<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: June 30, 2000
Check here if Amendment: [ ]; Amendment Number: ____________
This Amendment (Check only one): [ ] is a restatement.
[ ] adds new holding entries.
Institutional Investment Manager Filing this Report:
Name: Forstmann-Leff Associates, LLC
Address: 590 Madison Avenue
New York, New York 10022-2524
Form 13F File Number: 28-1253
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: Joseph W. Sullivan
Title: Chief Operating Officer
Phone: (212) 407-9423
Signature, Place, and Date of Signing:
/s/ Joseph W. Sullivan New York, NY _____________
[Signature] [City, State] [Date]
Report Type (Check only one):
[ x ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and
all holdings are reported by other reporting manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for
this reporting manager are reported in this report and a portion are
reported by other reporting manager(s).)
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 4
--------
Form 13F Information Table Entry Total:
--------
Form 13F Information Table Value Total: $
--------
(thousands)
List of Other Included Managers:
Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this report is filed (other than the one filing this report).
13F File Numbers will be assigned to Institutional Investment Managers after
they file their first report.
13F File No: Name:
------------ ----
1. 28-720 FLA Asset Management, LLC
2. 28-1984 Stamford Advisers LLC
3. 28-5790 Forstmann-Leff Associates, L.P.
4. 28-6618 FLA Advisers L.L.C.
<PAGE>
FORM 13F INFORMATION TABLE
Page 1
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
3COM Corp. COMMON 885535104 576 10,000 SH 10,000 4 10,000
A T & T Co. COMMON 001957109 1,141 36,075 SH 36,075 36,075
A T & T Co. COMMON 001957109 1,643 51,950 SH 51,950 1 18,500 33,450
A T & T Co. COMMON 001957109 633 20,000 SH 20,000 4 20,000
A T & T Co. COMMON 001957109 373 11,800 SH 11,800 3 11,800
ADC Telecommuni-
cations Inc. COMMON 000886101 17,410 207,571 SH 207,571 149,425 58,146
ADC Telecommuni-
cations Inc. COMMON 000886101 12,751 152,025 SH 152,025 4 152,025
ADC Telecommuni-
cations Inc. COMMON 000886101 4,043 48,200 SH 48,200 1 42,400 5,800
ALCOA Inc. COMMON 013817101 17,649 608,584 SH 608,584 608,584
ALCOA Inc. COMMON 013817101 16,949 584,450 SH 584,450 1 62,708 521,742
ALCOA Inc. COMMON 013817101 1,595 55,000 SH 55,000 4 55,000
AT&T Corp
Liberty
Group
(Class A) COMMON 001957208 5,571 229,750 SH 229,750 229,750
AT&T Corp
Liberty
Group
(Class A) COMMON 001957208 5,733 236,400 SH 236,400 1 236,400
AT&T Corp
Liberty
Group
(Class A) COMMON 001957208 107 4,400 SH 4,400 3 4,400
Abbott Labs COMMON 002824100 3,582 80,380 SH 80,380 3 80,380
Adobe Systems,
Inc. COMMON 00724F101 260 2,000 SH 2,000 4 2,000
Advanced Micro
Devices, Inc. COMMON 007903107 46,350 600,000 SH 600,000 4 600,000
Aetna Inc COMMON 008117103 17,035 265,397 SH 265,397 198,116 67,281
Aetna Inc COMMON 008117103 10,804 168,325 SH 168,325 1 73,025 95,300
Aetna Inc COMMON 008117103 19,338 301,275 SH 301,275 4 301,275
Agco Corp. COMMON 001084102 33,315 2,719,588 SH 2,719,588 2,358,326 361,262
Agco Corp. COMMON 001084102 19,254 1,571,725 SH 1,571,725 1 578,575 993,150
Agco Corp. COMMON 001084102 26,915 2,197,175 SH 2,197,175 4 2,197,175
Agilent
Technologies COMMON 00846u101 862 11,683 SH 11,683 3 11,683
Albertson's,
Inc. COMMON 013104104 266 8,000 SH 8,000 4 8,000
Albertson's,
Inc. COMMON 013104104 133 4,000 SH 4,000 3 4,000
Alcatel develops
SA COMMON 013904305 3,325 50,000 SH 50,000 4 50,000
Allstate Corp. COMMON 020002101 334 15,008 SH 15,008 3 15,008
Alltel Corp. COMMON 020039103 1,053 17,000 SH 17,000 3 17,000
Amerada Hess
Corp. COMMON 023551104 31,980 517,900 SH 517,900 4 517,900
American Express
Co. COMMON 025816109 7,152 137,200 SH 137,200 68,300 68,900
American Express
Co. COMMON 025816109 2,747 52,700 SH 52,700 1 46,800 5,900
American Express
Co. COMMON 025816109 109 2,100 SH 2,100 4 2,100
American Express
Co. COMMON 025816109 219 4,200 SH 4,200 3 4,200
American Home
Products Corp. COMMON 026609107 87,851 1,495,332 SH 1,495,332 1,030,900 464,432
American Home
Products Corp. COMMON 026609107 44,439 756,400 SH 756,400 1 278,050 478,350
American Home
Products Corp. COMMON 026609107 70,456 1,199,250 SH 1,199,250 4 1,199,250
American Home
Products Corp. COMMON 026609107 317 5,400 SH 5,400 3 5,400
American
International
Group, Inc. COMMON 026874107 41,411 352,437 SH 352,437 272,262 80,175
American
International
Group, Inc. COMMON 026874107 27,691 235,667 SH 235,667 1 77,149 158,518
American
International
Group, Inc. COMMON 026874107 964 8,200 SH 8,200 4 8,200
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
American
International
Group, Inc. COMMON 026874107 920 7,827 SH 7,827 3 7,827
Amgen Inc. COMMON 031162100 843 12,000 SH 12,000 4 12,000
Amgen Inc. COMMON 031162100 506 7,200 SH 7,200 3 7,200
Anadarko
Petroleum
Corp. COMMON 032511107 42,896 869,875 SH 869,875 4 869,875
Analog Devices,
Inc. COMMON 032654105 37,696 496,000 SH 496,000 496,000
Analog Devices,
Inc. COMMON 032654105 38,091 501,200 SH 501,200 1 25,600 475,600
Analog Devices,
Inc. COMMON 032654105 912 12,000 SH 12,000 4 12,000
Anderson
Exploration
Ltd. COMMON 033901109 1,748 96,250 SH 96,250 96,250
Anderson
Exploration
Ltd. COMMON 033901109 3,366 185,300 SH 185,300 1 185,300
Anderson
Exploration
Ltd. COMMON 033901109 6,537 359,850 SH 359,850 4 359,850
Andrew Corp. COMMON 034425108 7,699 229,405 SH 229,405 210,952 18,453
Andrew Corp. COMMON 034425108 4,982 148,450 SH 148,450 1 65,850 82,600
Anheuser-Busch
Inc. COMMON 035229103 6,957 93,150 SH 93,150 50,450 42,700
Anheuser-Busch
Inc. COMMON 035229103 2,648 35,450 SH 35,450 1 31,450 4,000
Anheuser-Busch
Inc. COMMON 035229103 105 1,400 SH 1,400 4 1,400
Anheuser-Busch
Inc. COMMON 035229103 403 5,400 SH 5,400 3 5,400
Apache Corp. COMMON 037411105 39,116 665,098 SH 665,098 614,512 50,586
Apache Corp. COMMON 037411105 25,386 431,650 SH 431,650 1 120,850 310,800
Apache Corp. COMMON 037411105 25,960 441,400 SH 441,400 4 441,400
Apartment
Investment &
Management Co. COMMON 03748R101 188 4,203 SH 4,203 1 4,203
Apartment
Investment &
Management Co. COMMON 03748R101 215 4,820 SH 4,820 4 4,820
Aracrus Celulose
(Sponsored
ADR) COMMON 038496204 1,927 99,800 SH 99,800 4 99,800
Atmel Corp. COMMON 049513104 5,878 159,403 SH 159,403 108,300 51,103
Atmel Corp. COMMON 049513104 11,940 323,800 SH 323,800 1 21,250 302,550
Atwood Oceanics,
Inc. COMMON 050095108 4,884 110,070 SH 110,070 110,070
Atwood Oceanics,
Inc. COMMON 050095108 4,841 109,100 SH 109,100 1 109,100
Atwood Oceanics,
Inc. COMMON 050095108 7,905 178,150 SH 178,150 4 178,150
Automatic Data
Processing
Inc. COMMON 053015103 1,478 27,600 SH 27,600 3 27,600
Avon Products
Inc. COMMON 054303102 2,393 53,770 SH 53,770 3 53,770
Axa-UAP
(Sponsored
ADR) COMMON 054536107 239 3,000 SH 3,000 3 3,000
BP Amoco PLC COMMON 055622104 176 3,103 SH 3,103 3,103
BP Amoco PLC COMMON 055622104 313 5,535 SH 5,535 1 4,059 1,476
BP Amoco PLC COMMON 055622104 5,656 100,000 SH 100,000 4 100,000
BP Amoco PLC COMMON 055622104 1,847 32,661 SH 32,661 3 32,661
BTN Common Trust
Fund COMMON 086377033 192 12,000 SH 12,000 3 12,000
Baker Hughes
Inc. COMMON 057224107 41,386 1,293,302 SH 1,293,302 1,039,400 253,902
Baker Hughes
Inc. COMMON 057224107 25,173 786,650 SH 786,650 1 305,450 481,200
Baker Hughes
Inc. COMMON 057224107 36,428 1,138,375 SH 1,138,375 4 1,138,375
Baker Hughes
Inc. COMMON 057224107 38 1,200 SH 1,200 3 1,200
Banc One Corp. COMMON 06423A103 518 19,500 SH 19,500 3 19,500
BancWest
Corporation COMMON 059790105 164 10,000 SH 10,000 3 10,000
Bank Of America
Corp. COMMON 060505104 1,359 31,595 SH 31,595 3 31,595
Bank United
Corp.
(Class A) COMMON 065412108 27,264 774,819 SH 774,819 711,586 63,233
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Bank United
Corp.
(Class A) COMMON 065412108 16,836 478,457 SH 478,457 1 180,050 298,407
Bank United
Corp.
(Class A) COMMON 065412108 25,997 738,815 SH 738,815 4 738,815
Barnes & Noble
Inc. COMMON 067774109 87,021 3,911,055 SH 3,911,055 3,160,475 750,580
Barnes & Noble
Inc. COMMON 067774109 55,600 2,498,875 SH 2,498,875 1 755,625 1,743,250
Barnes & Noble
Inc. COMMON 067774109 114,102 5,128,200 SH 5,128,200 4 5,128,200
Barnes & Noble
Inc. COMMON 067774109 169 7,600 SH 7,600 3 7,600
Barnesand-
Noble.Com
Inc. (Class A) COMMON 067846105 744 113,850 SH 113,850 105,700 8,150
Barnesand-
Noble.Com
Inc. (Class A) COMMON 067846105 13,359 2,045,425 SH 2,045,425 4 2,045,425
Barnesand-
Noble.Com
Inc. (Class A) COMMON 067846105 307 47,025 SH 47,025 1 47,025
Barpoint.com
Inc. COMMON 068296102 59 10,000 SH 10,000 10,000
Barr Labs Inc COMMON 068306109 4,158 92,783 SH 92,783 84,440 8,343
Barr Labs Inc COMMON 068306109 2,630 58,687 SH 58,687 1 23,137 35,550
Best Buy Co.
Inc. COMMON 086516101 305,352 4,827,695 SH 4,827,695 3,587,673 1,240,022
Best Buy Co.
Inc. COMMON 086516101 229,536 3,629,025 SH 3,629,025 1 892,325 2,736,700
Best Buy Co.
Inc. COMMON 086516101 427,355 6,756,600 SH 6,756,600 4 6,756,600
Boeing Co. COMMON 097023105 335 8,000 SH 8,000 4 8,000
Boeing Co. COMMON 097023105 21 500 SH 500 3 500
Boise Cascade
Corp. COMMON 097383103 74,444 2,877,060 SH 2,877,060 2,387,020 490,040
Boise Cascade
Corp. COMMON 097383103 47,047 1,818,225 SH 1,818,225 1 609,125 1,209,100
Boise Cascade
Corp. COMMON 097383103 124,439 4,809,225 SH 4,809,225 4 4,809,225
Bowater Inc. COMMON 102183100 11,425 258,913 SH 258,913 243,875 15,038
Bowater Inc. COMMON 102183100 7,059 159,975 SH 159,975 1 47,075 112,900
Bowater Inc. COMMON 102183100 4,405 99,825 SH 99,825 4 99,825
Bristol-Myers
Squibb Co. COMMON 110122108 874 15,000 SH 15,000 4 15,000
Bristol-Myers
Squibb Co. COMMON 110122108 155 2,666 SH 2,666 3 2,666
Burington
Resources
Inc. Canada COMMON 122011208 3,824 100,300 SH 100,300 100,300
Burington
Resources
Inc. Canada COMMON 122011208 4,360 114,362 SH 114,362 1 2,550 111,812
Burlington
Northern
Santa Fe COMMON 12189T104 11,588 505,182 SH 505,182 377,900 127,282
Burlington
Northern
Santa Fe COMMON 12189T104 9,822 428,200 SH 428,200 1 77,400 350,800
Burlington
Northern
Santa Fe COMMON 12189T104 334 14,565 SH 14,565 3 14,565
Burlington
Resources,
Inc. COMMON 122014103 8,403 219,676 SH 219,676 169,320 50,356
Burlington
Resources,
Inc. COMMON 122014103 6,419 167,825 SH 167,825 1 61,475 106,350
Burlington
Resources,
Inc. COMMON 122014103 71,001 1,856,225 SH 1,856,225 4 1,856,225
Burlington
Resources,
Inc. COMMON 122014103 31 800 SH 800 3 800
C-Cube
Microsystems
Inc. (New) COMMON 12501N108 393 20,000 SH 20,000 4 20,000
CIT Group, Inc.
(Class A) COMMON 125577106 6,462 397,650 SH 397,650 4 397,650
CNET Networks
Inc COMMON 12613r104 736 29,975 SH 29,975 4 29,975
Cal Dive
International
Inc. COMMON 127914109 813 15,000 SH 15,000 4 15,000
Canadian Natural
Resources COMMON 136385101 4,646 160,000 SH 160,000 4 160,000
Catronix Inc. COMMON 149200ZZ1 0 88,689 SH 88,689 1 88,689
Cenalta Energy
Services COMMON 151293107 347 84,300 SH 84,300 4 84,300
Charles Schwab
Corp. COMMON 808513105 7,831 232,900 SH 232,900 232,900
Charles Schwab
Corp. COMMON 808513105 1,234 36,700 SH 36,700 4 36,700
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Charles Schwab
Corp. COMMON 808513105 1,022 30,400 SH 30,400 1 6,100 24,300
Chase Manhattan
Corp. COMMON 16161A108 829 17,999 SH 17,999 4 17,999
Chase Manhattan
Corp. COMMON 16161A108 14 300 SH 300 3 300
Check Point
Software
Technologies
Ltd.ORD COMMON M22465104 847 4,000 SH 4,000 4 4,000
Chevron Corp. COMMON 166751107 4,885 57,600 SH 57,600 57,600
Chevron Corp. COMMON 166751107 5,171 60,965 SH 60,965 1 17,665 43,300
Chevron Corp. COMMON 166751107 337 3,975 SH 3,975 4 3,975
Chevron Corp. COMMON 166751107 462 5,450 SH 5,450 3 5,450
Chieftain
Interna-
tional, Inc. COMMON 16867C101 1,858 97,475 SH 97,475 4 97,475
China Strategic
Investment
Ltd. COMMON 6042329 5,014 107,078,600 SH 107,078,600 4 107,078,600
China Tire
Holdings Ltd. COMMON G2107X108 2,193 403,275 SH 403,275 403,275
China Tire
Holdings Ltd. COMMON G2107X108 6,917 1,272,120 SH 1,272,120 4 1,272,120
China Tire
Holdings Ltd. COMMON G2107X108 30 5,600 SH 5,600 1 5,600
Chubb Corp. COMMON 171232101 323 5,250 SH 5,250 3 5,250
Cigna Corp. COMMON 125509109 6,737 72,050 SH 72,050 51,050 21,000
Cigna Corp. COMMON 125509109 4,189 44,800 SH 44,800 1 18,550 26,250
Cigna Corp. COMMON 125509109 252 2,700 SH 2,700 4 2,700
Cigna Corp. COMMON 125509109 168 1,800 SH 1,800 3 1,800
Circuit City
Store, Inc. COMMON 172737108 82,113 2,474,229 SH 2,474,229 1,993,675 480,554
Circuit City
Store, Inc. COMMON 172737108 47,546 1,432,650 SH 1,432,650 1 468,600 964,050
Circuit City
Store, Inc. COMMON 172737108 187,572 5,651,875 SH 5,651,875 4 5,651,875
Cisco Systems
Inc. COMMON 17275R102 15,001 236,000 SH 236,000 122,800 113,200
Cisco Systems
Inc. COMMON 17275R102 5,498 86,500 SH 86,500 1 76,800 9,700
Cisco Systems
Inc. COMMON 17275R102 222 3,500 SH 3,500 4 3,500
Cisco Systems
Inc. COMMON 17275R102 1,081 17,000 SH 17,000 3 17,000
Citigroup Inc. COMMON 172967101 32,145 533,525 SH 533,525 352,925 180,600
Citigroup Inc. COMMON 172967101 13,377 222,025 SH 222,025 1 144,900 77,125
Citigroup Inc. COMMON 172967101 2,290 38,000 SH 38,000 4 38,000
Citigroup Inc. COMMON 172967101 301 5,000 SH 5,000 3 5,000
Claridge Hotel
& Casino
Corp. (RSTD) COMMON 131991911 - 21,076 SH 21,076 3 21,076
Coastal Corp. COMMON 190441105 23,593 387,571 SH 387,571 373,955 13,616
Coastal Corp. COMMON 190441105 11,810 194,005 SH 194,005 1 85,325 108,680
Coastal Corp. COMMON 190441105 31,594 519,000 SH 519,000 4 519,000
Coca-Cola Co. COMMON 191216100 573 9,975 SH 9,975 4 9,975
Coca-Cola Co. COMMON 191216100 2,516 43,800 SH 43,800 3 43,800
Colgate-
Palmolive Co. COMMON 194162103 49 825 SH 825 825
Colgate-
Palmolive Co. COMMON 194162103 6,419 107,200 SH 107,200 1 107,200
Colgate-
Palmolive Co. COMMON 194162103 2,148 35,875 SH 35,875 4 35,875
Colgate-
Palmolive Co. COMMON 194162103 216 3,600 SH 3,600 3 3,600
Com21 Inc COMMON 205937105 16,429 657,174 SH 657,174 624,650 32,524
Com21 Inc COMMON 205937105 1,000 40,000 SH 40,000 4 40,000
Com21 Inc COMMON 205937105 5,214 208,550 SH 208,550 1 124,550 84,000
Compaq Computer
Corp. COMMON 204493100 256 10,000 SH 10,000 4 10,000
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Compaq Computer
Corp. COMMON 204493100 128 5,000 SH 5,000 3 5,000
Computer
Associates
International,
Inc. COMMON 204912109 768 15,000 SH 15,000 3 15,000
Constellation
Energy COMMON 210371100 2,181 66,983 SH 66,983 60,949 6,034
Constellation
Energy COMMON 210371100 2,623 80,550 SH 80,550 4 80,550
Constellation
Energy COMMON 210371100 1,400 43,000 SH 43,000 1 15,900 27,100
Covad
Communications
Group, Inc. COMMON 222814204 2,104 130,450 SH 130,450 130,450
Covad
Communications
Group, Inc. COMMON 222814204 2,557 158,550 SH 158,550 1 20,400 138,150
Covad
Communications
Group, Inc. COMMON 222814204 8,255 511,937 SH 511,937 4 511,937
Crompton Corp. COMMON 227116100 502 41,000 SH 41,000 4 41,000
Crown Cork &
Seal Co., Inc. COMMON 228255105 702 46,800 SH 46,800 3 46,800
Deere & Co. COMMON 244199105 36,188 978,047 SH 978,047 760,225 217,822
Deere & Co. COMMON 244199105 25,332 684,650 SH 684,650 1 224,850 459,800
Deere & Co. COMMON 244199105 10,462 282,750 SH 282,750 4 282,750
Deere & Co. COMMON 244199105 318 8,600 SH 8,600 3 8,600
Dell Computer
Corp. COMMON 247025109 14,276 289,500 SH 289,500 150,500 139,000
Dell Computer
Corp. COMMON 247025109 5,237 106,200 SH 106,200 1 94,300 11,900
Dell Computer
Corp. COMMON 247025109 212 4,300 SH 4,300 4 4,300
Dell Computer
Corp. COMMON 247025109 232 4,700 SH 4,700 3 4,700
Destiny
Resources
Services Corp. COMMON 250904109 80 169,800 SH 169,800 169,800
Destiny
Resources
Services Corp. COMMON 250904109 89 187,850 SH 187,850 4 187,850
Diamond Offshore
Drilling Inc. COMMON 25271C102 455 12,950 SH 12,950 4 12,950
Disney (Walt
Disney Co.) COMMON 254687106 695 17,900 SH 17,900 1 17,900
Disney (Walt
Disney Co.) COMMON 254687106 3,482 89,705 SH 89,705 3 89,705
Drillers
Technology COMMON 26205q100 378 350,000 SH 350,000 4 350,000
Du Pont E.I.
de Nemours COMMON 263534109 1,842 42,109 SH 42,109 3 42,109
Duke Energy
Corp. COMMON 264399106 547 9,700 SH 9,700 4 9,700
Duke Energy
Corp. COMMON 264399106 29 513 SH 513 3 513
EMC Corp. COMMON 268648102 7,625 99,100 SH 99,100 51,500 47,600
EMC Corp. COMMON 268648102 2,801 36,400 SH 36,400 1 32,300 4,100
EMC Corp. COMMON 268648102 115 1,500 SH 1,500 4 1,500
Echostar
Communications
(Class A) COMMON 278762109 11,481 346,750 SH 346,750 294,250 52,500
Echostar
Communications
(Class A) COMMON 278762109 5,576 168,400 SH 168,400 1 90,400 78,000
Echostar
Communications
(Class A) COMMON 278762109 35,256 1,064,825 SH 1,064,825 4 1,064,825
El Sitio Inc
(ORD) COMMON G30177102 1 200 SH 200 200
El Sitio Inc
(ORD) COMMON G30177102 142 19,900 SH 19,900 4 19,900
Electronic Data
Systems COMMON 285661104 1,542 37,375 SH 37,375 4 37,375
Emerson Electric
Co. COMMON 291011104 1,974 32,700 SH 32,700 3 32,700
Enron Corp. COMMON 293561106 256 3,975 SH 3,975 4 3,975
Ensco
International
Inc. COMMON 26874Q100 11,299 315,505 SH 315,505 299,780 15,725
Ensco
International
Inc. COMMON 26874Q100 3,772 105,325 SH 105,325 1 81,425 23,900
Ensco
International
Inc. COMMON 26874Q100 12,328 344,225 SH 344,225 4 344,225
Ensign Resource
Service Group,
Inc. COMMON 29357T104 280 8,500 SH 8,500 4 8,500
Equifax Inc. COMMON 294429105 326 12,400 SH 12,400 3 12,400
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Ericsson (L.M.)
Telephone Co.
(ADR Class B) COMMON 294821400 15,280 764,000 SH 764,000 742,400 21,600
Ericsson (L.M.)
Telephone Co.
(ADR Class B) COMMON 294821400 4,044 202,200 SH 202,200 1 194,400 7,800
Ericsson (L.M.)
Telephone Co.
(ADR Class B) COMMON 294821400 86,995 4,349,750 SH 4,349,750 4 4,349,750
Estee Lauder
Cos. Inc. COMMON 518439104 1,305 26,400 SH 26,400 3 26,400
Exxon Mobil
Corp. COMMON 30231G102 2,079 26,485 SH 26,485 26,485
Exxon Mobil
Corp. COMMON 30231G102 966 12,303 SH 12,303 1 11,907 396
Exxon Mobil
Corp. COMMON 30231G102 5,848 74,491 SH 74,491 3 74,491
Fairchild
Semicon Intl
(Class A) COMMON 303726103 8,888 219,446 SH 219,446 198,978 20,468
Fairchild
Semicon Intl
(Class A) COMMON 303726103 12,231 302,000 SH 302,000 4 302,000
Fairchild
Semicon Intl
(Class A) COMMON 303726103 5,835 144,075 SH 144,075 1 50,775 93,300
Federal National
Mortgage
Assoc. COMMON 313586109 4,835 92,650 SH 92,650 4 92,650
Federated
Department
Stores, Inc COMMON 31410H101 506 15,000 SH 15,000 4 15,000
Fedex Corp. COMMON 31428X106 2,573 67,700 SH 67,700 67,700
Fedex Corp. COMMON 31428X106 2,466 64,900 SH 64,900 1 64,900
Fedex Corp. COMMON 31428X106 1,455 38,300 SH 38,300 3 38,300
First Union
Corp. COMMON 337358105 328 13,200 SH 13,200 3 13,200
Ford Motor Co. COMMON 345370100 501 11,650 SH 11,650 3 11,650
Forest Oil Corp. COMMON 346091606 14,032 880,465 SH 880,465 797,365 83,100
Forest Oil Corp. COMMON 346091606 11,070 694,575 SH 694,575 1 208,575 486,000
Fujitsu Limited COMMON 6356945 34,631 999,950 SH 999,950 4 999,950
GTE Corp. COMMON 362320103 326 5,240 SH 5,240 3 5,240
Gap, Inc. COMMON 364760108 1,159 37,075 SH 37,075 3 37,075
General Dynamics
Corp. COMMON 369550108 7,639 146,200 SH 146,200 83,100 63,100
General Dynamics
Corp. COMMON 369550108 2,743 52,500 SH 52,500 1 46,600 5,900
General Dynamics
Corp. COMMON 369550108 214 4,100 SH 4,100 4 4,100
General Electric
Co. COMMON 369604103 11,502 217,011 SH 217,011 3 217,011
General Motors
Corp.
(Class H) COMMON 370442832 125,805 1,433,677 SH 1,433,677 1,094,377 339,300
General Motors
Corp.
(Class H) COMMON 370442832 85,995 980,001 SH 980,001 1 358,625 621,376
General Motors
Corp.
(Class H) COMMON 370442832 327,112 3,727,770 SH 3,727,770 4 3,727,770
General Motors
Corp.
(Class H) COMMON 370442832 228 2,600 SH 2,600 3 2,600
Georgia-Pacific
Corp. COMMON 373298108 2,625 100,000 SH 100,000 4 100,000
Gillette Co. COMMON 375766102 950 27,192 SH 27,192 3 27,192
Glaxo Wellcome
PLC (Sponsored
ADR) COMMON 37733W105 266 4,600 SH 4,600 3 4,600
Global Light
Telecom Inc COMMON 37934X100 707 64,675 SH 64,675 62,275 2,400
Global Light
Telecom Inc COMMON 37934X100 1,585 144,900 SH 144,900 4 144,900
Global Light
Telecom Inc COMMON 37934X100 170 15,500 SH 15,500 1 15,500
Global Marine
Inc. COMMON 379352404 2,953 104,750 SH 104,750 4 104,750
Global Tele-
Systems, Inc. COMMON 37936U104 213 17,675 SH 17,675 2,286 15,389
Global Tele-
Systems,Inc. COMMON 37936U104 11,749 974,025 SH 974,025 4 974,025
Global Tele-
Systems,Inc. COMMON 37936U104 1,206 100,000 SH 100,000 1 100,000
Halliburton Co. COMMON 406216101 940 19,925 SH 19,925 4 19,925
Halliburton Co. COMMON 406216101 349 7,400 SH 7,400 3 7,400
Healthsouth
Corp. COMMON 421924101 2,183 303,725 SH 303,725 303,725
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Healthsouth
Corp. COMMON 421924101 2,168 301,625 SH 301,625 1 13,300 288,325
Heinz (H.J.)
& Co. COMMON 423074103 639 14,610 SH 14,610 3 14,610
Hercules, Inc. COMMON 427056106 169 12,000 SH 12,000 3 12,000
Hershey Foods
Corp. COMMON 427866108 267 5,500 SH 5,500 3 5,500
Hewlett-Packard
Co. COMMON 428236103 462 3,700 SH 3,700 3,700
Hewlett-Packard
Co. COMMON 428236103 3,830 30,670 SH 30,670 3 30,670
Hilton Hotels
Corp. COMMON 432848109 469 50,000 SH 50,000 4 50,000
Home Depot, Inc. COMMON 437076102 2,594 51,950 SH 51,950 3 51,950
Honeywell Intl
Inc. COMMON 438516106 232 6,900 SH 6,900 3 6,900
Host Marriott
Corp. COMMON 44107P104 128 13,695 SH 13,695 3 13,695
IBM, Corp. COMMON 459200101 7,600 69,364 SH 69,364 3 69,364
IMC Global Inc. COMMON 449669100 4,768 366,792 SH 366,792 333,150 33,642
IMC Global Inc. COMMON 449669100 3,062 235,525 SH 235,525 1 88,825 146,700
Imperial Oil
Ltd COMMON 453038408 2,519 103,325 SH 103,325 99,725 3,600
Imperial Oil
Ltd COMMON 453038408 1,184 48,575 SH 48,575 1 15,275 33,300
Imperial Oil
Ltd COMMON 453038408 2,431 99,750 SH 99,750 4 99,750
In Focus Sys Inc COMMON 45665B106 258 8,000 SH 8,000 4 8,000
Infinity Broad-
casting Corp COMMON 45662S102 1,275 35,000 SH 35,000 4 35,000
InfoSpace.com,
Inc. COMMON 45678T102 221 4,000 SH 4,000 4 4,000
Ingersoll Rand
Co. COMMON 456866102 2,725 67,700 SH 67,700 67,700
Ingersoll Rand
Co. COMMON 456866102 2,838 70,500 SH 70,500 1 5,600 64,900
Insignia/ESG
Holdings, Inc. COMMON 45767A105 195 20,033 SH 20,033 1 20,033
Insignia/ESG
Holdings, Inc. COMMON 45767A105 120 12,265 SH 12,265 4 12,265
Intel Corp. COMMON 458140100 29,291 219,100 SH 219,100 148,800 70,300
Intel Corp. COMMON 458140100 10,281 76,900 SH 76,900 1 65,100 11,800
Intel Corp. COMMON 458140100 2,540 19,000 SH 19,000 4 19,000
Intel Corp. COMMON 458140100 3,229 24,150 SH 24,150 3 24,150
Interpublic
Group of
Companies Inc. COMMON 460690100 222 5,160 SH 5,160 3 5,160
Intuit Inc. COMMON 461202103 223 5,400 SH 5,400 3 5,400
J.C. Penney
Company Inc. COMMON 708160106 299 16,200 SH 16,200 3 16,200
J.D. Edwards
& Co. COMMON 281667105 5,527 366,923 SH 366,923 327,742 39,181
J.D. Edwards
& Co. COMMON 281667105 301 20,000 SH 20,000 4 20,000
J.D. Edwards
& Co. COMMON 281667105 2,647 175,725 SH 175,725 1 100,625 75,100
J.P. Morgan &
Co, Inc. COMMON 616880100 2,007 18,225 SH 18,225 3 18,225
JDS Uniphase
Corp. COMMON 46612J101 11,205 93,475 SH 93,475 59,200 34,275
JDS Uniphase
Corp. COMMON 46612J101 36,181 301,825 SH 301,825 4 301,825
JDS Uniphase
Corp. COMMON 46612J101 779 6,500 SH 6,500 1 6,500
Jefferson
Smurfit Group
(Sponsored
ADR) COMMON 47508W107 912 51,725 SH 51,725 4 51,725
Johnson &
Johnson COMMON 478160104 1,070 10,500 SH 10,500 4 10,500
Johnson &
Johnson COMMON 478160104 4,469 43,870 SH 43,870 3 43,870
Key Energy
Service Inc COMMON 492914106 444 46,100 SH 46,100 4 46,100
Kimberly Clark
Corp. COMMON 494368103 528 9,200 SH 9,200 3 9,200
Kroger Co. COMMON 501044101 331 15,000 SH 15,000 4 15,000
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Leap Wireless
Int'l. Inc. COMMON 521863100 16,938 360,375 SH 360,375 349,375 11,000
Leap Wireless
Int'l. Inc. COMMON 521863100 7,438 158,250 SH 158,250 1 110,825 47,425
Leap Wireless
Int'l. Inc. COMMON 521863100 31,585 672,025 SH 672,025 4 672,025
Legg Mason Inc. COMMON 524901105 4,015 80,300 SH 80,300 77,300 3,000
Legg Mason Inc. COMMON 524901105 1,208 24,150 SH 24,150 1 24,150
Lilly, Eli & Co. COMMON 532457108 999 10,000 SH 10,000 4 10,000
Linear
Technology
Corp. COMMON 535678106 28,019 438,218 SH 438,218 323,700 114,518
Linear
Technology
Corp. COMMON 535678106 21,793 340,850 SH 340,850 1 87,850 253,000
Lucent Techno-
logies Inc. COMMON 549463107 20,740 350,050 SH 350,050 308,450 41,600
Lucent Techno-
logies Inc. COMMON 549463107 14,907 251,600 SH 251,600 1 84,500 167,100
Lucent Techno-
logies Inc. COMMON 549463107 12,134 204,800 SH 204,800 4 204,800
Lucent Techno-
logies Inc. COMMON 549463107 1,807 30,500 SH 30,500 3 30,500
MCI WorldCom
Inc. COMMON 98157D106 1,243 27,100 SH 27,100 3 27,100
MCN Corp. COMMON 55267J100 11,221 524,950 SH 524,950 477,350 47,600
MCN Corp. COMMON 55267J100 8,673 405,750 SH 405,750 1 164,950 240,800
Madison Square
Entertainment
Inc. (RSTD) COMMON 126412915 - 25,000 SH 25,000 3 25,000
Marriott
International
Inc. (Class A) COMMON 571903202 1,352 37,500 SH 37,500 3 37,500
Masco Corp. COMMON 574599106 1,004 55,600 SH 55,600 3 55,600
Matritech, Inc. COMMON 576818108 365 55,075 SH 55,075 55,075
Matritech, Inc. COMMON 576818108 5,168 780,000 SH 780,000 4 780,000
Matsushita
Electric
Indl Co COMMON jp3866800 25,675 989,375 SH 989,375 4 989,375
Mattson
Technology
Inc COMMON 577223100 260 8,000 SH 8,000 4 8,000
Maxim Integrated
Products Inc. COMMON 57772K101 924 13,600 SH 13,600 1 13,600
McDonald's Corp. COMMON 580135101 306 9,300 SH 9,300 3 9,300
Mead Corp. COMMON 582834107 4,624 183,140 SH 183,140 183,140
Mead Corp. COMMON 582834107 5,171 204,800 SH 204,800 1 25,800 179,000
Medtronic, Inc. COMMON 585055106 727 14,600 SH 14,600 3 14,600
Merck & Co.,
Inc. COMMON 589331107 383 5,000 SH 5,000 4 5,000
Merck & Co.,
Inc. COMMON 589331107 563 7,350 SH 7,350 1 7,350
Merck & Co.,
Inc. COMMON 589331107 62,315 813,246 SH 813,246 3 813,246
Metromedia Fiber
Network
(Class A) COMMON 591689104 520 13,100 SH 13,100 1 13,100
Mettler Toledo
Intl COMMON 592688105 500 12,500 SH 12,500 4 12,500
Microsoft Corp. COMMON 594918104 3,798 47,475 SH 47,475 4 47,475
Microsoft Corp. COMMON 594918104 2,504 31,300 SH 31,300 3 31,300
Minnesota Mining
& Manufac-
turing Co. COMMON 604059105 1,276 15,461 SH 15,461 3 15,461
Montana Power
Co. COMMON 612085100 25,154 712,335 SH 712,335 642,740 69,595
Montana Power
Co. COMMON 612085100 20,901 591,875 SH 591,875 1 208,975 382,900
Montana Power
Co. COMMON 612085100 24,434 691,949 SH 691,949 4 691,949
Motorola, Inc. COMMON 620076109 41,127 1,415,125 SH 1,415,125 1,100,925 314,200
Motorola, Inc. COMMON 620076109 27,213 936,375 SH 936,375 1 309,000 627,375
Motorola, Inc. COMMON 620076109 42,520 1,463,050 SH 1,463,050 4 1,463,050
Motorola, Inc. COMMON 620076109 1,742 59,951 SH 59,951 3 59,951
Mpower Communi-
cations Corp. COMMON 552763302 12,030 200,705 SH 200,705 164,767 35,938
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Mpower Communi-
cations Corp. COMMON 552763302 8,489 141,625 SH 141,625 1 49,925 91,700
Mpower Communi-
cations Corp. COMMON 552763302 24,237 404,375 SH 404,375 4 404,375
Murphy Oil Corp. COMMON 626717102 4,458 75,000 SH 75,000 4 75,000
Myriad Genetics
Inc. COMMON 62855J104 18,693 126,235 SH 126,235 121,250 4,985
Myriad Genetics
Inc. COMMON 62855J104 27,691 187,000 SH 187,000 4 187,000
Myriad Genetics
Inc. COMMON 62855J104 19,580 132,225 SH 132,225 1 24,075 108,150
NEC Corporation COMMON jp3733000 30,931 984,325 SH 984,325 4 984,325
NQL Drilling
Tools Inc.
(Class A) COMMON 62936W108 15 2,500 SH 2,500 2,500
NQL Drilling
Tools Inc.
(Class A) COMMON 62936W108 5,338 878,350 SH 878,350 4 878,350
Nabors
Industries
Inc. COMMON 629568106 890 21,425 SH 21,425 21,425
Nabors
Industries
Inc. COMMON 629568106 197 4,750 SH 4,750 1 2,950 1,800
Nabors
Industries
Inc. COMMON 629568106 2,814 67,700 SH 67,700 4 67,700
Natco Group
Inc Cl A COMMON 63227w203 774 82,000 SH 82,000 4 82,000
National City
Corp. COMMON 635405103 179 10,480 SH 10,480 3 10,480
Nestle S.A.
(Sponsored
ADR) COMMON 641069406 1,880 18,725 SH 18,725 3 18,725
Newfield
Exploration
Co. COMMON 651290108 341 8,725 SH 8,725 8,725
Newfield
Exploration
Co. COMMON 651290108 406 10,375 SH 10,375 1 1,500 8,875
Newfield
Exploration
Co. COMMON 651290108 1,618 41,355 SH 41,355 4 41,355
Nippon Telegraph
& Tele.
(Sponsored
ADR) COMMON 654624105 2,783 40,700 SH 40,700 40,700
Nippon Telegraph
& Tele.
(Sponsored
ADR) COMMON 654624105 3,326 48,650 SH 48,650 1 48,650
Nippon Telegraph
& Tele.
(Sponsored
ADR) COMMON 654624105 71,607 1,047,275 SH 1,047,275 4 1,047,275
Noble
Affiliates,
Inc. COMMON 654894104 6,628 177,937 SH 177,937 158,384 19,553
Noble
Affiliates,
Inc. COMMON 654894104 4,659 125,070 SH 125,070 4 125,070
Noble
Affiliates,
Inc. COMMON 654894104 4,940 132,625 SH 132,625 1 49,125 83,500
Noble Drilling
Corp. COMMON 655042109 412 10,000 SH 10,000 4 10,000
Nokia Corp.
(Sponsored
ADR) COMMON 654902204 10,559 211,450 SH 211,450 187,050 24,400
Nokia Corp.
(Sponsored
ADR) COMMON 654902204 18,330 367,050 SH 367,050 1 221,850 145,200
Nokia Corp.
(Sponsored
ADR) COMMON 654902204 1,798 36,000 SH 36,000 4 36,000
Nokia Corp.
(Sponsored
ADR) COMMON 654902204 50 1,000 SH 1,000 3 1,000
Nortel Networks
Corp. (Holding
Co.) COMMON 656568102 20,885 306,000 SH 306,000 290,100 15,900
Nortel Networks
Corp. (Holding
Co.) COMMON 656568102 25,638 375,650 SH 375,650 1 199,600 176,050
Nortel Networks
Corp. (Holding
Co.) COMMON 656568102 8,054 118,000 SH 118,000 4 118,000
Northpoint
Communications COMMON 666610100 1,371 122,590 SH 122,590 122,590
Northpoint
Communications COMMON 666610100 1,083 96,820 SH 96,820 1 7,100 89,720
Novartis A G
(Sponsored
ADR) COMMON 66987V109 296 7,400 SH 7,400 3 7,400
Ocean Energy
Inc. COMMON 67481E106 5,735 404,203 SH 404,203 373,946 30,257
Ocean Energy
Inc. COMMON 67481E106 13,744 968,775 SH 968,775 4 968,775
Ocean Energy
Inc. COMMON 67481E106 4,530 319,300 SH 319,300 1 137,600 181,700
Oracle Corp. COMMON 68389X105 8,078 96,100 SH 96,100 52,800 43,300
Oracle Corp. COMMON 68389X105 2,782 33,100 SH 33,100 1 29,400 3,700
Oracle Corp. COMMON 68389X105 446 5,300 SH 5,300 4 5,300
Oracle Corp. COMMON 68389X105 3,102 36,900 SH 36,900 3 36,900
Panamsat Corp. COMMON 697933109 16,662 381,396 SH 381,396 346,065 35,331
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Panamsat Corp. COMMON 697933109 874 20,000 SH 20,000 4 20,000
Panamsat Corp. COMMON 697933109 11,179 255,875 SH 255,875 1 115,775 140,100
Peco Energy Co. COMMON 693304107 6,226 154,450 SH 154,450 104,650 49,800
Peco Energy Co. COMMON 693304107 7,204 178,700 SH 178,700 1 44,800 133,900
Pegasus Communi-
cations Cl A COMMON 705904100 2,944 60,000 SH 60,000 4 60,000
Pepsico, Inc. COMMON 713448108 30,321 682,325 SH 682,325 475,425 206,900
Pepsico, Inc. COMMON 713448108 19,562 440,225 SH 440,225 1 184,900 255,325
Pepsico, Inc. COMMON 713448108 25,642 577,025 SH 577,025 4 577,025
Pepsico, Inc. COMMON 713448108 647 14,555 SH 14,555 3 14,555
Petroleum Geo
Srvcs
Spon ADR COMMON 716597109 341 20,000 SH 20,000 4 20,000
Pfizer Inc. COMMON 717081103 45,502 947,950 SH 947,950 888,350 59,600
Pfizer Inc. COMMON 717081103 34,831 725,650 SH 725,650 1 334,650 391,000
Pfizer Inc. COMMON 717081103 65,114 1,356,550 SH 1,356,550 4 1,356,550
Pfizer Inc. COMMON 717081103 1,260 26,252 SH 26,252 3 26,252
Pharmacia Corp. COMMON 71713U102 9,629 186,300 SH 186,300 186,300
Pharmacia Corp. COMMON 71713U102 5,050 97,700 SH 97,700 1 97,700
Pharmacia Corp. COMMON 71713U102 1,533 29,656 SH 29,656 4 29,656
Phelps Dodge
Corp. COMMON 717265102 1,482 39,840 SH 39,840 39,840
Phelps Dodge
Corp. COMMON 717265102 1,872 50,335 SH 50,335 1 3,250 47,085
Phelps Dodge
Corp. COMMON 717265102 1,560 41,950 SH 41,950 4 41,950
Phelps Dodge
Corp. COMMON 717265102 1 27 SH 27 3 27
Philip Morris
Cos., Inc. COMMON 718154107 530 19,950 SH 19,950 4 19,950
Philip Morris
Cos., Inc. COMMON 718154107 390 14,700 SH 14,700 3 14,700
Phillips
Petroleum Co. COMMON 718507106 13,935 274,925 SH 274,925 4 274,925
Pitney Bowes,
Inc. COMMON 724479100 386 9,660 SH 9,660 3 9,660
Plexus Corp COMMON 729132100 339 3,000 SH 3,000 4 3,000
Portugal Telecom
S A Register COMMON 5817186 32,183 2,872,780 SH 2,872,780 4 2,872,780
Portugal Telecom
S A Sponsored
Adr COMMON 737273102 1,717 152,650 SH 152,650 4 152,650
Powertel Inc. COMMON 73936C109 17,272 243,483 SH 243,483 220,730 22,753
Powertel Inc. COMMON 73936C109 709 10,000 SH 10,000 4 10,000
Powertel Inc. COMMON 73936C109 10,720 151,125 SH 151,125 1 57,125 94,000
Pride
International,
Inc. COMMON 741932107 8,464 341,985 SH 341,985 313,811 28,174
Pride
International,
Inc. COMMON 741932107 1,738 70,225 SH 70,225 1 67,525 2,700
Pride
International,
Inc. COMMON 741932107 16,161 652,950 SH 652,950 4 652,950
Procter & Gamble
Co. COMMON 742718109 2,875 50,210 SH 50,210 3 50,210
Prudential Steel
Ltd. COMMON 74435C103 12,303 839,550 SH 839,550 4 839,550
Qualcomm, Inc. COMMON 747525103 2,826 47,100 SH 47,100 24,500 22,600
Qualcomm, Inc. COMMON 747525103 1,032 17,200 SH 17,200 1 15,300 1,900
Qualcomm, Inc. COMMON 747525103 42 700 SH 700 4 700
Qwest
Communications
Intl Inc. COMMON 749121109 313 6,300 SH 6,300 1 6,300
R & B Falcon
Corp. COMMON 74912E101 6,349 269,440 SH 269,440 231,016 38,424
R & B Falcon
Corp. COMMON 74912E101 6,006 254,900 SH 254,900 1 91,600 163,300
Rhythms
NetConnections
Inc. COMMON 762430205 3,286 261,562 SH 261,562 254,095 7,467
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Rhythms
NetConnections
Inc. COMMON 762430205 2,968 236,225 SH 236,225 1 82,700 153,525
Rhythms
NetConnections
Inc. COMMON 762430205 4,531 360,675 SH 360,675 4 360,675
Rio Alto
Exploration
Ltd. COMMON 766892103 1,195 65,325 SH 65,325 65,325
Rio Alto
Exploration
Ltd. COMMON 766892103 1,276 69,700 SH 69,700 1 3,800 65,900
Rio Alto
Exploration
Ltd. COMMON 766892103 6,392 349,275 SH 349,275 4 349,275
Rite Aid Corp. COMMON 767754104 226 34,500 SH 34,500 3 34,500
Roctest Ltd COMMON 774903108 2,213 157,200 SH 157,200 4 157,200
Royal Dutch
Petroleum
Corp. COMMON 780257804 1,839 29,870 SH 29,870 3 29,870
Ryan Energy
Technologies
Inc. COMMON 78348T103 190 110,400 SH 110,400 110,400
Ryan Energy
Technologies
Inc. COMMON 78348T103 4,791 2,782,025 SH 2,782,025 4 2,782,025
SDL, Inc. COMMON 784076101 10,695 37,500 SH 37,500 23,025 14,475
SDL, Inc. COMMON 784076101 14,502 50,850 SH 50,850 4 50,850
SDL, Inc. COMMON 784076101 784 2,750 SH 2,750 1 2,750
SPX Corp. COMMON 784635104 907 7,500 SH 7,500 4 7,500
Saks Holdings
Inc. COMMON 79377W108 131 12,500 SH 12,500 3 12,500
SanDisk Corp. COMMON 80004C101 68,111 1,113,159 SH 1,113,159 985,525 127,634
SanDisk Corp. COMMON 80004C101 49,008 800,950 SH 800,950 1 224,250 576,700
SanDisk Corp. COMMON 80004C101 125,387 2,049,225 SH 2,049,225 4 2,049,225
Santa Fe
International
Corp. (ORD) COMMON G7805C108 5,765 165,000 SH 165,000 4 165,000
Scana Corp. COMMON 80589M102 602 24,971 SH 24,971 4 24,971
Schein Henry
Inc. COMMON 806407102 271 15,700 SH 15,700 3 15,700
Schering-Plough
Corp. COMMON 806605101 6,784 134,332 SH 134,332 3 134,332
Schlumberger
Ltd. COMMON 806857108 187 2,500 SH 2,500 4 2,500
Schlumberger
Ltd. COMMON 806857108 953 12,776 SH 12,776 3 12,776
Sector Tr
Consumer
Staples Spdrs COMMON 81369Y308 126 5,000 SH 5,000 5,000
Sector Tr
Consumer
Staples Spdrs COMMON 81369Y308 5,032 199,425 SH 199,425 4 199,425
Service Corp.
International COMMON 817565104 68 21,300 SH 21,300 3 21,300
Shell Transport
& Trading Co. COMMON 822703609 375 7,500 SH 7,500 4 7,500
Shell Transport
& Trading Co. COMMON 822703609 135 2,700 SH 2,700 3 2,700
Sherwin Williams
Co. COMMON 824348106 1,154 54,450 SH 54,450 3 54,450
Shulz PNB COMMON 999999999 99 12,000,000 SH 12,000,000 4 12,000,000
Siebel Systems
Inc. COMMON 826170102 1,963 12,000 SH 12,000 4 12,000
SmithKline
Beecham
PLC (ADR R) COMMON 832378301 522 8,000 SH 8,000 4 8,000
Smurfit-Stone
Container
Corp. COMMON 832727101 36,136 2,806,670 SH 2,806,670 2,401,986 404,684
Smurfit-Stone
Container
Corp. COMMON 832727101 19,903 1,545,838 SH 1,545,838 1 526,673 1,019,165
Smurfit-Stone
Container
Corp. COMMON 832727101 57,501 4,466,108 SH 4,466,108 4 4,466,108
Sothebys
Holdings, Inc. COMMON 835898107 223 12,750 SH 12,750 4 12,750
Southdown, Inc. COMMON 841297104 578 10,000 SH 10,000 4 10,000
Southern Co. COMMON 842587107 207 8,900 SH 8,900 3 8,900
Southern Union
Co. COMMON 844030106 169 10,707 SH 10,707 3 10,707
State Street
Boston Corp. COMMON 857477103 212 2,000 SH 2,000 4 2,000
Steris Corp. COMMON 859152100 139 15,700 SH 15,700 3 15,700
Stryker Corp. COMMON 863667101 1,308 29,900 SH 29,900 3 29,900
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ------------------------- Mana- -----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Sun
Microsystems,
Inc. COMMON 866810104 582 6,400 SH 6,400 3 6,400
Suntrust Banks,
Inc. COMMON 867914103 685 15,000 SH 15,000 3 15,000
Swisscom AG
(ADR) COMMON 871013108 254 7,200 SH 7,200 3 7,200
Symbol
Technologies,
Inc. COMMON 871508107 241,962 4,480,784 SH 4,480,784 3,536,776 944,008
Symbol
Technologies,
Inc. COMMON 871508107 162,760 3,014,076 SH 3,014,076 1 883,190 2,130,886
Symbol
Technologies,
Inc. COMMON 871508107 74,288 1,375,699 SH 1,375,699 4 1,375,699
Symbol
Technologies,
Inc. COMMON 871508107 2,609 48,324 SH 48,324 3 48,324
Synthatron Corp.
(RSTD) COMMON 871618104 0 24,460 SH 24,460 3 24,460
TCF Financial
Corp. COMMON 872275102 8,779 341,760 SH 341,760 304,550 37,210
TCF Financial
Corp. COMMON 872275102 5,554 216,225 SH 216,225 1 94,325 121,900
Telecomunicacoes
Brasileiras
(Spon ADR Bloc COMMON 879287308 9,152 94,225 SH 94,225 94,225
Telecomunicacoes
Brasileiras
(Spon ADR Bloc COMMON 879287308 9,394 96,725 SH 96,725 1 96,725
Telecomunicacoes
Brasileiras
(Spon ADR Bloc COMMON 879287308 51,248 527,650 SH 527,650 4 527,650
Telecomunicacoes
Brasileiras
(Spon ADR Bloc COMMON 879287308 39 400 SH 400 3 400
Telefonica S.A.
(Sponsored
ADR) COMMON 879382208 13,050 203,701 SH 203,701 203,701
Telefonica S.A.
(Sponsored
ADR) COMMON 879382208 12,727 198,671 SH 198,671 1 198,671
Telefonica S.A.
(Sponsored
ADR) COMMON 879382208 19,348 302,017 SH 302,017 4 302,017
Telefonica S.A.
(Sponsored
ADR) COMMON 879382208 15 230 SH 230 3 230
Tenet Healthcare
Corp. COMMON 88033G100 405 15,000 SH 15,000 4 15,000
Terayon
Communication
Systems, Inc. COMMON 880775101 3,854 60,000 SH 60,000 4 60,000
Tesco Corp. COMMON 88157K101 2,990 288,235 SH 288,235 288,235
Tesco Corp. COMMON 88157K101 1,260 121,400 SH 121,400 1 99,800 21,600
Tesco Corp. COMMON 88157K101 21,264 2,049,525 SH 2,049,525 4 2,049,525
Texaco Inc. COMMON 881694103 1,748 32,825 SH 32,825 32,825
Texaco Inc. COMMON 881694103 2,332 43,800 SH 43,800 1 31,500 12,300
Texaco Inc. COMMON 881694103 3,089 58,000 SH 58,000 4 58,000
Texaco Inc. COMMON 881694103 1,212 22,760 SH 22,760 3 22,760
Texas
Instruments
Inc. COMMON 882508104 9,281 135,125 SH 135,125 135,125
Texas
Instruments
Inc. COMMON 882508104 8,304 120,895 SH 120,895 1 32,800 88,095
Texas
Instruments
Inc. COMMON 882508104 1,236 18,000 SH 18,000 4 18,000
The
ServiceMaster
Co. COMMON 81760N109 375 33,000 SH 33,000 3 33,000
Tidewater, Inc. COMMON 886423102 428 11,900 SH 11,900 4 11,900
Tiffany & Co. COMMON 886547108 1,762 26,100 SH 26,100 3 26,100
Tosco Corp. COMMON 891490302 283 10,000 SH 10,000 10,000
Tosco Corp. COMMON 891490302 1,840 65,000 SH 65,000 4 65,000
Toshiba
Corporation COMMON jp3592200 33,019 2,923,150 SH 2,923,150 4 2,923,150
Transocean Sedco
Forex Inc. COMMON G90078109 16,691 312,341 SH 312,341 282,857 29,484
Transocean Sedco
Forex Inc. COMMON G90078109 1,571 29,400 SH 29,400 4 29,400
Transocean Sedco
Forex Inc. COMMON G90078109 7,199 134,725 SH 134,725 1 48,725 86,000
Transocean Sedco
Forex Inc. COMMON G90078109 153 2,856 SH 2,856 3 2,856
Tubos De Acero
De Mex Sp ADR COMMON 898592506 2,767 199,425 SH 199,425 4 199,425
Turbochef Inc. COMMON 900006107 154 33,500 SH 33,500 4 33,500
Tyco
International
Ltd. COMMON 902124106 237 5,000 SH 5,000 4 5,000
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ --------------------------- Mana- ----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
------------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
USA Networks
Inc. COMMON 902984103 1,081 50,000 SH 50,000 4 50,000
Unilever N V New
York Shs COMMON 904784709 579 13,474 SH 13,474 3 13,474
Union Pacific
Corp. COMMON 907818108 3,942 106,000 SH 106,000 106,000
Unit Corp. COMMON 909218109 40,936 3,032,284 SH 3,032,284 2,613,249 419,035
Unit Corp. COMMON 909218109 23,994 1,777,350 SH 1,777,350 1 702,050 1,075,300
Unit Corp. COMMON 909218109 15,304 1,133,650 SH 1,133,650 4 1,133,650
United Parcel
Service
(Class B) COMMON 911312106 443 7,500 SH 7,500 3 7,500
United
Technologies
Corp. COMMON 913017109 648 11,000 SH 11,000 3 11,000
Unitedhealth
Group Inc. COMMON 91324P102 5,118 59,690 SH 59,690 55,098 4,592
Unitedhealth
Group Inc. COMMON 91324P102 2,639 30,775 SH 30,775 1 15,575 15,200
Unocal Corp. COMMON 915289102 26,192 790,694 SH 790,694 674,022 116,672
Unocal Corp. COMMON 915289102 13,943 420,925 SH 420,925 1 204,475 216,450
Unocal Corp. COMMON 915289102 74,442 2,247,300 SH 2,247,300 4 2,247,300
Veritas Software
Corp. COMMON 923436109 3,684 32,600 SH 32,600 17,000 15,600
Veritas Software
Corp. COMMON 923436109 1,345 11,900 SH 11,900 1 10,600 1,300
Veritas Software
Corp. COMMON 923436109 57 500 SH 500 4 500
Viacom Inc.
(Class B) COMMON 925524308 11,537 169,200 SH 169,200 115,600 53,600
Viacom Inc.
(Class B) COMMON 925524308 3,834 56,225 SH 56,225 1 39,900 16,325
Viacom Inc.
(Class B) COMMON 925524308 7,092 104,001 SH 104,001 4 104,001
Viacom Inc.
(Class B) COMMON 925524308 68 1,000 SH 1,000 3 1,000
Vintage
Petroleum,
Inc. COMMON 927460105 50,696 2,246,894 SH 2,246,894 1,948,600 298,294
Vintage
Petroleum,
Inc. COMMON 927460105 30,404 1,347,550 SH 1,347,550 1 467,650 879,900
Vintage
Petroleum,
Inc. COMMON 927460105 16,259 720,625 SH 720,625 4 720,625
VoiceStream
Wireless Corp. COMMON 928615103 14,295 122,914 SH 122,914 109,469 13,445
VoiceStream
Wireless Corp. COMMON 928615103 10,432 89,700 SH 89,700 1 24,650 65,050
Votorantim
Celulose-
Spon ADR COMMON 92906P106 7,327 398,725 SH 398,725 4 398,725
Wal-Mart Stores,
Inc. COMMON 931142103 1,066 18,500 SH 18,500 3 18,500
Walgreen Co. COMMON 931422109 486 15,100 SH 15,100 3 15,100
Watson Pharma-
ceuticals Inc. COMMON 942683103 4,170 77,574 SH 77,574 73,900 3,674
Watson Pharma-
ceuticals Inc. COMMON 942683103 2,823 52,525 SH 52,525 1 22,725 29,800
Wellpoint Health
Networks New COMMON 94973H108 4,033 55,681 SH 55,681 51,002 4,679
Wellpoint Health
Networks New COMMON 94973H108 2,309 31,875 SH 31,875 1 16,275 15,600
Wells Fargo Co. COMMON 949746101 380 9,800 SH 9,800 3 9,800
Westaim
Corporation COMMON 956909105 4,765 396,425 SH 396,425 4 396,425
Western Gas
Resources Inc. COMMON 958259103 231 11,000 SH 11,000 4 11,000
Western Wireless
Corp.
(Class A) COMMON 95988E204 14,010 257,058 SH 257,058 229,369 27,689
Western Wireless
Corp.
(Class A) COMMON 95988E204 7,412 136,000 SH 136,000 4 136,000
Western Wireless
Corp.
(Class A) COMMON 95988E204 8,554 156,950 SH 156,950 1 65,750 91,200
Westvaco Corp. COMMON 961548104 4,142 166,925 SH 166,925 4 166,925
Wilmington Trust
Corp. COMMON 971807102 355 8,300 SH 8,300 3 8,300
Wrigley (Wm.)
Jr. Co. COMMON 982526105 2,904 36,220 SH 36,220 3 36,220
Xerox Corp. COMMON 984121103 268 12,900 SH 12,900 3 12,900
Xilinx, Inc. COMMON 983919101 495 6,000 SH 6,000 4 6,000
</TABLE>
<PAGE>
Form 13F
Reporting Manager: Forstmann-Leff Associates, LLC
Quarter Ending June 30, 2000
<TABLE>
<CAPTION>
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
------ ------ ------ -------- ------ ------ ------ ------
Title Fair Shares or
Name of Issuer of Market Principal Investment Discretion Voting Authority
Class CUSIP Value Amount Sh/ Put/ ---------------------------- Mana- ----------------------------------
(x 1000) Prn Call Sole Shared Other gers Sole Shared None
-----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Zions
Bancorporation COMMON 989701107 367 8,000 SH 8,000 4 8,000
Tele Norte Leste
(Sponsored
ADR PRF) COMMON 879246106 4,725 200,000 SH 200,000 4 200,000
Tele Norte Le ste
(Sponsored
ADR PRF) COMMON 879246106 1 46 SH 46 3 46
Grand Total 318,063,860 61,867,203 256,196,657 51,789,019 229,667,103 36,607,738
</TABLE>