ZWEIG GLASER ADVISERS/NY
13F-HR, 2000-05-03
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                                  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
                                               ---------

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:           ZWEIG/GLASER ADVISERS, LLC
                   ------------------------------
   Address:        900 Third Ave
                   ------------------------------
                   New York, NY 10022
                   ------------------------------

                   ------------------------------

Form 13F File Number: 28-2621
                      ---------------------------

     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
          ------------------------
Title:    CHIEF COMPL. OFFICER
          ------------------------
Phone:    212-451-1100
          ------------------------


Signature, Place, and Date of Signing:


Marc Baltuch                  New York, New York            May 1, 2000
- -----------------------       ------------------            -------------------
[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
          --------------------          -------------------------------------

<PAGE>

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                                     1
                                                                ---------------

Form 13F Information Table Entry Total:                               552
                                                                ---------------

Form 13F Information Table Value Total:                           $1,012,217
                                                                ---------------
                                                                    (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
    ----       --------------------           ----------------------------

<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>


                                     Page 1
<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>
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
<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>
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>


                                     Page 3
<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>
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
</TABLE>


                                     Page 4
<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>
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>


                                     Page 9
<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


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