LEE DWIGHT E
13F-HR, 2000-02-14
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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: December 31, 1999

Check here if Amendment [  ]; Amendment Number:
This amendment (Check only one.): [ ] is a restatement.
                                  [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
Name:     DWIGHT E. LEE
Address:  530 Fifth Avenue, 26th Fl.
          New York, NY 10036

13 File Number: 28-2649

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
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:      DWIGHT E. LEE
Title:
Phone:
Signature, Place and Date of Signing:

    DWIGHT E. LEE  February 14, 2000


Report Type (Check only one.):
[ X]        13F HOLDINGS REPORT.
[  ]        13F NOTICE.
[  ]        13F COMBINATION REPORT.


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934
<PAGE>
                           FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:         1

Form 13F Information Table Entry Total:    50

Form 13F Information Table Value Total:    138333



List of Other Included Managers:

 No.  13F File Number     Name

 01                       DWIGHT E. LEE
<PAGE>
<TABLE>                          <C>                                            <C>
                                                                FORM 13F INFORMATION TABLE
                                                              VALUE   SHARES/ SH/ PUT/ INVSTMT   OTHER        VOTING AUTHORITY
           NAME OF ISSUER        TITLE OF CLASS     CUSIP   x($1000) PRN AMT  PRN CALL DISCRETN MANAGERS   SOLE    SHARED    NONE
  ------------------------------ ---------------- --------- -------- -------- --- ---- -------- --------- -------- -------- --------
D ADE CORP COM                   COMMON STOCK     00089C107      660    40000 SH       DEFINED  01           40000        0        0
D AES CORP USD.01 COM            COMMON STOCK     00130H105     4350    58200 SH       DEFINED  01           22300    35900        0
D AMGEN INC USD.0001 COM         COMMON STOCK     031162100    10210   170000 SH       DEFINED  01               0   170000        0
D APPLIED MATERIALS INC COM      COMMON STOCK     038222105     2407    19000 SH       DEFINED  01            7300    11700        0
D AT HOME CORPORATION SER A COM  COMMON STOCK     045919107      274     6400 SH       DEFINED  01               0     6400        0
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208     3851    67800 SH       DEFINED  01           26200    41600        0
D BIOSITE DIAGNOSTIC INC COM     COMMON STOCK     090945106     1233    77100 SH       DEFINED  01           10600    66500        0
D BUFFETS INC COM                COMMON STOCK     119882108     2466   246688 SH       DEFINED  01          113938   132750        0
D CELGENE CORPORATION COM        COMMON STOCK     151020104     8708   124400 SH       DEFINED  01           47700    76700        0
D CHECKPOINT SYSTEMS INC, COM    COMMON STOCK     162825103      444    43600 SH       DEFINED  01           14400    29200        0
D COSTCO WHOLESALE CORP COM STK  COMMON STOCK     22160K105     2436    26700 SH       DEFINED  01           10300    16400        0
D CRITICAL PATH INC              COMMON STOCK     22674V100      707     7500 SH       DEFINED  01               0     7500        0
D E M C CORP MASS COM            COMMON STOCK     268648102     4697    43000 SH       DEFINED  01            6600    36400        0
D E M C CORP MASS COM            OPTIONS - PUTS   268648AMR     1737    15900 SH  PUT  DEFINED  01            6300     9600        0
D E*TRADE GROUP INC COM          COMMON STOCK     269246104     1003    38400 SH       DEFINED  01               0    38400        0
D ECLIPSYS CORP COM STK          COMMON STOCK     278856109      512    20000 SH       DEFINED  01               0    20000        0
D HEALTHEON / WEBMD CORPORATION  COMMON STOCK     422209106      375    10000 SH       DEFINED  01               0    10000        0
D I-STAT CORP COM                COMMON STOCK     450312103      396    27332 SH       DEFINED  01               0    27332        0
D IDEXX LABORATORIES INC COM     COMMON STOCK     45168D104     1517    94100 SH       DEFINED  01           34600    59500        0
D INKTOMI CORP COM               COMMON STOCK     457277101      443     5000 SH       DEFINED  01               0     5000        0
D INTEL CORP COM                 COMMON STOCK     458140100     1769    21500 SH       DEFINED  01            8300    13200        0
D INTERLEAF INC COM STK          COMMON STOCK     458729209     1008    30000 SH       DEFINED  01            4600    25400        0
D ISG INTL SOFTWARE GROUP LTD IL COMMON STOCK     M5733B104     2835   180000 SH       DEFINED  01           69300   110700        0
D JABIL CIRCUIT INC COM          COMMON STOCK     466313103     4912    67300 SH       DEFINED  01           23900    43400        0
D LEGATO SYS INC COM             COMMON STOCK     524651106     2147    31206 SH       DEFINED  01           11998    19208        0
D MERCURY INTERACTIVE CORP       COMMON STOCK     589405109     2126    19700 SH       DEFINED  01            7300    12400        0
D MICRON TECHNOLOGY INC COM      COMMON STOCK     595112103     3809    49000 SH       DEFINED  01           18500    30500        0
D MRV COMMUNICATIONS INC         COMMON STOCK     553477100    12508   198950 SH       DEFINED  01           68900   130050        0
D MRV COMMUNICATIONS INC         OPTIONS - PUTS   5534770MM     2515    40000 SH  PUT  DEFINED  01           12000    28000        0
D NETWORK ASSOCIATES INC COM     COMMON STOCK     640938106     6542   245155 SH       DEFINED  01           83930   161225        0
D NETWORK ASSOCIATES INC COM     OPTIONS - CALLS  640938EAD     1054    39500 SH  CALL DEFINED  01           15200    24300        0
D NETWORK SOLUTIONS INC CL A COM COMMON STOCK     64121Q102    10725    49300 SH       DEFINED  01           17900    31400        0
D NEXTEL COMMUNICATIONS INC      COMMON STOCK     65332V103     2114    20500 SH       DEFINED  01            8000    12500        0
D NOVELL INC COM                 COMMON STOCK     670006105     2396    60000 SH       DEFINED  01               0    60000        0
D NTL INCORPORATED COM           COMMON STOCK     629407107     6156    49354 SH       DEFINED  01           11958    37396        0
D NTL INCORPORATED COM           OPTIONS - PUTS   6294070MR     1983    15900 SH  PUT  DEFINED  01            6300     9600        0
D OPTISYSTEMS SOLUTION LTD-WT EX WARRANTS         M75252110      431   172500 SH       DEFINED  01           60600   111900        0
D OPTISYSTEMS SOLUTIONS LTD COM  COMMON STOCK     M75252102      298    34100 SH       DEFINED  01               0    34100        0
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100     4378   161800 SH       DEFINED  01           62600    99200        0
D PINNACLE SYSTEMS INC           COMMON STOCK     723481107      813    20000 SH       DEFINED  01            6100    13900        0
D PLX TECHNOLOGY INC COM STK     COMMON STOCK     693417107     2491   131571 SH       DEFINED  01          106571    25000        0
D RSA SECURITY INC COM STK       COMMON STOCK     749719100     5518    71200 SH       DEFINED  01           27600    43600        0
D SANGSTAT MED CORP COM          COMMON STOCK     801003104     1996    67100 SH       DEFINED  01           23200    43900        0
D SHARED TECHNOLOGIES CELLULAR,  COMMON STOCK     819487109      212    25000 SH       DEFINED  01               0    25000        0
D STARBUCKS CORP COM             COMMON STOCK     855244109     1552    64000 SH       DEFINED  01           24800    39200        0
D SYNOPSYS COM                   COMMON STOCK     871607107     2850    42700 SH       DEFINED  01           16300    26400        0
D THERMO CARDIOSYSTEMS INC       COMMON STOCK     88355K200       75    11550 SH       DEFINED  01               0    11550        0
D TIDEWATER INC COM              COMMON STOCK     886423102      614    17080 SH       DEFINED  01               0    17080        0
D UAL CORP COM PAR $0.01         COMMON STOCK     902549500      356     4600 SH       DEFINED  01               0     4600        0
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107     3724    49500 SH       DEFINED  01           17100    32400        0
S REPORT SUMMARY                 50 DATA RECORDS              138333        1 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>


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