HUSIC CAPITAL MANAGEMENT
13F-HR/A, 1999-09-20
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<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, 1999
                                                     ----------------------

Check here if Amendment / X /; Amendment Number:  1
                                                 ---
     This Amendment (Check only one):     / X /  is a restatement.
                                          /   /  adds new holdings entries.
Investment Manager Filing this Report:

Name:           Husic Capital Management
               -------------------------------------------------------
Address:        555 California Street, Suite 2900
               -------------------------------------------------------
                San Francisco, Ca 94104
               -------------------------------------------------------

               -------------------------------------------------------
Form 13F File Number:  28-4257
                          ------

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:           Cynthia A. Flaherty
               -------------------------------------------------------
Title:          Chief Financial Officer
               -------------------------------------------------------
Phone:          415/398-0800
               -------------------------------------------------------

Signature, Place, and Date of Signing:

      /s/ Cynthia A. Flaherty        San Francisco, Ca            09/14/99
     ---------------------------  ------------------------      ------------
            [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 by other reporting manager(s))

<PAGE>

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                              0
                                                       --------------
Form 13F Information Table Entry Total:                       228
                                                       --------------
Form 13F Information Table Value Total:               $ 3,016,470
                                                       --------------
                                                        (thousands)

List of other Included Managers:

Provide a number list of the names(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filled,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries]

NONE

<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
ASM LITHOGRAPHY HLDG N V  SPONSORED ADR  N07059111     2,850     48,000   SH          SOLE                   38,500    0       9,500
AT&T CORP                    COMMON      001957109     8,553    153,253   SH          SOLE                  145,575    0       7,678
AT&T CORP-LIBERTY         COM LIB GRP A  001957208    74,815  2,035,792   SH          SOLE                1,930,632    0     105,160
ABBOTT LABS                  COMMON      002824100     2,019     44,500   SH          SOLE                   44,500    0           0
ADELPHIA COMMUNICATIONS       CL A       006848105    36,734    577,350   SH          SOLE                  544,050    0      33,300
ALASKA AIR GROUP INC         COMMON      011659109       956     22,900   SH          SOLE                   22,900    0           0
ALCOA INC                    COMMON      013817101     4,573     73,900   SH          SOLE                   73,900    0           0
ALLIANCE SEMICONDUCTOR C     COMMON      01877H100       766     77,100   SH          SOLE                   17,900    0      59,200
AMERICA ONLINE INC DEL       COMMON      02364J104    76,568    696,070   SH          SOLE                  671,970    0      24,100
AMERICAN EXPRESS CO          COMMON      025816109     1,867     14,350   SH          SOLE                   14,350    0           0
AMERISOURCE HEALTH CORP       CL A       03071P102     2,688    105,400   SH          SOLE                  105,400    0           0
AMERITRADE HLDG CORP          CL A       03072H109       435      4,100   SH          SOLE                    4,100    0           0
APACHE CORP                  COMMON      037411105    37,807    969,400   SH          SOLE                  931,900    0      37,500
APPLEBEES INTL INC           COMMON      037899101     7,881    261,600   SH          SOLE                  261,600    0           0
APPLIED MATLS INC            COMMON      038222105    18,498    250,400   SH          SOLE                  243,200    0       7,200
APPLIED MICRO CIRCUITS C     COMMON      03822W109     2,492     30,300   SH          SOLE                   20,400    0       9,900
ARIBA INC                    COMMON      04033V104       661      6,800   SH          SOLE                    6,800    0           0
ASCENT ENTMT GROUP INC       COMMON      043628106       465     32,900   SH          SOLE                   32,900    0           0
ASK JEEVES INC               COMMON      045174109       974     15,000   SH          SOLE                   15,000    0           0
AT HOME CORP                COM SER A    045919107     1,920     35,600   SH          SOLE                   35,600    0           0
ATLAS AIR INC                COMMON      049164106    11,392    353,250   SH          SOLE                  353,250    0           0
BJ SVCS CO                   COMMON      055482103    12,508    424,900   SH          SOLE                  424,900    0           0
BP AMOCO P L C            SPONSORED ADR  055622104     3,092     28,500   SH          SOLE                   28,500    0           0
BACKWEB TECHNOLOGIES LTD       ORD       M15633106       274     10,000   SH          SOLE                        0    0      10,000
BAKER HUGHES INC             COMMON      057224107    51,037  1,523,500   SH          SOLE                1,431,500    0      92,000
BALLY TOTAL FITNESS HLDG     COMMON      05873K108    10,907    384,400   SH          SOLE                  384,400    0           0
BANK OF AMERICA CORP         COMMON      060505104    67,692    923,335   SH          SOLE                  878,270    0      45,065
BEBE STORES INC              COMMON      075571109     5,494    161,600   SH          SOLE                  156,800    0       4,800
BEST BUY INC                 COMMON      086516101     2,194     32,500   SH          SOLE                   32,500    0           0
BINDLEY WESTN INDS INC       COMMON      090324104    12,372    536,462   SH          SOLE                  536,462    0           0
BOEING CO                    COMMON      097023105     3,001     68,200   SH          SOLE                   68,200    0           0
BRINKER INTL INC             COMMON      109641100     3,740    136,000   SH          SOLE                  136,000    0           0
BROADCOM CORP                 CL A       111320107     3,860     26,700   SH          SOLE                   21,000    0       5,700
BUCKLE INC                   COMMON      118440106     4,570    158,950   SH          SOLE                  158,950    0           0
CBS CORP                     COMMON      12490K107    79,460  1,824,050   SH          SOLE                1,729,850    0      94,200
CMGI INC                     COMMON      125750109     2,201     19,300   SH          SOLE                    8,600    0      10,700
</TABLE>


<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
CNET INC                   COMMON        125945105  106,484   1,847,876  SH           SOLE                1,758,976    0      88,900
CABLEVISION SYS CORP        CL A         12686C109   65,650     937,850  SH           SOLE                  898,050    0      39,800
CALLAWAY GOLF CO           COMMON        131193104      199      13,600  SH           SOLE                        0    0      13,600
CAPITAL ONE FINL CORP      COMMON        14040H105      986      17,700  SH           SOLE                   17,700    0           0
CAREINSITE INC             COMMON        14170M106    1,418      30,000  SH           SOLE                   30,000    0           0
CATERPILLAR INC DEL        COMMON        149123101    2,034      33,900  SH           SOLE                   33,900    0           0
CHASE MANHATTAN CORP NEW   COMMON        16161A108   56,625     654,630  SH           SOLE                  632,930    0      21,700
CHUBB CORP                 COMMON        171232101    2,829      40,700  SH           SOLE                   40,700    0           0
CISCO SYS INC              COMMON        17275R102   63,084     979,000  SH           SOLE                  932,450    0      46,550
CITIGROUP INC              COMMON        172967101   69,079   1,454,299  SH           SOLE                1,396,699    0      57,600
CLARENT CORP DEL           COMMON        180461105    1,294      50,750  SH           SOLE                   50,750    0           0
CLEAR CHANNEL COMMUNICAT   COMMON        184502102    5,846      84,800  SH           SOLE                   84,800    0           0
COLGATE PALMOLIVE CO       COMMON        194162103    1,970      20,000  SH           SOLE                   20,000    0           0
COMCAST CORP              CL A SPL       200300200   67,921   1,767,050  SH           SOLE                1,693,450    0      73,600
COMPASS BANCSHARES INC     COMMON        20449H109    2,230      81,850  SH           SOLE                   81,850    0           0
COMPUWARE CORP             COMMON        205638109    3,371     105,950  SH           SOLE                  105,950    0           0
CONEXANT SYSTEMS INC       COMMON        207142100   10,126     174,400  SH           SOLE                  160,500    0      13,900
CONTINENTAL AIRLS INC       CL B         210795308      952      25,300  SH           SOLE                   25,300    0           0
COOPER CAMERON CORP        COMMON        216640102    4,325     116,700  SH           SOLE                  116,700    0           0
CREE RESH INC              COMMON        225447101      508       6,600  SH           SOLE                        0    0       6,600
CYPRESS SEMICONDUCTOR CO   COMMON        232806109   30,627   1,788,415  SH           SOLE                1,529,700    0     258,715
DARDEN RESTAURANTS INC     COMMON        237194105    2,181     100,000  SH           SOLE                  100,000    0           0
DELPHI AUTOMOTIVE SYS      COMMON        247126105      574      31,031  SH           SOLE                   31,031    0           0
DETROIT DIESEL CORP        COMMON        250837101   31,658   1,285,600  SH           SOLE                1,285,600    0           0
DIGITAL IS INC DEL         COMMON        25385N101      194      10,800  SH           SOLE                   10,800    0           0
E-LOAN INC                 COMMON        26861P107      578      15,000  SH           SOLE                   15,000    0           0
E M C CORP MASS            COMMON        268648102    3,289      59,800  SH           SOLE                   55,000    0       4,800
ENSCO INTL INC             COMMON        26874Q100   23,046   1,155,900  SH           SOLE                1,054,400    0     101,500
ECHOSTAR COMMUNICATNS       CL A         278762109    2,593      16,900  SH           SOLE                   16,900    0           0
ELECTRONICS FOR IMAGING    COMMON        286082102    5,420     105,500  SH           SOLE                  105,500    0           0
ENRON CORP                 COMMON        293561106   41,778     511,050  SH           SOLE                  511,050    0           0
EQUITABLE COS INC          COMMON        29444G107   25,085     374,400  SH           SOLE                  374,400    0           0
EXCALIBUR TECHNOLOGIES C   COM NEW       300651205      473      33,200  SH           SOLE                   33,200    0           0
EXIDE CORP                 COMMON        302051107    7,872     533,700  SH           SOLE                  533,700    0           0
EXODUS COMMUNICATIONS IN   COMMON        302088109    3,418      28,500  SH           SOLE                   26,700    0       1,800
EXPRESS SCRIPTS INC         CL A         302182100    1,083      18,000  SH           SOLE                   18,000    0           0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
EXTREME NETWORKS INC         COMMON      30226D106    1,452      25,000   SH         SOLE                    25,000    0           0
EXXON CORP                   COMMON      302290101      663       8,600   SH         SOLE                     8,600    0           0
FDX CORP                     COMMON      31304N107    3,396      62,600   SH         SOLE                    62,600    0           0
FILA HLDG SPA             SPONSORED ADR  316850106      301      25,500   SH         SOLE                    25,500    0           0
FINISH LINE INC               CL A       317923100    4,475     397,800   SH         SOLE                   397,800    0           0
FIRST DATA CORP              COMMON      319963104    3,460      70,700   SH         SOLE                    70,700    0           0
FIRST REP BK SAN FRANCIS     COMMON      336158100    6,997     241,800   SH         SOLE                   241,800    0           0
FLEXTRONICS INTL LTD           ORD       Y2573F102    1,010      18,200   SH         SOLE                    18,200    0           0
FLUOR CORP                   COMMON      343861100    3,848      95,000   SH         SOLE                    95,000    0           0
FORD MTR CO DEL              COMMON      345370100    2,969      52,600   SH         SOLE                    52,600    0           0
GEMSTAR INTL GROUP LTD         ORD       G3788V106   30,674     470,100   SH         SOLE                   448,100    0      22,000
GENERAL MTRS CORP            COMMON      370442105    2,930      44,400   SH         SOLE                    44,400    0           0
GEON CO                      COMMON      37246W105    9,359     290,200   SH         SOLE                   290,200    0           0
GLOBAL MARINE INC            COMMON      379352404    7,848     506,300   SH         SOLE                   506,300    0           0
GOLDEN STATE BANCORP         COMMON      381197102    8,757     389,200   SH         SOLE                   389,200    0           0
HARMONIC INC                 COMMON      413160102   18,110     315,300   SH         SOLE                   296,500    0      18,800
HARRAHS ENTMT INC            COMMON      413619107    3,563     161,500   SH         SOLE                   161,500    0           0
HERTZ CORP                    CL A       428040109    2,629      42,400   SH         SOLE                    42,400    0           0
HOUSEHOLD INTL INC           COMMON      441815107   72,790   1,536,462   SH         SOLE                 1,471,562    0      64,900
ICG COMMUNICATIONS INC       COMMON      449246107    7,584     354,800   SH         SOLE                   354,800    0           0
IMC GLOBAL INC               COMMON      449669100    3,293     189,500   SH         SOLE                   189,500    0           0
INKTOMI CORP                 COMMON      457277101    1,880      14,300   SH         SOLE                    14,300    0           0
INTERNATIONAL BUSINESS M     COMMON      459200101    4,407      34,100   SH         SOLE                    34,100    0           0
INTERNATIONAL PAPER CO       COMMON      460146103    1,362      27,100   SH         SOLE                    27,100    0           0
INVESTMENT TECHNOLOGY GR     COMMON      46145F105    5,137     159,900   SH         SOLE                   159,900    0           0
IT GROUP INC                 COMMON      465266104    8,446     525,800   SH         SOLE                   525,800    0           0
JEFFERIES GROUP INC NEW      COMMON      472319102    5,481     189,000   SH         SOLE                   189,000    0           0
JOHNSON CTLS INC             COMMON      478366107    2,079      30,000   SH         SOLE                    30,000    0           0
JUNIPER NETWORKS             COMMON      48203R104      745       5,000   SH         SOLE                     5,000    0           0
KLA-TENCOR CORP              COMMON      482480100    1,667      25,700   SH         SOLE                    25,700    0           0
K MART CORP                  COMMON      482584109    1,967     119,200   SH         SOLE                   119,200    0           0
KANSAS CITY SOUTHN INDS      COMMON      485170104    3,254      51,000   SH         SOLE                    51,000    0           0
KENNAMETAL INC               COMMON      489170100   10,041     323,900   SH         SOLE                   323,900    0           0
KERR-MCGEE CORP              COMMON      492386107    2,063      41,100   SH         SOLE                    41,100    0           0
KROGER CO                    COMMON      501044101    1,984      71,000   SH         SOLE                    71,000    0           0
LSI LOGIC CORP               COMMON      502161102   81,129   1,758,900   SH         SOLE                 1,668,900    0      90,000
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
L-30 COMMUNICATIONS HLDGS    COMMON      502424104    4,421      91,500   SH          SOLE                   91,500    0           0
LAM RESEARCH CORP            COMMON      512807108   12,335     264,200   SH          SOLE                  247,800    0      16,400
LEVEL 3 COMMUNICATIONS       COMMON      52729N100    4,015      66,850   SH          SOLE                   66,850    0           0
LUCENT TECHNOLOGIES INC      COMMON      549463107    3,250      48,200   SH          SOLE                   48,200    0           0
LYCOS INC                    COMMON      550818108      239       2,600   SH          SOLE                    2,600    0           0
MCI WORLDCOM INC             COMMON      55268B106   62,503     726,250   SH          SOLE                  692,550    0      33,700
MGM GRAND INC                COMMON      552953101   22,731     463,900   SH          SOLE                  395,300    0      68,600
MACROMEDIA INC               COMMON      556100105    1,646      46,700   SH          SOLE                   46,300    0         400
MANDALAY RESORT GROUP       MANDALAY     562567107   15,155     715,300   SH          SOLE                  715,300    0           0
MARIMBA INC                  COMMON      56781Q109    4,194      79,600   SH          SOLE                   79,600    0           0
MARINE DRILLING COS INC   COM PAR $0.01  568240204   10,470     764,900   SH          SOLE                  764,900    0           0
MCDONALDS CORP               COMMON      580135101    2,213      53,800   SH          SOLE                   53,800    0           0
MEDIAONE GROUP INC           COMMON      58440J104   69,139     929,600   SH          SOLE                  874,600    0      55,000
MELLON BK CORP               COMMON      585509102   49,843   1,370,250   SH          SOLE                1,309,250    0      61,000
MERRILL LYNCH & CO INC       COMMON      590188108      151       1,900   SH          SOLE                    1,500    0         400
MESA AIR GROUP INC           COMMON      590479101    5,396     718,000   SH          SOLE                  718,000    0           0
METRO-GOLDWYN-MAYER          COMMON      591610100    2,259     123,800   SH          SOLE                  123,800    0           0
MICREL INC                   COMMON      594793101    1,473      19,900   SH          SOLE                    4,700    0      15,200
MICROSOFT CORP               COMMON      594918104    7,003      77,650   SH          SOLE                   73,250    0       4,400
MIDCOM PRIVATE PLACEMENT     COMMON      59563X102        9     245,000   SH          SOLE                  245,000    0           0
MINDSPRING ENTERPRISES I     COMMON      602683104    1,507      34,000   SH          SOLE                   34,000    0           0
MIRAGE RESORTS INC           COMMON      60462E104   16,154     964,400   SH          SOLE                  939,100    0      25,300
MOBIL CORP                   COMMON      607059102    1,057      10,700   SH          SOLE                   10,700    0           0
MORGAN STANLEY DEAN WITT     COM NEW     617446448   48,172     469,400   SH          SOLE                  448,800    0      20,600
MOTIVEPOWER INDS INC         COMMON      61980K101    3,297     178,200   SH          SOLE                  178,200    0           0
MOTOROLA INC                 COMMON      620076109    8,660      91,400   SH          SOLE                   91,400    0           0
MUELLER INDS INC             COMMON      624756102    1,863      54,900   SH          SOLE                   54,900    0           0
NABORS INDS INC              COMMON      629568106   70,524   2,893,300   SH          SOLE                2,770,100    0     123,200
NATIONAL SEMICONDUCTOR C     COMMON      637640103   73,059   2,886,300   SH          SOLE                2,767,600    0     118,700
NAVISTAR INTL CORP           COMMON      63934E108    5,585     111,700   SH          SOLE                  111,700    0           0
NEXTCARD INC                 COMMON      65332K107      577      17,000   SH          SOLE                   17,000    0           0
NEXTEL COMMUNICATIONS IN      CL A       65332V103    6,534     130,200   SH          SOLE                  129,700    0         500
NIKE INC                      CL B       654106103   47,284     746,100   SH          SOLE                  719,600    0      26,500
NOKIA CORP PFD            SPONSORED ADR  654902204   52,246     570,600   SH          SOLE                  534,200    0      36,400
NORTEL NETWORKS CORP         COMMON      656569100   28,518     328,500   SH          SOLE                  328,500    0           0
NORTH FORK BANCORPORATIO     COMMON      659424105    3,783     177,000   SH          SOLE                  177,000    0           0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
NORTHPOINT COMMUNICATION     COMMON      666610100      913      25,000   SH         SOLE                    25,000    0           0
NORTHWEST AIRLINES CP         CL A       667280101      952      29,300   SH         SOLE                    29,300    0           0
NOVELL INC                   COMMON      670006105   76,724   2,895,250   SH         SOLE                 2,790,650    0     104,600
ONLINE RES & COMMUNICATI     COMMON      68273G101    2,034     150,000   SH         SOLE                   150,000    0           0
ORACLE CORP                  COMMON      68389X105    3,434      92,500   SH         SOLE                    92,500    0           0
OXFORD HEALTH PLANS INC      COMMON      691471106   15,293     982,700   SH         SOLE                   982,700    0           0
PLX TECHNOLOGY INC           COMMON      693417107   14,772     311,800   SH         SOLE                   311,800    0           0
PMC-SIERRA INC               COMMON      69344F106    2,128      36,100   SH         SOLE                    36,100    0           0
PRI AUTOMATION INC           COMMON      69357H106    3,940     108,700   SH         SOLE                   101,700    0       7,000
PACCAR INC                   COMMON      693718108    1,441      27,000   SH         SOLE                    27,000    0           0
PAINE WEBBER GROUP INC       COMMON      695629105    5,493     117,500   SH         SOLE                   117,500    0           0
PARK PL ENTMT CORP           COMMON      700690100    1,998     209,000   SH         SOLE                   209,000    0           0
PAYLESS SHOESOURCE INC       COMMON      704379106    6,372     119,100   SH         SOLE                   119,100    0           0
PEPSI BOTTLING GROUP         COMMON      713409100    1,982      85,700   SH         SOLE                    85,700    0           0
PERSISTENCE SOFTWARE INC     COMMON      715329108      695      51,000   SH         SOLE                    51,000    0           0
PHONE COM INC                COMMON      71920Q100      106       1,900   SH         SOLE                     1,900    0           0
PREVIEW TRAVEL INC           COMMON      74137R101    4,188     190,900   SH         SOLE                   190,900    0           0
PRIME BANCSHARES INC TEX     COMMON      74157H108    1,957     109,500   SH         SOLE                    58,500    0      51,000
PRIMEDIA INC                 COMMON      74157K101    4,631     273,400   SH         SOLE                   273,400    0           0
PRIORITY HEALTHCARE CORP      CL B       74264T102   13,589     393,897   SH         SOLE                   370,947    0      22,950
PROSPERITY BANCSHARES IN     COMMON      743606105    1,588     108,600   SH         SOLE                    58,600    0      50,000
PROVIDIAN FINL CORP          COMMON      74406A102      471       5,050   SH         SOLE                     5,050    0           0
QUAKER OATS CO               COMMON      747402105    3,352      50,500   SH         SOLE                    50,500    0           0
QUALCOMM INC                 COMMON      747525103    3,042      21,200   SH         SOLE                    21,200    0           0
QWEST COMMUNICATIONS INT     COMMON      749121109    6,184     187,050   SH         SOLE                   176,050    0      11,000
RADIO ONE INC                 CL A       75040P108      116       2,500   SH         SOLE                     2,500    0           0
RAMBUS INC DEL               COMMON      750917106   37,050     401,900   SH         SOLE                   391,400    0      10,500
RAMP NETWORKS INC            COMMON      751567108    1,251      87,400   SH         SOLE                    87,400    0           0
RAYTHEON CO                   CL B       755111408    4,181      59,300   SH         SOLE                    59,300    0           0
RESEARCH IN MOTION LTD       COMMON      760975102      792      39,100   SH         SOLE                     8,500    0      30,600
ROWAN COS INC                COMMON      779382100   12,016     658,400   SH         SOLE                   658,400    0           0
RUBIOS RESTAURANTS INC       COMMON      78116B102       77       5,000   SH         SOLE                     5,000    0           0
RYANAIR HOLDINGS PLC      SPONSORED ADR  783513104    8,575     161,800   SH         SOLE                   161,800    0           0
SDL INC                      COMMON      784076101    9,641     188,800   SH         SOLE                   188,800    0           0
S3 INC                       COMMON      784849101      655      72,000   SH         SOLE                    16,700    0      55,300
SAFEWAY INC                  COM NEW     786514208    3,044      61,500   SH         SOLE                    61,500    0           0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
SCHWAB CHARLES CORP NEW      COMMON      808513105    1,591      14,600   SH          SOLE                   14,600    0           0
SCIENT CORP                  COMMON      80864H109    1,579      33,200   SH          SOLE                   16,200    0      17,000
SEAGRAM LTD                  COMMON      811850106   28,024     556,300   SH          SOLE                  556,300    0           0
SEALED AIR CORP NEW          COMMON      81211K100    2,355      36,300   SH          SOLE                   36,300    0           0
SHERWIN WILLIAMS CO          COMMON      824348106    2,478      89,300   SH          SOLE                   89,300    0           0
SIEBEL SYSTEMS INC           COMMON      826170102   52,394     790,100   SH          SOLE                  772,800    0      17,300
SILKNET SOFTWARE INC         COMMON      827094103      405      10,000   SH          SOLE                   10,000    0           0
SMITH INTL INC               COMMON      832110100   12,901     297,000   SH          SOLE                  297,000    0           0
SMURFIT-STONE CONTAINER      COMMON      832727101    1,437      69,900   SH          SOLE                   69,900    0           0
SOFTWARE COM INC             COMMON      83402P104    1,646      71,000   SH          SOLE                   71,000    0           0
SOLECTRON CORP               COMMON      834182107    2,127      31,900   SH          SOLE                   31,900    0           0
SOUTHWEST AIRLS CO           COMMON      844741108    2,384      76,600   SH          SOLE                   76,600    0           0
SPRINT CORP               COM FON GROUP  852061100    1,230      23,200   SH          SOLE                   23,200    0           0
STAMPS COM INC               COMMON      852857101    1,225      70,000   SH          SOLE                   70,000    0           0
STARWOOD HOTELS&RESORTS    PAIRED CTF    85590A203    1,950      63,800   SH          SOLE                   63,800    0           0
SUN MICROSYSTEMS INC         COMMON      866810104    3,203      46,500   SH          SOLE                   46,500    0           0
TCA CABLE TV INC             COMMON      872241104      211       3,800   SH          SOLE                    3,800    0           0
TCBY ENTERPRISES INC         COMMON      872245105    4,854     792,500   SH          SOLE                  792,500    0           0
TCI MUSIC INC                 CL A       87229N101   13,764     389,100   SH          SOLE                  389,100    0           0
TMP WORLDWIDE INC            COMMON      872941109   50,030     787,880   SH          SOLE                  733,880    0      54,000
TELIGENT INC                  CL A       87959Y103    3,762      62,900   SH          SOLE                   55,600    0       7,300
TELLABS INC                  COMMON      879664100    3,007      44,500   SH          SOLE                   44,500    0           0
TERADYNE INC                 COMMON      880770102    6,235      86,900   SH          SOLE                   77,000    0       9,900
TERAYON COMMUNICATION SY     COMMON      880775101    1,185      21,200   SH          SOLE                    4,600    0      16,600
TEXAS INSTRS INC             COMMON      882508104   32,962     228,900   SH          SOLE                  228,900    0           0
TIFFANY & CO NEW             COMMON      886547108    2,847      29,500   SH          SOLE                   29,500    0           0
TIME WARNER INC              COMMON      887315109  101,040   1,391,250   SH          SOLE                1,311,950    0      79,300
TIME WARNER TELECOM INC       CL A       887319101    2,900     100,000   SH          SOLE                   52,000    0      48,000
TRIBUNE CO NEW               COMMON      896047107    6,042      69,350   SH          SOLE                   66,350    0       3,000
TRIQUINT SEMICONDUCTOR I     COMMON      89674K103   12,323     216,900   SH          SOLE                  205,900    0      11,000
UAL CORP                  COM PAR $0.01  902549500      788      12,200   SH          SOLE                   12,200    0           0
UCAR INTL INC                COMMON      90262K109      505      20,000   SH          SOLE                   20,000    0           0
USA NETWORKS INC             COMMON      902984103   20,305     506,050   SH          SOLE                  506,050    0           0
UNIPHASE CORP                COMMON      909149106   15,621      94,100   SH          SOLE                   88,100    0       6,000
US AIRWAYS GROUP INC         COMMON      911905107       65       1,500   SH          SOLE                    1,400    0         100
UNITED TECHNOLOGIES CORP     COMMON      913017109    3,038      42,200   SH          SOLE                   42,200    0           0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/99
- ------------------------------------------------------------------------------------------------------------------------------------
          COLUMN 1           COLUMN 2    COLUMN 3   COLUMN 4         COLUMN 5        COLUMN 6   COLUMN 7           COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                             TITLE OF                VALUE      SHRS OR   SH/  PUT/  INVEST     OTHER          VOTING AUTHORITY
NAME OF ISSUER                CLASS        CUSIP    (x1000)     PRN AMT  PRN  CALL    DISC     MANAGERS     SOLE     SHARED   NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>            <C>        <C>       <C>        <C>  <C>    <C>       <C>        <C>        <C>     <C>
VERISIGN INC                 COMMON      92343E102    4,727      54,800   SH          SOLE                   54,800    0           0
VIACOM INC                    CL B       925524308  121,021   2,750,480   SH          SOLE                2,597,780    0     152,700
VIANT CORP                   COMMON      92553N107      875      25,000   SH          SOLE                   25,000    0           0
VITESSE SEMICONDUCTOR CO     COMMON      928497106    7,405     109,800   SH          SOLE                  109,800    0           0
VOICESTREAM WIRELESS COR     COMMON      928615103   18,263     642,200   SH          SOLE                  642,200    0           0
WASTE MGMT INC DEL           COMMON      94106L109    1,817      33,800   SH          SOLE                   33,800    0           0
WEATHERFORD INTL INC         COMMON      947074100    9,072     247,700   SH          SOLE                  247,700    0           0
WESTAMERICA BANCORPORATI     COMMON      957090103    4,581     125,500   SH          SOLE                  125,500    0           0
WESTERN WIRELESS CORP         CL A       95988E204    6,267     232,100   SH          SOLE                  232,100    0           0
WESTINGHOUSE AIR BRAKE C     COMMON      960386100    4,695     181,000   SH          SOLE                  181,000    0           0
XILINX INC                   COMMON      983919101    2,141      37,400   SH          SOLE                   37,400    0           0
YAHOO INC                    COMMON      984332106    6,235      36,200   SH          SOLE                   36,200    0           0
- ------------------------------------------------------------------------------------------------------------------------------------
- ------------------------------------------------------------------------------------------------------------------------------------
TOTALS:                                           3,016,470  71,653,432                                  68,810,714        2,842,718
</TABLE>


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