MAVERICK CAPITAL LTD
13F-HR, 2000-05-15
Previous: BURLINGTON NORTHERN SANTA FE CORP, 10-Q, 2000-05-15
Next: SDL INC, 10-Q, 2000-05-15





                               UNITED STATES
                    SECURITIES AND EXCHANGE COMMISSION
                          WASHINGTON, D.C. 20549

                                 FORM 13F

                            FORM 13F COVER PAGE

          Report for the Quarter Ended March 31, 2000.

Check here if Amendment [   ]; Amendment Number:
This Amendment (Check only one.):  [   ]  is a restatement.
                                   [   ]  adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:          Maverick Capital, Ltd.
Address:       300 Crescent Court, Suite 1850, Dallas, TX  75201

13F File Number:    28-6270

  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:          Sharyl Robertson
Title:         Chief Financial Officer
Phone:         (214) 880-4050
Signature, Place, and Date of Signing:

  /s/ Sharyl Robertson          Dallas, Texas          May 15, 2000
  --------------------          -------------          ------------


Report Type (Check only one.):

[ X ]     13F HOLDINGS REPORT.

[   ]     13F NOTICE.

[   ]     13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF
1934.

<PAGE>
                           FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                0

Form 13F Information Table Entry Total:           136

Form 13F Information Table Value Total:           $5,573,181



List of Other Included Managers:

No.    13F File Number        Name
- ---    ---------------        ----

<PAGE>

<TABLE>

                                             FORM 13F INFORMATION TABLE


<CAPTION>
                                                                                                           VOTING AUTHORITY
                        TITLE OF                  VALUE      SHARES/   SH/  PUT/  INVSTMT     OTHER    --------------------------
NAME OF ISSUER            CLASS     CUSIP       (X$1,000)    PRN AMT   PRN  CALL  DSCRETN   MANAGERS     SOLE       SHARED   NONE
- --------------            -----   ---------     --------  ----------   ---  ----  --------  ---------  ----------   ------   ----
<S>                      <C>      <C>           <C>       <C>          <C>  <C>   <C>       <C>        <C>          <C>      <C>
3DO CO                     COM    88553W105           26       2,734   SH            SOLE                   2,734
AAMES FINL CORP            COM    00253A101           39      61,750   SH            SOLE                  61,750
ACCLAIM ENTMT INC        COM PAR  004325205           15       4,600   SH            SOLE                   4,600
                          $.02
ACXIOM CORP                COM    005125109       60,093   1,807,300   SH            SOLE               1,807,300
ADVANCED FIBRE             COM    00754A105       20,217     322,500   SH            SOLE                 322,500
 COMMUNICATIONS
ADVANCED MICRO             COM    007903107      130,673   2,290,000   SH            SOLE               2,290,000
 DEVICES INC
AFFYMETRIX INC             COM    00826T108       14,844     100,000   SH            SOLE                 100,000
AIRBORNE FGHT CORP         COM    009266107       22,200     925,000   SH            SOLE                 925,000
ALZA CORP DEL              COM    022615108      115,242   3,068,000   SH            SOLE               3,068,000
AMERICAN HOME PRODS        COM    026609107       73,734   1,375,000   SH            SOLE               1,375,000
 CORP
AMERITRADE HLDG CORP       CL A   03072H109       55,632   2,663,000   SH            SOLE               2,663,000
AMFM INC                   COM    001693100       62,125   1,000,000   SH            SOLE               1,000,000
AMR CORP                   COM    001765106       19,603     615,000   SH            SOLE                 615,000
ASPECT COMMUNICATIONS      COM    04523Q102       41,695   1,125,000   SH            SOLE               1,125,000
 CORP
AT & T CORP                COM    001957109       41,063     730,000   SH            SOLE                 730,000
AT&T CORP                COM LIB  001957208       45,374     765,000   SH            SOLE                 765,000
                          GRP A
AUTONATION INC             COM    05329W102        5,191     654,000   SH            SOLE                 654,000
AVID TECHNOLOGY INC        COM    05367P100          118       6,600   SH            SOLE                   6,600
AVON PRODS INC             COM    054303102       21,797     750,000   SH            SOLE                 750,000
BALLARD PWR SYS INC        COM    05858H104        9,295     110,000   SH            SOLE                 110,000
BANK NEW YORK INC          COM    064057102       47,381   1,140,000   SH            SOLE               1,140,000
BAXTER INTL INC            COM    071813109      141,047   2,250,000   SH            SOLE               2,250,000
BED BATH & BEYOND INC      COM    075896100      167,344   4,250,000   SH            SOLE               4,250,000
BELL ATLANTIC CORP         COM    077853109       60,361     987,500   SH            SOLE                 987,500
BELLSOUTH CORP             COM    079860102       45,355     965,000   SH            SOLE                 965,000
BIOVAIL CORP INTL NEW      COM    09067K106          293       6,602   SH            SOLE                   6,602
BOCA RESH INC              COM    096888102           35       5,800   SH            SOLE                   5,800
BURLINGTON NORTHN          COM    12189T104      105,603   4,773,000   SH            SOLE               4,773,000
 SANTA FE CP
CABLEVISION SYS CORP       CL A   12686C109       60,750   1,000,000   SH            SOLE               1,000,000
CAPITAL ONE FINL CORP      COM    14040H105      144,532   3,015,000   SH            SOLE               3,015,000
CAREMARK RX INC            COM    141705103       26,895   6,422,600   SH            SOLE               6,422,600
CEMEX S A                SPON ADR 151290889       39,594   1,750,000   SH            SOLE               1,750,000
                          5 ORD
CHINA TIRE HLDGS LTD       COM    G2107X108          194      24,400   SH            SOLE                  24,400
CIRCUIT CITY STORES       CIRCT   172737108       28,465     467,600   SH            SOLE                 467,600
 INC                     CITY GRP
CISCO SYS INC              COM    17275R102       42,522     550,000   SH            SOLE                 550,000
CITIGROUP INC              COM    172967101      155,695   2,625,000   SH            SOLE               2,625,000
COLUMBIA/HCA               COM    197677107      170,859   6,750,000   SH            SOLE               6,750,000
 HEALTHCARE CORP
COMPUCREDIT CORP           COM    20478N100       43,856   1,211,900   SH            SOLE               1,211,900
COMPUTER ASSOC INTL        COM    204912109       82,863   1,400,000   SH            SOLE               1,400,000
 INC
CONOCO INC                 CL B   208251405        3,588     140,000   SH            SOLE                 140,000
CONSORCIO G GRUPO DINA   SPON ADR 210306106           12      19,200   SH            SOLE                  19,200
 S A CV
CSG SYST INTL INC          COM    126349109        5,369     110,000   SH            SOLE                 110,000
CUMULUS MEDIA INC          CL A   231082108          132       9,200   SH            SOLE                   9,200
DELL COMPUTER CORP         COM    247025109       21,575     400,000   SH            SOLE                 400,000
DELTA AIR LINES INC        COM    247361108       56,285   1,057,000   SH            SOLE               1,057,000
 DEL
DENDRITE INTL INC          COM    248239105          542      25,900   SH            SOLE                  25,900
DONNA KARAN INTL INC       COM    257826107           78      10,200   SH            SOLE                  10,200
E PIPHANY INC              COM    26881V100        6,050      45,300   SH            SOLE                  45,300
EINSTEIN / NOAH BAGEL      COM    282577105            2       7,700   SH            SOLE                   7,700
 CORP
EL SITIO INC               ORD    G30177102          965      45,000   SH            SOLE                  45,000
ELECTRONIC ARTS INC        COM    285512109       49,119     690,000   SH            SOLE                 690,000
EMBRATEL PARTICIPACOES   SPON ADR 29081N100       20,500     800,000   SH            SOLE                 800,000
 S A                       PFD
ESCALON MED CORP         COM NEW  296074305           11       2,600   SH            SOLE                   2,600
ESS TECHNOLOGY INC         COM    269151106          324      18,500   SH            SOLE                  18,500
FAIRCHILD                  CL A   303726103       67,160   1,840,000   SH            SOLE               1,840,000
 SEMICONDUCTOR INTL
FAMILY DLR STORES INC      COM    307000109       15,493     744,400   SH            SOLE                 744,400
FOMENTO ECONOMICO         SP ADR  344419106       56,250   1,250,000   SH            SOLE               1,250,000
 MEXICANO SA              UNITS
FORD MTR CO DEL            COM    345370100       55,125   1,200,000   SH            SOLE               1,200,000
FOREST LABS INC            COM    345838106      101,400   1,200,000   SH            SOLE               1,200,000
FRESH CHOICE INC           COM    358032100           24       5,300   SH            SOLE                   5,300
FRUIT OF THE LOOM LTD    ORD CL A G3682L105          542     456,300   SH            SOLE                 456,300
FURNITURE BRANDS INTL      COM    360921100       66,446   3,532,000   SH            SOLE               3,532,000
 INC
GLOBAL CROSSING LTD        COM    G3921A100        4,094     100,000   SH            SOLE                 100,000
GRUPO TRIBASA S A        SPN ADR  40049F105           26      55,200   SH            SOLE                  55,200
 DE C V
GTECH HLDGS CORP           COM    400518106       18,563   1,000,000   SH            SOLE               1,000,000
IMMUNOGEN INC              COM    45253H101       19,350   1,612,500   SH            SOLE               1,612,500
IMS HEALTH INC             COM    449934108       38,109   2,250,000   SH            SOLE               2,250,000
INSIGHT ENTERPRISES        COM    45765U103       42,723   1,172,500   SH            SOLE               1,172,500
 INC
KIMBERLY CLARK CORP        COM    494368103       56,000   1,000,000   SH            SOLE               1,000,000
LEHMAN BROS HLDGS INC      COM    524908100       16,539     170,500   SH            SOLE                 170,500
LIBERATE TECHNOLOGIES      COM    530129105        8,534     136,000   SH            SOLE                 136,000
LOGIC DEVICES INC          COM    541402103          176      25,300   SH            SOLE                  25,300
MANUGISTICS GROUP INC.     COM    565011103       20,400     400,000   SH            SOLE                 400,000
MATTEL INC                 COM    577081102        3,627     347,500   SH            SOLE                 347,500
MCDONALDS COR              COM    580135101      121,515   3,235,000   SH            SOLE               3,235,000
MEDIAONE GROUP INC         COM    58440J104      114,210   1,410,000   SH            SOLE               1,410,000
MP3COM INC.                COM    62473M109        7,550     359,500   SH            SOLE                 359,500
MYRIAD GENETICS INC        COM    62855J104        2,121      35,200   SH            SOLE                  35,200
NATIONAL SEMICONDUCTOR     COM    637640103       22,734     375,000   SH            SOLE                 375,000
 CORP
NET2PHONE                  COM    64108N106       18,299     309,500   SH            SOLE                 309,500
NETMANAGE INC              COM    641144100          158      27,900   SH            SOLE                  27,900
NEWS CORP LTD             SP ADR  652487802       48,848   1,023,000   SH            SOLE               1,023,000
                           PFD
NIAGARA MOHAWK HLDGS       COM    653520106       69,432   5,143,100   SH            SOLE               5,143,100
 INC
NIKE INC                   CL B   654106103       93,515   2,360,000   SH            SOLE               2,360,000
NORTH AMERN VACCINE        COM    657201109           43      16,100   SH            SOLE                  16,100
 INC
NORTHFIELD LABS INC        COM    666135108          192       9,600   SH            SOLE                   9,600
NOVELL INC                 COM    670006105       28,625   1,000,000   SH            SOLE               1,000,000
NTL INC                    COM    629407107       17,866     192,500   SH            SOLE                 192,500
NVIDIA CORP                COM    67066G104       25,345     300,000   SH            SOLE                 300,000
OAK TECHNOLOGY INC         COM    671802106           69       3,600   SH            SOLE                   3,600
ONHEALTH NETWORK CO        COM    68272W107           37       8,800   SH            SOLE                   8,800
OUTBACK STEAKHOUSE INC     COM    689899102       45,368   1,415,000   SH            SOLE               1,415,000
PARK PL ENTMT CORP         COM    700690100       42,608   3,685,000   SH            SOLE               3,685,000
PE CORP-PE BIO GRP         COM    69332S102       53,075     550,000   SH            SOLE                 550,000
PHILIP MORRIS COS INC      COM    718154107       22,709   1,075,000   SH            SOLE               1,075,000
PITNEY BOWES INC           COM    724479100       89,375   2,000,000   SH            SOLE               2,000,000
PITTSTON CO                COM    725701106       34,000   2,000,000   SH            SOLE               2,000,000
                          BRINKS
                           GRP
PIXAR                      COM    725811103       23,541     659,629   SH            SOLE                 659,629
PRICELINE COM INC          COM    741503106       26,000     325,000   SH            SOLE                 325,000
PROVIDIAN FINL CORP        COM    74406A102      186,244   2,150,000   SH            SOLE               2,150,000
PSINET INC                 COM    74437C101        9,354     275,000   SH            SOLE                 275,000
QUAKER OATS CO             COM    747402105      104,881   1,730,000   SH            SOLE               1,730,000
QUEST DIAGNOSTICS INC.     COM    74834L100       23,047     579,800   SH            SOLE                 579,800
RAMBUS INC DEL             COM    750917106      291,143     988,600   SH            SOLE                 988,600
RAZORFISH INC              CL A   755236106        1,480      53,800   SH            SOLE                  53,800
REYNOLDS METALS CO         COM    761763101       98,306   1,470,000   SH            SOLE               1,470,000
S1 CORPORATION             COM    78463B101       19,280     225,000   SH            SOLE                 225,000
SANDISK CORP               COM    80004C101       21,438     175,000   SH            SOLE                 175,000
SCOTTISH ANNUITY &         ORD    G7885T104        9,661   1,546,720   SH            SOLE               1,546,720
 LIFE HLDGS
SEAGATE TECHNOLOGY         COM    811804103       69,288   1,150,000   SH            SOLE               1,150,000
SILKNET SOFTWARE INC       COM    827094103       10,978     106,000   SH            SOLE                 106,000
SPX CORP                   COM    784635104       44,322     389,000   SH            SOLE                 389,000
STARMEDIA NETWORK INC      COM    855546107        6,569     218,500   SH            SOLE                 218,500
STARWOOD HOTELS &         PAIRED  85590A203       71,747   2,733,200   SH            SOLE               2,733,200
 RESORTS WRLDWD            CTF
SYMANTEC CORP              COM    871503108       67,613     900,000   SH            SOLE                 900,000
SYSCO CORP                 COM    871829107       32,051     898,100   SH            SOLE                 898,100
TARGET CORP                COM    87612E106      132,681   1,775,000   SH            SOLE               1,775,000
TERRA NETWORKS S A       SPD ADR  88100W103        9,813     125,000   SH            SOLE                 125,000
TIDEWATER INC              COM    886423102       26,503     833,100   SH            SOLE                 833,100
TJX COS INC NEW            COM    872540109       68,897   3,105,200   SH            SOLE               3,105,200
TODAYS MAN INC           COM NEW  888910205           25      34,300   SH            SOLE                  34,300
TOSCO CORP               COM NEW  891490302       77,494   2,546,000   SH            SOLE               2,546,000
TRUMP HOTELS & CASINO      COM    898168109          104      32,500   SH            SOLE                  32,500
 RESORTS
TYCO INTL LTD NEW          COM    902124106       33,083     660,000   SH            SOLE                 660,000
UAL CORP                 COM PAR  902549500       96,650   1,614,200   SH            SOLE               1,614,200
                          $.01
UNITED STATIONERS INC      COM    913004107       35,688   1,000,000   SH            SOLE               1,000,000
UNITEDGLOBALCOM            CL A   913247508       37,531     500,000   SH            SOLE                 500,000
UNOCAL CORP                COM    915289102        9,669     325,000   SH            SOLE                 325,000
USA NETWORKS INC           COM    902984103       70,169   3,110,000   SH            SOLE               3,110,000
U S G CORP               COM NEW  903293405        1,023      24,400   SH            SOLE                  24,400
VERIO INC                  COM    923433106       11,266     250,000   SH            SOLE                 250,000
VIACOM INC                 CL B   925524308       22,155     420,000   SH            SOLE                 420,000
VIVUS INC                  COM    928551100          654      79,000   SH            SOLE                  79,000
WALGREEN CO                COM    931422109       77,636   3,015,000   SH            SOLE               3,015,000
WILLIAMS COS INC DEL       COM    969457100       29,438     670,000   SH            SOLE                 670,000
ZOOM TELEPHONICS INC       COM    98976E103          312      22,300   SH            SOLE                  22,300

</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission