KNOTT DAVID M
13F-HR, 2000-11-13
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<PAGE>

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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               Form 13F COVER PAGE

        Report for the Calendar Year or Quarter Ended September 30, 2000
                                                     -------------------

                 Check here if Amendment [ ]: Amendment Number: _________

                        This Amendment (Check only one):

                          |_| is a restatement.

                          |_| adds new holdings entries


Institutional Investment Manager Filing this Report:
Name:   David M. Knott
        ------------------------------------------------------------------------
Address:   485 Underhill Boulevard
           ---------------------------------------------------------------------
           Suite 205
           ---------------------------------------------------------------------
           Syosset, NY  11791
           ---------------------------------------------------------------------
Form 13F File Number: 28-
                         -------------------------------------------------------

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

Person Signing this Report on Behalf of Reporting Manager:
Reporting Manager:
Name:   David M. Knott
       -------------------------------------------------------------------------
Title: Investment Manager
       -------------------------------------------------------------------------
Phone: (516) 364-0303
       -------------------------------------------------------------------------

Signature, Place and Date of Signing:

 /s/ David M. Knott
--------------------------------------------------------------------------------
[Signature]

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

 November 10, 2000
--------------------------------------------------------------------------------
[Date]

Report Type (Check only one.):

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

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

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

                              Form 13F Summary Page

                                 Report Summary:

Number of Other Included Managers:
          0
        ------------------------------------------------------------------------

Form 13F Information Table Entry Total:
          197
        ------------------------------------------------------------------------

Form 13F Information Table Value Total:
        $  319,080                       (thousands)
         -------------------------------

List of Other Included Managers:   NONE




                                                                    Page 2 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3  Column 4   Column 5                     Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class      CUSIP     Value      Shrs or   SH/PRN  Put/Call Investment    Other     Voting Authority
                                                     ($)       prn amt                    discretion  Managers  -------------------
                                                                                                                Sole  Shared   None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>     <C>          <C>         <C>        <C>            <C>                    <C>
Abbott Laboratories           Common  002824100    2,268,731    47,700     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Abbott Laboratories           Common  002824100    1,426,800    30,000     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Ackerly Group Inc.            Common  004527107    1,688,000   168,800     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Ackerly Group Inc.            Common  004527107      917,000    91,700     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Action Performance Co.'s Inc. Common  004933107      114,469    33,300     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Action Performance Co.'s Inc. Common  004933107       20,984     6,100     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Ambac Financial Group Inc.    Common  023139108    7,325,000   100,000     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Ambac Financial Group Inc.    Common  023139108    5,625,600    76,800     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
American Express              Common  025816109    5,048,325    83,100     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
American Express              Common  025816109        9,113       150     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
American Home Products Corp.  Common  026609107      846,562    15,000     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
American Home Products Corp.  Common  026609107      530,536     9,400     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
American Int'l Group Inc.     Common  026874107   21,868,421   228,540     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
American Int'l Group Inc.     Common  026874107   14,218,194   148,586     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Anadarko Petroleum Corp.      Common  032511107    2,654,545    39,942     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Anadarko Petroleum Corp.      Common  032511107    1,698,452    25,556     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Aristotle Corp.               Common  040448201       22,815     3,380     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Astro Power, Inc.             Common  04644A101      499,275    12,600     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Astro Power, Inc.             Common  04644A101      451,668    11,400     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Bank of NY Inc.               Common  064057102   20,566,000   364,000     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Bank of NY Inc.               Common  064057102    9,458,100   167,400     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Bayview Capital Corporation   Common  07262L101      791,200    73,600     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Bayview Capital Corporation   Common  07262L101      511,700    47,600     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Beazer Home's USA Inc.        Common  07556Q105      414,200    15,200     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                                                    Page 3 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of  Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class    CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment    Other     Voting Authority
                                                     ($)       prn amt                    discretion  Managers --------------------
                                                                                                               Sole   Shared   None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>     <C>          <C>         <C>        <C>            <C>                    <C>
Beazer Home's USA Inc.         Common  07556Q105     269,775     9,900     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Bell & Howell Co.              Common  077852101   1,712,812    78,300     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Bell & Howell Co.              Common  077852101   1,130,679    51,700     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Bethlehem Steel Corporation    Common  087509105     235,500    78,500     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Bethlehem Steel Corporation    Common  087509105     154,500    51,500     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Borders Group Inc.             Common  099709107     833,462    59,800     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Borders Group Inc.             Common  099709107     506,022    36,300     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Cereus Technology Partners Inc.Common  15677Q102     195,788    24,100     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Cereus Technology Partners Inc.Common  15677Q102     129,108    15,900     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
CheckFree Holding Corporation  Common  162816102     385,394     9,200     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Children's Place Retail Stores Common  168905107     800,825    31,100     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Coca-Cola Co.                  Common  191216100   1,229,287    22,300     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Columbia Labs Inc.             Common  197779101   2,123,887   365,400     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Columbia Labs Inc.             Common  197779101   2,889,313   497,300     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Connetics Corporation          Common  208192104   5,457,075   226,200     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Connetics Corporation          Common  208192104   3,709,656   153,800     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Conseco Inc.                   Common  208464107     436,150    57,200     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Conseco Inc.                   Common  208464107         191        25     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Copytele Inc.                  Common  217721109      80,206    62,600     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
D.R. Horton Inc.               Common  23331A109     417,777    24,307     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
D.R. Horton Inc.               Common  23331A109     331,647    19,293     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Delphi Automotive Systems Corp.Common  247126105     609,537    40,300     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Delphi Automotive Systems Corp.Common  247126105     338,688    22,400     SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Duramed Pharm. Inc.            Common  266354109     428,347    73,300     SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                                                    Page 4 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of  Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class    CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment    Other     Voting Authority
                                                     ($)       prn amt                    discretion  Managers --------------------
                                                                                                               Sole   Shared   None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>     <C>          <C>         <C>        <C>            <C>                    <C>
Duramed Pharm. Inc.          Common    266354109     272,728    46,700     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Eclipse Surgical
 Technologies Inc.           Common    278849104     482,000   120,500     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Eclipse Surgical
 Technologies Inc.           Common    278849104     318,000    79,500     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Egghead.Com Inc.             Common    282329101      11,550     5,000     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Egghead.Com Inc.             Common    282329101     189,625    82,000     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Eltrax Systems Inc.          Common    925317109     175,987    36,100     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Eltrax Systems Inc.          Common    925317109     116,393    23,900     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Emerson Electric Co.         Common    291011104   2,110,500    31,500     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Emerson Electric Co.         Common    291011104   1,460,600    21,800     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
EntreMed Inc.                Common    29382F103     206,275     7,400     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
EntreMed Inc.                Common    29382F103     139,350     5,000     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Fifth Third  Bancorp         Common    316773100  12,062,774   223,903     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Fifth Third  Bancorp         Common    316773100   8,378,186   155,526     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
First Keystone
 Financial Inc.              Common    320655103     869,200    84,800     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
First Keystone
 Financial Inc.              Common    320655103     448,950    43,800     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Firstar Corp.                Common    33763V109  10,740,000   480,000     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Firstar Corp.                Common    33763V109   7,727,314   345,432     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Fossil Inc.                  Common    349882100      81,206     6,100     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Fossil Inc.                  Common    349882100      51,909     3,900     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Friede Goldman
 Halter, Inc.                Common    358430106     183,625    26,000     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Furniture Brands
 International               Common    360921100   1,009,137    60,700     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Furniture Brands
 International               Common    360921100     658,152    39,600     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
Genesco Inc.                 Common    371532102     872,281    51,500     SH              SOLE                  X
-----------------------------------------------------------------------------------------------------------------------------------
Genesco Inc.                 Common    371532102     572,572    33,800     SH             DEFINED                X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>



                                                                    Page 5 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class       CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment Other      Voting Authority
                                                     ($)        prn amt                    discretion  Managers -------------------
                                                                                                                 Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>     <C>          <C>         <C>        <C>            <C>                    <C>
Gentiva Health
 Services Inc.               Common      37247A102    5,473,575   429,300     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Gentiva Health
 Services Inc.               Common      37247A102    4,034,100   316,400     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Gliatech Inc.                Common      37929C103        6,875     1,100     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Gobal Light
 Telecommunications          Common      37934X100      544,355   105,700     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Gobal Light
 Telecommunications          Common      37934X100      345,050    67,000     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Goldenstar Resources         Convertible 38119TAAZ    1,601,539 1,352,000    PRN               SOLE               X
                             Debentures
-----------------------------------------------------------------------------------------------------------------------------------
Goldenstar Resources         Convertible 38119TAAZ      915,232   773,000    PRN              DEFINED             X
                             Debentures
-----------------------------------------------------------------------------------------------------------------------------------
Goldenstar Resources         Warrants    38119T148       35,152   270,400           Call       SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Goldenstar Resources         Warrants    38119T148       27,248   209,600           Call      DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Gulf Indonesia
 Resources Ltd.              Common      402284103    2,740,500   252,000     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Gulf Indonesia
 Resources Ltd.              Common      402284103    2,569,668   236,400     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Handleman Co.                Common      410252100    1,492,425   120,600     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Handleman Co.                Common      410252100      982,178    79,400     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Hanover
 Compressor Co.              Common      410768105      355,725    10,800     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Hanover
 Compressor Co.              Common      410768105      500,688    15,200     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Haven Bancorp Inc.           Common      419352109    1,865,312    63,500     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Haven Bancorp Inc.           Common      419352109    1,133,682    38,600     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Hollinger
 International Inc.          Common      435569108    5,443,750   325,000     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Hollinger
 International Inc.          Common      435569108    3,376,800   201,600     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Homestead Bancorp. Inc.      Common      437698103      555,000    60,000     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Homestead Bancorp. Inc.      Common      437698103      345,025    37,300     SH              DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Household Int'l Inc.         Common      441815107    3,816,525    67,400     SH               SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>

                                                                       Page 6 of
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class       CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment Other      Voting Authority
                                                     ($)        prn amt                    discretion  Managers -------------------
                                                                                                                 Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>         <C>            <C>         <C>        <C>            <C>                    <C>
Household Int'l Inc.       Common       441815107    1,591,022   28,100     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
Hudson City Bancorp.       Common       443683107          425       25     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
Innovative Solutions
 and Support Inc.          Common       45769N105      157,550    9,200     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
Innovative Solutions
 and Support Inc.          Common       45769N105      116,416    6,800     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
International
 Speedway Corp.            Common       460335201      803,400   20,600     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
International
 Speedway Corp.            Common       460335201      522,600   13,400     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
IVillage Inc.              Common       46588H105      203,825   52,600     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
IVillage Inc.              Common       46588H105      113,004   29,200     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
JCC Holding Co.            Common       46611Q205       42,762   62,200     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
JCC Holding Co.            Common       46611Q205       28,704   41,600     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
J.P. Morgan & Co. Inc.     Common       616880100    1,617,412    9,900     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
J.P. Morgan & Co. Inc.     Common       616880100    1,061,905    6,500     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
Kerr McGee Corp.           Common       492386107    1,179,250   17,800     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
Kerr McGee Corp.           Common       492386107    1,285,250   19,400     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
Keyspan Corporation        Common       49337W100    1,384,312   34,500     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
Keyspan Corporation        Common       49337W100      966,892   24,100     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
LML Payment Systems Inc.   Common       50208P109       95,550   14,700     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
LML Payment Systems Inc.   Common       50208P109       20,800    3,200     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
MBIA, Inc.                 Common       55262C100      547,662    7,700     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
MBIA, Inc.                 Common       55262C100      355,600    5,000     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
Medicis
 Pharmaceutical Corp.      Common       584690309      276,750    4,500     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
Medicis
 Pharmaceutical Corp.      Common       584690309      138,375    2,250     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
Mellon Financial
 Corporation               Common       58551A108    5,518,625  119,000     SH                 SOLE              X
-----------------------------------------------------------------------------------------------------------------------------------
Mellon Financial
 Corporation               Common       58551A108    3,524,120   76,000     SH                DEFINED            X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>



                                                                    Page 7 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class       CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment Other      Voting Authority
                                                     ($)        prn amt                    discretion  Managers -------------------
                                                                                                                 Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>         <C>            <C>         <C>        <C>            <C>                    <C>
Mercury
 General Corp.               Common     589400100    1,217,437   43,000     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Mercury
 General Corp.               Common     589400100      795,511   28,100     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Mesa Air Group Inc.          Common     590479101      399,219   73,000     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Mesa Air Group Inc.          Common     590479101       79,297   14,500     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Methanex Corp.               Common     59151K108    1,726,145  350,700     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Methanex Corp.               Common     59151K108    1,226,556  249,300     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Murphy Oilcorp.              Common     626717102      453,688    7,000     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
MyTurn.com Inc.              Common     628690109      203,147   27,900     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
MyTurn.com Inc.              Common     628690109      124,488   17,100     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Nabi                         Common     628716102      331,800   47,400     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Nabi                         Common     628716102      217,000   31,000     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Nextcard, Inc.               Common     65332K107      371,025   40,800     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Ocean Energy Inc.            Common     67481E106    1,306,650   84,300     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Ocean Energy Inc.            Common     67481E106    1,376,400   88,800     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Oneida Ltd.                  Common     682505102      610,500   44,000     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Oneida Ltd.                  Common     682505102      370,329   26,700     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Osicom Technologies          Common     688271501      445,500   18,000     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Osicom Technologies          Common     688271501      297,000   12,000     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Pediatrix Medical
 Group Inc.                  Common     705324101    1,293,750  100,000     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Pediatrix Medical
 Group Inc.                  Common     705324101      355,850   27,500     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Penwest
 Pharmaceuticals Co.         Common     709754105      435,181   34,300     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Penwest
 Pharmaceuticals Co.         Common     709754105      307,098   24,200     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Per-se
 Technologies Inc.           Common     713569309      780,281   61,500     SH                SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Per-se
 Technologies Inc.           Common     713569309      524,097   41,300     SH               DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                                                    Page 8 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class       CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment Other      Voting Authority
                                                     ($)        prn amt                    discretion  Managers -------------------
                                                                                                                 Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>         <C>            <C>         <C>        <C>            <C>                    <C>
Picturetel Corp.              Common     720035302    2,832,891   402,900     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Picturetel Corp.              Common     720035302    1,822,879   259,300     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Polaroid Corp.                Common     731095105      401,781    29,900     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Polaroid Corp.                Common     731095105      220,416    16,400     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Progressive Corp.             Common     743315103    3,029,375    37,000     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
PYR Energy Corp.              Common     693677106      562,925    97,900     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
PYR Energy Corp.              Common     693677106      277,725    48,300     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Reebok Int'l                  Common     758110100      752,500    40,000     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Rehabilicare Inc.             Common     758944102      658,375   229,000     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Rehabilicare Inc.             Common     758944102      410,410   143,000     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Rite Aid Corp.                Common     767754104      962,000   240,500     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Rite Aid Corp.                Common     767754104          600       150     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Ryder Systems Inc.            Common     783549108      595,531    32,300     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Ryder Systems Inc.            Common     783549108      289,508    15,700     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Salton Inc.                   Common     795757103    1,388,887    42,900     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Salton Inc.                   Common     795757103      666,822    20,600     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Schering Plough Corp.         Common     806605101      954,531    20,500     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Schering Plough Corp.         Common     806605101      628,560    13,500     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Seven Seas Petroleum          Common     817917107      378,600   126,200     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Seven Seas Petroleum          Common     817917107        2,100       700     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Sigma Aldrich Corp.           Common     826552101    1,993,200    60,400     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Sigma Aldrich Corp.           Common     826552101    1,306,800    39,600     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Southwest
 Securities Group             Common     845224104      479,700    16,400     SH              SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Southwest
 Securities Group             Common     845224104      105,300     3,600     SH             DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                                                    Page 9 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer          Class       CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment Other      Voting Authority
                                                     ($)        prn amt                    discretion  Managers -------------------
                                                                                                                 Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>         <C>            <C>         <C>        <C>            <C>                    <C>
Stamps.com Inc.               Common    852857101     417,047   108,500     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Stamps.com Inc.               Common    852857101     234,240    61,000     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Standard
 Pacific Corp.                Common    85375C101   1,265,400    70,300     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Standard
 Pacific Corp.                Common    85375C101     840,600    46,700     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Stone Energy Corp.            Common    861642106   2,948,000    53,600     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Stone Energy Corp.            Common    861642106   1,138,500    20,700     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Sunrise Tech Inc.             Common    86769L103     888,375   123,600     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Sycamore
 Networks Inc.                Common    871206108   1,987,200    18,400     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Talisman Energy Inc.          Common    87425E103     635,020    18,100     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Talisman Energy Inc.          Common    87425E103     768,252    21,900     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Uniview
 Technologies Corp.           Common    915282206     441,166   178,700     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Uniview
 Technologies Corp.           Common    915282206     299,611   121,300     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Unocal Corp.                  Common    915289102   1,701,000    48,000     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Unocal Corp.                  Common    915289102   1,492,024    42,100     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
USA Education Inc.            Common    903900102   1,204,687    25,000     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
USA Education Inc.            Common    903900102     749,355    15,550     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Valassis
 Communications Co.           Common    918866104   1,410,650    63,400     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Valassis
 Communications Co.           Common    918866104     318,175    14,300     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Valence Tech. Inc.            Common    918914102     106,950     6,200     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Valence Tech. Inc.            Common    918914102      67,275     3,900     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Vertel Corporation            Common    924907108     103,600    11,200     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Vertel Corporation            Common    924907108      61,975     6,700     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
Vialog Corp.                  Common    92552X106     528,750    60,000     SH                 SOLE               X
-----------------------------------------------------------------------------------------------------------------------------------
Vialog Corp.                  Common    92552X106     330,375    37,500     SH                DEFINED             X
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>


                                                                   Page 10 of 11
<PAGE>

<TABLE>
<CAPTION>
                          FORM 13F INFORMATION TABLE
-----------------------------------------------------------------------------------------------------------------------------------
                             Column 2
          Column 1           Title of   Column 3    Column 4     Column 5                   Column 6    Column 7          Column 8
-----------------------------------------------------------------------------------------------------------------------------------
      Name of Issuer         Class       CUSIP       Value      Shrs or   SH/PRN  Put/Call Investment Other      Voting Authority
                                                     ($)        prn amt                    discretion  Managers -------------------
                                                                                                                 Sole  Shared  None
-----------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>         <C>            <C>         <C>        <C>            <C>                    <C>
Wells Fargo & Co.            Common     949746101  13,689,375     298,000    SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Wells Fargo & Co.            Common     949746101   8,953,706     194,900    SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Winn Dixie                   Common     974280109     237,187      16,500    SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Xcelera.com Inc.             Common     G31611109     178,600       9,400    SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Xcelera.com Inc.             Common     G31611109     106,400       5,600    SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
Zions Bancorp                Common     989701107   5,114,062     100,000    SH               SOLE                 X
-----------------------------------------------------------------------------------------------------------------------------------
Zions Bancorp                Common     989701107   2,660,610      52,026    SH              DEFINED               X
-----------------------------------------------------------------------------------------------------------------------------------
                             GRAND       TOTAL:   319,079,777  16,747,841
-----------------------------------------------------------------------------------------------------------------------------------
</TABLE>

                                                                   Page 11 of 11


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