SPEAR LEEDS & KELLOGG ET AL
13F-HR/A, 2000-01-26
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United States
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

THIS FILING LIST SECURITIES HOLDINGS REPORTED ON THE FORM 13F FILED ON 2/1/99
PURSUANT TO A REQUEST FOR CONFIDENTIAL TREATMENT AND FOR WHICH CONFIDENTIAL
TREATMENT EXPIRED ON 12/99




FORM 13F
FORM 13F COVER PAGE
Report for Calendar Year or Quarter Ended:  12/98
Check here if Amendment [X]; Amendment Number: [  2   ]
This Amendment (Check only one.):  [     ] is a restatement
                              [X] Adds new holdings entries.


Institutional Investment Manager Filing this Report:

Name:     Spear, Leeds & Kellogg
Address:  120 Broadway
          New York, NY 10271

13F File Number: 28-

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

Person Signing this report on Behalf of Reporting Manager:

NAME:     Carl H. Hewitt
Title:    General Counsel
Phone:    212-433-7015

Signature, Place, and Date of Signing:

____________________________       ________________________
[Signature]                        [City, State]

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 are reported 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).)





FORM 13F SUMMARY PAGE

Report Summary

Number of Other Included Managers: 0

Form 13F Information Table Entry Total: [ 65    ]

Form 13F Information Table Value Total: $_ 191,166  thousands)

List of Other Included Managers:

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

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.
<TABLE>
FORM 13F INFORMATION TABLE


         ISSUER           Class   CUSIP           FMV         SHARES    6
            1               2       3              4            5       6      7    8
<S>                       <C>   <C>            <C>            <S>     <S>   <S>  <S>
ALLEGIANCE CORPORATION    COMM  017475104      10,789,025.00  231,400 SOLE  SOLE SOLE
AMERICAN STORES-NEW       COMM  030096101       3,655,889.06   98,975 SOLE  SOLE SOLE
AMERIN CORPORATION        COMM  03070X106       2,445,612.50  100,850 SOLE  SOLE SOLE
AMP INC                   COMM  031897101      17,050,468.75  327,500 SOLE  SOLE SOLE
AMOCO CORP                COMM  031905102      29,441,000.00  499,000 SOLE  SOLE SOLE
ARTERIAL VASCULAR ENGR    COMM  043013101       9,857,244.38  188,430 SOLE  SOLE SOLE
INC
ASCEND COMMUNICATIONS INC PUT   043491959       1,275,550.00   19,400 SOLE  SOLE SOLE
ASCEND COMMUNICATIONS INC COMM  043491109         808,988.00   12,304 SOLE  SOLE SOLE
ASTRA AB SPONS ADR        AMER  046298105       1,175,050.00   56,800 SOLE  SOLE SOLE
ASTRA AB SPONS ADR        AMER  046298204         206,875.00   10,000 SOLE  SOLE SOLE
BANKERS TRUST CORPORATION COMM  066365107       6,877,718.75   80,500 SOLE  SOLE SOLE
BROUGHTON FOODS CO.       COMM  114838303       1,242,500.00   70,000 SOLE  SOLE SOLE
BRYLANE INC               COMM  117661108       1,557,750.00   67,000 SOLE  SOLE SOLE
CALIF FED BK  GOODWILL    COMM  130209604         662,725.00   54,100 SOLE  SOLE SOLE
CALIF FED BK A FED SVGS   COMM  130209703         134,102.50   11,060 SOLE  SOLE SOLE
BK L.A
CALUMET BANCORP INC       COMM  131386104         650,375.00   24,200 SOLE  SOLE SOLE
CELLULAR COMMUNICATIONS   COMM  150918100       1,201,220.00   17,665 SOLE  SOLE SOLE
INT'L
CILCORP INC               COMM  171794100       2,569,875.00   42,000 SOLE  SOLE SOLE
COLONIAL GAS CO           COMM  195674106       2,312,212.50   66,300 SOLE  SOLE SOLE
COLTEC INDUSTRIES INC     COMM  196879100       2,589,600.00  132,800 SOLE  SOLE SOLE
COMSAT CORP               CALL  20564D907       1,108,800.00   30,800 SOLE  SOLE SOLE
COMSAT CORP               PUT   20564D957         828,000.00   23,000 SOLE  SOLE SOLE
COMSAT CORP               COMM  20564D107       7,480,800.00  207,800 SOLE  SOLE SOLE
CRESTAR FINCL CORP        CALL  226091906       1,180,800.00   16,400 SOLE  SOLE SOLE
CRESTAR FINCL CORP        PUT   226091956         324,000.00    4,500 SOLE  SOLE SOLE
CRESTAR FINCL CORP        COMM  226091106      10,368,000.00  144,000 SOLE  SOLE SOLE
DELTA & PINE LAND CO      COMM  247357106       1,239,500.00   33,500 SOLE  SOLE SOLE
DISCREET LOGIC INC        COMM  25467V104       2,357,887.50  125,754 SOLE  SOLE SOLE
EAGLE HARDWARE & GARDEN   PUT   26959B951         744,625.00   23,000 SOLE  SOLE SOLE
INC
EAGLE HARDWARE & GARDEN   COMM  26959B101         741,452.25   22,902 SOLE  SOLE SOLE
INC
EASTERN ENVIRONMENTAL     COMM  276369105       2,929,111.63   99,082 SOLE  SOLE SOLE
SVCS INC
ENRON OIL & GAS CO        COMM  293562104       2,113,125.00  122,500 SOLE  SOLE SOLE
FIRST BRANDS CORP         COMM  319356101       7,879,612.50  199,800 SOLE  SOLE SOLE
FIRST WESTERN BANCORP COM COMM  337505101         258,059.38    8,225 SOLE  SOLE SOLE
GENERAL SCANNING INC      COMM  370737108         203,342.31   33,541 SOLE  SOLE SOLE
HBO & CO                  CALL  404100909       1,259,381.25   43,900 SOLE  SOLE SOLE
HBO & CO                  PUT   404100959         659,812.50   23,000 SOLE  SOLE SOLE
HBO & CO                  COMM  404100109       1,515,818.81   52,839 SOLE  SOLE SOLE
INTERCARGO CORP           COMM  45844C108         591,372.25   52,276 SOLE  SOLE SOLE
KAYNAR TECHNOLOGIES INC   COMM  486605108         271,250.00   10,000 SOLE  SOLE SOLE
LEARONAL INC              COMM  522016104         338,750.00   10,000 SOLE  SOLE SOLE
NETSCAPE COMMUNICATIONS   CALL  641149909       5,181,500.00   86,000 SOLE  SOLE SOLE
CRP
NETSCAPE COMMUNICATIONS   PUT   641149959       1,590,600.00   26,400 SOLE  SOLE SOLE
CRP
NETSCAPE COMMUNICATIONS   COMM  641149109       5,251,209.25   87,157 SOLE  SOLE SOLE
CRP
OCEAN ENERGY INC  NEW     COMM  674812201          94,687.50   15,000 SOLE  SOLE SOLE
ORXY ENERGY CO            PUT   68763F950         176,031.25   13,100 SOLE  SOLE SOLE
ORXY ENERGY CO            COMM  68763F100       3,234,406.25  240,700 SOLE  SOLE SOLE
PETERSEN COMPANIES INC CL A SH  716335104       1,869,900.00   55,200 SOLE  SOLE SOLE
A
POOL ENERGY SERVICES CO   PUT   732788954         109,650.00   10,200 SOLE  SOLE SOLE
POOL ENERGY SERVICES CO   COMM  732788104         167,936.50   15,622 SOLE  SOLE SOLE
PROVIDENT COMPANIES INC   COMM  743862104       2,050,100.00   49,400 SOLE  SOLE SOLE
DEL
QUICKTURN DESIGN SYS INC  COMM  74838E102         423,766.50   29,738 SOLE  SOLE SOLE
RIO HOTEL & CASINO INC    COMM  767147101       1,030,287.50   64,900 SOLE  SOLE SOLE
RIVAL COMPANY (THE)       COMM  768020109       1,670,537.50  124,900 SOLE  SOLE SOLE
SEQUUS PHARMACEUTICALS    COMM  817471105       1,586,856.25   78,850 SOLE  SOLE SOLE
INC
SOFAMOR/DANEK GROUP INC   COMM  834005100       4,407,350.00   36,200 SOLE  SOLE SOLE
TIG HOLDINGS INC          COMM  872469101       3,246,337.50  208,600 SOLE  SOLE SOLE
TELE-COMMUNICATIONS INC   CALL  87924V901         553,125.00   10,000 SOLE  SOLE SOLE
SER-A
TELE-COMMUNICATIONS INC   COMM  87924V101       3,447,406.88   62,326 SOLE  SOLE SOLE
SER-A
THERATECH INC (UTAH)      CALL  883383901         436,987.50   27,100 SOLE  SOLE SOLE
THERATECH INC (UTAH)      COMM  883383101       2,582,692.88  160,167 SOLE  SOLE SOLE
THERMO VOLTEK CORP        COMM  883602104         371,156.25   55,500 SOLE  SOLE SOLE
ELSAG BAILEY PROC         COMM  N2925S101       5,868,750.00  150,000 SOLE  SOLE SOLE
AUTMATION NV
UNION CAMP CORP           COMM  905530101       4,569,750.00   67,700 SOLE  SOLE SOLE
VINCAM GROUP INC          COMM  92719B104         348,250.00   19,900 SOLE  SOLE SOLE

                                              191,166,556.33

</TABLE>


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