SPEARS BENZAK SALOMON & FARRELL/NY
13F-HR, 1999-05-19
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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:  March 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:     Spears, Benzak, Salomon and Farrell (Division of Key Asset 
             Management)
Address:  45 Rockefeller Plaza 
          New York, NY  10111

13F File Number:  28-3968

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:     Diane L. Wozniak
Title:    Compliance Manager, Officer
Phone:    216-813-4794
Signature, Place, and Date of Signing:

    Diane L. Wozniak          Cleveland, Ohio        May 17, 1999

Report Type (Check only one.):

[ x]     13F HOLDINGS REPORT.

[  ]     13F NOTICE.

[  ]     13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

Key Trust Company of Ohio, National Association

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:          0

Form 13F Information Table Entry Total:   709     

Form 13F Information Table Value Total:   $4,130,548,550

List of Other Included Managers:

N/A

<PAGE>
<TABLE>
<S>                          <C>                           <C>
                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    1
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 ALCOA INC                  COMMON 013817101      22,034     534,986 N  X                            37,201     497,785            
 ALCOA INC                  COMMON 013817101      38,387     932,028 N  X                                       932,028            
 ALCOA INC                  COMMON 013817101         634      15,405 N  X                  ERIS                  15,405            
 AMERICAN BANCSHARES        COMMON 02408H106         131      15,000 N  X                                        15,000            
 AMERICAN BANKERS INSURANCE COMMON 024456105         941      18,100 N  X                             1,000      17,100            
 AMERICAN BANKERS INSURANCE COMMON 024456105       4,360      83,850 N  X                                        83,850            
 ABM INDUSTRIES             COMMON 000957100       1,999      65,550 N  X                                        65,550            
 ABM INDUSTRIES             COMMON 000957100         414      13,600 N  X                                        13,600            
 ABBOTT LABORATORIES        COMMON 002824100       7,495     160,120 N  X                               400       4,000     155,720
 ABBOTT LABORATORIES        COMMON 002824100         634      13,550 N  X                                        13,550            
 ACACIA BANCORP / SERIES A  PREFER 783374PRA         200      20,000 N  X                                        20,000            
 AMERICREDIT CORP.          COMMON 03060R101         848      64,650 N  X                                        64,650            
 AMERICREDIT CORP.          COMMON 03060R101         152      11,600 N  X                                        11,600            
 ACE LTD                    COMMON G0070K103      41,764   1,339,148 N  X                           111,484   1,218,664       9,000
 ACE LTD                    COMMON G0070K103      66,245   2,124,117 N  X                                     2,124,117            
 ACE LTD                    COMMON G0070K103       1,152      36,940 N  X                  ERIS         290      36,650            
 AFFILIATED COMPUTER SVCS   COMMON 008190100       1,340      29,300 N  X                                        29,300            
 ADVANCED MARKETING SERVICE COMMON 00753T105         254      19,600 N  X                                        19,600            
 AMEREN CORP                COMMON 023608102         225       6,236 N  X                                         6,236            
 AEGON, N.V. AMER REG SHARE COMMON 007924103         263       2,928 N  X                                         2,928            
 ADVANCED ENVIRONMENTAL REC COMMON 007947104          62      67,151 N  X                                        67,151            
 ADVANCED ENVIR RECYCLING T COMMON AERTAWTS           30      80,000 N  X                                        80,000            
 ADVANCED ENVIRONMENTAL REC COMMON AERTAWTSX         N/A      91,820 N  X                                        91,820            
 ADVANCED ENVIR RECYCLING T COMMON AERTAWTSY         N/A      33,900 N  X                                        33,900            
 AETNA, INC                 COMMON 008117103       8,300     100,000 N  X                                                   100,000
 AFFYMETRIX                 COMMON 00826T108         696      20,000 N  X                                        20,000            
 ASSOCIATES FIRST CAP CORP  COMMON 046008108       1,200      26,670 N  X                             2,096      24,574            
 ALLERGAN INC               COMMON 018490102      10,389     118,233 N  X                             2,784     115,449            
 ALLERGAN INC               COMMON 018490102      28,225     321,203 N  X                                       321,203            
 ALLERGAN INC               COMMON 018490102         533       6,071 N  X                  ERIS                   6,071            
 AGOURON PHARMACEUTICALS    COMMON 008488108       3,574      63,200 N  X                                        63,200            
 AGOURON PHARMACEUTICALS    COMMON 008488108         282       5,000 N  X                                         5,000            
 AGRIBRANDS INTERNATIONAL I COMMON 00849R105       2,774      84,390 N  X                            15,700      58,890       9,800
 AGRIBRANDS INTERNATIONAL I COMMON 00849R105       3,280      99,790 N  X                                        99,790            
 AMERICAN HOME PRODS CORP   COMMON 026609107      32,085     491,734 N  X                            25,125     463,109       3,500
 AMERICAN HOME PRODS CORP   COMMON 026609107         208       3,200 N         X                                  3,200            
 AMERICAN HOME PRODS CORP   COMMON 026609107      60,582     928,474 N  X                                       928,474            
                                         _______________
    PAGE COLUMN TOTALS                           341,709


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    2
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 AMERICAN HOME PRODS CORP   COMMON 026609107         912      13,984 N  X                  ERIS          87      13,897            
 AMERICAN INTL GROUP INC    COMMON 026874107      49,904     413,713 N  X                             3,827     242,931     166,955
 AMERICAN INTL GROUP INC    COMMON 026874107         305       2,530 N         X                                  2,530            
 AMERICAN INTL GROUP INC    COMMON 026874107      87,245     723,276 N  X                                       723,276            
 AMERICAN INTL GROUP INC    COMMON 026874107         693       5,749 N  X                  ERIS          46       5,703            
 APARTMANT INVESTMENT & MGM COMMON 03748R101         266       7,351 N  X                                         7,351            
 ACCLAIM ENMNT INC.         COMMON 004325205       1,371     153,500 N  X                                       153,500            
 ACCLAIM ENMNT INC.         COMMON 004325205         241      27,000 N  X                                        27,000            
 AK STEEL HOLDING CORP      COMMON 001547108         544      24,136 N  X                                        24,136            
 ALKERMES INC               COMMON 01642T108       1,498      55,000 N  X                                        55,000            
 ALKERMES INC               COMMON 01642T108         299      11,000 N  X                                        11,000            
 ALPHARMA INC CL A          COMMON 020813101       2,429      61,900 N  X                                        61,900            
 ALPHARMA INC CL A          COMMON 020813101         368       9,400 N  X                                         9,400            
 AMGEN INC                  COMMON 031162100       2,126      28,400 N  X                             1,000      27,400            
 AMGEN INC                  COMMON 031162100       8,032     107,280 N  X                                       107,280            
 AMERIN CORP                COMMON 03070X106         650      32,000 N  X                                        32,000            
 AMERICAN SUPERCONDUCTOR CO COMMON 030111108         273      30,000 N  X                                        30,000            
 ANDOVER BANCORP INC.       COMMON 034258103       1,383      51,000 N  X                                        51,000            
 ANDOVER BANCORP INC.       COMMON 034258103         241       8,900 N  X                                         8,900            
 AMERICA ON LINE  INC       COMMON 02364J104       4,280      29,122 N  X                                                    29,122
 ANADARKO PETROLEUM CORP    COMMON 032511107       1,201      31,826 N  X                               500      31,326            
 APLLIED POWER              COMMON 038225108       1,203      44,150 N  X                                        44,150            
 APLLIED POWER              COMMON 038225108         253       9,300 N  X                                         9,300            
 ATLANTIC RICHFIELD CO      COMMON 048825103       1,768      24,184 N  X                                        24,184            
 ARM FINANCIAL GROUP INC CL COMMON 001944107       1,208      80,900 N  X                                        80,900            
 ARM FINANCIAL GROUP INC CL COMMON 001944107         321      21,500 N  X                                        21,500            
 ON ASSIGNMENT INC.         COMMON 682159108         814      31,800 N  X                                        31,800            
 ARCHSTONE COMMUNITIES TRUS COMMON 039581103       1,394      69,306 N  X                                        69,306            
 ARCHSTONE COMMUNITIES TRUS COMMON 039581103       5,219     259,355 N  X                                       259,355            
 AASTROM BIOSCIENCES        COMMON 00253U107         476     195,454 N  X                                       195,454            
 AASTROM BIOSCIENCES        COMMON 00253U107          52      21,718 N  X                                        21,718            
 ALLTEL CORP                COMMON 020039103      37,358     598,935 N  X                            35,881     562,988          65
 ALLTEL CORP                COMMON 020039103         155       2,500 N         X                                  2,500            
 ALLTEL CORP                COMMON 020039103      59,448     953,079 N  X                                       953,079            
 ALLTEL CORP                COMMON 020039103       1,280      20,537 N  X                  ERIS                  20,537            
 AGL RESOURCES  INC         COMMON 001204106       1,756     100,000 N  X                                       100,000            
 AIRTOUCH COMMUNICATIONS  I COMMON 00949T100      33,566     347,387 N  X                             9,007     267,350      71,030
                                         _______________
    PAGE COLUMN TOTALS                           310,551


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    3
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 AIRTOUCH COMMUNICATIONS  I COMMON 00949T100  65,063     673,356 N  X                                       673,356            
 AIRTOUCH COMMUNICATIONS  I COMMON 00949T100     747       7,734 N  X                  ERIS          41       7,693            
 AIRTOUCH COMM PR B 6% 8/16 PREFER 00949T209   1,321      16,785 N  X                                           135      16,650
 AIRTOUCH COMM PR B 6% 8/16 PREFER 00949T209       1,246      15,827 N  X                                        15,827            
 AIRTOUCH COMM PR C 4.25% 8 PREFER 00949T308       5,796      43,099 N  X                                        32,440      10,659
 AIRTOUCH COMM PR C 4.25% 8 PREFER 00949T308         522       3,884 N  X                                         3,884            
 ATRIX LABATORIES           COMMON 04962L101       1,386     123,200 N  X                                       123,200            
 ATWOOD OCEANICS INC.       COMMON 050095108       1,308      43,600 N  X                                        43,600            
 ATWOOD OCEANICS INC.       COMMON 050095108         264       8,800 N  X                                         8,800            
 AUTOMATIC DATA PROCESSING  COMMON 053015103         554      13,400 N  X                                         8,600       4,800
 AUTOMATIC DATA PROCESSING  COMMON 053015103         165       4,000 N         X                                  4,000            
 AVALON BAY CMNTYS INC.     COMMON 053484101       1,579      49,541 N  X                             4,000      45,541            
 AVNET INC                  COMMON 053807103         225       6,140 N  X                                         6,140            
 AVATAR HOLDINGS INC        COMMON 053494100       3,742     205,088 N  X                             4,435     159,053      41,600
 AVATAR HOLDINGS INC        COMMON 053494100      20,850   1,142,498 N  X                                     1,142,498            
 AMERICAN EXPRESS CO        COMMON 025816109         459       3,900 N  X                                         3,900            
 ALZA CORP                  COMMON 022615108       2,539      66,400 N  X                                        66,400            
 ALZA CORP                  COMMON 022615108         221       5,800 N  X                                         5,800            
 BOEING CO.                 COMMON 097023105         238       7,000 N  X                                         7,000            
 BOEING CO.                 COMMON 097023105         635      18,702 N  X                                        18,702            
 BANKAMERICA CORP           COMMON 06605F102         555       7,863 N  X                                         6,263       1,600
 BANKAMERICA CORP           COMMON 06605F102         717      10,164 N  X                                        10,164            
 BANKATLANTIC CORP  INC CL  COMMON 065908105          69      10,000 N  X                                        10,000            
 BAXTER INTL INC            COMMON 071813109         203       3,077 N  X                                77       3,000            
 BALANCE BAR CO             COMMON 057623100       1,501     153,000 N  X                                       153,000            
 BALANCE BAR CO             COMMON 057623100         294      30,000 N  X                                        30,000            
 BANKATLANTIC BANCORP INC C COMMON 065908501         101      14,413 N  X                                        14,413            
 BOSTON COMMUNICATIONS GROU COMMON 100582105         424      43,500 N  X                             4,000      39,500            
 BOSTON COMMUNICATIONS GROU COMMON 100582105         390      40,000 N  X                                        40,000            
 BIO CHEM PHARMACEUTICAL    COMMON 09058T108      21,716   1,018,978 N  X                            69,630     949,348            
 BIO CHEM PHARMACEUTICAL    COMMON 09058T108         130       6,100 N         X                                  6,100            
 BIO CHEM PHARMACEUTICAL    COMMON 09058T108      31,212   1,464,496 N  X                                     1,464,496            
 BIO CHEM PHARMACEUTICAL    COMMON 09058T108         427      20,069 N  X                  ERIS         147      19,922            
 BRANDYWINE REALTY TRUST SB COMMON 105368203         568      35,000 N  X                                        35,000            
 BECTON DICKINSON & CO      COMMON 075887109         245       6,400 N         X                                  6,400            
 BECKMAN COULTER INC.       COMMON 075811109      16,029     362,246 N  X                            35,786     326,460            
 BECKMAN COULTER INC.       COMMON 075811109      17,770     401,602 N  X                                       401,602            
                                         _______________
    PAGE COLUMN TOTALS                           201,226


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    4
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 BECKMAN COULTER INC.       COMMON 075811109         478      10,803 N  X                  ERIS         111      10,692            
 BELL ATLANTIC CORP         COMMON 077853109       2,536      49,079 N  X                                80      48,999            
 BELL ATLANTIC CORP         COMMON 077853109       1,380      26,715 N  X                                        26,715            
 BIOGEN INC                 COMMON 090597105       6,403      56,018 N  X                                        54,018       2,000
 BIOGEN INC                 COMMON 090597105       2,936      25,692 N  X                                        25,692            
 BJ's WHOLESALE CLUB        COMMON 05548J106       1,968      74,800 N  X                                        74,800            
 BJ's WHOLESALE CLUB        COMMON 05548J106         415      15,800 N  X                                        15,800            
 BJ SERVICES CO.            COMMON 055482103         255      11,000 N  X                                        11,000            
 BANK OF NEW YORK INC       COMMON 064057102         286       7,965 N  X                                         7,965            
 BANK OF NEW YORK INC       COMMON 064057102       6,564     182,678 N  X                                       182,678            
 BANK SOUTH CAROLINA CORP   COMMON 065066102         171      11,616 N  X                                        11,616            
 BELO (A.H.) CORP -COM SER  COMMON 080555105         844      46,600 N  X                                        46,600            
 BELLSOUTH CORP             COMMON 079860102         204       5,106 N  X                                         5,106            
 BRISTOL MYERS SQUIBB CO    COMMON 110122108       9,703     151,317 N  X                             3,203      37,614     110,500
 BRISTOL MYERS SQUIBB CO    COMMON 110122108         282       4,400 N         X                                  4,400            
 BRISTOL MYERS SQUIBB CO    COMMON 110122108         647      10,100 N  X                                        10,100            
 BP AMOCO ADS               COMMON 055622104       2,465      24,415 N  X                                        24,415            
 BP AMOCO ADS               COMMON 055622104       8,212      81,310 N  X                                        81,310            
 BURLINGTON RES INC         COMMON 122014103      33,177     830,744 N  X                            70,504     760,240            
 BURLINGTON RES INC         COMMON 122014103      55,313   1,385,011 N  X                                     1,385,011            
 BURLINGTON RES INC         COMMON 122014103       1,167      29,222 N  X                  ERIS         169      29,053            
 BIORELIANCE CORP           COMMON 090951104       1,056     162,554 N  X                                                   162,554
 Berkshire Hathaway Class B COMMON 084670207       7,266       3,091 N  X                               136       2,955            
 Berkshire Hathaway Class B COMMON 084670207      19,680       8,371 N  X                                         8,371            
 Berkshire Hathaway Class B COMMON 084670207         369         157 N  X                  ERIS                     157            
 BARR LABS INC.             COMMON 068306109         957      31,400 N  X                                        31,400            
 BEC ENERGY                 COMMON 100599109         463      12,600 N  X                                        12,600            
 BANKERS TRUST N Y          COMMON 066365107         358       4,065 N  X                                         4,065            
 BRUNSWICK TECHNOLOGY       COMMON 117394106       1,509     262,500 N  X                                       262,500            
 BURLINGTON INDS INC.       COMMON 121693105         864     130,500 N  X                             9,500      63,700      57,300
 BURLINGTON INDS INC.       COMMON 121693105       2,177     328,700 N  X                                       328,700            
 BINDVIEW DEVELOPMENT INC.  COMMON 090327107       2,630      84,500 N  X                                        84,500            
 BINDVIEW DEVELOPMENT INC.  COMMON 090327107         277       8,900 N  X                                         8,900            
 BORG WARNER AUTOMOTIVE     COMMON 099724106      20,756     434,115 N  X                            48,050     379,365       6,700
 BORG WARNER AUTOMOTIVE     COMMON 099724106      35,210     736,429 N  X                                       736,429            
 BORG WARNER AUTOMOTIVE     COMMON 099724106         630      13,177 N  X                  ERIS          65      13,112            
 BIOMATRIX INC.             COMMON 09060P102       2,511      32,200 N  X                                        32,200            
                                         _______________
    PAGE COLUMN TOTALS                           232,136


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    5
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 BIOMATRIX INC.             COMMON 09060P102         226       2,900 N  X                                         2,900            
 BOSTON PROPERTIES INC      COMMON 101121101         806      25,500 N  X                                        25,500            
 BEAZER HOME                COMMON 07556Q105       1,939      92,346 N  X                                        92,346            
 BEAZER HOME                COMMON 07556Q105       4,020     191,461 N  X                                       191,461            
 CITIGROUP INC              COMMON 172967101      25,030     391,861 N  X                            39,503     352,358            
 CITIGROUP INC              COMMON 172967101      52,585     823,261 N  X                                       823,261            
 CITIGROUP INC              COMMON 172967101         544       8,521 N  X                  ERIS         104       8,417            
 CONAGRA INC.               COMMON 205887102         606      23,675 N  X                             1,200      22,475            
 CONAGRA INC.               COMMON 205887102      11,768     459,262 N  X                                       459,262            
 NEXTEL COMMUNICATIONS  INC COMMON 65332V103         203       5,555 N  X                                         5,555            
 CHUBB CORP                 COMMON 171232101       1,702      29,075 N  X                               225      28,850            
 CHUBB CORP                 COMMON 171232101      14,336     244,812 N  X                                       244,812            
 COMMERCE BANCORP INC. NJ   COMMON 200519106       7,810     189,335 N  X                                       189,335            
 CAMBREX CORP.              COMMON 132011107       1,372      62,050 N  X                                        62,050            
 CAMBREX CORP.              COMMON 132011107         236      10,700 N  X                                        10,700            
 CD RADIO INC               COMMON 125127100         260      10,000 N  X                                        10,000            
 CABLE DESIGN TECH          COMMON 126924109         877      79,800 N  X                                        79,800            
 CABLE DESIGN TECH          COMMON 126924109         147      13,400 N  X                                        13,400            
 CELL GENESYS INC           COMMON 150921104          83      17,000 N  X                                        17,000            
 CRESCENT REAL EST EQUITIES COMMON 225756105         374      17,400 N  X                                        17,400            
 CHIRON CORP                COMMON 170040109       1,936      88,276 N  X                                        88,276            
 CHALONE INC                COMMON 157639105         144      18,370 N  X                                        18,370            
 C&D TECHNOLOGIES INC.      COMMON 124661109       1,537      61,800 N  X                                        61,800            
 C&D TECHNOLOGIES INC.      COMMON 124661109         256      10,300 N  X                                        10,300            
 CHEVRON CORP               COMMON 166751107       1,448      16,319 N  X                                        16,319            
 CIGNA CORP                 COMMON 125509109         357       4,266 N  X                                         4,266            
 CINERGY CORP               COMMON 172474108      10,036     364,981 N  X                            56,864     308,117            
 CINERGY CORP               COMMON 172474108       4,418     160,673 N  X                                       160,673            
 CINCINNATI FINANCIAL CORP  COMMON 172062101         204       5,622 N  X                                         5,622            
 C.I.T. GROUP INC-A         COMMON 125577106       1,888      61,800 N  X                               100      51,700      10,000
 C.I.T. GROUP INC-A         COMMON 125577106       5,978     195,600 N  X                                       195,600            
 CHECK FREE CORP            COMMON 162812101         638      15,000 N  X                                        15,000            
 CLEVELAND CLIFFS INC       COMMON 185896107       7,055     207,147 N  X                            16,313     190,834            
 CLEVELAND CLIFFS INC       COMMON 185896107      21,695     636,931 N  X                                       636,931            
 MACK CALI REALTY           COMMON 554489104       3,787     128,946 N  X                               733     128,213            
 MACK CALI REALTY           COMMON 554489104       3,117     106,142 N  X                                       106,142            
 COMERICA  INC              COMMON 200340107         262       4,200 N  X                                         4,200            
                                             ___________     
 PAGE COLUMN TOTALS                              189,699


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    6
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 CHASE MANHATTAN CORP NEW   COMMON 16161A108       1,407      17,293 N  X                               200      17,093            
 CHASE MANHATTAN CORP NEW   COMMON 16161A108       6,193      76,111 N  X                                        76,111            
 CHASE MANHATTAN BANK NEW S PREFER 16161A835         364      13,000 N  X                                        13,000            
 COMCAST CORP CL A SPL      COMMON 200300200      19,278     306,319 N  X                             8,403     290,916       7,000
 COMCAST CORP CL A SPL      COMMON 200300200      76,802   1,220,290 N  X                                     1,220,290            
 COMCAST CORP CL A SPL      COMMON 200300200       1,164      18,508 N  X                  ERIS                  18,508            
 COMDIAL                    COMMON 200332302         N/A     100,000 N  X                                       100,000            
 COMPUTER NETWORK TECH CORP COMMON 204925101       2,402     149,000 N  X                                       149,000            
 COMPUTER NETWORK TECH CORP COMMON 204925101         483      30,000 N  X                                        30,000            
 CNA FINANCIAL CORP         COMMON 126117100         802      20,677 N  X                                        20,677            
 CONSOLIDATED NAT GAS CO    COMMON 209615103       1,122      23,054 N  X                                        23,054            
 CENTOCOR INC               COMMON 152342101       1,809      49,000 N  X                                        49,000            
 CENTOCOR INC               COMMON 152342101         295       8,000 N  X                                         8,000            
 COACHMEN INDUSTRIES, INC   COMMON 189873102       1,310      63,950 N  X                                        63,950            
 COACHMEN INDUSTRIES, INC   COMMON 189873102         266      13,000 N  X                                        13,000            
 COLUMBIA/HCA HEALTH CORP   COMMON 197677107       1,013      53,541 N  X                                        53,541            
 COLUMBIA/HCA HEALTH CORP   COMMON 197677107       7,084     374,083 N  X                                       374,083            
 COLLAGENESIS SER B 10 %    COMMON COLLAGEN        1,078     220,000 N  X                                       220,000            
 COLLAGENESIS SER B 10 %    COMMON COLLAGEN          147      30,000 N  X                                        30,000            
 COLLAGENESIS CORP. WARRANT COMMON COLLAGENW          22     110,000 N  X                                       110,000            
 COLLAGENESIS CORP. WARRANT COMMON COLLAGENW           3      15,000 N  X                                        15,000            
 COMAIR HOLDINGS INC.       COMMON 199789108       1,739      73,650 N  X                                        73,650            
 COMAIR HOLDINGS INC.       COMMON 199789108         489      20,700 N  X                                        20,700            
 3COM CORP                  COMMON 885535104         203       8,709 N  X                                         8,709            
 COOPER COS                 COMMON 216648402         737      47,950 N  X                                        47,950            
 COX COMMUNICATIONS  INC NE COMMON 224044107         314       4,164 N  X                                         4,164            
 CANADIAN PACIFIC LTD NEW   COMMON 135923100         255      13,077 N  X                                        13,077            
 CANADIAN PACIFIC LTD NEW   COMMON 135923100         337      17,271 N  X                                        17,271            
 CENTRAL PACIFIC MINERALS   COMMON 154762306          99      10,000 N  X                                        10,000            
 CORN PRODUCTS INTL INC     COMMON 219023108         275      11,500 N  X                                         1,500      10,000
 CORN PRODUCTS INTL INC     COMMON 219023108       1,413      59,065 N  X                                        59,065            
 CORNERSTONE PROPERTIES INC COMMON 21922H103       4,122     281,890 N  X                            26,675     255,215            
 CORNERSTONE PROPERTIES INC COMMON 21922H103      14,490     990,788 N  X                                       990,788            
 COMPAQ COMPUTER            COMMON 204493100      37,670   1,188,820 N  X                           113,438   1,061,682      13,700
 COMPAQ COMPUTER            COMMON 204493100      52,055   1,642,786 N  X                                     1,642,786            
 COMPAQ COMPUTER            COMMON 204493100       1,022      32,261 N  X                  ERIS         202      32,059            
 CAMDEN PROPERTY TR         COMMON 133131102         222       9,000 N  X                                         9,000            
                                             ____________
    PAGE COLUMN TOTALS                               N/A


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    7
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 CARLYLE INDUSTRIES INC     COMMON 143093102           8      11,050 N  X                                        11,050            
 CAPTEC NET LEASE           COMMON 140724105         260      20,000 N  X                                        20,000            
 CISCO SYSTEMS              COMMON 17275R102       8,469      77,301 N  X                             1,700      20,050      55,551
 CISCO SYSTEMS              COMMON 17275R102       2,021      18,450 N  X                                        18,450            
 CORRECTIONAL SERVICES      COMMON 219921103         181      22,000 N  X                                        22,000            
 CENTRAL & SOUTH WEST CORP  COMMON 152357109      15,759     672,398 N  X                             8,531     579,493      84,374
 CENTRAL & SOUTH WEST CORP  COMMON 152357109      26,456   1,128,815 N  X                                     1,128,815            
 CENTRAL & SOUTH WEST CORP  COMMON 152357109         595      25,403 N  X                  ERIS                  25,403            
 CAPITAL SENIOR LIVING CORP COMMON 140475104         921     130,500 N  X                                       130,500            
 CAPITAL SENIOR LIVING CORP COMMON 140475104         176      25,000 N  X                                        25,000            
 CTS Corp                   COMMON 126501105       1,745      35,300 N  X                                        35,300            
 CTS Corp                   COMMON 126501105         351       7,100 N  X                                         7,100            
 COUSINS PROPERTIES         COMMON 222795106       2,872      99,268 N  X                                        81,668      17,600
 COUSINS PROPERTIES         COMMON 222795106      23,773     821,531 N  X                                       821,531            
 CSC HOLDINGS 8.5% SER I PF PREFER 126304203       2,899      26,000 N  X                                        26,000            
 CONVERGYS CORP.            COMMON 212485106       1,387      81,000 N  X                                        81,000            
 CONVERGYS CORP.            COMMON 212485106         274      16,000 N  X                                        16,000            
 DBT ONLINE INC.            COMMON 233044106       1,094      44,000 N  X                                        44,000            
 DU PONT E I DE NEMOURS & C COMMON 263534109         504       8,690 N  X                             1,000       7,690            
 DU PONT E I DE NEMOURS & C COMMON 263534109       5,173      89,104 N  X                                        89,104            
 D.R. HORTON INC.           COMMON 23331A109         835      49,900 N  X                                        49,900            
 DIGIRAD SERIVE D PFD       SIRCOM DIGIRADXX         700     303,385 N  X                                       303,385            
 DIGIRAD SERIVE D PFD       SIRCOM DIGIRADXX          49      21,670 N  X                                        21,670            
 DII GROUP INC              COMMON 232949107       1,345      46,000 N  X                                        46,000            
 WALT DISNEY CO.            COMMON 254687106       1,776      57,080 N  X                                        29,703      27,377
 WALT DISNEY CO.            COMMON 254687106       9,818     315,450 N  X                                       315,450            
 DOVER CORP                 COMMON 260003108      10,803     328,627 N  X                            33,199     295,428            
 DOVER CORP                 COMMON 260003108      14,852     451,791 N  X                                       451,791            
 DOVER CORP                 COMMON 260003108         324       9,874 N  X                  ERIS         146       9,728            
 DOW CHEMICAL CO            COMMON 26054310          243       2,617 N  X                                         2,617            
 DOW CHEMICAL CO            COMMON 26054310          295       3,169 N  X                                         3,169            
 DPL INC                    COMMON 233293109      17,942   1,087,408 N  X                            65,625   1,021,783            
 DPL INC                    COMMON 233293109      21,350   1,293,991 N  X                                     1,293,991            
 DPL INC                    COMMON 233293109         549      33,277 N  X                  ERIS                  33,277            
 DATA PROCESSING RESOURCES  COMMON 237823109         933      68,200 N  X                                        68,200            
 DATA PROCESSING RESOURCES  COMMON 237823109         190      13,900 N  X                                        13,900            
 DUANE READE                COMMON 263578106         919      33,000 N  X                                        33,000            
                                             ____________
    PAGE COLUMN TOTALS                           177,856


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    8
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 DVI INC.                   COMMON 233343102       1,051      70,700 N  X                                        70,700            
 DVI INC.                   COMMON 233343102         163      11,000 N  X                                        11,000            
 HEARX LTD                  COMMON EARWTS            N/A     140,625 N  X                                       140,625            
 EAGLE GEOPHYSICAL INC.     COMMON 269524104         537     141,000 N  X                                       141,000            
 EAGLE GEOPHYSICAL INC.     COMMON 269524104          95      25,000 N  X                                        25,000            
 EASTMAN KODAK CO           COMMON 27746110          541       8,480 N  X                                         8,480            
 ELAN CORP PLC ADR          COMMON 284131208       3,359      48,170 N  X                                        48,170            
 ELAN CORP PLC ADR          COMMON 284131208         284       4,080 N  X                                         4,080            
 ELXSI CORP                 COMMON 268613205         153      15,000 N  X                                        15,000            
 EMMIS BROADCASTING CL A    COMMON 291525103       1,747      34,942 N  X                                        34,942            
 EMPI INC.                  COMMON 291586105         723      33,450 N  X                                        33,450            
 ENERGY CONVERSION DEVICES  COMMON 292659109         312      33,800 N  X                                        33,800            
 ENZON INC                  COMMON 293904108         368      25,000 N  X                                        25,000            
 ENRON OIL & GAS CO         COMMON 293562104      23,515   1,414,454 N  X                            46,102   1,368,352            
 ENRON OIL & GAS CO         COMMON 293562104      42,702   2,568,581 N  X                                     2,568,581            
 ENRON OIL & GAS CO         COMMON 293562104         938      56,421 N  X                  ERIS         309      56,112            
 EQUITY OFFICE PROPERTIES   COMMON 294741103      24,924     982,249 N  X                            88,672     893,577            
 EQUITY OFFICE PROPERTIES   COMMON 294741103      33,648   1,326,061 N  X                                     1,326,061            
 EQUITY OFFICE PROPERTIES   COMMON 294741103         667      26,286 N  X                  ERIS         237      26,049            
 EQUITY RESIDENTIAL PPTYS T COMMON 29476L107       1,196      29,000 N  X                                        29,000            
 ESTERLINE TECHNOLOGIES COR COMMON 297425100       1,007      77,900 N  X                                        77,900            
 ESTERLINE TECHNOLOGIES COR COMMON 297425100         175      13,600 N  X                                        13,600            
 THE EUREKA U.S. FUND LTD.  SINMOT EUREKA          4,000       4,000 N  X                                         4,000            
 THE EUREKA U.S. FUND LTD.  SINMOT EUREKA          6,868       6,869 N  X                                         6,869            
 FORD MTR CO DEL            COMMON 345370100       2,560      45,163 N  X                             1,000      44,163            
 FIRST AMER N CORP. TENN    COMMON 318900107       1,579      42,832 N  X                                                    42,832
 FIRST AMER N CORP. TENN    COMMON 318900107       2,827      76,681 N  X                                        76,681            
 FNB CORP                   COMMON 302520101         402      17,504 N  X                                        17,504            
 FIRST DATA CORP            COMMON 319963104       2,566      60,042 N  X                                                    60,042
 FREMONT GENERAL CORP.      COMMON 357288109       1,451      76,150 N  X                                        76,150            
 FREMONT GENERAL CORP.      COMMON 357288109         284      14,900 N  X                                        14,900            
 FEDERAL NATL MORTGAGE ASSN COMMON 313586109      30,470     440,012 N  X                            13,703     223,169     203,140
 FEDERAL NATL MORTGAGE ASSN COMMON 313586109      42,789     617,897 N  X                                       617,897            
 FEDERAL NATL MORTGAGE ASSN COMMON 313586109         606       8,762 N  X                  ERIS                   8,762            
 FORTUNE BRANDS, INC        COMMON 349631101       4,069     105,705 N  X                            11,500      84,205      10,000
 FORTUNE BRANDS, INC        COMMON 349631101      19,489     506,225 N  X                                       506,225            
 SPRINT CORP                COMMON 852061100         237       2,416 N  X                                         2,154         262
                                             ___________
    PAGE COLUMN TOTALS                           258,320


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE    9
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 SPRINT CORP                COMMON 852061100         520       5,300 N  X                                         5,300            
 FPIC INSURANCE GROUP INC   COMMON 302563101         257       6,200 N  X                                         6,200            
 FEDERAL HOME LOAN          COMMON 313400301         558       9,750 N  X                                         4,250       5,500
 FEDERAL HOME LOAN          COMMON 313400301         794      13,860 N  X                                        13,860            
 FIRST UNION CORP           COMMON 337358105         409       7,668 N  X                                         7,668            
 FORWARD AIR CORPORATION    COMMON 349853101       1,254      95,600 N  X                                        95,600            
 FORWARD AIR CORPORATION    COMMON 349853101         236      18,000 N  X                                        18,000            
 GILLETTE CO                COMMON 37576610        1,212      20,400 N  X                                           400      20,000
 GADZOOKS INC.              COMMON 362553109         379      51,000 N  X                                        51,000            
 GADZOOKS INC.              COMMON 362553109         111      15,000 N  X                                        15,000            
 GABLES RESIDENTIAL TR      COMMON 362418105       1,204      54,907 N  X                             2,367      52,540            
 GABLES RESIDENTIAL TR      COMMON 362418105       5,531     252,140 N  X                                       252,140            
 GANNETT CO                 COMMON 364730101       2,775      44,060 N  X                             1,200       6,800      36,060
 GANNETT CO                 COMMON 364730101         126       2,000 N         X                                  2,000            
 GANNETT CO                 COMMON 364730101      15,737     249,800 N  X                                       249,800            
 GERBER CHILDRENS WEAR      COMMON 373701101         578      91,700 N  X                                        91,700            
 GERBER CHILDRENS WEAR      COMMON 373701101         114      18,100 N  X                                        18,100            
 GENERAL ELECTRIC CO        COMMON 369604103       5,866      53,027 N  X                             1,000      52,027            
 GENERAL ELECTRIC CO        COMMON 369604103      31,708     286,626 N  X                                       286,626            
 GELTEX PHARMACEUTICALS INC COMMON 368538104         990      70,400 N  X                                        70,400            
 GENZYME CORP               COMMON 372917104      41,313     819,105 N  X                            18,515     762,440      38,150
 GENZYME CORP               COMMON 372917104         136       2,700 N         X                                  2,700            
 GENZYME CORP               COMMON 372917104      79,067   1,567,624 N  X                                     1,567,624            
 GENZYME CORP               COMMON 372917104         931      18,477 N  X                  ERIS                  18,477            
 GENZYME TISSUE REPAIR      COMMON 372917401         233     100,960 N  X                                       100,960            
 GENZYME TISSUE REPAIR      COMMON 372917401         322     139,516 N  X                                       139,516            
 GENERAL GROWTH PROPERTIES  COMMON 370021107         664      20,500 N  X                                        20,500            
 GENESIS HEALTH VENTURES    COMMON 371912106          63      13,000 N  X                                        13,000            
 GILDAN ACTIVEWEAR          COMMON 375916103       2,040     166,600 N  X                                       166,600            
 GILDAN ACTIVEWEAR          COMMON 375916103         392      32,000 N  X                                        32,000            
 GILEAD SCIENCES INC        COMMON 375558103         341       7,500 N  X                                         7,500            
 GLIA TECH                  COMMON 37929C103       1,907      82,500 N  X                                        82,500            
 GLAXO WELLCOME ADR         COMMON 37733W105       2,958      44,200 N  X                             3,940      40,260            
 GLAXO WELLCOME ADR         COMMON 37733W105      11,901     177,794 N  X                                       177,794            
 GLAXO WELLCOME ADR         COMMON 37733W105         349       5,215 N  X                  ERIS                   5,215            
 GENERAL MTRS CORP          COMMON 370442105      54,157     622,499 N  X                            20,727     514,772      87,000
 GENERAL MTRS CORP          COMMON 370442105      81,524     937,062 N  X                                       937,062            
                                             ___________
    PAGE COLUMN TOTALS                           348,672


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   10
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 GENERAL MTRS CORP          COMMON 370442105         794       9,130 N  X                  ERIS          99       9,031            
 GEN MOTORS CL H / HUGHES E COMMON 370442832       4,320      85,666 N  X                             5,825      76,041       3,800
 GEN MOTORS CL H / HUGHES E COMMON 370442832       9,571     189,777 N  X                                       189,777            
 GENENTECH  INC SPECIAL COM COMMON 368710307       8,282      93,456 N  X                                        93,456            
 GULF CANADA RES LTD ORD    COMMON 40218L305         103      38,500 N  X                                        38,500            
 GULF CANADA RES LTD ORD    COMMON 40218L305         473     176,200 N  X                                       176,200            
 LANDCARE USA               COMMON 51476F104       1,517     148,000 N  X                                       148,000            
 LANDCARE USA               COMMON 51476F104         307      30,000 N  X                                        30,000            
 GTE CORP                   COMMON 362320103      35,669     589,577 N  X                            48,245     531,232      10,100
 GTE CORP                   COMMON 362320103         211       3,500 N         X                                  3,500            
 GTE CORP                   COMMON 362320103      54,777     905,415 N  X                                       905,415            
 GTE CORP                   COMMON 362320103       1,127      18,641 N  X                  ERIS          99      18,542            
 GLOBAL TELESYSTEMS GROUP I COMMON 37936U104       2,114      37,800 N  X                               600      37,200            
 GLOBAL TELESYSTEMS GROUP I COMMON 37936U104         262       4,700 N         X                                  4,700            
 GLOBAL TELESYSTEMS GROUP I COMMON 37936U104       1,001      17,900 N  X                                        17,900            
 GENZYME-MOLECULAR ONCOLOGY COMMON 372917500         143      38,181 N  X                                        38,181            
 HANSEN NATURAL CORP        COMMON 411310105         678     184,000 N  X                                       184,000            
 HANSEN NATURAL CORP        COMMON 411310105         184      50,000 N  X                                        50,000            
 harbor florida             COMMON 411901101       1,912     150,000 N  X                                       150,000            
 HCC INSURANCE HOLDINGS INC COMMON 404132102       1,549      80,500 N  X                                        80,500            
 HCC INSURANCE HOLDINGS INC COMMON 404132102         281      14,600 N  X                                        14,600            
 HOME DEPOT INC             COMMON 437076102         529       8,500 N  X                                         8,500            
 HOME DEPOT INC             COMMON 437076102         186       3,000 N         X                                  3,000            
 HOME DEPOT INC             COMMON 437076102       1,344      21,600 N  X                                        21,600            
 HENLEY HEALTHCARE          COMMON HENLWT            N/A      14,807 N  X                                        14,807            
 HENLEY HEALTHCARE INC      COMMON HENLWTS           N/A      16,828 N  X                                        16,828            
 HIBERNIA CORP CL A         COMMON 428656102         179      13,616 N  X                                        13,616            
 HIBERNIA CORP CL A         COMMON 428656102       2,948     223,613 N  X                                       223,613            
 HAWAII LAND & FARMING CO   COMMON 41975N104           7      20,000 N  X                                        20,000            
 STARWOOD HOTELS & RESORTS  COMMON 85590A203      15,643     547,678 N  X                            39,720     493,658      14,300
 STARWOOD HOTELS & RESORTS  COMMON 85590A203      14,481     507,026 N  X                                       507,026            
 HEALTHPLAN SERVICES        COMMON 421959107         165      23,448 N  X                             1,863      21,585            
 HEALTHPLAN SERVICES        COMMON 421959107       2,655     376,029 N  X                                       376,029            
 HEALTHSOUTH CORP           COMMON 421924101         344      33,200 N  X                                        33,200            
 HS RESOURCES  INC          COMMON 404297103         150      17,245 N  X                                        17,245            
 HS RESOURCES  INC          COMMON 404297103       2,139     244,500 N  X                                       244,500            
 HEARTLAND TECHNOLOGY       COMMON 421979105         595     140,030 N  X                                       140,030            
                                             ___________
    PAGE COLUMN TOTALS                           166,657

                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   11
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 HUBCO Inc.                 COMMON 404382103       1,409      42,000 N  X                                        42,000            
 HUBCO Inc.                 COMMON 404382103       1,026      30,578 N  X                                        30,578            
 HUGHES SUPPLY INC.         COMMON 444482103       1,519      66,800 N  X                                        66,800            
 HUGHES SUPPLY INC.         COMMON 444482103         263      11,600 N  X                                        11,600            
 HEWLETT PACKARD CO         COMMON 428236103       1,365      20,136 N  X                             1,000                  19,136
 HEWLETT PACKARD CO         COMMON 428236103         976      14,400 N  X                                        14,400            
 HYPERION SOLUTIONS CORP.   COMMON 44914M104       2,282     157,400 N  X                            19,500     137,900            
 HYPERION SOLUTIONS CORP.   COMMON 44914M104      12,168     839,200 N  X                                       839,200            
 INTL BUSINESS MACHINES COR COMMON 459200101      41,885     236,306 N  X                            13,820     206,106      16,380
 INTL BUSINESS MACHINES COR COMMON 459200101         194       1,100 N         X                                  1,100            
 INTL BUSINESS MACHINES COR COMMON 459200101     111,426     628,639 N  X                                       628,639            
 INTL BUSINESS MACHINES COR COMMON 459200101       1,441       8,133 N  X                  ERIS          28       8,105            
 IDEC PHARMACEUTICALS CORP  COMMON 449370105       2,902      56,500 N  X                                        56,500            
 IDEC PHARMACEUTICALS CORP  COMMON 449370105         308       6,000 N  X                                         6,000            
 INTERNATIONAL FIBERCOMM    COMMON 45950T101       1,456     222,000 N  X                                       222,000            
 INTERNATIONAL FIBERCOMM    COMMON 45950T101         301      46,000 N  X                                        46,000            
 INSIGNIA FINANCIAL GROUP I COMMON 45767A105       4,907     348,987 N  X                             9,090     339,897            
 INSIGNIA FINANCIAL GROUP I COMMON 45767A105          90       6,466 N         X                                  6,466            
 INSIGNIA FINANCIAL GROUP I COMMON 45767A105       7,968     566,662 N  X                                       566,662            
 INTEGRATED HEALTH SERVICES COMMON 45812C106          60      11,000 N  X                                        11,000            
 INGRAM MICRO INDS          COMMON 457153104       1,430      62,701 N  X                             5,100      57,601            
 INGRAM MICRO INDS          COMMON 457153104         180       7,900 N         X                                  7,900            
 INGRAM MICRO INDS          COMMON 457153104       5,003     219,316 N  X                                       219,316            
 IMCLONE SYS INC            COMMON 45245W10        2,742     162,500 N  X                                       162,500            
 IMCLONE SYS INC            COMMON 45245W10          261      15,500 N  X                                        15,500            
 INCYTE PHARMACEUTICAL INC  COMMON 45337C102       2,457     122,500 N  X                                       122,500            
 INCYTE PHARMACEUTICAL INC  COMMON 45337C102         210      10,500 N  X                                        10,500            
 INITIALS PLUS INC          COMMON 45719710            1      10,000 N  X                                        10,000            
 INKTOMI CORP               COMMON 457277101         530       4,168 N  X                                                     4,168
 INTERMET CORP              COMMON 45881K104         144      10,800 N  X                                        10,800            
 INTEL CORP                 COMMON 458140100      57,259     481,682 N  X                            31,576     370,926      79,180
 INTEL CORP                 COMMON 458140100      92,675     779,602 N  X                                       779,602            
 INTEL CORP                 COMMON 458140100       1,548      13,029 N  X                  ERIS          54      12,975            
 INTEGRATED SYSTEMS  INC    COMMON 45812M104         140      11,000 N  X                                        11,000            
 INTERVOICE INC             COMMON 461142101       1,005      91,400 N  X                                        91,400            
 INTERVOICE INC             COMMON 461142101         220      20,000 N  X                                        20,000            
 INTERPUBLIC GROUP COS INC  COMMON 4606901           226       3,000 N  X                                         3,000            
                                             ___________
    PAGE COLUMN TOTALS                           359,996


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   12
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 ISB FINANCIAL CORP  LA     COMMON 450091103         362      20,000 N  X                                        20,000            
 ITLA CAPITAL CORPORATION   COMMON 450565106       1,238      85,400 N  X                                        85,400            
 ITLA CAPITAL CORPORATION   COMMON 450565106         255      17,600 N  X                                        17,600            
 JABIL CIRCUIT INC.         COMMON 466313103       1,547      38,200 N  X                                        38,200            
 JABIL CIRCUIT INC.         COMMON 466313103         283       7,000 N  X                                         7,000            
 JOHNSON & JOHNSON          COMMON 47816010        1,645      17,596 N  X                            10,670       6,601         325
 JOHNSON & JOHNSON          COMMON 47816010        2,616      27,981 N  X                                        27,981            
 MORGAN J P & CO INC        COMMON 616880100       4,049      32,820 N  X                                         2,820      30,000
 MORGAN J P & CO INC        COMMON 616880100      12,584     102,000 N  X                                       102,000            
 KEANE CORP                 COMMON 486665102         984      46,200 N  X                                        46,200            
 KEYCORP NEW                COMMON 493267108      12,428     410,000 N  X                                       410,000            
 KEYCORP NEW                COMMON 493267108      26,512     874,649 N  X                                       874,649            
 KINAM GOLD INC SER B 3.75  PREFER 494482201         496      14,134 N  X                                        14,134            
 COCA COLA CO               COMMON 19121610          460       7,500 N  X                                         7,500            
 COCA COLA CO               COMMON 19121610        2,569      41,861 N  X                                        41,861            
 KELLY OIL & GAS            COMMON 487906109          13      25,000 N  X                                        25,000            
 KROLL-O' GARA COMPANY      COMMON 501050108         509      18,800 N  X                                        18,800            
 KRONOS INC.                COMMON 501052104       1,139      46,500 N  X                                        46,500            
 KRONOS INC.                COMMON 501052104         202       8,250 N  X                                         8,250            
 LEADER UNIVERSAL HOLDINGS  COMMON MY0008819           4      20,000 N  X                                        20,000            
 LEGGETT & PLATT            COMMON 52466010          324      16,200 N  X                                        16,200            
 LIGAND PARMACEUTICALS INC  COMMON 53220K207         270      33,000 N  X                                        33,000            
 LIGAND PARMACEUTICALS INC  COMMON 53220K207          81      10,000 N  X                                        10,000            
 LIFECELL CORP              COMMON 531927101         346      75,000 N  X                                        75,000            
 LILLY ELI & CO.            COMMON 532457108         892      10,514 N  X                                        10,514            
 LORAL SPACE & COMMUNICATIO COMMON G56462107         231      16,000 N  X                                        16,000            
 LASALLE RE HLDGS           COMMON G5383Q101       2,667     180,825 N  X                            29,620     137,605      13,600
 LASALLE RE HLDGS           COMMON G5383Q101       7,683     520,943 N  X                                       520,943            
 LUCENT TECHNOLOGIES        COMMON 549463107       2,191      20,292 N  X                                           192      20,100
 LSI INDUSTRIES INC         COMMON 50216C108       1,231      73,000 N  X                                        73,000            
 LSI INDUSTRIES INC         COMMON 50216C108         219      13,000 N  X                                        13,000            
 MACERICH COMPANY           COMMON 554382101         226      10,000 N  X                                        10,000            
 MBF CAPITAL                COMMON MY0001234           2      20,000 N  X                                        20,000            
 MCDONALDS CORP             COMMON 580135101       1,331      29,374 N  X                               800      28,574            
 MCDONALDS CORP             COMMON 580135101       1,536      33,900 N  X                                        33,900            
 MEDTRONIC, INC             COMMON 585055106         273       3,800 N  X                                         3,800            
 MEDIMMUNE INC              COMMON 584699102       3,669      62,000 N  X                                        62,000            
                                             ___________
    PAGE COLUMN TOTALS                            93,081


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   13
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 MEDIMMUNE INC              COMMON 584699102         236       4,000 N  X                                         4,000            
 MELLON BANK CORP           COMMON 585509102         288       4,100 N  X                                         4,100            
 MANUFACTURED HOUSING       COMMON 564682102         360      15,000 N  X                                        15,000            
 MICHAEL FOODS INC          COMMON 594079105         917      48,150 N  X                                        48,150            
 BROUGHTON FOODS            COMMON 114838303         220      20,000 N  X                                        20,000            
 MUELLER INDUSTRIES INC.    COMMON 624756102         883      39,500 N  X                                        39,500            
 PHILIP MORRIS COS INC      COMMON 718154107       4,525     128,622 N  X                             1,000     127,622            
 PHILIP MORRIS COS INC      COMMON 718154107         956      27,170 N  X                                        27,170            
 MOBIL CORP                 COMMON 60705910          318       3,617 N  X                                         3,617            
 MOBIL CORP                 COMMON 60705910        7,236      82,228 N  X                                        82,228            
 MERCANTILE BANKSHARES CORP COMMON 587405101       1,115      30,150 N  X                                        30,150            
 MERCK & CO INC             COMMON 589331107       1,149      14,341 N  X                             1,241      13,100            
 MERCK & CO INC             COMMON 589331107       2,098      26,189 N  X                                        26,189            
 MERRILL CORPORATION        COMMON 590175105         421      31,500 N  X                                        31,500            
 USX-MARATHON GROUP NEW     COMMON 902905827       1,438      52,300 N  X                                        52,300            
 MICROSOFT CORP             COMMON 594918104       8,428      94,044 N  X                                         3,400      90,644
 MICROSOFT CORP             COMMON 594918104         342       3,824 N  X                                         3,824            
 MICROSOFT CUM $2.75 PFD SE PREFER 594918203       2,521      25,600 N  X                                        25,600            
 MICROSOFT CUM $2.75 PFD SE PREFER 594918203      11,652     118,300 N  X                                       118,300            
 MEDITRUST SBI              COMMON 58501T306         223      18,000 N  X                                        18,000            
 MONSANTO CO                COMMON 611662107         453       9,880 N  X                                         9,880            
 MERCANTILE BANCORP         COMMON 587342106       1,409      29,679 N  X                                        29,679            
 METALCLAD CORP             COMMON 591142104           7      33,000 N  X                                        33,000            
 MTS SYSTEMS CORP           COMMON 553777103         515      50,900 N  X                                        50,900            
 MTS SYSTEMS CORP           COMMON 553777103         132      13,100 N  X                                        13,100            
 MURPHY OIL CORP            COMMON 626717102         204       4,919 N  X                                         4,919            
 MORGAN STANLEY DEAN WITTER COMMON 617446448       1,658      16,600 N  X                               200      16,400            
 MORGAN STANLEY DEAN WITTER COMMON 617446448         485       4,860 N  X                                         4,860            
 MAIL WELL  INC             COMMON 560321200       2,532     189,350 N  X                                       189,350            
 MAIL WELL  INC             COMMON 560321200         662      49,500 N  X                                        49,500            
 NAVISTAR INTL              COMMON 63934E108      12,779     317,995 N  X                            22,047     279,348      16,600
 NAVISTAR INTL              COMMON 63934E108      27,658     688,234 N  X                                       688,234            
 NOBLE AFFILIATES           COMMON 654894104      15,083     520,134 N  X                            15,722     504,412            
 NOBLE AFFILIATES           COMMON 654894104      25,406     876,077 N  X                                       876,077            
 NOBLE AFFILIATES           COMMON 654894104         392      13,549 N  X                  ERIS         170      13,379            
 Natl City Bancorp.         COMMON 635312101         228      10,900 N  X                                        10,900            
 NCO GROUP INC.             COMMON 628858102       1,232      33,300 N  X                                        33,300            
                                             ___________
    PAGE COLUMN TOTALS                           136,179


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   14
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 NCO GROUP INC.             COMMON 628858102         240       6,500 N  X                                         6,500            
 NCI BUILDING SYS           COMMON 628852105         959      40,850 N  X                                        40,850            
 NATIONAL DATA CORP         COMMON 635621105         210       5,000 N  X                                         5,000            
 NEWMONT MNG CORP           COMMON 651639106       1,176      67,220 N  X                                        67,220            
 NFO WORLDWIDE INC          COMMON 62910N108         350      35,000 N  X                                        35,000            
 NFO WORLDWIDE INC          COMMON 62910N108         350      35,000 N  X                                        35,000            
 KNIGHT TRIMARK             COMMON 499067106       2,713      40,500 N  X                                        40,500            
 KNIGHT TRIMARK             COMMON 499067106         402       6,000 N  X                                         6,000            
 NATIONAL COMPUTER SYS INC. COMMON 635519101       1,048      42,800 N  X                                        42,800            
 NETPLEX GROUP INC          COMMON 641147103          39      12,000 N  X                                        12,000            
 MATRITECH                  COMMON 576818108          96      62,000 N  X                                        62,000            
 MATRITECH                  COMMON 576818108          31      20,000 N  X                                        20,000            
 NEWPORT NEWS               COMMON 652228107       2,306      72,800 N  X                                        72,800            
 NEOPATH INC                COMMON 640517108          74      18,500 N  X                                        18,500            
 NEOPATH INC                COMMON 640517108         648     162,000 N  X                                       162,000            
 NORSTAN INC                COMMON 656535101         925     100,000 N  X                                       100,000            
 NORTHEAST UTILITIES        COMMON 664397106         374      27,000 N  X                                        27,000            
 NEWS CORP LTD              COMMON 652487703         855      29,000 N  X                                        29,000            
 OGLEBAY NORTON CO          COMMON 677007106         460      21,000 N         X                                 21,000            
 OMNICOM GROUP              COMMON 681919106         711       8,900 N  X                                         8,900            
 OMNIPOINT CORP             COMMON 68212D102       1,492     103,371 N  X                                       103,371            
 ONTOGENY                   SIRCOM ONTOGENY          900     360,000 N  X                                       360,000            
 ONTOGENY                   SIRCOM ONTOGENY          100      40,000 N  X                                        40,000            
 OPTA FOOD INGREDIENTS      COMMON 68381N105          25      10,000 N  X                                        10,000            
 OBJECTIVE SYSTEMS INTEG    COMMON 674424106          51      15,000 N  X                                        15,000            
 OSI PHARMACEUTICALS,INC.   COMMON 671040103         100      20,000 N  X                                        20,000            
 OSI PHARMACEUTICALS,INC.   COMMON 671040103         125      25,000 N  X                                        25,000            
 OSTEOTECH INC              COMMON 688582105       2,010      58,500 N  X                                        58,500            
 OSTEOTECH INC              COMMON 688582105         335       9,750 N  X                                         9,750            
 PITNEY-BOWES INC           COMMON 724479100       5,154      80,850 N  X                                         3,500      77,350
 PROTEIN DESIGN LABS INC.   COMMON 74369L103         810      53,800 N  X                                        53,800            
 PROTEIN DESIGN LABS INC.   COMMON 74369L103         338      22,500 N  X                                        22,500            
 PREMIER FINANCIAL BANCORP  COMMON 74050M105         222      15,750 N  X                                        15,750            
 PFIZER INC                 COMMON 717081103      14,549     104,862 N  X                             4,088       5,154      95,620
 PFIZER INC                 COMMON 717081103         207       1,495 N         X                                  1,495            
 PFIZER INC                 COMMON 717081103         927       6,686 N  X                                         6,686            
 PROCTER & GAMBLE CO        COMMON 74271810          235       2,400 N  X                                         2,400            
                                             ___________
    PAGE COLUMN TOTALS                            41,560


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   15
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 PERSONNEL GROUP OF AMERICA COMMON 715338109         614      85,450 N  X                                        85,450            
 PERSONNEL GROUP OF AMERICA COMMON 715338109         125      17,400 N  X                                        17,400            
 Protective Life            COMMON 743674103       1,140      30,100 N  X                                        30,100            
 PROLOGIS                   COMMON 743410102       1,829      89,249 N  X                                        89,249            
 PROLOGIS                   COMMON 743410102       3,882     189,412 N  X                                       189,412            
 PENNSYLVANIA ENTERPRISES   COMMON 708720107         328      13,700 N  X                                        13,700            
 PENNSYLVANIA ENTERPRISES   COMMON 708720107       7,396     308,200 N  X                                       308,200            
 PATINA OIL & GAS CORP      COMMON 703224105          40      10,000 N  X                                        10,000            
 PHARMACEUTICAL PRODUCT DEV COMMON 717124101       1,124      33,500 N  X                                        33,500            
 PHARMACEUTICAL PRODUCT DEV COMMON 717124101         201       6,000 N  X                                         6,000            
 PPG INDUSTRIES INC         COMMON 693506107         477       9,308 N  X                                         9,308            
 PEPSI COLA PUERTO RICO     COMMON 713434108         120      20,000 N  X                                        20,000            
 PARTNER RE LTD             COMMON G6852T105      50,738   1,252,807 N  X                           106,756     986,901     159,150
 PARTNER RE LTD             COMMON G6852T105      85,478   2,110,582 N  X                                     2,110,582            
 PARTNER RE LTD             COMMON G6852T105         989      24,430 N  X                  ERIS         180      24,250            
 Progress Software Corp.    COMMON 743312100       1,859      54,500 N  X                                        54,500            
 Progress Software Corp.    COMMON 743312100         409      12,000 N  X                                        12,000            
 PATHWAYS GROUP INC         COMMON 70321D106         130      10,000 N  X                                        10,000            
 PROVIDIAN FINANCIAL CORP   COMMON 74406A102         556       5,058 N  X                                         5,058            
 PRISON REALTY CORP         COMMON 74264N105       1,984     113,825 N  X                             1,600     112,225            
 PRISON REALTY CORP         COMMON 74264N105       2,575     147,700 N  X                                       147,700            
 QWEST COMMUNICATIONS INTL  COMMON 749121109         713       9,900 N  X                                         9,900            
 RENAL CARE GROUP INC.      COMMON 759930100         651      33,200 N  X                                        33,200            
 ROYAL DUTCH PETE NY REGIST COMMON 780257804       2,792      53,700 N  X                                        53,700            
 RELIANT ENERGY INCORP      COMMON 75952J108         560      21,500 N  X                                         1,500      20,000
 RELIANT ENERGY INCORP      COMMON 75952J108       2,213      84,944 N  X                                        84,944            
 RIBI IMMUNOCHEM RESEARCH I COMMON 762553105         202     120,000 N  X                                       120,000            
 RIBI IMMUNOCHEM RESEARCH I COMMON 762553105          62      37,000 N  X                                        37,000            
 RIGGS NATL CORP            COMMON 766570105         590      35,000 N  X                                        35,000            
 REPUBLIC INDUSTRIES INC    COMMON 760516104      21,026   1,699,092 N  X                           179,570   1,519,522            
 REPUBLIC INDUSTRIES INC    COMMON 760516104      26,601   2,149,615 N  X                                     2,149,615            
 REPUBLIC INDUSTRIES INC    COMMON 760516104         350      28,329 N  X                  ERIS         371      27,958            
 REYNOLDS METALS CO         COMMON 761763101       1,059      21,925 N  X                                        21,925            
 RENAISSANCERE HOLDINGS LTD COMMON G7496G103         377      10,800 N  X                                        10,800            
 RENAISSANCERE HOLDINGS LTD COMMON G7496G103       4,312     123,425 N  X                                       123,425            
 RANGE RESOURCES CORP.      COMMON 75281A109          52      15,000 N  X                                        15,000            
 RELIANCE STEEL & ALUMINUM  COMMON 759509102       1,345      46,700 N  X                                        46,700            
                                             ____________
    PAGE COLUMN TOTALS                           224,915


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   16
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 RELIANCE STEEL & ALUMINUM  COMMON 759509102         224       7,800 N  X                                         7,800            
 RAYTHEON CO CLASS A        COMMON 755111309       1,756      30,411 N  X                             2,751      27,660            
 RAYTHEON CO CLASS A        COMMON 755111309         184       3,200 N         X                                  3,200            
 RAYTHEON CO CLASS A        COMMON 755111309         905      15,687 N  X                                        15,687            
 REUTERS GROUP PLC ADR      COMMON 76132M102         225       2,599 N  X                                         2,599            
 SANGSTAT MEDICAL CORP      COMMON 801003104       1,138      92,000 N  X                                        92,000            
 SBC COMMUNICATIONS  INC    COMMON 78387G103       2,281      48,355 N  X                                        48,355            
 SMITHKLINE BEECHAM ADR     COMMON 832378301      11,997     167,791 N  X                             4,097     163,694            
 SMITHKLINE BEECHAM ADR     COMMON 832378301      57,616     805,826 N  X                                       805,826            
 SMITHKLINE BEECHAM ADR     COMMON 832378301         534       7,475 N  X                  ERIS                   7,475            
 SEIBELS BRUCE GROUP INC    COMMON 816006209         109      35,000 N  X                                        35,000            
 Security Capital Group - B COMMON 81413P204         294      22,000 N  X                                        22,000            
 SOUTHDOWN INC.             COMMON 841297104       1,503      28,000 N  X                                        28,000            
 SOUTHDOWN INC.             COMMON 841297104         300       5,600 N  X                                         5,600            
 SEAGULL ENERGY CORP        COMMON 812007102       1,227     180,140 N  X                                       180,140            
 SCHERING PLOUGH CORP       COMMON 806605101      11,661     211,060 N  X                                        11,300     199,760
 SCHERING PLOUGH CORP       COMMON 806605101       3,926      71,072 N  X                                        71,072            
 SIGMA DESIGNS INC          COMMON 826565103          60      10,000 N  X                                        10,000            
 SCHLUMBERGER LTD           COMMON 806857108         397       6,600 N  X                                         6,600            
 SARA LEE CORP              COMMON 803111103       1,999      80,800 N  X                                        80,800            
 SL GREEN REALTY CORP       COMMON 78440X101         188      10,000 N  X                                        10,000            
 ANCHOR GAMING              COMMON 033037102       1,299      29,700 N  X                                        29,700            
 ANCHOR GAMING              COMMON 033037102         262       6,000 N  X                                         6,000            
 SOLECTRON CORP             COMMON 834182107       5,396     111,124 N  X                             5,220      95,104      10,800
 SOLECTRON CORP             COMMON 834182107       6,566     135,220 N  X                                       135,220            
 SOUTH TRUST CORP           COMMON 84473010        3,447      92,401 N  X                                        92,401            
 SIMON PPTY GROUP INC. NEW  COMMON 828806109      22,364     815,105 N  X                            78,320     736,785            
 SIMON PPTY GROUP INC. NEW  COMMON 828806109      28,586   1,041,864 N  X                                     1,041,864            
 SIMON PPTY GROUP INC. NEW  COMMON 828806109         745      27,178 N  X                  ERIS         214      26,964            
 SPIEKER PROPERTIES         COMMON 848497103         665      18,868 N  X                                        18,868            
 SYSTEM SOFTWARE ASSOCIATES COMMON 871839106          45      20,000 N  X                                        20,000            
 SMARTSERVE ONLINE, INC-WTS COMMON 83169MWTS         230         230 N  X                                           230            
 SUNTRUST BANKS INC         COMMON 86791410          311       5,000 N  X                                         5,000            
 SUNTRUST BANKS INC         COMMON 86791410          385       6,200 N  X                                         6,200            
 STAR TELECOMMUNICATIONS IN COMMON 854923109         445      46,300 N  X                             1,400      44,900            
 STAR TELECOMMUNICATIONS IN COMMON 854923109         220      22,900 N  X                                        22,900            
 SAVOIR TECHNOLOGY GROUP IN COMMON 80533W107         908     105,300 N  X                                       105,300            
                                             ___________
    PAGE COLUMN TOTALS                           170,414


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   17
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 SAVOIR TECHNOLOGY GROUP IN COMMON 80533W107         258      30,000 N  X                                        30,000            
 SYSCO CORP                 COMMON 871829107         231       8,800 N  X                                         8,800            
 SYSCO CORP                 COMMON 871829107         189       7,200 N         X                                  7,200            
 AT&T                       COMMON 001957109       1,692      21,200 N  X                                         2,700      18,500
 TAVA TECHNOLOGIES INC      COMMON 872169107         350      70,000 N  X                                        70,000            
 TAVA TECHNOLOGIES INC      COMMON 872169107         250      50,000 N  X                                        50,000            
 TASTY BAKING CO            COMMON 87655330          312      28,125 N  X                                        28,125            
 TENET HEALTHCARE CORP.     COMMON 88033G100      28,574   1,508,905 N  X                           142,252   1,366,653            
 TENET HEALTHCARE CORP.     COMMON 88033G100      37,374   1,973,564 N  X                                     1,973,564            
 TENET HEALTHCARE CORP.     COMMON 88033G100         861      45,468 N  X                  ERIS         335      45,133            
 TIFFANY & CO               COMMON 886547108         347       4,650 N  X                                         4,650            
 TIG HOLDINGS INC           COMMON 872469101         918      56,300 N  X                                        56,300            
 TIG HOLDINGS INC           COMMON 872469101       1,508      92,500 N  X                                        92,500            
 THOMAS INDUSTRIES          COMMON 884425109         513      27,400 N  X                                        27,400            
 TELLABS INC.               COMMON 879664100         840       8,600 N  X                             1,500       7,100            
 THE LEARNING COMPANY INC.  COMMON 522008101      44,485   1,533,983 N  X                           124,765   1,390,118      19,100
 THE LEARNING COMPANY INC.  COMMON 522008101      74,064   2,553,960 N  X                                     2,553,960            
 THE LEARNING COMPANY INC.  COMMON 522008101       1,315      45,345 N  X                  ERIS         495      44,850            
 TECHNITROL INC.            COMMON 878555101         982      42,600 N  X                                        42,600            
 TECHNITROL INC.            COMMON 878555101         207       9,000 N  X                                         9,000            
 TREGA BIOSCIENCES INC.     COMMON 894699107          72      41,700 N  X                                        41,700            
 TREGA BIOSCIENCES INC.     COMMON 894699107          41      23,600 N  X                                        23,600            
 TRINET CORP REALTY TR      COMMON 896287109         203       8,000 N  X                                         8,000            
 TCI SATELLITE ENTERTAINMEN COMMON 872298104          13      20,000 N  X                                        20,000            
 TOTAL SYSTEM SERVICES, INC COMMON 891906109         412      22,000 N  X                                        22,000            
 TRANSTECHNOLOGY CORP.      COMMON 893889105         374      22,700 N  X                                        22,700            
 AUTO TOTE CORPORATION      COMMON 053323101          72      40,000 N  X                                        40,000            
 TROJAN TECHNOLIGES INC     COMMON 896924107       1,910      80,074 N  X                                                    80,074
 TWEETER HOMES ENTERTAINMEN COMMON 901167106       1,815      56,300 N  X                                        56,300            
 TWEETER HOMES ENTERTAINMEN COMMON 901167106         419      13,000 N  X                                        13,000            
 TIME WARNER INC            COMMON 887315109       1,509      21,310 N  X                               250      21,060            
 TIME WARNER INC            COMMON 887315109       3,239      45,747 N  X                                        45,747            
 TEXACO INC                 COMMON 881694103       1,417      24,986 N  X                             2,600      22,386            
 TEXACO INC                 COMMON 881694103      24,987     440,300 N  X                                       440,300            
 TEXTRON INC. CORP          COMMON 883203101       4,461      57,667 N  X                                        57,667            
 TEXAS UTILITIES            COMMON 882848104       8,574     204,154 N  X                             3,491     200,663            
 TEXAS UTILITIES            COMMON 882848104      26,375     627,995 N  X                                       627,995            
                                             ___________
    PAGE COLUMN TOTALS                           271,181


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   18
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 TEXAS UTILITIES            COMMON 882848104         359       8,561 N  X                  ERIS                   8,561            
 TRIZECHAHN                 COMMON 896938107         388      21,100 N  X                                        21,100            
 UNOCAL CORP                COMMON 915289102      40,980   1,111,326 N  X                           104,809     935,717      70,800
 UNOCAL CORP                COMMON 915289102      53,191   1,442,480 N  X                                     1,442,480            
 UNOCAL CORP                COMMON 915289102         930      25,241 N  X                  ERIS         174      25,067            
 UTILICORP UNITED           COMMON 918005109         273      12,000 N  X                                        12,000            
 ULTRAMAR DIAMOND SHAMROCK  COMMON 904000106         208       9,622 N  X                                         9,622            
 UNIVERSAL HEALTH SERVICES  COMMON 913903100       1,719      39,750 N  X                                        39,750            
 UNIVERSAL HEALTH SERVICES  COMMON 913903100         389       9,000 N  X                                         9,000            
 MEDIAONE GROUP INC COM     COMMON 58440J104      45,858     722,899 N  X                            32,943     680,756       9,200
 MEDIAONE GROUP INC COM     COMMON 58440J104      76,991   1,213,654 N  X                                     1,213,654            
 MEDIAONE GROUP INC COM     COMMON 58440J104         692      10,910 N  X                  ERIS         118      10,792            
 UNIFIRST CORP.             COMMON 904708104       1,608      76,150 N  X                                        76,150            
 UNIFIRST CORP.             COMMON 904708104         283      13,400 N  X                                        13,400            
 UNITED HEALTHCARE CORP     COMMON 910581107         207       3,942 N  X                                         3,942            
 UNITED HEALTHCARE CORP     COMMON 910581107         970      18,435 N  X                                        18,435            
 UNUM CORP                  COMMON 903192102         359       7,550 N  X                                         7,550            
 UNISOURCE ENERGY CORP HLDG COMMON 909205106         658      59,503 N  X                                        59,503            
 UNION PAC RES              COMMON 907834105         924      77,846 N  X                            11,800      66,046            
 UNION PAC RES              COMMON 907834105       4,093     344,703 N  X                                       344,703            
 URS CORP.                  COMMON 903236107       1,187      65,750 N  X                                        65,750            
 URS CORP.                  COMMON 903236107         207      11,500 N  X                                        11,500            
 UNITED TECHNOLOGIES CORP   COMMON 91301710          427       3,160 N  X                                         3,160            
 VANS INC                   COMMON 921930103          70      10,000 N  X                                        10,000            
 VIACOM INC CL B            COMMON 925524308         376       4,491 N  X                                         4,491            
 VORNADO REALTY TRUST       COMMON 929042109         851      24,670 N  X                                        24,670            
 VISHAY INTERTECHNOLOGY INC COMMON 928298108      13,201     910,440 N  X                            60,974     849,466            
 VISHAY INTERTECHNOLOGY INC COMMON 928298108      18,515   1,276,905 N  X                                     1,276,905            
 VISHAY INTERTECHNOLOGY INC COMMON 928298108         465      32,089 N  X                  ERIS          24      32,065            
 VISIO CORPORATION          COMMON 927914101       1,389      49,400 N  X                                        49,400            
 VISIO CORPORATION          COMMON 927914101         225       8,000 N  X                                         8,000            
 VERTEX COMMUNICATIONS CORP COMMON 925320103       1,220      76,600 N  X                                        76,600            
 VERTEX COMMUNICATIONS CORP COMMON 925320103         207      13,000 N  X                                        13,000            
 WESTVACO CORP              COMMON 96154810          235      11,200 N  X                                        11,200            
 WARNACO GROUP-CL A         COMMON 934390105      26,642   1,079,176 N  X                            98,931     980,245            
 WARNACO GROUP-CL A         COMMON 934390105      16,953     686,734 N  X                                       686,734            
 WARNACO GROUP-CL A         COMMON 934390105         297      12,035 N  X                  ERIS         228      11,807            
                                             ___________
    PAGE COLUMN TOTALS                           313,560


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   19
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 WALGREEN CO                COMMON 931422109         457      16,200 N  X                                        16,200            
 TETRA TECH INC.            COMMON 88162G103       1,168      55,500 N  X                                        55,500            
 TETRA TECH INC.            COMMON 88162G103         231      11,000 N  X                                        11,000            
 WACHOVIA CORP              COMMON 92977110          136       1,678 N  X                                         1,678            
 WACHOVIA CORP              COMMON 92977110          259       3,200 N         X                                  3,200            
 WACHOVIA CORP              COMMON 92977110        1,463      18,032 N  X                                        18,032            
 WEBB (DEL) CORP.           COMMON 947423109       1,080      49,800 N  X                                        49,800            
 WEBB (DEL) CORP.           COMMON 947423109       2,749     126,800 N  X                                       126,800            
 MCI WORLDCOM, INC          COMMON 55268B106      43,424     490,326 N  X                            19,875     448,365      22,086
 MCI WORLDCOM, INC          COMMON 55268B106         336       3,800 N         X                                  3,800            
 MCI WORLDCOM, INC          COMMON 55268B106      92,707   1,046,807 N  X                                     1,046,807            
 MCI WORLDCOM, INC          COMMON 55268B106       1,019      11,511 N  X                  ERIS         111      11,400            
 WESTFIELD AMERICA          COMMON 959910100         174      10,000 N  X                                        10,000            
 WELLS FARGO & CO           COMMON 949746101       2,173      61,976 N  X                                        61,976            
 WASHINGTON GAS LT CO       COMMON 93883710          520      23,000 N  X                                        23,000            
 WESTERN GAS RES INC        COMMON 958259103         119      15,900 N  X                                        15,900            
 WACKENHUT CORRECTIONS CORP COMMON 929798106         289      15,000 N  X                                        15,000            
 WHITECAP                   COMMON 963505102       1,133     103,000 N  X                                       103,000            
 WHITECAP                   COMMON 963505102         220      20,000 N  X                                        20,000            
 ENCORE WIRE                COMMON 292562105         555      70,500 N  X                                        70,500            
 ENCORE WIRE                COMMON 292562105         148      18,900 N  X                                        18,900            
 WARNER LAMBERT CO          COMMON 934488107       4,246      64,095 N  X                            12,192      51,903            
 WARNER LAMBERT CO          COMMON 934488107          92       1,400 N         X                                  1,400            
 WARNER LAMBERT CO          COMMON 934488107       2,715      40,988 N  X                                        40,988            
 WASHINGTON MUTUAL INC      COMMON 939322103      34,654     847,826 N  X                            64,092     783,734            
 WASHINGTON MUTUAL INC      COMMON 939322103      44,954   1,099,793 N  X                                     1,099,793            
 WASHINGTON MUTUAL INC      COMMON 939322103         971      23,756 N  X                  ERIS         164      23,592            
 WAL-MART STORES            COMMON 931142103         507       5,500 N  X                                         5,500            
 WASTE MANAGEMENT INC       COMMON 94106K101         667      16,015 N  X                                        16,015            
 WYNN'S INTERNATIONAL INC.  COMMON 983195108       1,536      88,100 N  X                                        88,100            
 WYNN'S INTERNATIONAL INC.  COMMON 983195108         305      17,500 N  X                                        17,500            
 WESTWOOD ONE               COMMON 961815107       2,873     100,815 N  X                                       100,815            
 WATSON PHARMACEUTICALS INC COMMON 942683103         209       4,740 N  X                                         4,740            
 WASHINGTON POST CO CL B    COMMON 939640108         873       1,675 N  X                                         1,675            
 WASHINGTON POST CO CL B    COMMON 939640108      13,630      26,138 N  X                                        26,138            
 WESTPOINT STEVENS INC.     COMMON 96123810          232       8,400 N  X                                         8,400            
 XL CAPITAL LTD             COMMON G98255105       8,978     147,800 N  X                            18,212     126,188       3,400
                                             ___________
    PAGE COLUMN TOTALS                           267,819


                                                          FORM 13F                                                         03/31/99
                    REPORTING MANAGER: SPEARS BENZAK SALOMON & FARRELL                                                    PAGE   20
 ----------------------------------------------------------------------------------------------------------------------------------
                                                       VALUATION CURRENCY: USD      
          ITEM 1             ITEM 2   ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7             ITEM 8
      NAME OF ISSUER         TITLE     CUSIP        FAIR   SHARES OF INVESTMENT DISCRETION MANA-         VOTING AUTHORITY
                              OF      NUMBER      MARKET   PRINCIPAL                SHARED GERS 
                             CLASS                 VALUE   AMOUNT     SOLE   SHARED  OTHER         SOLE        SHARED      NONE
                                                  (X1000)              (A)    (B)     (C)           (A)         (B)         (C)
 ----------------------------------------------------------------------------------------------------------------------------------
 XL CAPITAL LTD             COMMON G98255105      12,048     198,328 N  X                                       198,328            
 XL CAPITAL LTD             COMMON G98255105         287       4,728 N  X                  ERIS                   4,728            
 EXXON CORP                 COMMON 302290101       4,400      62,368 N  X                                        10,368      52,000
 EXXON CORP                 COMMON 302290101       7,454     105,639 N  X                                       105,639            
 XEROX CORP                 COMMON 98412110          312       6,000 N  X                                         6,000            
 YAHOO! INC.                COMMON 984332106         505       3,000 N  X                                                     3,000
                                             ___________
    PAGE COLUMN TOTALS                            25,008
                                             ___________
    AGGREGATE COLUMN TOTALS                          N/A



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