GABELLI FUNDS INC ET AL
13F-HR, 1999-05-14
Previous: INTEGRATED ORTHOPEDICS INC, 10QSB, 1999-05-14
Next: MARK SOLUTIONS INC, 10-Q, 1999-05-14



<TABLE>                       <C>                                              <C>                           <C>                   
      
PORTVUE-SEC13F.LNP                                                  GAMCO INVESTORS, INC.                                  PAGE 1
RUN DATE: 05/05/99  3:00 P.M.
                                                                 FORM 13F INFORMATION TABLE
                           AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

AAR CORP COM                   COM              000361105      895    50250 SH       SOLE                    50250        0
0
AARON RENTS INC CL A           COM              002535300     2781   239200 SH       SOLE                   238950      250
0
AARON RENTS INC COM            COM              002535201     4295   274900 SH       SOLE                   268650      250
6000
ABBOTT LABS                    COM              002824100     3400    72624 SH       SOLE                    72624        0
0
ACKERLEY GROUP INC.            COM              004527107    47876  2826600 SH       SOLE                  2755600      500    70500
ADVANTICA RESTAURANT GROUP     COM              00758B109      390    78000 SH       SOLE                    78000        0
0
ADVEST GROUP INC               COM              007566102      629    34000 SH       SOLE                    34000        0
0
AERIAL COMMUNICATIONS INC COM  COM              007655103     8115  1047050 SH       SOLE                  1037550     9500
0
AEROQUIP-VICKERS INC COM       COM              007869100   225275  3930650 SH       SOLE                  3783550    67000    80100
AFC CABLE SYSTEMS              COM              000950105     1925    64700 SH       SOLE                    64700        0
0
AGL RES INC COM                COM              001204106     3827   217900 SH       SOLE                   204900        0    13000
AGRIBRANDS INTL INC            COM              00849R105     1083    32953 SH       SOLE                    32943       10
0
AIRTOUCH COMM SERIES B         CONVERTIBLE PREF 00949T209     1736    22046 SH       SOLE                    22046        0
0
AIRTOUCH COMM SERIES C         CONVERTIBLE PREF 00949T308      796     5986 SH       SOLE                     5986        0
0
AIRTOUCH COMMUNICATIONS, INC.  COM              00949T100      947     9800 SH       SOLE                     7800        0
2000
ALBERTO CULVER CO CL A         COM              013068200      531    25000 SH       SOLE                    25000        0
0
ALBERTSONS INC                 COM              013104104      338     6200 SH       SOLE                     6200        0
0
ALIANT COMMUNICATIONS INC COM  COM              016090102     9215   225100 SH       SOLE                   221900        0
3200
ALLEN TELECOM INC              COM              018091108     3157   485680 SH       SOLE                   485680        0
0
ALLTEL CORP                    COM              020039103      603     9664 SH       SOLE                     9664        0
0
AMC ENTMT INC COM              COM              001669100      200    13000 SH       SOLE                    10000     3000
0
AMERICAN BNKRS INS GROUP INCCO COM              024456105    31253   601017 SH       SOLE                   573417        0    27600
AMERICAN BNKRS INS GROUP INCPF CONVERTIBLE PREF 024456204     1424    13500 SH       SOLE                     8000        0
5500
AMERICAN EXPRESS 1.125% 02/19/ CONVERTIBLE BOND 025818CJ2      416   355000 PRN      SOLE                   355000        0
0
AMERICAN EXPRESS CO            COM              025816109   136622  1160271 SH       SOLE                  1127321      250    32700
AMERICAN INTL GROUP INC        COM              026874107     2226    18450 SH       SOLE                    18450        0
0
AMERICAN SAFETY RAZOR CO COM   COM              029362100     4400   317100 SH       SOLE                   317100        0
0
AMERICAN STORES                COM              030096101      990    30000 SH       SOLE                    30000        0
0
AMETEK INC NEW COM             COM              031100100    46057  2523675 SH       SOLE                  2438300      375    85000
AMGEN INC                      COM              031162100      270     3600 SH       SOLE                     3600        0
0
AMNEX 8.5% 9/25/02 144A        CONVERTIBLE BOND 031674AA2       16    50000 PRN      SOLE                    50000        0
0
AMNEX 8.500% 09/25/02 REGS     CONVERTIBLE BOND 031733AA6        3    10000 PRN      SOLE                    10000        0
0
AMP INC                        COM              031897101    24752   462650 SH       SOLE                   387161    70489
5000

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 2
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

AMPCO PITTSBURGH CORP          COM              032037103    15429  1562400 SH       SOLE                  1508400    45000
9000
AMPHENOL CORP NEW CL A         COM              032095101     1148    30000 SH       SOLE                    30000        0
0
APTARGROUP INC. COM            COM              038336103      433    16650 SH       SOLE                    16650        0
0
AQUA ALLIANCE INC CL A         COM              038367108       86    38000 SH       SOLE                    38000        0
0
ARC INTL CORP                  COM              001905108       93    62000 SH       SOLE                    62000        0
0
ARCHER DANIELS MIDLAND         COM              039483102    36902  2512493 SH       SOLE                  2414493     1000    97000
ARGONAUT GROUP                 COM              040157109    24326   947000 SH       SOLE                   872700        0    74300
ASA HLDGS INC COM              COM              04338Q107      666    19800 SH       SOLE                    19800        0
0
ASCENT ENT. GROUP INC.         COM              043628106    22269  2036052 SH       SOLE                  2009420        0    26632
ASSOCIATED GROUP INC CL A      COM              045651106    16765   338266 SH       SOLE                   337966      300
0
ASSOCIATED GROUP INC CL B      COM              045651205     8921   183940 SH       SOLE                   183940        0
0
AT & T CORP                    COM              001957109    19809   372296 SH       SOLE                   364796        0
7500
ATLANTIC RICHFIELD COMPANY     COM              048825103     1850    25300 SH       SOLE                    10300        0    15000
ATLANTIC RICHFIELD PFD CV $2.8 CONVERTIBLE PREF 048825400      783     2100 SH       SOLE                     1700        0
400
ATLANTIC TELE NETWORK INC COM  COM              049079205      293    32520 SH       SOLE                    32520        0        0
ATWOOD OCEANICS INC COM        COM              050095108      840    28000 SH       SOLE                    28000        0
0
AT&T CORP LIBERTY MEDIA CORP C COM              001957208   306367  5825166 SH       SOLE                  5618799     1425
204942
AT&T CORP LIBERTY MEDIA CORP C COM              001957208      233     4428 SH       OTHER                    4428        0
0
AUDITS & SURVYS WORLDWDE INCCO COM              050839109        0    41600 SH       SOLE                    41600        0
0
AUTOMATIC DATA PROCESSING      COM              053015103     4969   120100 SH       SOLE                   120100        0
0
AUTOMATIC DATA PROCESSING 0.00 CONVERTIBLE BOND 053015AC7      247   230000 PRN      SOLE                        0        0
230000
AVIALL INC NEW COM             COM              05366B102      620    40000 SH       SOLE                    40000        0
0
AYDIN CORP COM                 COM              054681101     3389   257000 SH       SOLE                   254000     3000
0
AZTAR CORP                     COM              054802103    22494  4674100 SH       SOLE                  4674100        0
0
BA MERCHANT SVCS INC.          COM              055239107    28784  1412700 SH       SOLE                  1323700        0
89000
BAKER FENTRESS & CO            COM              057213100      909    60376 SH       SOLE                    30188    30188
0
BALDWIN TECHNOLOGY INC CL A    COM              058264102     2358   820100 SH       SOLE                   815100        0
5000
BANK NEW YORK INC COM          COM              064057102     4658   129600 SH       SOLE                   129600        0
0
BANK ONE CORP COM              COM              06423A103      321     5832 SH       SOLE                     5832        0
0
BANKERS TRUST CORPORATION      COM              066365107     3751    42500 SH       SOLE                    36500     6000
0
BANNER AEROSPACE INC COM       COM              066525106     1128   153000 SH       SOLE                   153000        0
0
BARNES GROUP INC COM           COM              067806109     8781   468300 SH       SOLE                   462800        0
5500
BARRA INC COM                  COM              068313105      246    10000 SH       SOLE                    10000        0
0
BARRICK GOLD CORP COM          COM              067901108      655    38400 SH       SOLE                    38400        0
0
BAXTER INTL INC COM            COM              071813109     3947    59800 SH       SOLE                    59800        0
0
BCE INC                        COM              05534B109    28728   648300 SH       SOLE                   585300        0
63000
BELDEN INC COM                 COM              077459105      802    47000 SH       SOLE                    47000        0
0
BELL ATLANTIC CORP             COM              077853109      211     4074 SH       SOLE                     4074        0
0
BELLSOUTH CORP                 COM              079860102      264     6600 SH       SOLE                     4600        0
2000
BELO A H CORP                  COM              080555105     2654   145400 SH       SOLE                   131400    14000
0
BERKSHIRE ENERGY RES COM       COM              084644103     1431    74800 SH       SOLE                    33800        0
41000
BERKSHIRE HATHAWAY             COM              084670108     2213       31 SH       SOLE                       31        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 3
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

BERKSHIRE HATHAWAY B           COM              084670207     6877     2925 SH       SOLE                     2925        0
0
BERKSHIRE HATHAWAY DECS 1.000% CONVERTIBLE BOND 084670AF5      401   210000 PRN      SOLE                   210000        0
0
BERLITZ INTL INC NEW COM       COM              08520F100     3326   147000 SH       SOLE                   147000        0
0
BHC COMMUNICATIONS INC CL A    COM              055448104    38853   316521 SH       SOLE                   303521        0
13000
BLOCK DRUG INC CL A            COM              093644102      205     5000 SH       SOLE                     5000        0
0
BOEING CO                      COM              097023105     5545   163100 SH       SOLE                   141500     1600
20000
BORG WARNER AUTOMOTIVE INC     COM              099724106     3742    78262 SH       SOLE                    78262        0
0
BORG WARNER SEC CORP COM       COM              099733107     2964   176935 SH       SOLE                   175935        0
1000
BOWLIN OUTDOOR ADVRTG & TRAVEL COM              102595105      605    86400 SH       SOLE                    86000      400
0
BP AMOCO ADS                   COM              055622104      949     9396 SH       SOLE                     9396        0
0
BRISTOL MYERS SQUIBB CO        COM              110122108     8710   135824 SH       SOLE                   135824        0
0
BROWNING FERRIS INDS INC       COM              115885105      683    17700 SH       SOLE                    17700        0
0
BRUNO'S INC. NEW               COM              116881202      175   203500 SH       SOLE                   202000     1500
0
BRYLANE INC                    COM              117661108    10689   440800 SH       SOLE                   435800     5000
0
BUENOS AIRES EMBOTELLADORA SPO COM              119424208        0    85024 SH       SOLE                    85024        0
0
BULL RUN GOLD MINES LTD        COM              120182100     1604   366600 SH       SOLE                   366600        0
0
BURLINGTON COAT FACTORY WHSE   COM              121579106     1469   125000 SH       SOLE                   125000        0
0
BURLINGTON RESOURCES INC COM   COM              122014103      228     5700 SH       SOLE                     5700        0
0
BUSH BOAKE ALLEN INC COM       COM              123162109     4161   151300 SH       SOLE                   151300        0
0
BWAY CORP COM                  COM              056039100      171    13000 SH       SOLE                    13000        0
0
CABLE & WIRELESS PUB LTD CO SP COM              126830207     6918   187300 SH       SOLE                   187300        0
0
CABLEVISION SYS CORP           COM              12686C109   521701  7038121 SH       SOLE                  6846421     1200
190500
CABLEVISION SYS CORP           COM              12686C109      208     2800 SH       OTHER                    2800        0
0
CAPITAL ONE FINL CORP COM      COM              14040H105      861     5700 SH       SOLE                     5700        0
0
CARLYLE INDS INC COM           COM              143093102     1091  1455196 SH       SOLE                  1455184       12
0
CARRIER ACCESS CORP COM        COM              144460102      335     4334 SH       SOLE                     2167     2167
0
CARTER WALLACE INC             COM              146285101    73067  4059250 SH       SOLE                  4028250     1000
30000
CATELLUS DEV CORP              COM              149111106    49675  3714000 SH       SOLE                  3612500     1800
99700
CBS CORP COM                   COM              12490K107     4480   109781 SH       SOLE                   109781        0
0
CDNOW / N2K INC NEW            COM              125086108      295    18300 SH       SOLE                    18300        0
0
CELESTIAL SEASONINGS INC COM   COM              151016102    14722   680800 SH       SOLE                   624800        0
56000
CELLULAR COMM OF PUERTO RICO   COM              15116N108     3291   121900 SH       SOLE                   121900        0
0
CENDANT CORPORATION            COM              151313103     2295   144000 SH       SOLE                   144000        0
0
CENTRAL EUROPEAN EQUITY FUND I MUTUAL FUNDS     153436100      246    20384 SH       SOLE                    10192    10192
0
CENTRAL GARDEN 6% 11/15/03 144 CONVERTIBLE BOND 153527AA4       45    50000 PRN      SOLE                    50000        0
0
CENTRAL GARDEN 6% DUE 11/15/03 CONVERTIBLE BOND 153527AC0      332   368000 PRN      SOLE                   368000        0
0
CENTRAL HUDSON GAS & ELEC COCO COM              153609102     2514    70200 SH       SOLE                    61200        0
9000
CENTURY BUSINESS SVCS INC COM  COM              156490104      766    70000 SH       SOLE                    70000        0
0
CENTURY COMMUNICATIONS CORP CL COM              156503104    16996   366003 SH       SOLE                   366003        0
0
CENTURY TEL ENTERPRISES        COM              156686107    86959  1856780 SH       SOLE                  1767465       95
89220
CERIDIAN CORP COM              COM              15677T106     2303    63000 SH       SOLE                    63000        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 4
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

CERION TECHNOLOGIES INC        COM              156916108        0   215000 SH       SOLE                   215000        0
0
CHANCELLOR MEDIA CORP COM      COM              158915108     4194    89000 SH       SOLE                    88000     1000
0
CHAPARRAL RES INC COM PAR $0.1 COM              159420207      176   470000 SH       SOLE                   235000   235000
0
CHECKFREE HOLDINGS CORP        COM              162816102      766    18000 SH       SOLE                    18000        0
0
CHEVRON CORP                   COM              166751107      657     7400 SH       SOLE                     4400        0
3000
CHIQUITA 7% 3/28/01 EURO       CONVERTIBLE BOND XR4208220       92   100000 PRN      SOLE                   100000        0
0
CHOCK FULL O NUTS CORP         COM              170268106     5214   947973 SH       SOLE                   947973        0
0
CHOCK FULL O NUTS CP DB CV 8.0 CONVERTIBLE BOND 170268AB2      745   749000 PRN      SOLE                   749000        0
0
CHOCK FULL O NUTS SR SD CV 7.0 CONVERTIBLE BOND 170268AC0     1867  2008000 PRN      SOLE                  1208000        0
800000
CHRIS CRAFT INDS INC           COM              170520100   135669  2973569 SH       SOLE                  2901754      725
71090
CHURCH & DWIGHT CO             COM              171340102    42879  1052250 SH       SOLE                  1021850        0
30400
CHURCHILL DOWNS INC COM        COM              171484108      980    35000 SH       SOLE                    35000        0
0
CIGNA CORP                     COM              125509109      471     5625 SH       SOLE                     5625        0
0
CILCORP INC COM                COM              171794100    16712   278250 SH       SOLE                   250750        0
27500
CINCINNATI BELL INC            COM              171870108     4023   179300 SH       SOLE                   163300     1000
15000
CIRCUS CIRCUS ENTERPRISE INC   COM              172909103     2550   145183 SH       SOLE                   145183        0
0
CISCO SYS INC                  COM              17275R102     8360    76300 SH       SOLE                    76300        0
0
CITIGROUP INC.                 COM              172967101      974    15250 SH       SOLE                    15250        0
0
CITIZENS UTIL. 5% PFD          CONVERTIBLE PREF 177351202     6249   154300 SH       SOLE                    90300        0
64000
CITIZENS UTILS CO DEL COM SER  COM              177342201    41331  5333067 SH       SOLE                  5133567     2000
197500
CLARCOR INC                    COM              179895107    31468  1844250 SH       SOLE                  1836750        0
7500
CLEAR CHANNEL COMMUNICATIONS C COM              184502102     5492    81900 SH       SOLE                    81900        0
0
CLOROX CO                      COM              189054109     4458    38041 SH       SOLE                    38041        0
0
CNF TR CONV PFD STK            CONVERTIBLE PREF 12612V205      271     4800 SH       SOLE                     4800        0
0
COCA COLA CO                   COM              191216100     5002    81500 SH       SOLE                    81500        0
0
COLDWATER CREEK INC COM        COM              193068103      874    76000 SH       SOLE                    76000        0
0
COLONIAL GAS CO                COM              195674106      928    26900 SH       SOLE                    13900        0
13000
COLTEC INDS INC COM            COM              196879100    29318  1611969 SH       SOLE                  1599769     1200
11000
COLTEC INDUSTRIES TIDES 4/15/2 CONVERTIBLE PREF 196878201      342     8000 SH       SOLE                     8000        0
0
COMCAST CORPORATION CLASS A    COM              200300101      910    14800 SH       SOLE                    14800        0
0
COMMERCIAL INTERTECH CORP      COM              201709102      848    76200 SH       SOLE                    76000      200
0
COMMNET CELLULAR INC COM NEW   COM              202604203     2483   154600 SH       SOLE                   154600        0
0
COMMONWEALTH ENERGY SYS        COM              202800108      262     6900 SH       SOLE                     2400        0
4500
COMMONWEALTH TEL ENTERPRISES C COM              203349105    24660   669873 SH       SOLE                   586924    54574
28375
COMMONWEALTH TEL ENTERPRISES C COM              203349204     4830   134171 SH       SOLE                   127839        0
6332
COMMUNICATIONS SYS             COM              203900105     3021   318000 SH       SOLE                   316000     2000
0
COMPUTER SCIENCES CORP COM     COM              205363104     3488    63200 SH       SOLE                    63200        0
0
COMSAT CORP COM SER 1          COM              20564D107    50669  1750972 SH       SOLE                  1632472        0
118500
CONSOLIDATED CIGAR HLDGS INCCL COM              20902E106     3666   205800 SH       SOLE                   205800        0
0
PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 5
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

CONVERGYS CORP COM             COM              212485106      788    46000 SH       SOLE                    46000        0
0
CORE MATLS CORP COM            COM              218683100      543   181000 SH       SOLE                   181000        0
0
CORN PRODS INTL INC COM        COM              219023108      748    31250 SH       SOLE                    31250        0
0
CRANE CO                       COM              224399105    17976   743200 SH       SOLE                   743200        0
0
CTS CORP                       COM              126501105    39675   802530 SH       SOLE                   780030        0
22500
CUNO INC COM                   COM              126583103     1862   133000 SH       SOLE                   133000        0
0
CURTISS WRIGHT CORP            COM              231561101    24716   795700 SH       SOLE                   795700        0
0
DAIMLERCHRYSLER AG ORD         COM              D1668R123     2140    24940 SH       SOLE                    24940        0
0
DANA CORP                      COM              235811106    64504  1697467 SH       SOLE                  1635258      632
61577
DANIEL INDS INC                COM              236235107     7293   478225 SH       SOLE                   478225        0
0
DANIELSON HLDG CORP            COM              236274106      158    55000 SH       SOLE                    55000        0
0
DATA BROADCASTING CORP COM     COM              237596101     1568   113000 SH       SOLE                   113000        0
0
DATAPOINT CORP 8.875% 06/01/06 CONVERTIBLE BOND 238100AB7        2     5000 PRN      SOLE                     5000        0
0
DAYTON MNG CORP                FOREIGN COMMON S 239902109        1    10000 SH       SOLE                    10000        0
0
DEERE & CO.                    COM              244199105    51194  1325400 SH       SOLE                  1267450      150
57800
DELL COMPUTER CORP COM         COM              247025109     2943    72000 SH       SOLE                    72000        0
0
DEXTER CORP COM                COM              252165105     2933    93100 SH       SOLE                    93100        0
0
DIGITAL GENERATION SYS INC COM COM              253921100       92    21000 SH       SOLE                    21000        0
0
DIGITAL RIVER INC.             COM              25388B104     2000    50000 SH       SOLE                    25000    25000
0
DISNEY WALT PRODTNS            COM              254687106     1717    55177 SH       SOLE                    55177        0
0
DONALDSON INC                  COM              257651109    17686   982560 SH       SOLE                   967110      450
15000
DURBAN ROODEPOORT DEEP LTD SPO COM              266597301       39    18750 SH       SOLE                    18750        0
0
E M C CORP MASS COM            COM              268648102     6579    51500 SH       SOLE                    51500        0
0
EARL SCHEIB INC                COM              806398103     5321  1064260 SH       SOLE                  1064260        0
0
EASTERN ENTERPRISES            COM              27637F100     9104   250294 SH       SOLE                   241294        0
9000
EASTERN UTILS ASSOC COM        COM              277173100     1727    61000 SH       SOLE                    61000        0
0
EAST/WEST COMMUNICATIONS, INC. COM              275799104      861   344430 SH       SOLE                   343672      758
0
EATON VANCE CORP COM           COM              278265103      274    13600 SH       SOLE                     6800     6800
0
ECHOSTAR COMMUN CORP NEW       COM              278762109      816    10000 SH       SOLE                    10000        0
0
ECOLAB INC                     COM              278865100    67901  1912700 SH       SOLE                  1850700        0
62000
EL PASO ELEC CO COM NEW        COM              283677854      107    14000 SH       SOLE                    14000        0
0
ELECTRONIC DATA SYSTEMS        COM              285661104     2094    43000 SH       SOLE                    43000        0
0
EMERSON ELEC CO                COM              291011104      371     7000 SH       SOLE                     7000        0
0
ENVIROSOURCE INC. COM          COM              29409K606     2288   915199 SH       SOLE                   914557      642
0
EOTT ENERGY PARTNERS L P UNIT  OIL & GAS PARTNE 294103106      656    38000 SH       SOLE                    19000    19000
0
ESKIMO PIE CORP                COM              296443104      931   130700 SH       SOLE                   108700        0
22000

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 6
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

EXTENDED STAY AMER INC COM     COM              30224P101     1131   111000 SH       SOLE                   111000        0
0
EXXON CORP                     COM              302290101     3937    55800 SH       SOLE                    54300        0
1500
FAIRCHILD CORP CL A            COM              303698104    11326  1111800 SH       SOLE                  1078300        0
33500
FALL RIVER GAS CO              COM              306279100     1255    73300 SH       SOLE                    38800        0
34500
FEDDERS CORP CL A NON-VOTING S COM              313135303     2091   452000 SH       SOLE                   452000        0
0
FEDDERS CORP COM VOTING SHRS   COM              313135105      739   146000 SH       SOLE                   146000        0
0
FEDERAL HOME LN BKS 5.500%%% 0 GOVERNMENT OBLIG 3133M5BC3     4517  4500000 PRN      SOLE                  4500000        0
0
FEDERAL MOGUL CORP             COM              313549107     6481   151600 SH       SOLE                   151600        0
0
FERRO CORP                     COM              315405100    55897  2258473 SH       SOLE                  2214193      280
44000
FINOVA FINANCE PFD 5 1/2%      CONVERTIBLE PREF 31808E207      392     5450 SH       SOLE                     5450        0
0
FIRST DATA CORP                COM              319963104      641    15000 SH       SOLE                    15000        0
0
FIRST UNION CORP               COM              337358105      219     4100 SH       SOLE                     4100        0
0
FIRST VIRGINIA BANKS INC       COM              337477103      388     8500 SH       SOLE                     8500        0
0
FIRSTAR CORP NEW WIS COM       COM              33763V109     1651    55344 SH       SOLE                    55344        0
0
FLORIDA PANTHERS HLDGS DEL ICL COM              341064103     1693   218500 SH       SOLE                   218500        0
0
FLORIDA PUB UTILS CO COM       COM              341135101      659    44700 SH       SOLE                    44700        0
0
FLOWSERVE CORP COM             COM              34354P105    28834  1852800 SH       SOLE                  1805100     1200
46500
FOOD LION INC CL A             COM              344775200      138    15000 SH       SOLE                    15000        0
0
FORD MOTOR                     COM              345370100      655    11553 SH       SOLE                     4553        0
7000
FORTUNE BRANDS INC             COM              349631101     6183   160600 SH       SOLE                   160600        0
0
FRANCE GROWTH FD INC           MUTUAL FUNDS     35177K108      336    24770 SH       SOLE                    12385    12385
0
FRANKLIN ELEC INC              COM              353514102     3413    52500 SH       SOLE                    52500        0
0
FRONTIER CORPORATION           COM              35906P105    10053   193800 SH       SOLE                   193800        0
0
GABELLI ASSET MGMT INC CL A    COM              36239Y102     1000    64265 SH       SOLE                    64265        0
0
GABELLI CV SECURITIES FUND     MUTUAL FUNDS     36240B109    18531  1665731 SH       SOLE                   962651   703081
0
GABELLI CV SECURITIES FUND     MUTUAL FUNDS     36240B109      134    12000 SH       OTHER                   12000        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 7
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

GABELLI EQUITY TRUST INC       MUTUAL FUNDS     362397101    20450  1722069 SH       SOLE                  1168583   553486
0
GABELLI GLBL MULTIMEDIA TR COM MUTUAL FUNDS     36239Q109     6099   513602 SH       SOLE                   341976   171626
0
GALLAHER GROUP PLC SPONSORED A COM              363595109     7008   298200 SH       SOLE                   298200        0
0
GANNETT INC DEL                COM              364730101     3635    57700 SH       SOLE                    57700        0
0
GATX CORP                      COM              361448103    25603   777316 SH       SOLE                   775708        0
1608
GAYLORD ENTERTAINMENT CO       COM              367905106    93148  3841164 SH       SOLE                  3734498      500
106166
GC COMPANIES INC COM           COM              36155Q109    36742  1168746 SH       SOLE                  1148746        0
20000
GEN MAGNAPLATE CORP            COM              370262206      257    55500 SH       SOLE                    55500        0
0
GENCORP INC                    COM              368682100    40338  2240987 SH       SOLE                  2225487      500
15000
GENENTECH INC SPL COM          COM              368710307     7647    86290 SH       SOLE                    84290        0
2000
GENERAL CIGAR HLDGS INC CL A   COM              36933P100    13540  1453991 SH       SOLE                  1438991        0
15000
GENERAL ELEC CO                COM              369604103     7096    64141 SH       SOLE                    64141        0
0
GENERAL HOUSEWARES CORP        COM              370073108     7378   711100 SH       SOLE                   695100     1000
15000
GENERAL INSTRUMENT CORP        COM              370120107      212     7000 SH       SOLE                     7000        0
0
GENERAL MILLS INC              COM              370334104    29051   384460 SH       SOLE                   380460        0
4000
GENERAL MTRS CORP              COM              370442105     7641    87824 SH       SOLE                    87824        0
0
GENESIS ENERGY L P UNIT L P IN OIL & GAS PARTNE 371927104      630    42000 SH       SOLE                    21000    21000
0
GENUINE PARTS CO               COM              372460105    19191   666055 SH       SOLE                   665605        0
450
GERBER SCIENTIFIC INSTR        COM              373730100     7887   390700 SH       SOLE                   385200        0
5500
GILLETTE CO                    COM              375766102     2050    34487 SH       SOLE                    32987        0
1500
GLOBAL INDL TECHNOLOGIES INCCO COM              379335102      683    65800 SH       SOLE                    65800        0
0
GOLDEN BOOKS FAMILY ENTERTAINM COM              380804104       29    80000 SH       SOLE                    80000        0
0
GRACO INC COM                  COM              384109104     1589    72000 SH       SOLE                    72000        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 8
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

GRANITE BROADCASTING CORP NV   COM              387241102      711   107300 SH       SOLE                    58300     4000
45000
GRAY COMMUNICATIONS SYS INC CO COM              389190109     2115   127200 SH       SOLE                   127200        0
0
GRAY COMMUNICATIONS SYS-CL B   COM              389190208     9391   702099 SH       SOLE                   671349        0
30750
GREIF BROS CORP CL A           COM              397624107    42833  1946950 SH       SOLE                  1889700      250
57000
GREYHOUND LINES INC 8.500% 03/ CONVERTIBLE BOND 398048AD0       51    50000 PRN      SOLE                    50000        0
0
GRIFFIN LAND & NUR             COM              398231100     9349  1010750 SH       SOLE                  1005750        0
5000
GRUPO TELEVISA SA DE CV ADR    COM              40049J206    10351   329900 SH       SOLE                   322900     7000
0
GST TELECOMMUNICATIONS INC     COM              361942105     4347   397400 SH       SOLE                   397400        0
0
GTE CORP                       COM              362320103     8481   140177 SH       SOLE                   139677        0
500
GULFMARK OFFSHORE INC COM      COM              402629109      119    10000 SH       SOLE                    10000        0
0
GYRODYNE CO AMER INC COM       COM              403820103      143    10000 SH       SOLE                    10000        0
0
H R BLOCK INC                  COM              093671105     4122    87000 SH       SOLE                    87000        0
0
HACH CO CL A                   COM              404504201      355    43000 SH       SOLE                    43000        0
0
HACH CO COM                    COM              404504102      387    34000 SH       SOLE                    34000        0
0
HALTER MARINE 4.500% 09/15/04  CONVERTIBLE BOND 40642YAC9       27    50000 PRN      SOLE                    50000        0
0
HARCOURT GEN INC COM           COM              41163G101    24527   553494 SH       SOLE                   524194      300
29000
HARLEY DAVIDSON INC            COM              412822108      459     8000 SH       SOLE                     8000        0
0
HARTMARX CORP                  COM              417119104     1380   283000 SH       SOLE                   283000        0
0
HEARST-ARGYLE TELEVISION INCCO COM              422317107    19147   777534 SH       SOLE                   729974     1966
45594
HECTOR COMMUNICATIONS CORP     COM              422730101     3752   461800 SH       SOLE                   461800        0
0
HEINZ, H J COMPANY             COM              423074103     2300    48556 SH       SOLE                    48556        0
0
HELMERICH & PAYNE INC COM      COM              423452101      794    35000 SH       SOLE                    35000        0
0
HEWLETT PACKARD CO             COM              428236103      678    10000 SH       SOLE                    10000        0
0
HEXCEL CORP 7.000% 08/01/11    CONVERTIBLE BOND 428290AA8       36    50000 PRN      SOLE                    50000        0
0
HEXCEL CORP NEW 7.000% 08/01/0 CONVERTIBLE BOND 428291AA6       68    83000 PRN      SOLE                    83000        0
HILTON 5% 5/15/06 CV           CONVERTIBLE BOND 432848AL3      792   845000 PRN      SOLE                   845000        0
0
HILTON HOTELS CORP             COM              432848109    46771  3325960 SH       SOLE                  3286960     2000
37000
HOME DEPOT 3.25% 2001          CONVERTIBLE BOND 437076AE2      794   285000 PRN      SOLE                   285000        0
0
HOME DEPOT INC                 COM              437076102     7685   123450 SH       SOLE                   123450        0
0
HOMESTAKE MNG CO               COM              437614100      268    31080 SH       SOLE                    31080        0
0
HONEYWELL INC                  COM              438506107    12464   164400 SH       SOLE                   164400        0
0
HUSSMANN INTL INC              COM              448110106    26453  1801060 SH       SOLE                  1759960      500
40600
I B M                          COM              459200101    10394    58640 SH       SOLE                    58640        0
0
ICG COMMUNICATIONS INC COM     COM              449246107      900    45000 SH       SOLE                    45000        0
0
IDEX CORP                      COM              45167R104    47839  2030307 SH       SOLE                  1979182      375
50750
INDUSTRIAL DISTRIBUTION GRP.   COM              456061100      399    76000 SH       SOLE                    76000        0
0
PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 9
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

INFINITY BROADCASTING CL. A    COM              45662S102      644    25000 SH       SOLE                    25000        0
0
INGERSOLL-RAND COMPANY         COM              456866102      620    12500 SH       SOLE                    12500        0
0
INGLES MKTS INC CL A           COM              457030104     2829   246000 SH       SOLE                   246000        0
0
INTEL CORP                     COM              458140100     4232    71200 SH       SOLE                    71200        0
0
INTERNATIONAL CABLETEL 7.000%  CONVERTIBLE BOND 459216AJ6       97    45000 PRN      SOLE                    45000        0
0
INTERPUBLIC GROUP COS INC      COM              460690100     5042    64750 SH       SOLE                    64750        0
0
IRWIN NATURALS/4HEALTH INC     COM              464142108      120    35000 SH       SOLE                    35000        0
0
ITT EDUCATIONAL SVCS INC COM   COM              45068B109     3381    90000 SH       SOLE                    90000        0
0
ITT INDUSTRIES                 COM              450911102     6390   180642 SH       SOLE                   177942     2200
500
IVAX 6.5% 2001                 CONVERTIBLE BOND 465823AA0     1150  1195000 PRN      SOLE                   345000        0
850000
IVAX CORP                      COM              465823102    43171  3654700 SH       SOLE                  3628700     1000
25000
JACKPOT ENTERPRISES INC        COM              466392107     1953   250000 SH       SOLE                   250000        0
0
JOHNSON CONTROLS               COM              478366107    10616   170200 SH       SOLE                   168200        0
2000
JOHNSON & JOHNSON              COM              478160104     5432    58100 SH       SOLE                    58100        0
0
KAMAN CORP CLASS A             COM              483548103     6929   540800 SH       SOLE                   540600      200
0
KAMAN CORP CONV S/DEBS REG 6%  CONVERTIBLE BOND 483548AC7      224   236000 PRN      SOLE                   236000        0
0
KANEB SERVICES                 COM              484170105     1998   491700 SH       SOLE                   491700        0
0
KATY INDS INC                  COM              486026107    14673  1128700 SH       SOLE                  1122700        0
6000
KELLOGG CO                     COM              487836108     7797   230600 SH       SOLE                   194100      500
36000
KEYSTONE CONS INDS INC COM     COM              493422109      240    43605 SH       SOLE                    43605        0
0
KING WORLD PRODTNS INC         COM              495667107      810    26500 SH       SOLE                    26500        0
0
KNIGHT RIDDER                  COM              499040103      200     4000 SH       SOLE                     4000        0
0
KOLLMORGEN CORP                COM              500440102    27598  2207844 SH       SOLE                  2185944      900
21000
KOLLMORGEN CORP SD CV 8.75% 05 CONVERTIBLE BOND 500440AA0     2592  2544000 PRN      SOLE                  1857000        0
687000
KROGER CO                      COM              501044101     1808    30200 SH       SOLE                    17200        0
13000
LAKES GAMING INC COM           COM              51206P109      499    61000 SH       SOLE                    61000        0
0
LAMSON & SESSIONS CO           COM              513696104     1536   311028 SH       SOLE                   311028        0
0
LANDAUER INC                   COM              51476K103     1908    79100 SH       SOLE                    79100        0
0
LAWTER INTERNATIONAL           COM              520786104     4432   633133 SH       SOLE                   633133        0
0
LEAP WIRELESS INTL INC COM     COM              521863100      528    41000 SH       SOLE                    40000     1000
0
LEE ENTERPRISES INC            COM              523768109    20767   716100 SH       SOLE                   646100        0
70000
LEHMAN BROS HLDGS INC COM      COM              524908100      837    14000 SH       SOLE                    11000     3000
0
LIBERTY CORP S C               COM              530370105    96233  1835198 SH       SOLE                  1794998      300
39900
LILLIAN VERNON CORP            COM              532430105    14141  1178400 SH       SOLE                  1158900     2000
17500
LILLY, ELI AND COMPANY         COM              532457108     1409    16600 SH       SOLE                    16600        0
0
LINDSAY MFG CO COM             COM              535555106      517    26000 SH       SOLE                    26000        0
0
LIVING SVCS INC 5.250% 12/15/0 CONVERTIBLE BOND 02145KAB3      342   370000 PRN      SOLE                   370000        0
0
LOEWEN GROUP INC               COM              54042L100     2087  1151300 SH       SOLE                  1151300        0
0
LORAL SPACE & COMMUNICATIONS L COM              G56462107     1177    81551 SH       SOLE                    81551        0
0
LOWES COS INC COM              COM              548661107     3098    51200 SH       SOLE                    51200        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 10
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ---
LUCASVARITY PLC - ADR          COM              549395101    32791   709000 SH       SOLE                   547500   161500
0
LUCENT TECHNOLOGIES INC.       COM              549463107     1825    33800 SH       SOLE                    33800        0
0
LUMISYS INC COM                COM              550274104       65    22000 SH       SOLE                    20000     2000
0
LUND INTL HLDGS INC COM        COM              550368104      281    44000 SH       SOLE                    44000        0
0
LYNCH CORP                     COM              551137102    23978   340114 SH       SOLE                   340114        0
0
MARK IV INDS INC               COM              570387100     2008   154465 SH       SOLE                   152890        0
1575
MARSH & MCLENNAN COS INC COM   COM              571748102     7176    96650 SH       SOLE                    96650        0
0
MATERIAL SCIENCES CORP COM     COM              576674105     1225   192200 SH       SOLE                   192000      200
0
MAY DEPT STORES CO             COM              577778103      282     7200 SH       SOLE                     7200        0
0
MCCLATCHY HOLDING COMPANY      COM              579489105    25261   752657 SH       SOLE                   719657        0
33000
MCGRAW HILL COMPANIES, INC.    COM              580645109    24362   447000 SH       SOLE                   423000        0
24000
MCI WORLDCOM                   COM              55268B106      744     8400 SH       SOLE                     8200      200
0
MCKESSON FIN TR 5.00% 06/01/27 CONVERTIBLE PREF 58155P501      202     2220 SH       SOLE                     2220        0
0
MDC COMMUNICATIONS CORP CL A S COM              55267W309      270    30000 SH       SOLE                    30000        0
0
MEDIA GENERAL, CL. A           COM              584404107   154036  3312600 SH       SOLE                  3213425      675
98500
MEDIAONE GROUP INC 4.5 11/15/1 CONVERTIBLE PREF 58440J203     6870    53304 SH       SOLE                    37302    16002
0
MEDIAONE GROUP INC COM         COM              58440J104   223238  3519018 SH       SOLE                  3360517    25000
133500
MEDTRONIC INC COM              COM              585055106     1610    22400 SH       SOLE                    22400        0
0
MELLON BANK CORP               COM              585509102     8079   114800 SH       SOLE                   114800        0
0
MERCK & CO INC                 COM              589331107     5769    72000 SH       SOLE                    72000        0
0
MEREDITH CORP                  COM              589433101    22962   730400 SH       SOLE                   695400        0
35000
MERRILL LYNCH & CO INC COM     COM              590188108     3505    39600 SH       SOLE                    39600        0
0
MET PRO CORP COM               COM              590876306      682    62000 SH       SOLE                    62000        0
0
MICROSOFT CORP                 COM              594918104     5136    57300 SH       SOLE                    57300        0
0
MIDAS GROUP INC COM            COM              595626102      467    14000 SH       SOLE                    14000        0
0
MIDLAND CO                     COM              597486109     6842   283600 SH       SOLE                   280600        0
3000
MIKASA INC COM                 COM              59862T109      664    90000 SH       SOLE                    90000        0
0
MINNESOTA MNG & MFG CO (3M)    COM              604059105      470     6640 SH       SOLE                     6640        0
0
MIRAGE RESORTS INC             COM              60462E104    11600   545900 SH       SOLE                   535900        0
10000
MOBIL CORP                     COM              607059102      299     3400 SH       SOLE                     3400        0
0
MODINE MFG CO                  COM              607828100   106054  3779190 SH       SOLE                  3650020     1170
128000
MONDAVI ROBERT CORP CL A       COM              609200100      393    11000 SH       SOLE                    11000        0
0
MONSANTO CO                    COM              611662107     1075    23400 SH       SOLE                    23400        0
0
MOOG INC CL A                  COM              615394202     6896   226100 SH       SOLE                   226100        0
0
MORAN ENERGY INC SD CV 8.75% 0 CONVERTIBLE BOND 616457AC1      754   790000 PRN      SOLE                   790000        0
0
MORGAN GROUP INC CL A          COM              617358106      117    15900 SH       SOLE                    15900        0
0
MORTON INTERNATIONAL NEW       COM              619335102    60946  1658400 SH       SOLE                  1429400   165000
64000
MYERS INDS INC                 COM              628464109     1002    47409 SH       SOLE                    47409        0
0
NASHUA CORP                    COM              631226107    10451   908799 SH       SOLE                   905399      400
3000
NATIONAL CITY CORP COM         COM              635405103      260     3912 SH       SOLE                     3912        0
0
NATURAL ALTERNATIVES INTL COM  COM              638842302       49    10000 SH       SOLE                    10000        0
0
NAVISTAR INTL CORP COM         COM              63934E108    49298  1226700 SH       SOLE                  1211700        0
15000

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 11
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

NEIMAN MARCUS GROUPS INC       COM              640204103    63296  2797600 SH       SOLE                  2745850      750
51000
NEW ENGLAND ELEC SYS COM       COM              644001109     1799    37100 SH       SOLE                    36100     1000
0
NEW GERMANY FD COM             MUTUAL FUNDS     644465106      454    38072 SH       SOLE                    19036    19036
0
NEW YORK TIMES CO CLASS A      COM              650111107     4195   147206 SH       SOLE                   139206        0
8000
NEWMONT MNG CORP               COM              651639106      531    30150 SH       SOLE                    30150        0
0
NEWPARK RES INC COM PAR$0.01NE COM              651718504      508    70000 SH       SOLE                    70000        0
0
NEWSCORP LTD SPON ADR PFD      PREFERRED STOCKS 652487802      275    10000 SH       SOLE                    10000        0
0
NOEL GROUP INC COM             COM              655260107      280   280000 SH       SOLE                   280000        0
0
NORTEK INC                     COM              656559101    24396   985700 SH       SOLE                   978200        0
7500
NORTHERN TRUST CORP            COM              665859104     6030    67900 SH       SOLE                    67900        0
0
NORTHROP CORP                  COM              666807102     2629    43900 SH       SOLE                    43300      600
0
NTL INC COM                    COM              629407107      928    11400 SH       SOLE                    11400        0
0
OAK TECHNOLOGY INC             COM              671802106     2634   860039 SH       SOLE                   845039    15000
0
OCWEN FINANCIAL CORP           COM              675746101      397    45000 SH       SOLE                    45000        0
0
OIL DRI CORP AMER COM          COM              677864100     2257   155000 SH       SOLE                   155000        0
0
OMNICOM GROUP COM              COM              681919106     2558    32000 SH       SOLE                    32000        0
0
OMNIPOINT CORP                 COM              68212D102     2577   178500 SH       SOLE                   178500        0
0
ONEIDA LTD                     COM              682505102      791    46500 SH       SOLE                    46500        0
0
ORACLE SYS CORP                COM              68389X105     2110    80000 SH       SOLE                    80000        0
0
ORANGE & ROCKLAND UTILS INC CO COM              684065105    30835   536850 SH       SOLE                   493350        0
43500
ORBITAL SCIENCES CV 5% MATDT 1 CONVERTIBLE BOND 685564AC0      110   100000 PRN      SOLE                   100000        0
0
PALL CORP                      COM              696429307      216    13047 SH       SOLE                    13047        0
0
PARK OHIO HLDGS CORP COM       COM              700666100     7100   507114 SH       SOLE                   507114        0
0
PARK PLACE ENTER               COM              700690100    17393  2299960 SH       SOLE                  2279960        0
20000
PAXAR CORP COM                 COM              704227107     2127   286000 SH       SOLE                   286000        0
0
PAXSON COMMUNICATIONS CORP     COM              704231109     5179   604900 SH       SOLE                   573500     6400
25000

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 12
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

PENNZENERGY CO 4.950% 08/15/08 CONVERTIBLE BOND 70931QAB5       83    83000 PRN      SOLE                    83000        0
0
PENNZENERGY CO COM             COM              70931Q109    16711  1591500 SH       SOLE                  1540500    16000
35000
PENNZOIL 4.950% 08/15/08       CONVERTIBLE BOND 709903BH0        0   145486 PRN      SOLE                        0        0
145486
PENNZOIL CO 4.750% 10/01/03    CONVERTIBLE BOND 709903BE7        0   103016 PRN      SOLE                        0        0
103016
PENNZOIL QUAKER STATE CO COM   COM              709323109     3963   320261 SH       SOLE                   320261        0
0
PENTON MEDIA INC COM           COM              709668107    71850  3193320 SH       SOLE                  3092762      875
99683
PEPSI COLA P.R. BOTTLING CLB   COM              713434108     1910   318400 SH       SOLE                   318400        0
0
PEPSICO INC                    COM              713448108    11543   294554 SH       SOLE                   273954      600
20000
PFIZER INC                     COM              717081103     1859    13400 SH       SOLE                    13400        0
0
PHAR-MOR INC COM NEW           COM              717113203      908   154500 SH       SOLE                   154500        0
0
PHILIP MORRIS COS INS          COM              718154107      287     8170 SH       SOLE                     8170        0
0
PIEDMONT NAT GAS INC COM       COM              720186105      623    17800 SH       SOLE                    16800        0
1000
PIONEER GROUP INC              COM              723684106    31287  2112205 SH       SOLE                  2003705     3000
105500
PIONEER HI-BRED INT'L.         COM              723686101      301     8000 SH       SOLE                     8000        0
0
PITNEY BOWES INC               COM              724479100     1459    22880 SH       SOLE                    22880        0
0
PITTWAY CORP CL A              COM              725790208    82113  3098616 SH       SOLE                  3013400      750
84466
PITTWAY CORP DEL               COM              725790109    16560   630866 SH       SOLE                   617966        0
12900
PLACER DOME INC                COM              725906101      221    19500 SH       SOLE                    19500        0
0
PLATINUM TECHNOLOGY INT'L INC  COM              72764T101     2117    83000 SH       SOLE                    79500     3500
0
PLAYTEX PRODS INC COM          COM              72813P100      529    35000 SH       SOLE                    35000        0
0
PNC FINANCIAL CORP             COM              693475105      333     6000 SH       SOLE                     6000        0
0
POWER-ONE INC.                 COM              739308104       68    10000 SH       SOLE                    10000        0
0
PRECISION CASTPARTS CORP       COM              740189105     1191    29600 SH       SOLE                    27600        0
2000
PRICE COMMUNICATIONS CORP COM  COM              741437305     4921   552928 SH       SOLE                   552928        0
0
PRICE T ROWE & ASSOC INC       COM              741477103     3719   108200 SH       SOLE                   108200        0
0
PRIMEDIA INC.                  COM              74157K101      350    25000 SH       SOLE                    25000        0
0
PROCTER & GAMBLE COMPANY       COM              742718109     1943    19840 SH       SOLE                    19840        0
0
PROTECTION ONE ALARM 6.75% 09/ CONVERTIBLE BOND 743659AL8       93    95000 PRN      SOLE                    95000        0
0
PROVIDIAN FINL CORP COM        COM              74406A102      605     5500 SH       SOLE                     5500        0
0
QUAKER OATS CO                 COM              747402105    47990   770930 SH       SOLE                   752180      250
18500
RALCORP HOLDINGS INC           COM              751028101     2090   110000 SH       SOLE                   110000        0
0
RALSTON PURINA CO COM-RLSTN PR COM              751277302    41839  1567724 SH       SOLE                  1541624      600
25500
RAWLINGS SPORTING GOODS INC CO COM              754459105      619    75000 SH       SOLE                    75000        0
0
RAYTECH CORP                   COM              755103108      251    89100 SH       SOLE                    89100        0
0
RCN CORP COM                   COM              749361101    11711   348928 SH       SOLE                   344428        0
4500
READERS DIGEST ASSN CL B       COM              755267200    11586   421300 SH       SOLE                   373300        0
48000

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 13
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

READERS DIGEST ASSN INC CL A N COM              755267101    30686   976100 SH       SOLE                   935100     1000
40000
READERS DIGEST AUTOMATIC COMTR CONVERTIBLE PREF 755271202      636    19800 SH       SOLE                    19800        0
0
READING ENTMT INC COM          COM              755358108      224    28500 SH       SOLE                    28500        0
0
RELTEC CORP COM                COM              759527104    31569  1072400 SH       SOLE                   837900   218500
16000
REPUBLIC INDS INC COM          COM              760516104     5554   448825 SH       SOLE                   448825        0
0
REUTERS GROUP PLC ADR          COM              76132M102      521     5997 SH       SOLE                     5997        0
0
RH DONNELLEY CORP COM          COM              74955W307      525    34000 SH       SOLE                    34000        0
0
ROCKSHOX INC                   COM              774066104       25    20000 SH       SOLE                    20000        0
0
ROGERS CANTEL CL B VOTE RESTRI COM              775102205     3369   186500 SH       SOLE                   177500     5000
4000
ROGERS COMM INC 2.000% 11/26/0 CONVERTIBLE BOND 775109AE1       83   115000 PRN      SOLE                   115000        0
0
ROGERS COMMUNICATIONS CL B     COM              775109200    26678  1471900 SH       SOLE                  1445900      500
25500
ROLLINS INC                    COM              775711104    75547  4493525 SH       SOLE                  4344625      400
148500
ROSLYN BANCORP INC COM         COM              778162107      436    25829 SH       SOLE                    25829        0
0
RPC INC. COMMON                COM              749660106     4451   691400 SH       SOLE                   673400        0
18000
RURAL CELLULAR CORP CL A       COM              781904107      159    12000 SH       SOLE                     9000     3000
0
SAVOY PICTURES ENTMT INC 7.000 CONVERTIBLE BOND 805375AA0      412   410000 PRN      SOLE                   410000        0
0
SBC COMMUNICATIONS INC.        COM              78387G103    23944   507415 SH       SOLE                   480415        0
27000
SCANDINAVIAN BROADCASTING 7.00 CONVERTIBLE BOND 805906AC8       57    50000 PRN      SOLE                    50000        0
0
SCANDINAVIAN BROADCASTING 7.25 CONVERTIBLE BOND 805906AA2       11    10000 PRN      SOLE                    10000        0
0
SCHLUMBERGER                   COM              806857108      891    14800 SH       SOLE                    14800        0
0
SCHWAB CHARLES CORP NEW        COM              808513105     3415    35525 SH       SOLE                    35525        0
0
SCIENTIFIC ATLANTA INC         COM              808655104      818    30000 SH       SOLE                    30000        0
0
SEAGRAM                        COM              811850106    84913  1698250 SH       SOLE                  1672250      500
25500
SEALED AIR CORP NEW PFD CONV A CONVERTIBLE PREF 81211K209     3163    63900 SH       SOLE                    38400        0
25500
SEQUA CORP $5.00 CV PFD        CONVERTIBLE PREF 817320302    11913   136150 SH       SOLE                   132750        0
3400
SEQUA CORP CL A                COM              817320104    53334  1061373 SH       SOLE                  1060623      750
0
SEQUA CORP CL B                COM              817320203    52947   781500 SH       SOLE                   771000        0
10500
SINCLAIR BROADCAST GROUP INCCL COM              829226109      466    32000 SH       SOLE                    32000        0
0
SL INDS INC COM                COM              784413106     5332   453800 SH       SOLE                   453800        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 14
RUN DATE: 05/05/99  3:00 P.M.
                                                     FORM 13F INFORMATION TABLE AS OF
                                                        DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

SMITH A O CORP COM             COM              831865209      599    31500 SH       SOLE                    31500        0
0
SOUTHWEST GAS CORP             COM              844895102    61336  2230383 SH       SOLE                  2130883     2500  97000
SOUTHWEST SECS GROUP INC COM   COM              845224104      819    29000 SH       SOLE                    29000        0
0
SPEEDWAY MOTORS 5 3/4% 9/30/03 CONVERTIBLE BOND 847788AA4       60    50000 PRN      SOLE                    50000        0
0
SPELLING ENTERTAINMENT GROUP I COM              847807104     5812   664200 SH       SOLE                   648200    10000   6000
SPORTS AUTH INC COM            COM              849176102      987   135000 SH       SOLE                   135000        0
0
SPRINT CORP                    COM              852061100    19391   197615 SH       SOLE                   197615        0
0
SPRINT CORP 8.25% PFD          CONVERTIBLE PREF 852061407     7249    99300 SH       SOLE                    61800        0  37500
SPRINT CORP PCS COM SER 1      COM              852061506     5814   131193 SH       SOLE                   131193        0
0
SPRINT CORP PF CV $1.25-$1.50  CONVERTIBLE PREF 852061308      825     2200 SH       SOLE                     2200        0
0
SPS TECHNOLOGIES               COM              784626103    90443  2304270 SH       SOLE                  2277496     2774  24000
ST. JOE COMPANY                COM              790148100      216     8900 SH       SOLE                     8900        0
0
STANDARD COMMMERCIAL CORP 7.25 CONVERTIBLE BOND 853258AA9      377   645000 PRN      SOLE                   645000        0
0
STANDARD MTR PRODS INC CLASS A COM              853666105    31345  1515150 SH       SOLE                  1465150        0  50000
STANDEX INTL CORP              COM              854231107      733    33500 SH       SOLE                    33500        0
0
STARTEC GLBL COMM CO           COM              85569E103      155    20000 SH       SOLE                    20000        0
0
STATE STREET CORP              COM              857477103     3981    48400 SH       SOLE                    48400        0
0
STRATTEC SECURITY CORP.        COM              863111100     1434    51000 SH       SOLE                    51000        0
0
SUN ENERGY PARTNERS L P DEPOSI OIL & GAS PARTNE 866719107      293    66000 SH       SOLE                    33000    33000
0
SUN MICROSYSTEM INC            COM              866810104     6441   103000 SH       SOLE                   103000        0
0
SUNDSTRAND CORP                COM              867323107      417     6000 SH       SOLE                     6000        0
0
SUNGARD DATA SYS INC COM       COM              867363103     3760    94000 SH       SOLE                    94000        0
0
SUPERIOR INDS INTL INC         COM              868168105     5059   217600 SH       SOLE                   217600        0
0
SYBRON CHEMS INC COM           COM              870903101    10886   853800 SH       SOLE                   853800        0
0
SYSCO CORPORATION              COM              871829107     1795    68200 SH       SOLE                    68200        0
0
TCI SATELLITE ENTMT INC CL A   COM              872298104      256   390203 SH       SOLE                   390203        0
0
TELECOM ITALIA SPA-SP ADR      COM              87927W106      835     8000 SH       SOLE                     6000     2000
0
TELEFONICA DE ESPANA SA ADR    COM              879382208      238     1901 SH       SOLE                     1901        0
0
TELEPHONE & DATA SYSTEM INC.   COM              879433100   258274  4581355 SH       SOLE                  4424455     1100
155800
TELIGENT INC CL A              COM              87959Y103      749    18000 SH       SOLE                    18000        0
0
TENNANT CO                     COM              880345103      411    12000 SH       SOLE                    12000        0
0
TENNECO INC                    COM              88037E101     8535   305500 SH       SOLE                   305000        0    500
TEXACO INC                     COM              881694103      465     8200 SH       SOLE                     8200        0
0
TEXAS INSTRUMENTS INC          COM              882508104     6283    63300 SH       SOLE                    63300        0
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 15
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
- -

THERMO FIBERTEK 4.5% 07/15/04  CONVERTIBLE BOND 88355WAA3      191   225000 PRN      SOLE                   225000        0       0
THOMAS INDS INC                COM              884425109    33748  1799899 SH       SOLE                  1762899        0  37000
THOMAS NELSON INC COM          COM              640376109     9515   951500 SH       SOLE                   895700        0  55800
TIFFANY & CO NEW COM           COM              886547108     2437    32600 SH       SOLE                    32600        0       0
TIME WARNER INC                COM              887315109   257216  3632360 SH       SOLE                  3520610      750
111000
TIME WARNER INC                COM              887315109      212     3000 SH       OTHER                    3000        0       0
TIMES MIRROR CO NEW            COM              887364107      882    16300 SH       SOLE                    15300     1000       0
TOOTSIE ROLL INDS INC          COM              890516107     4599    99972 SH       SOLE                    99972        0       0
TOPPS COMPANY INC              COM              890786106     1763   403000 SH       SOLE                   403000        0       0
TRANSOCEAN OFFSHORE INC COM    COM              893817106     1455    50500 SH       SOLE                    50500        0       0
TRANSPRO INC.                  COM              893885103     1672   382120 SH       SOLE                   382120        0       0
TRAVEL PORTS AMER INC COM      COM              894167105       47    13000 SH       SOLE                    13000        0       0
TREADCO INC COM                COM              894545102      333    37500 SH       SOLE                    37500        0       0
TRIBUNE CO                     COM              896047107    16196   247500 SH       SOLE                   226300      200  21000
TRINITY INDS INC               COM              896522109      395    13459 SH       SOLE                    13459        0
0
TRUMP HOTEL&CASINO RESRT INCCO COM              898168109     5839  1459800 SH       SOLE                  1459800        0
0
TV GUIDE INC CLASS A           COM              87307Q109     4351   118000 SH       SOLE                   118000        0
0
TVX GOLD INC COM               COM              87308K101      708   566000 SH       SOLE                   566000        0
0
TWINLAB CORP COM               COM              901774109     1160   123700 SH       SOLE                   123700        0
0
TYCO INTL LTD NEW COM          COM              902124106     1064    14828 SH       SOLE                    14828        0
0
TYLER CORP DEL                 COM              902184100     3411   779600 SH       SOLE                   774600        0
5000
PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 16
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

U.S. FILTER 4.5% 12/15/01      CONVERTIBLE BOND 911843AF7      294   300000 PRN      SOLE                   300000        0
0
UCAR INTERNATIONAL             COM              90262K109      953    67500 SH       SOLE                    67500        0
0
UNITED INTL HLDGS INC CL A     COM              910734102     6503   149500 SH       SOLE                   137500        0
12000
UNITED STATES CELLULAR CORP    COM              911684108     1272    28900 SH       SOLE                    28900        0
0
UNITED STATES CELLULAR CORP 0. ZERO COUPON BOND 911684AA6      227   500000 PRN      SOLE                   500000        0
0
UNITED STATES FILTER CORP COM  COM              911843209    54044  1764700 SH       SOLE                  1410700   324000
30000
UNITED TELEVISION              COM              913066106    84968   816997 SH       SOLE                   784739     4758
27500
UNITED WTR RES INC             COM              913190104      405    19500 SH       SOLE                    19500        0
0
US SATELLITE BROADCASTING      COM              912534104      462    27000 SH       SOLE                    27000        0
0
USA NETWORKS INC.              COM              902984103   110651  3089742 SH       SOLE                  3027718      500
61524
VALASSIS COMMUNICATIONS INC CO COM              918866104      776    15000 SH       SOLE                    15000        0
0
VANGUARD CELLULAR SYS INC      COM              922022108     5427   198700 SH       SOLE                   198700        0
0
VIACOM INC                     COM              925524100   347384  8339300 SH       SOLE                  7997200    71100
271000
VIACOM INC. CL B COMM          COM              925524308    18404   438506 SH       SOLE                   426906        0
11600
VIATEL INC COM                 COM              925529208     1063    37300 SH       SOLE                    37300        0
0
VLSI TECHNOLOGY INC COM        COM              918270109     1182    61000 SH       SOLE                    61000        0
0
WACHOVIA CORP NEW              COM              929771103      559     6880 SH       SOLE                     6880        0
0
WACKENHUT CORP                 COM              929794105     1001    45000 SH       SOLE                    45000        0
0
WAL MART STORES INC            COM              931142103     3190    69200 SH       SOLE                    69200        0
0
WALGREEN COMPANY               COM              931422109      904    32000 SH       SOLE                    32000        0
0
WARNER LAMBERT CO              COM              934488107     3392    51200 SH       SOLE                    51200        0
0
WASHINGTON MUT INC COM         COM              939322103      494    12096 SH       SOLE                    12096        0
0
WATKINS JOHNSON CO COM         COM              942486101      464    20500 SH       SOLE                    20500        0
0
WATTS INDS INC CL A            COM              942749102     3604   265700 SH       SOLE                   265700        0
0
WEATHERFORD INTERNATIONAL      COM              947074100      261    10000 SH       SOLE                    10000        0
0
WEIDER NUTRITION INTL INC CL A COM              948603105     1425   300000 SH       SOLE                   300000        0
0
WESTERN WIRELESS CORP-CL A     COM              95988E204     8860   244400 SH       SOLE                   243900      500
0

PORTVUE-SEC13F.LNP                                     GAMCO INVESTORS, INC.                                               PAGE 17
RUN DATE: 05/05/99  3:00 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
- -

WHITMAN CORP                   COM              96647K102    80278  4670720 SH       SOLE                   4535020      500
135200
WHX CORP COM                   COM              929248102     4180   530800 SH       SOLE                   530800        0
0
WHX CORP CONV PFD A            CONVERTIBLE PREF 929248201     1172    33800 SH       SOLE                    33800        0
0
WHX CORP CONV PFD B            CONVERTIBLE PREF 929248300      756    21000 SH       SOLE                    21000        0
0
WICOR INC COM                  COM              929253102      729    36000 SH       SOLE                    36000        0
0
WRIGLEY WM JR CO               COM              982526105      317     3500 SH       SOLE                     2500        0
1000
WYNN'S INTL INC                COM              983195108    74876  4293992 SH       SOLE                   4242287     1175
50530
XYLAN CORP COM                 COM              984151100    34401   934500 SH       SOLE                   726500   193000
15000
YOUNG BROADCASTING INC CL A    COM              987434107     1022    22400 SH       SOLE                    13000     1400
8000

     LINE COUNT: 540


PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 1
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED
NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
AAR CORP COM                   COM              000361105      561    31500 SH       SOLE                    31500        0        0
AARON RENTS INC CL A           COM              002535300      884    76000 SH       SOLE                    76000        0        0
AARON RENTS INC COM            COM              002535201     1656   106000 SH       SOLE                   106000        0        0
ABBOTT LABS                    COM              002824100    12733   272000 SH       SOLE                   272000        0        0
ACKERLEY GROUP INC.            COM              004527107    10247   605000 SH       SOLE                   605000        0        0
ADAMS GOLF INC.                COM              006228100       47    11000 SH       SOLE                    11000        0        0
ADELPHIA COMMUNICATIONS CORPCL COM              006848105      630    10000 SH       SOLE                    10000        0        0
ADVANCED MICRO DEVICES INC COM COM              007903107      341    22000 SH       SOLE                    22000        0        0
ADVANTICA RESTAURANT GROUP     COM              00758B109      529   105847 SH       SOLE                   105847        0        0
ADVANTICA RESTAURANT GROUP WAR WARRANT AND RIGH 00758B117       66    62463 SH       SOLE                    62463        0        0
AERIAL COMMUNICATIONS INC COM  COM              007655103     3689   476000 SH       SOLE                   476000        0        0
AEROQUIP-VICKERS INC COM       COM              007869100    94508  1649000 SH       SOLE                  1649000        0        0
AFC CABLE SYSTEMS              COM              000950105     1250    42000 SH       SOLE                    42000        0        0
AGL RES INC COM                COM              001204106     2048   116600 SH       SOLE                   116600        0        0
AGRIBRANDS INTL INC            COM              00849R105      658    20000 SH       SOLE                    20000        0        0
AIRGAS INC COM                 COM              009363102      260    31000 SH       SOLE                    31000        0        0
AIRTOUCH COMM SERIES B         CONVERTIBLE PREF 00949T209     4883    62000 SH       SOLE                    62000        0        0
AIRTOUCH COMM SERIES C         CONVERTIBLE PREF 00949T308     2527    19000 SH       SOLE                    19000        0        0
AIRTOUCH COMMUNICATIONS, INC.  COM              00949T100    13334   138000 SH       SOLE                   138000        0        0
ALIANT COMMUNICATIONS INC COM  COM              016090102     9088   222000 SH       SOLE                   222000        0        0
ALLEGHANY CORP DEL             COM              017175100      656     3570 SH       SOLE                     3570        0        0
ALLEGIANCE TELECOM INC         COM              01747T102      350    14000 SH       SOLE                    14000        0        0
ALLEN TELECOM INC              COM              018091108     5422   834200 SH       SOLE                   834200        0        0
ALLTEL CORP                    COM              020039103     7984   128000 SH       SOLE                   128000        0        0
ALLTRISTA CORP                 COM              020040101      332    17000 SH       SOLE                    17000        0        0
AMAZON.COM 4.75% 2/1/09 144A   CONVERTIBLE BOND 023135AD8      189   150000 PRN      SOLE                   150000        0        0
AMERICAN BNKRS INS GROUP INCCO COM              024456105    28704   552000 SH       SOLE                   552000        0        0
AMERICAN BNKRS INS GROUP INCPF CONVERTIBLE PREF 024456204     3640    34500 SH       SOLE                    34500        0        0
AMERICAN EXPRESS CO            COM              025816109    64056   544000 SH       SOLE                   544000        0        0
AMERICAN INTL GROUP INC        COM              026874107    21170   175500 SH       SOLE                   175500        0        0
AMERICAN MEDIA INC CL A        COM              02744L100      460    80000 SH       SOLE                    80000        0        0
AMERICAN SAFETY RAZOR CO COM   COM              029362100      207    14900 SH       SOLE                    14900        0        0
AMERICAN TOWER SYSTEMS CL A    COM              029912201      258    10550 SH       SOLE                    10550        0        0
AMERITECH CORP NEW COM         COM              030954101     2420    42000 SH       SOLE                    42000        0        0
AMETEK INC NEW COM             COM              031100100    10421   571000 SH       SOLE                   571000        0        0
AMGEN INC                      COM              031162100     4043    54000 SH       SOLE                    54000        0        0
AMNEX 8.500% 09/25/02 REGS     CONVERTIBLE BOND 031733AA6       26    80000 PRN      SOLE                    80000        0        0
AMP INC                        COM              031897101    37718   705000 SH       SOLE                   705000        0        0
AMPCO PITTSBURGH CORP          COM              032037103     3856   390500 SH       SOLE                   390500        0        0
AMPHENOL CORP NEW CL A         COM              032095101    10484   274100 SH       SOLE                   274100        0        0
AMR CORP                       COM              001765106    12240   209000 SH       SOLE                   209000        0        0
AMWAY JAPAN LTD SPONS ADR      COM              03234J100      134    30641 SH       SOLE                    30641        0        0
ANGLOGOLD LTD ADR SPONSORED    COM              035128206      471    23400 SH       SOLE                    23400        0        0
ANIXTER INTL INC COM           COM              035290105      215    18000 SH       SOLE                    18000        0        0
ANTEC 4.5% 5/15/03 144A        CONVERTIBLE BOND 03664PAA3      111   100000 PRN      SOLE                   100000        0        0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 2
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

APACHE CORP                    COM              037411105      886    34000 SH       SOLE                    34000        0
0
APPLE COMPUTER INC             COM              037833100     1617    45000 SH       SOLE                    45000        0
0
ARC INTL CORP                  COM              001905108       35    23000 SH       SOLE                    23000        0
0
ARCHER DANIELS MIDLAND         COM              039483102    25168  1713550 SH       SOLE                  1713550        0
0
ARGONAUT GROUP                 COM              040157109     5908   230000 SH       SOLE                   230000        0
0
ASCENT ENT. GROUP INC.         COM              043628106    11233  1027054 SH       SOLE                  1027054        0
0
ASHANTI GOLD SHAMROCK MINES PF PREFERRED STOCKS 043743202      131    15000 SH       SOLE                    15000        0
0
ASM LITHOGRAPHY 2.5% 04/05     CONVERTIBLE BOND 00207EAA8       52    50000 PRN      SOLE                    50000        0
0
ASSOCIATED GROUP INC CL A      COM              045651106    12857   259400 SH       SOLE                   259400        0
0
ASSOCIATED GROUP INC CL B      COM              045651205    10428   215000 SH       SOLE                   215000        0
0
ASTRAZENECA ORDS               FOREIGN COMMON S XR0989529     4658    99273 SH       SOLE                    99273        0
0
AT & T CORP                    COM              001957109    72949  1371000 SH       SOLE                  1371000        0
0
ATLANTIC RICHFIELD COMPANY     COM              048825103    13382   183000 SH       SOLE                   183000        0
0
ATLANTIC RICHFIELD PFD CV $2.8 CONVERTIBLE PREF 048825400     2237     6000 SH       SOLE                     6000        0
0
ATLANTIC TELE NETWORK INC COM  COM              049079205      220    24400 SH       SOLE                    24400        0
0
AT&T CORP LIBERTY MEDIA CORP C COM              001957208   129332  2459082 SH       SOLE                  2459082        0
0
AUTOMATIC DATA PROCESSING      COM              053015103    33514   810000 SH       SOLE                   810000        0
0
AVIS RENT A CAR INC.           COM              053790101     1246    45000 SH       SOLE                    45000        0
0
AVON PRODUCTS INC              COM              054303102      471    10000 SH       SOLE                    10000        0
0
AYDIN CORP COM                 COM              054681101     1253    95000 SH       SOLE                    95000        0
0
AZTAR CORP                     COM              054802103     5895  1225000 SH       SOLE                  1225000        0
0
BA MERCHANT SVCS INC.          COM              055239107    20493  1005800 SH       SOLE                  1005800        0
0
BALDWIN TECHNOLOGY INC CL A    COM              058264102      920   320000 SH       SOLE                   320000        0
0
BANCO DE SANTANDER SPON ADR    COM              059574202     2969   148000 SH       SOLE                   148000        0
0
BANK NEW YORK INC COM          COM              064057102    27313   760000 SH       SOLE                   760000        0
0
BANKAMERICA CORP NEW           COM              06605F102      639     9052 SH       SOLE                     9052        0
0
BANKERS TRUST CORPORATION      COM              066365107     1341    15200 SH       SOLE                    15200        0
0
BANNER AEROSPACE INC COM       COM              066525106      369    50000 SH       SOLE                    50000        0
0
BARNES GROUP INC COM           COM              067806109     1988   106000 SH       SOLE                   106000        0
0
BARRICK GOLD CORP COM          COM              067901108     1877   110000 SH       SOLE                   110000        0
0
BAXTER INTL INC COM            COM              071813109    28380   430000 SH       SOLE                   430000        0
0
BCE INC                        COM              05534B109    39571   893000 SH       SOLE                   893000        0
0
BE AEROSPACE INC COM           COM              073302101      148    10000 SH       SOLE                    10000        0
0
BELDEN INC COM                 COM              077459105      256    15000 SH       SOLE                    15000        0
0
BELL ATLANTIC 4.25% 9/15/05 (C CONVERTIBLE BOND EC0163179      110   100000 PRN      SOLE                   100000        0
0
BELL ATLANTIC CORP             COM              077853109     2156    41716 SH       SOLE                    41716        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 3
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

BELLSOUTH CORP                 COM              079860102     3405    85000 SH       SOLE                    85000        0
0
BELO A H CORP                  COM              080555105      548    30000 SH       SOLE                    30000        0
0
BEMA GOLD CORP COM             COM              08135F107       20    32600 SH       SOLE                    32600        0
0
BERKSHIRE HATHAWAY             COM              084670108    34272      480 SH       SOLE                      480        0
0
BERLITZ INTL INC NEW COM       COM              08520F100     6267   277000 SH       SOLE                   277000        0
0
BESTFOODS INC                  COM              08658U101     4136    88000 SH       SOLE                    88000        0
0
BHC COMMUNICATIONS INC CL A    COM              055448104      246     2000 SH       SOLE                     2000        0
0
BHI CORP NON VTG ORD           COM              P1668J102      280    10000 SH       SOLE                    10000        0
0
BIOGEN N V                     COM              090597105     3544    31000 SH       SOLE                    31000        0
0
BOEING CO                      COM              097023105     6800   200000 SH       SOLE                   200000        0
0
BORDERS GROUP INC COM          COM              099709107      141    10000 SH       SOLE                    10000        0
0
BORG WARNER AUTOMOTIVE INC     COM              099724106     2092    43754 SH       SOLE                    43754        0
0
BORG WARNER SEC CORP COM       COM              099733107      369    22000 SH       SOLE                    22000        0
0
BOWLIN OUTDOOR ADVRTG & TRAVEL COM              102595105      209    29800 SH       SOLE                    29800        0
0
BOYD GAMING CORP               COM              103304101       64    15000 SH       SOLE                    15000        0
0
BRISTOL MYERS SQUIBB CO        COM              110122108    33153   517000 SH       SOLE                   517000        0
0
BRITISH TELECOMM P L C ADR     COM              111021408      410     2500 SH       SOLE                     2500        0
0
BROWN-FORMAN CORP CLASS A      COM              115637100     4120    76300 SH       SOLE                    76300        0
0
BRYLANE INC                    COM              117661108     4244   175000 SH       SOLE                   175000        0
0
BUENOS AIRES EMBOTELLADORA SPO COM              119424208        0    34863 SH       SOLE                    34863        0
0
BULL RUN GOLD MINES LTD        COM              120182100      405    92500 SH       SOLE                    92500        0
0
BURLINGTON COAT FACTORY WHSE   COM              121579106     3726   317100 SH       SOLE                   317100        0
0
BURLINGTON RESOURCES INC COM   COM              122014103     3435    86000 SH       SOLE                    86000        0
0
CABLE & WIRELESS COMMS-ADR     COM              12682P104     1584    28000 SH       SOLE                    28000        0
0
CABLE & WIRELESS PUB LTD CO SP COM              126830207    15006   406250 SH       SOLE                   406250        0
0
CABLEVISION SYS CORP           COM              12686C109   198136  2673000 SH       SOLE                  2673000        0
0
CANWEST GLOBAL COMMUNICATIONNO COM              138906300      327    25000 SH       SOLE                    25000        0
0
CARTER WALLACE INC             COM              146285101    36045  2002500 SH       SOLE                  2002500        0
0
CATELLUS DEV CORP              COM              149111106    25346  1895000 SH       SOLE                  1895000        0
0
CATERPILLAR INC                COM              149123101     4502    98000 SH       SOLE                    98000        0
0
CBS CORP COM                   COM              12490K107    41653  1020600 SH       SOLE                  1020600        0
0
CELESTIAL SEASONINGS INC COM   COM              151016102     6524   301700 SH       SOLE                   301700        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 4
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

CELLULAR COMM OF PUERTO RICO   COM              15116N108     3137   116200 SH       SOLE                   116200        0
0
CENDANT CORPORATION            COM              151313103    11714   735000 SH       SOLE                   735000        0
0
CENTENNIAL CELLULAR CORP CL A  COM              15133V208      898    19000 SH       SOLE                    19000        0
0
CENTRAL EUROPEAN EQUITY FUND I MUTUAL FUNDS     153436100     1255   104000 SH       SOLE                   104000        0
0
CENTRAL GARDEN 6% 11/15/03 144 CONVERTIBLE BOND 153527AA4      135   150000 PRN      SOLE                   150000        0
0
CENTRAL HUDSON GAS & ELEC COCO COM              153609102     1253    35000 SH       SOLE                    35000        0
0
CENTRAL NEWSPAPERS INC CL A    COM              154647101      498    16000 SH       SOLE                    16000        0
0
CENTURY COMMUNICATIONS CORP CL COM              156503104     4922   106000 SH       SOLE                   106000        0
0
CENTURY TEL ENTERPRISES        COM              156686107    43906   937500 SH       SOLE                   937500        0
0
CERIDIAN CORP COM              COM              15677T106     8044   220000 SH       SOLE                   220000        0
0
CHANCELLOR MEDIA CORP COM      COM              158915108    34213   726000 SH       SOLE                   726000        0
0
CHASE MANHATTAN CORP NEW COM   COM              16161A108      407     5000 SH       SOLE                     5000        0
0
CHECKFREE HOLDINGS CORP        COM              162816102     1405    33000 SH       SOLE                    33000        0
0
CHEVRON CORP                   COM              166751107     3550    40000 SH       SOLE                    40000        0
0
CHIQUITA 7% 3/28/01 EURO       CONVERTIBLE BOND XR4208220       92   100000 PRN      SOLE                   100000        0
0
CHIRON CORP                    COM              170040109      878    40000 SH       SOLE                    40000        0
0
CHOCK FULL O NUTS CORP         COM              170268106     1519   276100 SH       SOLE                   276100        0
0
CHOCK FULL O NUTS CP DB CV 8.0 CONVERTIBLE BOND 170268AB2      861   865000 PRN      SOLE                   865000        0
0
CHOCK FULL O NUTS SR SD CV 7.0 CONVERTIBLE BOND 170268AC0      956  1028000 PRN      SOLE                  1028000        0
0
CHRIS CRAFT INDS INC           COM              170520100     6631  1453506 SH       SOLE                        0        0
1453506
CHURCH & DWIGHT CO             COM              171340102    12144   298000 SH       SOLE                   298000        0
0
CHURCHILL DOWNS INC COM        COM              171484108      700    25000 SH       SOLE                    25000        0
0
CILCORP INC COM                COM              171794100     2871    47800 SH       SOLE                    47800        0
0
CINCINNATI BELL INC            COM              171870108     1458    65000 SH       SOLE                    65000        0
0
CIRCUS CIRCUS ENTERPRISE INC   COM              172909103     5532   315000 SH       SOLE                   315000        0
0
CISCO SYS INC                  COM              17275R102    84445   770750 SH       SOLE                   770750        0
0
CITIZENS UTIL. 5% PFD          CONVERTIBLE PREF 177351202     5549   137000 SH       SOLE                   137000        0
0
CITIZENS UTILS CO DEL COM SER  COM              177342201    13900  1793590 SH       SOLE                  1793590        0
0
CLARCOR INC                    COM              179895107     8751   512900 SH       SOLE                   512900        0
0
CLEAR CHANNEL COMMUNICATIONS C COM              184502102    58150   867100 SH       SOLE                   867100        0
0
CMP MEDIA INC CL A             COM              125891101      707    23000 SH       SOLE                    23000        0
0
COACHMEN INDS INC              COM              189873102      246    12000 SH       SOLE                    12000        0
0
COCA COLA CO                   COM              191216100    15037   245000 SH       SOLE                   245000        0
0
COLDWATER CREEK INC COM        COM              193068103     1098    95500 SH       SOLE                    95500        0
0
COLONIAL GAS CO                COM              195674106     1725    50000 SH       SOLE                    50000        0
0
COLT TELECOM GROUP PLC SPONSOR COM              196877104      287     4000 SH       SOLE                     4000        0
0
COLTEC INDS INC COM            COM              196879100    18188  1000000 SH       SOLE                  1000000        0
0
COMCAST CORPORATION CLASS A    COM              200300101     7325   119100 SH       SOLE                   119100        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 5
RUN DATE: 05/05/99  3:06 P.M.
                                                     FORM 13F INFORMATION TABLE AS OF
                                                        DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

COMMONWEALTH ENERGY SYS        COM              202800108     1824    48000 SH       SOLE                    48000        0
0
COMMONWEALTH TEL ENTERPRISES C COM              203349105    34315   932144 SH       SOLE                   932144        0
0
COMMONWEALTH TEL ENTERPRISES C COM              203349204     4910   136400 SH       SOLE                   136400        0
0
COMMUNICATIONS SYS             COM              203900105      960   101000 SH       SOLE                   101000        0
0
COMP DE TELECOMMUN DE CHILE SP COM              204449300     2969   126000 SH       SOLE                   126000        0
0
COMPUTER SCIENCES CORP COM     COM              205363104    38112   690600 SH       SOLE                   690600        0
0
COMSAT CORP COM SER 1          COM              20564D107    21298   736000 SH       SOLE                   736000        0
0
CONVERGYS CORP COM             COM              212485106      993    58000 SH       SOLE                    58000        0
0
COOPER INDUSTRIES INC          COM              216669101     1023    24000 SH       SOLE                    24000        0
0
CORE MATLS CORP COM            COM              218683100      120    40000 SH       SOLE                    40000        0
0
CORN PRODS INTL INC COM        COM              219023108     6134   256250 SH       SOLE                   256250        0
0
COSTCO 0% 8/19/17              CONVERTIBLE BOND 22160QAC6       64    60000 PRN      SOLE                    60000        0
0
COX RADIO INC.-CL A            COM              224051102      205     4000 SH       SOLE                     4000        0
0
CRANE CO                       COM              224399105    11537   477000 SH       SOLE                   477000        0
0
CREGEM FINANCE 2.75% 01/06/04  CONVERTIBLE BOND XR5380990      172   150000 PRN      SOLE                   150000        0
0
CSX CORP                       COM              126408103     1363    35000 SH       SOLE                    35000        0
0
CTS CORP                       COM              126501105    15177   307000 SH       SOLE                   307000        0
0
CUNO INC COM                   COM              126583103      770    55000 SH       SOLE                    55000        0
0
CURTISS WRIGHT CORP            COM              231561101    11555   372000 SH       SOLE                   372000        0
0
CVS AUTOMTIC COM EXCHNGE SECTR CONVERTIBLE PREF 126645209      214     2500 SH       SOLE                     2500        0
0
CVS CORP COM                   COM              126650100     1663    35000 SH       SOLE                    35000        0
0
C&D TECHNOLOGIES INC COM       COM              124661109      498    20000 SH       SOLE                    20000        0
0
DANA CORP                      COM              235811106    49629  1306032 SH       SOLE                  1306032        0
0
DANIEL INDS INC                COM              236235107     1235    81000 SH       SOLE                    81000        0
0
DANIELSON HLDG CORP            COM              236274106      129    45000 SH       SOLE                    45000        0
0
DATA BROADCASTING CORP COM     COM              237596101      278    20000 SH       SOLE                    20000        0
0
DEERE & CO.                    COM              244199105    31788   823000 SH       SOLE                   823000        0
0
DELL COMPUTER CORP COM         COM              247025109    26569   650000 SH       SOLE                   650000        0
0
DEPARTMENT 56 INC COM          COM              249509100      928    30500 SH       SOLE                    30500        0
0
DEUTSCHE TELEKOM AG-SPON ADR   COM              251566105     1011    25000 SH       SOLE                    25000        0
0
DEXTER CORP COM                COM              252165105     3528   112000 SH       SOLE                   112000        0
0
DIAGEO PLC SPONSORED ADR       FOREIGN COMMON S 25243Q205     4209    92000 SH       SOLE                    92000        0
0
DISNEY WALT PRODTNS            COM              254687106    14847   477000 SH       SOLE                   477000        0
0
DOLLAR THRIFTY AUTOMOTIVE GRCO COM              256743105      224    13000 SH       SOLE                    13000        0
0
DONALDSON INC                  COM              257651109     9187   510400 SH       SOLE                   510400        0
0
DOVER DOWNS ENTERTAINMENT      COM              260086103      233    15000 SH       SOLE                    15000        0
0
DOW JONES & CO INC             COM              260561105     4955   105000 SH       SOLE                   105000        0
0
DRESDNER RCM EUROPE FUND       MUTUAL FUNDS     26156W106     1776   148000 SH       SOLE                   148000        0
0
DRIEFONTEIN CONS LTD ADR SPONS COM              262026503      184    46000 SH       SOLE                    46000        0
0
DU PONT E I DE NEMOURS CO      COM              263534109     1277    22000 SH       SOLE                    22000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 6
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

E M C CORP MASS COM            COM              268648102    61320   480000 SH       SOLE                   480000        0
0
EARL SCHEIB INC                COM              806398103     2672   534500 SH       SOLE                        0        0
534500
EARTHLINK NETWORK INC COM      COM              270322100      240     4000 SH       SOLE                     4000        0
0
EASTERN ENTERPRISES            COM              27637F100    10294   283000 SH       SOLE                   283000        0
0
EASTMAN KODAK                  COM              277461109     2938    46000 SH       SOLE                    46000        0
0
ECHO BAY MINES COM             COM              278751102      844   500000 SH       SOLE                   500000        0
0
ECHOSTAR COMMUN CORP NEW       COM              278762109      898    11000 SH       SOLE                    11000        0
0
ECOLAB INC                     COM              278865100     3550   100000 SH       SOLE                   100000        0
0
EG & G INC COM                 COM              268457108      396    15000 SH       SOLE                    15000        0
0
EL PASO ELEC CO COM NEW        COM              283677854      981   128700 SH       SOLE                   128700        0
0
ELECTRIC LIGHTWAVE INC CL A    COM              284895109      260    28500 SH       SOLE                    28500        0
0
ELECTRONIC DATA SYSTEMS        COM              285661104     7303   150000 SH       SOLE                   150000        0
0
ELF AQUITAINE SPONSORED ADR    COM              286269105      404     6000 SH       SOLE                     6000        0
0
EMBRATEL PARTICIPACOES S A ADR COM              29081N100     4506   270000 SH       SOLE                   270000        0
0
ENERGY EAST CORP COM           COM              29266M109     1892    72000 SH       SOLE                    72000        0
0
ENRON OIL & GAS CO             COM              293562104      998    60000 SH       SOLE                    60000        0
0
ENVIROSOURCE INC. COM          COM              29409K606      301   120428 SH       SOLE                   120428        0
0
ESKIMO PIE CORP                COM              296443104      819   115000 SH       SOLE                   115000        0
0
EXTENDED STAY AMER INC COM     COM              30224P101      611    60000 SH       SOLE                    60000        0
0
EXXON CORP                     COM              302290101    13971   198000 SH       SOLE                   198000        0
0
FAIRCHILD CORP CL A            COM              303698104     6571   645000 SH       SOLE                   645000        0
0
FALL RIVER GAS CO              COM              306279100      325    19000 SH       SOLE                    19000        0
0
FARMER BROS CO                 COM              307675108     1089     5500 SH       SOLE                     5500        0
0
FEDDERS CORP CL A NON-VOTING S COM              313135303      231    50000 SH       SOLE                    50000        0
0
FEDDERS CORP COM VOTING SHRS   COM              313135105     1939   383100 SH       SOLE                   383100        0
0
FEDERAL MOGUL CORP             COM              313549107     5130   120000 SH       SOLE                   120000        0
0
FERRO CORP                     COM              315405100    23946   967500 SH       SOLE                   967500        0
0
FLORIDA EAST COAST INDS        COM              340632108     2754    92000 SH       SOLE                    92000        0
0
FLORIDA PANTHERS HLDGS DEL ICL COM              341064103     1124   145000 SH       SOLE                   145000        0
0
FLORIDA PUB UTILS CO COM       COM              341135101     1379    93500 SH       SOLE                    93500        0
0
FLORIDA ROCK INDS INC          COM              341140101      546    16000 SH       SOLE                    16000        0
0
FLOWSERVE CORP COM             COM              34354P105     9493   610000 SH       SOLE                   610000        0
0
FOAMEX INTERNATIONAL           COM              344123104       96    17000 SH       SOLE                    17000        0
0
FOOD LION INC CL A             COM              344775200     2945   320000 SH       SOLE                   320000        0
0
FORCENERGY INC COM             COM              345206106        0    10000 SH       SOLE                    10000        0
0
FORD MOTOR                     COM              345370100      255     4500 SH       SOLE                     4500        0
0
FORTUNE BRANDS INC             COM              349631101    17402   452000 SH       SOLE                   452000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 7
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

FRANCE GROWTH FD INC           MUTUAL FUNDS     35177K108      949    70000 SH       SOLE                    70000        0
0
FRANCE TELECOM 2.000% 01/01/04 CONVERTIBLE BOND 35177QAB1      114   130000 PRN      SOLE                   130000        0
0
FRANCE TELECOM SPONSORED ADR   COM              35177Q105      323     4000 SH       SOLE                     4000        0
0
FRANKLIN ELEC INC              COM              353514102     5005    77000 SH       SOLE                    77000        0
0
FREEPORT MCMORAN COPPER & GOLD CONVERTIBLE PREF 35671D501      429    15000 SH       SOLE                    15000        0
0
FREEPORT MCMORAN COPPER & GOLD COM              35671D857      163    15000 SH       SOLE                    15000        0
0
FRONTIER CORPORATION           COM              35906P105    29595   570500 SH       SOLE                   570500        0
0
GAINSCO INC COM                COM              363127101      190    39000 SH       SOLE                    39000        0
0
GALLAHER GROUP PLC SPONSORED A COM              363595109    12455   530000 SH       SOLE                   530000        0
0
GANNETT INC DEL                COM              364730101    40320   640000 SH       SOLE                   640000        0
0
GARDNER DENVER INC             COM              365558105      595    37500 SH       SOLE                    37500        0
0
GATX CORP                      COM              361448103    13603   413000 SH       SOLE                   413000        0
0
GATX CORP $2.50 CV PFD         CONVERTIBLE PREF 361448202      227     1400 SH       SOLE                     1400        0
0
GAYLORD ENTERTAINMENT CO       COM              367905106    25909  1068401 SH       SOLE                  1068401        0
0
GC COMPANIES INC COM           COM              36155Q109    14336   456000 SH       SOLE                   456000        0
0
GEN MAGNAPLATE CORP            COM              370262206      185    40000 SH       SOLE                    40000        0
0
GENCORP INC                    COM              368682100    17694   983000 SH       SOLE                   983000        0
0
GENENTECH INC SPL COM          COM              368710307    10724   121000 SH       SOLE                   121000        0
0
GENERAL CHEM GROUP INC COM     COM              369332101     1050    80000 SH       SOLE                    80000        0
0
GENERAL CIGAR HLDGS INC CL A   COM              36933P100     6373   684400 SH       SOLE                        0        0
684400
GENERAL COMMUNICATIONS INC CL  COM              369385109      310    68000 SH       SOLE                    68000        0
0
GENERAL ELEC CO                COM              369604103    31196   282000 SH       SOLE                   282000        0
0
GENERAL HOUSEWARES CORP        COM              370073108     1608   155000 SH       SOLE                   155000        0
0
GENERAL INSTRUMENT CORP        COM              370120107     3183   105000 SH       SOLE                   105000        0
0
GENERAL MILLS INC              COM              370334104    14508   192000 SH       SOLE                   192000        0
0
GENERAL MOTORS CLASS H NEW     COM              370442832      404     8000 SH       SOLE                     8000        0
0
GENERAL MTRS CORP              COM              370442105    29615   340400 SH       SOLE                   340400        0
0
GENESEE CORP CLASS B           COM              371601204      450    20000 SH       SOLE                    20000        0
0
GENLYTE GROUP INC              COM              372302109     1016    63500 SH       SOLE                    63500        0
0
GENUINE PARTS CO               COM              372460105    10228   355000 SH       SOLE                   355000        0
0
GERBER SCIENTIFIC INSTR        COM              373730100     9565   473800 SH       SOLE                   473800        0
0
GERMANY FD INC                 MUTUAL FUNDS     374143105      408    32000 SH       SOLE                    32000        0
0
GETCHELL GOLD CORP COM         COM              374265106      356    13600 SH       SOLE                    13600        0
0
GILLETTE CO                    COM              375766102    17106   287800 SH       SOLE                   287800        0
0
GLAXO PLC                      COM              37733W105     1004    15000 SH       SOLE                    15000        0
0
GLOBAL INDL TECHNOLOGIES INCCO COM              379335102      415    40000 SH       SOLE                    40000        0
0
GLOBAL MARINE INC COM NEW      COM              379352404      646    55000 SH       SOLE                    55000        0
0
GLOBAL TELESYSTEMS GROUP INCCD COM              37936U104      350     6260 SH       SOLE                     6260        0
0
GLOBALSTAR TELECOMMUNICATION   COM              G3930H104     1665   120000 SH       SOLE                   120000        0
0
GOLDCORP INC NEW CL A          FOREIGN COMMON S 380956102      735   122900 SH       SOLE                   122900        0
0
GOLDEN STAR RES LTD CDA COM    COM              38119T104       28    35000 SH       SOLE                    35000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 8
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

GORMAN RUPP CO                 COM              383082104      280    17775 SH       SOLE                    17775        0
0
GRACO INC COM                  COM              384109104      375    17000 SH       SOLE                    17000        0
0
GRANITE BROADCASTING CORP NV   COM              387241102      201    30300 SH       SOLE                    30300        0
0
GRAY COMMUNICATIONS SYS INC CO COM              389190109     1854   111525 SH       SOLE                   111525        0
0
GRAY COMMUNICATIONS SYS-CL B   COM              389190208     7240   541300 SH       SOLE                   541300        0
0
GREIF BROS CORP CL A           COM              397624107    12210   555000 SH       SOLE                   555000        0
0
GREYHOUND LINES INC 8.500% 03/ CONVERTIBLE BOND 398048AD0      656   640000 PRN      SOLE                   640000        0
0
GRIFFIN LAND & NUR             COM              398231100     3982   430500 SH       SOLE                        0        0
430500
GRUPO TELEVISA SA DE CV ADR    COM              40049J206    20864   665000 SH       SOLE                   665000        0
0
GST TELECOMMUNICATIONS INC     COM              361942105     4123   377000 SH       SOLE                   377000        0
0
GTE CORP                       COM              362320103    29524   488000 SH       SOLE                   488000        0
0
GTECH HLDGS CORP COM           COM              400518106     1024    42000 SH       SOLE                    42000        0
0
GYRODYNE CO AMER INC COM       COM              403820103      185    13000 SH       SOLE                    13000        0
0
H R BLOCK INC                  COM              093671105    13076   276000 SH       SOLE                   276000        0
0
HACH CO CL A                   COM              404504201      302    36546 SH       SOLE                    36546        0
0
HACH CO COM                    COM              404504102      427    37546 SH       SOLE                    37546        0
0
HALLIBURTON COMPANY            COM              406216101     4351   113000 SH       SOLE                   113000        0
0
HALTER MARINE 4.500% 09/15/04  CONVERTIBLE BOND 40642YAC9       54   100000 PRN      SOLE                   100000        0
0
HARCOURT GEN INC COM           COM              41163G101     5052   114000 SH       SOLE                   114000        0
0
HARLEY DAVIDSON INC            COM              412822108     5393    94000 SH       SOLE                    94000        0
0
HARRAH'S ENTERTAINMENT         COM              413619107      229    12000 SH       SOLE                    12000        0
0
HARTE HANKS INC                COM              416196103      412    15000 SH       SOLE                    15000        0
0
HARTMARX CORP                  COM              417119104     1194   245000 SH       SOLE                   245000        0
0
HEINZ, H J COMPANY             COM              423074103     3980    84000 SH       SOLE                    84000        0
0
HERSHEY FOODS CORP             COM              427866108     2691    48000 SH       SOLE                    48000        0
0
HERTZ CORP-CL A                COM              428040109     1070    20000 SH       SOLE                    20000        0
0
HIBERNIA CORP                  COM              428656102      567    43000 SH       SOLE                    43000        0
0
HILTON 5% 5/15/06 CV           CONVERTIBLE BOND 432848AL3     3281  3500000 PRN      SOLE                  3500000        0
0
HILTON HOTELS CORP             COM              432848109    18070  1285000 SH       SOLE                  1285000        0
0
HIMACHAL FUTURISTIC COMMUNICAT COM              432894103        0    26000 SH       SOLE                    26000        0
0
HITACHI LTD ADR                COM              433578507      437     6000 SH       SOLE                     6000        0
0
HOECHST A G ADR SPONSORED      COM              434390308      521    12000 SH       SOLE                    12000        0
0
HOME DEPOT 3.25% 2001          CONVERTIBLE BOND 437076AE2      279   100000 PRN      SOLE                   100000        0
0
HOME DEPOT INC                 COM              437076102    88253  1417718 SH       SOLE                  1417718        0
0
HONEYWELL INC                  COM              438506107    21455   283000 SH       SOLE                   283000        0
0
HOUGHTON MIFFLIN CO            COM              441560109      211     4500 SH       SOLE                     4500        0
0
HUSSMANN INTL INC              COM              448110106    15202  1035000 SH       SOLE                  1035000        0
0
I B M                          COM              459200101    81358   459000 SH       SOLE                   459000        0
0
PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 9
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

ICG COMMUNICATIONS INC COM     COM              449246107      360    18000 SH       SOLE                    18000        0
0
IDEX CORP                      COM              45167R104    21088   895000 SH       SOLE                   895000        0
0
IMATION CORP COM               COM              45245A107      182    11000 SH       SOLE                    11000        0
0
INDUSTRIAL DISTRIBUTION GRP.   COM              456061100      173    33000 SH       SOLE                    33000        0
0
INFINITY BROADCASTING CL. A    COM              45662S102     9631   374000 SH       SOLE                   374000        0
0
INGERSOLL-RAND COMPANY         COM              456866102     3077    62000 SH       SOLE                    62000        0
0
INGLES MKTS INC CL A           COM              457030104     1783   155000 SH       SOLE                   155000        0
0
INTEL CORP                     COM              458140100    44638   751000 SH       SOLE                   751000        0
0
INTERPUBLIC GROUP COS INC      COM              460690100    40421   519050 SH       SOLE                   519050        0
0
INTL MULTIFOODS CORP           COM              460043102      233    10000 SH       SOLE                    10000        0
0
IRIDIUM WORLD COMM INC         COM              G49398103      628    41500 SH       SOLE                    41500        0
0
ITALY FD INC COM               MUTUAL FUNDS     465395101     1209    80250 SH       SOLE                    80250        0
0
ITT INDUSTRIES                 COM              450911102     7075   200000 SH       SOLE                   200000        0
0
IVAX 6.5% 2001                 CONVERTIBLE BOND 465823AA0      722   750000 PRN      SOLE                   750000        0
0
IVAX CORP                      COM              465823102     7796   660000 SH       SOLE                   660000        0
0
J & J SNACK FOODS CORP         COM              466032109      302    15000 SH       SOLE                    15000        0
0
JACKPOT ENTERPRISES INC        COM              466392107     1875   240000 SH       SOLE                   240000        0
0
JOHNSON CONTROLS               COM              478366107    14533   233000 SH       SOLE                   233000        0
0
JOHNSON & JOHNSON              COM              478160104    20103   215000 SH       SOLE                   215000        0
0
JOHNSTON INDUSTRIES INC        COM              479368102       74    34650 SH       SOLE                    34650        0
0
JONES INTERCABLE INC CLASS A   COM              480206200     1775    45000 SH       SOLE                    45000        0
0
JUMBOSPORTS INC. 4% 11/01/00   CONVERTIBLE BOND 481386AA8        6   100000 PRN      SOLE                   100000        0
0
KAMAN CORP CLASS A             COM              483548103     4811   375500 SH       SOLE                   375500        0
0
KAMAN CORP CONV S/DEBS REG 6%  CONVERTIBLE BOND 483548AC7     1049  1104000 PRN      SOLE                  1104000        0
0
KANEB SERVICES                 COM              484170105      894   220000 SH       SOLE                   220000        0
0
KANSAS CITY SOUTHERN INDS      COM              485170104     1425    25000 SH       SOLE                    25000        0
0
KATY INDS INC                  COM              486026107     6084   468000 SH       SOLE                   468000        0
0
KEEBLER FOODS                  COM              487256109      840    23000 SH       SOLE                    23000        0
0
KELLOGG CO                     COM              487836108    14201   420000 SH       SOLE                   420000        0
0
KEYSPAN ENERGY COM             COM              49337K106     1005    40000 SH       SOLE                    40000        0
0
KING WORLD PRODTNS INC         COM              495667107     1192    39000 SH       SOLE                    39000        0
0
KINROSS GOLD CORP COM          FOREIGN COMMON S 496902107      115    55000 SH       SOLE                    55000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 10
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

KNIGHT RIDDER                  COM              499040103      350     7000 SH       SOLE                     7000        0
0
KOLLMORGEN CORP                COM              500440102     4038   323000 SH       SOLE                   323000        0
0
KOLLMORGEN CORP SD CV 8.75% 05 CONVERTIBLE BOND 500440AA0     1541  1513000 PRN      SOLE                  1513000        0
0
KONINKLIIJKE PHILIPS ELECTRONI COM              500472105     1072    13000 SH       SOLE                    13000        0
0
KROGER CO                      COM              501044101     4191    70000 SH       SOLE                    70000        0
0
KUSHNER LOCKE 8% CVT 12/15/00  CONVERTIBLE BOND 501337AF6      530   200000 PRN      SOLE                   200000        0
0
KYOCERA CORP                   COM              501556203      684    13000 SH       SOLE                    13000        0
0
K-TRON INTL INC                COM              482730108      180    10000 SH       SOLE                    10000        0
0
L 3 COMMUICATIONS              COM              502424104      324     7000 SH       SOLE                     7000        0
0
LA Z BOY CHAIR CO              COM              505336107      564    30000 SH       SOLE                    30000        0
0
LAMSON & SESSIONS CO           COM              513696104     6302  1276300 SH       SOLE                  1276300        0
0
LANDAUER INC                   COM              51476K103     4294   178000 SH       SOLE                   178000        0
0
LAWTER INTERNATIONAL           COM              520786104     3080   440000 SH       SOLE                   440000        0
0
LEAP WIRELESS INTL INC COM     COM              521863100     1272    98800 SH       SOLE                    98800        0
0
LEE ENTERPRISES INC            COM              523768109     1392    48000 SH       SOLE                    48000        0
0
LEHMAN BROS HLDGS INC COM      COM              524908100    13504   226000 SH       SOLE                   226000        0
0
LEUCADIA NATL CORP COM         COM              527288104      666    22000 SH       SOLE                    22000        0
0
LIBERTY CORP S C               COM              530370105    33927   647000 SH       SOLE                        0        0
647000
LILLIAN VERNON CORP            COM              532430105     7872   656000 SH       SOLE                   656000        0
0
LILLY, ELI AND COMPANY         COM              532457108    13580   160000 SH       SOLE                   160000        0
0
LINDSAY MFG CO COM             COM              535555106     1491    75000 SH       SOLE                    75000        0
0
LITTELFUSE INC                 COM              537008104      184    10000 SH       SOLE                    10000        0
0
LOEWEN GROUP INC               COM              54042L100     1921  1060000 SH       SOLE                  1060000        0
0
LOEWS CINEPLEX ENTMT CORP      COM              540423100      139    14000 SH       SOLE                    14000        0
0
LORAL SPACE & COMMUNICATIONS L COM              G56462107     3220   223008 SH       SOLE                   223008        0
0
LOWES COS INC COM              COM              548661107    54813   906000 SH       SOLE                   906000        0
0
LUCASVARITY PLC - ADR          COM              549395101    11100   240000 SH       SOLE                   240000        0
0
LUCENT TECHNOLOGIES INC.       COM              549463107    23922   443000 SH       SOLE                   443000        0
0
LUFKIN INDS INC COM            COM              549764108     2650   160000 SH       SOLE                   160000        0
0
LUND INTL HLDGS INC COM        COM              550368104       64    10000 SH       SOLE                    10000        0
0
LVMH MOET HENNESSY LOUIS VUT A COM              502441207     2014    41000 SH       SOLE                    41000        0
0
MACNEAL SCHWENDLER 7.875% 08/1 CONVERTIBLE BOND 554806AA7        0      500 PRN      SOLE                      500        0
0
MADDEN STEVEN LTD COM          COM              556269108       84    10000 SH       SOLE                    10000        0
0
MANITOWOC CO COM               COM              563571108     1382    49500 SH       SOLE                    49500        0
0
MARK IV INDS INC               COM              570387100     5382   414000 SH       SOLE                   414000        0
0
MARSH & MCLENNAN COS INC COM   COM              571748102    70872   954500 SH       SOLE                   954500        0
0
MARTIN MARIETTA MTLS INC COM   COM              573284106      856    15000 SH       SOLE                    15000        0
0
MATERIAL SCIENCES CORP COM     COM              576674105     1498   235000 SH       SOLE                   235000        0
0
MATSUSHITA ELEC CO ADR         COM              576879209      290     1500 SH       SOLE                     1500        0
0
MATTEL INC                     COM              577081102     2768   111000 SH       SOLE                   111000        0
0
MCCLATCHY HOLDING COMPANY      COM              579489105     4501   134100 SH       SOLE                   134100        0
0
MCGRAW HILL COMPANIES, INC.    COM              580645109    40504   743200 SH       SOLE                   743200        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 11
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

MCI WORLDCOM                   COM              55268B106     1266    14300 SH       SOLE                    14300        0
0
MEDIA GENERAL, CL. A           COM              584404107   115180  2477000 SH       SOLE                        0        0
2477000
MEDIAONE GROUP INC 4.5 11/15/1 CONVERTIBLE PREF 58440J203     3145    24400 SH       SOLE                    24400        0
0
MEDIAONE GROUP INC COM         COM              58440J104   187686  2958600 SH       SOLE                  2958600        0
0
MELLON BANK CORP               COM              585509102    72592  1031500 SH       SOLE                  1031500        0
0
MERCK & CO INC                 COM              589331107    35736   446000 SH       SOLE                   446000        0
0
MEREDITH CORP                  COM              589433101    12355   393000 SH       SOLE                   393000        0
0
MERITOR AUTOMOTIVE INC COM     COM              59000G100      372    24000 SH       SOLE                    24000        0
0
MERRILL LYNCH & CO INC COM     COM              590188108    43940   496500 SH       SOLE                   496500        0
0
MET PRO CORP COM               COM              590876306      539    49000 SH       SOLE                    49000        0
0
METRIS COS INC COM             COM              591598107      964    23875 SH       SOLE                    23875        0
0
METROMEDIA INTL GROUP INC COM  COM              591695101      102    21000 SH       SOLE                    21000        0
0
METRONET COMMUNICATIONS CL B N COM              59169Y108      429     7800 SH       SOLE                     7800        0
0
METRONET COMMUNICATIONS CL B ( FOREIGN COMMON S XR2132718     1051    19100 SH       SOLE                    19100        0
0
MICROSOFT CORP                 COM              594918104    59332   662000 SH       SOLE                   662000        0
0
MIDAS GROUP INC COM            COM              595626102     2753    82500 SH       SOLE                    82500        0
0
MIDLAND CO                     COM              597486109    12666   525000 SH       SOLE                   525000        0
0
MIKASA INC COM                 COM              59862T109      369    50000 SH       SOLE                    50000        0
0
MINNESOTA MNG & MFG CO (3M)    COM              604059105      354     5000 SH       SOLE                     5000        0
0
MIRAGE RESORTS INC             COM              60462E104    15215   716000 SH       SOLE                   716000        0
0
MODINE MFG CO                  COM              607828100    29533  1052400 SH       SOLE                  1052400        0
0
MONSANTO CO                    COM              611662107     1975    43000 SH       SOLE                    43000        0
0
MOOG INC CL A                  COM              615394202     2898    95000 SH       SOLE                    95000        0
0
MORAN ENERGY INC SD CV 8.75% 0 CONVERTIBLE BOND 616457AC1     1051  1100000 PRN      SOLE                  1100000        0
0
MORGAN J.P. & CO INC           COM              616880100     3504    28400 SH       SOLE                    28400        0
0
MORGAN PRODS LTD               COM              617439104       50    14000 SH       SOLE                    14000        0
0
MORTON INTERNATIONAL NEW       COM              619335102    20213   550000 SH       SOLE                   550000        0
0
MOTOROLA INC                   COM              620076109     4285    58500 SH       SOLE                    58500        0
0
MOTTS HLDGS INC                COM              620124107      201    33500 SH       SOLE                    33500        0
0
MYERS INDS INC                 COM              628464109     1311    62062 SH       SOLE                    62062        0
0
NASHUA CORP                    COM              631226107     3945   343000 SH       SOLE                   343000        0
0
NATIONAL GRID CO 4.25% 02/17/0 CONVERTIBLE BOND XR2146184      194   100000 PRN      SOLE                   100000        0
0
NATIONAL PRESTO INDS INC       COM              637215104     4359   123000 SH       SOLE                   123000        0
0
NATIONAL SVC INDS INC          COM              637657107     5893   173000 SH       SOLE                   173000        0
0
NATURES SUNSHINE PRODS INC CCO COM              639027101      154    14000 SH       SOLE                    14000        0
0
NAVISTAR INTL CORP COM         COM              63934E108    73463  1828000 SH       SOLE                  1828000        0
0
NEIMAN MARCUS GROUPS INC       COM              640204103    29874  1320400 SH       SOLE                  1320400        0
0
NEW ENGLAND ELEC SYS COM       COM              644001109     3104    64000 SH       SOLE                    64000        0
0
NEW GERMANY FD COM             MUTUAL FUNDS     644465106     1588   133000 SH       SOLE                   133000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 12
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

NEW YORK TIMES CO CLASS A      COM              650111107    33003  1158000 SH       SOLE                  1158000        0
0
NEWMONT MNG CORP               COM              651639106     2154   122200 SH       SOLE                   122200        0
0
NEWS CORP LTD ADR              COM              652487703     1555    52700 SH       SOLE                    52700        0
0
NEWSCORP LTD SPON ADR PFD      PREFERRED STOCKS 652487802     9124   331765 SH       SOLE                   331765        0
0
NEXTEL COMMUNICATIONS INC CL A COM              65332V103     3140    85736 SH       SOLE                    85736        0
0
NIKE INC CL B                  COM              654106103      288     5000 SH       SOLE                     5000        0
0
NINE WEST 5 1/2% 7/15/03       CONVERTIBLE BOND 65440DAC6      944  1000000 PRN      SOLE                  1000000        0
0
NINE WEST GROUP INC COM        COM              65440D102      617    25000 SH       SOLE                    25000        0
0
NIPPON TELEG & TEL CORP SPONSO COM              654624105      488    10000 SH       SOLE                    10000        0
0
NOEL GROUP INC COM             COM              655260107      610   610400 SH       SOLE                   610400        0
0
NORTEK INC                     COM              656559101    12140   490500 SH       SOLE                   490500        0
0
NORTHERN TELECOM               COM              665815106     6772   109000 SH       SOLE                   109000        0
0
NORTHERN TRUST CORP            COM              665859104    68652   773000 SH       SOLE                   773000        0
0
NORTHROP CORP                  COM              666807102    10897   182000 SH       SOLE                   182000        0
0
NTL INC COM                    COM              629407107     4386    53898 SH       SOLE                    53898        0
0
OAK TECHNOLOGY INC             COM              671802106     5130  1675000 SH       SOLE                  1675000        0
0
OIL DRI CORP AMER COM          COM              677864100      583    40000 SH       SOLE                    40000        0
0
OMI CORP NEW                   COM              Y6476W104      100    50000 SH       SOLE                    50000        0
0
OMNICOM GROUP COM              COM              681919106    24941   312000 SH       SOLE                   312000        0
0
OMNIPOINT CORP                 COM              68212D102     5652   391500 SH       SOLE                   391500        0
0
ONEIDA LTD                     COM              682505102     1190    70000 SH       SOLE                    70000        0
0
ORANGE & ROCKLAND UTILS INC CO COM              684065105    10281   179000 SH       SOLE                   179000        0
0
PACCAR INC                     COM              693718108     1648    40000 SH       SOLE                    40000        0
0
PAINE WEBBER INC               COM              695629105     1994    50000 SH       SOLE                    50000        0
0
PARK OHIO HLDGS CORP COM       COM              700666100     2278   162715 SH       SOLE                   162715        0
0
PARK PLACE ENTER               COM              700690100    10512  1390000 SH       SOLE                  1390000        0
0
PAXAR CORP COM                 COM              704227107      818   110000 SH       SOLE                   110000        0
0
PAXSON COMMUNICATIONS CORP     COM              704231109     6477   756400 SH       SOLE                   756400        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 13
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

PEGASUS COMMUNICATIONS CORP CL COM              705904100      924    33000 SH       SOLE                    33000        0
0
PENFORD CORP COM               COM              707051108      476    32000 SH       SOLE                    32000        0
0
PENN NATIONAL GAMING INC COM   COM              707569109      153    22000 SH       SOLE                    22000        0
0
PENNZENERGY CO COM             COM              70931Q109     9408   896000 SH       SOLE                   896000        0
0
PENNZOIL QUAKER STATE CO COM   COM              709323109     6977   563800 SH       SOLE                   563800        0
0
PENTAIR INC COM                COM              709631105      270     8000 SH       SOLE                     8000        0
0
PENTON MEDIA INC COM           COM              709668107    24773  1101000 SH       SOLE                  1101000        0
0
PENWEST PHARMACEUTICALS CO COM COM              709754105      492    48000 SH       SOLE                    48000        0
0
PEPSI COLA P.R. BOTTLING CLB   COM              713434108      780   130000 SH       SOLE                   130000        0
0
PEPSICO INC                    COM              713448108    55921  1427000 SH       SOLE                  1427000        0
0
PETROLEUM GEO-SVCS A/S SPONSOR COM              716597109      267    17500 SH       SOLE                    17500        0
0
PFIZER INC                     COM              717081103    31358   226000 SH       SOLE                   226000        0
0
PHARMACIA & UPJOHN INC COM     COM              716941109      624    10000 SH       SOLE                    10000        0
0
PHILIP MORRIS COS INS          COM              718154107     4574   130000 SH       SOLE                   130000        0
0
PHILIPPINE LONG DISTANCE TEL G CONVERTIBLE PREF 718252703      855    18000 SH       SOLE                    18000        0
0
PHILLIPINE LONG DISTANCE TEL S COM              718252604     2303    89000 SH       SOLE                    89000        0
0
PHOENIX TECHNOLOGIES LTD COM   COM              719153108      638    75000 SH       SOLE                    75000        0
0
PIEDMONT NAT GAS INC COM       COM              720186105      525    15000 SH       SOLE                    15000        0
0
PIONEER GROUP INC              COM              723684106     5849   394900 SH       SOLE                   394900        0
0
PIONEER HI-BRED INT'L.         COM              723686101     1110    29500 SH       SOLE                    29500        0
0
PITTSTON CO SVCS GROUP COM     COM              725701106      353    15000 SH       SOLE                    15000        0
0
PITTWAY CORP CL A              COM              725790208    18248   688600 SH       SOLE                   688600        0
0
PITTWAY CORP DEL               COM              725790109    23336   889000 SH       SOLE                   889000        0
0
PLACER DOME INC                COM              725906101     1938   171300 SH       SOLE                   171300        0
0
PLATINUM TECH 6.250% 12/02/99  CONVERTIBLE BOND 72764TAD3       48    50000 PRN      SOLE                    50000        0
0
PLATINUM TECHNOLOGY INT'L INC  COM              72764T101     2270    89000 SH       SOLE                    89000        0
0
PLAYBOY ENTERPRISES INC CL A   COM              728117201      201    10000 SH       SOLE                    10000        0
0
PLD TELEKOM INC COM            COM              69340T100      349    90000 SH       SOLE                    90000        0
0
PORTUGAL TELECOM ADR           COM              737273102      526    12000 SH       SOLE                    12000        0
0
PRECISION CASTPARTS CORP       COM              740189105     4226   105000 SH       SOLE                   105000        0
0
PRICE COMMUNICATIONS CORP COM  COM              741437305     1228   137975 SH       SOLE                   137975        0
0
PRICE T ROWE & ASSOC INC       COM              741477103    24509   713000 SH       SOLE                   713000        0
0
PRIMEDIA INC.                  COM              74157K101     1176    84000 SH       SOLE                    84000        0
0
PROCTER & GAMBLE COMPANY       COM              742718109    14201   145000 SH       SOLE                   145000        0
0
PUBLIC SVC CO N C INC COM      COM              744516105      255     9000 SH       SOLE                     9000        0
0
PUBLICARD INC COM              COM              744627100      278    30000 SH       SOLE                    30000        0
0
QUAKER OATS CO                 COM              747402105    31997   514000 SH       SOLE                   514000        0
0
QWEST COMMUNICATIONS INTL.     COM              749121109      420     5830 SH       SOLE                     5830        0
0
RALCORP HOLDINGS INC           COM              751028101     2850   150000 SH       SOLE                   150000        0
0
RALSTON PURINA CO COM-RLSTN PR COM              751277302    44515  1668000 SH       SOLE                  1668000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 14
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

RAYTECH CORP                   COM              755103108       97    34500 SH       SOLE                    34500        0
0
RCN CORP COM                   COM              749361101    31146   928000 SH       SOLE                   928000        0
0
READERS DIGEST ASSN CL B       COM              755267200    20460   744000 SH       SOLE                   744000        0
0
READERS DIGEST AUTOMATIC COMTR CONVERTIBLE PREF 755271202      482    15000 SH       SOLE                    15000        0
0
RELTEC CORP COM                COM              759527104     6329   215000 SH       SOLE                   215000        0
0
REPUBLIC GROUP INC             COM              760473108     1130    75000 SH       SOLE                    75000        0
0
REPUBLIC INDS INC COM          COM              760516104    11558   934000 SH       SOLE                   934000        0
0
REUTERS GROUP PLC ADR          COM              76132M102     1448    16666 SH       SOLE                    16666        0
0
RH DONNELLEY CORP COM          COM              74955W307     1179    76400 SH       SOLE                    76400        0
0
RIGGS NATL CORP                COM              766570105     1013    60000 SH       SOLE                    60000        0
0
ROBBINS & MYERS 6.500% 09/01/0 CONVERTIBLE BOND 770196AA1      186   210000 PRN      SOLE                   210000        0
0
ROBBINS & MYERS INC            COM              770196103      174    10000 SH       SOLE                    10000        0
0
ROGERS CANTEL CL B VOTE RESTRI COM              775102205    11813   654000 SH       SOLE                   654000        0
0
ROGERS COMM INC 2.000% 11/26/0 CONVERTIBLE BOND 775109AE1      543   750000 PRN      SOLE                   750000        0
0
ROGERS COMMUNICATIONS CL B     COM              775109200    24933  1375600 SH       SOLE                  1375600        0
0
ROLLINS INC                    COM              775711104    28951  1722000 SH       SOLE                  1722000        0
0
ROPER INDS INC NEW             COM              776696106      716    30000 SH       SOLE                    30000        0
0
ROYAL KPN N.V. SPONSORED ADR   COM              780641205      595    15000 SH       SOLE                    15000        0
0
ROYAL OAK MINES FAC COM        COM              78051D105       75   815000 SH       SOLE                   815000        0
0
ROYCE VALUE TR INC             COM              780910105     1470   129942 SH       SOLE                   129942        0
0
RPC INC. COMMON                COM              749660106     1931   300000 SH       SOLE                   300000        0
0
RURAL CELLULAR CORP CL A       COM              781904107     1231    92900 SH       SOLE                    92900        0
0
SAVOY PICTURES ENTMT INC 7.000 CONVERTIBLE BOND 805375AA0     1005  1000000 PRN      SOLE                  1000000        0
0
SBC COMMUNICATIONS INC.        COM              78387G103    14015   297000 SH       SOLE                   297000        0
0
SCHWAB CHARLES CORP NEW        COM              808513105    19297   200750 SH       SOLE                   200750        0
0
SCIENTIFIC ATLANTA INC         COM              808655104     3188   117000 SH       SOLE                   117000        0
0
SCRIPPS HOWARD INC CL A        COM              811054204     1151    26000 SH       SOLE                    26000        0
0
SEAGRAM                        COM              811850106    31625   632500 SH       SOLE                   632500        0
0
SEALED AIR CORP NEW PFD CONV A CONVERTIBLE PREF 81211K209     3020    61000 SH       SOLE                    61000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 15
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

SEQUA CORP $5.00 CV PFD        CONVERTIBLE PREF 817320302     2712    31000 SH       SOLE                        0        0
31000
SEQUA CORP CL A                COM              817320104    16449   327355 SH       SOLE                        0        0
327355
SEQUA CORP CL B                COM              817320203    14092   208000 SH       SOLE                        0        0
208000
SKYLINE CORP                   COM              830830105      278    10000 SH       SOLE                    10000        0
0
SL INDS INC COM                COM              784413106      613    52200 SH       SOLE                    52200        0
0
SMITH A O CORP CL A            COM              831865100      322    16500 SH       SOLE                    16500        0
0
SMITH A O CORP COM             COM              831865209      361    19000 SH       SOLE                    19000        0
0
SMITHKLINE BEECHAM PLC ADR RPS COM              832378301     2002    28000 SH       SOLE                    28000        0
0
SONY CORP - ADR                COM              835699307     2831    31000 SH       SOLE                    31000        0
0
SOUTHWEST GAS CORP             COM              844895102    21615   786000 SH       SOLE                   786000        0
0
SPAIN FUND INC                 MUTUAL FUNDS     846330108      156    11000 SH       SOLE                    11000        0
0
SPELLING ENTERTAINMENT GROUP I COM              847807104     2424   277000 SH       SOLE                   277000        0
0
SPORTS AUTH INC COM            COM              849176102      731   100000 SH       SOLE                   100000        0
0
SPRINT CORP                    COM              852061100    35031   357000 SH       SOLE                   357000        0
0
SPRINT CORP 8.25% PFD          CONVERTIBLE PREF 852061407    14308   196000 SH       SOLE                   196000        0
0
SPRINT CORP PCS COM SER 1      COM              852061506     7910   178500 SH       SOLE                   178500        0
0
SPRINT CORP PF CV $1.25-$1.50  CONVERTIBLE PREF 852061308      825     2200 SH       SOLE                     2200        0
0
SPRINT CORP PFD 1 CV $1.50     CONVERTIBLE PREF 852061209     1095     3000 SH       SOLE                     3000        0
0
SPS TECHNOLOGIES               COM              784626103    17977   458000 SH       SOLE                   458000        0
0
SPX CORP                       COM              784635104      378     7500 SH       SOLE                     7500        0
0
ST. JOE COMPANY                COM              790148100    13750   567000 SH       SOLE                   567000        0
0
STANDARD COMMMERCIAL CORP 7.25 CONVERTIBLE BOND 853258AA9      439   750000 PRN      SOLE                   750000        0
0
STANDARD MTR PRODS INC CLASS A COM              853666105    11709   566000 SH       SOLE                   566000        0
0
STANDEX INTL CORP              COM              854231107      481    22000 SH       SOLE                    22000        0
0
STARTEC GLBL COMM CO           COM              85569E103       85    11000 SH       SOLE                    11000        0
0
STARWOOD HOTELS AND RESORTS WO COM              85590A203     1257    44000 SH       SOLE                    44000        0
0
STATE STREET CORP              COM              857477103    56950   692400 SH       SOLE                   692400        0
0
STATION CASINOS INC COM        COM              857689103      128    10000 SH       SOLE                    10000        0
0
STEWART ENTERPRISES INC CL A   COM              860370105      225    14000 SH       SOLE                    14000        0
0
STILLWATER MINING              COM              86074Q102     1733    65725 SH       SOLE                    65725        0
0
STRATTEC SECURITY CORP.        COM              863111100      478    17000 SH       SOLE                    17000        0
0
SUN MICROSYSTEM INC            COM              866810104    64407  1030000 SH       SOLE                  1030000        0
0
SUNGARD DATA SYS INC COM       COM              867363103    27680   692000 SH       SOLE                   692000        0
0
SUNTRUST BANKS INC             COM              867914103     3237    52000 SH       SOLE                    52000        0
0
SUPERIOR INDS INTL INC         COM              868168105     3641   156600 SH       SOLE                   156600        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 16
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
SYSCO CORPORATION              COM              871829107    14551   553000 SH       SOLE                   553000        0        0
TCI MUSIC INC CL A             COM              87229N101       62    12000 SH       SOLE                    12000        0        0
TCI SATELLITE ENTMT INC CL A   COM              872298104      410   625000 SH       SOLE                   625000        0        0
TELE CELULAR SUL PARTICIPACO A COM              879238103      524    27400 SH       SOLE                    27400        0        0
TELE CENTRO SUL PARTICIPACOE A COM              879239101     2531    54800 SH       SOLE                    54800        0        0
TELE DANMARK ADR               FOREIGN COMMON S 879242105      392     8000 SH       SOLE                     8000        0        0
TELE EUROPE 2% 7/15/02         CONVERTIBLE BOND 879385AA0       73    50000 PRN      SOLE                    50000        0        0
TELE NORDESTE CELULAR PARTIC A COM              87924W109      305    13700 SH       SOLE                    13700        0        0
TELE NORTE LESTE PARTICIPACO A COM              879246106     4213   274000 SH       SOLE                   274000        0
0
TELE SUDESTE CELULAR PARTICI A COM              879252104     1110    54800 SH       SOLE                    54800        0
0
TELECOM ARGENTINA STET FRANC S COM              879273209     1180    43000 SH       SOLE                    43000        0
0
TELECOM CORP NEW ZEALAND LTD S COM              879278208      858    22000 SH       SOLE                    22000        0
0
TELECOM INT'L 4.500% 02/15/06  CONVERTIBLE BOND 87924HAA0      339   300000 PRN      SOLE                   300000        0
0
TELECOM ITALIA SPA-SP ADR      COM              87927W106    33348   319500 SH       SOLE                   319500        0
0
TELECOMUNICOES BRASILEIRAS ADR COM              879287100       43   274000 SH       SOLE                   274000        0
0
TELEFONICA DE ARGENTINA S A SP COM              879378206     1301    43000 SH       SOLE                    43000        0
0
TELEFONICA DE ESPANA SA ADR    COM              879382208    13105   104632 SH       SOLE                   104632        0
0
TELEFONOS DE MEXICO SPON ADR R COM              879403780     4686    71000 SH       SOLE                    71000        0
0
TELEGLOBE INC COM              COM              87941V100      243     8000 SH       SOLE                     8000        0
0
TELEMIG CELULAR PARTICIPACOE A COM              87944E105      359    13700 SH       SOLE                    13700        0
0
TELEPHONE & DATA SYSTEM INC.   COM              879433100   139658  2477300 SH       SOLE                  2477300        0
0
TELESP CELULAR PARTICIPACOES A COM              87952L108     2295   109600 SH       SOLE                   109600        0
0
TELESP PARTICIPACOES S A ADR S COM              87952K100     5651   274000 SH       SOLE                   274000        0
0
TELEWEST COMMUNICATIONS PLC CO COM              87956P105     1585    36136 SH       SOLE                    36136        0
0
TELIGENT INC CL A              COM              87959Y103      749    18000 SH       SOLE                    18000        0
0
TEL-SAVE HLDGS INC COM         COM              879176105      125    12000 SH       SOLE                    12000        0
0
TENNANT CO                     COM              880345103      514    15000 SH       SOLE                    15000        0
0

PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 17
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99
                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

TENNECO INC                    COM              88037E101    19472   697000 SH       SOLE                   697000        0
0
TESORO PETE CORP COM           COM              881609101      165    15000 SH       SOLE                    15000        0
0
TEXACO CAPITAL 3 1/2% 08/05/04 CONVERTIBLE BOND XR5291058      101   100000 PRN      SOLE                   100000        0
0
TEXACO INC                     COM              881694103     4767    84000 SH       SOLE                    84000        0
0
TEXAS INSTRUMENTS INC          COM              882508104    62031   625000 SH       SOLE                   625000        0
0
THERMO ELECTRON 4.25% 01/01/03 CONVERTIBLE BOND 883556AF9      135   150000 PRN      SOLE                   150000        0
0
THERMO FIBERTEK 4.5% 07/15/04  CONVERTIBLE BOND 88355WAA3      127   150000 PRN      SOLE                   150000        0
0
THOMAS INDS INC                COM              884425109     7688   410000 SH       SOLE                   410000        0
0
THOMAS NELSON INC COM          COM              640376109     4940   494000 SH       SOLE                   494000        0
0
TIFFANY & CO NEW COM           COM              886547108    38653   517100 SH       SOLE                   517100        0
0
TIME WARNER INC                COM              887315109   178660  2523000 SH       SOLE                  2523000        0
0
TIMES MIRROR CO NEW            COM              887364107      622    11500 SH       SOLE                    11500        0
0
TODD AO CORP                   COM              888896107      599    76000 SH       SOLE                    76000        0
0
TOM BROWN INC NEW COM          COM              115660201      461    38000 SH       SOLE                    38000        0
0
TOOTSIE ROLL INDS INC          COM              890516107    12922   280910 SH       SOLE                   280910        0
0
TOPPS COMPANY INC              COM              890786106      753   172000 SH       SOLE                   172000        0
0
TRANS LUX 7.5% CV 12/01/06     CONVERTIBLE BOND 893247AD8     1316  1350000 PRN      SOLE                  1350000        0
0
TRANS LUX CORP                 COM              893247106      750    87000 SH       SOLE                    87000        0
0
TRANSAMERICA CORP              COM              893485102     2008    28282 SH       SOLE                    28282        0
0
TRANSPRO INC.                  COM              893885103     1549   354000 SH       SOLE                   354000        0
0
TRAVEL SERVICES INC.           COM              894169101      231    22000 SH       SOLE                    22000        0
0
TRIBUNE CO                     COM              896047107    20417   312000 SH       SOLE                   312000        0
0
TRINITY INDS INC               COM              896522109     3848   131000 SH       SOLE                   131000        0
0
TRUMP HOTEL&CASINO RESRT INCCO COM              898168109      872   218000 SH       SOLE                   218000        0
0
TV GUIDE INC CLASS A           COM              87307Q109     4148   112500 SH       SOLE                   112500        0
0
TVX GOLD INC COM               COM              87308K101      776   621000 SH       SOLE                   621000        0
0
TWINLAB CORP COM               COM              901774109      581    62000 SH       SOLE                    62000        0
0
TYCO INTL LTD NEW COM          COM              902124106     1866    26000 SH       SOLE                    26000        0
0
TYLER CORP DEL                 COM              902184100     3465   792000 SH       SOLE                   792000        0
0
U S WEST INC NEW COM           COM              91273H101     1211    22000 SH       SOLE                    22000        0
0
U.S. TRUST CORP                COM              91288L105      297     4000 SH       SOLE                     4000        0
0
UBS FINANCE 2.750% 06/16/02    CONVERTIBLE BOND XR5257254      188   150000 PRN      SOLE                   150000        0
0
UCAR INTERNATIONAL             COM              90262K109     3206   227000 SH       SOLE                   227000        0
0
UNITED INTL HLDGS INC CL A     COM              910734102     5894   135500 SH       SOLE                   135500        0
0
UNITED NEWS CV 6.125% 12/03/03 CONVERTIBLE BOND XR5159372       87    50000 PRN      SOLE                    50000        0
0
UNITED NEWSPAPERS PLC SPONSORE COM              911202208      188    10000 SH       SOLE                    10000        0
0
PORTVUE-SEC13F.LNP                                     GABELLI FUNDS, LLC                                                  PAGE 18
RUN DATE: 05/05/99  3:06 P.M.
                           FORM 13F INFORMATION TABLE
                              AS OF DATE: 03/31/99

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- ------
- --

UNITED STATES CELLULAR CORP    COM              911684108     1980    45000 SH       SOLE                    45000        0
0
UNITED STATES FILTER CORP COM  COM              911843209    30166   985000 SH       SOLE                   985000        0
0
UNITED TECHNOLOGIES CORP       COM              913017109      542     4000 SH       SOLE                     4000        0
0
UNITED TELEVISION              COM              913066106    62120   597309 SH       SOLE                   597309        0
0
UNITRIN INC                    COM              913275103     1563    50000 SH       SOLE                    50000        0
0
US SATELLITE BROADCASTING      COM              912534104     1216    71000 SH       SOLE                    71000        0
0
USA NETWORKS INC.              COM              902984103    97088  2711000 SH       SOLE                  2711000        0
0
USN COMMUNICATIONS INC COM     COM              90336N204        0    13000 SH       SOLE                    13000        0
0
VALMONT INDS INC               COM              920253101      486    35000 SH       SOLE                    35000        0
0
VALUE LINE INC                 COM              920437100      277     8000 SH       SOLE                     8000        0
0
VANGUARD CELLULAR SYS INC      COM              922022108     2532    92700 SH       SOLE                    92700        0
0
VDC COMMUNICATIONS INC COM     COM              91821B101      400   100000 SH       SOLE                   100000        0
0
VIACOM INC                     COM              925524100   183079  4395000 SH       SOLE                  4395000        0
0
VIACOM INC. CL B COMM          COM              925524308    19306   460000 SH       SOLE                   460000        0
0
VIATEL INC COM                 COM              925529208     4760   167000 SH       SOLE                   167000        0
0
VODAFONE GROUP PLC SPONSORED A COM              92857T107     1847     9835 SH       SOLE                     9835        0
0
WADDELL & REED FINL INC CL A   COM              930059100      818    39900 SH       SOLE                    39900        0
0
WAL MART STORES INC            COM              931142103    40563   880000 SH       SOLE                   880000        0
0
WARNER LAMBERT CO              COM              934488107    35378   534000 SH       SOLE                   534000        0
0
WATKINS JOHNSON CO COM         COM              942486101      498    22000 SH       SOLE                    22000        0
0
WATTS INDS INC CL A            COM              942749102     2807   207000 SH       SOLE                   207000        0
0
WEIDER NUTRITION INTL INC CL A COM              948603105      569   119700 SH       SOLE                   119700        0
0
WESTERN WIRELESS CORP-CL A     COM              95988E204     5655   156000 SH       SOLE                   156000        0
0
WHITMAN CORP                   COM              96647K102    29770  1732100 SH       SOLE                  1732100        0
0
WHITMAN ED GROUP INC COM       COM              966524100       83    22000 SH       SOLE                    22000        0
0
WHX CORP COM                   COM              929248102     1819   231000 SH       SOLE                   231000        0
0
WHX CORP CONV PFD A            CONVERTIBLE PREF 929248201     1943    56000 SH       SOLE                    56000        0
0
WHX CORP CONV PFD B            CONVERTIBLE PREF 929248300     1944    54000 SH       SOLE                    54000        0
0
WILEY JOHN & SONS INC CL B     COM              968223305      262     6400 SH       SOLE                     6400        0
0
WINSTAR COMMUNICATIONS INC     COM              975515107      385    10602 SH       SOLE                    10602        0
0
WOLVERINE WORLD WIDE INC COM   COM              978097103      703    74000 SH       SOLE                    74000        0
0
WORLDCORP INC 7.000% 05/15/04  CONVERTIBLE BOND 981904AB1       22   140000 PRN      SOLE                   140000        0
0
WRIGLEY WM JR CO               COM              982526105    13837   153000 SH       SOLE                   153000        0
0
WYNN'S INTL INC                COM              983195108     6975   400000 SH       SOLE                   400000        0
0
XYLAN CORP COM                 COM              984151100    22316   606200 SH       SOLE                   606200        0
0
YOUNG BROADCASTING INC CL A    COM              987434107     1620    35500 SH       SOLE                    35500        0
0
YOUNG & RUBICAM                COM              987425105     3961    97200 SH       SOLE                    97200        0
0
YPF SOCIEDAD ANONIMA SA D CVSP COM              984245100      316    10000 SH       SOLE                    10000        0
0
</TABLE>

SEC13F.LNS                   GAMCO INVESTORS, INC.
                             FORM 13F SUMMARY PAGE
                                 AS OF DATE: 03/31/99 RUN DATE: 05/14/99

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:

FORM 13F INFORMATION TABLE ENTRY TOTAL:  1,195

FORM 13F INFORMATION TABLE VALUE TOTAL:   $13,821,818,000









LIST OF OTHER INCLUDED MANAGERS

NO.   13F FILE NUMBER      NAME

01      28-1887   GABELLI FUNDS, LLC
















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