EDGEWOOD MANAGEMENT CO/NY/
13F-HR, 1999-08-16
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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: June 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:    Edgewood Management Company
Address: 675 Third Avenue
         New York, New York  10017


Form 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,
schedules, lists, and tables, are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:    Donna DeNoia
Title:   Managing Director
Phone:   (212) 687-7480

Signature, Place, and Date of Signing:

         /s/ Donna DeNoia        New York, New York     8/16/99
         _______________________ _____________________ _________
              [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:     179

Form 13F Information Table Value Total:     $1,448,614,907



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>
                                                   EDGEWOOD MANAGEMENT COMPANY

                                                 DISCRETIONARY OWNERSHIP FOR 13f
                                                      AS OF DATE:  06/30/99

<CAPTION> (ITEM 1)          (ITEM 2)    (ITEM 3)   (ITEM 4)   ITEM 5           ITEM 6          ITEM 7            ITEM 8
          --------          --------    --------   --------   ------           ------          -------           ------
                                                                            INVESTMENT                           VOTING AUTHORITY
                                                                            DISCRETION                              (SHARES)
                                                                           ------------                          ----------------
                                                     FAIR
                                          CUSIP     MARKET    SHRS OR   SOLE  SHARED   SHARED           SOLE    SHARED    NONE
       NAME OF ISSUER    TITLE OF CLASS  NUMBER      VALUE    PRN AMT    (A)    (B)   OTHER (C)  MGR     (A)      (B)      (C)
- -----------------------  -----------------------   --------   -------   ----   -----  --------- -----  ------  --------  -------
<C>                      <C>           <C>         <C>         <C>        <C>  <C>    <C>       <C>   <C>          <C>   <C>

ABBOTT LABS              COMMON        002824100   28,653,859    631,490  X                             631,490    0           0
ACE LTD ORD              COMMON        G0070K103      474,600     16,800  X                              16,800    0           0
AES CORP                 COMMON        00130H105   25,979,550    446,960  X                             446,960    0           0
AES JR SUB DEB CONV 4    CONVERT       00130HAN5    1,718,310  1,397,000  X                           1,397,000    0           0
AFFYMETRIX INC OC-CAP    COMMON        00826T108      493,750     10,000  X                              10,000    0           0
AMERICA ONLINE INC CO    COMMON        02364J104    7,090,050     64,455  X                              64,455    0           0
AMERICAN ELECTRIC POW    COMMON        025537101      274,206      7,300  X                               7,300    0           0
AMERICAN EXPRESS CO      COMMON        025816109    1,078,606      8,289  X                               8,289    0           0
AMERICAN GENERAL CORP    COMMON        026351106   36,010,331    477,749  X                             477,749    0           0
AMERICAN HOME PRODS C    COMMON        026609107    1,598,238     27,856  X                              27,856    0           0
AMERICAN INTL GROUP I    COMMON        026874107    2,954,700     25,200  X                              25,200    0           0
AMERITECH CORP NEW       COMMON        030954101      609,168      8,288  X                               8,288    0           0
APPLIED MATLS INC        COMMON        038222105    8,723,160    118,080  X                             118,080    0           0
ARADIGM CORP COM         COMMON        038505103      286,343     32,264  X                              32,264    0           0
ARCHSTONE COMMUNITIES    COMMON        039581103   10,954,502    499,350  X                             499,350    0           0
ASSOCIATED TECHNOLOGI    COMMON        045835899      313,694    209,129  X                             209,129    0           0
AT & T CORP.             COMMON        001957109   21,502,157    385,257  X                             385,257    0           0
ATLANTIC RICHFIELD CO    COMMON        048825103      497,865      5,958  X                               5,958    0           0
AT&T CORP LIBERTY MED    COMMON        001957208      508,326     13,832  X                              13,832    0           0
AUTOMATIC DATA PROCES    COMMON        053015103      240,152      5,458  X                               5,458    0           0
BANK NEW YORK INC        COMMON        064057102   48,881,031  1,332,362  X                           1,332,362    0           0
BANK OF AMERICA          COMMON        060505104      834,003     11,376  X                              11,376    0           0
BANK OF NEW YORK CAP     PREFERR       096564208      388,237     15,300  X                              15,300    0           0
BANK OF NY CAP III TR    PREFERR       05563W206      972,500     40,000  X                              40,000    0           0
BANK ONE CDR P Co M      COMMON        06423A103    1,778,596     29,861  X                              29,861    0           0
BA N KBOST 0 N CORP.     COMMON        06605R106      290,390      5,680  X                               5,680    0           0
BELL ATLANTIC CORP       COMMON        077853109    1,320,575     20,200  X                              20,200    0           0
BELLSOUTH CORP           COMMON        079860102      369,000      8,000  X                               8,000    0           0
BERKSHIRE HATHAWAY IN    COMMON        084670108      757,900         11  X                                  11    0           0
BERKSHIRE HATHAWAY IN    COMMON        084670207    2,054,080        917  X                                 917    0           0
BIOMATRIX INC COM        COMMON        0906OP102      258,750     12,000  X                              12,000    0           0
BNY CAPITAL IV 6.875%    PREFERR       09656G201      233,750     10,000  X                              10,000    0           0
BOEING CO                COMMON        097023105    1,792,472     40,738  X                              40,738    0           0
BP AMOCO ADR             COMMON        055622104    5,324,648     49,075  X                              49,075    0           0



<PAGE>

BRISTOL MYERS SQUIBB     COMMON        110122108   68,440,808    971,653  X                             971,653    0           0
CBS CORPORATION          COMMON        12490K107    1,568,250     36,000  X                              36,000    0           0
CHEVRON CORP             COMMON        166751107    4,632,586     48,732  X                              48,732    0           0
CHUBB CORP               COMMON        171232101      842,340     12,120  X                              12,120    0           0
Cisco SYS INC            COMMON        17275R102   79,696,071  1 235,598  X                           1,235,598    0           0
CMGI INC COM             COMMON        125750109      663,844      5,820  X                               5,820    0           0
COCA COLA CO             COMMON        191216100   11,905,426    192,023  X                             192,023    0           0
COLGATE PALMOLIVE CO     COMMON        194162103  215,730,661  4,380,318  X                           4,380,318    0           0
COMCAST CORP CL A SPL    COMMON        200300200      421,275     10,960  X                              10,960    0           0
COMPAQ COMPUTER CORP     COMMON        204493100      931,156     39,310  X                              39,310    0           0
COMPUTER ASSOC INTL I    COMMON        204912109   31,679,993    578,630  X                             578,630    0           0
CONCORD EFS INC COM      COMMON        206197105    1,057,813     25,000  X                              25,000    0           0
CORNING INC              COMMON        219350105      907,207     12,937  X                              12,937    0           0
DELTA & PINE LD CO CO    COMMON        247357106    1,442,196     45,784  x                              45,784    0           0
DISNEY WALT PRODTNS      COMMON        254687106    5,653,447    183,479  X                             183,479    0           0
DOW CHEMICAL CORP        COMMON        260543103    1,716,746     13,531  X                              13,531    0           0
DU PONT E I DE NEMOUR    COMMON        263534109    1,073,121     15,709  X                              15,709    0           0
E M C CORP MASS COM      COMMON        268648102      902,000     16,400  X                              16,400    0           0
EDWARDS J D & CO COM     COMMON        281667105      494,875     26,750  X                              26,750    0           0
EMERSON ELEC CO          COMMON        291011104      771,110     12,252  X                              12,252    0           0
EQUIFAX INC              COMMON        294429105   39,631,540  1,110,516  X                           1,110,516    0           0
EXODUS COMMUNICATIONS    COMMON        302088109    4,077,875     34,000  X                              34,000    0           0
EXXON CORP               COMMON        302290101   15,116,731    196,003  X                             196,003    0           0
FEDERAL HOME LN MTG C    COMMON        313400301      338,720      5,840  X                               5,840    0           0
FEDERAL NAT MORTGAGE     COMMON        313586109   56,428,895    826,797  X                             826,797    0           0
FIFTH 3RD BANCORP        COMMON        316773100      269,778      4,053  X                               4,053    0           0
FIRST DATA CORP          COMMON        319963104   25,940,986    530,084  X                             530,084    0           0
FIRSTAR CORP NEW WIS     COMMON        33763V109    5,357,016    191,322  X                             191,322    0           0
FIRSTENERGY CORP COM     COMMON        337932107      310,000     10,000  X                              10,000    0           0
FOCAL INC COM            COMMON        343909107      150,000     20,000  X                              20,000    0           0
FORD MOTOR CO. 8.25%     PREFERR       345370407      229,000      8,000  X                               8,000    0           0
FREEPORT MCMORAN COPP    COMMON        35671D857    1,006,975     56,138  X                              56,138    0           0
GELTEX PHARMACEUTICAL    COMMON        368538104      540,000     30,000  X                              30,000    0           0
GENE LOGIC INC COM       COMMON        368689105      145,000     40,000  X                              40,000    0           0
GENERAL ELEC CO          COMMON        369604103   20,730,076    183,452  X                             183,452    0           0
GENZYME CORP             COMMON        372917104   17,323,715    357,190  X                             357,190    0           0
GENZYME CORP COM-MLCL    COMMON        372917500       43,706     15,893  X                              15,893    0           0
GENZYME CORP-TISSUE R    COMMON        372917401       54,986     27,070  X                              27,070    0           0
GTE CORP                 COMMON        362320103      674,139      8,929  X                               8,929    0           0
HEWLETT PACKARD CO       COMMON        428236103   13,554,938    134,875  X                             134,875    0           0
HISPANIC BROADCASTING    COMMON        43357B104   34,734,285    457,783  X                             457,783    0           0
HOME DEPOT INC           COMMON        437076102   33,747,916    523,731  X                             523,731    0           0
HONEYWELL INC            COMMON        438506107      356,779      3,079  X                               3,079    0           0
HOUSEHOLD INTL CORP      COMMON        441815107      593,703     12,532  X                              12,532    0           0
IDEXX LABORATORIES CO    COMMON        45168D104      698,816     29,976  X                              29,976    0           0
1 GEN INC COM            COMMON        449536101      655,312     22,500  X                              22,500    0           0
INKTOMI CORP COM         COMMON        457277101    1,315,000     10,000  X                              10,000    0           0
INSO CORP COM            COMMON        457674109       88,688     16,500  X                              16,500    0           0
INTEL CORP               COMMON        458140100   15,188,922    255,276  X                             255,276    0           0
INTER TEL INC            COMMON        458372109    4,309,646    236,145  x                             236,145    0           0
INTERNATIONAL BUSINES    COMMON        459200101    3,646,401     28,212  X                              28,212    0           0



<PAGE>

INTERNATIONAL PAPER C    COMMON        460146103      516,721     10,283  X                              10,283    0           0
JOHNSON & JOHNSON        COMMON        478160104   20,905,360    213,320  X                             213,320    0           0
LIBERTY PROPERTIES SE    PREFERR       531172203      760,000     32,000  X                              32,000    0           0
LILLY ELI & CO           COMMON        532457108    2,909,407     40,620  X                              40,620    0           0
LONE STAR TECHNOLOGIE    COMMON        542312103      193,475     10,900  X                              10,900    0           0
LORAL SPACE & COMMNIC    COMMON        G56462107      180,000     10,000  x                              10,000    0           0
LUCENT TECHNOLOGIES I    COMMON        549463107   10,102,204    149,801  x                             149,801    0           0
MANNESMANN A G SPONSO    COMMON        563775303    2,486,505     16,660  x                              16,660    0           0
MARINE DRILLING CO IN    COMMON        568240204      143,719     10,500  x                              10,500    0           0
MARRIOTT INTL INC NEW    COMMON        571903202    1,258,043     33,660  x                              33,660    0           0
MAVERICK TUBE CORP CO    COMMON        577914104      355,406     25,500  x                              25,500    0           0
MAY DEPT STORES CO       COMMON        577778103      539,550     13,200  x                              13,200    0           0
MBIA INC                 COMMON         55262000      582,750      9,000  x                               9,000    0           0
MCGRAW HILL INC          COMMON        580645109    5,394,181    100,008  x                             100,008    0           0
MEDTRONIC INC            COMMON        585055106    1,588,650     20,400  x                              20,400    0           0
MELLON BK CORP COM       COMMON        585509102      349,200      9,600  x                               9,600    0           0
MERCK & CO               COMMON        589331107   37,827,715    513,789  x                             513,789    0           0
MERRILL LYNCH PFD 7.2    PREFERR       59021K205      434,987     17,800  x                              17,800    0           0
MICROSOFT CORP           COMMON        594918104   21,408,168    237,374  x                             237,374    0           0
MID-ATLANTIC RLTY TR     CONVERT       595232AA7      237,500    250,000  x                             250,000    0           0
MILLENNIUM PHARMACTCL    COMMON        599902103      792,000     22,000  x                              22,000    0           0
MINNESOTA MNG & MFG C    COMMON        604059105   91,123,628  1,048,151  x                           1,048,151    0           0
MOBIL CORP               COMMON        607059102    6,199,031     62,775  x                              62,775    0           0
MORGAN J.P. & CO INC     COMMON        616880100    5,527,832     39,344  x                              39,344    0           0
MORGAN STANLEY DEAN W    COMMON        617446448    1,513,513     14,748  x                              14,748    0           0
MOTOROLA CAP TR. PFD     PREFERR       620074203    1,028,500     44,000  x                              44,000    0           0
MOTOROLA INC             COMMON        620076109      824,136      8,698  x                               8,698    0           0
MULTEX SYS INC COM       COMMON        625367107      418,000     16,000  x                              16,000    0           0
MUNIYIELD NY INSD F D    PREFERR       626301204      250,000         10  x                                  10    0           0
N S GROUP INC COM        COMMON        628916108      192,400     20,800  x                              20,800    0           0
NATIONAL CITY CORP CO    COMMON        635405103      550,200      8,400  x                               8,400    0           0
NCT GROUP INC COM        COMMON        628880109        3,281     14,000  x                              14,000    0           0
NOVARTIS AG SPONSORED    COMMON        66987V109   10,160,866    137,309  x                             137,309    0           0
OCEAN ENERGY INC.        COMMON        67481E106      262,146     27,236  x                              27,236    0           0
OMNICOM GROUP            COMMON        681919106      440,000      5,500  x                               5,500    0           0
ORACLE SYS CORP          COMMON        68389X105    2,545,661     68,570  x                              68,570    0           0
PANAMSAT CORP NEW COM    COMMON        697933109    2,626,334     67,450  x                              67,450    0           0
PATHOGENESIS CORP COM    COMMON        70321E104      177,344     12,500  x                              12,500    0           0
PEGASUS COMMUNICATION    COMMON        705904100      394,375     10,000  x                              10,000    0           0
PEPSICO INC              COMMON        713448108    5,030,342    130,025  x                             130,025    0           0
PFIZER INC               COMMON        717081103   18,292,816    503,472  x                             503,472    0           0
PHILIP MORRIS CO.        COMMON        718154107      777,950     19,358  x                              19,358    0           0
PNC FINANCIAL CORP       COMMON        693475105    4,322,278     75,007  x                              75,007    0           0
PRIMARK CORP COM         COMMON        741903108      224,500      8,000  x                               8,000    0           0
PROCTER & GAMBLE CO      COMMON        742718109   10,895,997    122,084  x                             122,084    0           0
PROGENICS PHARMACEUTI    COMMON        743187106      499,500     36,000  x                              36,000    0           0
PROLOGIS TR PFD CNV S    CONVERT       743410300      207,500      8,000  x                               8,000    0           0
PROLOGIS TR PFD SH BN    PREFERR       743410201      200,000      8,000  x                               8,000    0           0
PROLOGIS TR PFD SH BN    PREFERR       743410508      408,000     17,000  x                              17,000    0           0
PROLOGIS TR SH BEN IN    COMMON        743410102   10,093,086    498,424  x                             498,424    0           0
REGENCY RLTY CORP COM    COMMON        758939102    1,859,050     84,743  X                              84,743    0           0



<PAGE>

REUTERS GROUP PLC-SPO    COMMON        76132M102   23,710,943    292,502  X                             292,502    0           0
ROYAL DUTCH PETRO-NY     COMMON        780257804    1,502,756     24,942  X                              24,942    0           0
ROYCE VALUE TRUST 8.0    PREFERR       780910204      404,000     16,000  X                              16,000    0           0
SBC COMMUNICATIONS, I    COMMON        78387G103      233,392      4,024  X                               4,024    0           0
SCHERING PLOUGH CORP     COMMON        806605101    1,327,043     25,277  X                              25,277    0           0
SCHLUMBERGER             COMMON        806857108   14,611,568    229,426  X                             229,426    0           0
SEALED AIR CORP NEW C    COMMON        812llKlOO   13,688,301    210,995  X                             210,995    0           0
SEALED AIR CORP NEW P    CONVERT       81211K209    2,287,500     36,600  X                              36,600    0           0
SEARS ROEBUCK & CO       COMMON        812387108      425,171      9,541  X                               9,541    0           0
SERVICEMASTER COMPANY    COMMON        8176ON109      900,844     48,045  X                              48,045    0           0
SEVEN SEAS PETE INC C    COMMON        817917107       27,500     10,000  X                              10,000    0           0
SHELL TRANS & TRADING    COMMON        822703609      301,623      6,504  X                               6,504    0           0
SOUTHERN UN CO NEW CO    COMMON        844030106      731,518     35,315  X                              35,315    0           0
SPRINT CORP COM          COMMON        852061100      399,514      7,538  X                               7,538    0           0
ST PAUL COS INC COM      COMMON        792860108      283,004      8,896  X                               8,896    0           0
STOCKER & YALE INC NE    COMMON        86126T203       24,469     14,500  X                              14,500    0           0
SUMMIT BANCORP COM       COMMON        866005101    2,323,706     55,574  X                              55,574    0           0
SUN MICROSYSTEM INC C    COMMON        866810104      261,725      3,800  X                               3,800    0           0
SYBRON CORP DEL          COMMON        87114F106   19,855,722    720,389  X                             720,389    0           0
SYMBOL TECHNOLOGIES I    COMMON        871508107      259,969      7,050  X                               7,050    0           0
TANDY CORP               COMMON        875382103      396,083      8,104  X                               8,104    0           0
TCI COMMUNICATIONS FI    PREFERR       87228U205      779,375     29,000  X                              29,000    0           0
THE CHASE MANHATTAN C    COMMON        16161A108      386,136      4,464  X                               4,464    0           0
TIME WARNER CAP 1 8.8    PREFERR       88731G204    1,290,075     50,100  X                              50,100    0           0
TIME WARNER INC          COMMON        887315109   47,784,418    657,961  X                             657,961    0           0
TRAVELERS P & C CAPIT    PREFERR       893931204      653,250     26,000  X                              26,000    0           0
TRIBUNE CO               COMMON        896047107   18,856,899    216,435  X                             216,435    0           0
US TR CORP NEW COM       COMMON         91288005      355,940      3,848  X                               3,848    0           0
UNION PAC CORP           COMMON        907818108      416,235      7,138  X                               7,138    0           0
UNITED TECHNOLOGIES C    COMMON        913017109      259,200      3,600  X                               3,600    0           0
UNOCAL CORP              COMMON        915289102      216,590      5,466  X                               5,466    0           0
UST INC                  COMMON        902911106      383,994     13,100  X                              13,100    0           0
VERTEX PHARMACEUTICAL    COMMON        92532F100      482,500     20,000  X                              20,000    0           0
VIROPHARMA INC COM       COMMON        928241108    2,053,823    267,164  X                             267,164    0           0
VISX INC DEL COM         COMMON        92844S105      387,227      4,890  X                               4,890    0           0
VODAFONE AIRTOUCH PLC    COMMON        92857T107   45,288,330    229,890  X                             229,890    0           0
WAL MART STORES INC      COMMON        931142103    6,290,063    130,364  X                             130,364    0           0
WALDEN RESIDENTIAL PP    COMMON        931210108      773,076     35,957  X                              35,957    0           0
WARNER LAMBERT CO        COMMON        934488107    3,195,441     46,227  X                              46,227    0           0
WASHINGTON MUT INC CO    COMMON        939322103    2,490,762     70,039  X                              70,039    0           0
WESTPOINT STEVENS INC    COMMON        961238102      555,228     18,624  X                              18,624    0           0
XEROX CORP               COMMON        984121103    2,516,062     42,600  X                              42,600    0           0
XL CAPITAL LTD.          COMMON        G98255105      222,158      3,932  x                               3,932    0           0

TOTAL                                           1,448,614,907
</TABLE>
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