UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 3/31/2000
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Check Here if Amendment / /; Amendment Number:
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This Amendment (Check only one.): / / is a restatement.
/ / adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: ZWEIG/GLASER ADVISERS, LLC
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Address: 900 Third Ave
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New York, NY 10022
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Form 13F File Number: 28-2621
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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: MARC BALTUCH
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Title: CHIEF COMPL. OFFICER
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Phone: 212-451-1100
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Signature, Place, and Date of Signing:
Marc Baltuch New York, New York May 1, 2000
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[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
28-2621
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<PAGE>
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 1
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Form 13F Information Table Entry Total: 552
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Form 13F Information Table Value Total: $1,012,217
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(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file numbers(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
28-2621
1 EUCLID ADVISORS LLC
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<PAGE>
FORM 13F INFORMATION TABLE
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Adc Telecommunications Inc Common Stock 000886101 5,317,463 98,700 (a)sole n/a (a)sole
Actv Inc Common Stock 00088E104 241,931 6,900 (a)sole n/a (a)sole
Aflac Inc Common Stock 001055102 378,169 8,300 (a)sole n/a (a)sole
Aes Corp Common Stock 00130H105 6,111,000 77,600 (a)sole n/a (a)sole
At&t Corp Common Stock 001957109 11,014,725 195,600 (a)sole n/a (a)sole
Abbott Laboratories Common Stock 002824100 1,488,431 42,300 (a)sole n/a (a)sole
Actel Corp Common Stock 004934105 253,381 7,100 (a)sole n/a (a)sole
Actuate Corp Common Stock 00508B102 360,544 6,700 (a)sole n/a (a)sole
Acxiom Corp Common Stock 005125109 279,300 8,400 (a)sole n/a (a)sole
Adaptive Broadband Corp Common Stock 00650M104 321,000 6,000 (a)sole n/a (a)sole
Adobe Systems Inc Common Stock 00724F101 12,778,675 114,800 (a)sole n/a (a)sole
Adtran Inc Common Stock 00738A106 635,981 10,700 (a)sole n/a (a)sole
Advanced Digital Info Corp Common Stock 007525108 431,550 12,600 (a)sole n/a (a)sole
Advanced Radio Telecom Corp Common Stock 00754U101 202,063 6,100 (a)sole n/a (a)sole
Aetna Inc Common Stock 008117103 1,959,150 35,300 (a)sole n/a (a)sole
Affiliated Managers Grp Inc Common Stock 008252108 750,500 15,800 (a)sole n/a (a)sole
Air Products & Chemicals Inc Common Stock 009158106 3,554,688 125,000 (a)sole n/a (a)sole
Airgas Inc Common Stock 009363102 177,888 21,400 (a)sole n/a (a)sole
Airtran Holdings Inc Common Stock 00949P108 100,022 22,700 (a)sole n/a (a)sole
Alcan Aluminium Ltd Common Stock 013716105 429,188 12,600 (a)sole n/a (a)sole
Alcoa Inc Common Stock 013817101 2,212,875 31,500 (a)sole n/a (a)sole
Alexander & Baldwin Inc Common Stock 014482103 513,563 24,900 (a)sole n/a (a)sole
Allaire Corp Common Stock 016714107 226,875 3,000 (a)sole n/a (a)sole
Allstate Corp Common Stock 020002101 5,993,606 251,700 (a)sole n/a (a)sole
Alpharma Inc -cl A Common Stock 020813101 565,950 15,400 (a)sole n/a (a)sole
Altera Corp Common Stock 021441100 883,575 9,900 (a)sole n/a (a)sole
Amcol International Corp Common Stock 02341W103 236,775 15,400 (a)sole n/a (a)sole
Amerco Common Stock 023586100 391,388 21,300 (a)sole n/a (a)sole
America Online Inc Common Stock 02364J104 13,797,713 204,600 (a)sole n/a (a)sole
American Electric Power Common Stock 025537101 229,556 7,700 (a)sole n/a (a)sole
Amern Eagle Outfitters Inc Common Stock 02553E106 394,550 10,400 (a)sole n/a (a)sole
American Freightways Corp Common Stock 02629V108 318,169 21,300 (a)sole n/a (a)sole
American International Group Common Stock 026874107 11,037,600 100,800 (a)sole n/a (a)sole
Americredit Corp Common Stock 03060R101 647,606 39,700 (a)sole n/a (a)sole
Ameripath Inc Common Stock 03071D109 100,750 12,400 (a)sole n/a (a)sole
Amgen Inc Common Stock 031162100 9,635,875 157,000 (a)sole n/a (a)sole
Amtran Inc Common Stock 03234G106 225,225 12,600 (a)sole n/a (a)sole
Anadigics Inc Common Stock 032515108 273,900 4,150 (a)sole n/a (a)sole
Analog Devices Common Stock 032654105 3,719,100 46,200 (a)sole n/a (a)sole
Ancor Communications Inc Common Stock 03332K108 279,650 6,800 (a)sole n/a (a)sole
Andrew Corp Common Stock 034425108 203,588 8,900 (a)sole n/a (a)sole
Andrx Corp Common Stock 034551101 456,225 7,900 (a)sole n/a (a)sole
Anheuser-busch Cos Inc Common Stock 035229103 404,625 6,500 (a)sole n/a (a)sole
Anntaylor Stores Corp Common Stock 036115103 319,700 13,900 (a)sole n/a (a)sole
Apache Corp Common Stock 037411105 7,621,700 153,200 (a)sole n/a (a)sole
Apria Healthcare Group Common Stock 037933108 173,250 12,000 (a)sole n/a (a)sole
Applied Materials Inc Common Stock 038222105 18,538,221 196,692 (a)sole n/a (a)sole
Applied Sci & Tech Common Stock 038236105 272,250 9,000 (a)sole n/a (a)sole
Argosy Gaming Corp Common Stock 040228108 347,700 24,400 (a)sole n/a (a)sole
Arthrocare Corp Common Stock 043136100 312,800 3,400 (a)sole n/a (a)sole
Arvin Industries Inc Common Stock 043339100 314,488 13,900 (a)sole n/a (a)sole
Ascent Entertainment Group Common Stock 043628106 551,306 36,300 (a)sole n/a (a)sole
Asia Tigers Fund Inc Common Stock 04516T105 1,037,500 100,000 (a)sole n/a (a)sole
</TABLE>
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<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Aspect Development Inc Common Stock 045234101 457,063 7,100 (a)sole n/a (a)sole
Aspect Communications Corp Common Stock 04523Q102 252,025 6,800 (a)sole n/a (a)sole
Asyst Technologies Inc Common Stock 04648X107 280,800 4,800 (a)sole n/a (a)sole
Atmel Corp Common Stock 049513104 2,581,250 50,000 (a)sole n/a (a)sole
Atwood Oceanics Common Stock 050095108 596,813 9,000 (a)sole n/a (a)sole
Audiovox Corp -cl A Common Stock 050757103 283,563 6,500 (a)sole n/a (a)sole
Automatic Data Processing Common Stock 053015103 241,250 5,000 (a)sole n/a (a)sole
Avista Corp Common Stock 05379B107 285,250 7,000 (a)sole n/a (a)sole
Aztar Corp Common Stock 054802103 430,350 45,300 (a)sole n/a (a)sole
Bj Services Co Common Stock 055482103 5,695,763 77,100 (a)sole n/a (a)sole
Bank Of America Corp Common Stock 060505104 403,769 7,700 (a)sole n/a (a)sole
Bank Of New York Co Inc Common Stock 064057102 220,281 5,300 (a)sole n/a (a)sole
Banta Corp Common Stock 066821109 211,313 11,500 (a)sole n/a (a)sole
Bard (c.r.) Inc Common Stock 067383109 874,338 22,600 (a)sole n/a (a)sole
Barnes & Noble Inc Common Stock 067774109 351,563 15,000 (a)sole n/a (a)sole
Barra Inc Common Stock 068313105 291,325 8,600 (a)sole n/a (a)sole
Baxter International Inc Common Stock 071813109 11,785,250 188,000 (a)sole n/a (a)sole
Bedford Ppty Invs Inc Common Stock 076446301 295,550 18,400 (a)sole n/a (a)sole
Bell Atlantic Corp Common Stock 077853109 2,525,685 41,320 (a)sole n/a (a)sole
Bellsouth Corp Common Stock 079860102 5,095,313 108,700 (a)sole n/a (a)sole
Best Buy Co Inc Common Stock 086516101 11,610,000 135,000 (a)sole n/a (a)sole
Bethlehem Steel Corp Common Stock 087509105 1,500,000 250,000 (a)sole n/a (a)sole
Biocryst Pharmaceuticals Inc Common Stock 09058V103 218,500 8,000 (a)sole n/a (a)sole
Biogen Inc Common Stock 090597105 2,417,675 34,600 (a)sole n/a (a)sole
Block H & R Inc Common Stock 093671105 4,475,000 100,000 (a)sole n/a (a)sole
Boeing Co Common Stock 097023105 7,029,344 185,900 (a)sole n/a (a)sole
Borders Group Inc Common Stock 099709107 269,844 15,700 (a)sole n/a (a)sole
Boyd Gaming Corp Common Stock 103304101 152,075 30,800 (a)sole n/a (a)sole
Brinker Intl Inc Common Stock 109641100 899,531 30,300 (a)sole n/a (a)sole
Bristol Myers Squibb Common Stock 110122108 4,703,800 81,100 (a)sole n/a (a)sole
Brocade Communications Sys Common Stock 111621108 2,797,275 15,600 (a)sole n/a (a)sole
Brunswick Corp Common Stock 117043109 573,806 30,300 (a)sole n/a (a)sole
Buffets Inc Common Stock 119882108 298,031 33,000 (a)sole n/a (a)sole
Brlngtn Nthrn Santa Fe Common Stock 12189T104 566,475 24,900 (a)sole n/a (a)sole
Burr-brown Corp Common Stock 122574106 288,188 5,300 (a)sole n/a (a)sole
C&d Technologies Inc Common Stock 124661109 666,700 11,300 (a)sole n/a (a)sole
Cbs Corp Common Stock 12490K107 329,727 5,823 (a)sole n/a (a)sole
C-cor.net Corp Common Stock 125010108 421,400 8,600 (a)sole n/a (a)sole
C-cube Microsystems Inc Common Stock 125015107 407,750 5,600 (a)sole n/a (a)sole
Cec Entertainment Inc Common Stock 125137109 557,419 20,550 (a)sole n/a (a)sole
Cigna Corp Common Stock 125509109 3,181,500 42,000 (a)sole n/a (a)sole
Cmp Group Inc Common Stock 125887109 276,688 9,500 (a)sole n/a (a)sole
Cnf Transportation Inc Common Stock 12612W104 324,675 11,700 (a)sole n/a (a)sole
Csg Systems Intl Inc Common Stock 126349109 410,025 8,400 (a)sole n/a (a)sole
Cable Design Tech Cp -cl A Common Stock 126924109 505,669 14,900 (a)sole n/a (a)sole
Callaway Golf Co Common Stock 131193104 505,300 32,600 (a)sole n/a (a)sole
Calpine Corp Common Stock 131347106 1,099,800 11,700 (a)sole n/a (a)sole
Canadian Pacific Ltd Common Stock 135923100 467,638 20,900 (a)sole n/a (a)sole
Caprock Communications Corp Common Stock 140667106 235,200 4,800 (a)sole n/a (a)sole
Cardinal Health Inc Common Stock 14149Y108 1,174,400 25,600 (a)sole n/a (a)sole
Caremark Rx Inc Common Stock 141705103 111,388 26,600 (a)sole n/a (a)sole
Carramerica Realty Corp Common Stock 144418100 216,750 10,200 (a)sole n/a (a)sole
Carrier Access Corp Common Stock 144460102 260,925 4,900 (a)sole n/a (a)sole
</TABLE>
Page 2
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<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
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Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Cato Corp -cl A Common Stock 149205106 321,950 27,400 (a)sole n/a (a)sole
Cemex S A Common Stock 151290889 4,525,000 200,000 (a)sole n/a (a)sole
Centex Constrn Prods Inc Common Stock 15231R109 628,530 23,944 (a)sole n/a (a)sole
Centurytel Inc Common Stock 156700106 3,745,913 100,900 (a)sole n/a (a)sole
Cephalon Inc Common Stock 156708109 206,250 5,500 (a)sole n/a (a)sole
Charming Shoppes Common Stock 161133103 402,106 70,700 (a)sole n/a (a)sole
Chase Manhattan Corp Common Stock 16161A108 12,084,188 138,600 (a)sole n/a (a)sole
Cheesecake Factory Inc Common Stock 163072101 266,400 6,400 (a)sole n/a (a)sole
Chevron Corp Common Stock 166751107 3,447,919 37,300 (a)sole n/a (a)sole
Chiron Corp Common Stock 170040109 1,710,713 34,300 (a)sole n/a (a)sole
Cirrus Logic Inc Common Stock 172755100 500,050 27,400 (a)sole n/a (a)sole
Cisco Systems Inc Common Stock 17275R102 21,386,338 276,622 (a)sole n/a (a)sole
Citigroup Inc Common Stock 172967101 3,293,724 55,010 (a)sole n/a (a)sole
Citrix Systems Inc Common Stock 177376100 1,682,750 25,400 (a)sole n/a (a)sole
City National Corp Common Stock 178566105 832,081 24,700 (a)sole n/a (a)sole
Clorox Co/de Common Stock 189054109 1,118,700 33,900 (a)sole n/a (a)sole
Coastal Corp Common Stock 190441105 4,296,400 93,400 (a)sole n/a (a)sole
Cognex Corp Common Stock 192422103 951,844 16,500 (a)sole n/a (a)sole
Colgate-palmolive Co Common Stock 194162103 1,516,488 26,900 (a)sole n/a (a)sole
Comcast Corp -cl A Spl Common Stock 200300200 9,750,700 224,800 (a)sole n/a (a)sole
Commercial Metals Common Stock 201723103 350,838 12,700 (a)sole n/a (a)sole
Commscope Inc Common Stock 203372107 1,091,931 23,900 (a)sole n/a (a)sole
Computer Associates Intl Inc Common Stock 204912109 1,728,275 29,200 (a)sole n/a (a)sole
Computer Sciences Corp Common Stock 205363104 379,800 4,800 (a)sole n/a (a)sole
Compuware Corp Common Stock 205638109 4,798,038 227,800 (a)sole n/a (a)sole
Conagra Inc Common Stock 205887102 1,886,813 104,100 (a)sole n/a (a)sole
Concentric Network Corp Common Stock 20589R107 390,500 7,100 (a)sole n/a (a)sole
Coors (adolph) -cl B Common Stock 217016104 6,998,400 145,800 (a)sole n/a (a)sole
Copart Inc Common Stock 217204106 315,000 18,000 (a)sole n/a (a)sole
Copper Mtn Networks Inc Common Stock 217510106 401,494 4,900 (a)sole n/a (a)sole
Cor Therapeutics Inc Common Stock 217753102 448,269 6,800 (a)sole n/a (a)sole
Credence Systems Corp Common Stock 225302108 350,350 2,800 (a)sole n/a (a)sole
Cree Inc Common Stock 225447101 665,963 5,900 (a)sole n/a (a)sole
Cross Timbers Oil Co Common Stock 227573102 425,838 32,600 (a)sole n/a (a)sole
Cybex Computer Prods Common Stock 232522102 483,481 12,850 (a)sole n/a (a)sole
Cymer Inc Common Stock 232572107 580,000 11,600 (a)sole n/a (a)sole
Cypress Semiconductor Corp Common Stock 232806109 5,463,500 111,500 (a)sole n/a (a)sole
Cytyc Corp Common Stock 232946103 636,900 13,200 (a)sole n/a (a)sole
D R Horton Inc Common Stock 23331A109 263,863 20,200 (a)sole n/a (a)sole
Dsp Group Inc Common Stock 23332B106 224,400 3,400 (a)sole n/a (a)sole
Dal-tile International Inc Common Stock 23426R108 217,488 27,400 (a)sole n/a (a)sole
Dallas Semiconductor Corp Common Stock 235204104 266,450 7,300 (a)sole n/a (a)sole
Dean Foods Co Common Stock 242361103 430,675 16,100 (a)sole n/a (a)sole
Del Monte Foods Co Common Stock 24522P103 164,588 15,400 (a)sole n/a (a)sole
Delhaize America Inc -cl A Common Stock 246688105 297,000 16,500 (a)sole n/a (a)sole
Dell Computer Corp Common Stock 247025109 15,463,881 286,700 (a)sole n/a (a)sole
Delphi Automotive Sys Corp Common Stock 247126105 4,800,000 300,000 (a)sole n/a (a)sole
Delta & Pine Land Co Common Stock 247357106 250,825 12,700 (a)sole n/a (a)sole
Dendrite International Inc Common Stock 248239105 341,281 16,300 (a)sole n/a (a)sole
Detroit Diesel Corp Common Stock 250837101 294,525 15,400 (a)sole n/a (a)sole
Developers Diversified Rlty Common Stock 251591103 155,400 11,200 (a)sole n/a (a)sole
Digital Microwave Corp Common Stock 253859102 328,588 9,700 (a)sole n/a (a)sole
Disney (walt) Company Common Stock 254687106 6,199,875 150,300 (a)sole n/a (a)sole
</TABLE>
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<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
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Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Ditech Communications Corp Common Stock 25500M103 212,125 2,000 (a)sole n/a (a)sole
Dollar Thrifty Automotive Gp Common Stock 256743105 354,063 20,600 (a)sole n/a (a)sole
Donaldson Co Inc Common Stock 257651109 771,638 34,200 (a)sole n/a (a)sole
Doral Financial Corp Common Stock 25811P100 635,763 56,200 (a)sole n/a (a)sole
Dow Chemical Common Stock 260543103 1,402,200 12,300 (a)sole n/a (a)sole
Downey Financial Corp Common Stock 261018105 327,250 15,400 (a)sole n/a (a)sole
Dura Automotive Sys -cl B Common Stock 265903104 264,688 15,400 (a)sole n/a (a)sole
Dura Pharmaceuticals Inc Common Stock 26632S109 211,775 17,200 (a)sole n/a (a)sole
Dycom Industries Inc Common Stock 267475101 496,031 10,175 (a)sole n/a (a)sole
Emc Corp/ma Common Stock 268648102 19,101,600 151,600 (a)sole n/a (a)sole
Ess Technology Inc Common Stock 269151106 278,250 15,900 (a)sole n/a (a)sole
E Spire Communications Inc Common Stock 269153102 73,828 10,500 (a)sole n/a (a)sole
E Trade Group Inc Common Stock 269246104 401,717 13,335 (a)sole n/a (a)sole
Earthlink Inc Common Stock 270321102 3,743,663 192,600 (a)sole n/a (a)sole
Eastern Utilities Assoc Common Stock 277173100 207,075 6,600 (a)sole n/a (a)sole
Eaton Vance Corp Common Stock 278265103 352,088 8,200 (a)sole n/a (a)sole
Echelon Corp Common Stock 27874N105 203,050 3,100 (a)sole n/a (a)sole
Edison International Common Stock 281020107 1,041,781 62,900 (a)sole n/a (a)sole
Edwards (a G) Inc Common Stock 281760108 228,000 5,700 (a)sole n/a (a)sole
El Paso Energy Corp/de Common Stock 283905107 1,360,638 33,700 (a)sole n/a (a)sole
Electronic Data Systems Corp Common Stock 285661104 776,669 12,100 (a)sole n/a (a)sole
Eloyalty Corp Common Stock 290151109 348,575 14,600 (a)sole n/a (a)sole
Emerging Mkts Infrast Fd Inc Common Stock 290921105 2,600,000 200,000 (a)sole n/a (a)sole
Emerson Electric Co Common Stock 291011104 265,625 5,000 (a)sole n/a (a)sole
Emmis Communictns Cp -cl A Common Stock 291525103 227,850 4,900 (a)sole n/a (a)sole
Empire District Electric Co Common Stock 291641108 200,175 10,200 (a)sole n/a (a)sole
Energy East Corp Common Stock 29266M109 1,931,719 97,500 (a)sole n/a (a)sole
Enron Corp Common Stock 293561106 7,487,500 100,000 (a)sole n/a (a)sole
Entergy Corp Common Stock 29364G103 991,206 49,100 (a)sole n/a (a)sole
Entrust Technologies Inc Common Stock 293848107 212,695 2,500 (a)sole n/a (a)sole
Enzon Inc Common Stock 293904108 256,275 6,800 (a)sole n/a (a)sole
Enzo Biochem Inc Common Stock 294100102 236,300 3,400 (a)sole n/a (a)sole
Equitable Resources Inc Common Stock 294549100 336,094 7,500 (a)sole n/a (a)sole
Equity Office Properties Tr Common Stock 294741103 218,588 8,700 (a)sole n/a (a)sole
Equity Residential Pptys Tr Common Stock 29476L107 325,519 8,100 (a)sole n/a (a)sole
Ericsson (l M) Tel -adr Common Stock 294821400 206,388 2,200 (a)sole n/a (a)sole
Essex Property Trust Common Stock 297178105 216,000 6,000 (a)sole n/a (a)sole
Ethan Allen Interiors Inc Common Stock 297602104 618,750 24,750 (a)sole n/a (a)sole
Exchange Applications Common Stock 300867108 216,980 4,100 (a)sole n/a (a)sole
Express Scripts Inc -cl A Common Stock 302182100 344,400 8,200 (a)sole n/a (a)sole
Extended Stay America Inc Common Stock 30224P101 202,500 27,000 (a)sole n/a (a)sole
Exxon Mobil Corp Common Stock 30231g102 11,193,696 143,624 (a)sole n/a (a)sole
Fmc Corp Common Stock 302491303 3,356,100 59,400 (a)sole n/a (a)sole
Fed Home Loan Mtg Co Common Stock 313400301 225,356 5,100 (a)sole n/a (a)sole
Fannie Mae Common Stock 313586109 9,700,469 171,500 (a)sole n/a (a)sole
Federated Dept Stores Common Stock 31410H101 3,134,950 74,200 (a)sole n/a (a)sole
Federated Investors Inc Common Stock 314211103 297,706 10,900 (a)sole n/a (a)sole
F5 Networks Inc Common Stock 315616102 203,250 3,000 (a)sole n/a (a)sole
Filenet Corp Common Stock 316869106 434,350 14,600 (a)sole n/a (a)sole
Financial Federal Corp Common Stock 317492106 272,813 15,000 (a)sole n/a (a)sole
Financial Sec Assurance Hldg Common Stock 31769P100 1,336,563 18,200 (a)sole n/a (a)sole
1st Source Corp Common Stock 336901103 232,794 11,900 (a)sole n/a (a)sole
First Union Corp (n C) Common Stock 337358105 368,775 9,900 (a)sole n/a (a)sole
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<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Firstar Corp Common Stock 33763V109 2,183,650 95,200 (a)sole n/a (a)sole
Fiserv Inc Common Stock 337738108 3,718,750 100,000 (a)sole n/a (a)sole
Fleetboston Financial Corp Common Stock 339030108 3,598,900 98,600 (a)sole n/a (a)sole
Florida Progress Corp Common Stock 341109106 279,838 6,100 (a)sole n/a (a)sole
Ford Motor Co Common Stock 345370100 454,781 9,900 (a)sole n/a (a)sole
Fossil Inc Common Stock 349882100 365,625 15,600 (a)sole n/a (a)sole
Freeprt Mcmor Cop&gld -cl B Common Stock 35671D857 522,306 43,300 (a)sole n/a (a)sole
Gte Corp Common Stock 362320103 383,400 5,400 (a)sole n/a (a)sole
Gabelli Glbl Multimedia Tr Common Stock 36239Q109 2,026,875 115,000 (a)sole n/a (a)sole
General Electric Co Common Stock 369604103 22,985,813 147,700 (a)sole n/a (a)sole
General Motors Corp Common Stock 370442105 7,328,906 88,500 (a)sole n/a (a)sole
Genlyte Group Inc Common Stock 372302109 401,700 20,600 (a)sole n/a (a)sole
Georgia Gulf Corp Common Stock 373200203 301,600 11,600 (a)sole n/a (a)sole
Georgia-pacific Group Common Stock 373298108 5,376,544 135,900 (a)sole n/a (a)sole
Gilead Sciences Inc Common Stock 375558103 468,975 7,400 (a)sole n/a (a)sole
Glimcher Realty Trust Common Stock 379302102 384,750 28,500 (a)sole n/a (a)sole
Grey Wolf Inc Common Stock 397888108 119,700 30,400 (a)sole n/a (a)sole
Group 1 Automotive Inc Common Stock 398905109 199,950 17,200 (a)sole n/a (a)sole
Grupo Televisa -spon Adr Common Stock 40049j206 6,874,800 101,100 (a)sole n/a (a)sole
Guess Inc Common Stock 401617105 227,200 7,100 (a)sole n/a (a)sole
Hnc Software Inc Common Stock 40425P107 237,806 3,300 (a)sole n/a (a)sole
Hain Food Group Inc Common Stock 405219106 382,219 13,500 (a)sole n/a (a)sole
Handleman Co Common Stock 410252100 233,413 26,300 (a)sole n/a (a)sole
Hanna (m A) Co Common Stock 410522106 244,350 21,600 (a)sole n/a (a)sole
Harcourt General Inc Common Stock 41163G101 238,400 6,400 (a)sole n/a (a)sole
Harbor Florida Bancshares Common Stock 411901101 389,025 34,200 (a)sole n/a (a)sole
Harmonic Inc Common Stock 413160102 566,100 6,800 (a)sole n/a (a)sole
Harrahs Entertainment Inc Common Stock 413619107 772,200 41,600 (a)sole n/a (a)sole
Helix Technology Corp Common Stock 423319102 618,644 10,300 (a)sole n/a (a)sole
Hewlett-packard Co Common Stock 428236103 3,348,450 25,200 (a)sole n/a (a)sole
Hibernia Corp -cl A Common Stock 428656102 153,300 14,600 (a)sole n/a (a)sole
Home Depot Inc Common Stock 437076102 10,274,850 159,300 (a)sole n/a (a)sole
Home Properties New York Inc Common Stock 437306103 612,575 22,900 (a)sole n/a (a)sole
Homestake Mining Common Stock 437614100 389,400 64,900 (a)sole n/a (a)sole
Honeywell International Inc Common Stock 438516106 859,439 16,312 (a)sole n/a (a)sole
Hooper Holmes Inc Common Stock 439104100 363,713 21,200 (a)sole n/a (a)sole
Household International Inc Common Stock 441815107 619,350 16,599 (a)sole n/a (a)sole
Humana Inc Common Stock 444859102 164,531 22,500 (a)sole n/a (a)sole
Hyperion Solutions Corp Common Stock 44914M104 367,250 11,300 (a)sole n/a (a)sole
Ibp Inc Common Stock 449223106 715,050 45,400 (a)sole n/a (a)sole
Icg Communications Common Stock 449246107 296,225 8,200 (a)sole n/a (a)sole
Ipc Communications Inc Common Stock 44980K206 288,400 1,400 (a)sole n/a (a)sole
Iss Group Inc Common Stock 450306105 966,950 8,300 (a)sole n/a (a)sole
Itc Deltacom Inc Common Stock 45031T104 252,938 7,100 (a)sole n/a (a)sole
Itt Educational Svcs Inc Common Stock 45068B109 336,000 21,000 (a)sole n/a (a)sole
Ibis Technology Inc Common Stock 450909106 270,000 3,000 (a)sole n/a (a)sole
Idacorp Inc Common Stock 451107106 284,950 8,200 (a)sole n/a (a)sole
Idexx Labs Inc Common Stock 45168D104 461,588 19,800 (a)sole n/a (a)sole
Ikon Office Solutions Common Stock 451713101 370,013 59,800 (a)sole n/a (a)sole
Imclone Systems Inc Common Stock 45245W109 369,000 4,800 (a)sole n/a (a)sole
Imperial Bancorp Common Stock 452556103 520,924 16,804 (a)sole n/a (a)sole
In Focus Systems Inc Common Stock 452919103 490,631 13,700 (a)sole n/a (a)sole
Indymac Mortgage Hldgs Inc Common Stock 456607100 213,606 14,300 (a)sole n/a (a)sole
</TABLE>
Page 5
<PAGE>
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Infinity Broadcasting Corp Common Stock 45662s102 6,526,800 201,600 (a)sole n/a (a)sole
Infocure Corp Common Stock 45665A108 215,450 12,400 (a)sole n/a (a)sole
Informix Corp Common Stock 456779107 879,056 51,900 (a)sole n/a (a)sole
Ingersoll-rand Co Common Stock 456866102 8,876,550 200,600 (a)sole n/a (a)sole
Inhale Therapeutic Systems Common Stock 457191104 201,150 2,700 (a)sole n/a (a)sole
Insight Enterprises Inc Common Stock 45765U103 410,833 11,275 (a)sole n/a (a)sole
Insituform Tecnol Inc -cl A Common Stock 457667103 566,563 18,500 (a)sole n/a (a)sole
Intel Corp Common Stock 458140100 20,595,444 156,100 (a)sole n/a (a)sole
Interim Services Inc Common Stock 45868P100 302,569 16,300 (a)sole n/a (a)sole
Intermedia Communicatns Inc Common Stock 458801107 376,838 7,800 (a)sole n/a (a)sole
Intl Business Machines Corp Common Stock 459200101 3,681,600 31,200 (a)sole n/a (a)sole
International Home Foods Inc Common Stock 459655106 536,000 33,500 (a)sole n/a (a)sole
Intl Rectifier Corp Common Stock 460254105 781,563 20,500 (a)sole n/a (a)sole
Intranet Solutions Inc Common Stock 460939309 294,400 6,400 (a)sole n/a (a)sole
Internet.com Corp Common Stock 460967102 226,125 5,400 (a)sole n/a (a)sole
Invesco Glbl Hlth Science Fd Common Stock 46128N109 3,412,500 200,000 (a)sole n/a (a)sole
Iomega Corp Common Stock 462030107 135,725 35,600 (a)sole n/a (a)sole
Iron Mountain Inc Common Stock 462846106 286,125 8,400 (a)sole n/a (a)sole
Isle Of Capris Casinos Inc Common Stock 464592104 215,000 17,200 (a)sole n/a (a)sole
Ivax Corp Common Stock 465823102 873,363 32,050 (a)sole n/a (a)sole
Jds Uniphase Corp Common Stock 46612J101 6,028,125 50,000 (a)sole n/a (a)sole
Jabil Circuit Inc Common Stock 466313103 4,541,250 105,000 (a)sole n/a (a)sole
Jack In The Box Inc Common Stock 466367109 671,344 31,500 (a)sole n/a (a)sole
Jakks Pacific Inc Common Stock 47012E106 243,656 11,300 (a)sole n/a (a)sole
Johns Manville Cp Common Stock 478129109 454,750 42,800 (a)sole n/a (a)sole
Johnson & Johnson Common Stock 478160104 2,810,000 40,000 (a)sole n/a (a)sole
Jones Pharma Inc Common Stock 480236108 306,788 10,100 (a)sole n/a (a)sole
K Mart Corp Common Stock 482584109 387,500 40,000 (a)sole n/a (a)sole
Kemet Corp Common Stock 488360108 752,675 11,900 (a)sole n/a (a)sole
Kent Electronics Corp Common Stock 490553104 262,688 9,000 (a)sole n/a (a)sole
Kimberly-clark Corp Common Stock 494368103 2,803,125 50,000 (a)sole n/a (a)sole
Korea Fund Common Stock 500634100 2,240,625 150,000 (a)sole n/a (a)sole
Lnr Property Corp Common Stock 501940100 364,094 19,100 (a)sole n/a (a)sole
Ltx Corp Common Stock 502392103 628,106 13,900 (a)sole n/a (a)sole
La-z-boy Inc Common Stock 505336107 213,713 13,900 (a)sole n/a (a)sole
Laboratory Cp Of Amer Hldgs Common Stock 50540R102 145,350 34,200 (a)sole n/a (a)sole
Landstar System Inc Common Stock 515098101 448,950 8,200 (a)sole n/a (a)sole
Laser Vision Centers Inc Common Stock 51807H100 104,063 15,000 (a)sole n/a (a)sole
Lattice Semiconductor Corp Common Stock 518415104 399,356 5,900 (a)sole n/a (a)sole
Leap Wireless Intl Inc Common Stock 521863100 375,013 3,800 (a)sole n/a (a)sole
Lehman Brothers Holdings Inc Common Stock 524908100 10,078,300 103,900 (a)sole n/a (a)sole
Limited Inc Common Stock 532716107 589,750 14,000 (a)sole n/a (a)sole
Linens N Things Inc Common Stock 535679104 256,875 7,500 (a)sole n/a (a)sole
Liposome Company Inc Common Stock 536310105 427,984 24,500 (a)sole n/a (a)sole
London Pacific Gp Ltd -adr Common Stock 542073101 716,100 30,800 (a)sole n/a (a)sole
Longview Fibre Co Common Stock 543213102 557,550 37,800 (a)sole n/a (a)sole
Louisiana-pacific Corp Common Stock 546347105 203,963 14,700 (a)sole n/a (a)sole
Lowes Cos Common Stock 548661107 5,954,250 102,000 (a)sole n/a (a)sole
Lubrizol Corp Common Stock 549271104 530,150 18,400 (a)sole n/a (a)sole
Lucent Technologies Inc Common Stock 549463107 12,047,875 196,700 (a)sole n/a (a)sole
Mbna Corp Common Stock 55262L100 448,800 17,600 (a)sole n/a (a)sole
Mci Worldcom Inc Common Stock 55268B106 11,926,250 263,200 (a)sole n/a (a)sole
Mgc Communications Inc Common Stock 552763302 214,500 3,000 (a)sole n/a (a)sole
</TABLE>
Page 6
<PAGE>
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Mgic Investment Corp/wi Common Stock 552848103 1,269,488 29,100 (a)sole n/a (a)sole
Mmc Networks Inc Common Stock 55308N102 283,800 8,600 (a)sole n/a (a)sole
Mrv Communications Inc Common Stock 553477100 412,313 4,500 (a)sole n/a (a)sole
M S Carriers Inc Common Stock 553533100 336,050 14,300 (a)sole n/a (a)sole
Macrovision Corp Common Stock 555904101 422,013 4,900 (a)sole n/a (a)sole
Mail-well Inc Common Stock 560321200 335,338 38,600 (a)sole n/a (a)sole
Manitowoc Co Common Stock 563571108 651,063 23,675 (a)sole n/a (a)sole
Marimba Inc Common Stock 56781Q109 282,400 6,400 (a)sole n/a (a)sole
Mark Iv Industries Inc Common Stock 570387100 207,388 9,400 (a)sole n/a (a)sole
Masisa S A -spn Adr Common Stock 574799102 225,688 15,700 (a)sole n/a (a)sole
Mccormick & Co Common Stock 579780206 1,328,700 41,200 (a)sole n/a (a)sole
Medquist Inc Common Stock 584949101 551,906 20,300 (a)sole n/a (a)sole
Memberworks Inc Common Stock 586002107 240,750 6,000 (a)sole n/a (a)sole
Mercator Software Inc Common Stock 587587106 207,656 2,500 (a)sole n/a (a)sole
Merck & Co Common Stock 589331107 8,548,400 137,600 (a)sole n/a (a)sole
Mercury Computer Systems Inc Common Stock 589378108 518,075 10,600 (a)sole n/a (a)sole
Merrill Lynch & Co Common Stock 590188108 6,888,000 65,600 (a)sole n/a (a)sole
Methode Electronics -cl A Common Stock 591520200 252,500 5,000 (a)sole n/a (a)sole
Metris Companies Inc Common Stock 591598107 233,250 6,000 (a)sole n/a (a)sole
Michaels Stores Inc Common Stock 594087108 550,125 13,500 (a)sole n/a (a)sole
Micrel Inc Common Stock 594793101 624,000 6,500 (a)sole n/a (a)sole
Micros Systems Inc Common Stock 594901100 283,219 4,500 (a)sole n/a (a)sole
Microsoft Corp Common Stock 594918104 21,898,125 206,100 (a)sole n/a (a)sole
Microstrategy Inc Common Stock 594972101 1,001,219 11,500 (a)sole n/a (a)sole
Mid Atlantic Medical Svcs Common Stock 59523C107 312,650 33,800 (a)sole n/a (a)sole
Minnesota Mining & Mfg Co Common Stock 604059105 1,328,438 15,000 (a)sole n/a (a)sole
Mission Critical Software Common Stock 605047109 232,275 3,800 (a)sole n/a (a)sole
Mitchell Energy & Dev -cl B Common Stock 606592301 211,200 9,600 (a)sole n/a (a)sole
Modis Professional Svcs Inc Common Stock 607830106 3,093,750 250,000 (a)sole n/a (a)sole
Monaco Coach Corp Common Stock 60886R103 285,475 15,025 (a)sole n/a (a)sole
Mony Group Inc Common Stock 615337102 1,176,175 36,400 (a)sole n/a (a)sole
Moog Inc -cl A Common Stock 615394202 192,938 10,500 (a)sole n/a (a)sole
Morgan Stanley Dean Witter Common Stock 617446448 13,583,213 163,900 (a)sole n/a (a)sole
Morgan Standw Emerging Mkts Common Stock 61744G107 2,953,750 170,000 (a)sole n/a (a)sole
Morgan Standw Asia Pac Fd Common Stock 61744U106 1,087,500 100,000 (a)sole n/a (a)sole
Motorola Inc Common Stock 620076109 11,315,000 77,500 (a)sole n/a (a)sole
Mueller Industries Common Stock 624756102 528,525 17,400 (a)sole n/a (a)sole
Murphy Oil Corp Common Stock 626717102 409,138 7,100 (a)sole n/a (a)sole
Nbty Inc Common Stock 628782104 184,781 13,500 (a)sole n/a (a)sole
Nci Building Systems Inc Common Stock 628852105 404,469 21,500 (a)sole n/a (a)sole
Nco Group Inc Common Stock 628858102 383,250 12,000 (a)sole n/a (a)sole
Nvr Inc Common Stock 62944T105 205,200 3,800 (a)sole n/a (a)sole
Nabisco Group Hldgs Corp Common Stock 62952P102 235,219 19,500 (a)sole n/a (a)sole
National Disc Brokers Inc Common Stock 635646102 395,000 8,000 (a)sole n/a (a)sole
National Service Inds Inc Common Stock 637657107 288,556 13,700 (a)sole n/a (a)sole
New York Times Co -cl A Common Stock 650111107 4,383,919 102,100 (a)sole n/a (a)sole
Nokia Corp -adr Common Stock 654902204 3,352,200 60,400 (a)sole n/a (a)sole
Nortek Inc Common Stock 656559101 294,041 13,290 (a)sole n/a (a)sole
Nortel Networks Corp Common Stock 656569100 7,567,500 60,000 (a)sole n/a (a)sole
Northeast Optic Network Inc Common Stock 664334109 228,319 2,700 (a)sole n/a (a)sole
Nova Chemicals Corp Common Stock 66977W109 198,900 10,200 (a)sole n/a (a)sole
Noven Pharmaceuticals Inc Common Stock 670009109 142,188 13,000 (a)sole n/a (a)sole
Nucor Corp Common Stock 670346105 215,000 4,300 (a)sole n/a (a)sole
</TABLE>
Page 7
<PAGE>
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Nvidia Corp Common Stock 67066G104 566,045 6,700 (a)sole n/a (a)sole
Occidental Petroleum Corp Common Stock 674599105 738,700 35,600 (a)sole n/a (a)sole
Ocean Energy Inc Common Stock 67481E106 759,000 52,800 (a)sole n/a (a)sole
Olin Corp Common Stock 680665205 182,825 10,300 (a)sole n/a (a)sole
Oracle Corp Common Stock 68389X105 8,703,969 111,500 (a)sole n/a (a)sole
Orthodontic Centers Of Amer Common Stock 68750P103 378,100 19,900 (a)sole n/a (a)sole
Oshkosh B'gosh Inc -cl A Common Stock 688222207 399,600 22,200 (a)sole n/a (a)sole
Oxford Health Plans Inc Common Stock 691471106 301,950 19,800 (a)sole n/a (a)sole
Peco Energy Co Common Stock 693304107 5,531,250 150,000 (a)sole n/a (a)sole
Pnc Financial Svcs Group Inc Common Stock 693475105 4,371,063 97,000 (a)sole n/a (a)sole
Pss World Medical Inc Common Stock 69366A100 147,153 21,700 (a)sole n/a (a)sole
Pacific Sunwear Calif Inc Common Stock 694873100 565,950 14,700 (a)sole n/a (a)sole
Pall Corp Common Stock 696429307 675,369 30,100 (a)sole n/a (a)sole
Papa Johns International Inc Common Stock 698813102 445,500 13,500 (a)sole n/a (a)sole
Parkway Properties Inc Common Stock 70159Q104 300,263 10,200 (a)sole n/a (a)sole
Pegasus Communications Cp Common Stock 705904100 253,350 1,800 (a)sole n/a (a)sole
Pepsico Inc Common Stock 713448108 13,862,813 397,500 (a)sole n/a (a)sole
Perkinelmer Inc Common Stock 714046109 325,850 4,900 (a)sole n/a (a)sole
Perrigo Company Common Stock 714290103 426,769 56,200 (a)sole n/a (a)sole
Perusahaan Indo Sat -adr Common Stock 715680104 431,406 25,100 (a)sole n/a (a)sole
Pfizer Inc Common Stock 717081103 2,972,531 81,300 (a)sole n/a (a)sole
Pharmacopeia Inc Common Stock 71713B104 308,700 6,300 (a)sole n/a (a)sole
Philip Morris Cos Inc Common Stock 718154107 2,264,600 107,200 (a)sole n/a (a)sole
Phillips Petroleum Co Common Stock 718507106 1,184,000 25,600 (a)sole n/a (a)sole
Pier 1 Imports Inc/de Common Stock 720279108 140,425 13,700 (a)sole n/a (a)sole
Pinnacle Entertainment Inc Common Stock 723456109 530,156 26,100 (a)sole n/a (a)sole
Pinnacle Systems Inc Common Stock 723481107 571,900 17,200 (a)sole n/a (a)sole
Pioneer Group Inc Common Stock 723684106 220,875 9,500 (a)sole n/a (a)sole
Pioneer Natural Resources Co Common Stock 723787107 969,150 92,300 (a)sole n/a (a)sole
Pixar Common Stock 725811103 613,825 17,200 (a)sole n/a (a)sole
Pogo Producing Co Common Stock 730448107 822,600 28,800 (a)sole n/a (a)sole
Polycom Inc Common Stock 73172K104 277,156 3,500 (a)sole n/a (a)sole
Polymer Group Inc Common Stock 731745105 167,025 13,100 (a)sole n/a (a)sole
Potlatch Corp Common Stock 737628107 821,300 19,100 (a)sole n/a (a)sole
Powerwave Technologies Inc Common Stock 739363109 550,000 4,400 (a)sole n/a (a)sole
Price Communications Corp Common Stock 741437305 285,200 12,400 (a)sole n/a (a)sole
Price (t. Rowe) Associates Common Stock 741477103 264,650 6,700 (a)sole n/a (a)sole
Primus Telecomm Group Inc Common Stock 741929103 232,594 4,500 (a)sole n/a (a)sole
Profit Recovery Grp Intl Inc Common Stock 743168106 336,700 18,200 (a)sole n/a (a)sole
Progress Software Corp Common Stock 743312100 508,594 21,700 (a)sole n/a (a)sole
Protein Design Labs Inc Common Stock 74369L103 246,450 3,100 (a)sole n/a (a)sole
Providian Financial Corp Common Stock 74406A102 848,925 9,800 (a)sole n/a (a)sole
Proxim Inc Common Stock 744284100 215,438 1,800 (a)sole n/a (a)sole
Public Service Entrp Common Stock 744573106 936,150 31,600 (a)sole n/a (a)sole
Pulte Corp Common Stock 745867101 227,538 10,900 (a)sole n/a (a)sole
Qualcomm Inc Common Stock 747525103 4,957,175 33,200 (a)sole n/a (a)sole
Quanex Corp Common Stock 747620102 183,600 10,200 (a)sole n/a (a)sole
Quebecor Printing -sub Vtg Common Stock 747922102 229,178 12,388 (a)sole n/a (a)sole
Questar Corp Common Stock 748356102 224,606 12,100 (a)sole n/a (a)sole
Rsa Security Inc Common Stock 749719100 269,425 5,200 (a)sole n/a (a)sole
Radian Group Inc Common Stock 750236101 924,258 19,407 (a)sole n/a (a)sole
Radio One Inc Common Stock 75040P108 546,325 8,200 (a)sole n/a (a)sole
Rambus Inc Common Stock 750917106 912,950 3,100 (a)sole n/a (a)sole
</TABLE>
Page 8
<PAGE>
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Rare Medium Group Inc Common Stock 75382N109 229,450 5,200 (a)sole n/a (a)sole
Reckson Assocs Rlty Corp Common Stock 75621K106 465,000 24,800 (a)sole n/a (a)sole
Reliance Steel & Aluminum Co Common Stock 759509102 632,653 28,275 (a)sole n/a (a)sole
Remedy Corp Common Stock 759548100 3,538,500 84,000 (a)sole n/a (a)sole
Rent-a-center Inc Common Stock 76009N100 180,000 12,000 (a)sole n/a (a)sole
Republic Bancorp Inc Common Stock 760282103 199,667 21,369 (a)sole n/a (a)sole
Republic Sec Finl Corp Common Stock 760758102 162,094 24,700 (a)sole n/a (a)sole
Rollins Truck Leasing Common Stock 775741101 120,656 14,300 (a)sole n/a (a)sole
Roslyn Bancorp Inc Common Stock 778162107 660,755 37,095 (a)sole n/a (a)sole
Royal Dutch Pet -ny Reg Common Stock 780257804 335,313 5,800 (a)sole n/a (a)sole
Ruby Tuesday Inc Common Stock 781182100 518,000 29,600 (a)sole n/a (a)sole
Sbc Communications Inc Common Stock 78387G103 9,551,128 226,733 (a)sole n/a (a)sole
Sci Systems Inc Common Stock 783890106 6,718,750 125,000 (a)sole n/a (a)sole
S3 Incorporated Common Stock 784849101 203,700 9,700 (a)sole n/a (a)sole
Sagent Technology Inc Common Stock 786693101 305,413 10,600 (a)sole n/a (a)sole
Santa Fe Snyder Corp Common Stock 80218K105 783,750 82,500 (a)sole n/a (a)sole
Sawtek Inc Common Stock 805468105 2,628,125 50,000 (a)sole n/a (a)sole
Schering-plough Common Stock 806605101 11,412,225 307,400 (a)sole n/a (a)sole
Schulman (a.) Inc Common Stock 808194104 137,800 10,400 (a)sole n/a (a)sole
Schwab (charles) Corp Common Stock 808513105 227,250 4,000 (a)sole n/a (a)sole
Scientific-atlanta Inc Common Stock 808655104 2,820,950 44,600 (a)sole n/a (a)sole
Scitex Corp Ltd -ord Common Stock 809090103 197,644 12,700 (a)sole n/a (a)sole
Seagate Technology Common Stock 811804103 3,340,675 54,100 (a)sole n/a (a)sole
Semtech Corp Common Stock 816850101 685,469 10,700 (a)sole n/a (a)sole
Sensormatic Electronics Common Stock 817265101 935,644 41,700 (a)sole n/a (a)sole
Shaw Industries Inc Common Stock 820286102 379,688 25,000 (a)sole n/a (a)sole
Shell Tran&trade -ny Sh Common Stock 822703609 230,594 4,700 (a)sole n/a (a)sole
Sherwin-williams Co Common Stock 824348106 325,238 14,700 (a)sole n/a (a)sole
Shire Pharmacetcls Grp -adr Common Stock 82481R106 1,096,443 21,394 (a)sole n/a (a)sole
Sicor Inc Common Stock 825846108 195,050 18,800 (a)sole n/a (a)sole
Sitel Corp Common Stock 82980K107 169,813 24,700 (a)sole n/a (a)sole
Solectron Corp Common Stock 834182107 2,836,838 70,700 (a)sole n/a (a)sole
Southern Co Common Stock 842587107 237,075 10,900 (a)sole n/a (a)sole
Sovereign Bancorp Inc Common Stock 845905108 480,219 63,500 (a)sole n/a (a)sole
Spartech Corp Common Stock 847220209 745,938 21,700 (a)sole n/a (a)sole
Spieker Properties Inc Common Stock 848497103 258,100 5,800 (a)sole n/a (a)sole
Sprint Fon Group Common Stock 852061100 569,250 9,000 (a)sole n/a (a)sole
Spyglass Inc Common Stock 852192103 209,377 2,700 (a)sole n/a (a)sole
Standard Pacific Cp Common Stock 85375C101 367,000 36,700 (a)sole n/a (a)sole
Station Casinos Inc Common Stock 857689103 342,456 15,700 (a)sole n/a (a)sole
Stewart Enterprises -cl A Common Stock 860370105 135,781 27,500 (a)sole n/a (a)sole
Sun Microsystems Inc Common Stock 866810104 13,933,655 148,700 (a)sole n/a (a)sole
Sunglass Hut Intl Inc Common Stock 86736F106 175,781 22,500 (a)sole n/a (a)sole
Sunoco Inc Common Stock 86764P109 251,850 9,200 (a)sole n/a (a)sole
Suntrust Banks Inc Common Stock 867914103 415,800 7,200 (a)sole n/a (a)sole
Superior Industries Intl Common Stock 868168105 224,981 7,100 (a)sole n/a (a)sole
Supervalu Inc Common Stock 868536103 706,160 37,289 (a)sole n/a (a)sole
Sybase Inc Common Stock 871130100 682,500 33,600 (a)sole n/a (a)sole
Sykes Enterprises Inc Common Stock 871237103 308,813 16,200 (a)sole n/a (a)sole
Symantec Corp Common Stock 871503108 525,875 7,000 (a)sole n/a (a)sole
Thq Inc Common Stock 872443403 193,944 10,850 (a)sole n/a (a)sole
Tjx Companies Inc Common Stock 872540109 856,438 38,600 (a)sole n/a (a)sole
Talk.com Inc Common Stock 874264104 390,400 24,400 (a)sole n/a (a)sole
</TABLE>
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<PAGE>
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Target Corp Common Stock 87612e106 5,606,250 75,000 (a)sole n/a (a)sole
Techne Corp Common Stock 878377100 255,300 3,700 (a)sole n/a (a)sole
Tektronix Inc Common Stock 879131100 280,000 5,000 (a)sole n/a (a)sole
Tele Norte Leste -spon Adr Common Stock 879246106 6,656,250 250,000 (a)sole n/a (a)sole
Telefonos De Mex -spon Adr Common Stock 879403780 10,113,675 151,800 (a)sole n/a (a)sole
Telephone & Data Common Stock 879433100 5,550,000 50,000 (a)sole n/a (a)sole
Tellabs Inc Common Stock 879664100 3,753,869 59,600 (a)sole n/a (a)sole
Temple-inland Inc Common Stock 879868107 463,256 9,300 (a)sole n/a (a)sole
Teletech Holdings Inc Common Stock 879939106 327,750 9,500 (a)sole n/a (a)sole
Tenfold Corp Common Stock 88033A103 338,800 5,600 (a)sole n/a (a)sole
Tenet Healthcare Corp Common Stock 88033G100 2,855,100 122,800 (a)sole n/a (a)sole
Terayon Commun Systems Inc Common Stock 880775101 717,500 3,500 (a)sole n/a (a)sole
Teva Pharm Inds -adr Common Stock 881624209 242,531 6,500 (a)sole n/a (a)sole
Texaco Inc Common Stock 881694103 3,079,875 57,300 (a)sole n/a (a)sole
Texas Industries Inc Common Stock 882491103 271,975 8,600 (a)sole n/a (a)sole
Texas Instruments Inc Common Stock 882508104 2,512,000 15,700 (a)sole n/a (a)sole
Texas Utilities Co Common Stock 882848104 2,559,063 86,200 (a)sole n/a (a)sole
3com Corp Common Stock 885535104 1,646,500 29,600 (a)sole n/a (a)sole
Three-five Systems Inc Common Stock 88554L108 390,000 6,500 (a)sole n/a (a)sole
Tidewater Inc Common Stock 886423102 645,794 20,300 (a)sole n/a (a)sole
Timberland Co -cl A Common Stock 887100105 382,500 7,500 (a)sole n/a (a)sole
Titan Corp Common Stock 888266103 346,800 6,800 (a)sole n/a (a)sole
Toll Brothers Inc Common Stock 889478103 210,000 10,500 (a)sole n/a (a)sole
Topps Co Inc Common Stock 890786106 354,944 42,700 (a)sole n/a (a)sole
Transkaryotic Therapies Inc Common Stock 893735100 211,375 3,800 (a)sole n/a (a)sole
Transwitch Corp Common Stock 894065101 1,054,972 10,975 (a)sole n/a (a)sole
Trendwest Resorts Inc Common Stock 894917103 264,600 11,200 (a)sole n/a (a)sole
Triad Hospitals Inc Common Stock 89579K109 231,150 13,800 (a)sole n/a (a)sole
Tribune Co Common Stock 896047107 3,685,500 100,800 (a)sole n/a (a)sole
Triquint Semiconductor Inc Common Stock 89674K103 316,050 4,300 (a)sole n/a (a)sole
Tyco International Ltd Common Stock 902124106 12,405,938 247,500 (a)sole n/a (a)sole
Usx-marathon Group Common Stock 902905827 9,502,388 364,600 (a)sole n/a (a)sole
Usg Corp Common Stock 903293405 410,988 9,800 (a)sole n/a (a)sole
U S Foodservice Inc Common Stock 90331R101 1,151,025 44,700 (a)sole n/a (a)sole
Ultramar Diamond Shamrock Common Stock 904000106 400,925 15,800 (a)sole n/a (a)sole
Unionbancal Corp Common Stock 908906100 3,657,544 132,700 (a)sole n/a (a)sole
United Healthcare Corp Common Stock 910581107 7,256,363 121,700 (a)sole n/a (a)sole
Us Cellular Corp Common Stock 911684108 2,932,300 41,300 (a)sole n/a (a)sole
U S Industries Inc Common Stock 912080108 550,913 49,800 (a)sole n/a (a)sole
U S West Inc Common Stock 91273H101 5,185,425 71,400 (a)sole n/a (a)sole
United Stationers Inc Common Stock 913004107 670,925 18,800 (a)sole n/a (a)sole
United Technologies Corp Common Stock 913017109 233,794 3,700 (a)sole n/a (a)sole
Usfreightways Corp Common Stock 916906100 846,088 22,600 (a)sole n/a (a)sole
Usinternetworking Inc Common Stock 917311805 3,875,000 100,000 (a)sole n/a (a)sole
Utilicorp United Inc Common Stock 918005109 548,197 30,350 (a)sole n/a (a)sole
Value City Dept Stores Inc Common Stock 920387107 156,788 11,300 (a)sole n/a (a)sole
Varian Semiconductor Equipmt Common Stock 922207105 375,388 5,900 (a)sole n/a (a)sole
Venator Group Inc Common Stock 922944103 114,400 12,800 (a)sole n/a (a)sole
Verisign Inc Common Stock 92343E102 343,850 2,300 (a)sole n/a (a)sole
Vertex Pharmaceuticals Inc Common Stock 92532F100 224,700 4,800 (a)sole n/a (a)sole
Viacom Inc -cl B Common Stock 925524308 6,973,550 132,200 (a)sole n/a (a)sole
Vintage Petroleum Inc Common Stock 927460105 847,263 42,100 (a)sole n/a (a)sole
Vishay Intrtechnology Common Stock 928298108 750,938 13,500 (a)sole n/a (a)sole
</TABLE>
Page 10
<PAGE>
<TABLE>
<CAPTION>
Zweig/Glaser Advisers SEC Form 13F 03/31/2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
- ------------------------------------------------------------------------------------------------------------------------
Title of Market Shares Investment Voting
Name of Issuer Class Cusip Value Owned Discretion Manager Authority
<S> <C> <C> <C> <C> <C> <C> <C>
Vodafone Airtouch Plc -adr Common Stock 92857T107 205,581 3,700 (a)sole n/a (a)sole
Wms Industries Inc Common Stock 929297109 343,650 34,800 (a)sole n/a (a)sole
Wal-mart Stores Common Stock 931142103 8,977,850 158,900 (a)sole n/a (a)sole
Wallace Computer Svcs Inc Common Stock 932270101 127,575 10,800 (a)sole n/a (a)sole
Wave Systems Corp -cl A Common Stock 943526103 271,575 6,800 (a)sole n/a (a)sole
Webtrends Corp Common Stock 94844D104 511,200 7,100 (a)sole n/a (a)sole
Western Gas Resources Inc Common Stock 958259103 165,100 10,400 (a)sole n/a (a)sole
Westvaco Corp Common Stock 961548104 206,925 6,200 (a)sole n/a (a)sole
Weyerhaeuser Co Common Stock 962166104 222,300 3,900 (a)sole n/a (a)sole
Winnebago Industries Common Stock 974637100 433,500 24,000 (a)sole n/a (a)sole
Worthington Industries Common Stock 981811102 1,111,894 89,850 (a)sole n/a (a)sole
Xilinx Inc Common Stock 983919101 579,688 7,000 (a)sole n/a (a)sole
Xircom Inc Common Stock 983922105 277,500 7,500 (a)sole n/a (a)sole
Yahoo Inc Common Stock 984332106 7,711,875 45,000 (a)sole n/a (a)sole
Yellow Corp Common Stock 985509108 468,313 25,400 (a)sole n/a (a)sole
Zale Corp Common Stock 988858106 566,250 12,000 (a)sole n/a (a)sole
Zebra Technologies Cp -cl A Common Stock 989207105 525,000 10,500 (a)sole n/a (a)sole
Zomax Inc Common Stock 989929104 524,175 8,700 (a)sole n/a (a)sole
Transocean Sedco Forex Inc Common Stock g90078109 8,143,294 158,700 (a)sole n/a (a)sole
White Mtns Ins Group Ltd Common Stock G9618E107 362,138 2,700 (a)sole n/a (a)sole
Orbotech Ltd Common Stock M75253100 463,250 5,450 (a)sole n/a (a)sole
Qiagen Nv Common Stock N72482107 231,200 1,700 (a)sole n/a (a)sole
1,012,217,443
</TABLE>
Page 11