GREYHOUND LINES INC
SC 13D/A, 1997-02-03
LOCAL & SUBURBAN TRANSIT & INTERURBAN HWY PASSENGER TRANS
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                                  UNITED STATES
                        SECURITIES AND EXCHANGE COMMISSION
                              Washington, D.C. 20549

                                   SCHEDULE 13D
                    Under the Securities Exchange Act of 1934
                                (Amendment No. 8)*


                              Greyhound Lines, Inc.
                                 (Name of Issuer)

                                   Common Stock
                          (Title of Class of Securities)

                                    398048108
                                  (CUSIP Number)

                                   David Carson
                                Compliance Officer
                           Connor, Clark & Company Ltd.
                           Scotia Plaza, 40 King Street
                               Suite 5110, Box 125
                             Toronto, Ontario M5H 3Y2
                                  (416) 360-0006
           (Name, Address and Telephone Number of Person Authorized to 
                       Receive Notices and Communications)

                                 January 30, 1997
             (Date of Event which Requires Filing of this Statement)

     If the filing person has previously filed a statement on Schedule 13G to
report the acquisition which is the subject of this Schedule 13D, and is filing
this schedule because of Rule 13d-1(b)(3) or (4), check the following box /X/.

     *  The remainder of this cover page shall be filled out for a reporting
person's initial filing on this form with respect to the subject class of
securities, and for any subsequent amendment containing information which would
alter disclosures provided in a prior cover page.

     The information required on the remainder of this cover page shall be
deemed to be "filed" for the purpose of Section 18 of the Securities Exchange
Act of 1934 ("Act") or otherwise subject to the liabilities of that section of
the Act but shall be subject to all other provisions of the Act.

     ** The total number of shares reported herein is 2,914,946 shares, which
constitutes approximately 5.0% of the total number of shares outstanding.  All
ownership percentages set forth herein assume that there are 58,313,927 shares
outstanding as last reported by the Issuer.
<PAGE>
<PAGE>
1.   Name of Reporting Person:

     Connor Clark & Company Ltd.

2.   Check the Appropriate Box if a Member of a Group:
                                                       (a) /   /
                                                            
                                                       (b) /   /

3.   SEC Use Only


4.   Source of Funds: 00-Client Funds

5.   Check box if Disclosure of Legal Proceedings is Required Pursuant to Items
     2(d) or 2(e):
                                                       /   /

6.   Citizenship or Place of Organization: Ontario, Canada


               7.   Sole Voting Power: -0-
Number of
Shares
Beneficially   8.   Shared Voting Power: 2,914,946
Owned By
Each
Reporting      9.   Sole Dispositive Power:  -0-
Person
With
               10.  Shared Dispositive Power: 2,914,946

11.  Aggregate Amount Beneficially Owned by Each Reporting Person:

     2,914,946

12.  Check Box if the Aggregate Amount in Row (11) Excludes Certain Shares:

                                                       /   /


13.  Percent of Class Represented by Amount in Row (11): 5.0%


14.  Type of Reporting Person: IA

<PAGE>
<PAGE>
    Pursuant to Rule 13d-2(a) of Regulation 13D-G of the General Rules and
Regulations under Act, the undersigned hereby amends its Schedule 13D Statement
dated August 5, 1994, as amended by Amendment No. 1 dated January 12, 1995, as
amended by Amendment No. 2 dated June 7, 1995, as amended by Amendment No. 3
dated January 29, 1996, as amended by Amendment No. 4 dated June 3, 1996, as
amended by Amendment No. 5 dated June 21, 1996, as amended by Amendment No. 6
dated November 12, 1996 and as amended by Amendment No. 7 dated January 6, 1997
(the "Schedule 13D"), relating to the Common Stock of Greyhound Lines, Inc. 
Unless otherwise indicated, all defined terms used herein shall have the same
meanings ascribed to them in the Schedule 13D.  
    
ITEM 5.   INTEREST IN SECURITIES OF THE ISSUER.

     Paragraphs (a) - (c) of Item 5 are hereby amended in their entireties to
read as follows:

     (a)  The aggregate number of shares of the Stock that Connor Clark owns
beneficially, pursuant to Rule 13d-3 of the Act, is 2,914,946, which constitutes
approximately 5.0% of the outstanding shares of the Stock.

     (b)  Connor Clark has shared power to vote or to direct the vote and to
dispose or to direct the disposition of 2,914,946 shares of the Stock.

     (c) Since the most recent filing on Schedule 13D, Connor Clark has sold
shares of the Stock in transactions on the American Stock Exchange as follows:

          DATE             NO. OF SHARES          PRICE PER 
                               SOLD                 SHARE

          01-07-97               621                $4.23
          01-08-97             2,953                 4.35
          01-10-97             1,609                 4.29
          01-14-97            10,000                 4.60
          01-15-97            67,221                 4.84
          01-15-97               300                 4.78
          01-16-97            39,647                 4.79
          01-16-97            13,000                 4.75
          01-17-97             1,500                 4.83
          01-20-97             4,000                 4.83
          01-21-97            11,994                 4.60
          01-22-97             5,140                 4.78
          01-23-97            47,000                 4.89
          01-23-97             2,854                 4.82
          01-24-97               400                 4.78
          01-27-97            12,548                 4.65
          01-27-97            84,200                 4.71
          01-28-97             5,274                 4.65
          01-28-97            21,954                 4.71
          01-28-97            13,019                 4.75
          01-28-97             3,585                 4.70
          01-29-97           192,585                 4.79
          01-30-97            12,000                 4.83
          01-30-97             8,000                 4.72
          01-30-97             3,132                 4.81
          01-30-97             5,179                 4.77
          01-31-97             6,019                 4.78
          01-31-97             9,000                 4.97
          01-31-97             3,700                 5.27

     In addition, since the most recent filing on Schedule 13D, holders of
accounts managed by Connor Clark have withdrawn approximately 53,257 shares of
the Stock in the aggregate from their accounts and have delivered 12,000 shares
of the Stock in the aggregate to their accounts.   

     Except as set forth in this paragraph (c), Connor Clark has not effected
any transactions in the shares of the Stock since the most recent filing on
Schedule 13D.

     Paragraph (e) of Item 5 is hereby amended in its entirety to read as
follows:  

     (e)  Connor Clark ceased to be the beneficial owner of more than five
percent of the outstanding Stock on January 31, 1997.

ITEM 7.   MATERIAL TO BE FILED AS EXHIBITS.

     24.1           Power of Attorney dated July 24, 1995 (previously filed).

     99.1           Joint Filing Agreement and Power of Attorney, dated August
                    5, 1994 (previously filed).

     99.2           Joint Filing Agreement dated January 9, 1995(previously
                    filed).

     99.3           Joint Filing Agreement and Power of Attorney dated January
                    10, 1995 (previously filed).

     99.4           Joint Filing Agreement and Power of Attorney dated January
                    10, 1995 (previously filed).

     99.5           Joint Filing Agreement and Power of Attorney dated June 6,
                    1995 (previously filed).

     99.6           Joint Filing Agreement and Power of Attorney dated January
                    26, 1996 (previously filed).
<PAGE>
<PAGE>
                                SIGNATURE

     After reasonable inquiry and to the best of its knowledge and belief, the
undersigned certifies that the information set forth in this statement is true,
complete and correct.

Dated:         January 31, 1997

                              CONNOR CLARK & COMPANY LTD.

                              By:   /s/ David Carson                        
                                   Name:  David Carson
                                   Title: Compliance Officer 
<PAGE>
<PAGE>

                                   EXHIBIT INDEX


    Exhibit No.        Description                           

     24.1           Power of Attorney dated July 24, 1995 (previously filed).

     99.1           Joint Filing Agreement and Power of Attorney, dated August
                    5, 1994 (previously filed).

     99.2           Joint Filing Agreement dated January 9, 1995(previously
                    filed).

     99.3           Joint Filing Agreement and Power of Attorney dated January
                    10, 1995 (previously filed).

     99.4           Joint Filing Agreement and Power of Attorney dated January
                    10, 1995 (previously filed).

     99.5           Joint Filing Agreement and Power of Attorney dated June 6,
                    1995 (previously filed).

     99.6           Joint Filing Agreement and Power of Attorney dated January
                    26, 1996 (previously filed).



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