MORGAN GRENFEL INC
13F-HR, 1999-04-20
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                              Washington, DC 20549

                                    Form 13F


                              Form 13 F COVER PAGE


         Report for the Calendar Year or Quarter Ended: March 31, 1999

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

Institutional Investment Manager Filing this Report:

Name:         Morgan Grenfell Inc
Address:      885 Third Avenue
              New York
              NY 10022

Form 13 F File Number:     28-1985

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:         James Capezzuto, Esq
Title:        Legal Officer
Phone:        (212) 230-2670

Signature, Place, and Date of Signing:

/s/ James Capezzuto                 New York, New York            April 20, 1999
- -----------------------------       -----------------------       --------------
James Capezzuto                     

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:                           116

Form 13F Information Table Value Total:                       320,025
                                                              -------
                                                             (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.

NONE



<PAGE>
<TABLE>

                                                                 Form 13F INFORMATION TABLE
<CAPTION>

          ITEM 1                     ITEM 2            ITEM 3         ITEM 4      ITEM 5              ITEM 6          ITEM 8
                                                                      VALUE      SHRS OR  SH/  PUT/                   VOTING
       NAME OF ISSUER            TITLE OF CLASS        CUSIP         (X$1000)    PRN AMT  PRN  CALL   INV DSC   SOLE  SHARED  NONE
       --------------            --------------        -----         --------    --------  -------    -------   ----  ------  ----

<S>                                <C>               <C>               <C>        <C>        <C>      <C>       <C>     <C>   <C>
ALKERMES INC                        COMMON           01642T108         3368       123600     SH        SOLE     65300    0    58300 
ALLEGIANCE TELECOM INC              COMMON           01747T102         2110       84400      SH        SOLE     44500    0    39900 
ALPHARMA INC                         CL A             20813101         4580       116700     SH        SOLE     57700    0    59000 
AMERICAN TOWER CORP                  CL A             29912201         4567       186420     SH        SOLE     95500    0    90920 
APPLIED MICRO CIRCUITS C            COMMON           03822W109         4361       102000     SH        SOLE     53900    0    48100 
ASTORIA FINL CORP                   COMMON            46265104         4472       89435      SH        SOLE     46330    0    43105 
ATLANTIC COAST AIRLINES             COMMON            48396105         4455       158400     SH        SOLE     83450    0    74950 
BJ SVCS CO                          COMMON            55482103         6994       300800     SH        SOLE    158900    0    141900
BALLY TOTAL FITNESS HLDG            COMMON           05873K108         5522       231300     SH        SOLE    122200    0    109100
BANK UTD CORP                        CL A             65412108         3646       89200      SH        SOLE     45900    0    43300 
BANKUNITED FINL CORP                 CL A            06652B103          582       81700      SH        SOLE       0      0    81700 
BASIN EXPL INC                      COMMON            70107107          735       53000      SH        SOLE       0      0    53000 
BINDLEY WESTN INDS INC              COMMON            90324104         3605       126200     SH        SOLE     66700    0    59500 
BOMBAY CO INC                       COMMON            97924104          865       216300     SH        SOLE       0      0    216300
BOWATER INC                         COMMON           102183100         3249       82000      SH        SOLE     43700    0    38300 
BRUNSWICK TECHNOLOGIES I             CL A            117394106         1015       176600     SH        SOLE     44800    0    131800
CARBO CERAMICS INC                  COMMON           140781105          513       23700      SH        SOLE     13700    0    10000 
CELL GENESYS INC                    COMMON           150921104         1161       235200     SH        SOLE    110100    0    125100
CHEAP TICKETS INC                   COMMON           162672109         2559       76100      SH        SOLE     21800    0    54300 
COHESION TECHNOLOGIES IN            COMMON           19248N101         1072       270200     SH        SOLE    124200    0    146000
COLLAGEN AESTHETIC INC              COMMON           194194106         1298       96600      SH        SOLE     45400    0    51200 
COMPX INTERNATIONAL INC              CL A            20563P101         1691       132650     SH        SOLE     49000    0    83650 
COMSAT CORP-PARTIAL TEND          COM SER 1          20564D107         6673       230600     SH        SOLE    120300    0    110300
CONCENTRIC NETWORK CORP             COMMON           20589R107         2758       36900      SH        SOLE     19500    0    17400 
CONCORD COMMUNICATIONS I            COMMON           206186108         3352       58800      SH        SOLE     31100    0    27700 
CORPORATE EXECUTIVE BRD             COMMON           21988R102         3497       132600     SH        SOLE     65500    0    67100 
CORRECTIONAL SVCS CORP              COMMON           219921103          479       58000      SH        SOLE       0      0    58000 
CREDIT MGMT SOLUTIONS IN            COMMON           224905109          90        24800      SH        SOLE       0      0    24800 
CRUSADER HOLDING CORP               COMMON           228840104          318       32235      SH        SOLE       0      0    32235 
D R HORTON INC                      COMMON           23331A109         4690       280000     SH        SOLE    144500    0    135500
DAISYTEK INTL CORP                  COMMON           234053106         4560       274300     SH        SOLE    144900    0    129400
DAMARK INTL INC                     COMMON           235691102         4243       491950     SH        SOLE    214800    0    277150
DENDRITE INTL INC                   COMMON           248239105         2265       101500     SH        SOLE     47700    0    53800 
DEVON ENERGY CORP                   COMMON           251799102         7213       261700     SH        SOLE    138200    0    123500
DIME CMNTY BANCSHARES               COMMON           253922108         1239       54000      SH        SOLE       0      0    54000 
DIME BANCORP INC NEW                COMMON           25429Q102         7425       320200     SH        SOLE    170800    0    149400
DRIL-QUIP INC                       COMMON           262037104          525       23800      SH        SOLE       0      0    23800 
DYCOM INDS INC                      COMMON           267475101         6920       159075     SH        SOLE     82625    0    76450 
ENGLE HOMES INC                     COMMON           292896107          597       56900      SH        SOLE       0      0    56900 
ENTERCOM COMMUNICATIONS              CL A            293639100          294        8300      SH        SOLE     4500     0     3800 
ENZON INC                           COMMON           293904108         2449       166000     SH        SOLE     77000    0    89000 
FURNITURE BRANDS INTL IN            COMMON           360921100         4575       206800     SH        SOLE    110500    0    96300 
GARDEN RIDGE CORP                   COMMON           36541P104         6093       894390     SH        SOLE    414275    0    480115
GENERAL SURGICAL INNOVAT            COMMON           371013103          186       47200      SH        SOLE       0      0    47200 
GLATFELTER P H CO                   COMMON           377316104         2938       262600     SH        SOLE    136000    0    126600
GLOBAL INDUSTRIES LTD               COMMON           379336100         5154       509000     SH        SOLE    268700    0    240300
GLOBECOMM SYSTEMS INC               COMMON           37956X103          367       62500      SH        SOLE       0      0    62500 
GOLDEN STATE BANCORP                COMMON           381197102         6509       292550     SH        SOLE    149850    0    142700
GOLDEN STATE BANCORP           *W EXP 99/99/999      381197102         2956       132850     C         SOLE     74550    0    58300 
HAGLER BAILLY INC                   COMMON           405183104          392       49000      SH        SOLE       0      0    49000 
HI / FN INC                         COMMON           428358105         1202       32046      SH        SOLE       0      0    32046 
HVIDE MARINE INC                     CLA             448515106         1520       352500     SH        SOLE    161700    0    190800
INDEPENDENCE CMNTY BK               COMMON           453414104         2719       211200     SH        SOLE    114000    0    97200 
INFOSPACE COM INC                   COMMON           45678T102         4422       49900      SH        SOLE     19100    0    30800 
INSIGHT ENTERPRISES INC             COMMON           45765U103         2167       87573      SH        SOLE     46324    0    41249 
INSURANCE MGMT SOLUTIONS            COMMON           458045101          731       81200      SH        SOLE     23000    0    58200 
INTERCEPT GROUP INC                 COMMON           45845L107          545       64100      SH        SOLE       0      0    64100 
INTERNATIONAL COMFORT PR             ORD             458978103          584       74100      SH        SOLE       0      0    74100 
INTEST CORP                         COMMON           461147100          879       152900     SH        SOLE     64600    0    88300 
IVAX CORP                           COMMON           465823102         3401       287900     SH        SOLE    152100    0    135800
JUST FOR FEET INC                   COMMON           48213P106         5629       450300     SH        SOLE    237600    0    212700
KROLL O GARA CO                     COMMON           501050108         3212       118400     SH        SOLE     62400    0    56000 
LNR PROPERTY CORP                   COMMON           501940100         5918       299650     SH        SOLE    160550    0    139100
LENNAR CORP                         COMMON           526057104         6460       288700     SH        SOLE    154400    0    134300
MAGNUM HUNTER RES INC           COM PAR $0.002       55972F203          613       213300     SH        SOLE       0      0    213300
MALLON RES CORP                    COM NEW           561240201          660       88000      SH        SOLE       0      0    88000 
MARINE DRILLING COS INC         COM PAR $0.01        568240204         4618       419800     SH        SOLE    221800    0    198000
MARKETING SVCS GROUP INC            COMMON           570907105         8741       602800     SH        SOLE    251600    0    351200
MEDPARTNERS INC                     COMMON           58503X107         1551       326600     SH        SOLE    172600    0    154000
MERCURY INTERACTIVE CORP            COMMON           589405109         10887      305600     SH        SOLE    161800    0    143800
METAMOR WORLDWIDE INC               COMMON           59133P100          727       51900      SH        SOLE     30800    0    21100 
MICROCHIP TECHNOLOGY INC            COMMON           595017104         2393       69100      SH        SOLE     38100    0    31000 
MICRO WAREHOUSE INC                 COMMON           59501B105         5752       356700     SH        SOLE    188300    0    168400
MOHAWK INDUSTRIES INC               COMMON           608190104         4880       162675     SH        SOLE     86175    0    76500 
NANOGEN INC                         COMMON           630075109         2861       297200     SH        SOLE    117800    0    179400
ONHEALTH NETWORK CO                 COMMON           68272W107          781       57300      SH        SOLE       0      0    57300 
OPTEK TECHNOLOGY INC                COMMON           683815104          648       44100      SH        SOLE       0      0    44100 
PAINE WEBBER GROUP INC              COMMON           695629105         4483       112425     SH        SOLE     71625    0    40800 
PAIRGAIN TECHNOLOGIES IN            COMMON           695934109         2160       221500     SH        SOLE    117000    0    104500
PAPA JOHNS INTL INC                 COMMON           698813102         5895       133600     SH        SOLE     70700    0    62900 
PATHOGENESIS CORP                   COMMON           70321E104          177       13300      SH        SOLE     7000     0     6300 
PEDIATRIX MED GROUP                 COMMON           705324101         2762       98200      SH        SOLE     52200    0    46000 
PEGASUS SYSTEMS INC                 COMMON           705906105         4653       116700     SH        SOLE     44600    0    72100 
PERVASIVE SOFTWARE INC              COMMON           715710109         1028       57500      SH        SOLE       0      0    57500 
PETSMART INC                        COMMON           716768106         5296       659400     SH        SOLE    348400    0    311000
PINNACLE SYS INC                    COMMON           723481107         4154       91300      SH        SOLE     43800    0    47500 
PJ AMER INC                         COMMON           72585Q104         3997       173800     SH        SOLE     60800    0    113000
POWERHOUSE TECHNOLOGIES             COMMON           739323103          624       36300      SH        SOLE       0      0    36300 
PRIORITY HEALTHCARE CORP             CL B            74264T102         7019       155107     SH        SOLE     81898    0    73209 
PROVIDENCE & WORCESTER R            COMMON           743737108          798       71700      SH        SOLE       0      0    71700 
RAILTEX INC                         COMMON           750766107          141       12400      SH        SOLE       0      0    12400 
RAINBOW RENTALS INC                 COMMON           750857104         1170       117000     SH        SOLE       0      0    117000
RANGE RES CORP                      COMMON           75281A109          353       100900     SH        SOLE     58900    0    42000 
RATIONAL SOFTWARE CORP             COM NEW           75409P202         2247       83800      SH        SOLE     44700    0    39100 
RAYONIER INC                        COMMON           754907103         2840       70900      SH        SOLE     36100    0    34800 
REALNETWORKS INC                    COMMON           75605L104          513        4200      SH        SOLE     2400     0     1800 
REALTY INFORMATION GROUP            COMMON           75612B107          693       23700      SH        SOLE       0      0    23700 
REPUBLIC SECURITY FINL C            COMMON           760758102         1063       114900     SH        SOLE       0      0    114900
RESMED INC                          COMMON           761152107          229        8100      SH        SOLE       0      0     8100 
RESORTQUEST INTL INC                COMMON           761183102         1192       74500      SH        SOLE       0      0    74500 
ROCKY SHOES & BOOTS INC             COMMON           774830103          339       59600      SH        SOLE       0      0    59600 
SCIENTIFIC ATLANTA INC              COMMON           808655104         5153       189100     SH        SOLE     99900    0    89200 
SERENA SOFTWARE INC                 COMMON           817492101         1558       111300     SH        SOLE     48800    0    62500 
SONOSITE INC                        COMMON           83568G104         2386       173563     SH        SOLE     65131    0    108432
SYNCOR INTL CORP DEL                COMMON           87157J106          365       13100      SH        SOLE       0      0    13100 
TERAYON COMMUNICATION SY            COMMON           880775101         3008       75200      SH        SOLE     21900    0    53300 
TRACTOR SUPPLY CO                   COMMON           892356106         7905       309250     SH        SOLE    139300    0    169950
TRIGON HEALTHCARE INC               COMMON           89618L100         3596       105000     SH        SOLE     55200    0    49800 
TYLER CORP DEL                      COMMON           902184100          345       78800      SH        SOLE       0      0    78800 
U S BIOSCIENCE INC              COM PAR $0.01        911646206          186       17100      SH        SOLE       0      0    17100 
USFREIGHTWAYS CORP                  COMMON           916906100         7477       227450     SH        SOLE    121900    0    105550
USWEB CORP                          COMMON           917327108         3506       85000      SH        SOLE     45100    0    39900 
VANS INC                            COMMON           921930103          536       76600      SH        SOLE       0      0    76600 
VERISIGN INC                        COMMON           92343E102         3234       21000      SH        SOLE     11100    0     9900 
VICON INDS INC                      COMMON           925811101          244       34900      SH        SOLE       0      0    34900 
WHITTMAN-HART INC                   COMMON           966834103          821       38200      SH        SOLE     20300    0    17900 
</TABLE>                                            


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