HUSIC CAPITAL MANAGEMENT
13F-HR, 2000-05-04
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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:        March 31, 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 Director
               --------------------------------------------------------------
Phone:           415/398-0800
               --------------------------------------------------------------

Signature, Place, and Date of Signing:

      /s/                           San Francisco, CA           May 3, 2000
   -------------------------  ----------------------------  -------------------
         [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:                     321
                                                   --------------------

Form 13F Information Table Value Total:            $     4,051,193
                                                    -------------------
                                                        (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 3/31/00
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
AMR CORP                  COMMON                1765106       567          17800     SH          SOLE             17800    0     0
AT&T CORP                 COMMON                1957109       476          8446      SH          SOLE              5216    0   3230
AT&T CORP-LIBERTY         COM LIB GRP A         1957208     110319        1859963    SH          SOLE            1629123   0  230840
AXA FINL INC              COMMON                2451102       273          7600      SH          SOLE              7600    0     0
ACME COMMUNICATION INC    COMMON                4631107      5103         223100     SH          SOLE             223100   0     0
ACTUATE CORP              COMMON              00508B102      5198          96600     SH          SOLE             96600    0     0
ADELPHIA COMMUNICATIONS   CL A                  6848105      4234          86400     SH          SOLE             66400    0   20000
ADVANCED FIBRE COMMUNICA  COMMON              00754A105      11484        183200     SH          SOLE             160100   0   23100
ADVANCED MICRO DEVICES I  COMMON                7903107      9096         159400     SH          SOLE             48000    0  111400
AGILENT TECHNOLOGIES INC  COMMON              00846U101      1508          14500     SH          SOLE             14500    0     0
AGILE SOFTWARE CORP DEL   COMMON              00846X105      1163          18600     SH          SOLE              9400    0   9200
AKAMAI TECHNOLOGIES INC   COMMON              00971T101      4149          25800     SH          SOLE              7430    0   18370
ALLAIRE CORP              COMMON               16714107      8954         118400     SH          SOLE             16000    0  102400
ALLOS THERAPEUTICS INC    COMMON               19777101       72           5000      SH          SOLE              5000    0     0
AMKOR TECHNOLOGY INC      COMMON               31652100      29476        555500     SH          SOLE             493100   0   62400
ANAREN MICROWAVE INC      COMMON               32744104      1918          20000     SH          SOLE             20000    0     0
ANTIGENICS INC DEL        COMMON               37032109       20           1000      SH          SOLE              1000    0     0
APPLE COMPUTER INC        COMMON               37833100       625          4600      SH          SOLE               0      0   4600
APPLIED MATLS INC         COMMON               38222105      54016        573114     SH          SOLE             556214   0   16900
APPLIED MICRO CIRCUITS C  COMMON              03822W109      58394        389130     SH          SOLE             257130   0  132000
ARIBA INC                 COMMON              04033V104       582          2778      SH          SOLE              2778    0     0
ARROWPOINT COMMUNICATION  COMMON               42810101      1185          10000     SH          SOLE             10000    0     0
ARTISTDIRECT INC          COMMON              04315D103       381          50000     SH          SOLE             46000    0   4000
ATMEL CORP                COMMON               49513104      7160         138697     SH          SOLE             104097   0   34600
AVANEX CORP               COMMON              05348W109      3961          26100     SH          SOLE             26100    0     0
AVENUE A INC              COMMON               53566105       610          20000     SH          SOLE             20000    0     0
AWARE INC MASS            COMMON              05453N100      25146        626700     SH          SOLE             607000   0   19700
BJ SVCS CO                COMMON               55482103      23803        322200     SH          SOLE             307500   0   14700
BALLY TOTAL FITNESS HLDG  COMMON              05873K108      6103         249100     SH          SOLE             231400   0   17700
BEA SYS INC               COMMON               73325102      13588        185182     SH          SOLE             71982    0  113200


                                       1
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
BELL ATLANTIC CORP        COMMON               77853109       342          5600      SH          SOLE               0      0   5600
BINDLEY WESTN INDS INC    COMMON               90324104      2850         210131     SH          SOLE             195231   0   14900
BIOGEN INC                COMMON               90597105       252          3600      SH          SOLE               0      0   3600
BLOCKBUSTER INC           CL A                 93679108      20798        2079800    SH          SOLE            2079800   0     0
BOEING CO                 COMMON               97023105       856          22646     SH          SOLE             22646    0     0
BROADBASE SOFTWARE        COMMON              11130R100      45601        571800     SH          SOLE             448100   0  123700
BROADCOM CORP             CL A                 111320107     97781        402598     SH          SOLE             332298   0   70300
BROCADE COMMUNICATIONS S  COMMON               111621108     3228          18000     SH          SOLE               0      0   18000
BROOKS AUTOMATION INC     COMMON              11434A100      1688          27000     SH          SOLE              5200    0   21800
CBS CORP                  COMMON              12490K107     101126        1785890    SH          SOLE            1596090   0  189800
CNET NETWORKS INC         COMMON              12613R104      85023        1677400    SH          SOLE            1535900   0  141500
CABLEVISION SYS CORP      CL A                12686C109      9948         163749     SH          SOLE             137049   0   26700
CABLETRON SYS INC         COMMON               126920107     97131        3306600    SH          SOLE            2949000   0  357600
CACHEFLOW INC             COMMON               126946102     4862          41033     SH          SOLE             13933    0   27100
CAMINUS CORP              COMMON               133766105      410          20500     SH          SOLE               0      0   20500
CAREINSITE INC            COMMON              14170M106       701          30000     SH          SOLE             30000    0     0
CARRIER1 INTL S A         DEPOSITORY RECEIPT   144500303      484          25000     SH          SOLE             25000    0     0
CELL GENESYS INC          COMMON               150921104     3715         174300     SH          SOLE             24300    0  150000
CELESTICA INC             SUB VTG SHS         15101Q108      4776          90000     SH          SOLE             90000    0     0
CENTRA SOFTWARE INC       COMMON              15234X103       989          47100     SH          SOLE             47100    0     0
CHARTERED SEMICONDUCTOR   ADR                 16133R106      5005          53100     SH          SOLE             53100    0     0
CHASE MANHATTAN CORP NEW  COMMON              16161A108      46410        532300     SH          SOLE             506500   0   25800
CHOICE ONE COMMUNICATION  COMMON              17038P104       444          12500     SH          SOLE             12500    0     0
CHORDIANT SOFTWARE INC    COMMON               170404107      28           1700      SH          SOLE               0      0   1700
CHRIS CRAFT INDS INC      COMMON               170520100     1155          18128     SH          SOLE              7931    0   10197
CHUBB CORP                COMMON               171232101     1314          19454     SH          SOLE             19454    0     0
CISCO SYS INC             COMMON              17275R102      86285        1116058    SH          SOLE             990758   0  125300
CITIGROUP INC             COMMON               172967101     50585        844850     SH          SOLE             801550   0   43300
CITRIX SYS INC            COMMON               177376100      106          1600      SH          SOLE              1600    0     0
COCA COLA CO              COMMON               191216100     1380          29397     SH          SOLE             29397    0     0
COLGATE PALMOLIVE CO      COMMON               194162103      753          13351     SH          SOLE             13351    0     0
COMCAST CORP              CL A SPL             200300200     21167        488000     SH          SOLE             420400   0   67600
COMMERCE ONE INC DEL      COMMON               200693109     6239          41800     SH          SOLE             32500    0   9300


                                       2
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
COM21 INC                 COMMON               205937105     22255        473500     SH          SOLE             453600   0   19900
CONEXANT SYSTEMS INC      COMMON               207142100     18575        261615     SH          SOLE             185415   0   76200
COOPER CAMERON CORP       COMMON               216640102     4153          62100     SH          SOLE             55100    0   7000
COPPER MTN NETWORKS INC   COMMON               217510106     14519        177200     SH          SOLE             177200   0     0
CREDENCE SYS CORP         COMMON               225302108     23052        184231     SH          SOLE             167031   0   17200
CREE INC                  COMMON               225447101     43231        383000     SH          SOLE             305100   0   77900
CYPRESS COMMUNICATIONS I  COMMON               232743104     2058          84000     SH          SOLE             84000    0     0
CYPRESS SEMICONDUCTOR CO  COMMON               232806109    119218        2433016    SH          SOLE            2067001   0  366015
DELANO TECHNOLOGY CORP    COMMON               245701107      29           1300      SH          SOLE              1300    0     0
DIGITAL IMPACT INC DEL    COMMON              25385G106       747          21000     SH          SOLE               0      0   21000
DIGITAL IS INC DEL        COMMON              25385N101      8306         136300     SH          SOLE             133700   0   2600
DIGITAS INC               COMMON              25388K104      2205          90000     SH          SOLE             90000    0     0
DISNEY WALT CO            COMMON               254687106     2661          64500     SH          SOLE             46600    0   17900
DOBSON COMMUNICATIONS CO  CL A                 256069105     2854         124100     SH          SOLE             124100   0     0
DOLLAR THRIFTY AUTOMOTIV  COMMON               256743105      207          12023     SH          SOLE             12023    0     0
DRUGSTORE COM INC         COMMON               262241102     1589         120500     SH          SOLE             120500   0     0
E M C CORP MASS           COMMON               268648102     1310          10400     SH          SOLE              3600    0   6800
ENSCO INTL INC            COMMON              26874Q100      30124        833895     SH          SOLE             733395   0  100500
E PIPHANY INC             COMMON              26881V100       855          6400      SH          SOLE              6400    0     0
E-TEK DYNAMICS INC        COMMON               269240107     90304        383866     SH          SOLE             349866   0   34000
EAGLE WIRELESS INTL INC   COMMON              27002R101       547          47600     SH          SOLE             47600    0     0
ECHOSTAR COMMUNICATIONS   CL A                 278762109     4939          62516     SH          SOLE             36516    0   26000
EFFICIENT NETWORKS INC    COMMON               282056100     7071          45400     SH          SOLE             39000    0   6400
ELECTRONIC ARTS INC       COMMON               285512109      975          13700     SH          SOLE             10900    0   2800
ELECTRONICS FOR IMAGING   COMMON               286082102     1092          18195     SH          SOLE             18195    0     0
E MACHINES INC            COMMON              29076P102      6000         1000000    SH          SOLE            1000000   0     0
EMULEX CORP               COM NEW              292475209     6984          64000     SH          SOLE             64000    0     0
ENRON CORP                COMMON               293561106     74090        989516     SH          SOLE             946716   0   42800
ERICSSON L M TEL CO       DEPOSITORY RECEIPT   294821400      994          10600     SH          SOLE              7200    0   3400
EXIDE CORP                COMMON               302051107     2552         216000     SH          SOLE             216000   0     0
EXXON MOBIL CORP          COMMON              30231G102      1624          20836     SH          SOLE             20836    0     0
FAIRCHILD SEMICONDUCTOR   CL A                 303726103     51097        1399911    SH          SOLE            1399911   0     0
FEDERATED DEPT STORES IN  COMMON              31410H101       739          17500     SH          SOLE             17500    0     0


                                       3
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
FLUOR CORP                COMMON               343861100      506          16311     SH          SOLE             16311    0     0
FREEMARKETS INC           COMMON               356602102      448          3700      SH          SOLE              3700    0     0
GT GROUP TELECOM INC      CL B NON VTG         362359408     3920         187800     SH          SOLE             187800   0     0
GADZOOX NETWORKS INC      COMMON               362555104      791          16500     SH          SOLE              800     0   15700
GAP INC DEL               COMMON               364760108      428          8600      SH          SOLE               0      0   8600
GATEWAY INC               COMMON               367626108      244          4600      SH          SOLE               0      0   4600
GENENTECH INC             COM NEW              368710406     1262          8300      SH          SOLE              8300    0     0
GENERAL ELEC CO           COMMON               369604103      529          3400      SH          SOLE               0      0   3400
GENERAL MTRS CORP         COMMON               370442105      785          9482      SH          SOLE              9482    0     0
GENERAL MTRS CORP         CL H NEW             370442832     2054          16500     SH          SOLE             12500    0   4000
GENESIS MICROCHIP INC     COMMON               371933102     1523          70000     SH          SOLE             70000    0     0
GETTHERE COM INC          COMMON               374266104     1784         116000     SH          SOLE             100000   0   16000
GLOBAL INDS LTD           COMMON               379336100     8155         557600     SH          SOLE             529500   0   28100
GLOBAL MARINE INC         COMMON               379352404     9856         388400     SH          SOLE             388400   0     0
GLOBESPAN INC             COMMON               379571102     3986          39100     SH          SOLE             32800    0   6300
GOLDEN ST BANCORP INC     COMMON               381197102     1098          73500     SH          SOLE             73500    0     0
GRANITE BROADCASTING COR  COMMON               387241102     1335         187300     SH          SOLE             187300   0     0
GRANT PRIDECO INC         COMMON              38821G101      11433        605700     SH          SOLE             575100   0   30600
HARMONIC INC              COMMON               413160102     19804        237882     SH          SOLE             232882   0   5000
HARRAHS ENTMT INC         COMMON               413619107     1671          90000     SH          SOLE             90000    0     0
HEALTHCENTRAL COM         COMMON              42221V106       28           5000      SH          SOLE              5000    0     0
HEINZ H J CO              COMMON               423074103      928          26600     SH          SOLE             26600    0     0
HERTZ CORP                CL A                 428040109      450          13218     SH          SOLE             13218    0     0
HI / FN INC               COMMON               428358105     12642        194300     SH          SOLE             186900   0   7400
HOTEL RESERVATIONS NETWO  CL A                 441451101      355          20000     SH          SOLE             20000    0     0
HOUSEHOLD INTL INC        COMMON               441815107     46506        1246399    SH          SOLE            1102424   0  143975
ICG COMMUNICATIONS INC    COMMON               449246107     27238        754000     SH          SOLE             727000   0   27000
IMC GLOBAL INC            COMMON               449669100     3015         205300     SH          SOLE             205300   0     0
ITXC CORP                 COMMON              45069F109       240          5100      SH          SOLE               0      0   5100
ILLUMINET HLDGS INC       COMMON               452334105      394          8000      SH          SOLE              8000    0     0
IMPROVENET INC            COMMON              45321E106       111          15000     SH          SOLE             15000    0     0
INFINEON TECHNOLOGIES AG  DEPOSITORY RECEIPT  45662N103      1213          21100     SH          SOLE              1700    0   19400
INFONET SVCS CORP         CL B                45666T106       201          8900      SH          SOLE              8900    0     0


                                       4
<PAGE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
INFORTE CORP              COMMON              45677R107       230          4700      SH          SOLE              1400    0   3300
INFOSPACE INC             COMMON              45678T102      52646        361982     SH          SOLE             303532   0   58450
INTERACTIVE INV INTL PLC  DEPOSITORY RECEIPT   457955102      183          5000      SH          SOLE              5000    0     0
INTEGRATED DEVICE TECHNO  COMMON               458118106     69027        1742000    SH          SOLE            1558300   0  183700
INTEGRATED SILICON SOLUT  COMMON              45812P107      3330         113600     SH          SOLE             113600   0     0
INTEL CORP                COMMON               458140100      712          5400      SH          SOLE               0      0   5400
INTEGRATED INFORMATION S  COMMON              45817B103      2180         100000     SH          SOLE               0      0  100000
INTERNET INITIATIVE JAPA  DEPOSITORY RECEIPT  46059T109      3279          47015     SH          SOLE             41615    0   5400
INTERNET COM CORP         COMMON               460967102     21080        503400     SH          SOLE             503400   0     0
INTERTAN INC              COMMON               461120107      602          43800     SH          SOLE             43800    0     0
INTERTRUST TECHNOLOGIES   COMMON              46113Q109      11246        264600     SH          SOLE             264600   0     0
INTERWOVEN INC            COMMON              46114T102      3358          30600     SH          SOLE             30600    0     0
INTIMATE BRANDS INC       CL A                 461156101     1280          31066     SH          SOLE             27466    0   3600
IT GROUP INC              COMMON               465266104     1194         157900     SH          SOLE             157900   0     0
JDS UNIPHASE CORP         COMMON              46612J101      91989        763000     SH          SOLE             652600   0  110400
JNI CORP                  COMMON              46622G105       738          14500     SH          SOLE             14500    0     0
JEFFERIES GROUP INC NEW   COMMON               472319102     1414          61800     SH          SOLE             61800    0     0
JUNIPER NETWORKS INC      COMMON              48203R104       433          1643      SH          SOLE              1643    0     0
KLA-TENCOR CORP           COMMON               482480100     4061          48198     SH          SOLE             43698    0   4500
KENNAMETAL INC            COMMON               489170100     11806        392700     SH          SOLE             380800   0   11900
KERR MCGEE CORP           COMMON               492386107     1383          23953     SH          SOLE             18953    0   5000
LSI LOGIC CORP            COMMON               502161102     67989        936164     SH          SOLE             647964   0  288200
LAM RESEARCH CORP         COMMON               512807108     42544        944105     SH          SOLE             659405   0  284700
LANDACORP INC             COMMON               514756105      491          45700     SH          SOLE               0      0   45700
LAUDER ESTEE COS INC      CL A                 518439104      340          6800      SH          SOLE               0      0   6800
LEAP WIRELESS INTL INC    COMMON               521863100     36386        368700     SH          SOLE             347600   0   21100
LENDINGTREE INC           COMMON              52602Q105       338          25000     SH          SOLE               0      0   25000
LEVEL                     COMMON              52729N100      1110          10500     SH          SOLE             10500    0     0
LIBERTY DIGITAL INC       CL A                 530436104     15169        394000     SH          SOLE             384300   0   9700
LIFEMINDERS COM INC       COMMON              53219H108       75           1100      SH          SOLE              1100    0     0
LIGHTSPAN PARTNERSHIP IN  COMMON               532262102     5801         326800     SH          SOLE             216200   0  110600
LIMITED INC               COMMON               532716107      543          12900     SH          SOLE             12900    0     0
LUCENT TECHNOLOGIES INC   COMMON               549463107     1201          19600     SH          SOLE             15200    0   4400


                                       5
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
LUMINANT WORLDWIDE CORP   COMMON               550260103      166          10000     SH          SOLE             10000    0     0
LUMINEX CORP DEL          COMMON              55027E102      3784         175000     SH          SOLE             175000   0     0
MCI WORLDCOM INC          COMMON              55268B106       20            450      SH          SOLE               0      0    450
MGM GRAND INC             COMMON               552953101     9149         381200     SH          SOLE             322000   0   59200
MRV COMMUNICATIONS INC    COMMON               553477100      458          5000      SH          SOLE              5000    0     0
MANDALAY RESORT GROUP     COMMON               562567107     4936         292500     SH          SOLE             275500   0   17000
MANUGISTICS GROUP INC     COMMON               565011103     11837        232100     SH          SOLE             232100   0     0
MARINE DRILLING COS INC   COM PAR $0.01        568240204     24740        901700     SH          SOLE             863900   0   37800
MATTSON TECHNOLOGY INC    COMMON               577223100     2323          54500     SH          SOLE             54500    0     0
MCAFEE COM CORP           CL A                 579062100      258          5000      SH          SOLE              5000    0     0
MEDIACOM COMMUNICATIONS   CL A                58446K105      1943         139400     SH          SOLE             139400   0     0
MEDTRONIC INC             COMMON               585055106     1589          30900     SH          SOLE             19600    0   11300
MELLON FINL CORP          COMMON              58551A108      7829         263150     SH          SOLE             183050   0   80100
MERCURY INTERACTIVE CORP  COMMON               589405109      935          11800     SH          SOLE             11800    0     0
MERRILL LYNCH & CO INC    COMMON               590188108     5681          54100     SH          SOLE               0      0   54100
METASOLV SOFTWARE INC     COMMON               591393103     9621         162900     SH          SOLE             127700   0   35200
METRO GOLDWYN MAYER INC   COMMON               591610100     50391        1980970    SH          SOLE            1781622   0  199348
MICREL INC                COMMON               594793101     2266          23600     SH          SOLE             10400    0   13200
MICROSOFT CORP            COMMON               594918104     1015          9550      SH          SOLE              1250    0   8300
MICRON TECHNOLOGY INC     COMMON               595112103     1726          13700     SH          SOLE             10000    0   3700
MIDCOM PRIVATE PLACEMENT  COMMON              59563X102        9          245000     SH          SOLE             245000   0     0
MISSION CRITICAL SOFTWAR  COMMON               605047109     5024          82200     SH          SOLE             82200    0     0
MORGAN STANLEY DEAN WITT  COM NEW              617446448     72674        876914     SH          SOLE             768814   0  108100
MOTOROLA INC              COMMON               620076109     41289        282800     SH          SOLE             233500   0   49300
NBC INTERNET INC          CL A                62873D105      58073        1348582    SH          SOLE            1281782   0   66800
NABORS INDS INC           COMMON               629568106     96818        2494513    SH          SOLE            2367113   0  127400
NATIONAL SEMICONDUCTOR C  COMMON               637640103     94819        1560806    SH          SOLE            1431406   0  129400
NAVISITE INC              COMMON              63935M109      1071          8800      SH          SOLE              8800    0     0
NETPLIANCE INC            COMMON              64115K103       508          35000     SH          SOLE             35000    0     0
NETSILICON INC            COMMON              64115X105      5951         275200     SH          SOLE             275200   0     0
NETOPTIX CORP             COMMON              64116F103      3092          18000     SH          SOLE              9600    0   8400
NETRATINGS INC            COMMON              64116M108       623          25000     SH          SOLE             10000    0   15000
NET2000 COMMUNICATIONS I  COMMON              64122G103       119          5000      SH          SOLE              5000    0     0


                                       6
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
NEXTEL COMMUNICATIONS IN  CL A                65332V103      6360          42900     SH          SOLE             36800    0   6100
NEXTEL PARTNERS INC       CL A                65333F107      4565         157400     SH          SOLE             154100   0   3300
NEXT LEVEL COMM INC       COMMON              65333U104      13420        123400     SH          SOLE             20700    0  102700
NIKU CORP                 COMMON               654113109      568          12000     SH          SOLE             12000    0     0
NOKIA CORP PFD            DEPOSITORY RECEIPT   654902204     41522        187036     SH          SOLE             180036   0   7000
NORTEL NETWORKS CORP      COMMON               656569100     30748        243791     SH          SOLE             238691   0   5100
NOVELL INC                COMMON               670006105     3172         110800     SH          SOLE             110800   0     0
OTG SOFTWARE INC          COMMON               671059103     1008          25000     SH          SOLE             25000    0     0
OCEANEERING INTL INC      COMMON               675232102     5996         319800     SH          SOLE             319800   0     0
ONDISPLAY INC             COMMON              68232L100       735          8900      SH          SOLE              8900    0     0
ONLINE RES & COMMUNICATI  COMMON              68273G101      2578         150000     SH          SOLE             150000   0     0
ONVIA COM INC             COMMON              68338T106       211          10000     SH          SOLE             10000    0     0
ORACLE CORP               COMMON              68389X105      13064        167356     SH          SOLE             119456   0   47900
ORAPHARMA INC             COMMON              68554E106       130          7000      SH          SOLE              7000    0     0
OSICOM TECHNOLOGIES INC   COM PAR $0.30        688271501     12224        108900     SH          SOLE             95400    0   13500
PLX TECHNOLOGY INC        COMMON               693417107     26332        707200     SH          SOLE             693800   0   13400
PMC-SIERRA INC            COMMON              69344F106      10184         50000     SH          SOLE             50000    0     0
PALM INC                  COMMON               696642107      413          9200      SH          SOLE              9200    0     0
PARK PL ENTMT CORP        COMMON               700690100     1890         163500     SH          SOLE             142900   0   20600
PEGASUS COMMUNICATIONS C  CL A                 705904100     32415        230300     SH          SOLE             214400   0   15900
PERSISTENCE SOFTWARE INC  COMMON               715329108      368          18500     SH          SOLE             18500    0     0
PHONE COM INC             COMMON              71920Q100      6634          40666     SH          SOLE             30866    0   9800
PIVOTAL CORP              COMMON              72581R106       305          9500      SH          SOLE              5600    0   3900
PREDICTIVE SYS INC        COMMON              74036W102      2889          63400     SH          SOLE             57500    0   5900
PREVIEW SYS INC           COMMON               741379101      203          4300      SH          SOLE              4300    0     0
PRIMEDIA INC              COMMON              74157K101      2515          78600     SH          SOLE             78600    0     0
PRIME RESPONSE INC        COMMON              74158B100      1144          75000     SH          SOLE             75000    0     0
PRIDE INTL INC            COMMON               741932107     11603        507250     SH          SOLE             507250   0     0
PRIORITY HEALTHCARE CORP  CL B                74264T102      32070        638217     SH          SOLE             617967   0   20250
PSI TECHNOLOGIES HLDGS I  DEPOSITORY RECEIPT  74438Q109       42           2500      SH          SOLE               0      0   2500
PUMA TECHNOLOGY INC       COMMON               745887109     2977          58800     SH          SOLE             58800    0     0
QUALCOMM INC              COMMON               747525103     1986          13300     SH          SOLE             11600    0   1700
QUINTUS CORP              COMMON               748798105      178          6000      SH          SOLE              6000    0     0


                                       7
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
QWEST COMMUNICATIONS INT  COMMON               749121109     1632          34000     SH          SOLE             25800    0   8200
RSA SEC INC               COMMON               749719100     3725          71900     SH          SOLE             55400    0   16500
RAMBUS INC DEL            COMMON               750917106     1620          5500      SH          SOLE              5500    0     0
RALSTON PURINA CO         COM RAL-PUR GP       751277302      993          36100     SH          SOLE             36100    0     0
RAZORFISH INC             CL A                 755236106      72           2602      SH          SOLE              2602    0     0
REDBACK NETWORKS INC      COMMON               757209101      471          1569      SH          SOLE              1569    0     0
REGENT COMMUNICATIONS IN  COMMON               758865109      309          25000     SH          SOLE             25000    0     0
REGISTER COM INC          COMMON              75914G101      1043          15000     SH          SOLE              2000    0   13000
REPUBLIC SVCS INC         COMMON               760759100      638          58300     SH          SOLE             58300    0     0
RESEARCH IN MOTION LTD    COMMON               760975102     1491          14000     SH          SOLE             14000    0     0
RETEK INC                 COMMON              76128Q109       507          12300     SH          SOLE             12300    0     0
RIVERDEEP GROUP PLC       DEPOSITORY RECEIPT  76870Q109      1613          40000     SH          SOLE             40000    0     0
ROWAN COS INC             COMMON               779382100     27542        935600     SH          SOLE             901000   0   34600
RYANAIR HLDGS PLC         DEPOSITORY RECEIPT   783513104     8340         181800     SH          SOLE             181800   0     0
SDL INC                   COMMON               784076101     51766        243174     SH          SOLE             185674   0   57500
SABRE HLDGS CORP          CL A                 785905100      469          12860     SH          SOLE             12860    0     0
SAFEWAY INC               COM NEW              786514208      944          20871     SH          SOLE             20871    0     0
SAGE INC                  COMMON               786632109      55           2500      SH          SOLE               0      0   2500
SANDISK CORP              COMMON              80004C101      23569        192400     SH          SOLE             171200   0   21200
SATYAM INFOWAY LTD        DEPOSITORY RECEIPT   804099109      16            300      SH          SOLE              300     0     0
SAWTEK INC                COMMON               805468105     1756          33400     SH          SOLE             22000    0   11400
SCHLUMBERGER LTD          COMMON               806857108      910          11900     SH          SOLE              8700    0   3200
SCHWAB CHARLES CORP NEW   COMMON               808513105     1019          17938     SH          SOLE             10838    0   7100
SCIENTIFIC ATLANTA INC    COMMON               808655104      202          3200      SH          SOLE               0      0   3200
SELECTICA INC             COMMON               816288104      671          7600      SH          SOLE              7600    0     0
724                       COMMON              81788Q100      3299          26500     SH          SOLE             10300    0   16200
SIEBEL SYS INC            COMMON               826170102     66586        557500     SH          SOLE             532800   0   24700
SILICON LABORATORIES INC  COMMON               826919102      885          10000     SH          SOLE             10000    0     0
SMARTDISK CORP            COMMON              83169Q105       999          37700     SH          SOLE             37700    0     0
SMITH INTL INC            COMMON               832110100     12354        159400     SH          SOLE             159400   0     0
SOLECTRON CORP            COMMON               834182107      554          13800     SH          SOLE               0      0   13800
SOUTHWEST AIRLS CO        COMMON               844741108     1351          64900     SH          SOLE             64900    0     0
STARBUCKS CORP            COMMON               855244109     2057          45900     SH          SOLE             45900    0     0


                                       8
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
SUN MICROSYSTEMS INC      COMMON               866810104     32234        344000     SH          SOLE             333100   0   10900
SYCAMORE NETWORKS INC     COMMON               871206108     41422        321100     SH          SOLE             321100   0     0
SYMANTEC CORP             COMMON               871503108     1450          19300     SH          SOLE             10000    0   9300
SYMBOL TECHNOLOGIES INC   COMMON               871508107     23080        280400     SH          SOLE             280400   0     0
SYNTROLEUM CORP           COMMON               871630109     18778        803326     SH          SOLE             720526   0   82800
TMP WORLDWIDE INC         COMMON               872941109     58157        747998     SH          SOLE             525798   0  222200
TELE1 EUROPE HLDG AB      DEPOSITORY RECEIPT  87944T201      1473          77000     SH          SOLE             77000    0     0
TELESCAN INC              COMMON               879516102     3544         150000     SH          SOLE             150000   0     0
TELIGENT INC              CL A                87959Y103       889          13300     SH          SOLE             13300    0     0
TERADYNE INC              COMMON               880770102      681          8300      SH          SOLE              5700    0   2600
TERAYON COMMUNICATION SY  COMMON               880775101     41144        200700     SH          SOLE             191700   0   9000
TERRA NETWORKS S A        DEPOSITORY RECEIPT  88100W103       463          5900      SH          SOLE              5900    0     0
TEXAS INSTRS INC          COMMON               882508104     32976        206100     SH          SOLE             202300   0   3800
THERMA-WAVE INC           COMMON              88343A108       850          25000     SH          SOLE             25000    0     0
3DO CO                    COMMON              88553W105      4385         452600     SH          SOLE             233700   0  218900
TICKETS COM INC           COMMON              88633M101       104          10900     SH          SOLE             10900    0     0
TIFFANY & CO NEW          COMMON               886547108     21860        261400     SH          SOLE             256200   0   5200
TIME WARNER INC           COMMON               887315109     56450        564500     SH          SOLE             526700   0   37800
TIME WARNER TELECOM INC   CL A                 887319101     2647          33300     SH          SOLE             26200    0   7100
TIVO INC                  COMMON               888706108     6042         174500     SH          SOLE             35800    0  138700
TOSCO CORP                COM NEW              891490302      597          19500     SH          SOLE             19500    0     0
TRIBUNE CO NEW            COMMON               896047107     9373         256363     SH          SOLE             211263   0   45100
TRIQUINT SEMICONDUCTOR I  COMMON              89674K103      21741        295802     SH          SOLE             278202   0   17600
TURNSTONE SYSTEMS INC     COMMON               900423104     4761          41400     SH          SOLE             41400    0     0
TUT SYSTEMS               COMMON               901103101     12186        204600     SH          SOLE             196800   0   7800
USA NETWORKS INC          COMMON               902984103     2453         108700     SH          SOLE             27500    0   81200
UNITED PARCEL SERVICE IN  CL B                 911312106     1203          19100     SH          SOLE             19100    0     0
UNIVERSAL ACCESS INC      COMMON               913363107      335          10000     SH          SOLE             10000    0     0
UNOCAL CORP               COMMON               915289102     1523          51200     SH          SOLE             51200    0     0
UTSTARCOM INC             COMMON               918076100      476          6100      SH          SOLE              6100    0     0
VA LINUX SYSTEMS INC      COMMON              91819B105       604          10000     SH          SOLE             10000    0     0
VALERO ENERGY CORP NEW    COMMON              91913Y100      1178          38400     SH          SOLE             38400    0     0
VALUECLICK INC            COMMON              92046N102       52           2500      SH          SOLE              2500    0     0


                                       9
<PAGE>

<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
            COLUMN 1        COLUMN 2            COLUMN 3   COLUMN 4            COLUMN 5        COLUMN 6 COLUMN 7        COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                   VOTING AUTHORITY
- ------------------------------------------------------------------------------------------------------------------------------------
                                                           VALUE       SHRS OR PRN  SH/   PUT/  INVEST  OTHER
       NAME OF ISSUER     TITLE OF CLASS         CUSIP     (x1000)         AMT      PRN   CALL   DISC   MANAGER   SOLE  SHARED  NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                       <C>                <C>          <C>          <C>          <C>   <C>   <C>     <C>     <C>      <C>   <C>
VARIAN SEMICONDUCTOR EQU  COMMON               922207105     86415        1358200    SH          SOLE            1193100   0  165100
VIACOM INC                CL B                 925524308     68434        1297331    SH          SOLE            1110731   0  186600
VIASYSTEMS GROUP INC      COMMON              92553H100      8226         530700     SH          SOLE             530700   0     0
VIA NET WRKS INC          COMMON               925912107      534          20100     SH          SOLE             14500    0   5600
VIRATA CORP               COMMON               927646109     1508          15100     SH          SOLE             15100    0     0
VITESSE SEMICONDUCTOR CO  COMMON               928497106     5554          57700     SH          SOLE             57700    0     0
VITRIA TECHNOLOGY         COMMON              92849Q104       625          6200      SH          SOLE              6200    0     0
VOICESTREAM WIRELESS COR  COMMON               928615103     18670        144936     SH          SOLE             89636    0   55300
WAL MART STORES INC       COMMON               931142103      215          3800      SH          SOLE               0      0   3800
WEATHERFORD INTL INC      COMMON               947074100     13318        227664     SH          SOLE             227664   0     0
WEBSENSE INC              COMMON               947684106      481          10000     SH          SOLE             10000    0     0
WELLS FARGO & CO NEW      COMMON               949746101      873          21415     SH          SOLE             21415    0     0
WESTERN WIRELESS CORP     CL A                95988E204      15106        329729     SH          SOLE             304029   0   25700
WESTWOOD ONE INC          COMMON               961815107      850          23450     SH          SOLE             23450    0     0
WITNESS SYS INC           COMMON               977424100      304          10000     SH          SOLE               0      0   10000
XCARE NET INC             COMMON              98388Y101       576          40100     SH          SOLE             26900    0   13200
YAHOO INC                 COMMON               984332106      411          2400      SH          SOLE               0      0   2400
YANKEE CANDLE INC         COMMON               984757104     3163         200000     SH          SOLE             200000   0     0
XICOR INC                 COMMON               984903104      424          30000     SH          SOLE             30000    0     0
Z TEL TECHNOLOGIES INC    COMMON               988792107     2520          60000     SH          SOLE             60000    0     0
LERNOUT & HAUSPIE SPEECH  COMMON              B5628B104      2906          26300     SH          SOLE             26300    0     0
GEMSTAR INTL GROUP LTD    ORD                 G3788V106     103675        1205520    SH          SOLE            1048720   0  156800
GLOBAL CROSSING LTD       COMMON              G3921A100      39013        953000     SH          SOLE             824430   0  128570
TRANSOCEAN SEDCO FOREX I  ORD                 G90078109       811          15800     SH          SOLE             15800    0     0
COMPLETEL EUROPE NV       ORD                 N21590109       997          50000     SH          SOLE               0      0   50000
IFCO SYSTEMS N V          ORD                 N43961106       92           4000      SH          SOLE              4000    0     0
KPNQWEST N V              CL C                N50919104       694          12800     SH          SOLE             12800    0     0
                                                          4,051,193.00 74,285,332.00
</TABLE>


                                       10


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