRLINES        COMMON STOCK     048396105     5062   180000 SH       SOLE     010203      180000        0        0
D ATLANTIC RICHFIELD CO USD2.5 C COMMON STOCK     048825103    14625   200000 SH       SOLE     010203      200000        0        0
D AVNET INC COM                  COMMON STOCK     053807103     4112   111900 SH       SOLE     010203      111900        0        0
D BAAN COMPANY NV NLG. 02 ORDS ( ADRS STOCKS      N08044104     1584   184400 SH       SOLE     010203      184400        0        0
D BAKER HUGHES INC COM           COMMON STOCK     057224107    19450   800000 SH       SOLE     010203      800000        0        0
D BANCO SANTANDER PUERTO RICO    COMMON STOCK     059646109     1700    85000 SH       SOLE     010203       85000        0        0
D BANK NEW YORK INC COM          COMMON STOCK     064057102    39603  1102000 SH       SOLE     010203     1102000        0        0
D BANKAMERICA CORP COM STK(NEW)  COMMON STOCK     06605F102    29309   415000 SH       SOLE     010203      415000        0        0
D BEAR STEARNS COS INC  USD1 COM COMMON STOCK     073902108     7603   170145 SH       SOLE     010203      170145        0        0
D BELL ATLANTIC CORP USD0.1 COM  COMMON STOCK     077853109     2584    50000 SH       SOLE     010203       50000        0        0
D BERGEN BRUNSWIG CORP  CL A     COMMON STOCK     083739102    16152   807600 SH       SOLE     010203      807600        0        0
D BEST BUY INC COM               COMMON STOCK     086516101    12667   243600 SH       SOLE     010203      243600        0        0
D BJ SERVICES CO COM             COMMON STOCK     055482103     2325   100000 SH       SOLE     010203      100000        0        0
D BLACKROCK 2001 TERM TR INC     REITS/RICS       092477108      734    81600 SH       SOLE     010203       81600        0        0
D BLACKROCK STRTEGIC TERM TR INC REITS/RICS       09247P108      749    81600 SH       SOLE     010203       81600        0        0
D BLANCH E W HLDGS INC  COM      COMMON STOCK     093210102    12815   244100 SH       SOLE     010203      244100        0        0
D BMC SOFTWARE INC USD  COM      COMMON STOCK     055921100    17048   460000 SH       SOLE     010203      460000        0        0
D BOB EVANS FARMS INC COM        COMMON STOCK     096761101     1388    69400 SH       SOLE     010203       69400        0        0
D BOISE CASCADE CORP COM         COMMON STOCK     097383103     4395   136300 SH       SOLE     010203      136300        0        0
D BORG WARNER AUTOMOTIVE INC     COMMON STOCK     099724106     5173   108200 SH       SOLE     010203      108200        0        0
D BOWATER INC USD1 COM           COMMON STOCK     102183100    10587   267200 SH       SOLE     010203      267200        0        0
D BRITISH STEEL PLC ADR          ADRS STOCKS      111015301     2559   126800 SH       SOLE     010203      126800        0        0
D BROADCOM CORP CLASS A COM STK  COMMON STOCK     111320107    40056   650000 SH       SOLE     010203      650000        0        0
D BROADVISION INC COM            COMMON STOCK     111412102     8090   135400 SH       SOLE     010203      135400        0        0
D BRUNSWICK CORP COM             COMMON STOCK     117043109     1789    93900 SH       SOLE     010203       93900        0        0
D BURLINGTON NORTHN SANTA FE COR COMMON STOCK     12189T104    12466   379200 SH       SOLE     010203      379200        0        0
D CAMDEN PPTY TR SH BEN INT      REITS/RICS       133131102     1596    64500 SH       SOLE     010203       64500        0        0
D CANADIAN PAC LTD NEW  COM      COMMON STOCK     135923100     5090   260200 SH       SOLE     010203      260200        0        0
D CAPITAL ONE FINL CORP COM      COMMON STOCK     14040H105     7550    50000 SH       SOLE     010203       50000        0        0
D CBS CORPORATION COM            COMMON STOCK     12490K107    42800  1048700 SH       SOLE     010203     1048700        0        0
D CENTOCOR INC USD.01 COM        COMMON STOCK     152342101     3874   104900 SH       SOLE     010203      104900        0        0
D CENTRAL & SOUTH WEST  CORP COM COMMON STOCK     152357109     4143   176800 SH       SOLE     010203      176800        0        0
D CENTRAL EUROPEAN EQUITY FD INC COMMON STOCK     153436100      784    65000 SH       SOLE     010203       65000        0        0
D CHANCELLOR MEDIA CORP COM      COMMON STOCK     158915108    71681  1521100 SH       SOLE     010203     1521100        0        0
D CHARTER ONE FINL INC COM       COMMON STOCK     160903100     3364   116587 SH       SOLE     010203      116587        0        0
D CHASE MANHATTAN CORP COM NEW   COMMON STOCK     16161A108    28888   355000 SH       SOLE     010203      355000        0        0
D CHILDREN'S PLACE COM           COMMON STOCK     168905107     8081   300000 SH       SOLE     010203      300000        0        0
D CIRCUIT CITY STORES- CIRCUIT C COMMON STOCK     172737108    46358   605000 SH       SOLE     010203      605000        0        0
D CISCO SYS INC COM              COMMON STOCK     17275R102    71774   655100 SH       SOLE     010203      655100        0        0
D CIT GROUP INC CL A COM         COMMON STOCK     125577106     2759    90300 SH       SOLE     010203       90300        0        0
D CITIGROUP INC COM STK          COMMON STOCK     172967101    35131   550000 SH       SOLE     010203      550000        0        0
D CITRIX SYSTEMS INC COM         COMMON STOCK     177376100    69414  1820700 SH       SOLE     010203     1820700        0        0
D CLEAR CHANNEL COMMUNICATIONS I COMMON STOCK     184502102    62587   933270 SH       SOLE     010203      933270        0        0
D CNF TRANSPORTATION INC COM     COMMON STOCK     12612W104     9903   261900 SH       SOLE     010203      261900        0        0
D CNS INC COM                    COMMON STOCK     126136100      107    33100 SH       SOLE     010203       33100        0        0
D COINSATR INC COM               COMMON STOCK     19259P300      806    50000 SH       SOLE     010203       50000        0        0
D COMAIR HLDGS INC COM           COMMON STOCK     199789108     5712   241800 SH       SOLE     010203      241800        0        0
D COMCAST CORP CL A SPECIAL      COMMON STOCK     200300200    63346  1006500 SH       SOLE     010203     1006500        0        0
D COMPAQ COMPUTER CORP COM       COMMON STOCK     204493100     7862   248128 SH       SOLE     010203      248128        0        0
D COMPUTER LEARNING CTRS INC COM COMMON STOCK     205199102      265    50000 SH       SOLE     010203       50000        0        0
D COMPUWARE CORP COM             COMMON STOCK     205638109    61253  2565600 SH       SOLE     010203     2565600        0        0
D CONEXANT SYSTEMS INC COM STK   COMMON STOCK     207142100     3460   125000 SH       SOLE     010203      125000        0        0
D CONSECO INC COM                COMMON STOCK     208464107     8018   259700 SH       SOLE     010203      259700        0        0
D COOPER TIRE & RUBR CO COM      COMMON STOCK     216831107     4200   228600 SH       SOLE     010203      228600        0        0
D COORS ADOLPH CO CL B           COMMON STOCK     217016104     8208   152000 SH       SOLE     010203      152000        0        0
D COSTCO COMPANIES INC COM       COMMON STOCK     22160Q102    53792   587500 SH       SOLE     010203      587500        0        0
D COUNTRYWIDE CR INDS INC COM    COMMON STOCK     222372104     5088   135700 SH       SOLE     010203      135700        0        0
D COVAD COMMUNICATIONS GROUP COM COMMON STOCK     222814204    16108   245000 SH       SOLE     010203      245000        0        0
D CREATIVE COMPUTERS INC, COM    COMMON STOCK     22527E107     4054   134600 SH       SOLE     010203      134600        0        0
D CRESCENT REAL ESTATE  EQUITIES COMMON STOCK     225756105     3244   150900 SH       SOLE     010203      150900        0        0
D CSG SYSTEMS INTL INC COM       COMMON STOCK     126349109     1971    50000 SH       SOLE     010203       50000        0        0
D CUMMINS ENGINE CO INC          COMMON STOCK     231021106     5771   162300 SH       SOLE     010203      162300        0        0
D DAIMLERCHRYSLER AG COM         COMMON STOCK     D1668R123    13187   153682 SH       SOLE     010203      153682        0        0
D DANA CORP COM                  COMMON STOCK     235811106    10385   273300 SH       SOLE     010203      273300        0        0
D DAOU SYSTEMS INC COM           COMMON STOCK     237015102      561    95600 SH       SOLE     010203       95600        0        0
D DATASTREAM SYSTEMS INC COM     COMMON STOCK     238124101      258    30000 SH       SOLE     010203       30000        0        0
D DAYTON HUDSON CORP COM         COMMON STOCK     239753106    29981   450000 SH       SOLE     010203      450000        0        0
D DELL COMPUTER CORP COM         COMMON STOCK     247025109    11960   292600 SH       SOLE     010203      292600        0        0
D DELTA FINANCIAL CORP COM       COMMON STOCK     247918105      170    30300 SH       SOLE     010203       30300        0        0
D DEVON ENERGY CORP COM          COMMON STOCK     251799102     6201   225000 SH       SOLE     010203      225000        0        0
D DEXTER CORP COM                COMMON STOCK     252165105     1625    51600 SH       SOLE     010203       51600        0        0
D DIAMOND OFFSHORE DRILLING INC  COMMON STOCK     25271C102     2852    90200 SH       SOLE     010203       90200        0        0
D DIME BANCORP INC NEW, COM      COMMON STOCK     25429Q102     4185   180500 SH       SOLE     010203      180500        0        0
D DOUBLECLICK INC COM            COMMON STOCK     258609304    90412   496600 SH       SOLE     010203      496600        0        0
D DSP COMMUNICATIONS INC         COMMON STOCK     23332K106    10318   650000 SH       SOLE     010203      650000        0        0
D DTE ENERGY CO COM              COMMON STOCK     233331107     6273   163200 SH       SOLE     010203      163200        0        0
D E M C CORP MASS COM            COMMON STOCK     268648102    65318   511300 SH       SOLE     010203      511300        0        0
D E*TRADE GROUP INC COM          COMMON STOCK     269246104    26823   460000 SH       SOLE     010203      460000        0        0
D EBAY INC COM STK               COMMON STOCK     278642103    43775   318800 SH       SOLE     010203      318800        0        0
D EDISON INTERNATIONAL  USD4.166 COMMON STOCK     281020107     7358   330700 SH       SOLE     010203      330700        0        0
D EDWARDS A G INC COM            COMMON STOCK     281760108     4994   152800 SH       SOLE     010203      152800        0        0
D ELECTRONICS FOR IMAGING INC    COMMON STOCK     286082102    56550  1450000 SH       SOLE     010203     1450000        0        0
D EMERGING MARKET TELECOMMUNICAT REITS/RICS       290887108     1002   107600 SH       SOLE     010203      107600        0        0
D EMERGING MKTS INFRASTRUCTURE F COMMON STOCK     290921105     2387   293800 SH       SOLE     010203      293800        0        0
D EMPLOYEE SOLUTIONS INC COM     COMMON STOCK     292166105      519   519200 SH       SOLE     010203      519200        0        0
D ENERGY EAST CORPORATION        COMMON STOCK     29266M109     8888   169100 SH       SOLE     010203      169100        0        0
D ENGINEERING ANIMATION INC COM  COMMON STOCK     292872108     7266   172500 SH       SOLE     010203      172500        0        0
D ENRON CORP COM                 COMMON STOCK     293561106    91395  1422500 SH       SOLE     010203     1422500        0        0
D ENTERGY CORP NEW COM           COMMON STOCK     29364G103     9212   335000 SH       SOLE     010203      335000        0        0
D EQUITABLE RES INC COM          COMMON STOCK     294549100     1730    66400 SH       SOLE     010203       66400        0        0
D EXODUS COMMUNICATION INC COM   COMMON STOCK     302088109    21520   160000 SH       SOLE     010203      160000        0        0
D EXXON CORP COM                 COMMON STOCK     302290101     9878   140000 SH       SOLE     010203      140000        0        0
D FAMILY GOLF CTRS INC           COMMON STOCK     30701A106     1599   215000 SH       SOLE     010203      215000        0        0
D FANNIE MAE COM STK             COMMON STOCK     313586109    10387   150000 SH       SOLE     010203      150000        0        0
D FDX CORP HOLDING CO COM        COMMON STOCK     31304N107    29352   315620 SH       SOLE     010203      315620        0        0
D FELCOR LODGING TRUST INC COM   COMMON STOCK     31430F101     2093    90300 SH       SOLE     010203       90300        0        0
D FIDELITY NATL FINL INC   COM   COMMON STOCK     316326107     2028   135200 SH       SOLE     010203      135200        0        0
D FILA HOLDING S P A AMERICAN DE ADRS STOCKS      316850106      349    42400 SH       SOLE     010203       42400        0        0
D FIRSTPLUS FINANCIAL GROUP      COMMON STOCK     33763B103       84   168400 SH       SOLE     010203      168400        0        0
D FLEETWOOD ENTERPRISES INC COM  COMMON STOCK     339099103     3830   133800 SH       SOLE     010203      133800        0        0
D FLUOR CORP USD.625 C OM        COMMON STOCK     343861100     5121   189700 SH       SOLE     010203      189700        0        0
D FORD MTR CO DEL COM            COMMON STOCK     345370100    13015   229600 SH       SOLE     010203      229600        0        0
D FOREST LABS INC COM            COMMON STOCK     345838106    39090   693400 SH       SOLE     010203      693400        0        0
D FORTUNE BRANDS INC COM         COMMON STOCK     349631101     6822   177200 SH       SOLE     010203      177200        0        0
D FRANCE GROWTH FD INC  COM      REITS/RICS       35177K108     1223    90200 SH       SOLE     010203       90200        0        0
D FREDDIE MAC USD0.21 COM        COMMON STOCK     313400301    62000  1081800 SH       SOLE     010203     1081800        0        0
D FRONTIER CORP COM              COMMON STOCK     35906P105     3371    65000 SH       SOLE     010203       65000        0        0
D GABELLI EQUITY TR INC   COM    COMMON STOCK     362397101     1782   150100 SH       SOLE     010203      150100        0        0
D GABELLI GLOBAL MULTIMEDIA TRUS COMMON STOCK     36239Q109     1797   151400 SH       SOLE     010203      151400        0        0
D GATX CORP COM                  COMMON STOCK     361448103     3267    99200 SH       SOLE     010203       99200        0        0
D GEMSTAR INTL GROUP LTD COM     COMMON STOCK     G3788V106    28143   374000 SH       SOLE     010203      374000        0        0
D GENENTECH INC COM CALLABLE & P COMMON STOCK     368710307     2215    25000 SH       SOLE     010203       25000        0        0
D GENERAL CABLE CORP COM         COMMON STOCK     369300108      809    76600 SH       SOLE     010203       76600        0        0
D GENERAL MOTORS CLASS H COM     COMMON STOCK     370442832     9043   179300 SH       SOLE     010203      179300        0        0
D GENERAL MTRS CORP COM          COMMON STOCK     370442105    63988   735500 SH       SOLE     010203      735500        0        0
D GEORGIA PACIFIC GROUP COM      COMMON STOCK     373298108     7321    98600 SH       SOLE     010203       98600        0        0
D GLOBALSTAR TELECOMMUNICATIONS  COMMON STOCK     G3930H104     5412   390076 SH       SOLE     010203      390076        0        0
D GOODRICH B F CO COM            COMMON STOCK     382388106     6135   178800 SH       SOLE     010203      178800        0        0
D GPU INC COM                    COMMON STOCK     36225X100    10100   270700 SH       SOLE     010203      270700        0        0
D HALLIBURTON CO COM USD2.5      COMMON STOCK     406216101    13475   350000 SH       SOLE     010203      350000        0        0
D HARTFORD FIANANCIAL SERVICES G COMMON STOCK     416515104     4130    72700 SH       SOLE     010203       72700        0        0
D HOLLYWOOD ENTERTAINM ENT CORP  COMMON STOCK     436141105     1164    62500 SH       SOLE     010203       62500        0        0
D HOME DEPOT INC COM             COMMON STOCK     437076102    73355  1178400 SH       SOLE     010203     1178400        0        0
D IMC GLOBAL INC COM             COMMON STOCK     449669100     6907   338000 SH       SOLE     010203      338000        0        0
D INCO LTD CAD NPV COM  (USD)    COMMON STOCK     453258402      998    75000 SH       SOLE     010203       75000        0        0
D INFINITY BROADCASTING CORP     COMMON STOCK     45662S102     1931    75000 SH       SOLE     010203       75000        0        0
D INTEL CORP COM                 COMMON STOCK     458140100     9200    77400 SH       SOLE     010203       77400        0        0
D INTELLIGROUP INC COM           COMMON STOCK     45816A106      506    78700 SH       SOLE     010203       78700        0        0
D INTERFACE FLOORING SYS INC CL  COMMON STOCK     458665106     1711   177800 SH       SOLE     010203      177800        0        0
D IRIDIUM WORLD COMM INC CL A CO COMMON STOCK     G49398103     3403   225000 SH       SOLE     010203      225000        0        0
D ISOLYSER INC COM               COMMON STOCK     464888106     1048   394700 SH       SOLE     010203      394700        0        0
D ITALY FD INC COM               COMMON STOCK     465395101     1369    90900 SH       SOLE     010203       90900        0        0
D JABIL CIRCUIT INC COM          COMMON STOCK     466313103    22275   550000 SH       SOLE     010203      550000        0        0
D JACOR COMMUNICATIONS INC CL A  COMMON STOCK     469858401    75513   993600 SH       SOLE     010203      993600        0        0
D JOHNSON CTLS INC COM           COMMON STOCK     478366107     5102    81800 SH       SOLE     010203       81800        0        0
D KAUFMAN & BROAD HOME CORP    C COMMON STOCK     486168107     2551   113100 SH       SOLE     010203      113100        0        0
D KENNAMETAL INC COM             COMMON STOCK     489170100     2296   130300 SH       SOLE     010203      130300        0        0
D KLAMATH FIRST BANCORP INC COM  COMMON STOCK     49842P103      723    44172 SH       SOLE     010203       44172        0        0
D KNIGHT RIDDER INC USD.025 COM  COMMON STOCK     499040103     5000   100000 SH       SOLE     010203      100000        0        0
D L 3 COMMUNICATIONS HLDGS INC C COMMON STOCK     502424104    11562   250000 SH       SOLE     010203      250000        0        0
D LAFARGE CORP COM               COMMON STOCK     505862102     2273    81200 SH       SOLE     010203       81200        0        0
D LAMAR ADVERTISING CO CL A COM  COMMON STOCK     512815101    22123   651900 SH       SOLE     010203      651900        0        0
D LINEAR TECHNOLOGY CO RP USD CO OPTIONS - PUTS   5356780PJ     5125   100000 SH  PUT  SOLE     010203      100000        0        0
D LIZ CLAIBORNE INC COM          COMMON STOCK     539320101     4123   126400 SH       SOLE     010203      126400        0        0
D LOEWS CORP COM                 COMMON STOCK     540424108     9104   122000 SH       SOLE     010203      122000        0        0
D LORAL SPACE AND COMMUNICATIONS COMMON STOCK     G56462107    18035  1249200 SH       SOLE     010203     1249200        0        0
D LUCENT TECHNOLOGIES INC COM    COMMON STOCK     549463107    22993   212900 SH       SOLE     010203      212900        0        0
D LUCENT TECHNOLOGIES INC COM    OPTIONS - CALLS  549463EEA    12960   120000 SH  CALL SOLE     010203      120000        0        0
D LUCENT TECHNOLOGIES INC COM    OPTIONS - CALLS  549463EEX    25920   240000 SH  CALL SOLE     010203      240000        0        0
D MARSH & MCLENNAN COS  INC COM  COMMON STOCK     571748102    26730   360000 SH       SOLE     010203      360000        0        0
D MASTEC INC COM                 COMMON STOCK     576323109     2548   112000 SH       SOLE     010203      112000        0        0
D MATTEL INC COM                 COMMON STOCK     577081102     2119    85000 SH       SOLE     010203       85000        0        0
D MAYTAG CO COM                  COMMON STOCK     578592107     8277   137100 SH       SOLE     010203      137100        0        0
D MBIA INC COM                   COMMON STOCK     55262C100     4442    76600 SH       SOLE     010203       76600        0        0
D MCDERMOTT INTL INC COM         COMMON STOCK     580037109     2531   100000 SH       SOLE     010203      100000        0        0
D MCI WORLDCOM INC COM           COMMON STOCK     55268B106    85101   960921 SH       SOLE     010203      960921        0        0
D MCKESSON HBOC INC COM          COMMON STOCK     58155Q103    34108   516800 SH       SOLE     010203      516800        0        0
D MEAD CORP COM                  COMMON STOCK     582834107     4160   135300 SH       SOLE     010203      135300        0        0
D MEDIAONE GROUP INC COM STK     COMMON STOCK     58440J104   101506  1600100 SH       SOLE     010203     1600100        0        0
D MERCURY INTERACTIVE CORP       COMMON STOCK     589405109    33996   954300 SH       SOLE     010203      954300        0        0
D MEXICO FD INC COM              REITS/RICS       592835102     3771   248300 SH       SOLE     010203      248300        0        0
D MH MEYERSON & CO INC           COMMON STOCK     55301Q102      393    90000 SH       SOLE     010203       90000        0        0
D MICRO WAREHOUSE INC COM        COMMON STOCK     59501B105     1612   100000 SH       SOLE     010203      100000        0        0
D MICROSOFT CORP COM             COMMON STOCK     594918104   156879  1750400 SH       SOLE     010203     1750400        0        0
D MILACRON INC COM STK           COMMON STOCK     598709103     1867   118600 SH       SOLE     010203      118600        0        0
D MILLENIUM CHEMICALS INC COM    COMMON STOCK     599903101     2639   132800 SH       SOLE     010203      132800        0        0
D MIRAGE RESORTS INC             COMMON STOCK     60462E104      531    25000 SH       SOLE     010203       25000        0        0
D MORGAN STANLEY DEAN WITTER & C COMMON STOCK     617446448    13121   131300 SH       SOLE     010203      131300        0        0
D MORGAN STANLEY EMERGING MARKET REITS/RICS       61744G107     1657   173300 SH       SOLE     010203      173300        0        0
D MORGAN STANLEY INDIA INVESTMEN COMMON STOCK     61745C105      902    98900 SH       SOLE     010203       98900        0        0
D MOTOROLA INC COM               COMMON STOCK     620076109    12818   175000 SH       SOLE     010203      175000        0        0
D NOKIA CORP ADS SHRS EACH       ADRS STOCKS      654902204    10544    67700 SH       SOLE     010203       67700        0        0
D NORTHROP CORP COM              COMMON STOCK     666807102     6634   110800 SH       SOLE     010203      110800        0        0
D NOVELL INC COM                 COMMON STOCK     670006105    33625  1335000 SH       SOLE     010203     1335000        0        0
D NTL INCORPORATED COM           COMMON STOCK     629407107    49581   609300 SH       SOLE     010203      609300        0        0
D OGDEN CORP COM                 COMMON STOCK     676346109     2747   114200 SH       SOLE     010203      114200        0        0
D OLD REP INTL CORP COM          COMMON STOCK     680223104     3777   207000 SH       SOLE     010203      207000        0        0
D ORION CAP CORP COM             COMMON STOCK     686268103     2606    83400 SH       SOLE     010203       83400        0        0
D OUTDOOR SYS INC COM            COMMON STOCK     690057104    45998  1533274 SH       SOLE     010203     1533274        0        0
D P G & E CORPORATION COM        COMMON STOCK     69331C108     9523   306600 SH       SOLE     010203      306600        0        0
D PACCAR INC COM                 COMMON STOCK     693718108     3056    74200 SH       SOLE     010203       74200        0        0
D PACIFIC SUNWEAR OF CALIFORNIA  COMMON STOCK     694873100     6950   200000 SH       SOLE     010203      200000        0        0
D PACKAGED ICE INC COM           COMMON STOCK     695148106     3981   650000 SH       SOLE     010203      650000        0        0
D PAINE WEBBER GROUP INC   COM   COMMON STOCK     695629105     8904   223300 SH       SOLE     010203      223300        0        0
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100    20243  1025000 SH       SOLE     010203     1025000        0        0
D PARK PLACE ENTERTAIN MENT CORP COMMON STOCK     700690100     7184   950000 SH       SOLE     010203      950000        0        0
D PATHOGENESIS CORP COM          COMMON STOCK     70321E104     2319   174200 SH       SOLE     010203      174200        0        0
D PBOC HOLDINGS INC COM STK      COMMON STOCK     69316G108      765    85000 SH       SOLE     010203       85000        0        0
D PENNZENERGY COMPANY COM        COMMON STOCK     70931Q109     1618   154100 SH       SOLE     010203      154100        0        0
D PEOPLESOFT INC COM             COMMON STOCK     712713106     5272   360500 SH       SOLE     010203      360500        0        0
D PETSMART INC COM               COMMON STOCK     716768106     3855   480000 SH       SOLE     010203      480000        0        0
D PFIZER INC COM                 COMMON STOCK     717081103     6937    50000 SH       SOLE     010203       50000        0        0
D PHARMACIA & UPJOHN INC COM (CO COMMON STOCK     716941109   117595  1885300 SH       SOLE     010203     1885300        0        0
D PHILIP MORRIS CO INC           COMMON STOCK     718154107    35110   997800 SH       SOLE     010203      997800        0        0
D PIER 1 IMPORTS INC GA COM      COMMON STOCK     720279108     3785   465900 SH       SOLE     010203      465900        0        0
D PINNACLE WEST CAPITA L CORP US COMMON STOCK     723484101     4892   134500 SH       SOLE     010203      134500        0        0
D PIXAR COM                      COMMON STOCK     725811103     5020   127500 SH       SOLE     010203      127500        0        0
D PORTUGAL FUND INC US D COM NPV COMMON STOCK     737265108      465    34200 SH       SOLE     010203       34200        0        0
D PRECISION RESPONSE CORP COM    COMMON STOCK     740314109      595   183300 SH       SOLE     010203      183300        0        0
D PREMARK INTL INC COM           COMMON STOCK     740459102     4515   137100 SH       SOLE     010203      137100        0        0
D PREMIER PARKS INC COM NEW      COMMON STOCK     740540208    72153  1937000 SH       SOLE     010203     1937000        0        0
D PRESSTEK INC COM               COMMON STOCK     741113104      585    74300 SH       SOLE     010203       74300        0        0
D PRISON REALTY CORP COM         COMMON STOCK     74264N105    57098  3274460 SH       SOLE     010203     3274460        0        0
D PRODIGY COMMUNICATIONS CORP    COMMON STOCK     74283P107     6140   160000 SH       SOLE     010203      160000        0        0
D PROVIDIAN FINL CORP COM        COMMON STOCK     74406A102    28182   256200 SH       SOLE     010203      256200        0        0
D PUBLIC SVC CO-N MEX            COMMON STOCK     744499104     1761   103600 SH       SOLE     010203      103600        0        0
D QUADRAMED CORP COM             COMMON STOCK     74730W101      731    95900 SH       SOLE     010203       95900        0        0
D QUALCOMM INC COM               COMMON STOCK     747525103    15546   125000 SH       SOLE     010203      125000        0        0
D QUIGLEY CORP COM NEW           COMMON STOCK     74838L304      103    20200 SH       SOLE     010203       20200        0        0
D RADISYS CORP COM               COMMON STOCK     750459109     3373   108600 SH       SOLE     010203      108600        0        0
D RECKSON ASSOCS RLTY CORP       COMMON STOCK     75621K106     1367    66500 SH       SOLE     010203       66500        0        0
D RELIANCE GROUP HLDGS INC  COM  COMMON STOCK     759464100     1554   202200 SH       SOLE     010203      202200        0        0
D RELIASTAR FINL CORP COM        COMMON STOCK     75952U103     3755    88100 SH       SOLE     010203       88100        0        0
D REYNOLDS METALS CO             COMMON STOCK     761763101    10879   225200 SH       SOLE     010203      225200        0        0
D RIDE SNOWBOARD CO COM          COMMON STOCK     765689104       17    21900 SH       SOLE     010203       21900        0        0
D RJR NABISCO HLDGS CORP COM     COMMON STOCK     74960K876     6250   250000 SH       SOLE     010203      250000        0        0
D ROGERS COMMUNICATION S INC CAD COMMON STOCK     775109200     8609   475000 SH       SOLE     010203      475000        0        0
D ROSLYN BANCORP INC COM         COMMON STOCK     778162107     3144   186345 SH       SOLE     010203      186345        0        0
D ROYCE VALUE TR INC COM         COMMON STOCK     780910105     2424   214315 SH       SOLE     010203      214315        0        0
D RYDER SYSTEM INC               COMMON STOCK     783549108     8287   300000 SH       SOLE     010203      300000        0        0
D SABRATEK CORP COM              COMMON STOCK     78571U108     1200    80000 SH       SOLE     010203       80000        0        0
D SAFESKIN CORP COM              COMMON STOCK     786454108      622    83700 SH       SOLE     010203       83700        0        0
D SANTA FE INTL CORP USD.01 COM  COMMON STOCK     G7805C108     4703   251700 SH       SOLE     010203      251700        0        0
D SAP AKTIENGESELLSCHAFT         ADRS STOCKS      803054204      834    31700 SH       SOLE     010203       31700        0        0
D SCHOOL SPECIALTY INC COM STK   COMMON STOCK     807863105     5033   257308 SH       SOLE     010203      257308        0        0
D SELECTIVE INS GROUP INC  COM   COMMON STOCK     816300107     1191    67600 SH       SOLE     010203       67600        0        0
D SERVICE CORP INTL              COMMON STOCK     817565104     4275   300000 SH       SOLE     010203      300000        0        0
D SFX ENTERTAINMENT CL A  COM    COMMON STOCK     784178105    79237  1227300 SH       SOLE     010203     1227300        0        0
D SOLECTRON CORP COM             COMMON STOCK     834182107    23310   480000 SH       SOLE     010203      480000        0        0
D SONY CORP AMERN SH NEW         ADRS STOCKS      835699307    33237   364000 SH       SOLE     010203      364000        0        0
D STAGE STORES INC COM           COMMON STOCK     85254C107     1099   151700 SH       SOLE     010203      151700        0        0
D STAPLES INC COM                COMMON STOCK     855030102    49312  1500000 SH       SOLE     010203     1500000        0        0
D STARWOOD HOTELS & RESORTS WORL COMMON STOCK     85590A203     5869   205500 SH       SOLE     010203      205500        0        0
D STATEWIDE FINL CORP COM        COMMON STOCK     857914105     3487   177700 SH       SOLE     010203      177700        0        0
D STERIS CORP COM                COMMON STOCK     859152100     1331    50000 SH       SOLE     010203       50000        0        0
D SUNOCO INC                     COMMON STOCK     86764P109     7764   215300 SH       SOLE     010203      215300        0        0
D SUPERVALUE INC USD C OM        COMMON STOCK     868536103     7893   382700 SH       SOLE     010203      382700        0        0
D SWISS HELVETIA FD INC COM      COMMON STOCK     870875101     2306   164000 SH       SOLE     010203      164000        0        0
D TEL-SAVE HLDGS INC COM         COMMON STOCK     879176105     1148   110000 SH       SOLE     010203      110000        0        0
D TELEFONICA DE ARGENTINA S A    ADRS STOCKS      879378206     6065   200500 SH       SOLE     010203      200500        0        0
D TELEFONOS DE MEXICO SA TELMEX  ADRS STOCKS      879403780    10388   157400 SH       SOLE     010203      157400        0        0
D TELENORTE LESTE PARTICIP       ADRS STOCKS      879246106     5130   333700 SH       SOLE     010203      333700        0        0
D TELESP PARTICIPACOES SA        ADRS STOCKS      87952K100     5583   270700 SH       SOLE     010203      270700        0        0
D TELETECH HLDGS INC COM         COMMON STOCK     879939106      502    76600 SH       SOLE     010203       76600        0        0
D TELLABS INC COM                COMMON STOCK     879664100    37633   385000 SH       SOLE     010203      385000        0        0
D TERADYNE INC                   COMMON STOCK     880770102    29190   535000 SH       SOLE     010203      535000        0        0
D TEXACO INC USD3.125 COM        COMMON STOCK     881694103    21281   375000 SH       SOLE     010203      375000        0        0
D TEXAS INSTRUMENTS IN C USD1 CO COMMON STOCK     882508104     4962    50000 SH       SOLE     010203       50000        0        0
D TEXAS INSTRUMENTS IN C USD1 CO OPTIONS - PUTS   882508SPA     4962    50000 SH  PUT  SOLE     010203       50000        0        0
D TIDEWATER INC COM              COMMON STOCK     886423102     4183   161700 SH       SOLE     010203      161700        0        0
D TIFFANY AND CO NEW COM         COMMON STOCK     886547108    21677   290000 SH       SOLE     010203      290000        0        0
D TIME WARNER INC USD COM        COMMON STOCK     887315109    79501  1122700 SH       SOLE     010203     1122700        0        0
D TIMKEN COMPANY COM             COMMON STOCK     887389104     4355   268000 SH       SOLE     010203      268000        0        0
D TOTAL RENAL CARE HLDGS INC COM COMMON STOCK     89151A107    15625  1420524 SH       SOLE     010203     1420524        0        0
D TRANSOCEAN OFFSHORE INC        COMMON STOCK     893817106     3509   121800 SH       SOLE     010203      121800        0        0
D TRICON GLOBAL RESTAURANTS INC  COMMON STOCK     895953107    53923   767600 SH       SOLE     010203      767600        0        0
D TURBODYNE TECHNOLOGI ES INC CA COMMON STOCK     899905103     1353   256200 SH       SOLE     010203      256200        0        0
D TYCO INTERNATIONAL LTD COM     COMMON STOCK     902124106    60879   848500 SH       SOLE     010203      848500        0        0
D UGLY DUCKLING CORP COM         COMMON STOCK     903512101      230    41600 SH       SOLE     010203       41600        0        0
D UNICOM CORP COM                COMMON STOCK     904911104    11279   308500 SH       SOLE     010203      308500        0        0
D UNION PACIFIC CORP             COMMON STOCK     907818108     5343   100000 SH       SOLE     010203      100000        0        0
D UNITED INTERNATIONAL  HLDGS IN COMMON STOCK     910734102    10657   245000 SH       SOLE     010203      245000        0        0
D UNITED PAN-EUROPE CO MM NV SPO ADRS STOCKS      911300200     1912    50000 SH       SOLE     010203       50000        0        0
D US AIRWAYS GROUP INC COM       COMMON STOCK     911905107    10982   225000 SH       SOLE     010203      225000        0        0
D USA NETWORKS INC COM STK (NEW) COMMON STOCK     902984103    20162   563000 SH       SOLE     010203      563000        0        0
D USFREIGHTWAYS CORP COM         COMMON STOCK     916906100     5292   161000 SH       SOLE     010203      161000        0        0
D USG CORP COM NEW               COMMON STOCK     903293405    21294   414500 SH       SOLE     010203      414500        0        0
D USX-MARATHON GROUP COM         COMMON STOCK     902905827    16500   600000 SH       SOLE     010203      600000        0        0
D USX-US STEEL GROUP COM         COMMON STOCK     90337T101     5708   242900 SH       SOLE     010203      242900        0        0
D UTD COMPANIES FINCL            COMMON STOCK     909870107      190   529000 SH       SOLE     010203      529000        0        0
D UTILICORP UNITED INC COM       COMMON STOCK     918005109     3030   133200 SH       SOLE     010203      133200        0        0
D V F CORP                       COMMON STOCK     918204108     6046   127300 SH       SOLE     010203      127300        0        0
D VALERO ENERGY CORP COMSTK      COMMON STOCK     91913Y100     3109   125000 SH       SOLE     010203      125000        0        0
D VERISIGN INC COM               COMMON STOCK     92343E102    26565   172500 SH       SOLE     010203      172500        0        0
D VERTEX PHARMACEUTICALS INC     COMMON STOCK     92532F100     3416   135300 SH       SOLE     010203      135300        0        0
D VERTICALNET INC COM STK        COMMON STOCK     92532L107     2752    26500 SH       SOLE     010203       26500        0        0
D VISHAY INTERTECHNLGY           COMMON STOCK     928298108     1450   100000 SH       SOLE     010203      100000        0        0
D WAL MART STORES INC            COMMON STOCK     931142103    77225   837700 SH       SOLE     010203      837700        0        0
D WARNACO GROUP INC CL A COM     COMMON STOCK     934390105     6260   253600 SH       SOLE     010203      253600        0        0
D WARNER LAMBERT CO              COMMON STOCK     934488107     8592   129700 SH       SOLE     010203      129700        0        0
D WASHINGTON MUT INC COM         COMMON STOCK     939322103     7729   189100 SH       SOLE     010203      189100        0        0
D WASTE MANAGEMENT INC COM STK   COMMON STOCK     94106L109     3993    90000 SH       SOLE     010203       90000        0        0
D WEATHERFORD INTERNATIONAL      COMMON STOCK     947074100     2612   100000 SH       SOLE     010203      100000        0        0
D WESTOWER CORP COM STK          COMMON STOCK     96121E101     2042    72800 SH       SOLE     010203       72800        0        0
D WHIRLPOOL CORP                 COMMON STOCK     963320106    10749   197700 SH       SOLE     010203      197700        0        0
D WHITE CAP INDUSTRIES INC COM   COMMON STOCK     963505102     1100   100000 SH       SOLE     010203      100000        0        0
D WORLD COLOR PRESS INC COM      COMMON STOCK     981443104    15627   735400 SH       SOLE     010203      735400        0        0
D YAHOO INC COM                  COMMON STOCK     984332106    23404   139000 SH       SOLE     010203      139000        0        0
D YOUNG & RUBICAM INC COM STK    COMMON STOCK     987425105    17196   422000 SH       SOLE     010203      422000        0        0
D YPF SOCIEDAD ANONIMA  SPONS AD ADRS STOCKS      984245100    11488   364000 SH       SOLE     010203      364000        0        0
D ZOLTEK COS INC COM             COMMON STOCK     98975W104      465    62000 SH       SOLE     010203       62000        0        0
S REPORT SUMMARY                320 DATA RECORDS             5370111        3 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>


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