EDGEWOOD MANAGEMENT CO/NY/
13F-HR, 1999-05-18
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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: 

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     5/17/99  
         _______________________ _____________________ _________
              [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:     190

Form 13F Information Table Value Total:     $1,407,374
                                              [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.]



<PAGE>

<TABLE>
                   Form 13F INFORMATION TABLE

<CAPTION>
          COLUMN 1          COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 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   28,458,489    607,925  X                             580,705    0      27,220
ABN AMRO CAP FDG TR I    PREFERR       00371T206      200,000      8,000  X                               8,000    0           0
ACE LTD ORD              COMMON        G0070K103      555,137     17,800  X                              17,800    0           0
AES CORP                 COMMON        00130H105   17,066,274    458,155  X                             423,805    0      34,350
AES JR SUB DEB CONV 4    CONVERT       00130HAN5    1,355,090  1,397,000  X                           1,397,000    0           0
AFFYMETRIX INC OC-CAP    COMMON        00826T108      348,125     10,000  X                              10,000    0           0
AIR TOUCH COMMUNICATI    COMMON        00949T100      227,455      2,354  X                               2,354    0           0
AIRTOUCH COMMUNICATIO    CONVERT       00949T308      224,077      1,666  X                                 166    0       1,500
ALLSTATE CORP            COMMON        020002101      512,000     13,814  X                              13,814    0           0
AMBAC FINANCIAL GROUP    PREFERR       023139306      201,000      8,000  X                               8,000    0           0
AMERICA ONLINE INC CO    COMMON        02364J104    9,166,185     62,355  X                              62,355    0           0
AMERICAN ELECTRIC POW    COMMON        025537101      289,719      7,300  X                               7,300    0           0
AMERICAN EXPRESS CO      COMMON        025816109    1,082,005      9,189  X                               9,189    0           0
AMERICAN GENERAL CORP    COMMON        026351106   34,171,420    484,701  X                             484,621    0          80
AMERICAN HOME PRODS C    COMMON        026609107    2,016,225     30,900  X                              26,256    0       4,644
AMERICAN INTL GROUP I    COMMON        026874107    3,072,560     25,472  X                              25,472    0           0
AMERITECH CORP NEW       COMMON        030954101      477,596      8,288  X                               8,288    0           0
APPLIED MATLS INC        COMMON        038222105    8,304,618    134,624  X                             134,624    0           0
ARADIGM CORP COM         COMMON        038505103      294,409     32,264  X                              32,264    0           0
ARCHSTONE COMMUNITIES    COMMON        039581103   10,075,611    500,652  X                             500,652    0           0
ASSOCIATED TECHNOLOGI    COMMON        045835899      313,694    209,129  X                             209,129    0           0
AT & T CORP.             COMMON        001957109   16,622,869    312,411  X                             285,561    0      26,850
ATLANTIC RICHFIELD CO    COMMON        048825103      472,972      6,468  X                               5,958    0         510
AT&T CORP LIBERTY MED    COMMON        001957208      265,388      5,046  X                               5,046    0           0
AUTOMATIC DATA PROCES    COMMON        053015103      225,825      5,458  X                               5,458    0           0
BANK NEW YORK INC        COMMON        064057102   49,648,087  1,381,512  X                           1,337,017    0      44,495
BANK OF NEW YORK CAP     PREFERR       096564208      421,762     16,300  X                              16,300    0           0
BANK OF NY CAP III TR    PREFERR       05563W206    1,005,000     40,000  X                              40,000    0           0
BANK ONE CORP COM        COMMON        06423A103    1,615,589     29,341  X                              29,341    0           0
BANKAMERICA CORP NEW     COMMON        06605F102    1,367,794     19,367  X                              19,367    0           0
BANKBOSTON CORP.         COMMON        06605R106      246,015      5,680  X                               5,680    0           0
BELL ATLANTIC CORP       COMMON        077853109    1,126,787     21,800  X                              20,200    0       1,600
BELLSOUTH CORP           COMMON        079860102      531,870     13,276  X                               8,000    0       5,276
BERKSHIRE HATHAWAY IN    COMMON        084670108      785,400         11  X                                  11    0           0
BERKSHIRE HATHAWAY IN    COMMON        084670207    2,280,470        970  X                                 970    0           0
BIOMATRIX INC COM        COMMON        0906OP102      468,000     12,000  X                              12,000    0           0



<PAGE>

BNY CAPITAL IV 6.875%    PREFERR       09656G201      248,125     10,000  X                              10,000    0           0
BOEING CO                COMMON        097023105    1,431,672     42,108  X                              42,108    0           0
BP AMOCO ADS             COMMON        055622104    5,727,316     56,706  X                              56,442    0         264
BRISTOL MYERS SQUIBB     COMMON        110122108   65,795,136  1,026,045  X                             988,900    0      37,145
CATERPILLAR TRACTOR      COMMON        149123101      786,450     17,120  X                              17,120    0           0
CBS CORPORATION          COMMON        12490K107    1,469,250     36,000  X                              36,000    0           0
CHEVRON CORP             COMMON        166751107    4,502,465     50,732  X                              48,732    0       2,000
CHUBB CORP               COMMON        171232101      770,331     13,154  X                              13,154    0           0
CISCO SYS INC            COMMON        17275R102   71,884,942    656,109  X                             635,407    0      20,702
COCA COLA CO             COMMON        191216100   11,979,172    195,180  X                             194,980    0         200
COLGATE PALMOLIVE CO     COMMON        194162103  210,029,836  2,282,933  X                           2,264,493    0      18,440
COMCAST CORP CL A SPL    COMMON        200300200      298,953      4,750  X                               4,750    0           0
COMPAQ COMPUTER CORP     COMMON        204493100    1,379,040     43,520  X                              43,520    0           0
COMPUTER ASSOC INTL I    COMMON        204912109   19,854,046    558,286  X                             521,231    0      37,055
CONAGRA INC              COMMON        205887102      205,000      8,000  X                               8,000    0           0
CORNING INC              COMMON        219350105      938,220     15,637  X                              13,437    0       2,200
DELTA & PINE LD CO CO    COMMON        247357106    1,407,858     45,784  X                              45,784    0           0
DISNEY WALT PRODTNS      COMMON        254687106    7,366,789    236,684  X                             231,729    0       4,955
DOW CHEMICAL CORP        COMMON        260543103    1,260,920     13,531  X                              13,531    0           0
DU PONT E I DE NEMOUR    COMMON        263534109      438,372      7,550  X                               7,550    0           0
E M C CORP MASS COM      COMMON        268648102      396,025      3,100  X                               2,800    0         300
EMERSON ELEC CO          COMMON        291011104      648,590     12,252  X                              12,252    0           0
EQUIFAX INC              COMMON        294429105   36,176,594  1,052,410  X                           1,001,705    0      50,705
EXODUS COMMUNICATIONS    COMMON        302088109    2,353,750     35,000  X                              35,000    0           0
EXXON CORP               COMMON        302290101   15,241,359    215,998  X                             211,720    0       4,278
FEDERAL HOME LN MTG C    COMMON        313400301      334,705      5,840  X                               5,840    0           0
FEDERAL NAT MORTGAGE     COMMON        313586109   56,639,990    817,906  X                             790,617    0      27,289
FIFTH 3RD BANCORP        COMMON        316773100      267,245      4,053  X                               4,053    0           0
FIRST DATA CORP          COMMON        319963104   22,320,587    522,119  X                             482,079    0      40,040
FIRSTAR CORP NEW WIS     COMMON        33763V109    5,707,773    191,322  X                             191,322    0           0
FIRSTENERGY CORP COM     COMMON        337932107      280,000     10,000  X                              10,000    0           0
FOCAL INC COM            COMMON        343909107      140,000     20,000  X                              20,000    0           0
FORD MOTOR CO. 8.25%     PREFERR       345370407      228,500      8,000  X                               8,000    0           0
FREEPORT MCMORAN COPP    COMMON        35671D857      623,464     57,330  X                              57,330    0           0
GELTEX PHARMACEUTICAL    COMMON        368538104      421,875     30,000  X                              30,000    0           0
GENE LOGIC INC COM       COMMON        368689105      195,000     40,000  X                              40,000    0           0
GENERAL ELEC CO          COMMON        369604103   23,036,882    208,243  X                             197,958    0      10,285
GENERAL MILLS INC        COMMON        370334104      421,110      5,573  X                               4,408    0       1,165
GENZYME CORP             COMMON        372917104   16,560,649    328,340  X                             301,590    0      26,750
GENZYME CORP COM-MLCL    COMMON        372917500       59,599     15,893  X                              15,893    0           0
GENZYME CORP-TISSUE R    COMMON        372917401       62,599     27,070  X                              27,070    0           0
GILLETTE CO              COMMON        375766102      420,520      7,075  X                               4,500    0       2,575
GTE CORP                 COMMON        362320103      594,654      9,829  X                               9,029    0         800
HEFTEL BROADCASTING C    COMMON        422799106   19,791,492    456,288  X                             456,288    0           0
HEWLETT PACKARD CO       COMMON        428236103    9,403,898    138,675  X                             138,675    0           0
HOME DEPOT INC           COMMON        437076102   32,292,125    518,749  X                             498,979    0      19,770
HONEYWELL INC            COMMON        438506107      237,369      3,131  X                               3,131    0           0
HOUSEHOLD INTL CORP      COMMON        441815107      585,460     12,832  X                              12,832    0           0
IDEXX LABORATORIES CO    COMMON        45168D104      717,550     29,976  X                              29,976    0           0
IGEN INC COM             COMMON        449536101      540,000     22,500  X                              22,500    0           0
INKTOMI CORP COM         COMMON        457277101      857,500     10,000  X                              10,000    0           0



<PAGE>

INTEL CORP               COMMON        458140100   15,110,201    254,220  X                             250,770    0       3,450
INTER TEL INC            COMMON        458372109    4,401,775    282,845  X                             282,845    0           0
INTERNATIONAL BUSINES    COMMON        459200101    2,784,952     15,712  X                              14,956    0         756
ISS GROUP INC OC-COM     COMMON        450306105      977,850     12,300  x                              12,300    0           0
JOHNSON & JOHNSON        COMMON        478160104   21,140,444    226,101  x                             224,781    0       1,320
KELLOGG CO               COMMON        487836108      244,803      7,240  x                               5,000    0       2,240
LIBERTY PROPERTIES SE    PREFERR       531172203      750,000     32,000  x                              32,000    0           0
LILLY ELI & CO           COMMON        532457108    3,651,323     43,020  x                              40,620    0       2,400
LORAL SPACE & COMMNIC    COMMON        G56462107      144,375     10,000  x                              10,000    0           0
LUCENT TECHNOLOGIES I    COMMON        549463107    8,347,211    154,578  x                             154,190    0         388
MANNESMANN A G SPONSO    COMMON        563775303    2,082,500     16,660  x                              16,660    0           0
MARRIOTT INTL INC NEW    COMMON        571903202    1,200,413     35,700  x                              35,700    0           0
MAVERICK TUBE CORP CO    COMMON        577914104      167,381     23,700  x                              23,700    0           0
MAY DEPT STORES CO       COMMON        577778103      516,450     13,200  x                              13,200    0           0
MBIA INC                 COMMON        55262C100      522,000      9,000  x                               9,000    0           0
MCGRAW HILL INC          COMMON        580645109    5,451,853    100,034  x                             100,034    0           0
MCKESSON HBOC INC.       COMMON        58155Q103   26,443,045    400,652  x                             377,272    0      23,380
MEDIA GEN INC CL A       COMMON        584404107      348,750      7,500  x                               7,500    0           0
MEDTRONIC INC            COMMON        585055106    1,653,125     23,000  x                              20,400    0       2,600
MELLON BK CORP COM       COMMON        585509102      387,062      5,500  x                               5,500    0           0
MERCK & CO               COMMON        589331107   44,635,554    557,074  x                             555,774    0       1,300
MERRILL LYNCH PFD 7.2    PREFERR       59021K205      451,675     17,800  x                              17,800    0           0
MICRON TECHNOLOGY INC    COMMON        595112103      212,025      4,400  x                               4,400    0           0
MICROSOFT CORP           COMMON        594918104   21,533,661    240,264  x                             226,184    0      14,080
MID-ATLANTIC RLTY TR     CONVERT       595232AA7      237,500    250,000  x                             250,000    0           0
MILLENNIUM PHARMACTCL    COMMON        599902103      687,500     22,000  x                              22,000    0           0
MINNESOTA MNG & MFG C    COMMON        604059105   79,439,090  1,122,814  x                           1,104,164    0      18,650
MOBIL CORP               COMMON        607059102    5,828,020     66,227  x                              66,227    0           0
MORGAN J.P. & CO INC     COMMON        616880100    5,155,594     41,788  x                              40,988    0         800
MORGAN STANLEY DEAN W    COMMON        617446448    1,473,878     14,748  x                              14,748    0           0
MOTOROLA CAP TR. PFD     PREFERR       620074203    1,050,500     44,000  x                              44,000    0           0
MOTOROLA INC             COMMON        620076109      637,129      8,698  x                               8,698    0           0
MULTEX SYS INC COM       COMMON        625367107      250,000      4,000  x                               4,000    0           0
MUNIYIELD NY INSD FD     PREFERR       626301204      250,000         10  x                                  10    0           0
NATIONAL CITY CORP CO    COMMON        635405103      797,297     12,012  x                               8,400    0       3,612
NCT GROUP INC COM        COMMON        62888Q109        5,320     14,000  x                              14,000    0           0
NEWELL RUBBERMAID INC    COMMON        651229106      359,465      7,568  x                               7,568    0           0
NEXTEL COMMUNICATIONS    COMMON        65332V103    1,176,358     32,119  x                              31,999    0         120
NOVARTIS AG SPONSORED    COMMON        66987V109   11,882,766    147,155  x                             133,865    0      13,290
OMNICOM GROUP            COMMON        681919106      471,951      5,904  x                               5,904    0           0
ORACLE SYS CORP          COMMON        68389X105    1,669,538     63,300  x                              63,300    0           0
PANAMSAT CORP NEW COM    COMMON        697933109    1,700,981     54,650  x                              54,650    0           0
PATHOGENESIS CORP COM    COMMON        70321E104      166,406     12,500  x                              12,500    0           0
PEPSICO INC              COMMON        713448108    5,393,415    137,631  x                             137,481    0         150
PFIZER INC               COMMON        717081103   21,196,005    152,764  x                             152,764    0           0
PHILIP MORRIS CO.        COMMON        718154107      952,103     27,058  x                              21,358    0       5,700
PNC FINANCIAL CORP       COMMON        693475105    4,167,576     75,007  x                              75,007    0           0
PRIMARK CORP COM         COMMON        741903108      331,500     15,600  x                              15,600    0           0
PRISON RLTY CORP COM     COMMON        74264N105      776,649     44,539  X                              44,539    0           0
PROCTER & GAMBLE CO      COMMON        742718109   12,494,279    127,574  X                             122,084    0       5,490
PROGENICS PHARMACEUTI    COMMON        743187106      540,000     36,000  X                              36,000    0           0



<PAGE>

PROLOGIS TR PFD CNV S    CONVERT       743410300      203,500      8,000  X                               8,000    0           0
PROLOGIS TR PFD SH BN    PREFERR       743410508      382,500     17,000  X                              17,000    0           0
PROLOGIS TR SH BEN IN    COMMON        743410102   10,434,315    508,991  X                             508,991    0           0
REUTERS GROUP PLC-SPO    COMMON        76132M102   26,276,604    302,465  X                             297,692    0       4,772
RITE AID CORP COM        COMMON        767754104      469,500     18,780  X                              18,780    0           0
ROYAL DUTCH PETRO-NY     COMMON        780257804    1,372,384     26,392  X                              25,992    0         400
ROYCE VALUE TRUST 8.0    PREFERR       780910204      408,000     16,000  X                              16,000    0           0
SBC COMMUNICATIONS, I    COMMON        78387G103      272,744      5,780  X                               4,024    0       1,756
SCHERING PLOUGH CORP     COMMON        806605101    1,628,604     29,477  X                              25,277    0       4,200
SCHLUMBERGER             COMMON        806857108   15,302,431    254,246  X                             230,506    0      23,740
SEALED AIR CORP NEW C    COMMON        812llKlOO   11,126,950    226,215  X                             200,815    0      25,400
SEALED AIR CORP NEW P    CONVERT       81211K209    1,811,700     36,600  X                              36,600    0           0
SEARS ROEBUCK & CO       COMMON        812387108      431,134      9,541  X                               9,541    0           0
SECURITY CAP GROUP IN    COMMON        81413P105      806,544      1,345  X                               1,345    0           0
SERVICEMASTER COMPANY    COMMON        8176ON109    2,158,812    106,280  X                              40,055    0      66,225
SEVEN SEAS PETE INC C    COMMON        817917107       50,000     10,000  X                              10,000    0           0
SHELL TRANS & TRADING    COMMON        822703609      264,225      6,504  X                               6,504    0           0
SOUTHERN UN CO NEW CO    COMMON        844030106      634,823     33,633  X                              33,633    0           0
SPRINT CORP COM          COMMON        852061100      369,833      3,769  X                               3,769    0           0
ST PAUL COS INC COM      COMMON        792860108      276,332      8,896  X                               8,896    0           0
SUMMIT BANCORP COM       COMMON        866005101    2,167,433     55,575  X                              55,575    0           0
SUN MICROSYSTEM INC C    COMMON        866810104      250,125      4,000  X                               4,000    0           0
SYBRON CORP DEL          COMMON        87114F106   19,191,100    767,644  X                             709,779    0      57,865
SYMBOL TECHNOLOGIES I    COMMON        871508107      279,000      6,200  X                               4,700    0       1,500
TANDY CORP               COMMON        875382103      258,568      4,052  X                               4,052    0           0
TCI COMMUNICATIONS FI    PREFERR       87228U205      793,875     29,000  X                              29,000    0           0
TEXACO INC               COMMON        881694103      417,226      7,352  X                               7,352    0           0
THE CHASE MANHATTAN C    COMMON        16161A108      397,435      4,884  X                               4,664    0         220
TIME WARNER CAP 1 8.8    PREFERR       88731G204    1,307,297     50,100  X                              50,100    0           0
TIME WARNER INC          COMMON        887315109   47,359,329    668,799  X                             636,261    0      32,538
TRAVELERS P & C CAPIT    PREFERR       893931204      661,375     26,000  X                              26,000    0           0
TRIBUNE CO               COMMON        896047107   15,086,943    230,555  X                             211,235    0      19,320
TWEEDY BROWNE FD INC     MUTUAL        901165100    3,152,215    174,348  X                             174,348    0           0
U S TR CORP NEW COM      COMMON        91288L105      322,567      4,348  X                               4,348    0           0
UNION CAMP CORP          COMMON        905530101      626,947      9,340  X                               9,340    0           0
UNION PAC CORP           COMMON        907818108      675,343     12,638  X                               8,638    0       4,000
UNITED TECHNOLOGIES C    COMMON        913017109      325,050      2,400  X                               2,400    0           0
UNOCAL CORP              COMMON        915289102      201,559      5,466  X                               5,466    0           0
UST INC                  COMMON        902911106      342,237     13,100  X                              13,100    0           0
VERTEX PHARMACEUTICAL    COMMON        92532F100      505,000     20,000  X                              20,000    0           0
VIROPHARMA INC COM       COMMON        928241108    1,207,480    191,284  X                             191,284    0           0
VISX INC DEL COM         COMMON        92844S105      215,125      2,000  X                               2,000    0           0
VODAFONE GROUP PLC       COMMON        92857T107   45,592,459    242,836  X                             233,656    0       9,180
WAL MART STORES INC      COMMON        931142103    6,278,706    136,216  X                             136,216    0           0
WALDEN RESIDENTIAL PP    COMMON        931210108      633,742     35,957  X                              35,957    0           0
WARBURG PINCUS INTL E    MUTUAL        933910101    1,912,133    106,171  X                             106,171    0           0
WARNER LAMBERT CO        COMMON        934488107    3,271,226     49,377  X                              49,377    0           0
WASHINGTON MUT INC CO    COMMON        939322103    2,862,844     70,039  X                              70,039    0           0
WELLS FARGO NEW          COMMON        949746101      254,974      7,272  X                               1,272    0       6,000



<PAGE>

WESTPOINT STEVENS INC    COMMON        961238102      515,652     18,624  x                              18,624    0           0
XEROX CORP               COMMON        984121103    2,241,375     43,000  X                              42,600    0         400
XL CAPITAL LTD.          COMMON        G98255105      311,344      5,125  X                               5,125    0           0

   TOTAL                                        1,407,374,150
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