WESTWOOD MANAGEMENT CORP /TX
13F-HR, 1999-12-28
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<TABLE>                                                          <C>                           <C>
                                                      Westwood Management Corp.
                                                              FORM 13F
                                                         September 30, 1999

                                                                                                         --------------------------
                                                           Value   Shares/  Sh/ Put/ Invstmt    Other
        Name of Issuer          Title of class    CUSIP   (x$1000) Prn Amt  Prn Call Dscretn   Managers     Sole    Shared   None
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

ABN AMRO HOLDING NV-SP ADR     COM              000937102    20904   923954 SH       Sole                   902713             21241
ADVANCE PARADIGM INC           COM              007491103     2699    49300 SH       Sole                    49300
AK STEEL HOLDING CORP          COM              001547108      549    30100 SH       Sole                    30100
ALCOA                          COM              013817101    43560   701879 SH       Sole                   672879             29000
AMERICAN EAGLE OUTFITTERS      COM              02553E106      862    17800 SH       Sole                    17800
AMERICAN POWER CONVERSION      COM              029066107      794    41800 SH       Sole                    41800
AMES DEPT STORES               COM              030789507     5610   176000 SH       Sole                   176000
AMFM INC                       COM              001693100    52080   857288 SH       Sole                   819588             37700
ANHEUSER-BUSCH INC.            COM              035229103    38737   552895 SH       Sole                   538795             14100
ANNTAYLOR STORES CORP          COM              036115103    25220   616998 SH       Sole                   592898             24100
ANTEC CORP                     COM              03664P105     5429   102200 SH       Sole                   102200
APACHE CORP                    COM              037411105    48406  1120844 SH       Sole                  1073344             47500
APPLIED MICRO CIRCUITS CORP    COM              03822W109     2326    40800 SH       Sole                    40800
APPNET SYSTEMS INC             COM              03831Q101     1738    63500 SH       Sole                    63500
AT HOME CORP.                  COM              045919107      572    13800 SH       Sole                    13800
BMC SOFTWARE                   COM              055921100      204     2850 SH       Sole                     2850
BRADLEES INC                   COM              104499207     1131    70700 SH       Sole                    70700
BRINKER INTERNATIONAL INC      COM              109641100      993    36700 SH       Sole                    36700
BROOKS AUTOMATION INC          COM              11434A100     1595    90800 SH       Sole                    90800
BURLINGTON RESOURCES INC       COM              122014103    20263   551363 SH       Sole                   528284             23079
BUSINESS OBJECTS SA - SP ADR   COM              12328X107     3658    62000 SH       Sole                    62000
CEC ENTERTAINMENT, INC.        COM              125137109     6269   174750 SH       Sole                   174750
CEPHALON INC.                  COM              156708109     1781    99100 SH       Sole                    99100
CHICO'S FAS INC                COM              168615102     2136    78400 SH       Sole                    78400
CHILDREN'S PLACE               COM              168905107      485    18200 SH       Sole                    18200
CIGNA                          COM              125509109    24428   314181 SH       Sole                   304381              9800
CINAR FILMS INC-CL B           COM              171905300     6610   218500 SH       Sole                   218500
CITIGROUP                      COM              172967101    41034   932601 SH       Sole                   890901             41700
CITRIX SYSTEMS                 COM              177376100      917    14800 SH       Sole                    14800
CNF TRANSPORTATION             COM              12612W104    21170   568327 SH       Sole                   544127             24200
CONOCO INC. CL-B               COM              208251405    43885  1603101 SH       Sole                  1533101             70000
CONSECO INC.                   COM              208464107    22789  1199407 SH       Sole                  1140107             59300
COORS (ADOLPH) - CL B          COM              217016104      909    16800 SH       Sole                    16800
COST PLUS INC / CALIFORNIA     COM              221485105     3463    71400 SH       Sole                    71400
COULTER PHARMACEUTICAL INC     COM              222116105     2153   154500 SH       Sole                   154500
CREDENCE SYSTEMS CORP          COM              225302108     3397    75700 SH       Sole                    75700
CVS CORP.                      COM              126650100    36863   903236 SH       Sole                   862336             40900
CYTEC INDUSTRIES INC           COM              232820100      738    31400 SH       Sole                    31400
CYTYC CORPORATION              COM              232946103     3064    79200 SH       Sole                    79200
DEERE & CO                     COM              244199105    20517   530315 SH       Sole                   499715             30600
DELTEK SYSTEMS INC             COM              24785A108     2798   170900 SH       Sole                   170900
DEVON ENERGY CORPORATION       COM              25179m103    23810   574590 SH       Sole                   554634             19956
DIGITAL RIVER INC              COM              25388B104     2819   129600 SH       Sole                   129600
DPL INC                        COM              233293109      790    44800 SH       Sole                    44800
DURA AUTOMOTIVE SYSTEMS INC    COM              265903104     3499   145400 SH       Sole                   145400
DYCOM INDUSTRIES, INC          COM              267475101     4710   111650 SH       Sole                   111650
ELECTRONIC ARTS INC.           COM              285512109      753    10400 SH       Sole                    10400
ELECTRONIC DATA SYSTEMS        COM              285661104    38363   724681 SH       Sole                   691781             32900
ENSCO INTERNATIONAL            COM              26874Q100      415    23000 SH       Sole                    23000
EOG RESOURCES INC.             COM              26875P101      763    35900 SH       Sole                    35900
FEDERATED DEPARTMENT STORES    COM              31410H101    33491   766610 SH       Sole                   728510             38100
FIRSTAR CORP                   COM              33761c103      595    23210 SH       Sole                    23210
FLORIDA PROGRESS CORP          COM              341109106    40212   869456 SH       Sole                   853656             15800
FUNDTECH LTD.                  COM              M47095100     2481   111200 SH       Sole                   111200
GALILEO TECHNOLOGY LTD         COM              M47298100     3317   132700 SH       Sole                   132700
GENERAL DYNAMICS CORP          COM              369550108      780    12500 SH       Sole                    12500
GTE CORP                       COM              362320103    47003   611422 SH       Sole                   586022             25400
GULF INDONESIA RESOURCES LTD   COM              402284103     1611   160100 SH       Sole                   160100
HAWAIIAN ELECTRIC              COM              419870100     1379    39200 SH       Sole                     9600             29600
HEWLETT-PACKARD                COM              428236103    40964   451397 SH       Sole                   431797             19600
IBM                            COM              459200101    43014   355487 SH       Sole                   339487             16000
INFOCURE CORP                  COM              45665A108     2078   110100 SH       Sole                   110100
INTERNATIONAL HOME FOODS INC.  COM              459655106    21341  1219497 SH       Sole                  1162797             56700
INVESTMENT TECHNOLOGY GROUP    COM              46145f105     1608    69933 SH       Sole                    69933
JACK IN THE BOX                COM              466367109     3621   145200 SH       Sole                   145200
JONES INTERCABLE INC - CL A    COM              480206200      449     8300 SH       Sole                     8300
KERR-MC GEE                    COM              492386107      936    17000 SH       Sole                    17000
KING PHARMACEUTICALS INC       COM              495582108     3538   101100 SH       Sole                   101100
KRONOS INC                     COM              501052104     2275    62000 SH       Sole                    62000
LAM RESEARCH CORP              COM              512807108     3819    62600 SH       Sole                    62600
LAMAR ADVERTISING CO           COM              512815101      822    16600 SH       Sole                    16600
LEAR CORPORATION               COM              521865105    13488   383307 SH       Sole                   358007             25300
LG&E ENERGY CORP               COM              501917108      773    36400 SH       Sole                    36400
LIMITED INC.                   COM              532716107    37402   977840 SH       Sole                   935740             42100
LOCKHEED MARTIN CORP.          COM              539830109    19295   590298 SH       Sole                   574768             15530
LSI LOGIC CORP                 COM              502161102      806    15500 SH       Sole                    15500
MCI WORLDCOM INC               COM              55268b106    38030   529113 SH       Sole                   505813             23300
MEDQUIST INC                   COM              584949101     2568    76800 SH       Sole                    76800
METRIS COMPANIES INC           COM              591598107      926    31400 SH       Sole                    31400
MICROMUSE INC.                 COM              595094103     2454    38200 SH       Sole                    38200
MINIMED INC.                   COM              60365K108     5011    51000 SH       Sole                    51000
MOBILE MINI INC.               COM              60740f105     1984    90700 SH       Sole                    90700
MONSANTO CO.                   COM              611662107    35256   987902 SH       Sole                   943002             44900
NCO GROUP INC                  COM              628858102     3619    77000 SH       Sole                    77000
ORACLE CORP.                   COM              68389x105    54155  1190222 SH       Sole                  1135122             55100
PALL CORP                      COM              696429307      304    13100 SH       Sole                    13100
PARADYNE NETWORKS INC.         COM              69911g107      336    12000 SH       Sole                    12000
PEGASUS SYSTEMS                COM              705906105     1759    46900 SH       Sole                    46900
PENTON MEDIA INC.              COM              709668107     1497    92100 SH       Sole                    92100
PHARMACIA & UPJOHN INC         COM              716941109    38561   777048 SH       Sole                   742148             34900
PIEDMONT NATURAL GAS CO        COM              720186105     2498    82400 SH       Sole                    82400
PNC BANK CORP                  COM              693475105    38925   738785 SH       Sole                   705585             33200
PRI AUTOMATION INC             COM              69357H106     2121    58700 SH       Sole                    58700
PROFIT RECOVERY GROUP INTL     COM              743168106     4262    95500 SH       Sole                    95500
PROTEIN DESIGN LABS INC        COM              74369L103     2641    73100 SH       Sole                    73100
QUALCOMM INC                   COM              747525103      208     1100 SH       Sole                     1100
RELIANT ENERGY                 COM              75952j108    35313  1304865 SH       Sole                  1279965             24900
ROSS STORES INC                COM              778296103      773    38400 SH       Sole                    38400
ROWAN COS                      COM              779382100      292    18000 SH       Sole                    18000
S3 INCORPORATED                COM              784849101     1700   162900 SH       Sole                   162900
SAFEWAY INC                    COM              786514208    32109   843596 SH       Sole                   806596             37000
SBC COMMUNICATIONS             COM              78387G103    41084   804576 SH       Sole                   769676             34900
SCI SYSTEMS INC                COM              783890106      715    16100 SH       Sole                    16100
SEMTECH                        COM              816850101     3479    95000 SH       Sole                    95000
SMART FORCE                    COM              124853300     2824   114700 SH       Sole                   114700
SMITHKLINE BEECHAM PLC - ADR   COM              832378301    35323   612972 SH       Sole                   598872             14100
SOUTHDOWN INC.                 COM              841297104      835    15600 SH       Sole                    15600
SOUTHTRUST CORP                COM              844730101      814    22700 SH       Sole                    22700
SOUTHWEST BANCORP OF TEXAS     COM              84476R109     2546   146000 SH       Sole                   146000
STAMP.COM INC.                 COM              852857101     1804    51900 SH       Sole                    51900
STERLING SOFTWARE              COM              859547101    34905  1745245 SH       Sole                  1663545             81700
STILLWATER MINING COMPANY      COM              86074Q102     1091    40600 SH       Sole                    40600
TEXACO INC                     COM              881694103    41842   662842 SH       Sole                   634082             28760
THE GREAT A & P CO.            COM              390064103     1291    42600 SH       Sole                    42600
THE WALT DISNEY CO.            COM              254687106    39670  1525787 SH       Sole                  1458787             67000
TIFFANY & CO.                  COM              886547108    29476   491777 SH       Sole                   475277             16500
TIME WARNER INC                COM              887315109    40014   658674 SH       Sole                   624774             33900
TOO INC.                       COM              890333107      972    54208 SH       Sole                    54208
TRANSOCEAN OFFSHORE INC        COM              g90076103      759    24800 SH       Sole                    24800
TRANSWITCH CORP                COM              894065101     3414    59900 SH       Sole                    59900
TRIQUINT SEMICONDUCTOR INC     COM              89674K103     1375    24050 SH       Sole                    24050
UNION PLANTER CORP.            COM              908068109      668    16400 SH       Sole                    16400
USWEB CORP                     COM              917327108      875    25500 SH       Sole                    25500
VERISIGN                       COM              92343e102      873     8200 SH       Sole                     8200
VERITAS SOFTWARE CORP          COM              923436109      972    12800 SH       Sole                    12800
VERITY INC                     COM              92343C106     2615    38000 SH       Sole                    38000
VULCAN MATERIALS CO            COM              929160109      670    18300 SH       Sole                    18300
WARNER-LAMBERT                 COM              934488107     2735    41200 SH       Sole                    13700             27500
WELLPOINT HEALTH NETWORKS      COM              94973H108      222     3900 SH       Sole                     3900
WESLEY JESSEN VISIONCARE       COM              951018100     1750    56100 SH       Sole                    56100
WHITTMAN-HART INC              COM              966834103     5840   150600 SH       Sole                   150600
WILLIAMS-SONOMA INC            COM              969904101      835    17200 SH       Sole                    17200
XOMED SURGICAL PRODUCTS INC    COM              98412V107     5823   102150 SH       Sole                   102150
ZALE CORP.                     COM              988858106      743    19400 SH       Sole                    19400
APARTMENT INVESTMENT & MANAGEM                  03748R101      769    20100 SH       Sole                    20100
ARCHSTONE COMMUNITIES TRUST                     039581103      683    34571 SH       Sole                    34571
ARDEN REALTY GROUP INC                          039793104      439    20200 SH       Sole                    20200
AVALONBAY COMMUNITIES, INC.                     053484101      793    23400 SH       Sole                    23400
BEDFORD PROPERTY INVESTORS                      076446301     1770   104900 SH       Sole                   104900
BOSTON PROPERTIES INC                           101121101      663    21600 SH       Sole                    21600
BRANDYWINE REALTY TRUST                         105368203      276    17000 SH       Sole                    17000
BRE PROPERTIES, INC.                            05564E106      335    14000 SH       Sole                    14000
BURNHAM PACIFIC PROPERTIES, IN                  12232C108      187    17700 SH       Sole                    17700
CAMDEN PROPERTY TRUST                           133131102      242     9000 SH       Sole                     9000
CATELLUS DEVELOPMENT CORP                       149111106      398    33900 SH       Sole                    33900
CENTERPOINT PROPERTIES TRUST                    151895109      354    10500 SH       Sole                    10500
COLONIAL PROPERTIES TRUST                       195872106      350    13100 SH       Sole                    13100
CRESCENT REAL ESTATE EQUITIES,                  225756105      416    23100 SH       Sole                    23100
DEVELOPERS DIVERSIFIED REALTY                   251591103      445    31800 SH       Sole                    31800
DUKE REALTY INVESTMENTS, INC.                   264411505      740    37930 SH       Sole                    37930
EQUITY OFFICE PROPERTIES TRUST                  294741103     1144    49186 SH       Sole                    49186
EQUITY RESIDENTIAL PROPERTIES                   29476L107     1280    30200 SH       Sole                    30200
ESSEX PROPERTY                                  297178105      245     7000 SH       Sole                     7000
FIRST INDUSTRIAL REALTY TRUST,                  32054K103      495    20000 SH       Sole                    20000
FRANCHISE FINANCE CORP. OF AME                  351807102      486    20800 SH       Sole                    20800
GENERAL GROWTH PROPERTIES                       370021107      450    14300 SH       Sole                    14300
HEALTH CARE REIT, INC.                          42217K106      416    20800 SH       Sole                    20800
HEALTHCARE REALTY TRUST INC.                    421946104      216    11500 SH       Sole                    11500
HIGHWOODS PROPERTIES, INC.                      431284108      455    17600 SH       Sole                    17600
HOST MARRIOTT CORP                              44107P104      455    47900 SH       Sole                    47900
JDN REALTY CORP                                 465917102      412    20100 SH       Sole                    20100
KIMCO REALTY CORPORATION                        49446R109    19108   534496 SH       Sole                   510096             24400
LIBERTY PROPERTY TRUST                          531172104      404    17800 SH       Sole                    17800
MACK-CALI REALTY CORPORATION                    554489104      453    16900 SH       Sole                    16900
MANUFACTURED HOME COMMUNITIES,                  564682102      337    14400 SH       Sole                    14400
MEDITRUST CORP-PAIRED STOCK                     58501t306      206    24200 SH       Sole                    24200
MERISTAR HOSPITALITY CORP                       58984y103      442    28753 SH       Sole                    28753
MILLS CORP.                                     601148109      403    22600 SH       Sole                    22600
POST PROPERTIES, INC.                           737464107      401    10200 SH       Sole                    10200
PROLOGIS                                        743410102      668    35382 SH       Sole                    35382
PUBLIC STORAGE INC.                             74460D109      801    31800 SH       Sole                    31800
REGENCY REALTY                                  758939102      367    17500 SH       Sole                    17500
SIMON PROPERTY GROUP, INC.                      828806109      998    44500 SH       Sole                    44500
SL GREEN REALTY CORP.                           78440X101      500    24400 SH       Sole                    24400
SOVRAN SELF STORAGE                             84610H108      221     9700 SH       Sole                     9700
SPIEKER PROPERTIES, INC.                        848497103      323     9300 SH       Sole                     9300
STARWOOD HOTELS & RESORTS WORL                  85590a203    16586   743341 SH       Sole                   707041             36300
THE MACERICH COMPANY                            554382101      224     9700 SH       Sole                     9700
URBAN SHOPPING CENTERS, INC.                    917060105     1616    55500 SH       Sole                    55500
VORNADO REALTY TRUST                            929042109    17385   534910 SH       Sole                   509910             25000
REPORT SUMMARY                180 DATA RECORDS             1618274            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED



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</TABLE>


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