DELTEC ASSET MANAGEMENT CORP /NY/ /ADV
13F-HR, 2000-02-14
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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:  December 31, 1999

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

Institutional Investment Manager Filing this Report:

Name:    Deltec Asset Management Corporation
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   February 14, 2000
    ___________________   __________________   _________________
        [Signature]         [City, State]          [Date]



<PAGE>

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 her 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.]
































                                2



<PAGE>

                      Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:     0

Form 13F Information Table Entry Total:     343

Form 13F Information Table Value Total:     $327,215
                                            [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.]
























                                3



<PAGE>

<TABLE>
FORM 13 F PORTIA REPORT
**dgv13f--CONSOLIDATED
As of: December 31, 1999
                                                   Form 13F INFORMATION TABLE
<CAPTION>
                          TITLE        CUSIP     VALUE   SHRS OR  SH/ PUT/  INVESTMENT  OTHER     VOTING AUTHORITY
NAME OF ISSUER            OF CLASS     NUMBER    (X1000) PRN AMT  PRN CALL  DISCRETION  MANAGERS  SOLE  SHARED NONE
- --------------            -------      ------    ------  -------  --- ----  ----------  --------  -----  -----  ---

<S>                      <C>           <C>       <C>        <C>        <C>     <C>       <C>       <C>     <C>   <C>
Abbott Laboratories      Common Stock  002824100 $   123     3,400 SH  N/A     sole                 3,400
Abgenix Inc.             Common Stock  00339B107      13       100 SH  N/A     sole
Acxiom Corp.             Common Stock  005125109     240    10,000 SH  N/A     sole
Advanced Fibre
  Communication          Common Stock  00754A105   1,229    27,500 SH  N/A     sole
Advanced Photonix
  Inc - CL A             Common Stock  00754E107     113    40,000 SH  N/A     sole
Advanta Corp - Cl B      Common Stock  007942204       7       500 SH  N/A     sole
Aeroflex Inc             Common Stock  007768104   8,526   821,800 SH  N/A     sole
Aetna Inc.               Common Stock  008117103      14       244 SH  N/A     sole
Agnico Eagle Mines
  Ltd COM                Common Stock  008474108     111    15,000 SH  N/A     sole
Agribiotech Inc          Common Stock  008494106      36    15,000 SH  N/A     sole
Alliance Gaming
  Corp COM NEW           Common Stock  01859P609      14     5,000 SH  N/A     sole
Alliant Energy Corp      Common Stock  018802108      58     2,100 SH  N/A     sole
Allied Irish Banks
  PLC- Spns ADR          Common Stock  019228402       2       100 SH  N/A     sole
Allied Waste
  Industries, Inc.       Common Stock  019589308      18     2,000 SH  N/A     sole
America Online
  Inc del com            Common Stock  02364J104   1,837    24,355 SH  N/A     sole                24,355
American Express
Company                  Common Stock  025816109     249     1,500 SH  N/A     sole                 1,500
American Home
  Products Corp          Common Stock  026609107     185     4,700 SH  N/A     sole                 4,700
American International
  Group Inc              Common Stock  026874107   4,172    38,581 SH  N/A     sole                38,581
American Telephone
  & Telegraph Co         Common Stock  001957109     127     2,500 SH  N/A     sole                 2,500
American Water
  Works, Inc.            Common Stock  030411102      38     1,800 SH  N/A     sole                 1,800
Amgen Inc                Common Stock  031162100   1,664    27,700 SH  N/A     sole                27,700
Amylin Pharmaceuticals
  Inc.                   Common Stock  032346108   2,657   318,500 SH  N/A     sole               318,500
Anadarko Petroleum Corp  Common Stock  032511107     972    28,476 SH  N/A     sole                28,476
Anheuser-Busch Cos Inc   Common Stock  035229103     461     6,500 SH  N/A     sole                 6,500
Antec Corp.              Common Stock  003664P105  1,022    28,000 SH  N/A     sole                28,000
Aquarion Co.             Common Stock  03838W101     117     3,150 SH  N/A     sole                 3,150



                                4



<PAGE>

Aracruz Celulose
  SA - Spns ADR          Common Stock  38496204       11       400 SH  N/A     sole                   400
Asia Pulp &
  Paper - Wts            Common Stock  04516V209       0       400 SH  N/A     sole                   400
Asia Pulp & Paper
  Ltd Sponsored Adr      Common Stock  04516V100      24     3,000 SH  N/A     sole                 3,000
Astrazeneca Plc -
  Spons ADR              Common Stock  46353108    2,714    65,000 SH  N/A     sole                65,000
At Home Corp Ser A       Common Stock  45919107        9       200 SH  N/A     sole                   200
AT&T Liberty Media - A   Common Stock  001957208     745    13,116 SH  N/A     sole                13,116
Atlas Air Inc            Common Stock  49164106    3,264   118,955 SH  N/A     sole               118,955
Autotote Corp - CL A     Common Stock  053323101     885   272,270 SH  N/A     sole               272,270
Avon Products Inc        Common Stock  054303102      99     3,000 SH  N/A     sole                 3,000
AXA Financial Inc.       Common Stock  002451102     678    20,000 SH  N/A     sole                20,000
Azurix Corp              Common Stock  05501M104      40     4,500 SH  N/A     sole                 4,500
Banco Latinoamericano
  Exportaciones -        Common Stock  P16994132     118     5,000 SH  N/A     sole                 5,000
Bank of Tokyo -
  Mitsubishi Ltd ADR     Common Stock  065379109      13       900 SH  N/A     sole                   900
Battle Mountain
  Gold, Co.              Common Stock  071593107      25    12,000 SH  N/A     sole                12,000
BE Aerospace Inc         Common Stock  073302101      13     1,500 SH  N/A     sole                 1,500
Bellsouth Corp           Common Stock  079860102     118     2,520 SH  N/A     sole                 2,520
Benchmark
  Electronics, Inc.      Common Stock  08160H101  10,870   473,900 SH  N/A     sole               473,900
Berkshire Hathaway
  Inc del - Cl A         Common Stock  084670108     112         2 SH  N/A     sole                     2
Bestfoods                Common Stock  08658U101      91     1,740 SH  N/A     sole                 1,740
BP Amoco PLC Spons ADR   Common Stock  055622104      90     1,512 SH  N/A     sole                 1,512
Brio Technology, Inc.    Common Stock  109704106      38       900 SH  N/A     sole                   900
Bristol-Myers Squibb Co. Common Stock  110122108     929    14,480 SH  N/A     sole                14,480
Broadway Financial
  Corp/Del               Common Stock  111444105   1,122   233,131 SH  N/A     sole               233,131
Brookline Bancorp,
  Inc.                   Common Stock  113739106     488    50,000 SH  N/A     sole                50,000
Cadbury Schweppes
  PLC - Sp ADR           Common Stock  127209302     242    10,000 SH  N/A     sole                10,000
Cadence Design
  System Inc             Common Stock  127387108     432    18,000 SH  N/A     sole                18,000
Call Benchmark
  Jan 030
  Exp 01/22/00           Option        08160H901    (13)     (200) N/A CALL    sole                  -200
Call Forest Labs
  Jan 060 Exp 01/22/00   Option        345838906    (14)      (40) N/A CALL    sole                   -40
Call Global Teles
  Jan 040 Exp 01/22/00   Option        37936U904     (6)     (100) N/A CALL    sole                  -100
Call MCI Worldcom
  Jan090 Exp 01/22/00    Option        55268B906     (4)      (75) N/A CALL    sole                   -75
Call MGC Commun Jan
  045 Exp 01/22/00       Option        552763904    (65)     (100) N/A CALL    sole                  -100



                                5



<PAGE>

Call Orckit Commun
  Jan 040 Exp 01/22/00   Option        M7531S907    (16)     (100) N/A CALL    sole                  -100
Call Panamsat Jan 050
  Exp 01/22/00           Option        697933909    (48)      (50) N/A CALL    sole                   -50
Call Pegasus Commun
  Jan 090 Exp 01/22/0    Option        705904900    (88)      (90) N/A CALL    sole                   -90
Call Psinet, Inc.
  Jan 075 Exp 01/22/00   Option        74437C901     (3)      (25) N/A CALL    sole                   -25
Call SCI Systems
  Jan 045 Exp 01/22/00   Option        783890906    (27)       (7) N/A CALL    sole                    -7
Call Sirius Sate
  Jan 030 Exp 01/22/00   Option        82966U903   (230)     (164) N/A CALL    sole                  -164
Canadian Imperial
  Bank of Commerce       Common Stock  136069101      48     2,000 SH  N/A     sole                 2,000
Carson Inc - CL A        Common Stock  145845103      62    19,000 SH  N/A     sole                19,000
CBS Corporation          Common Stock  12490K107     115     1,800 SH  N/A     sole                 1,800
Celadon Group Inc        Common Stock  150838100   1,143   198,711 SH  N/A     sole               198,711
Celestica, Inc.          Common Stock  15101Q108   2,420    43,600 SH  N/A     sole                43,600
Cemex SA - Spns ADR      Common Stock  151290889   2,884   103,468 SH  N/A     sole               103,468
Chase Manhattan
  Corp New               Common Stock  16161A108      27       350 SH  N/A     sole                   350
Chemdex Corp.            Common Stock  163595101      56       500 SH  N/A     sole                   500
Chevron Corp             Common Stock  166751107      15       175 SH  N/A     sole                   175
China Eastern
  Airlines - ADR         Common Stock  16937R104     287    25,500 SH  N/A     sole                25,500
China Southern
  Air - ADR              Common Stock  169409109     292    25,800 SH  N/A     sole                25,800
China Telecom
  HK Ltd - Spns ADR      Common Stock  169428109     129     1,000 SH  N/A     sole                 1,000
Chirex Inc.              Common Stock  170038103      35     2,400 SH  N/A     sole                 2,400
Chubb Corp.              Common Stock  171232101     101     1,800 SH  N/A     sole                 1,800
Ciena Corp               Common Stock  171779101     345     6,000 SH  N/A     sole                 6,000
Cisco Systems Inc        Common Stock  17275R102   2,647    24,710 SH  N/A     sole                24,710
Citigroup Inc            Common Stock  172967101   5,682   102,267 SH  N/A     sole               102,267
City Investing
  Co. Liquidating Trust  Common Stock  177900107     320   250,000 SH  N/A     sole               250,000
Clarent Corp. del        Common Stock  180461105      39       500 SH  N/A     sole                   500
CMGI Inc                 Common Stock  125750109      55       200 SH  N/A     sole                   200
Coca-Cola Company        Common Stock  191216100     880    15,110 SH  N/A     sole                15,110
Colgate Palmolive Co.    Common Stock  194162103     715    11,000 SH  N/A     sole                11,000
Companhia Brazileira
  Distribuicao-ADR       Common Stock  20440T201   1,661    51,400 SH  N/A     sole                51,400
Compania Paranaense
  energ corp spon ADR    Common Stock  20441B407   1,306   140,200 SH  N/A     sole               140,200
Compaq Computer Corp     Common Stock  204493100      45     1,670 SH  N/A     sole                 1,670
Conceptus, Inc.          Common Stock  206016107       4     1,091 SH  N/A     sole                 1,091
Concord Camera Corp      Common Stock  206156101  12,654   556,210 SH  N/A     sole               556,210
Concord
  Communications Inc.    Common Stock  206186108      44     1,000 SH  N/A     sole                 1,000
Conectiv Inc             Common Stock  206829103       3       205 SH  N/A     sole                   205
Connetics Corp.          Common Stock  208192104     210    20,000 SH  N/A     sole                20,000


                                6



<PAGE>

Constellation
  Energy Corp            Common Stock  210371100       7       246 SH  N/A     sole                   246
Corn Products
  International Inc      Common Stock  219023108      63     1,935 SH  N/A     sole                 1,935
Corning Inc.             Common Stock  219350105     129     1,000 SH  N/A     sole                 1,000
Costco Wholesale Corp    Common Stock  22160K105     821     9,000 SH  N/A     sole                 9,000
Crescent Real
  Estate Equities Co     Common Stock  225756105      44     2,400 SH  N/A     sole                 2,400
Cypress
  Semiconductors Corp.   Common Stock  232806109   3,718   114,850 SH  N/A     sole               114,850
DaimlerChrysler AG       Common Stock  D1668R123      78     1,000 SH  N/A     sole                 1,000
Dell Computer Corp       Common Stock  247025109     282     5,535 SH  N/A     sole                 5,535
Delphi Automotive
  Systems Corp           Common Stock  247126105      11       699 SH  N/A     sole                   699
Digex Inc. del           Common Stock  253756100   1,598    23,250 SH  N/A     sole                23,250
Disney Walt Co.          Common Stock  254687106     176     6,000 SH  N/A     sole                 6,000
Doubleclick Inc          Common Stock  258609304      25       100 SH  N/A     sole                   100
Dow Jones & Co. Inc.     Common Stock  260561105      34       500 SH  N/A     sole                   500
Dreyfus Strategic
  Municipals Inc         Common Stock  261932107       0        53 SH  N/A     sole                    53
Dupont Denemours & Co    Common Stock  263534109     118     1,788 SH  N/A     sole                 1,788
Dyersburg Corp.          Common Stock  267575108       7     8,000 SH  N/A     sole                 8,000
Earthshell Corp.         Common Stock  27032B100       4     1,000 SH  N/A     sole                 1,000
Eastman Chemical
  Company                Common Stock  277432100      17       347 SH  N/A     sole                   347
Eastman Kodak Co         Common Stock  277461109      80     1,200 SH  N/A     sole                 1,200
Eaton Vance Nat'l
  Municipal Income Tr.   Common Stock  27826U108     110     9,500 SH  N/A     sole                 9,500
Echo Bay Mines Ltd.      Common Stock  278751102      14    12,000 SH  N/A     sole                12,000
EFTC Corporation         Common Stock  268443108   2,427 1,339,240 SH  N/A     sole             1,339,240
Electronics Arts Inc     Common Stock  285512109     193     2,300 SH  N/A     sole                 2,300
Embratel Participacoes
  SA - Spns ADR          Common Stock  29081N100   4,435   162,750 SH  N/A     sole               162,750
EMC Corp / Mass          Common Stock  268648102       3        25 SH  N/A     sole                    25
Emerson Electric  Co     Common Stock  291011104      26       450 SH  N/A     sole                   450
Encal Energy Ltd         Common Stock  29250D107       1       121 SH  N/A     sole                   121
Enron Corp               Common Stock  293561106     226     5,100 SH  N/A     sole                 5,100
Ensco International Inc  Common Stock  26874Q100      69     3,000 SH  N/A     sole                 3,000
Esco Electronics Corp    Common Stock  269030201       0        11 SH  N/A     sole                    11
E'Town Corp              Common Stock  269242103      56       900 SH  N/A     sole                   900
Euro909.com A/S -
  Spns ADR               Common Stock  298737107  24,215   880,535 SH  N/A     sole               880,535
Extreme Networks, Inc.   Common Stock  30226D106      42       500 SH  N/A     sole                   500
Exxon Mobil Corporation  Common Stock  30231G102     330     4,100 SH  N/A     sole                 4,100
FDX Corporation          Common Stock  31304N107   1,556    38,000 SH  N/A     sole                38,000
Federal Mogul Corp       Common Stock  313549107      10       500 SH  N/A     sole                   500
Federal National
  Mortgage Association   Common Stock  313586109     212     3,400 SH  N/A     sole                 3,400
First Virginia
  Banks, Inc.            Common Stock  337477103      39       900 SH  N/A     sole                   900
Firstcom Corp.           Common Stock  33763T104   2,297    62,500 SH  N/A     sole                62,500
Flanders Corporation     Common Stock  338494107   1,914   765,600 SH  N/A     sole               765,600

                                7



<PAGE>

Ford Motor
  Company del            Common Stock  345370100      80     1,500 SH  N/A     sole                 1,500
Forest Laboratories Inc  Common Stock  345838106   2,162    35,190 SH  N/A     sole                35,190
Franklin Resources Inc   Common Stock  354613101   2,613    81,500 SH  N/A     sole                81,500
Frequency Electronics
  Inc                    Common Stock  358010106     106    10,250 SH  N/A     sole                10,250
Galileo Technology Ltd   Common Stock  M47298100   5,779   239,550 SH  N/A     sole               239,550
Gap Inc del              Common Stock  364760108      23       500 SH  N/A     sole                   500
Genelabs
  Technologies Inc       Common Stock  368706107     115    20,833 SH  N/A     sole                20,833
Genentech, Inc.          Common Stock  368710406      17       125 SH  N/A     sole                   125
General Electric Co.     Common Stock  369604103     836     5,400 SH  N/A     sole                 5,400
General Motors Corp      Common Stock  370442105     909    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
Gerdau SA - Spns ADR     Common Stock  373737105     396    15,000 SH  N/A     sole                15,000
Gillette Co.             Common Stock  375766102     492    11,950 SH  N/A     sole                11,950
Global Crossing Ltd      Common Stock  G3921A1009    250     5,000 SH  N/A     sole                 5,000
Global Light
  Telecom Inc.           Common Stock  37934X100     124    10,000 SH  N/A     sole                10,000
Global Telesystems
  Group Inc              Common Stock  37936U104   7,020   202,750 SH  N/A     sole               202,750
Globo Cabo S.A. -
  SP ADR                 Common Stock  37957X102     720    40,000 SH  N/A     sole                40,000
Golden Star
  Resources Ltd @ da     Common Stock  38119T104      19    20,000 SH  N/A     sole                20,000
Golden Telecom, Inc.     Common Stock  38122G107     736    23,000 SH  N/A     sole                23,000
Goldman Sachs
  Group, Inc.            Common Stock  38141G104      47       500 SH  N/A     sole                   500
Greater China Fund Inc   Common Stock  39167B102       3       416 SH  N/A     sole                   416
Grupo Televisa SA - GDR  Common Stock  40049J206   2,969    43,500 SH  N/A     sole                43,500
GST Telecommunications
  Inc                    Common Stock  361942105      23     2,500 SH  N/A     sole                 2,500
GTE Corp                 Common Stock  362320103      28       400 SH  N/A     sole                   400
Gulf Indonesia
  Resources Ltd          Common Stock  402284103       4       500 SH  N/A     sole                   500
Harmony Gold
  Mining Co. Ltd -
  Spns ADR               Common Stock  413216300      53     8,500 SH  N/A     sole                 8,500
Hartford finl
  svcs Group Inc         Common Stock  416515104      18       376 SH  N/A     sole                   376
Healtheon Webmd Corp     Common Stock  422209106      38     1,000 SH  N/A     sole                 1,000
Hewlett - Packard Co.    Common Stock  428236103     273     2,400 SH  N/A     sole                 2,400
Home Depot Inc           Common Stock  437076102   1,121    16,350 SH  N/A     sole                16,350
Idexx Laboratories Inc   Common Stock  45168D104     344    21,351 SH  N/A     sole                21,351
Ilex Oncology, Inc.      Common Stock  451923106     166     6,875 SH  N/A     sole                 6,875
Inco Ltd.                Common Stock  453258402      39     1,650 SH  N/A     sole                 1,650
ING Groep NV -
  Spns ADR               Common Stock  456837103       9       150 SH  N/A     sole                   150
Intel Corp               Common Stock  458140100     365     4,430 SH  N/A     sole                 4,430


                                8



<PAGE>

Intelidata
  Technologies Corp.     Common Stock  45814T107     623   150,000 SH  N/A     sole               150,000
Intermedia
  Communications Inc     Common Stock  458801107      78     2,000 SH  N/A     sole                 2,000
International
  Business
  Machines Corp          Common Stock  459200101     572     5,300 SH  N/A     sole                 5,300
Intraware, Inc.          Common Stock  46118M103     560     7,000 SH  N/A     sole                 7,000
IPC Communications, Inc. Common Stock  44980K206     391     5,500 SH  N/A     sole                 5,500
Ireland Bank  ADR        Common Stock  46267Q103       6       200 SH  N/A     sole                   200
Irsa Inversiones
  y Representaciones AD  Common Stock  450047204     -           0 SH  N/A     sole                     0
ITT Industries Inc ind   Common Stock  450911102       6       188 SH  N/A     sole                   188
Ivillage, Inc.           Common Stock  46588H105      10       500 SH  N/A     sole                   500
IXl Enterprises, Inc.    Common Stock  450718101      28       500 SH  N/A     sole                   500
Ixnet, Inc.              Common Stock  46601C109   1,612    53,500 SH  N/A     sole                53,500
Jabil Circuit
  Inc.                   Common Stock  466313103   1,661    22,750 SH  N/A     sole                22,750
Jackpot Enterprises
  Inc                    Common Stock  466392107       0        10 SH  N/A     sole                    10
JMAR Industries
  Inc COM                Common Stock  466212107     100    22,000 SH  N/A     sole                22,000
Johnson & Johnson        Common Stock  478160104   3,184    34,188 SH  N/A     sole                34,188
Jones Apparel
  Group Inc              Common Stock  480074103     256     9,432 SH  N/A     sole                 9,432
Kansas City
  Southern
  Industries, Inc.       Common Stock  485170104     157     2,100 SH  N/A     sole                 2,100
Kimberly Clark Corp      Common Stock  494368103      13       200 SH  N/A     sole                   200
Koninklijke Philips
  Electronics - NY S     Common Stock  500472204   6,705    49,668 SH  N/A     sole                49,668
Korea Electric
  Power  - ADR           Common Stock  500631106     419    25,000 SH  N/A     sole                25,000
Korea Telecom
  Corp - Spns ADR        Common Stock  50063P103     150     2,000 SH  N/A     sole                 2,000
Korean Investment
  Fund Inc               Common Stock  500637103      61     7,000 SH  N/A     sole                 7,000
Kyzen Corp - CL A        Common Stock  501596100       2     3,000 SH  N/A     sole                 3,000
Lauder Estee
  Companies Inc          Common Stock  518439104      23       450 SH  N/A     sole                   450
Legg Mason, Inc.         Common Stock  524901105     145     4,000 SH  N/A     sole                 4,000
Lehman Brothers
  Holdings Inc           Common Stock  524908100      17       200 SH  N/A     sole                   200
Level 3 Communications
  Inc                    Common Stock  52729N100     270     3,300 SH  N/A     sole                 3,300
Lilly Eli & Company      Common Stock  532457108   2,594    39,000 SH  N/A     sole                39,000
LNR Property Corp        Common Stock  501940100      20     1,000 SH  N/A     sole                 1,000
Lockheed Martin
  Corporation            Common Stock  539830109      33     1,500 SH  N/A     sole                 1,500
Lucent Technologies Inc  Common Stock  549463107     939    12,558 SH  N/A     sole                12,558



                                9



<PAGE>

Magyar Tavkozlesi
  RT - ADR               Common Stock  559776109     900    25,000 SH  N/A     sole                25,000
Mattel Inc.              Common Stock  577081102       1       100 SH  N/A     sole                   100
May Dept.
  Stores Co. COM         Common Stock  577778103       0         6 SH  N/A     sole                     6
MCI Worldcom Inc         Common Stock  55268B106   2,704    50,963 SH  N/A     sole                50,963
McKesson HBOC Inc        Common Stock  58155Q103      41     1,800 SH  N/A     sole                 1,800
McMoran Exploration Co.  Common Stock  582411104       2        93 SH  N/A     sole                    93
Merck & Co Inc           Common Stock  589331107   3,318    49,480 SH  N/A     sole                49,480
Merrill Lynch & Co Inc   Common Stock  590188108   5,060    60,600 SH  N/A     sole                60,600
Messagemedia Inc.        Common Stock  590787107     323    23,000 SH  N/A     sole                23,000
MGC Communications, Inc. Common Stock  552763302  10,333   203,600 SH  N/A     sole               203,600
Micron Technology Inc    Common Stock  595112103     109     1,400 SH  N/A     sole                 1,400
Microsoft Corp           Common Stock  594918104   1,876    16,070 SH  N/A     sole                16,070
Morgan JP & Co Inc       Common Stock  616880100      84       660 SH  N/A     sole                   660
Morgan Stanley
  Dean Witter
  Discovery C            Common Stock  617446448   6,319    44,268 SH  N/A     sole                44,268
MRV Communications Inc.  Common Stock  553477100   8,746   139,100 SH  N/A     sole               139,100
National Golf
  Properties, Inc.       Common Stock  63623G109      47     2,400 SH  N/A     sole                 2,400
National Techteam, Inc.  Common Stock  638108100     168    35,000 SH  N/A     sole                35,000
Netrix Corp.             Common Stock  641148101     209    14,000 SH  N/A     sole                14,000
Network Solutions
  Inc Cl A               Common Stock  64121Q102     218     1,000 SH  N/A     sole                 1,000
New Tel Limited -
  Spns ADR               Common Stock  648867109      40     5,000 SH  N/A     sole                 5,000
Newmont Mining Corp      Common Stock  651639106     137     5,580 SH  N/A     sole                 5,580
Nextel Communications
  Inc CL A               Common Stock  65332V103      10       100 SH  N/A     sole                   100
Noble Affiliates Inc.    Common Stock  654894104       6       300 SH  N/A     sole                   300
Nokia Corp -
  Spns ADR CL A          Common Stock  654902204     684     3,600 SH  N/A     sole                 3,600
Onhealth Network Co.     Common Stock  68272W107       2       175 SH  N/A     sole                   175
Open Jt Stk Co-
  impel Communic-SP ADR  Common Stock  68370R109     312     7,000 SH  N/A     sole                 7,000
Optimal Robotics Corp    Common Stock  68388R208     108     2,900 SH  N/A     sole                 2,900
Oracle Corp.             Common Stock  68389X105     112     1,000 SH  N/A     sole                 1,000
Orbital Engine
  Ltd - ADR              Common Stock  685563306       4     1,000 SH  N/A     sole                 1,000
Orckit Communications
  Ltd                    Common Stock  M7531S107   2,745    80,000 SH  N/A     sole                80,000
OSI Pharmaceuticals,
  Inc.                   Common Stock  671040103      44     5,500 SH  N/A     sole                 5,500
Paine Webber Group Inc   Common Stock  695629105   2,203    56,750 SH  N/A     sole                56,750
Pan American
  Silver Corp.           Common Stock  697900108      43     8,000 SH  N/A     sole                 8,000
Panamsat Corp.           Common Stock  697933109   1,069    18,000 SH  N/A     sole                18,000
Paradyne Networks, Inc.  Common Stock  69911G107     804    29,500 SH  N/A     sole                29,500
P-Common stock Inc.      Common Stock  693262107      27     3,000 SH  N/A     sole                 3,000



                               10



<PAGE>

Pegasus Communications
  Corp.                  Common Stock  705904100   5,112    52,300 SH  N/A     sole                52,300
Pepsico, Inc.            Common Stock  713448108     100     2,850 SH  N/A     sole                 2,850
Pfizer Inc               Common Stock  717081103   3,384   104,315 SH  N/A     sole               104,315
Pharmaceutical
  Product Development    Common Stock  717124101     238    20,000 SH  N/A     sole                20,000
Philip Morris
  Companies Inc          Common Stock  718154107      70     3,000 SH  N/A     sole                 3,000
Phillips Petroleum Co.   Common Stock  718507106      71     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      54     5,000 SH  N/A     sole                 5,000
PNC Bnk Corp             Common Stock  693475105     142     3,186 SH  N/A     sole                 3,186
Pohang Iron &
  Steel Ltd - Adr        Common Stock  730450103     795    22,700 SH  N/A     sole                22,700
Premier Laser
  Systems Inc - CL A     Common Stock  740522107       6     4,000 SH  N/A     sole                 4,000
Price & Rowe Associates  Common Stock  741477103     259     7,000 SH  N/A     sole                 7,000
Prison Realty Tr         Common Stock  74264N105   2,110   416,780 SH  N/A     sole               416,780
Procter & Gamble Co      Common Stock  742718109     329     3,000 SH  N/A     sole                 3,000
Provident American Corp  Common Stock  743832107      35     1,000 SH  N/A     sole                 1,000
Psinet Inc.              Common Stock  74437C101   4,069    65,900 SH  N/A     sole                65,900
Qualcomm, Inc.           Common Stock  747525103     299     1,700 SH  N/A     sole                 1,700
Qwest Communications
  Intl Inc               Common Stock  749121109     599    13,925 SH  N/A     sole                13,925
Range Resources Corp.    Common Stock  75281A109      16     5,000 SH  N/A     sole                 5,000
Ranger Oil Ltd           Common Stock  752805101       3     1,000 SH  N/A     sole                 1,000
Read - Rite Corp         Common Stock  755246105      10     2,000 SH  N/A     sole                 2,000
Revenue Properties  Ltd. Common Stock  761389402       3     2,100 SH  N/A     sole                 2,100
Robert Half Int'l., Inc. Common Stock  770323103     171     6,000 SH  N/A     sole                 6,000
Rogers Communications
  - CL B                 Common Stock  775109200      54     2,200 SH  N/A     sole                 2,200
Royal Bank of
  Scotland PLC
  Ser C PFD              Common Stock  780097408      43     2,000 SH  N/A     sole                 2,000
Royal Dutch Petro -
  NY Shares              Common Stock  780257804     335     5,550 SH  N/A     sole                 5,550
SBC Communications Inc   Common Stock  78387G103     663    13,600 SH  N/A     sole                13,600
Scana Corp.              Common Stock  805898103     820    30,500 SH  N/A     sole                30,500
SCI Systems Inc          Common Stock  783890106      62       750 SH  N/A     sole                   750
Sea Containers
  Ltd - Cl A             Common Stock  811371707     285    10,700 SH  N/A     sole                10,700
Sea Containers Ltd Cl B  Common Stock  811371103     386    14,600 SH  N/A     sole                14,600
Sears Roebuck & Co.      Common Stock  812387108      10       344 SH  N/A     sole                   344
Sepracor Inc             Common Stock  817315104      76       770 SH  N/A     sole                   770
Seven Seas
  Petroleum Corp         Common Stock  817917107       3     3,000 SH  N/A     sole                 3,000
Shaw Communications
  Inc - CL B             Common Stock  82028K200     108     3,300 SH  N/A     sole                 3,300
Sirius Satellite
  Radio, Inc.            Common Stock  82966U103   6,602   148,350 SH  N/A     sole               148,350


                               11



<PAGE>

Smithkline Beecham
  Plc - ADR              Common Stock  832378301   3,892    60,400 SH  N/A     sole                60,400
Solectron Corp           Common Stock  834182107      15       153 SH  N/A     sole                   153
Sonera Corp -
  Spon ADR               Common Stock  835433202   3,947    57,000 SH  N/A     sole                57,000
Sony Corp -
  Sponsored ADR          Common Stock  835699307     142       500 SH  N/A     sole                   500
Spyglass, Inc.           Common Stock  852192103     455    12,000 SH  N/A     sole                12,000
Stage Stores Inc         Common Stock  85254C107       5     2,000 SH  N/A     sole                 2,000
Star Gas Partners -
  Sr Sub Units           Common Stock  85512C204     908   179,343 SH  N/A     sole               179,343
Star Gas Partners L.P.   Common Stock  85512C105       3       240 SH  N/A     sole                   240
Starmedia Network, Inc.  Common Stock  855546107     521    13,000 SH  N/A     sole                13,000
State Street Corp        Common Stock  857477103   2,656    36,350 SH  N/A     sole                36,350
Staten Island
  Bancorp Inc            Common Stock  857550107     209    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
Sun Microsystems Inc     Common Stock  866810104      54       700 SH  N/A     sole                   700
Systems & Computer
  Tech Corp.             Common Stock  871873105      28     1,700 SH  N/A     sole                 1,700
Talk.com, Inc.           Common Stock  874264104      27     1,500 SH  N/A     sole                 1,500
TCBY Enterprises Inc     Common Stock  872245105       4     1,000 SH  N/A     sole                 1,000
Tele Centro Sul
  Participacoes
  SA - ADR               Common Stock  879239101   2,178    24,000 SH  N/A     sole                24,000
Tele Norte Leste
  Participacoes - ADR    Common Stock  879246106   6,995   274,300 SH  N/A     sole               274,300
Telecomunicacoes
  Brasilieras            Common Stock  879287308   8,799    68,475 SH  N/A     sole                68,475
Telefonos De
  Mexico SA ADR L        Common Stock  879403780   4,044    35,950 SH  N/A     sole                35,950
Telekomunik
  Indonesia - Spns ADR   Common Stock  715684106      84     7,600 SH  N/A     sole                 7,600
Telesp Cellular
  Participacoes - ADR    Common Stock  87952L108     456    10,750 SH  N/A     sole                10,750
Templeton Dragon
  Fund Inc               Common Stock  88018T101      41     4,200 SH  N/A     sole                 4,200
Teva Pharmaceuticals -
  SP ADR                 Common Stock  881624209   1,842    25,700 SH  N/A     sole                25,700
Texas Instruments Inc    Common Stock  882508104     436     4,500 SH  N/A     sole                 4,500
Texas Utilities Co       Common Stock  882848104      10       275 SH  N/A     sole                   275
Thoratec Labs Corp       Common Stock  885175307     116    11,910 SH  N/A     sole                11,910
Tiffany & Co New         Common Stock  886547108     179     2,000 SH  N/A     sole                 2,000
Time Warner Inc          Common Stock  887315109     822    11,350 SH  N/A     sole                11,350
TNP Enterprises, Inc.    Common Stock  872594106      62     1,500 SH  N/A     sole                 1,500
Transkaryotic
  Therapies Inc          Common Stock  893735100      39     1,000 SH  N/A     sole                 1,000
Transwitch Corp          Common Stock  894065101      54       750 SH  N/A     sole                   750
Trico Marine Services
  Inc                    Common Stock  896106101      36     5,050 SH  N/A     sole                 5,050


                               12



<PAGE>

Tricom SA - Sponsored
  ADR                    Common Stock  89612A100      45     2,000 SH  N/A     sole                 2,000
Triquint Semiconductor
  Inc                    Common Stock  89674K103      45       400 SH  N/A     sole                   400
TRM Corp                 Common Stock  872636105     145    23,600 SH  N/A     sole                23,600
Tubos De Acero De
  Mexico SA ADR          Common Stock  898592506      32     2,375 SH  N/A     sole                 2,375
TV Azteca SA de
  Cv - ADR               Common Stock  901145102      45     5,000 SH  N/A     sole                 5,000
Tyco Int'l. Ltd. New     Common Stock  902124106     179     4,600 SH  N/A     sole                 4,600
Unibanco - Sponsored
  GDR                    Common Stock  90458E107   2,621    87,000 SH  N/A     sole                87,000
Unilever NV              Common Stock  904784709     194     3,572 SH  N/A     sole                 3,572
United Global Com Inc -
  CL A                   Common Stock  913247508   9,086   128,650 SH  N/A     sole               128,650
Unocal Corp.             Common Stock  915289102     168     5,000 SH  N/A     sole                 5,000
Van Kampen Value
  Muni Income Fund       Other         921132106     204    17,000 N/A N/A     sole                17,000
Varian Semiconductor
  Equip                  Common Stock  922207105   1,615    47,500 SH  N/A     sole                47,500
Ventas Inc               Common Stock  92276F100       8     2,000 SH  N/A     sole                 2,000
Verio Inc                Common Stock  923433106     279     6,034 SH  N/A     sole                 6,034
Viatel Inc.              Common Stock  925529208     161     3,000 SH  N/A     sole                 3,000
Viropharma Inc           Common Stock  928241108   4,227   114,250 SH  N/A     sole               114,250
Visible Genetics Inc     Common Stock  92829S104      30     1,000 SH  N/A     sole                 1,000
Visx Inc.                Common Stock  92844S105     559    10,800 SH  N/A     sole                10,800
Vitro Sociedad
  Anonima                Common Stock  928502301      28     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 SH  N/A     sole                     0
Voyager.net, Inc.        Common Stock  92906W101   3,584   390,090 SH  N/A     sole               390,090
Wal-Mart Stores Inc      Common Stock  931142103     138     2,000 SH  N/A     sole                 2,000
Washington Mutual, Inc.  Common Stock  939322103       8       300 SH  N/A     sole                   300
Waste Management
  Inc. del               Common Stock  94106L109       2       100 SH  N/A     sole                   100
Watson Pharmaceuticals
  Inc                    Common Stock  942683103   2,629    73,410 SH  N/A     sole                73,410
WEBS Japan Index Series  Common Stock  92923H889      16       975 SH  N/A     sole                   975
Webs-Malaysia
  ndex Series            Other         92923H871     502    71,100 N/A N/A     sole                71,100
Williams Cos, Inc. del   Common Stock  969457100     153     5,000 SH  N/A     sole                 5,000
Wind River Systems       Common Stock  973149107     861    23,500 SH  N/A     sole                23,500
Wisconsin Energy Corp    Common Stock  976657106      40     2,100 SH  N/A     sole                 2,100
Wit Capital Group Inc.   Common Stock  97737K309       9       500 SH  N/A     sole                   500
Worldgate Communications
  Inc.                   Common Stock  98156L307   2,152    45,250 SH  N/A     sole                45,250
WorldTalk Communications
  Corp                   Common Stock  98155G101   3,710   184,934 SH  N/A     sole               184,934
Wts Cemex SA Spns ADR
  Exp 12/13/02           Other         151290871      23     5,466 N/A N/A     sole                 5,466


                               13



<PAGE>

Wts Eur0909.com - Spns
  ADR Exp 06/30/0        Other         298737115   3,077   146,500 N/A N/A     sole               146,500
Yahoo Inc                Common Stock  984332106     541     1,250 SH  N/A     sole                 1,250
Zenix Income Fund Inc    Common Stock  989414107      30     6,500 SH  N/A     sole                 6,500

Item count 343           GRAND TOTAL            $327,215
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