AMERINDO INVESTMENT ADVISORS INC
13F-HR/A, 1999-11-29
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THIS FILING LISTS SECURITIES HOLDINGS REPORTED ON THE FORM 13F
FILED ON MAY 14, 1999 PURSUANT TO A REQUEST FOR CONFIDENTIAL
TREATMENT AND FOR WHICH CONFIDENTIAL TREATMENT EXPIRED
ON AUGUST 16, 1999.


                                 UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                   FORM 13F

                              FORM 13F COVER PAGE


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

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:              Amerindo Investment Advisors Inc.
Address:           One Embarcadero Center, Suite 2300
                   San Francisco, California 94111

Form 13F File Number:     28-2623

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:         Joaquin Garcia-Larrieu
Title:        Chief Financial Officer
Phone:        415-362-0292

Signature, Place, and Date of Signing:

  /s/ Joaquin Garcia-Larrieu   San Francisco, California    November 29, 1999


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:               1

Form 13F Information Table Entry Total:          158

Form 13F Information Table Value Total:          $3,360,705 (in 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.

       No.        13F File Number        Name

       01         To Be Determined       Amerindo Investment Advisors, Inc.

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                                                    FORM 13F INFORMATION TABLE
                                                       VALUE    SHARES/ SH/  PUT/  INVSTMT  OTHR     VOTING AUTHORITY
NAME OF ISSUER                TTL OF CLASS  CUSIP    (X$1000)  PRN  AMT PRN  CALL  DSCRETN  MGRS  SOLE    SHARED   NONE
<S>                           <C>           <C>      <C>       <C>      <C>  <C>   <C>      <C>   <C>     <C>      <C>
Ace Comm. Corp.               COM           004404109       4      1400  SH        DEFINED  01       1400      0      0
Actuate Software Corp.        COM           00508B102    4518    136900  SH        DEFINED  01     136900      0      0
Actuate Software Corp.        COM           00508B102   27208    824500  SH        SOLE            824500      0      0
Advanced Fibre Comm. Inc.     COM           00754A105    1119    116600  SH        DEFINED  01     116600      0      0
Advanced Fibre Comm. Inc.     COM           00754A105    8647    901300  SH        SOLE            901300      0      0
Advantage Learning Sys. Inc.  COM           00757K100     994     32000  SH        SOLE             32000      0      0
Advent Software Inc.          COM           007974108   11375    227500  SH        SOLE            227500      0      0
Alexion Pharmaceuticals Inc.  COM           015351109     178     21052  SH        DEFINED  01      21052      0      0
Alkermes Inc.                 COM           01642T108   10151    372500  SH        SOLE            372500      0      0
Alza Corp.                    COM           022615108      31       800  SH        DEFINED  01        800      0      0
Amazon.com Inc.               COM           023135106   57226    332350  SH        DEFINED  01     332350      0      0
Amazon.com Inc.               COM           023135106  374301   2173800  SH        SOLE           2173800      0      0
America Online Inc.           COM           02364J104     463      3150  SH        DEFINED  01       3150      0      0
America Online Inc.           COM           02364J104  264894   1802000  SH        SOLE           1802000      0      0
AnswerThink Cons. Group Inc.  COM           036916104      28      1000  SH        DEFINED  01       1000      0      0
Aquila BioPharm. Inc.         COM           03839F107       0        66  SH        DEFINED  01         66      0      0
ARIAD Pharmaceuticals Inc.    COM           04033A100     160    113928  SH        DEFINED  01     113928      0      0
Artisan Components Inc.       COM           042923102    2296    442600  SH        DEFINED  01     442600      0      0
Artisan Components Inc.       COM           042923102    6751   1301500  SH        SOLE           1301500      0      0
Aspect Development Inc.       COM           045234101      23      1000  SH        DEFINED  01       1000      0      0
At Home Corp.                 COM           045919107   14104     89550  SH        DEFINED  01      89550      0      0
At Home Corp.                 COM           045919107   70087    445000  SH        SOLE            445000      0      0
Autobytel.com Inc.            COM           05275N106      38       900  SH        DEFINED  01        900      0      0
Avant Corp.                   COM           053487104      71      4003  SH        DEFINED  01       4003      0      0
Avant Corp.                   COM           053487104   11795    664500  SH        SOLE            664500      0      0
Baan Company N.V.             COM           N08044104      47      5500  SH        DEFINED  01       5500      0      0
Balanced Care Corp.           COM           057630105     345    125400  SH        SOLE            125400      0      0
Biochem Pharma Inc.           COM           09058T108      21      1000  SH        DEFINED  01       1000      0      0
broadcast.com inc.            COM           111310108    2151     18200  SH        DEFINED  01      18200      0      0
broadcast.com inc.            COM           111310108  279750   2367000  SH        SOLE           2367000      0      0
Broadcom Corp.                COM           111320107    8899    144400  SH        DEFINED  01     144400      0      0
Broadcom Corp.                COM           111320107   29278    475100  SH        SOLE            475100      0      0
Cardiac Pathways Corp.        COM           141408104       5      3772  SH        SOLE              3772      0      0
Centocor Inc.                 COM           152342101     129      3500  SH        DEFINED  01       3500      0      0
Centocor Inc.                 COM           152342101   11358    307500  SH        SOLE            307500      0      0
Cephalon Inc.                 COM           156708109     439     50200  SH        DEFINED  01      50200      0      0
Cephalon Inc.                 COM           156708109   13228   1511800  SH        SOLE           1511800      0      0
CIENA Corp.                   COM           171779101     595     26456  SH        SOLE             26456      0      0
CMGI Inc.                     COM           125750109   47047    257000  SH        SOLE            257000      0      0
CNET Inc.                     COM           125945105     267      2900  SH        DEFINED  01       2900      0      0
Com21 Inc.                    COM           205937105    6688    254800  SH        DEFINED  01     254800      0      0
Concentric Network Corp.      COM           20589R107       3        38  SH        DEFINED  01         38      0      0
Concord Communications Inc.   COM           206186108    1161     20363  SH        SOLE             20363      0      0
Creative Biomolecules Inc.    COM           225270107      48     21000  SH        DEFINED  01      21000      0      0
Creative Biomolecules Inc.    COM           225270107     954    412500  SH        SOLE            412500      0      0
CV Therapeutics Inc.          COM           126667104      71     14524  SH        SOLE             14524      0      0
Cygnus Inc.                   COM           232560102    1696    226200  SH        DEFINED  01     226200      0      0
Cygnus Inc.                   COM           232560102   14482   1931000  SH        SOLE           1931000      0      0
Digital Microwave Corp.       COM           253859102      25      2940  SH        DEFINED  01       2940      0      0
Documentum Inc.               COM           256159104      86      5000  SH        DEFINED  01       5000      0      0
eBay Inc.                     COM           278642103    6852     49900  SH        DEFINED  01      49900      0      0
eBay Inc.                     COM           278642103  314775   2292400  SH        SOLE           2292400      0      0
Emisphere Technologies Inc.   COM           291345106    9585   1065000  SH        SOLE           1065000      0      0
Excite Inc.                   COM           300904109    8722     62300  SH        DEFINED  01      62300      0      0
Excite Inc.                   COM           300904109  128208    915770  SH        SOLE            915770      0      0
Exodus Communications Inc.    COM           302088109   40821    303500  SH        SOLE            303500      0      0
Finet Holdings Corp.          COM           317922300     245     50000  SH        DEFINED  01      50000      0      0
FlexiInternational Soft. Inc. COM           338923105     159    150000  SH        DEFINED  01     150000      0      0
Gateway 2000 Inc.             COM           367833100      34       500  SH        DEFINED  01        500      0      0
GelTex Pharmaceuticals Inc.   COM           368538104      15      1100  SH        DEFINED  01       1100      0      0
GelTex Pharmaceuticals Inc.   COM           368538104    7207    512500  SH        SOLE            512500      0      0
General Surgical Innov. Inc.  COM           371013103      38      9800  SH        DEFINED  01       9800      0      0
Genzyme Corp. Tissue Repair   COM           372917401      81     35279  SH        DEFINED  01      35279      0      0
Genzyme Corp. Tissue Repair   COM           372917401    2434   1052500  SH        SOLE           1052500      0      0
GeoCities Inc.                COM           37247V106   22871    208750  SH        SOLE            208750      0      0
Geron Corp.                   COM           374163103      10      1000  SH        DEFINED  01       1000      0      0
Global Crossing Ltd.          COM           G3921A100   41856    905000  SH        SOLE            905000      0      0
Health Systems Design Corp.   COM           421964107      83     14200  SH        DEFINED  01      14200      0      0
HNC Software Inc.             COM           40425P107     327     10000  SH        SOLE             10000      0      0
Hyperion Solutions Corp.      COM           44914M104    7308    504000  SH        SOLE            504000      0      0
i2 Technologies Inc.          COM           465754109    1064     40000  SH        SOLE             40000      0      0
IDX Systems Corp.             COM           449491109      29      2000  SH        DEFINED  01       2000      0      0
Industri-Matematik Int. Corp. COM           455792101      77     37800  SH        DEFINED  01      37800      0      0
Information Advantage Inc.    COM           45669P101      88     13300  SH        DEFINED  01      13300      0      0
Infoseek Corp.                COM           45678M107      67       900  SH        DEFINED  01        900      0      0
Inktomi Corp.                 COM           457277101   25047    292100  SH        DEFINED  01     292100      0      0
Inktomi Corp.                 COM           457277101  104701   1221000  SH        SOLE           1221000      0      0
Inprise Corp.                 COM           45766C102      30      7665  SH        SOLE              7665      0      0
IntelliCorp Inc.              COM           458153103       3      2500  SH        DEFINED  01       2500      0      0
International Network Svcs.   COM           460053101   32696    467500  SH        SOLE            467500      0      0
ISS Group Inc.                COM           450306105    6559     82500  SH        SOLE             82500      0      0
Liposome Co. Inc.             COM           536310105      20      1500  SH        DEFINED  01       1500      0      0
Lycos Inc.                    COM           550818108    3615     42000  SH        DEFINED  01      42000      0      0
Lycos Inc.                    COM           550818108    5250     61000  SH        SOLE             61000      0      0
Manhattan Associates Inc.     COM           562750109       5       500  SH        DEFINED  01        500      0      0
Manhattan Associates Inc.     COM           562750109   12810   1205700  SH        SOLE           1205700      0      0
Manugistics Group Inc.        COM           565011103       7      1000  SH        DEFINED  01       1000      0      0
MarketWatch.com Inc.          COM           570619106     125      1700  SH        DEFINED  01       1700      0      0
MedImmune Inc.                COM           584699102    9026    152500  SH        SOLE            152500      0      0
MemberWorks Inc.              COM           586002107      75      2083  SH        DEFINED  01       2083      0      0
MicroStrategy Inc.            COM           594972101    9473    492100  SH        SOLE            492100      0      0
Millennium Pharm. Inc.        COM           599902103      17       549  SH        SOLE               549      0      0
MMC Networks Inc.             COM           55308N102     416     26000  SH        DEFINED  01      26000      0      0
MMC Networks Inc.             COM           55308N102   13519    844928  SH        SOLE            844928      0      0
Momentum Business Appl. Inc.  COM           60877P108     217     24239  SH        SOLE             24239      0      0
Network Appliance Inc.        COM           64120L104   50957   1006560  SH        SOLE           1006560      0      0
New Era of Networks Inc.      COM           644312100      68      1000  SH        DEFINED  01       1000      0      0
New Era of Networks Inc.      COM           644312100   10162    150000  SH        SOLE            150000      0      0
NEXTLINK Communications Inc.  COM           65333H707   15540    277500  SH        SOLE            277500      0      0
Objective Systems Int. Inc.   COM           674424106    2890    848600  SH        DEFINED  01     848600      0      0
ONSALE Inc.                   COM           682838107     923     27500  SH        SOLE             27500      0      0
Open Market Inc.              COM           68370M100      45      3500  SH        DEFINED  01       3500      0      0
OSI Pharmaceuticals Inc.      COM           671040103       5      1100  SH        DEFINED  01       1100      0      0
OSI Pharmaceuticals Inc.      COM           671040103    5212   1042500  SH        SOLE           1042500      0      0
PairGain Technologies Inc.    COM           695934109       8       800  SH        DEFINED  01        800      0      0
Parametric Technology Corp.   COM           699173100      12       600  SH        DEFINED  01        600      0      0
PC Connection Inc.            COM           69318J100      42      2400  SH        DEFINED  01       2400      0      0
PeopleSoft Inc.               COM           712713106     219     15000  SH        DEFINED  01      15000      0      0
Physician Reliance Ntwk. Inc. COM           71940G108      21      2500  SH        DEFINED  01       2500      0      0
PictureTel Corp.              COM           720035302       7      1000  SH        DEFINED  01       1000      0      0
Platinum Technology Inc.      COM           72764T101       2        93  SH        DEFINED  01         93      0      0
Premisys Communications Inc.  COM           740584107       1       156  SH        DEFINED  01        156      0      0
Priceline.com Inc.            COM           741503106    9489    114500  SH        DEFINED  01     114500      0      0
PSINet Inc.                   COM           74437C101      21       500  SH        DEFINED  01        500      0      0
Qwest Comm. Int. Inc.         COM           749121109   16221    225000  SH        SOLE            225000      0      0
Rational Software Corp.       COM           75409P202      17       626  SH        DEFINED  01        626      0      0
Rational Software Corp.       COM           75409P202     373     13925  SH        SOLE             13925      0      0
RCN Corp.                     COM           749361101    6377    190000  SH        SOLE            190000      0      0
Remedy Corp.                  COM           759548100    1823    130200  SH        DEFINED  01     130200      0      0
Remedy Corp.                  COM           759548100     567     40500  SH        SOLE             40500      0      0
Reuters Holdings PLC          COM           76132M102       6        67  SH        DEFINED  01         67      0      0
Ribi ImmunoChem Research Inc. COM           762553105      51     30000  SH        DEFINED  01      30000      0      0
Sapient Corp.                 COM           803062108    7316    102500  SH        SOLE            102500      0      0
SCI Systems Inc.              COM           783890106    1185     40000  SH        DEFINED  01      40000      0      0
Siebel Systems Inc.           COM           826170102   15441    325067  SH        DEFINED  01     325067      0      0
Siebel Systems Inc.           COM           826170102  190461   4009714  SH        SOLE           4009714      0      0
Siebert Financial Corp.       COM           826176109       7       300  SH        DEFINED  01        300      0      0
SkyMall Inc.                  COM           830859104       6       500  SH        DEFINED  01        500      0      0
Smallworldwide plc            COM           83168P108      15      2500  SH        DEFINED  01       2500      0      0
SpectraLink Corp.             COM           847580107      29      7799  SH        SOLE              7799      0      0
SportsLine USA Inc.           COM           848934105    1232     27000  SH        DEFINED  01      27000      0      0
SportsLine USA Inc.           COM           848934105     684     15000  SH        SOLE             15000      0      0
StarBase Corp.                COM           854910205    1014    600728  SH        DEFINED  01     600728      0      0
StarBase Corp.                COM           854910205    1514    897093  SH        SOLE            897093      0      0
Sync Research Inc.            COM           785065103       9     14284  SH        SOLE             14284      0      0
TCSI Corp.                    COM           87233R106      57     30000  SH        DEFINED  01      30000      0      0
TCSI Corp.                    COM           87233R106      12      6500  SH        SOLE              6500      0      0
TeleBanc Capital Trust II     COM           87925R109   46654    585000  SH        SOLE            585000      0      0
Terayon Comm. Systems Inc.    COM           880775101     138      3448  SH        SOLE              3448      0      0
theglobe.com inc.             COM           88335R101     605     11600  SH        DEFINED  01      11600      0      0
TSI Int. Software Ltd.        COM           872879101    6087    124700  SH        SOLE            124700      0      0
uBid Inc.                     COM           903469104     280      4300  SH        DEFINED  01       4300      0      0
Uniphase Corp.                COM           909149106   58253    506000  SH        SOLE            506000      0      0
USWeb Corp.                   COM           917327108    4537    110000  SH        DEFINED  01     110000      0      0
USWeb Corp.                   COM           917327108    7837    190000  SH        SOLE            190000      0      0
Vantive Corp.                 COM           922091103    2755    228400  SH        DEFINED  01     228400      0      0
Vantive Corp.                 COM           922091103   10223    847500  SH        SOLE            847500      0      0
VeriSign Inc.                 COM           92343E102    9764     63400  SH        DEFINED  01      63400      0      0
VeriSign Inc.                 COM           92343E102   61292    398000  SH        SOLE            398000      0      0
Vignette Corp.                COM           926734104   27171    361073  SH        DEFINED  01     361073      0      0
Vignette Corp.                COM           926734104   19626    260813  SH        SOLE            260813      0      0
Visual Networks Inc.          COM           928444108    2751     73603  SH        DEFINED  01      73603      0      0
Visual Networks Inc.          COM           928444108    2245     60069  SH        SOLE             60069      0      0
Westell Technologies Inc.     COM           957541105       2       500  SH        DEFINED  01        500      0      0
Xylan Corp.                   COM           984151100    6779    184150  SH        DEFINED  01     184150      0      0
Xylan Corp.                   COM           984151100   23232    631100  SH        SOLE            631100      0      0
Yahoo Inc.                    COM           984332106   54183    321800  SH        DEFINED  01     321800      0      0
Yahoo Inc.                    COM           984332106  574448   3411718  SH        SOLE           3411718      0      0
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