DELTEC ASSET MANAGEMENT CORP /NY/ /ADV
13F-HR, 1999-11-09
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<PAGE>

                          UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                     WASHINGTON, D.C.  20549

                            Form 13F

                       Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 1999

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

Institutional Investment Manager Filing this Report:

Name:    Deltec Asset Management Corp.
Address: 645 Fifth Avenue
         New York, New York  10022


Form 13F File Number: 28-4706

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Stephen Zupello
Title:   Managing Director and Chief Operating Officer
Phone:   (212) 546-6285

Signature, Place, and Date of Signing:


   /s/ Stephen Zupello     New York, New York   November 9, 1999
       [Signature]           [City, State]           [Date]

Report Type (Check only one.):

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




<PAGE>

[  ]     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).)

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

         Form 13F File Number     Name

         28-
         [Repeat as necessary.]



<PAGE>

                      Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:          0

Form 13F Information Table Entry Total:     299

Form 13F Information Table Value Total:     $221,039
                                              [thousands]


List of Other Included Managers:


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

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

         No.       Form 13F File Number     Name

                   28-

         [Repeat as necessary.]



<PAGE>

<TABLE>
                   Form 13F INFORMATION TABLE

<CAPTION>
   COLUMN 1        COLUMN 2      COLUMN 3      COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7        COLUMN 8
   ---------       --------      --------      --------       --------        --------  --------        --------

                    TITLE         CUSIP       VALUE      SHRS OR  SH/  PUT/              OTHER     (a)      (b)    (c)
NAME OF ISSUER      OF CLASS      NUMBER      ($000'S)   PRN AMT  PRN  CALL   INV DSC   MANAGERS   SOLE   SHARED   NONE
- --------------      --------      ------      ------     -------  ---  ----   -------   --------   ----   ------   ----

<S>                 <C>           <C>         <C>        <C>       <C>  <C>   <C>       <C>        <C>    <C>      <C>


24/7 Media, Inc.    Common Stock  901314104      123      3,250     SH  n/a    sole                 3,250
A.H. Belo Corp -
  Ser A             Common Stock  080555105      478     25,000     SH  n/a    sole                25,000
Abbott
   Laboratories     Common Stock  002824100       37      1,000     SH  n/a    sole                 1,000
About.com, Inc.     Common Stock  003736105      283      5,000     SH  n/a    sole                 5,000
Advanced Photonix
  Inc - CL A        Common Stock  00754E107       11     20,000     SH  n/a    sole                20,000
Advanta Corp -
  Cl B              Common Stock  007942204        6        500     SH  n/a    sole                   500
Aegon N.V. -
  American
  Regd Shr          Common Stock  007924103        5         54     SH  n/a    sole                    54
Aeroflex Inc        Common Stock  007768104    5,334    437,650     SH  n/a    sole               437,650
Aetna Life &
  Casualty Co       Common Stock  008117103       12        244     SH  n/a    sole                   244
Agnico Eagle
  Mines Ltd COM     Common Stock  008474108       85     11,000     SH  n/a    sole                11,000
Agribiotech Inc     Common Stock  008494106       61     15,000     SH  n/a    sole                15,000
Alliant Energy
  Corp              Common Stock  018802108       58      2,100     SH  n/a    sole                 2,100
Allied Irish
  Banks -
  Spns ADR          Common Stock  019228402        3        100     SH  n/a    sole                   100
Allstate Corp       Common Stock  020002101       62      2,490     SH  n/a    sole                 2,490
America Online
  Inc               Common Stock  02364J104    3,027     29,105     SH  n/a    sole                29,105
American Express
  Company           Common Stock  025816109      135      1,000     SH  n/a    sole                 1,000
American Home
  Products          Common Stock  026609107    1,627     39,200     SH  n/a    sole                39,200
American
  International
  Group Inc         Common Stock  026874107    3,389     38,987     SH  n/a    sole                38,987



<PAGE>

American Telephone
  & Telegraph Co    Common Stock  001957109      218      5,000     SH  n/a    sole                 5,000
Amgen Inc           Common Stock  031162100      265      3,250     SH  n/a    sole                 3,250
AMR Corp/Del        Common Stock  001765106      109      2,000     SH  n/a    sole                 2,000
Anadarko
Petroleum Corp      Common Stock  032511107      554     18,128     SH  n/a    sole                18,128
Anheuser-Busch
 Cos Inc            Common Stock  035229103      455      6,500     SH  n/a    sole                 6,500
Apple Computer Inc  Common Stock  037833100       13        200     SH  n/a    sole                   200
Aquarion Co.        Common Stock  03838W101      113      3,150     SH  n/a    sole                 3,150
Aracruz Celulose
 SA - Spns ADR      Common Stock  038496204       71      3,400     SH  n/a    sole                 3,400
Ariel Corp          Common Stock  04033M104       37      9,000     SH  n/a    sole                 9,000
Asia Pulp & Paper
 - Wts              Common Stock  04516V209        0        400     SH  n/a    sole                   400
Asia Pulp & Paper
 Ltd Sponsored Adr  Common Stock  04516V100       18      3,000     SH  n/a    sole                 3,000
Astrazeneca Plc
 - Spons ADR        Common Stock  046353108    2,746     65,000     SH  n/a    sole                65,000
At Home Corp Ser A  Common Stock  045919107       17        400     SH  n/a    sole                   400
AT&T Liberty
 Media - A          Common Stock  001957208      321      8,616     SH  n/a    sole                 8,616
Atlas Air Inc       Common Stock  049164106    3,772    172,455     SH  n/a    sole               172,455
Autotote Corp
 - CL A             Common Stock  053323101      734    279,770     SH  n/a    sole               279,770
Avon Products Inc   Common Stock  054303102       74      3,000     SH  n/a    sole                 3,000
AXA Financial Inc.  Common Stock  002451102      474      8,500     SH  n/a    sole                 8,500
Azurix Corp         Common Stock  05501M104       77      4,500     SH  n/a    sole                 4,500
Barrick Gold Corp   Common Stock  067901108       90      4,122     SH  n/a    sole                 4,122
BE Aerospace Inc    Common Stock  073302101      402     33,700     SH  n/a    sole                33,700
Bellsouth Corp      Common Stock  079860102      113      2,520     SH  n/a    sole                 2,520
Benchmark
  Electronics, Inc. Common Stock  08160H101    5,413    153,300     SH  n/a    sole               153,300
Berkshire Hathaway
  Inc - Cl A        Common Stock  084670108      110          2     SH  n/a    sole                     2
Berkshire Hathaway
  Inc - CL B        Common Stock  084670207        2          1     SH  n/a    sole                     1
Berry Petroleum
  - CL A            Common Stock  085789105        2        132     SH  n/a    sole                   132
Bestfoods           Common Stock  08658U101       84      1,740     SH  n/a    sole                 1,740
BIOGEN INC          Common Stock  090597105       39        500     SH  n/a    sole                   500
BP Amoco PLC
  Spons ADR         Common Stock  055622104       84        756     SH  n/a    sole                   756
Bristol-Myers
  Squibb Co.        Common Stock  110122108      741     10,980     SH  n/a    sole                10,980
Broadway Financial
  Corp/Del          Common Stock  111444105    1,603    233,131     SH  n/a    sole               233,131
Brookline Bancorp,
  Inc.              Common Stock  113739106      509     50,000     SH  n/a    sole                50,000



<PAGE>

Cadbury Schweppes
  PLC - Sp ADR      Common Stock  127209302      138      5,000     SH  n/a    sole                 5,000
Cadence Design
  System Inc        Common Stock  127387108      967     73,000     SH  n/a    sole                73,000
Canadian Imperial
  Bank of Commerce  Common Stock  136069101       39      2,000     SH  n/a    sole                 2,000
Carson Inc - CL A   Common Stock  145845103       55     19,000     SH  n/a    sole                19,000
CBS Corporation     Common Stock  12490K107       83      1,800     SH  n/a    sole                 1,800
CD Radio, Inc.      Common Stock  125127100    3,867    151,650     SH  n/a    sole               151,650
Celadon Group Inc   Common Stock  150838100    2,510    329,211     SH  n/a    sole               329,211
Celestica, Inc.     Common Stock  15101Q108    4,064     82,300     SH  n/a    sole                82,300
Cemex SA - Spns ADR Common Stock  151290889      251     10,384     SH  n/a    sole                10,384
CFS Bancorp Inc     Common Stock  12525D102      658     63,000     SH  n/a    sole                63,000
Chase Manhattan
  Corp New          Common Stock  16161A108       64        850     SH  n/a    sole                   850
Chemdex Corp.       Common Stock  163595101       15        500     SH  n/a    sole                   500
Chevron Corp        Common Stock  166751107       16        175     SH  n/a    sole                   175
China Eastern
  Airlines - ADR    Common Stock  16937R104      295     25,500     SH  n/a    sole                25,500
China Southern
  Air - ADR         Common Stock  169409109      287     25,800     SH  n/a    sole                25,800
Chirex Inc.         Common Stock  170038103       62      2,400     SH  n/a    sole                 2,400
Chubb Corp.         Common Stock  171232101       90      1,800     SH  n/a    sole                 1,800
Cisco Systems Inc   Common Stock  17275R102    1,811     26,410     SH  n/a    sole
CIA Paranaense
  de Energia Spon
  ADR Pf            Common Stock  20441B407    1,964    299,200     SH  n/a    sole               299,200
Citigroup Inc       Common Stock  172967101    4,455    101,245     SH  n/a    sole               101,245
City Investing
  Co. Liquidating
  Trust             Common Stock  177900107      320    250,000     SH  n/a    sole               250,000
Clarent Corp.       Common Stock  180461105       51      1,000     SH  n/a    sole                 1,000
CMGI Inc            Common Stock  125750109       21        200     SH  n/a    sole                   200
Coca-Cola Company   Common Stock  191216100      733     15,260     SH  n/a    sole                15,260
Cohoes Bancorp      Common Stock  192513109       99      8,500     SH  n/a    sole                 8,500
Colgate Palmolive
  Co.               Common Stock  194162103      503     11,000     SH  n/a    sole                11,000
Companhia
  Brazileira
  Distribuicao-ADR  Common Stock  20440T201      793     40,000     SH  n/a    sole                40,000
Compaq Computer
  Corp              Common Stock  204493100       61      2,670     SH  n/a    sole                 2,670
Concentric Network
  Corp.             Common Stock  20589R107       20      1,000     SH  n/a    sole                 1,000
Concord Camera Corp Common Stock  206156101    5,802    672,735     SH  n/a    sole               672,735
Concord
  Communications
  Inc.              Common Stock  206186108       80      2,000     SH  n/a    sole                 2,000
Conectiv Inc        Common Stock  206829103        4        205     SH  n/a    sole                   205



<PAGE>

Constellation
  Energy Group      Common Stock  210371100        7        246     SH  n/a    sole                   246
Corn Products
  International Inc Common Stock  219023108       59      1,935     SH  n/a    sole                 1,935
Costco Wholesale
   Corp             Common Stock  22160K105      893     12,400     SH  n/a    sole                12,400
Cypress
  Semiconductors
  Corp.             Common Stock  232806109    7,581    352,600     SH  n/a    sole               352,600
Dell Computer Corp  Common Stock  247025109      231      5,535     SH  n/a    sole                 5,535
Delphi Automotive
  Systems           Common Stock  247126105       11        699     SH  n/a    sole                   699
Digital Island Inc. Common Stock  25385N101      182      7,000     SH  n/a    sole                 7,000
Digital Lightware,
  Inc.              Common Stock  253855100      492     69,000     SH  n/a    sole                69,000
DII Group Inc       Common Stock  232949107    1,302     37,000     SH  n/a    sole                37,000
Doubleclick Inc     Common Stock  258609304       12        100     SH  n/a    sole                   100
Dreyfus Strategic
  Municipals Inc    Common Stock  261932107        0         53     SH  n/a    sole                    53
Dupont Denemours
  & Co              Common Stock  263534109      109      1,788     SH  n/a    sole                 1,788
Earthshell Corp.    Common Stock  27032B100        4      1,000     SH  n/a    sole                 1,000
Eastman Chemical
  Company           Common Stock  277432100       14        347     SH  n/a    sole                   347
Eastman Kodak Co    Common Stock  277461109      166      2,200     SH  n/a    sole                 2,200
Eaton Vance Nat'l
  Municipal Income
  Tr.               Common Stock  27826U108       82      6,500     SH  n/a    sole                 6,500
EFTC Corporation    Common Stock  268443108    4,740  1,318,870     SH  n/a    sole             1,318,870
Electronics Arts
  Inc               Common Stock  285512109       58        800     SH  n/a    sole                   800
Eli Lilly & Company Common Stock  532457108    2,496     39,000     SH  n/a    sole                39,000
Embratel
  Participacoes
  SA - Spns ADR     Common Stock  29081N100      114     10,000     SH  n/a    sole                10,000
EMC Corp / Mass     Common Stock  268648102        2         25     SH  n/a    sole                    25
Emerson Electric
  & Co              Common Stock  291011104       28        450     SH  n/a    sole                   450
Encal Energy Ltd    Common Stock  29250D107        4        763     SH  n/a    sole                   763
Enron Corp          Common Stock  293561106      210      5,100     SH  n/a    sole                 5,100
Ensco International
  Inc               Common Stock  26874Q100       54      3,000     SH  n/a    sole                 3,000
Estee Lauder
  Companies Cl A    Common Stock  518439104       23        600     SH  n/a    sole                   600
E'Town Corp         Common Stock  269242103       45        900     SH  n/a    sole                   900
Excaliber
  Technologies
  Corp.             Common Stock  300651205        3        400     SH  n/a    sole                   400



<PAGE>

Extreme Networks,
  Inc.              Common Stock  30226D106       25        400     SH  n/a    sole                   400
Exxon Corp          Common Stock  302290101      311      4,100     SH  n/a    sole                 4,100
FDX Corporation     Common Stock  31304N107    1,473     38,000     SH  n/a    sole                38,000
Federal Mogul Corp  Common Stock  313549107       28      1,000     SH  n/a    sole                 1,000
Federal National
  Mortgage
  Association       Common Stock  313586109      213      3,400     SH  n/a    sole                 3,400
First Community
  Financial Corp.
  - NC              Common Stock  31984M106       99      6,000     SH  n/a    sole                 6,000
First Place
  Financial/Ohio    Common Stock  33610T109       91      8,000     SH  n/a    sole                 8,000
First Security
  Fed Finl Inc.     Common Stock  336392105       98      9,000     SH  n/a    sole                 9,000
First Virginia
  Banks, Inc.       Common Stock  337477103       39        900     SH  n/a    sole                   900
Firstcom Corp.      Common Stock  33763T104      100     10,000     SH  n/a    sole                10,000
Flanders
  Corporation       Common Stock  338494107    2,044    788,100     SH  n/a    sole               788,100
Ford Motor Company  Common Stock  345370100       88      1,750     SH  n/a    sole                 1,750
Forest
  Laboratories Inc  Common Stock  345838106    1,529     36,290     SH  n/a    sole                36,290
Franklin Resources
  Inc               Common Stock  354613101    2,506     81,500     SH  n/a    sole                81,500
Frequency
  Electronics Inc   Common Stock  358010106       95     10,250     SH  n/a    sole                10,250
Gainsco, Inc.       Common Stock  363127101       62     10,000     SH  n/a    sole                10,000
Genelabs
  Technologies Inc  Common Stock  368706107       59     20,833     SH  n/a    sole                20,833
General Electric
  Co.               Common Stock  369604103      403      3,400     SH  n/a    sole                 3,400
General Motors Corp Common Stock  370442105      787     12,500     SH  n/a    sole                12,500
Genzyme Corp        Common Stock  372917104       61      1,350     SH  n/a    sole                 1,350
Genzyme Surgical
  Products          Common Stock  372917609        1        241     SH  n/a    sole                   241
Genzyme
  Transgenics Corp  Common Stock  37246E105        4        600     SH  n/a    sole                   600
Gillette Co.        Common Stock  375766102    1,239     36,500     SH  n/a    sole                36,500
Global Telesystems
  Group Inc         Common Stock  37936U104    6,212    315,025     SH  n/a    sole               315,025
Goldman Sachs
  Group, Inc.       Common Stock  38141G104       12        200     SH  n/a    sole                   200
Great China Fund
  Inc               Common Stock  39167B102        3        416     SH  n/a    sole                   416
Grupo Televisa
  SA - GDR          Common Stock  40049J206    3,794     95,000     SH  n/a    sole                95,000



<PAGE>

GST
  Telecommuni-
  cations Inc       Common Stock  361942105       25      3,500     SH  n/a    sole                 3,500
GTE Corp            Common Stock  362320103       31        400     SH  n/a    sole                   400
Gulf Canada
  Resources Ltd     Common Stock  40218L305       17      4,000     SH  n/a    sole                 4,000
Home Depot Inc      Common Stock  437076102      714     10,400     SH  n/a    sole                10,400
Homestake Mining
  Co.               Common Stock  437614100       18      2,000     SH  n/a    sole                 2,000
Idexx Laboratories
  Inc               Common Stock  45168D104      368     21,351     SH  n/a    sole                21,351
Ilex Oncology, Inc. Common Stock  451923106       51      4,125     SH  n/a    sole                 4,125
Inco Ltd.           Common Stock  453258402       35      1,650     SH  n/a    sole                 1,650
Intel Corp          Common Stock  458140100      225      3,030     SH  n/a    sole                 3,030
Interliant, Inc.    Common Stock  458742103    1,307    109,500     SH  n/a    sole               109,500
Intermedia
  Communications
  Inc               Common Stock  458801107       33      1,500     SH  n/a    sole                 1,500
International
  Business Machines
  Corp              Common Stock  459200101    1,748     14,400     SH  n/a    sole                14,400
Ireland Bank  ADR   Common Stock  46267Q103        7        200     SH  n/a    sole                   200
Irsa Inversiones y
  Representaciones
  AD                Common Stock  450047204        0          0     SH  n/a    sole                    -
ITT Hartford Group
  Inc               Common Stock  416515104       22        526     SH  n/a    sole                   526
ITT Industries Inc  Common Stock  450911102       16        488     SH  n/a    sole                   488
J.D. Edwards & Co.  Common Stock  281667105       18        850     SH  n/a    sole                   850
J.P. Morgan & Co
  Inc               Common Stock  616880100      144      1,260     SH  n/a    sole                 1,260
Jabil Circuit Inc.  Common Stock  466313103    2,334     47,150     SH  n/a    sole                47,150
Jackpot Enterprises
  Inc               Common Stock  466392107        0         10     SH  n/a    sole                    10
JMAR Industries
  Inc COM           Common Stock  466212107       36     22,000     SH  n/a    sole                22,000
Johnson & Johnson   Common Stock  478160104    3,187     34,688     SH  n/a    sole                34,688
Jones Apparel
  Group Inc         Common Stock  480074103      271      9,432     SH  n/a    sole                 9,432
Kansas City
  Southern
  Industries, Inc.  Common Stock  485170104       98      2,100     SH  n/a    sole                 2,100
Key Energy
  Services, Inc.    Common Stock  492914106       22      4,500     SH  n/a    sole                 4,500
Kimberly Clark Corp Common Stock  494368103       11        200     SH  n/a    sole                   200
Koninklijke
  Philips
  Electronics
  - NY S            Common Stock  500472204    5,841     57,828     SH  n/a    sole                57,828



<PAGE>

Korea Telecom
  Corp - Spns ADR   Common Stock  50063P103    1,147     31,000     SH  n/a    sole                31,000
Korean Investment
  Fund Inc          Common Stock  500637103      103     16,000     SH  n/a    sole                16,000
Kyzen Corp - CL A   Common Stock  501596100        2      3,000     SH  n/a    sole                 3,000
Legg Mason, Inc.    Common Stock  524901105      153      4,000     SH  n/a    sole                 4,000
Lehman Brothers
  Holdings Inc      Common Stock  524908100       12        200     SH  n/a    sole                   200
Level 3
  Communications
  Inc               Common Stock  52729N100      157      3,000     SH  n/a    sole                 3,000
Lincoln Bancorp     Common Stock  532879103       83      7,000     SH  n/a    sole                 7,000
LNR Property Corp   Common Stock  501940100       20      1,000     SH  n/a    sole                 1,000
Lockheed Martin
  Corporation       Common Stock  539830109       49      1,500     SH  n/a    sole                 1,500
Lucent
  Technologies Inc  Common Stock  549463107      176      2,708     SH  n/a    sole                 2,708
Magyar Tavkozlesi
  RT - ADR          Common Stock  559776109      409     15,000     SH  n/a    sole                15,000
May Dept. Stores
  Co. COM           Common Stock  577778103        0          6     SH  n/a    sole                     6
MCI Worldcom Inc    Common Stock  55268B106    2,834     39,435     SH  n/a    sole                39,435
McKesson HBOC Inc   Common Stock  58155Q103       35      1,200     SH  n/a    sole                 1,200
McMoran
  Exploration Co.   Common Stock  582411104        2         93     SH  n/a    sole                    93
Merck & Co          Common Stock  589331107    3,228     49,805     SH  n/a    sole                49,805
Merrill Lynch &
  Co Inc            Common Stock  590188108    4,216     62,750     SH  n/a    sole                62,750
Metal Management
  Inc               Common Stock  591097100      235    160,000     SH  n/a    sole               160,000
MGC Communications,
  Inc.              Common Stock  552763302    1,370     66,000     SH  n/a    sole                66,000
Micron Technology
  Inc               Common Stock  595112103      126      1,900     SH  n/a    sole                 1,900
Microsoft Corp      Common Stock  594918104    1,569     17,320     SH  n/a    sole                17,320
Mirage Resorts,
  Inc.              Common Stock  60462E104        7        500     SH  n/a    sole                   500
Mitchell Energy &
  Development-CL A  Common Stock  606592202       20        800     SH  n/a    sole                   800
Mitchell Energy &
  Development-CL B  Common Stock  606592301       19        800     SH  n/a    sole                   800
MMC Networks Inc.   Common Stock  55308N102      179      5,750     SH  n/a    sole                 5,750
Mony Group Inc.     Common Stock  615337102      635     22,000     SH  n/a    sole                22,000
Morgan Stanley
  Dean Witter
  Discovery C       Common Stock  617446448    3,948     44,268     SH  n/a    sole                44,268
National
  Semiconductor
  Corp              Common Stock  637640103      305     10,000     SH  n/a    sole                10,000



<PAGE>

National Techteam,
  Inc.              Common Stock  638108100      243     52,500     SH  n/a    sole                52,500
Neoprobe Corp       Common Stock  640518106        2      2,500     SH  n/a    sole                 2,500
Network Solutions
  Inc Cl A          Common Stock  64121Q102       92      1,000     SH  n/a    sole                 1,000
Newmont Mining Corp Common Stock  651639106      144      5,580     SH  n/a    sole                 5,580
Northeast
  Pennsylvania
  Fin'l.            Common Stock  663905107       93      9,000     SH  n/a    sole                 9,000
Optimal Robotics
  Corp              Common Stock  68388R208       68      3,800     SH  n/a    sole                 3,800
Orbital Engine
  Corp Ltd - ADR    Common Stock  685563306        3      1,000     SH  n/a    sole                 1,000
OSI
  Pharmaceuticals,
  Inc.              Common Stock  671040103       34      6,000     SH  n/a    sole                 6,000
Paine Webber
  Group Inc         Common Stock  695629105    1,876     51,750     SH  n/a    sole                51,750
P-Com Inc.          Common Stock  693262107       21      3,000     SH  n/a    sole                 3,000
Peapod Inc          Common Stock  704718105      101     10,000     SH  n/a    sole                10,000
Pepsico, Inc.       Common Stock  713448108       86      2,850     SH  n/a    sole                 2,850
Petroleum Geo-
  Services - Spns
  ADR               Common Stock  716597109      991     52,000     SH  n/a    sole                52,000
Pfizer Inc          Common Stock  717081103    4,742    131,940     SH  n/a    sole               131,940
Philip Morris
  Companies Inc     Common Stock  718154107      103      3,000     SH  n/a    sole                 3,000
Phillips Petroleum
  Co.               Common Stock  718507106       73      1,500     SH  n/a    sole                 1,500
Phosphate Resources
  Partners          Common Stock  719217101       15      1,500     SH  n/a    sole                 1,500
Placer Dome Inc.
  COM               Common Stock  725906101      143      9,639     SH  n/a    sole                 9,639
PNC Financial Corp  Common Stock  693475105      168      3,186     SH  n/a    sole                 3,186
Pohang Iron & Steel
  - Adr             Common Stock  730450103      304      9,700     SH  n/a    sole                 9,700
Premier Laser
  Systems Inc -
  CL A              Common Stock  740522107       12      4,000     SH  n/a    sole                 4,000
Prison Realty Corp  Common Stock  74264N105    6,396    594,943     SH  n/a    sole               594,943
Procter & Gamble Co Common Stock  742718109      281      3,000     SH  n/a    sole                 3,000
Provident American
  Corp              Common Stock  743832107       15      1,000     SH  n/a    sole                 1,000
Qualcomm, Inc.      Common Stock  747525103       57        300     SH  n/a    sole                   300
Qwest
  Communications
  Intl              Common Stock  749121109    2,126     71,900     SH  n/a    sole                71,900
Ranger Oil Ltd      Common Stock  752805101        4      1,000     SH  n/a    sole                 1,000
Rdeback Networks    Common Stock  757209101       22        200     SH  n/a    sole                   200
Read - Rite Corp    Common Stock  755246105        9      2,000     SH  n/a    sole                 2,000



<PAGE>

Restoration
  Hardware Inc      Common Stock  760981100        8      1,000     SH  n/a    sole                 1,000
Robert Half
  Int'l., Inc.      Common Stock  770323103      144      6,000     SH  n/a    sole                 6,000
Rogers
  Communications -
  CL B              Common Stock  775109200       37      2,200     SH  n/a    sole                 2,200
Royal Bank of
  Scotland Ser C
  PFD               Common Stock  780097408       50      2,000     SH  n/a    sole                 2,000
Royal Dutch
  Petro - NY Shares Common Stock  780257804      328      5,550     SH  n/a    sole                 5,550
RPM Inc - Ohio      Common Stock  749685103       12      1,000     SH  n/a    sole                 1,000
Sabre Holdings
  Corp.             Common Stock  785905100      260      6,000     SH  n/a    sole                 6,000
Safeguard
  Scientifics, Inc. Common Stock  786449108       68      1,000     SH  n/a    sole                 1,000
Saks Holdings Inc   Common Stock  79377W108      872     57,400     SH  n/a    sole                57,400
SBC Communications
  Inc               Common Stock  78387G103      694     13,600     SH  n/a    sole                13,600
SCI Systems Inc     Common Stock  783890106       33        750     SH  n/a    sole                   750
Sea Containers
  Ltd - Cl A        Common Stock  811371707      678     24,200     SH  n/a    sole                24,200
Sea Containers
  Ltd Cl B          Common Stock  811371103      415     14,600     SH  n/a    sole                14,600
Sears Roebuck
  & Co.             Common Stock  812387108       42      1,344     SH  n/a    sole                 1,344
Sepracor Inc        Common Stock  817315104       39        520     SH  n/a    sole                   520
Seven Seas
  Petroleum Corp    Common Stock  817917107        6      3,000     SH  n/a    sole                 3,000
Shaw
  Communications
  Inc - CL B        Common Stock  82028K200       91      3,300     SH  n/a    sole                 3,300
Smart Modular
  Technologies Inc  Common Stock  831690102       10        300     SH  n/a    sole                   300
Smithkline
  Beecham Plc - ADR Common Stock  832378301    3,481     60,400     SH  n/a    sole                60,400
St Jude Medical,
  Inc.              Common Stock  790849103      630     20,000     SH  n/a    sole                20,000
Star Gas Partners
  L.P.              Common Stock  85512C105        4        240     SH  n/a    sole                   240
State Street
  Boston Corp       Common Stock  857477103    2,381     36,850     SH  n/a    sole                36,850
Staten Island
  Bancorp Inc       Common Stock  857550107      219     11,617     SH  n/a    sole                11,617
Stolt Comex
  Seaway S.A.
  ADR CLASS A       Common Stock  861567105        7        660     SH  n/a    sole                   660



<PAGE>

Suburban Lodges
  of America        Common Stock  864444104      100     17,500     SH  n/a    sole                17,500
Suiza Foods Corp    Common Stock  865077101       38      1,000     SH  n/a    sole                 1,000
Systems & Computer
  Tech Corp.        Common Stock  871873105       21      1,700     SH  n/a    sole                 1,700
T. Rowe Price
  Associates        Common Stock  741477103      192      7,000     SH  n/a    sole                 7,000
TCBY Enterprises
  Inc               Common Stock  872245105        5      1,000     SH  n/a    sole                 1,000
Tele Centro Sul
  Participacoes
  SA - ADR          Common Stock  879239101      833     15,000     SH  n/a    sole                15,000
Tele Norte Leste
  Participacoes -
  ADR               Common Stock  879246106    5,286    341,000     SH  n/a    sole               341,000
Telebras - Spns
  ADR Pfd Block
  (TBH)             Common Stock  879287308    9,725    129,775     SH  n/a    sole               129,775
Telecommunicaoes
  Brasileiras
  SA Adr            Common Stock  879287100        7    220,625     SH  n/a    sole               220,625
Telekomunik
  Indonesia -
  Spns ADR          Common Stock  715684106       53      7,600     SH  n/a    sole                 7,600
Teleponos
  De Mexico
  SA ADR L          Common Stock  879403780    2,829     39,700     SH  n/a    sole                39,700
Telesp
  Participacoes
  SA - ADR          Common Stock  87952K100    1,134     72,000     SH  n/a    sole                72,000
Templeton Dragon
  Fund Inc          Common Stock  88018T101      540     64,420     SH  n/a    sole                64,420
Texas Instruments
  Inc               Common Stock  882508104       82      1,000     SH  n/a    sole                 1,000
Texas Utilities Co  Common Stock  882848104       10        275     SH  n/a    sole                   275
The Walt Disney Co. Common Stock  254687106      168      6,500     SH  n/a    sole                 6,500
Thoratec Labs Corp  Common Stock  885175307      118     15,410     SH  n/a    sole                15,410
Ticketmaster
  Online-Citysearch
  - CL B            Common Stock  88633P203        5        200     SH  n/a    sole                   200
Tiffany & Co New    Common Stock  886547108      120      2,000     SH  n/a    sole                 2,000
Time Warner Inc     Common Stock  887315109    1,236     20,350     SH  n/a    sole                20,350
Transkaryotic
  Therapies Inc     Common Stock  893735100       51      1,000     SH  n/a    sole                 1,000
Transwitch Corp     Common Stock  894065101       43        750     SH  n/a    sole                   750
Trico Marine
  Services Inc      Common Stock  896106101       42      5,050     SH  n/a    sole                 5,050
Tricom SA -
  Sponsored ADR     Common Stock  89612A100       16      2,000     SH  n/a    sole                 2,000



<PAGE>

Triquint
  Semiconductor Inc Common Stock  89674K103       31        550     SH  n/a    sole                   550
TRM Copy Centers
  Corp              Common Stock  872636105      146     26,600     SH  n/a    sole                26,600
Troy Financial
  Corp.             Common Stock  897329108       97      9,000     SH  n/a    sole                 9,000
Tubos De Acero
  De Mexico SA ADR  Common Stock  898592506       29      2,375     SH  n/a    sole                 2,375
Tyco Int'l. Ltd.    Common Stock  902124106    5,845     56,610     SH  n/a    sole                56,610
Unibanco -
  Sponsored GDR     Common Stock  90458E107    1,539     87,000     SH  n/a    sole                87,000
Unilever NV - NY
  Shares New        Common Stock  904784709      243      3,572     SH  n/a    sole                 3,572
Union Carbide Corp  Common Stock  905581104       57      1,000     SH  n/a    sole                 1,000
United Global
  Com Inc - CL A    Common Stock  913247508    3,012     42,050     SH  n/a    sole                42,050
Unocal Corp.        Common Stock  915289102      852     23,000     SH  n/a    sole                23,000
Ventas Inc          Common Stock  92276F100       14      3,000     SH  n/a    sole                 3,000
Verio Inc           Common Stock  923433106      187      6,034     SH  n/a    sole                 6,034
Vina Concha Y
  Toro SA - ADR     Common Stock  927191106       23        600     SH  n/a    sole                   600
Vitro S.A. -
  Spns ADR          Common Stock  928502301       21      5,000     SH  n/a    sole                 5,000
Vivus Inc           Common Stock  928551100        3      1,100     SH  n/a    sole                 1,100
Vodafone
  Airtouch
  PLC - Spons ADR   Common Stock  92857T107        0          0     SH  n/a    sole                       -
Voyager.net, Inc.   Common Stock  92906W101    4,420    505,090     SH  n/a    sole               505,090
Wal-Mart Stores Inc Common Stock  931142103       95      2,000     SH  n/a    sole                 2,000
Washington
  Mutual, Inc.      Common Stock  939322103        9        300     SH  n/a    sole                   300
Watson
  Pharmaceuticals
  Inc               Common Stock  942683103      949     31,050     SH  n/a    sole                31,050
WEBS Japan Index
  Series            Common Stock  92923H889       24      1,725     SH  n/a    sole                 1,725
Wellsford Real
  Properties        Common Stock  950240101        0         44     SH  n/a    sole                    44
Wisconsin Energy
  Corp              Common Stock  976657106       49      2,100     SH  n/a    sole                 2,100
Wit Capital
  Group Inc.        Common Stock  97737K309        9        500     SH  n/a    sole                   500
WorldTalk
  Communications
  Corp              Common Stock  98155G101    2,756    658,134     SH  n/a    sole               658,134
Woronoco Bancorp
  Inc.              Common Stock  981630106      203     20,000     SH  n/a    sole                20,000
Wyman Gordon
  Company           Common Stock  983085101    6,727    359,950     SH  n/a    sole               359,950
Yahoo Inc           Common Stock  984332106      197      1,100     SH  n/a    sole                 1,100
Zenix Income Fund   Common Stock  989414107       35      6,500     SH  n/a    sole                 6,500



<PAGE>

Call SCI Systems
  Jan 045
  Exp 01/22/00      Option        7838909A6      (5)        (7)     SH  n/a    sole                   (7)

ITEM COUNT                            TOTAL $221,039
299









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01552003.AB0



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