HUSIC CAPITAL MANAGEMENT
13F-HR, 2000-08-07
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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, 2000
                                                     ----------------------

Check here if Amendment [ ]; Amendment Number:
                                              --------------------
   This Amendment (Check only one): [ ] 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:      JOHN SANDERS
Title:     COMPLIANCE OFFICER
Phone:     415/398-0800

Signature, Place, and Date of Signing:

            /s/ John Sanders       San Francisco, Ca         8/04/00
            ----------------       -----------------         -------
              [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:                      177
                                                     -------------

Form 13F Information Table Value Total:              $ 3,571,372
                                                      ------------
                                                       (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>

                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/00
<TABLE>
<CAPTION>

                 COLUMN 1     COLUMN 2        COLUMN 3     COLUMN 4         COLUMN 5    COLUMN 6  COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                            VALUE      SHS OR  SH/ PUT/  INVEST    OTHER        VOTING AUTHORITY
NAME OF ISSUER            TITLE OF CLASS      CUSIP        (x1000)    PRN AMT  PRN CALL  DISC      MGRS      SOLE     SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                 <C>         <C>         <C>      <C> <C>   <C>       <C>     <C>        <C>      <C>
A D C TELECOMMUNICATIONS  COMMON              886101        3,027       36,091  SH       SOLE                 6,491     0     29,600

AT&T CORP-LIBERTY         COM LIB GRP A       1957208      87,598    3,612,301  SH       SOLE             3,177,821     0    434,480

AT&T CORP                 COM WIRLES GRP      1957406       3,484      125,000  SH       SOLE               125,000     0          0

AXA FINL INC              COMMON              2451102         258        7,600  SH       SOLE                 7,600     0          0

ACCELERATED NETWORKS INC  COMMON              00429P107       251        5,950  SH       SOLE                 5,950     0          0

ACME COMMUNICATION INC    COMMON              4631107       3,915      214,500  SH       SOLE               214,500     0          0

ADELPHIA COMMUNICATIONS   CL A                6848105       1,819       38,800  SH       SOLE                18,800     0     20,000

ADOBE SYS INC             COMMON              00724F101     1,196        9,200  SH       SOLE                 3,900     0      5,300

ADVANCED FIBRE COMMUNICA  COMMON              00754A105    16,670      367,900  SH       SOLE               331,600     0     36,300

ALLIANCE SEMICONDUCTOR C  COMMON              01877H100     1,485       60,440  SH       SOLE                41,940     0     18,500

AMKOR TECHNOLOGY INC      COMMON              31652100     16,821      476,357  SH       SOLE               377,557     0     98,800

ANADARKO PETE CORP        COMMON              32511107     26,013      527,512  SH       SOLE               518,512     0      9,000

ANAREN MICROWAVE INC      COMMON              32744104      1,969       15,000  SH       SOLE                15,000     0          0

APACHE CORP               COMMON              37411105     28,479      484,230  SH       SOLE               408,030     0     76,200

APPLIED MATLS INC         COMMON              38222105     30,334      334,716  SH       SOLE               313,016     0     21,700

APPLIED MICRO CIRCUITS C  COMMON              03822W109    38,370      388,555  SH       SOLE               257,455     0    131,100

AVANEX CORP               COMMON              05348W109     3,686       38,600  SH       SOLE                16,500     0     22,100

AWARE INC MASS            COMMON              05453N100    35,849      701,200  SH       SOLE               679,000     0     22,200

BJ SVCS CO                COMMON              55482103     41,189      659,030  SH       SOLE               637,830     0     21,200

BALLY TOTAL FITNESS HLDG  COMMON              05873K108     4,956      195,300  SH       SOLE               180,900     0     14,400

BINDLEY WESTN INDS INC    COMMON              90324104     20,649      781,031  SH       SOLE               747,931     0     33,100

BLOCKBUSTER INC           CL A                93679108     19,182    1,980,116  SH       SOLE             1,980,116     0          0

BROADBASE SOFTWARE        COMMON              11130R100    42,009    1,371,715  SH       SOLE             1,071,815     0    299,900

BROADCOM CORP             CL A                111320107    79,038      361,007  SH       SOLE               282,607     0     78,400

CNET NETWORKS INC         COMMON              12613R104     5,404      220,000  SH       SOLE               165,000     0     55,000

CABLEVISION SYS CORP      CL A                12686C109     6,767       99,700  SH       SOLE                73,400     0     26,300

CABLETRON SYS INC         COMMON              126920107    98,359    3,895,398  SH       SOLE             3,421,298     0    474,100

CABOT OIL & GAS CORP      CL A                127097103     5,583      263,500  SH       SOLE               263,500     0          0

CAPSTONE TURBINE CORP     COMMON              14067D102       676       15,000  SH       SOLE                 3,800     0     11,200

CARDINAL HEALTH INC       COMMON              14149Y108       444        6,000  SH       SOLE                     0     0      6,000

CHARTERED SEMICONDUCTOR   ADR                 16133R106       387        4,300  SH       SOLE                 4,300     0          0

CHEESECAKE FACTORY INC    COMMON              163072101       878       31,916  SH       SOLE                31,916     0          0

CHRIS CRAFT INDS INC      COMMON              170520100     1,198       18,128  SH       SOLE                 7,931     0     10,197

CIENA CORP                COMMON              171779101     4,701       28,200  SH       SOLE                28,200     0          0

CISCO SYS INC             COMMON              17275R102    67,532    1,062,456  SH       SOLE               943,956     0    118,500

CITIGROUP INC             COMMON              172967101    38,708      642,456  SH       SOLE               599,156     0     43,300

COCA COLA CO              COMMON              191216100       590       10,266  SH       SOLE                 1,466     0      8,800

COM21 INC                 COMMON              205937105    15,985      639,400  SH       SOLE               613,100     0     26,300


                                       1
<PAGE>
<CAPTION>

                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/00


                 COLUMN 1     COLUMN 2        COLUMN 3     COLUMN 4         COLUMN 5    COLUMN 6  COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                            VALUE      SHS OR  SH/ PUT/  INVEST    OTHER        VOTING AUTHORITY
NAME OF ISSUER            TITLE OF CLASS      CUSIP        (x1000)    PRN AMT  PRN CALL  DISC      MGRS      SOLE     SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                 <C>         <C>         <C>      <C> <C>   <C>       <C>     <C>        <C>      <C>
CONEXANT SYSTEMS INC      COMMON              207142100     1,755       36,100  SH       SOLE                21,100     0     15,000

COOPER CAMERON CORP       COMMON              216640102     7,301      110,625  SH       SOLE               101,825     0      8,800

COPPER MTN NETWORKS INC   COMMON              217510106    17,245      195,683  SH       SOLE               167,683     0     28,000

CORNING INC               COMMON              219350105    10,920       40,465  SH       SOLE                24,965     0     15,500

CREDENCE SYS CORP         COMMON              225302108     2,539       46,000  SH       SOLE                30,600     0     15,400

CREE INC                  COMMON              225447101    46,339      347,110  SH       SOLE               298,710     0     48,400

CROWN MEDIA HLDGS INC     CL A                228411104    10,771      703,400  SH       SOLE               703,400     0          0

CYPRESS SEMICONDUCTOR CO  COMMON              232806109    67,997    1,609,389  SH       SOLE             1,271,924     0    337,465

DIGITAL MICROWAVE CORP    COMMON              253859102    12,101      317,400  SH       SOLE               242,500     0     74,900

DIGITAL IS INC DEL        COMMON              25385N101    33,065      680,000  SH       SOLE               654,300     0     25,700

DUKE ENERGY CORP          COMMON              264399106       316        5,600  SH       SOLE                     0     0      5,600

DYNEGY INC NEW            CL A                26816Q101       415        6,080  SH       SOLE                 1,180     0      4,900

E M C CORP MASS           COMMON              268648102    31,175      405,200  SH       SOLE               393,200     0     12,000

ENSCO INTL INC            COMMON              26874Q100    37,248    1,040,076  SH       SOLE               786,676     0    253,400

EOG RES INC               COMMON              26875P101    27,967      834,823  SH       SOLE               692,223     0    142,600

E-TEK DYNAMICS INC        COMMON              269240107    48,437      183,605  SH       SOLE               155,905     0     27,700

EL PASO ENERGY CORP DEL   COMMON              283905107       447        8,767  SH       SOLE                 1,667     0      7,100

ENRON CORP                COMMON              293561106    70,758    1,097,029  SH       SOLE               973,429     0    123,600

EXFO ELECTRO OPTICAL ENG  SUB VTG SHS         302043104       219        5,000  SH       SOLE                 5,000     0          0

EXTREME NETWORKS INC      COMMON              30226D106     2,753       26,094  SH       SOLE                 4,694     0     21,400

FAIRCHILD SEMICONDUCTOR   CL A                303726103    48,969    1,209,100  SH       SOLE             1,165,100     0     44,000

FINISAR                   COMMON              31787A101     2,357       90,000  SH       SOLE                90,000     0          0

GT GROUP TELECOM INC      CL B NON VTG        362359408     3,760      237,800  SH       SOLE               237,800     0          0

GLOBAL INDS LTD           COMMON              379336100    15,413      816,600  SH       SOLE               763,500     0     53,100

GLOBAL MARINE INC         COMMON              379352404    33,895    1,202,500  SH       SOLE             1,202,500     0          0

GLOBESPAN INC             COMMON              379571102    15,024      123,065  SH       SOLE                97,565     0     25,500

GOLDEN ST BANCORP INC     COMMON              381197102     8,878      493,200  SH       SOLE               476,100     0     17,100

GRANT PRIDECO INC         COMMON              38821G101    33,218    1,328,723  SH       SOLE             1,281,223     0     47,500

HANDSPRING INC            COMMON              410293104       270       10,000  SH       SOLE                10,000     0          0

HANOVER COMPRESSOR CO     COMMON              410768105       790       20,800  SH       SOLE                14,800     0      6,000

HEALTH MGMT ASSOC INC NE  CL A                421933102     1,306      100,000  SH       SOLE               100,000     0          0

HOUSEHOLD INTL INC        COMMON              441815107    64,218    1,545,084  SH       SOLE             1,332,909     0    212,175

ICG COMMUNICATIONS INC    COMMON              449246107    13,736      622,600  SH       SOLE               595,600     0     27,000

IMC GLOBAL INC            COMMON              449669100     1,680      129,200  SH       SOLE               129,200     0          0

ILLUMINET HLDGS INC       COMMON              452334105       407        8,000  SH       SOLE                 8,000     0          0

INFINEON TECHNOLOGIES AG  DEPOSITORY RECEIPT  45662N103     5,183       65,400  SH       SOLE                42,300     0     23,100

INFOSPACE INC             COMMON              45678T102    32,199      582,793  SH       SOLE               466,993     0    115,800

INTEGRATED DEVICE TECHNO  COMMON              458118106   111,813    1,867,448  SH       SOLE             1,619,048     0    248,400


                                       2
<PAGE>
<CAPTION>

                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/00


                 COLUMN 1     COLUMN 2        COLUMN 3     COLUMN 4         COLUMN 5    COLUMN 6  COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                            VALUE      SHS OR  SH/ PUT/  INVEST    OTHER        VOTING AUTHORITY
NAME OF ISSUER            TITLE OF CLASS      CUSIP        (x1000)    PRN AMT  PRN CALL  DISC      MGRS      SOLE     SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                 <C>         <C>         <C>      <C> <C>   <C>       <C>     <C>        <C>      <C>
INTEGRATED CIRCUIT SYS I  COMMON              45811K208     4,461      260,500  SH       SOLE               139,900     0    120,600

INTEGRATED SILICON SOLUT  COMMON              45812P107    15,382      404,800  SH       SOLE               385,500     0     19,300

INTEL CORP                COMMON              458140100       495        3,700  SH       SOLE                     0     0      3,700

INTERNET COM CORP         COMMON              460967102     4,331      220,000  SH       SOLE               220,000     0          0

INTERWOVEN INC            COMMON              46114T102     2,563       23,300  SH       SOLE                 3,500     0     19,800

KANA COMMUNICATIONS       COMMON              483600102       303        4,900  SH       SOLE                 4,900     0          0

KERR MCGEE CORP           COMMON              492386107       295        5,000  SH       SOLE                     0     0      5,000

KRISPY KREME DOUGHNUTS I  COMMON              501014104     3,436       46,750  SH       SOLE                32,000     0     14,750

KULICKE & SOFFA INDS INC  COMMON              501242101     2,690       45,300  SH       SOLE                 6,700     0     38,600

LSI LOGIC CORP            COMMON              502161102    31,279      577,900  SH       SOLE               404,000     0    173,900

LTX CORP                  COMMON              502392103    23,558      674,300  SH       SOLE               647,900     0     26,400

LAM RESEARCH CORP         COMMON              512807108    33,895      903,867  SH       SOLE               622,367     0    281,500

LEAP WIRELESS INTL INC    COMMON              521863100    18,697      397,800  SH       SOLE               382,300     0     15,500

LIBERTY DIGITAL INC       CL A                530436104    11,526      384,200  SH       SOLE               374,500     0      9,700

MGM GRAND INC             COMMON              552953101    37,767    1,175,628  SH       SOLE               964,028     0    211,600

MANUGISTICS GROUP INC     COMMON              565011103     8,350      178,600  SH       SOLE               178,600     0          0

MARINE DRILLING COS INC   COM PAR $0.01       568240204    27,686      988,800  SH       SOLE               946,100     0     42,700

MEDTRONIC INC             COMMON              585055106       609       12,220  SH       SOLE                   920     0     11,300

MELLON FINL CORP          COMMON              58551A108     7,175      196,900  SH       SOLE               181,800     0     15,100

METLIFE INC               COMMON              59156R108       379       18,000  SH       SOLE                     0     0     18,000

METRO GOLDWYN MAYER INC   COMMON              591610100    59,994    2,296,423  SH       SOLE             1,913,086     0    383,337

MICREL INC                COMMON              594793101     2,050       47,200  SH       SOLE                20,800     0     26,400

MICRON TECHNOLOGY INC     COMMON              595112103    92,889    1,054,805  SH       SOLE               868,505     0    186,300

MIDCOM PRIVATE PLACEMENT  COMMON              59563X102         9      245,000  SH       SOLE               245,000     0          0

MORGAN STANLEY DEAN WITT  COM NEW             617446448    71,109      854,161  SH       SOLE               746,061     0    108,100

NBC INTERNET INC          CL A                62873D105    20,150    1,612,007  SH       SOLE             1,541,607     0     70,400

NABORS INDS INC           COMMON              629568106    106,866   2,571,219  SH       SOLE             2,340,919     0    230,300

NATIONAL SEMICONDUCTOR C  COMMON              637640103    38,698      681,896  SH       SOLE               518,896     0    163,000

NETSILICON INC            COMMON              64115X105    13,254      404,700  SH       SOLE               404,700     0          0

NEWPORT CORP              COMMON              651824104    27,474      255,873  SH       SOLE               226,673     0     29,200

NOKIA CORP PFD            DEPOSITORY RECEIPT  654902204    33,133      663,490  SH       SOLE               646,890     0     16,600

NORTEL NETWORKS CORP NEW  COMMON              656568102    30,419      445,700  SH       SOLE               440,600     0      5,100

OCEAN ENERGY INC TEX      COMMON              67481E106     3,673      258,900  SH       SOLE               258,900     0          0

OCEANEERING INTL INC      COMMON              675232102     6,076      319,800  SH       SOLE               319,800     0          0

ORACLE CORP               COMMON              68389X105    29,662      352,852  SH       SOLE               334,952     0     17,900

PLX TECHNOLOGY INC        COMMON              693417107    30,017      723,300  SH       SOLE               709,900     0     13,400

PMC-SIERRA INC            COMMON              69344F106     8,138       45,800  SH       SOLE                29,800     0     16,000

PALM INC                  COMMON              696642107       277        8,300  SH       SOLE                 8,300     0          0


                                       3
<PAGE>
<CAPTION>

                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/00


                 COLUMN 1     COLUMN 2        COLUMN 3     COLUMN 4         COLUMN 5    COLUMN 6  COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                            VALUE      SHS OR  SH/ PUT/  INVEST    OTHER        VOTING AUTHORITY
NAME OF ISSUER            TITLE OF CLASS      CUSIP        (x1000)    PRN AMT  PRN CALL  DISC      MGRS      SOLE     SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                 <C>         <C>         <C>      <C> <C>   <C>       <C>     <C>        <C>      <C>
PARK PL ENTMT CORP        COMMON              700690100     3,182      261,100  SH       SOLE               240,500     0     20,600

PEGASUS COMMUNICATIONS C  CL A                705904100    26,122      532,429  SH       SOLE               499,129     0     33,300

PEPSICO INC               COMMON              713448108       321        7,232  SH       SOLE                 2,032     0      5,200

PHARMACIA CORP            COMMON              71713U102       326        6,300  SH       SOLE                     0     0      6,300

PIONEER NAT RES CO        COMMON              723787107     2,624      205,800  SH       SOLE               178,800     0     27,000

POWER-ONE INC             COMMON              739308104       464        4,075  SH       SOLE                 4,075     0          0

PRIMEDIA INC              COMMON              74157K101     1,788       78,600  SH       SOLE                78,600     0          0

PRIDE INTL INC            COMMON              741932107    12,639      510,650  SH       SOLE               510,650     0          0

PRIORITY HEALTHCARE CORP  CL B                74264T102    39,608      532,998  SH       SOLE               512,748     0     20,250

QWEST COMMUNICATIONS INT  COMMON              749121109       407        8,200  SH       SOLE                     0     0      8,200

RSA SEC INC               COMMON              749719100     8,788      126,900  SH       SOLE               110,400     0     16,500

ROWAN COS INC             COMMON              779382100    30,542    1,005,500  SH       SOLE               970,900     0     34,600

RYANAIR HLDGS PLC         DEPOSITORY RECEIPT  783513104     5,535      151,641  SH       SOLE               151,641     0          0

SCG HLDG CORP             COMMON              783884109    10,478      479,000  SH       SOLE               479,000     0          0

SDL INC                   COMMON              784076101    52,852      185,322  SH       SOLE               134,022     0     51,300

SABA SOFTWARE INC         COMMON              784932105       294       14,000  SH       SOLE                14,000     0          0

SANDISK CORP              COMMON              80004C101     3,344       54,653  SH       SOLE                15,253     0     39,400

SANMINA CORP              COMMON              800907107    41,189      481,740  SH       SOLE               396,740     0     85,000

SAWTEK INC                COMMON              805468105    20,625      358,300  SH       SOLE               313,000     0     45,300

SCHLUMBERGER LTD          COMMON              806857108       268        3,597  SH       SOLE                   397     0      3,200

SCIENTIFIC ATLANTA INC    COMMON              808655104     2,607       34,996  SH       SOLE                 5,396     0     29,600

SIEBEL SYS INC            COMMON              826170102    62,497      382,100  SH       SOLE               343,100     0     39,000

SILICON STORAGE TECHNOLO  COMMON              827057100     5,102       57,777  SH       SOLE                35,677     0     22,100

SMARTDISK CORP            COMMON              83169Q105       550       20,000  SH       SOLE                20,000     0          0

SMITH INTL INC            COMMON              832110100    11,606      159,400  SH       SOLE               159,400     0          0

SONUS NETWORKS INC        COMMON              835916107       789        5,000  SH       SOLE                 5,000     0          0

STORAGENETWORKS INC       COMMON              86211E103       903       10,000  SH       SOLE                   200     0      9,800

STRATOS LIGHTWAVE INC     COMMON              863100103       976       35,000  SH       SOLE                16,600     0     18,400

SUN MICROSYSTEMS INC      COMMON              866810104    29,427      323,600  SH       SOLE               315,700     0      7,900

SYCAMORE NETWORKS INC     COMMON              871206108    14,856      134,600  SH       SOLE               118,800     0     15,800

SYMANTEC CORP             COMMON              871503108     1,284       23,800  SH       SOLE                10,000     0     13,800

SYMBOL TECHNOLOGIES INC   COMMON              871508107    35,569      658,691  SH       SOLE               658,691     0          0

SYNTROLEUM CORP           COMMON              871630109    13,714      800,822  SH       SOLE               784,222     0     16,600

TMP WORLDWIDE INC         COMMON              872941109    47,038      637,260  SH       SOLE               432,660     0    204,600

TERAYON COMMUNICATION SY  COMMON              880775101    25,379      395,100  SH       SOLE               368,400     0     26,700

TERRA NETWORKS S A        DEPOSITORY RECEIPT  88100W103       215        5,900  SH       SOLE                 5,900     0          0

TIDEWATER INC             COMMON              886423102     4,050      112,500  SH       SOLE                17,000     0     95,500

TIFFANY & CO NEW          COMMON              886547108    15,262      226,100  SH       SOLE               226,100     0          0


                                       4
<PAGE>
<CAPTION>

                            HUSIC CAPITAL MANAGEMENT
                          Managed Assets as of 6/30/00


                 COLUMN 1     COLUMN 2        COLUMN 3     COLUMN 4         COLUMN 5    COLUMN 6  COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                            VALUE      SHS OR  SH/ PUT/  INVEST    OTHER        VOTING AUTHORITY
NAME OF ISSUER            TITLE OF CLASS      CUSIP        (x1000)    PRN AMT  PRN CALL  DISC      MGRS      SOLE     SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                 <C>         <C>         <C>      <C> <C>   <C>       <C>     <C>        <C>      <C>
TIME WARNER INC           COMMON              887315109    29,488      388,000  SH       SOLE               357,400     0     30,600

TRIQUINT SEMICONDUCTOR I  COMMON              89674K103    45,185      472,218  SH       SOLE               404,918     0     67,300

TURNSTONE SYSTEMS INC     COMMON              900423104     3,899       23,536  SH       SOLE                23,536     0          0

TUT SYSTEMS               COMMON              901103101    21,774      379,500  SH       SOLE               363,200     0     16,300

USA NETWORKS INC          COMMON              902984103     2,124       98,240  SH       SOLE                17,040     0     81,200

UTI ENERGY CORP           COMMON              903387108     6,143      153,100  SH       SOLE               138,100     0     15,000

UNIVERSAL COMPRESSION HL  COMMON              913431102       335       10,000  SH       SOLE                10,000     0          0

UNIVISION COMMUNICATIONS  CL A                914906102       559        5,400  SH       SOLE                     0     0      5,400

VALERO ENERGY CORP NEW    COMMON              91913Y100     3,549      111,764  SH       SOLE               111,764     0          0

VARIAN SEMICONDUCTOR EQU  COMMON              922207105    65,978    1,050,400  SH       SOLE               953,000     0     97,400

VIACOM INC                CL B                925524308   219,599    3,220,511  SH       SOLE             2,812,823     0    407,688

VIASYSTEMS GROUP INC      COMMON              92553H100    26,141    1,614,900  SH       SOLE             1,553,800     0     61,100

VIRAGE INC                COMMON              92763Q106       903       50,000  SH       SOLE                50,000     0          0

VIRATA CORP               COMMON              927646109    26,205      439,500  SH       SOLE               364,700     0     74,800

VISHAY INTERTECHNOLOGY I  COMMON              928298108     1,654       43,600  SH       SOLE                 7,800     0     35,800

VITESSE SEMICONDUCTOR CO  COMMON              928497106     4,789       65,100  SH       SOLE                65,100     0          0

VITRIA TECHNOLOGY         COMMON              92849Q104     3,026       49,500  SH       SOLE                 7,400     0     42,100

VOICESTREAM WIRELESS COR  COMMON              928615103    11,107       95,502  SH       SOLE                47,502     0     48,000

WEATHERFORD INTL INC      COMMON              947074100     9,612      241,429  SH       SOLE               238,329     0      3,100

WESTERN WIRELESS CORP     CL A                95988E204    12,961      237,812  SH       SOLE               236,112     0      1,700

WESTWOOD ONE INC          COMMON              961815107       800       23,450  SH       SOLE                23,450     0          0

XILINX INC                COMMON              983919101       363        4,400  SH       SOLE                     0     0      4,400

GEMSTAR INTL GROUP LTD    ORD                 G3788V106    81,997    1,334,297  SH       SOLE             1,114,197     0    220,100

GLOBAL CROSSING LTD       COMMON              G3921A100    30,432    1,156,555  SH       SOLE               893,685     0    262,870

FLEXTRONICS INTL LTD      ORD                 Y2573F102    42,421      617,598  SH       SOLE               508,948     0    108,650



TOTALS:                                                 3,571,372   78,160,516
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