MAVERICK CAPITAL LTD
13F-HR, 2000-11-14
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                               UNITED STATES
                    SECURITIES AND EXCHANGE COMMISSION
                          WASHINGTON, D.C. 20549

                                 FORM 13F

                            FORM 13F COVER PAGE

          Report for the Quarter Ended September 30, 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          November 13, 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:           118

Form 13F Information Table Value Total:           $5,996,636



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>
360NETWORKS INC       SUB VTG  88575T205      4,906     250,000   SH            SOLE                 250,000
    SHS
3DO CO                  COM    88553W105          8       2,734   SH            SOLE                   2,734
AAMES FINL CORP       COM NEW  00253A309         19      12,350   SH            SOLE                  12,350
ABBOTT LABS             COM    002824100     94,745   1,992,000   SH            SOLE               1,992,000
ACCLAIM ENTMT INC     COM PAR  004325205          8       4,600   SH            SOLE                   4,600
                      $0.02
ACE LTD                 ORD    G0070K103     46,605   1,187,400   SH            SOLE               1,187,400
ACXIOM CORP             COM    005125109     68,555   2,159,200   SH            SOLE               2,159,200
A D C                   COM    000886101     84,033   3,125,000   SH            SOLE               3,125,000
  TELECOMMUNICATIONS
ALCOA INC               COM    013817101     55,814   2,205,000   SH            SOLE               2,205,000
ALPHARMA INC           CL A    020813101     81,296   1,330,000   SH            SOLE               1,330,000
AMERITRADE HLDG CORP   CL A    03072H109     59,260   3,338,600   SH            SOLE               3,338,600
ANC RENTAL CORPORATION  COM    001813104        648     112,774   SH            SOLE                 112,774
ASSOCIATES FIRST CAPS  CL A    046008108     83,133   2,187,700   SH            SOLE               1,187,700
  CORP
AUTONATION INC          COM    05329W102      5,413     902,200   SH            SOLE                 902,200
AVID TECHNOLOGY INC     COM    05367P100         92       6,600   SH            SOLE                   6,600
AVON PRODS INC          COM    054303102     51,707   1,265,000   SH            SOLE               1,265,000
BAAN CO NV              COM    N08044104         22      10,000   SH            SOLE                  10,000
BARD C R INC            COM    067383109     52,779   1,249,200   SH            SOLE               1,249,200
BARNESANDNOBLE COM     CL A    067846105      4,443     905,500   SH            SOLE                 905,500
  INC
BAXTER INTL INC         COM    071813109    119,850   1,501,643   SH            SOLE               1,501,643
BEA SYS INC             COM    073325102     47,504     610,000   SH            SOLE                 610,000
BED BATH & BEYOND INC   COM    075896100     76,221   3,125,000   SH            SOLE               3,125,000
BIOVAIL CORP            COM    09067J109        538       6,602   SH            SOLE                   6,602
BOCA RESH INC           COM    096888102         17       5,800   SH            SOLE                   5,800
BRISTOL MYERS SQUIBB CO COM    110122108    157,094   2,750,000   SH            SOLE               2,750,000
BURLINGTON NORTHN       COM    12189T104    126,934   5,886,800   SH            SOLE               5,886,800
  SANTA FE CP
CABLEVISION SYS CORP   CL A    12686C109     75,072   1,132,100   SH            SOLE               1,132,100
CADENCE DESIGN SYSTEM   COM    127387108     66,924   2,605,300   SH            SOLE               2,605,300
  INC
CATERPILLAR INC DEL     COM    149123101     24,131     715,000   SH            SOLE                 715,000
CELESTICA INC         SUB VTG  15101Q108     69,250   1,000,000   SH            SOLE               1,000,000
                        SHS
CEMEX S A            SPONS ADR 151290889     45,853   2,285,500   SH            SOLE               2,285,500
                      5 ORD
CHASE MANHATTAN CORP    COM    16161A108     80,828   1,750,000   SH            SOLE               1,750,000
  NEW
CHINA TIRE HLDGS LTD    COM    G2107X108        137      24,400   SH            SOLE                  24,400
CIRCUIT CITY STORE     CIRCT   172737108     23,232   1,010,100   SH            SOLE               1,010,000
  INC                 CITY GRP
CISCO SYS INC           COM    17275R102     84,256   1,525,000   SH            SOLE               1,525,000
COMPAQ COMPUTER CORP    COM    204493100     92,393   3,350,000   SH            SOLE               3,350,000
COMPUCREDIT CORP        COM    20478N100     46,193     823,500   SH            SOLE                 823,500
COMVERSE TECHNOLOGY   COM PAR  205862402    135,000   1,250,000   SH            SOLE               1,250,000
  INC                 $0.10
CONSORCIO G GRUPO    SPON ADR  210306403          3       1,920   SH            SOLE                   1,920
  DINA S A CV          NEW
CUMULUS MEDIA INC      CL A    231082108         56       9,200   SH            SOLE                   9,200
DONNA KARAN INTL INC    COM    257826107         63      10,200   SH            SOLE                  10,200
EL SITIO INC            ORD    G30177102        168      45,000   SH            SOLE                  45,000
EMBRATEL PARTICIPACOES  SPON   29081N100     29,176   1,577,100   SH            SOLE               1,577,100
  S A                 ADR PFD
ESCALON MED CORP      COM NEW  296074305          7       2,600   SH            SOLE                   2,600
ESS TECHNOLOGY INC      COM    269151106        265      18,500   SH            SOLE                  18,500
EXELIXIS INC            COM    30161Q104     15,001     562,500   SH            SOLE                 562,500
FEDERATED DEPT STORES   COM    31410H101    193,377   7,402,000   SH            SOLE               7,402,000
  INC DEL
FEDERAL HOME LN MTG     COM    313400301     83,013   1,535,500   SH            SOLE               1,535,500
  CORP
FLEXTRONICS INTL LTD    ORD    Y2573F102    114,770   1,397,500   SH            SOLE               1,397,500
FRESH CHOICE INC        COM    358032100         15       5,300   SH            SOLE                   5,300
FURNITURE BRANDS INTL   COM    360921100     22,522   1,354,700   SH            SOLE               1,354,700
  INC
GLOBAL CROSSING LTD     COM    G3921A100      1,094      35,300   SH            SOLE                  35,300
GLOBAL TELESYSTEMS INC  COM    37936U104     17,904   3,924,100   SH            SOLE               3,924,100
GRUPO TRIBASA S A DE   SP ADR  40049F204          8       5,520   SH            SOLE                   5,520
  C V                  NEW 20S
GTECH HLDGS CORP        COM    400518106     12,374     747,100   SH            SOLE                 747,100
HCA-HEALTHCARE CO       COM    404119109     66,825   1,800,000   SH            SOLE               1,800,000
IMMUNOGEN INC           COM    45253H101     55,862   1,634,000   SH            SOLE               1,634,000
IMS HEALTH INC          COM    449934108    149,813   7,219,900   SH            SOLE               7,219,900
INSIGHT ENTERPRISES     COM    45765U103      2,658      97,550   SH            SOLE                  97,550
  INC
KIMBERLY CLARK CORP     COM    494368103     56,371   1,010,000   SH            SOLE               1,010,000
LOEWS CORP              COM    540424108     77,622     931,000   SH            SOLE                 931,000
LOGIC DEVICES INC       COM    541402103         49      25,300   SH            SOLE                  25,300
LSI LOGIC CORP          COM    502161102     27,934     955,000   SH            SOLE                 955,000
LYCOS INC               COM    550818108     24,481     356,000   SH            SOLE                 356,000
MATTEL INC              COM    577081102    128,069  11,447,500   SH            SOLE              11,447,500
MCDONALDS CORP          COM    580135101    136,900   4,535,000   SH            SOLE               4,535,000
METLIFE INC             COM    59156R108    107,107   4,090,000   SH            SOLE               4,090,000
MP3COM INC              COM    62473M109      1,416     359,500   SH            SOLE                 359,500
MYRIAD GENETICS INC     COM    62855J104      6,081      70,400   SH            SOLE                  70,400
NETMANAGE INC           COM    641144100         59      27,900   SH            SOLE                  27,900
NEWS CORP LTD         SP ADR   652487802     99,263   2,117,600   SH            SOLE               2,117,600
                       PFD
NEXTEL COMMUNICATIONS  CL A    65332V103    135,575   2,900,000   SH            SOLE               2,900,000
  INC
NIAGARA MOHAWK HLDGS    COM    653520106     38,961   2,473,700   SH            SOLE               2,473,700
  INC
NIKE INC               CL B    654106103    160,250   4,000,000   SH            SOLE               4,000,000
NORTHFIELD LABS INC     COM    666135108        121       9,600   SH            SOLE                   9,600
NVIDIA CORP             COM    67066G104     82,022   1,001,800   SH            SOLE               1,001,800
OAK TECHNOLOGY INC      COM    671802106         99       3,600   SH            SOLE                   3,600
OUTBACK STEAKHOUSE      COM    689899102     61,031   2,250,000   SH            SOLE               2,250,000
  INC
PARK PL ENTMT CORP      COM    700690100     28,359   1,875,000   SH            SOLE               1,875,000
PHELPS DODGE CORP       COM    717265102    152,805   3,660,000   SH            SOLE               3,660,000
PHILIP MORRIS COS INC   COM    718154107    147,188   5,000,000   SH            SOLE               5,000,000
PITNEY BOWES INC        COM    724479100     83,363   2,113,800   SH            SOLE               2,113,800
PITTSTON CO             COM    725701106     27,125   1,750,000   SH            SOLE               1,750,000
                       BRINKS
                        GRP
PIXAR                   COM    725811103     21,191     659,629   SH            SOLE                 659,629
PRICELINE COM INC       COM    741503106      3,859     325,000   SH            SOLE                 325,000
PROVIDIAN FINL CORP     COM    74406A102    127,000   1,000,000   SH            SOLE               1,000,000
RALSTON PURINA CO     COM RAL- 751277302     53,297   2,250,000   SH            SOLE               2,250,000
                      PUR GP
RAMBUS INC DEL          COM    750917106     23,776     301,200   SH            SOLE                 301,200
RAZORFISH INC          CL A    755236106        395      38,200   SH            SOLE                  38,200
RITE AID CORP           COM    767754104      1,777     444,300   SH            SOLE                 444,300
SCOTTISH ANNUITY &      ORD    G7885T104     11,625   1,456,720   SH            SOLE               1,456,720
  LIFE HLDGS
SEARS ROEBUCK & CO      COM    812387108     71,593   2,208,300   SH            SOLE               2,208,300
SERONO S A          SPONSORED  81752M101     59,139   1,955,000   SH            SOLE               1,955,000
                        ADR
STARWOOD HOTELS &     PAIRED   85590A203     89,063   2,850,000   SH            SOLE               2,850,000
  RESORTS WRLDWD        CTF
STILLWATER MNG CO       COM    86074Q102     49,538   1,830,000   SH            SOLE               1,830,000
TARGET CORP             COM    87612E106     99,274   3,874,100   SH            SOLE               3,874,100
TELEFONOS DE MEXICO SPON ADR   879403780     51,725     972,500   SH            SOLE                 972,500
  S A                 ORD L
TERRA NETWORKS S A  SPONSORED  88100W103        287       7,800   SH            SOLE                   7,800
                        ADR
TIDEWATER INC           COM    886423102      1,047      23,000   SH            SOLE                  23,000
TJX COS INC NEW         COM    872540109    100,964   4,487,300   SH            SOLE               4,487,300
TODAYS MAN INC        COM NEW  888910205          6      34,300   SH            SOLE                  34,300
TRANSWITCH CORP         COM    894065101     60,563     950,000   SH            SOLE                 950,000
TRUMP HOTELS & CASINO   COM    898168109         81      32,500   SH            SOLE                  32,500
  RESORTS
UAL CORP              COM PAR  902549500     61,316   1,459,900   SH            SOLE               1,459,900
                      $0.01
UNION PAC CORP          COM    907818108     96,410   2,480,000   SH            SOLE               2,480,000
UNITEDGLOBALCOM        CL A    913247508     65,412   2,180,400   SH            SOLE               2,180,400
UNOCAL CORP             COM    915289102     50,144   1,415,000   SH            SOLE               1,415,000
USA NETWORKS INC        COM    902984103     72,394   3,300,000   SH            SOLE               3,300,000
U S G CORP            COM NEW  903293405        612      24,400   SH            SOLE                  24,400
UST INC                 COM    902911106     67,481   2,950,000   SH            SOLE               2,950,000
USX MARATHON GROUP    COM NEW  902905827     58,509   2,062,000   SH            SOLE               2,062,000
VERIZON COMMUNICATIONS  COM    92343V104    121,094   2,500,000   SH            SOLE               2,500,000
VIVUS INC               COM    928551100        336      79,000   SH            SOLE                  79,000
VOICESTREAM WIRELESS    COM    928615103     74,280     640,000   SH            SOLE                 640,000
  CORP
WATSON PHARMACEUTICALS  COM    942683103     68,119   1,050,000   SH            SOLE               1,050,000
  INC
WEBMD CORP              COM    94769M105         25       1,667   SH            SOLE                   1,667
XILINX INC              COM    983919101    122,016   1,425,000   SH            SOLE               1,425,000
ZOOM TELEPHONICS INC    COM    98976E103        149      22,300   SH            SOLE                  22,300

</TABLE>


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