~'1AY2 C i:J90 sec SECURITIES ANIJ · COLONIAL VALUE INVESTING PORTFOLIOS - EQUITY PORTFOLIO A...
Transcript of ~'1AY2 C i:J90 sec SECURITIES ANIJ · COLONIAL VALUE INVESTING PORTFOLIOS - EQUITY PORTFOLIO A...
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~1AY2 C iJ90 )5 SECURITIES ANIJ
secIssue 90-97 Hay 18 1990
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Following is a schedule of Commission meetings which will be conducted under provisions of the Government in the Sunshine Act In general the Commission expects to follow a schedule of holding closed meetings on Tuesdays and open meetings on Thursday morning Meetings on Wednesday and if necessary on Thursday afternoons will be either open or closed according to the requirements of agenda items under consideration
Visitors are welcome at all open meetings insofar as space is available
Meetings will be held in the Commission Meeting Room Room lC30 at the Commissions headquarters building 450 Fifth Street NY Washington DC Persons wishing to photograph or videotape Commission meetings must obtain permission in advance from the Secretary of the Commission Persons wishing to tape record a Commission meeting should notify the Secretarys office 48 hours in advance of the meeting
CLOSED MEETING - MAY 22 1990 - 230 pm
The subject matter of the May 22nd closed meeting will be Institution of administrative proceedings of an enforcement nature Reject settlement of administrative proceeding of an enforcement nature Settlement of injunctive actionsand Institution of injunctive actions
AT TIMES CHANGES IN COMMISSION PRIORITIES REQUIRE ALTERATIONS IN THE SCHEDULING OF MEETING ITEMS FOR FURTHER INFORMATION AND TO ASCERTAIN WHAT IF ANY MATTERS HAVE BEEN ADDED DELETED OR POSTPONED PLEASE CONTACT Dan Gray at (202) 272-2300
WEEKLY CALENDAR
Chairman Breeden will testify before the Subcommittee on Telecommunications and Finance of the Energy and Commerce Committee of the House of Representatives on Thursday May 24 The subject of the hearing which is scheduled to begin at 930 am is SECCFTC jurisdiction The room number will be announced
CRIMINAL PROCEEDINGSmiddot
MARK S BENSKIN SENTENCED
The Atlanta Regional Office and the US Attorneys Office of the Western District of Tennessee announced that on April 27 Judge Julia Gibbons of the Western District of Tennessee Western Division sentenced Mark S Benskin (Benskin) of MemphisTennessee to ten years in prison The indictment contained forty counts of mail fraud and ten counts of securities fraud involving failure to purchase securities and misappropriation of funds Benskin was sentenced to five years for securities fraud to run consecutively with his five-year sentence for mail fraud The indictment charged that Benskin through his company operated as an unregistered broker-dealer and defrauded over 600 investors from twenty-two states of over $38 million
On May 3 1990 Benskin pleaded guilty in state court to fraudulent securities practices failure to register as a broker-dealer and grand larceny charges and was sentenced to ten years (See State of Tennessee v Mark S Benskin et al Criminal Action No 89-0377 Division 3 Tenn Criminal Court Shelby County) [United States v Mark Stephen Benskin and Mark Benskin amp Company Inc Crim Action 89-20l66-GUSDC WD Tenn Western Division] (LR-12476)
INVESTMENT COMPANY ACTmiddotmiddotRELEASE$middotmiddotmiddotmiddot
KEMPER INVESTORS LIFE INSURANCE COMPANY
An order has been issued under Section 6(c) of the Investment Company Act exemptingKemper Investors Life Insurance Company KILICO Variable Annuity Separate Account (Variable Account) and Kemper Financial Services Inc from Sections 26(a)(2)(C) and 27(c)(2) of the Act to the extent necessary to permit the deduction of mortality and expense risk charges from the assets of the Variable Account pursuant to certain groupvariable annuity contracts (ReI IC-17494 - May 16)
COLONIAL VALUE INVESTING PORTFOLIOS - EQUITY PORTFOLIO
A conditional order has been issued on an application filed by Colonial Value Investing Portfolios - Equity Portfolio (Trust) Colonial Management Associates Inc and Colonial Investment Services Inc (collectively Applicants) under Section 6(c)of the Investment Company Act exempting the Trust from the provisions of Sections l8(f)(1) l8(g) and 18(i) to the extent necessary to permit the Trust to issue two classes of shares of each of its existing and future series (ReI IC-17495 - May16)
SELF-REGULATORYORGANlZATlONS
APPROVAL OF PROPOSED RULE CHANGE
The Commission has approved a rule change filed by the Pacific Stock Exchange (SR-PSE-89-16) that requires PSE trading crowds to provide a depth of ten contracts for
2 NEWS DIGEST Kay 18 1990
all non-broker-dealer customer orders at the disseminated market quote at the time such orders are announced or displayed at the applicable PSE trading post The qommission has approved the rule on a one-year pilot basis (ReI 34-28021)
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The following registration statements have been filed with the SEC under the Securities Act of 1933 The reported information appears as follows Form NameAddress and Phone Number (if available) of the issuer of the security Title and the number andor face amount of the securities being offered Name of the managingunderwriter or depositor (if applicable) File number and date filed Assigned Branchand a designation if the statement is a New Issue
5-8 AIRE IIC 4949 W ROYAL LI IRVIIG TX 75013 (214) 929-4088 - 1400000 ($7700000)COMIDI STOCK (FILE 33-34729 - MAY 10) (BR 1)
5-4 PHOEIIX ADVAICED TECHIOLOOY IIC 4020 IEWBERRY RD OAIIE5VILLE FL 32107(904) 372-9585 - 11827131 ($1478454) COoI STOCK (FILE 33-14711 - MAY 08)(BR 12)
S-3 BAICORP HAWAII IIC 130 IERCHAIT STREET HOIOLULU HI 91813 (808) 537-8111 -1725000 ($80212500) COMIDI STOCK (FILE 33-14739 - MAY 08) (BR 1)
5-8 IIFORMATIOI IITERUTIOUL IIC 5933 5LAUSOI AVE CULVER CITY CA 90230 (302) 158-7581 - 250000 ($2875000) CDIIDI STOCK bull (FILE 11-34742 - MAY 08) (BR 10)
5-8 IIFDRMATIDI IITERIATIDIAL IIC 5933 SLAUSDI AVE CULVER CITY CA 90230 (802) 658-7581 - 40000 ($460000) CDMlDI STDCK (FILE 11-34748 - MAY 08) (BR 10)
5-4 STORAOE EqUITIES IIC 1015 ORAIDVIEW AVE OLEIDALE CA 11201 (818) 244-8080 -1000000 ($8110000) PREFERRED STDCK 5000000 ($40950000) COMIDI STOCK WARRAITS DPTIDIS OR RIOHTS (FILE 88-84749 - MAY 10) (BR I)
5-8 WESTERI IIVESTIEIT REAL ESTATE TRUST 3450 CALIFORIIA ST SAl FRAICISCO CA 14118(415) 929-0211 - 500000 ($8375000) COMIDI SHARES DF BEIEFICIAL IITEREST (FILE13-14750 - MAY 10) (BR I)
S-3 THERID ELECTROI CORP 101 FIRST AVE POBOX 1041 WALTHA 1M 02254 (117) 122-1000 - 1325000 ($43857500) COMIDI STOCK (FILE 33-34752 - MAY 10) (BR I)
5-8 TELEFLEX IIC 155 5 LIMERICK RD LIMERICK PA 19418 (215) 948-5100 - 700000($21301250) COoI STDCK (FILE 33-34753 - MAY 10) (BR 4)
5-8 EASTMAI KDDAK CO 143 STATE ST RDCHESTER IY 14150 (71) 724-4000 (FILE 11-34757 -MAY 10) (BR 13)
5-8 LDCKHEED CDRP 4500 PARK ORAIADA BLVD CALABASAS CA 91319 (81) 712-2000 (FILE33-34758 - MAY 10) (BR 13)
S- IUVEEI TAX EXEMPT UIIT TRUST SERIES 557 333 WEST WACKER DRCD JOHI IUVEEI amp CD IIC CHICAOO IL 60601 - IIDEFIIITE SHARES (FILE 13-14751 -MAY 11) (BR 22 - lEW ISSUE)
S-l HORSEHEAD RESDURCE DEVELDPMEIT CD IIC 113 THIRD ST PALMERTDI PA 1071 (215) 821-8711 - 3737500 ($44850000) COMIDI STOCK UIDERWRITER ALEX BROWI AID SOlS KIDDER PEABODY AID CO (FILE 31-3408 - MAY 01) (BR I - lEW ISSUE)
S- LIBERTY CORP 2000 WADE HAMPTOI BLVD OREEIVILLE SC 29115 (03) 28-8111 - 200000($9787500) COMIDI STOCK (FILE 33-34814 - MAY 10) (BR 9)
NEWS DIGEST May 18 1990 3
~EGISTRATIONS CaNT
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($7303125) COMMOI STOCK (FILE 33-34815 - MAY 10) (BR I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 300000($14606250) OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34811 - MAY 10) (8R I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($31141875) COMIDI STOCK (FILE 33-34817 - MAY 10) (BR I)
5-3 ARVII IIDUSTRIES IIC DIE 10BLITT PLZ POBOX 3000 COLUMBUS II 47202 (812) 371-3000 - 75000000 ($75000000) STRAIGHT BOlDS 75000000 ($75000000) STRAIGHT BOlDS (FILE 33-34818 - MAY 10) (BR 4)
5-6 FIRST TRUST COMBIIED SERIES 101 SUITE 3000 500 W MADISOI ST CHICAGO IL 10101 -IIDEFIIITE SHARES (FILE 33-34821 - MAY 10) (BR 18 - lEW ISSUE)
5-6 FIRST TRUST COMBIIED SERIES 107 SUITE 3000 500 bull MADISOI ST CHICAGO IL 10101 -INDEFIIITE SHARES (FILE 33-34822 - MAY 10) (BR 18 - lEW ISSUE)
5-1 GITAIO GROUP IIC 1411 BROADAY lEW YORK IY 10018 (212) 811-0707 - 200000($1500000) COMMOI STOCK 1582500 ($51431250) COMMOI STOCK (FILE 33-34823 -MAY 10) (BR 7)
5-1 OEIS ILLIIOIS INC IDEI DIE SEAGATE TOLEDO OH 4311 (411) 247-5000 - 11500000($11500000) STRAIGHT BOlDS 20000000 ($20000000) STRAIGHT BOlDS 5000000($5000000) STRAIGHT BONDS 3000000 ($3000000) STRAIGHT BOlDS (FILE 33-34825 -IIAY 10) (BR 10)
5-4 ANDREWS GROUP INC IDE 21 E 13RD ST lEW YORK IY 10021 (212) 513-4300 -33000000 ($114827586) STRAIGHT BOlDS (FILE 33-34821 - MAY 11) (BR 12)
5-1 lilA IIC 113 KING ST ARIOIK IY 10504 (114) 273-4545 - 5175000 ($172018750) COIIDI STOCK (FILE 33-34830 - MAY 11) (BR I)
5-4 NEFIELD BANCORP IIC 18-24 bull BLVD IEWFIELD NJ 08344 (101) 112-3440 - 70111($731880570) COMIDI STOCK (FILE 33-34832 - MAY 08) (BR 2 - IE ISSUE)
5-1 PHOEIIX LASER SYSTEMS IIC 2087 UIIOI ST SAl FRAICISCO CA 14123 (415) 122-4011 -345000 ($3450000) PREFERRED STOCK 30000 ($310000) PREFERRED STOCK 750000 ($3000000) COMIDI STOCK (FILE 33-34833 - MAY 10) (BR 8)
5-8 MAGIETEK IIC 11150 SAlTA IOIICA BLVD 15TH FL LOS AIGELES CA 10025 (218) 478-1181 - 50000 ($547000) COIIDI STOCK 547000 OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34834 - MAY 11) (BR 7)
5-1 HORIZOI GOLD SHARES IIC 1536 COLE BLVD 5TE 140 GOLDEI CO 80401 (303) 231-8701 -1820713 ($723000878) COIIDI STOCK 2432454 ($734101108) COIIDI STOCK 125000 ($181250) COMMOI STOCK 3298000 ($3415880) COMIDI STOCK (FILE 33-34838 - MAY 11) (BR 1)
S-B PROVIICE OF IEFOUIDLAID 1251 AVE OF THE AMERICAS CIO CAIADIAI COISULATE GEIERAL lEW YORK IY 10020 (000) 000-0000 - 350000000 ($350000000) FOREIGI GOVERlMEIT AID AGEICY DEBT (FILE 33-34858 - MAY 11) (BR I)
5-4 ROCHESTER TELEPHOIE CORP ROCHESTER TEL CEITER 180 5 CLIITOI AVE ROCHESTER IY 14646 (711) 777-7330 - 165210 ($4521184) COMMOI STOCK (FILE 33-34851 - MAY 11) (BR 7)
5-2 KELLEY OIL CORP 101 JEFFERSOI STE 1100 HOUSTOI TX 77002 (713) 152-5200 -1500000 ($14250000) COIIDI STOCK 1375000 ($13012500) COoN STOCK (FILE33-34810 - MAY 11) (BR 7)
5-4 IBI IIC 3450 MITCHELL LI POBOX 1001 BOULDER CO 80301 (303) 444-5710 - 470000 ($1515100) PREFERRED STOCK 3401700 ($4761880) PREFERRED STOCK 21380133($2138013) COIIDN STOCK 14085080 ($14085) COMIDN STOCK (FILE 33-34811 -MAY 11) (8R 13)
5-3 POTOMAC ELECTRIC POWER CO 1100 PEIISYLVANIA AVE I CIO M T HOWARD RM 841 ASHIIGTOI DC 20018 (202) 872-2000 - 1000000 ($50000000) PREFERRED STOCK (FILE33-34811 - MAY 11) (BR 7)
NEWS DIGEST May 18 19904
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Companies and individuals must report to the Commission within ten days on Schedule 13D if after the acquisition of equity securities of a public company their beneficialinterest therein exceeds five percent Persons eligible to use the short form (Schedule 13G) may in lieu of filing a Schedule 13D file a Schedule 13G within 45 dayafter the end of the calendar year in which the person became subject to Section 13(d)(1) Companies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1
Below is a list of recent filings of Schedules 130 and 140 which includes the following information Column 1 - the company purchased (top) and the name of the purchaser Column 2 - the type of security purchased Column - 3 - the type of form filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned Column 6 - the CUSIP number (top) and the percent owned and Column 7 - the status of the filing ienew update or revision
EVENT SHRS(OOO) CUSIP FILING NAME AND CLASS OF STOCKOWNER FORM DATE OWNED PRIOR STATUS
CVB FINL CORP COM 619 12660010 KRUSE RONALD 0 130 10 689 104 49 UPDATE
CANONIE ENVIRONMENTAL SVCS C COM 1946 13801210 GRACE W R amp CO 13D 5 990 342 329 UPDATE
CARVER CORP WASH COM 235 14688110 KELSO MANAGEMENT CO ET AL 130 5 490 66 56 UPDATE
COMDIAL CORP COM 1667 20033210 ALLTEL CORP 13D 51490 93 93 UPDATE
COMPUOYNE CORP COM PAR $075 o 20479530 HARRIS ASSOCIATES INC 13D 5 790 00 97 UPDATE
o a C OPTICS CORP COM 298 23324010 FMR CORP 130 41990 131 189 UPDATE
OATAPROOUCTS CORP COM 740 23810710 CRESCOTT INV ASSOC ET AL 130 41890 47 71 UPDATE
DETREX CORP COM 107 25068510 HARRIS ASSOCIATES INC 13D 5 490 68 78 UPDATE
DETREX CORP COM 95 25068510 WARWICK PARTNERS LP ET AL 13D 5 490 60 00 NEW
ENERCON OATA CORP COM 2362 29299810 OSWALD CHARLES W 130 42390 515 450 UPDATE
EXCELSIOR INCOME SHS INC COM 115 30072310 KARPUS GEORGE W 13G 51490 52 52 NEW
FALL RIVER GAS CO COM 101 30627910 JARABEK ALLEN L ET AL 13D 41290 113 107 UPDATE
FIRST FINANCIAL MGMT CORP COM 2313 3024510 STATE OF WISCONSIN INVEST BO 130 42590 88 74 UPDATE
NEWS OIGEST May 18 1990 5
ACQUISITIONS CONT
NAME AND CLASS OF STOCJCQWND FORK EVENT DATE
SBRS(OOO)omD
CUSIPPRIOM
FILING STATUS
FREEPORT MCMORAN OIL amp GAS FREEPORT MCMORAN INC
C COM 13D 33090
101372815
35699410 00 NEW
FREMONT GEN CORP COM 310 35728810 STEINHARDT MICHAEL H ET AL 13D 51090 38 80 UPDATE
G R I CORP COM 555 36223210 FMR CORP 13D 41790 247 352 UPDATE
GARAN INC COM 228 36480210 HARRIS ASSOCIATES INC 13D 5 490 91 101 UPDATE
GRACO INC COM 358 38410910 STATE OF WISCONSIN INVEST BD 13D 42690 50 00 NEW
GREATER WASHINGTON INVS DEL COM 422 39238810 RESEARCH INDS INC ET AL 13D 5 190 103 91 UPDATE
HEALTHVEST SH BEN INT 546 42192110 PRIVATE CAP MGMT ET AL 13D 5 390 51 00 NEW
HORIZON INDS INC BEAULIEU OF AMERICA ET AL
COM 13D 5 290
550 101
44042310 00 NEW
HORN amp HARDART BAKING CO COM 0 44048810 SANDFORD JAY ET AL 13D 5 990 00 NA UPDATE
HOSPOSABLE PRODS INC COM 157 44106910 WYANT amp CO LTD 13D 4 990 137 00 NEW
HUBBELL INC FLINT ROBERT N
CL A 13D 5 790
2298383
44351010 00 NEW
HUBBELL INC MCNALLY ANDREW IV
CL A 13D 5 790
2295382
44351010 00 NEW
HYDE ATHLETIC INDS INC COM 72 44863210 FMR CORP 13D 42090 26 127 UPDATE
ICO INC MERCURY ASSET MGMT
COM 13D 32290
116083
44929410 00 NEW
INFORMATION INTL INC COM 446 45674010 KELSO MANAGEMENT CO ET AL 13D 5 190 193 181 UPDATE
INTEGRATED DEVICE TECHNOLOGY STATE OF WISCONSIN INVEST
COM BD 13D 42790
189575
45811810 65 UPDATE
JACOR COMMUNICATIONS COM 500 46985810 KOSOFSKY MARVIN B 13D 5 390 50 00 NEW
LIQUI BOX FERGER
CORP JANE D
COM 13D 1 190
157 68
53631410 00 NEW
MAGNETIC TECH CORP COM PAR $015 52 55949220 HALL RICHARD S 13D 5 490 67 00 NEW
MEDIA GEN INC GAMCO INVESTORS INC ET AL
CL A 13D 51090
4247168
58440410 158 UPDATE
6 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
CRIMINAL PROCEEDINGSmiddot
MARK S BENSKIN SENTENCED
The Atlanta Regional Office and the US Attorneys Office of the Western District of Tennessee announced that on April 27 Judge Julia Gibbons of the Western District of Tennessee Western Division sentenced Mark S Benskin (Benskin) of MemphisTennessee to ten years in prison The indictment contained forty counts of mail fraud and ten counts of securities fraud involving failure to purchase securities and misappropriation of funds Benskin was sentenced to five years for securities fraud to run consecutively with his five-year sentence for mail fraud The indictment charged that Benskin through his company operated as an unregistered broker-dealer and defrauded over 600 investors from twenty-two states of over $38 million
On May 3 1990 Benskin pleaded guilty in state court to fraudulent securities practices failure to register as a broker-dealer and grand larceny charges and was sentenced to ten years (See State of Tennessee v Mark S Benskin et al Criminal Action No 89-0377 Division 3 Tenn Criminal Court Shelby County) [United States v Mark Stephen Benskin and Mark Benskin amp Company Inc Crim Action 89-20l66-GUSDC WD Tenn Western Division] (LR-12476)
INVESTMENT COMPANY ACTmiddotmiddotRELEASE$middotmiddotmiddotmiddot
KEMPER INVESTORS LIFE INSURANCE COMPANY
An order has been issued under Section 6(c) of the Investment Company Act exemptingKemper Investors Life Insurance Company KILICO Variable Annuity Separate Account (Variable Account) and Kemper Financial Services Inc from Sections 26(a)(2)(C) and 27(c)(2) of the Act to the extent necessary to permit the deduction of mortality and expense risk charges from the assets of the Variable Account pursuant to certain groupvariable annuity contracts (ReI IC-17494 - May 16)
COLONIAL VALUE INVESTING PORTFOLIOS - EQUITY PORTFOLIO
A conditional order has been issued on an application filed by Colonial Value Investing Portfolios - Equity Portfolio (Trust) Colonial Management Associates Inc and Colonial Investment Services Inc (collectively Applicants) under Section 6(c)of the Investment Company Act exempting the Trust from the provisions of Sections l8(f)(1) l8(g) and 18(i) to the extent necessary to permit the Trust to issue two classes of shares of each of its existing and future series (ReI IC-17495 - May16)
SELF-REGULATORYORGANlZATlONS
APPROVAL OF PROPOSED RULE CHANGE
The Commission has approved a rule change filed by the Pacific Stock Exchange (SR-PSE-89-16) that requires PSE trading crowds to provide a depth of ten contracts for
2 NEWS DIGEST Kay 18 1990
all non-broker-dealer customer orders at the disseminated market quote at the time such orders are announced or displayed at the applicable PSE trading post The qommission has approved the rule on a one-year pilot basis (ReI 34-28021)
middotbullbullbullbullbullbullbull bullbullbullbullbullbullbull bullbullbullbullbullbull bullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbulliji6t1RITtJls Acent~middot~~t$~~116i113
The following registration statements have been filed with the SEC under the Securities Act of 1933 The reported information appears as follows Form NameAddress and Phone Number (if available) of the issuer of the security Title and the number andor face amount of the securities being offered Name of the managingunderwriter or depositor (if applicable) File number and date filed Assigned Branchand a designation if the statement is a New Issue
5-8 AIRE IIC 4949 W ROYAL LI IRVIIG TX 75013 (214) 929-4088 - 1400000 ($7700000)COMIDI STOCK (FILE 33-34729 - MAY 10) (BR 1)
5-4 PHOEIIX ADVAICED TECHIOLOOY IIC 4020 IEWBERRY RD OAIIE5VILLE FL 32107(904) 372-9585 - 11827131 ($1478454) COoI STOCK (FILE 33-14711 - MAY 08)(BR 12)
S-3 BAICORP HAWAII IIC 130 IERCHAIT STREET HOIOLULU HI 91813 (808) 537-8111 -1725000 ($80212500) COMIDI STOCK (FILE 33-14739 - MAY 08) (BR 1)
5-8 IIFORMATIOI IITERUTIOUL IIC 5933 5LAUSOI AVE CULVER CITY CA 90230 (302) 158-7581 - 250000 ($2875000) CDIIDI STOCK bull (FILE 11-34742 - MAY 08) (BR 10)
5-8 IIFDRMATIDI IITERIATIDIAL IIC 5933 SLAUSDI AVE CULVER CITY CA 90230 (802) 658-7581 - 40000 ($460000) CDMlDI STDCK (FILE 11-34748 - MAY 08) (BR 10)
5-4 STORAOE EqUITIES IIC 1015 ORAIDVIEW AVE OLEIDALE CA 11201 (818) 244-8080 -1000000 ($8110000) PREFERRED STDCK 5000000 ($40950000) COMIDI STOCK WARRAITS DPTIDIS OR RIOHTS (FILE 88-84749 - MAY 10) (BR I)
5-8 WESTERI IIVESTIEIT REAL ESTATE TRUST 3450 CALIFORIIA ST SAl FRAICISCO CA 14118(415) 929-0211 - 500000 ($8375000) COMIDI SHARES DF BEIEFICIAL IITEREST (FILE13-14750 - MAY 10) (BR I)
S-3 THERID ELECTROI CORP 101 FIRST AVE POBOX 1041 WALTHA 1M 02254 (117) 122-1000 - 1325000 ($43857500) COMIDI STOCK (FILE 33-34752 - MAY 10) (BR I)
5-8 TELEFLEX IIC 155 5 LIMERICK RD LIMERICK PA 19418 (215) 948-5100 - 700000($21301250) COoI STDCK (FILE 33-34753 - MAY 10) (BR 4)
5-8 EASTMAI KDDAK CO 143 STATE ST RDCHESTER IY 14150 (71) 724-4000 (FILE 11-34757 -MAY 10) (BR 13)
5-8 LDCKHEED CDRP 4500 PARK ORAIADA BLVD CALABASAS CA 91319 (81) 712-2000 (FILE33-34758 - MAY 10) (BR 13)
S- IUVEEI TAX EXEMPT UIIT TRUST SERIES 557 333 WEST WACKER DRCD JOHI IUVEEI amp CD IIC CHICAOO IL 60601 - IIDEFIIITE SHARES (FILE 13-14751 -MAY 11) (BR 22 - lEW ISSUE)
S-l HORSEHEAD RESDURCE DEVELDPMEIT CD IIC 113 THIRD ST PALMERTDI PA 1071 (215) 821-8711 - 3737500 ($44850000) COMIDI STOCK UIDERWRITER ALEX BROWI AID SOlS KIDDER PEABODY AID CO (FILE 31-3408 - MAY 01) (BR I - lEW ISSUE)
S- LIBERTY CORP 2000 WADE HAMPTOI BLVD OREEIVILLE SC 29115 (03) 28-8111 - 200000($9787500) COMIDI STOCK (FILE 33-34814 - MAY 10) (BR 9)
NEWS DIGEST May 18 1990 3
~EGISTRATIONS CaNT
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($7303125) COMMOI STOCK (FILE 33-34815 - MAY 10) (BR I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 300000($14606250) OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34811 - MAY 10) (8R I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($31141875) COMIDI STOCK (FILE 33-34817 - MAY 10) (BR I)
5-3 ARVII IIDUSTRIES IIC DIE 10BLITT PLZ POBOX 3000 COLUMBUS II 47202 (812) 371-3000 - 75000000 ($75000000) STRAIGHT BOlDS 75000000 ($75000000) STRAIGHT BOlDS (FILE 33-34818 - MAY 10) (BR 4)
5-6 FIRST TRUST COMBIIED SERIES 101 SUITE 3000 500 W MADISOI ST CHICAGO IL 10101 -IIDEFIIITE SHARES (FILE 33-34821 - MAY 10) (BR 18 - lEW ISSUE)
5-6 FIRST TRUST COMBIIED SERIES 107 SUITE 3000 500 bull MADISOI ST CHICAGO IL 10101 -INDEFIIITE SHARES (FILE 33-34822 - MAY 10) (BR 18 - lEW ISSUE)
5-1 GITAIO GROUP IIC 1411 BROADAY lEW YORK IY 10018 (212) 811-0707 - 200000($1500000) COMMOI STOCK 1582500 ($51431250) COMMOI STOCK (FILE 33-34823 -MAY 10) (BR 7)
5-1 OEIS ILLIIOIS INC IDEI DIE SEAGATE TOLEDO OH 4311 (411) 247-5000 - 11500000($11500000) STRAIGHT BOlDS 20000000 ($20000000) STRAIGHT BOlDS 5000000($5000000) STRAIGHT BONDS 3000000 ($3000000) STRAIGHT BOlDS (FILE 33-34825 -IIAY 10) (BR 10)
5-4 ANDREWS GROUP INC IDE 21 E 13RD ST lEW YORK IY 10021 (212) 513-4300 -33000000 ($114827586) STRAIGHT BOlDS (FILE 33-34821 - MAY 11) (BR 12)
5-1 lilA IIC 113 KING ST ARIOIK IY 10504 (114) 273-4545 - 5175000 ($172018750) COIIDI STOCK (FILE 33-34830 - MAY 11) (BR I)
5-4 NEFIELD BANCORP IIC 18-24 bull BLVD IEWFIELD NJ 08344 (101) 112-3440 - 70111($731880570) COMIDI STOCK (FILE 33-34832 - MAY 08) (BR 2 - IE ISSUE)
5-1 PHOEIIX LASER SYSTEMS IIC 2087 UIIOI ST SAl FRAICISCO CA 14123 (415) 122-4011 -345000 ($3450000) PREFERRED STOCK 30000 ($310000) PREFERRED STOCK 750000 ($3000000) COMIDI STOCK (FILE 33-34833 - MAY 10) (BR 8)
5-8 MAGIETEK IIC 11150 SAlTA IOIICA BLVD 15TH FL LOS AIGELES CA 10025 (218) 478-1181 - 50000 ($547000) COIIDI STOCK 547000 OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34834 - MAY 11) (BR 7)
5-1 HORIZOI GOLD SHARES IIC 1536 COLE BLVD 5TE 140 GOLDEI CO 80401 (303) 231-8701 -1820713 ($723000878) COIIDI STOCK 2432454 ($734101108) COIIDI STOCK 125000 ($181250) COMMOI STOCK 3298000 ($3415880) COMIDI STOCK (FILE 33-34838 - MAY 11) (BR 1)
S-B PROVIICE OF IEFOUIDLAID 1251 AVE OF THE AMERICAS CIO CAIADIAI COISULATE GEIERAL lEW YORK IY 10020 (000) 000-0000 - 350000000 ($350000000) FOREIGI GOVERlMEIT AID AGEICY DEBT (FILE 33-34858 - MAY 11) (BR I)
5-4 ROCHESTER TELEPHOIE CORP ROCHESTER TEL CEITER 180 5 CLIITOI AVE ROCHESTER IY 14646 (711) 777-7330 - 165210 ($4521184) COMMOI STOCK (FILE 33-34851 - MAY 11) (BR 7)
5-2 KELLEY OIL CORP 101 JEFFERSOI STE 1100 HOUSTOI TX 77002 (713) 152-5200 -1500000 ($14250000) COIIDI STOCK 1375000 ($13012500) COoN STOCK (FILE33-34810 - MAY 11) (BR 7)
5-4 IBI IIC 3450 MITCHELL LI POBOX 1001 BOULDER CO 80301 (303) 444-5710 - 470000 ($1515100) PREFERRED STOCK 3401700 ($4761880) PREFERRED STOCK 21380133($2138013) COIIDN STOCK 14085080 ($14085) COMIDN STOCK (FILE 33-34811 -MAY 11) (8R 13)
5-3 POTOMAC ELECTRIC POWER CO 1100 PEIISYLVANIA AVE I CIO M T HOWARD RM 841 ASHIIGTOI DC 20018 (202) 872-2000 - 1000000 ($50000000) PREFERRED STOCK (FILE33-34811 - MAY 11) (BR 7)
NEWS DIGEST May 18 19904
bullbullbullA8Qt1ISi~tQJmiddotmiddotbullbullbullP~middotbullmiddot$JI~~I+l88bullbullbullbullbullbullbullbullbullbullbullbullbullbullmiddotmiddotmiddotbullbullbullbullbullbullbullbullbullbullbullbullbull
Companies and individuals must report to the Commission within ten days on Schedule 13D if after the acquisition of equity securities of a public company their beneficialinterest therein exceeds five percent Persons eligible to use the short form (Schedule 13G) may in lieu of filing a Schedule 13D file a Schedule 13G within 45 dayafter the end of the calendar year in which the person became subject to Section 13(d)(1) Companies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1
Below is a list of recent filings of Schedules 130 and 140 which includes the following information Column 1 - the company purchased (top) and the name of the purchaser Column 2 - the type of security purchased Column - 3 - the type of form filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned Column 6 - the CUSIP number (top) and the percent owned and Column 7 - the status of the filing ienew update or revision
EVENT SHRS(OOO) CUSIP FILING NAME AND CLASS OF STOCKOWNER FORM DATE OWNED PRIOR STATUS
CVB FINL CORP COM 619 12660010 KRUSE RONALD 0 130 10 689 104 49 UPDATE
CANONIE ENVIRONMENTAL SVCS C COM 1946 13801210 GRACE W R amp CO 13D 5 990 342 329 UPDATE
CARVER CORP WASH COM 235 14688110 KELSO MANAGEMENT CO ET AL 130 5 490 66 56 UPDATE
COMDIAL CORP COM 1667 20033210 ALLTEL CORP 13D 51490 93 93 UPDATE
COMPUOYNE CORP COM PAR $075 o 20479530 HARRIS ASSOCIATES INC 13D 5 790 00 97 UPDATE
o a C OPTICS CORP COM 298 23324010 FMR CORP 130 41990 131 189 UPDATE
OATAPROOUCTS CORP COM 740 23810710 CRESCOTT INV ASSOC ET AL 130 41890 47 71 UPDATE
DETREX CORP COM 107 25068510 HARRIS ASSOCIATES INC 13D 5 490 68 78 UPDATE
DETREX CORP COM 95 25068510 WARWICK PARTNERS LP ET AL 13D 5 490 60 00 NEW
ENERCON OATA CORP COM 2362 29299810 OSWALD CHARLES W 130 42390 515 450 UPDATE
EXCELSIOR INCOME SHS INC COM 115 30072310 KARPUS GEORGE W 13G 51490 52 52 NEW
FALL RIVER GAS CO COM 101 30627910 JARABEK ALLEN L ET AL 13D 41290 113 107 UPDATE
FIRST FINANCIAL MGMT CORP COM 2313 3024510 STATE OF WISCONSIN INVEST BO 130 42590 88 74 UPDATE
NEWS OIGEST May 18 1990 5
ACQUISITIONS CONT
NAME AND CLASS OF STOCJCQWND FORK EVENT DATE
SBRS(OOO)omD
CUSIPPRIOM
FILING STATUS
FREEPORT MCMORAN OIL amp GAS FREEPORT MCMORAN INC
C COM 13D 33090
101372815
35699410 00 NEW
FREMONT GEN CORP COM 310 35728810 STEINHARDT MICHAEL H ET AL 13D 51090 38 80 UPDATE
G R I CORP COM 555 36223210 FMR CORP 13D 41790 247 352 UPDATE
GARAN INC COM 228 36480210 HARRIS ASSOCIATES INC 13D 5 490 91 101 UPDATE
GRACO INC COM 358 38410910 STATE OF WISCONSIN INVEST BD 13D 42690 50 00 NEW
GREATER WASHINGTON INVS DEL COM 422 39238810 RESEARCH INDS INC ET AL 13D 5 190 103 91 UPDATE
HEALTHVEST SH BEN INT 546 42192110 PRIVATE CAP MGMT ET AL 13D 5 390 51 00 NEW
HORIZON INDS INC BEAULIEU OF AMERICA ET AL
COM 13D 5 290
550 101
44042310 00 NEW
HORN amp HARDART BAKING CO COM 0 44048810 SANDFORD JAY ET AL 13D 5 990 00 NA UPDATE
HOSPOSABLE PRODS INC COM 157 44106910 WYANT amp CO LTD 13D 4 990 137 00 NEW
HUBBELL INC FLINT ROBERT N
CL A 13D 5 790
2298383
44351010 00 NEW
HUBBELL INC MCNALLY ANDREW IV
CL A 13D 5 790
2295382
44351010 00 NEW
HYDE ATHLETIC INDS INC COM 72 44863210 FMR CORP 13D 42090 26 127 UPDATE
ICO INC MERCURY ASSET MGMT
COM 13D 32290
116083
44929410 00 NEW
INFORMATION INTL INC COM 446 45674010 KELSO MANAGEMENT CO ET AL 13D 5 190 193 181 UPDATE
INTEGRATED DEVICE TECHNOLOGY STATE OF WISCONSIN INVEST
COM BD 13D 42790
189575
45811810 65 UPDATE
JACOR COMMUNICATIONS COM 500 46985810 KOSOFSKY MARVIN B 13D 5 390 50 00 NEW
LIQUI BOX FERGER
CORP JANE D
COM 13D 1 190
157 68
53631410 00 NEW
MAGNETIC TECH CORP COM PAR $015 52 55949220 HALL RICHARD S 13D 5 490 67 00 NEW
MEDIA GEN INC GAMCO INVESTORS INC ET AL
CL A 13D 51090
4247168
58440410 158 UPDATE
6 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
all non-broker-dealer customer orders at the disseminated market quote at the time such orders are announced or displayed at the applicable PSE trading post The qommission has approved the rule on a one-year pilot basis (ReI 34-28021)
middotbullbullbullbullbullbullbull bullbullbullbullbullbullbull bullbullbullbullbullbull bullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbullbulliji6t1RITtJls Acent~middot~~t$~~116i113
The following registration statements have been filed with the SEC under the Securities Act of 1933 The reported information appears as follows Form NameAddress and Phone Number (if available) of the issuer of the security Title and the number andor face amount of the securities being offered Name of the managingunderwriter or depositor (if applicable) File number and date filed Assigned Branchand a designation if the statement is a New Issue
5-8 AIRE IIC 4949 W ROYAL LI IRVIIG TX 75013 (214) 929-4088 - 1400000 ($7700000)COMIDI STOCK (FILE 33-34729 - MAY 10) (BR 1)
5-4 PHOEIIX ADVAICED TECHIOLOOY IIC 4020 IEWBERRY RD OAIIE5VILLE FL 32107(904) 372-9585 - 11827131 ($1478454) COoI STOCK (FILE 33-14711 - MAY 08)(BR 12)
S-3 BAICORP HAWAII IIC 130 IERCHAIT STREET HOIOLULU HI 91813 (808) 537-8111 -1725000 ($80212500) COMIDI STOCK (FILE 33-14739 - MAY 08) (BR 1)
5-8 IIFORMATIOI IITERUTIOUL IIC 5933 5LAUSOI AVE CULVER CITY CA 90230 (302) 158-7581 - 250000 ($2875000) CDIIDI STOCK bull (FILE 11-34742 - MAY 08) (BR 10)
5-8 IIFDRMATIDI IITERIATIDIAL IIC 5933 SLAUSDI AVE CULVER CITY CA 90230 (802) 658-7581 - 40000 ($460000) CDMlDI STDCK (FILE 11-34748 - MAY 08) (BR 10)
5-4 STORAOE EqUITIES IIC 1015 ORAIDVIEW AVE OLEIDALE CA 11201 (818) 244-8080 -1000000 ($8110000) PREFERRED STDCK 5000000 ($40950000) COMIDI STOCK WARRAITS DPTIDIS OR RIOHTS (FILE 88-84749 - MAY 10) (BR I)
5-8 WESTERI IIVESTIEIT REAL ESTATE TRUST 3450 CALIFORIIA ST SAl FRAICISCO CA 14118(415) 929-0211 - 500000 ($8375000) COMIDI SHARES DF BEIEFICIAL IITEREST (FILE13-14750 - MAY 10) (BR I)
S-3 THERID ELECTROI CORP 101 FIRST AVE POBOX 1041 WALTHA 1M 02254 (117) 122-1000 - 1325000 ($43857500) COMIDI STOCK (FILE 33-34752 - MAY 10) (BR I)
5-8 TELEFLEX IIC 155 5 LIMERICK RD LIMERICK PA 19418 (215) 948-5100 - 700000($21301250) COoI STDCK (FILE 33-34753 - MAY 10) (BR 4)
5-8 EASTMAI KDDAK CO 143 STATE ST RDCHESTER IY 14150 (71) 724-4000 (FILE 11-34757 -MAY 10) (BR 13)
5-8 LDCKHEED CDRP 4500 PARK ORAIADA BLVD CALABASAS CA 91319 (81) 712-2000 (FILE33-34758 - MAY 10) (BR 13)
S- IUVEEI TAX EXEMPT UIIT TRUST SERIES 557 333 WEST WACKER DRCD JOHI IUVEEI amp CD IIC CHICAOO IL 60601 - IIDEFIIITE SHARES (FILE 13-14751 -MAY 11) (BR 22 - lEW ISSUE)
S-l HORSEHEAD RESDURCE DEVELDPMEIT CD IIC 113 THIRD ST PALMERTDI PA 1071 (215) 821-8711 - 3737500 ($44850000) COMIDI STOCK UIDERWRITER ALEX BROWI AID SOlS KIDDER PEABODY AID CO (FILE 31-3408 - MAY 01) (BR I - lEW ISSUE)
S- LIBERTY CORP 2000 WADE HAMPTOI BLVD OREEIVILLE SC 29115 (03) 28-8111 - 200000($9787500) COMIDI STOCK (FILE 33-34814 - MAY 10) (BR 9)
NEWS DIGEST May 18 1990 3
~EGISTRATIONS CaNT
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($7303125) COMMOI STOCK (FILE 33-34815 - MAY 10) (BR I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 300000($14606250) OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34811 - MAY 10) (8R I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($31141875) COMIDI STOCK (FILE 33-34817 - MAY 10) (BR I)
5-3 ARVII IIDUSTRIES IIC DIE 10BLITT PLZ POBOX 3000 COLUMBUS II 47202 (812) 371-3000 - 75000000 ($75000000) STRAIGHT BOlDS 75000000 ($75000000) STRAIGHT BOlDS (FILE 33-34818 - MAY 10) (BR 4)
5-6 FIRST TRUST COMBIIED SERIES 101 SUITE 3000 500 W MADISOI ST CHICAGO IL 10101 -IIDEFIIITE SHARES (FILE 33-34821 - MAY 10) (BR 18 - lEW ISSUE)
5-6 FIRST TRUST COMBIIED SERIES 107 SUITE 3000 500 bull MADISOI ST CHICAGO IL 10101 -INDEFIIITE SHARES (FILE 33-34822 - MAY 10) (BR 18 - lEW ISSUE)
5-1 GITAIO GROUP IIC 1411 BROADAY lEW YORK IY 10018 (212) 811-0707 - 200000($1500000) COMMOI STOCK 1582500 ($51431250) COMMOI STOCK (FILE 33-34823 -MAY 10) (BR 7)
5-1 OEIS ILLIIOIS INC IDEI DIE SEAGATE TOLEDO OH 4311 (411) 247-5000 - 11500000($11500000) STRAIGHT BOlDS 20000000 ($20000000) STRAIGHT BOlDS 5000000($5000000) STRAIGHT BONDS 3000000 ($3000000) STRAIGHT BOlDS (FILE 33-34825 -IIAY 10) (BR 10)
5-4 ANDREWS GROUP INC IDE 21 E 13RD ST lEW YORK IY 10021 (212) 513-4300 -33000000 ($114827586) STRAIGHT BOlDS (FILE 33-34821 - MAY 11) (BR 12)
5-1 lilA IIC 113 KING ST ARIOIK IY 10504 (114) 273-4545 - 5175000 ($172018750) COIIDI STOCK (FILE 33-34830 - MAY 11) (BR I)
5-4 NEFIELD BANCORP IIC 18-24 bull BLVD IEWFIELD NJ 08344 (101) 112-3440 - 70111($731880570) COMIDI STOCK (FILE 33-34832 - MAY 08) (BR 2 - IE ISSUE)
5-1 PHOEIIX LASER SYSTEMS IIC 2087 UIIOI ST SAl FRAICISCO CA 14123 (415) 122-4011 -345000 ($3450000) PREFERRED STOCK 30000 ($310000) PREFERRED STOCK 750000 ($3000000) COMIDI STOCK (FILE 33-34833 - MAY 10) (BR 8)
5-8 MAGIETEK IIC 11150 SAlTA IOIICA BLVD 15TH FL LOS AIGELES CA 10025 (218) 478-1181 - 50000 ($547000) COIIDI STOCK 547000 OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34834 - MAY 11) (BR 7)
5-1 HORIZOI GOLD SHARES IIC 1536 COLE BLVD 5TE 140 GOLDEI CO 80401 (303) 231-8701 -1820713 ($723000878) COIIDI STOCK 2432454 ($734101108) COIIDI STOCK 125000 ($181250) COMMOI STOCK 3298000 ($3415880) COMIDI STOCK (FILE 33-34838 - MAY 11) (BR 1)
S-B PROVIICE OF IEFOUIDLAID 1251 AVE OF THE AMERICAS CIO CAIADIAI COISULATE GEIERAL lEW YORK IY 10020 (000) 000-0000 - 350000000 ($350000000) FOREIGI GOVERlMEIT AID AGEICY DEBT (FILE 33-34858 - MAY 11) (BR I)
5-4 ROCHESTER TELEPHOIE CORP ROCHESTER TEL CEITER 180 5 CLIITOI AVE ROCHESTER IY 14646 (711) 777-7330 - 165210 ($4521184) COMMOI STOCK (FILE 33-34851 - MAY 11) (BR 7)
5-2 KELLEY OIL CORP 101 JEFFERSOI STE 1100 HOUSTOI TX 77002 (713) 152-5200 -1500000 ($14250000) COIIDI STOCK 1375000 ($13012500) COoN STOCK (FILE33-34810 - MAY 11) (BR 7)
5-4 IBI IIC 3450 MITCHELL LI POBOX 1001 BOULDER CO 80301 (303) 444-5710 - 470000 ($1515100) PREFERRED STOCK 3401700 ($4761880) PREFERRED STOCK 21380133($2138013) COIIDN STOCK 14085080 ($14085) COMIDN STOCK (FILE 33-34811 -MAY 11) (8R 13)
5-3 POTOMAC ELECTRIC POWER CO 1100 PEIISYLVANIA AVE I CIO M T HOWARD RM 841 ASHIIGTOI DC 20018 (202) 872-2000 - 1000000 ($50000000) PREFERRED STOCK (FILE33-34811 - MAY 11) (BR 7)
NEWS DIGEST May 18 19904
bullbullbullA8Qt1ISi~tQJmiddotmiddotbullbullbullP~middotbullmiddot$JI~~I+l88bullbullbullbullbullbullbullbullbullbullbullbullbullbullmiddotmiddotmiddotbullbullbullbullbullbullbullbullbullbullbullbullbull
Companies and individuals must report to the Commission within ten days on Schedule 13D if after the acquisition of equity securities of a public company their beneficialinterest therein exceeds five percent Persons eligible to use the short form (Schedule 13G) may in lieu of filing a Schedule 13D file a Schedule 13G within 45 dayafter the end of the calendar year in which the person became subject to Section 13(d)(1) Companies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1
Below is a list of recent filings of Schedules 130 and 140 which includes the following information Column 1 - the company purchased (top) and the name of the purchaser Column 2 - the type of security purchased Column - 3 - the type of form filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned Column 6 - the CUSIP number (top) and the percent owned and Column 7 - the status of the filing ienew update or revision
EVENT SHRS(OOO) CUSIP FILING NAME AND CLASS OF STOCKOWNER FORM DATE OWNED PRIOR STATUS
CVB FINL CORP COM 619 12660010 KRUSE RONALD 0 130 10 689 104 49 UPDATE
CANONIE ENVIRONMENTAL SVCS C COM 1946 13801210 GRACE W R amp CO 13D 5 990 342 329 UPDATE
CARVER CORP WASH COM 235 14688110 KELSO MANAGEMENT CO ET AL 130 5 490 66 56 UPDATE
COMDIAL CORP COM 1667 20033210 ALLTEL CORP 13D 51490 93 93 UPDATE
COMPUOYNE CORP COM PAR $075 o 20479530 HARRIS ASSOCIATES INC 13D 5 790 00 97 UPDATE
o a C OPTICS CORP COM 298 23324010 FMR CORP 130 41990 131 189 UPDATE
OATAPROOUCTS CORP COM 740 23810710 CRESCOTT INV ASSOC ET AL 130 41890 47 71 UPDATE
DETREX CORP COM 107 25068510 HARRIS ASSOCIATES INC 13D 5 490 68 78 UPDATE
DETREX CORP COM 95 25068510 WARWICK PARTNERS LP ET AL 13D 5 490 60 00 NEW
ENERCON OATA CORP COM 2362 29299810 OSWALD CHARLES W 130 42390 515 450 UPDATE
EXCELSIOR INCOME SHS INC COM 115 30072310 KARPUS GEORGE W 13G 51490 52 52 NEW
FALL RIVER GAS CO COM 101 30627910 JARABEK ALLEN L ET AL 13D 41290 113 107 UPDATE
FIRST FINANCIAL MGMT CORP COM 2313 3024510 STATE OF WISCONSIN INVEST BO 130 42590 88 74 UPDATE
NEWS OIGEST May 18 1990 5
ACQUISITIONS CONT
NAME AND CLASS OF STOCJCQWND FORK EVENT DATE
SBRS(OOO)omD
CUSIPPRIOM
FILING STATUS
FREEPORT MCMORAN OIL amp GAS FREEPORT MCMORAN INC
C COM 13D 33090
101372815
35699410 00 NEW
FREMONT GEN CORP COM 310 35728810 STEINHARDT MICHAEL H ET AL 13D 51090 38 80 UPDATE
G R I CORP COM 555 36223210 FMR CORP 13D 41790 247 352 UPDATE
GARAN INC COM 228 36480210 HARRIS ASSOCIATES INC 13D 5 490 91 101 UPDATE
GRACO INC COM 358 38410910 STATE OF WISCONSIN INVEST BD 13D 42690 50 00 NEW
GREATER WASHINGTON INVS DEL COM 422 39238810 RESEARCH INDS INC ET AL 13D 5 190 103 91 UPDATE
HEALTHVEST SH BEN INT 546 42192110 PRIVATE CAP MGMT ET AL 13D 5 390 51 00 NEW
HORIZON INDS INC BEAULIEU OF AMERICA ET AL
COM 13D 5 290
550 101
44042310 00 NEW
HORN amp HARDART BAKING CO COM 0 44048810 SANDFORD JAY ET AL 13D 5 990 00 NA UPDATE
HOSPOSABLE PRODS INC COM 157 44106910 WYANT amp CO LTD 13D 4 990 137 00 NEW
HUBBELL INC FLINT ROBERT N
CL A 13D 5 790
2298383
44351010 00 NEW
HUBBELL INC MCNALLY ANDREW IV
CL A 13D 5 790
2295382
44351010 00 NEW
HYDE ATHLETIC INDS INC COM 72 44863210 FMR CORP 13D 42090 26 127 UPDATE
ICO INC MERCURY ASSET MGMT
COM 13D 32290
116083
44929410 00 NEW
INFORMATION INTL INC COM 446 45674010 KELSO MANAGEMENT CO ET AL 13D 5 190 193 181 UPDATE
INTEGRATED DEVICE TECHNOLOGY STATE OF WISCONSIN INVEST
COM BD 13D 42790
189575
45811810 65 UPDATE
JACOR COMMUNICATIONS COM 500 46985810 KOSOFSKY MARVIN B 13D 5 390 50 00 NEW
LIQUI BOX FERGER
CORP JANE D
COM 13D 1 190
157 68
53631410 00 NEW
MAGNETIC TECH CORP COM PAR $015 52 55949220 HALL RICHARD S 13D 5 490 67 00 NEW
MEDIA GEN INC GAMCO INVESTORS INC ET AL
CL A 13D 51090
4247168
58440410 158 UPDATE
6 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
~EGISTRATIONS CaNT
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($7303125) COMMOI STOCK (FILE 33-34815 - MAY 10) (BR I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 300000($14606250) OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34811 - MAY 10) (8R I)
5-8 LIBERTY CORP 2000 WADE HAMPTOI BLVD GREEIVILLE SC 21115 (803) 218-8111 - 150000($31141875) COMIDI STOCK (FILE 33-34817 - MAY 10) (BR I)
5-3 ARVII IIDUSTRIES IIC DIE 10BLITT PLZ POBOX 3000 COLUMBUS II 47202 (812) 371-3000 - 75000000 ($75000000) STRAIGHT BOlDS 75000000 ($75000000) STRAIGHT BOlDS (FILE 33-34818 - MAY 10) (BR 4)
5-6 FIRST TRUST COMBIIED SERIES 101 SUITE 3000 500 W MADISOI ST CHICAGO IL 10101 -IIDEFIIITE SHARES (FILE 33-34821 - MAY 10) (BR 18 - lEW ISSUE)
5-6 FIRST TRUST COMBIIED SERIES 107 SUITE 3000 500 bull MADISOI ST CHICAGO IL 10101 -INDEFIIITE SHARES (FILE 33-34822 - MAY 10) (BR 18 - lEW ISSUE)
5-1 GITAIO GROUP IIC 1411 BROADAY lEW YORK IY 10018 (212) 811-0707 - 200000($1500000) COMMOI STOCK 1582500 ($51431250) COMMOI STOCK (FILE 33-34823 -MAY 10) (BR 7)
5-1 OEIS ILLIIOIS INC IDEI DIE SEAGATE TOLEDO OH 4311 (411) 247-5000 - 11500000($11500000) STRAIGHT BOlDS 20000000 ($20000000) STRAIGHT BOlDS 5000000($5000000) STRAIGHT BONDS 3000000 ($3000000) STRAIGHT BOlDS (FILE 33-34825 -IIAY 10) (BR 10)
5-4 ANDREWS GROUP INC IDE 21 E 13RD ST lEW YORK IY 10021 (212) 513-4300 -33000000 ($114827586) STRAIGHT BOlDS (FILE 33-34821 - MAY 11) (BR 12)
5-1 lilA IIC 113 KING ST ARIOIK IY 10504 (114) 273-4545 - 5175000 ($172018750) COIIDI STOCK (FILE 33-34830 - MAY 11) (BR I)
5-4 NEFIELD BANCORP IIC 18-24 bull BLVD IEWFIELD NJ 08344 (101) 112-3440 - 70111($731880570) COMIDI STOCK (FILE 33-34832 - MAY 08) (BR 2 - IE ISSUE)
5-1 PHOEIIX LASER SYSTEMS IIC 2087 UIIOI ST SAl FRAICISCO CA 14123 (415) 122-4011 -345000 ($3450000) PREFERRED STOCK 30000 ($310000) PREFERRED STOCK 750000 ($3000000) COMIDI STOCK (FILE 33-34833 - MAY 10) (BR 8)
5-8 MAGIETEK IIC 11150 SAlTA IOIICA BLVD 15TH FL LOS AIGELES CA 10025 (218) 478-1181 - 50000 ($547000) COIIDI STOCK 547000 OTHER SECURITIES IICLUDIIG VOTIIG TRUST (FILE 33-34834 - MAY 11) (BR 7)
5-1 HORIZOI GOLD SHARES IIC 1536 COLE BLVD 5TE 140 GOLDEI CO 80401 (303) 231-8701 -1820713 ($723000878) COIIDI STOCK 2432454 ($734101108) COIIDI STOCK 125000 ($181250) COMMOI STOCK 3298000 ($3415880) COMIDI STOCK (FILE 33-34838 - MAY 11) (BR 1)
S-B PROVIICE OF IEFOUIDLAID 1251 AVE OF THE AMERICAS CIO CAIADIAI COISULATE GEIERAL lEW YORK IY 10020 (000) 000-0000 - 350000000 ($350000000) FOREIGI GOVERlMEIT AID AGEICY DEBT (FILE 33-34858 - MAY 11) (BR I)
5-4 ROCHESTER TELEPHOIE CORP ROCHESTER TEL CEITER 180 5 CLIITOI AVE ROCHESTER IY 14646 (711) 777-7330 - 165210 ($4521184) COMMOI STOCK (FILE 33-34851 - MAY 11) (BR 7)
5-2 KELLEY OIL CORP 101 JEFFERSOI STE 1100 HOUSTOI TX 77002 (713) 152-5200 -1500000 ($14250000) COIIDI STOCK 1375000 ($13012500) COoN STOCK (FILE33-34810 - MAY 11) (BR 7)
5-4 IBI IIC 3450 MITCHELL LI POBOX 1001 BOULDER CO 80301 (303) 444-5710 - 470000 ($1515100) PREFERRED STOCK 3401700 ($4761880) PREFERRED STOCK 21380133($2138013) COIIDN STOCK 14085080 ($14085) COMIDN STOCK (FILE 33-34811 -MAY 11) (8R 13)
5-3 POTOMAC ELECTRIC POWER CO 1100 PEIISYLVANIA AVE I CIO M T HOWARD RM 841 ASHIIGTOI DC 20018 (202) 872-2000 - 1000000 ($50000000) PREFERRED STOCK (FILE33-34811 - MAY 11) (BR 7)
NEWS DIGEST May 18 19904
bullbullbullA8Qt1ISi~tQJmiddotmiddotbullbullbullP~middotbullmiddot$JI~~I+l88bullbullbullbullbullbullbullbullbullbullbullbullbullbullmiddotmiddotmiddotbullbullbullbullbullbullbullbullbullbullbullbullbull
Companies and individuals must report to the Commission within ten days on Schedule 13D if after the acquisition of equity securities of a public company their beneficialinterest therein exceeds five percent Persons eligible to use the short form (Schedule 13G) may in lieu of filing a Schedule 13D file a Schedule 13G within 45 dayafter the end of the calendar year in which the person became subject to Section 13(d)(1) Companies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1
Below is a list of recent filings of Schedules 130 and 140 which includes the following information Column 1 - the company purchased (top) and the name of the purchaser Column 2 - the type of security purchased Column - 3 - the type of form filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned Column 6 - the CUSIP number (top) and the percent owned and Column 7 - the status of the filing ienew update or revision
EVENT SHRS(OOO) CUSIP FILING NAME AND CLASS OF STOCKOWNER FORM DATE OWNED PRIOR STATUS
CVB FINL CORP COM 619 12660010 KRUSE RONALD 0 130 10 689 104 49 UPDATE
CANONIE ENVIRONMENTAL SVCS C COM 1946 13801210 GRACE W R amp CO 13D 5 990 342 329 UPDATE
CARVER CORP WASH COM 235 14688110 KELSO MANAGEMENT CO ET AL 130 5 490 66 56 UPDATE
COMDIAL CORP COM 1667 20033210 ALLTEL CORP 13D 51490 93 93 UPDATE
COMPUOYNE CORP COM PAR $075 o 20479530 HARRIS ASSOCIATES INC 13D 5 790 00 97 UPDATE
o a C OPTICS CORP COM 298 23324010 FMR CORP 130 41990 131 189 UPDATE
OATAPROOUCTS CORP COM 740 23810710 CRESCOTT INV ASSOC ET AL 130 41890 47 71 UPDATE
DETREX CORP COM 107 25068510 HARRIS ASSOCIATES INC 13D 5 490 68 78 UPDATE
DETREX CORP COM 95 25068510 WARWICK PARTNERS LP ET AL 13D 5 490 60 00 NEW
ENERCON OATA CORP COM 2362 29299810 OSWALD CHARLES W 130 42390 515 450 UPDATE
EXCELSIOR INCOME SHS INC COM 115 30072310 KARPUS GEORGE W 13G 51490 52 52 NEW
FALL RIVER GAS CO COM 101 30627910 JARABEK ALLEN L ET AL 13D 41290 113 107 UPDATE
FIRST FINANCIAL MGMT CORP COM 2313 3024510 STATE OF WISCONSIN INVEST BO 130 42590 88 74 UPDATE
NEWS OIGEST May 18 1990 5
ACQUISITIONS CONT
NAME AND CLASS OF STOCJCQWND FORK EVENT DATE
SBRS(OOO)omD
CUSIPPRIOM
FILING STATUS
FREEPORT MCMORAN OIL amp GAS FREEPORT MCMORAN INC
C COM 13D 33090
101372815
35699410 00 NEW
FREMONT GEN CORP COM 310 35728810 STEINHARDT MICHAEL H ET AL 13D 51090 38 80 UPDATE
G R I CORP COM 555 36223210 FMR CORP 13D 41790 247 352 UPDATE
GARAN INC COM 228 36480210 HARRIS ASSOCIATES INC 13D 5 490 91 101 UPDATE
GRACO INC COM 358 38410910 STATE OF WISCONSIN INVEST BD 13D 42690 50 00 NEW
GREATER WASHINGTON INVS DEL COM 422 39238810 RESEARCH INDS INC ET AL 13D 5 190 103 91 UPDATE
HEALTHVEST SH BEN INT 546 42192110 PRIVATE CAP MGMT ET AL 13D 5 390 51 00 NEW
HORIZON INDS INC BEAULIEU OF AMERICA ET AL
COM 13D 5 290
550 101
44042310 00 NEW
HORN amp HARDART BAKING CO COM 0 44048810 SANDFORD JAY ET AL 13D 5 990 00 NA UPDATE
HOSPOSABLE PRODS INC COM 157 44106910 WYANT amp CO LTD 13D 4 990 137 00 NEW
HUBBELL INC FLINT ROBERT N
CL A 13D 5 790
2298383
44351010 00 NEW
HUBBELL INC MCNALLY ANDREW IV
CL A 13D 5 790
2295382
44351010 00 NEW
HYDE ATHLETIC INDS INC COM 72 44863210 FMR CORP 13D 42090 26 127 UPDATE
ICO INC MERCURY ASSET MGMT
COM 13D 32290
116083
44929410 00 NEW
INFORMATION INTL INC COM 446 45674010 KELSO MANAGEMENT CO ET AL 13D 5 190 193 181 UPDATE
INTEGRATED DEVICE TECHNOLOGY STATE OF WISCONSIN INVEST
COM BD 13D 42790
189575
45811810 65 UPDATE
JACOR COMMUNICATIONS COM 500 46985810 KOSOFSKY MARVIN B 13D 5 390 50 00 NEW
LIQUI BOX FERGER
CORP JANE D
COM 13D 1 190
157 68
53631410 00 NEW
MAGNETIC TECH CORP COM PAR $015 52 55949220 HALL RICHARD S 13D 5 490 67 00 NEW
MEDIA GEN INC GAMCO INVESTORS INC ET AL
CL A 13D 51090
4247168
58440410 158 UPDATE
6 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
bullbullbullA8Qt1ISi~tQJmiddotmiddotbullbullbullP~middotbullmiddot$JI~~I+l88bullbullbullbullbullbullbullbullbullbullbullbullbullbullmiddotmiddotmiddotbullbullbullbullbullbullbullbullbullbullbullbullbull
Companies and individuals must report to the Commission within ten days on Schedule 13D if after the acquisition of equity securities of a public company their beneficialinterest therein exceeds five percent Persons eligible to use the short form (Schedule 13G) may in lieu of filing a Schedule 13D file a Schedule 13G within 45 dayafter the end of the calendar year in which the person became subject to Section 13(d)(1) Companies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1
Below is a list of recent filings of Schedules 130 and 140 which includes the following information Column 1 - the company purchased (top) and the name of the purchaser Column 2 - the type of security purchased Column - 3 - the type of form filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned Column 6 - the CUSIP number (top) and the percent owned and Column 7 - the status of the filing ienew update or revision
EVENT SHRS(OOO) CUSIP FILING NAME AND CLASS OF STOCKOWNER FORM DATE OWNED PRIOR STATUS
CVB FINL CORP COM 619 12660010 KRUSE RONALD 0 130 10 689 104 49 UPDATE
CANONIE ENVIRONMENTAL SVCS C COM 1946 13801210 GRACE W R amp CO 13D 5 990 342 329 UPDATE
CARVER CORP WASH COM 235 14688110 KELSO MANAGEMENT CO ET AL 130 5 490 66 56 UPDATE
COMDIAL CORP COM 1667 20033210 ALLTEL CORP 13D 51490 93 93 UPDATE
COMPUOYNE CORP COM PAR $075 o 20479530 HARRIS ASSOCIATES INC 13D 5 790 00 97 UPDATE
o a C OPTICS CORP COM 298 23324010 FMR CORP 130 41990 131 189 UPDATE
OATAPROOUCTS CORP COM 740 23810710 CRESCOTT INV ASSOC ET AL 130 41890 47 71 UPDATE
DETREX CORP COM 107 25068510 HARRIS ASSOCIATES INC 13D 5 490 68 78 UPDATE
DETREX CORP COM 95 25068510 WARWICK PARTNERS LP ET AL 13D 5 490 60 00 NEW
ENERCON OATA CORP COM 2362 29299810 OSWALD CHARLES W 130 42390 515 450 UPDATE
EXCELSIOR INCOME SHS INC COM 115 30072310 KARPUS GEORGE W 13G 51490 52 52 NEW
FALL RIVER GAS CO COM 101 30627910 JARABEK ALLEN L ET AL 13D 41290 113 107 UPDATE
FIRST FINANCIAL MGMT CORP COM 2313 3024510 STATE OF WISCONSIN INVEST BO 130 42590 88 74 UPDATE
NEWS OIGEST May 18 1990 5
ACQUISITIONS CONT
NAME AND CLASS OF STOCJCQWND FORK EVENT DATE
SBRS(OOO)omD
CUSIPPRIOM
FILING STATUS
FREEPORT MCMORAN OIL amp GAS FREEPORT MCMORAN INC
C COM 13D 33090
101372815
35699410 00 NEW
FREMONT GEN CORP COM 310 35728810 STEINHARDT MICHAEL H ET AL 13D 51090 38 80 UPDATE
G R I CORP COM 555 36223210 FMR CORP 13D 41790 247 352 UPDATE
GARAN INC COM 228 36480210 HARRIS ASSOCIATES INC 13D 5 490 91 101 UPDATE
GRACO INC COM 358 38410910 STATE OF WISCONSIN INVEST BD 13D 42690 50 00 NEW
GREATER WASHINGTON INVS DEL COM 422 39238810 RESEARCH INDS INC ET AL 13D 5 190 103 91 UPDATE
HEALTHVEST SH BEN INT 546 42192110 PRIVATE CAP MGMT ET AL 13D 5 390 51 00 NEW
HORIZON INDS INC BEAULIEU OF AMERICA ET AL
COM 13D 5 290
550 101
44042310 00 NEW
HORN amp HARDART BAKING CO COM 0 44048810 SANDFORD JAY ET AL 13D 5 990 00 NA UPDATE
HOSPOSABLE PRODS INC COM 157 44106910 WYANT amp CO LTD 13D 4 990 137 00 NEW
HUBBELL INC FLINT ROBERT N
CL A 13D 5 790
2298383
44351010 00 NEW
HUBBELL INC MCNALLY ANDREW IV
CL A 13D 5 790
2295382
44351010 00 NEW
HYDE ATHLETIC INDS INC COM 72 44863210 FMR CORP 13D 42090 26 127 UPDATE
ICO INC MERCURY ASSET MGMT
COM 13D 32290
116083
44929410 00 NEW
INFORMATION INTL INC COM 446 45674010 KELSO MANAGEMENT CO ET AL 13D 5 190 193 181 UPDATE
INTEGRATED DEVICE TECHNOLOGY STATE OF WISCONSIN INVEST
COM BD 13D 42790
189575
45811810 65 UPDATE
JACOR COMMUNICATIONS COM 500 46985810 KOSOFSKY MARVIN B 13D 5 390 50 00 NEW
LIQUI BOX FERGER
CORP JANE D
COM 13D 1 190
157 68
53631410 00 NEW
MAGNETIC TECH CORP COM PAR $015 52 55949220 HALL RICHARD S 13D 5 490 67 00 NEW
MEDIA GEN INC GAMCO INVESTORS INC ET AL
CL A 13D 51090
4247168
58440410 158 UPDATE
6 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
ACQUISITIONS CONT
NAME AND CLASS OF STOCJCQWND FORK EVENT DATE
SBRS(OOO)omD
CUSIPPRIOM
FILING STATUS
FREEPORT MCMORAN OIL amp GAS FREEPORT MCMORAN INC
C COM 13D 33090
101372815
35699410 00 NEW
FREMONT GEN CORP COM 310 35728810 STEINHARDT MICHAEL H ET AL 13D 51090 38 80 UPDATE
G R I CORP COM 555 36223210 FMR CORP 13D 41790 247 352 UPDATE
GARAN INC COM 228 36480210 HARRIS ASSOCIATES INC 13D 5 490 91 101 UPDATE
GRACO INC COM 358 38410910 STATE OF WISCONSIN INVEST BD 13D 42690 50 00 NEW
GREATER WASHINGTON INVS DEL COM 422 39238810 RESEARCH INDS INC ET AL 13D 5 190 103 91 UPDATE
HEALTHVEST SH BEN INT 546 42192110 PRIVATE CAP MGMT ET AL 13D 5 390 51 00 NEW
HORIZON INDS INC BEAULIEU OF AMERICA ET AL
COM 13D 5 290
550 101
44042310 00 NEW
HORN amp HARDART BAKING CO COM 0 44048810 SANDFORD JAY ET AL 13D 5 990 00 NA UPDATE
HOSPOSABLE PRODS INC COM 157 44106910 WYANT amp CO LTD 13D 4 990 137 00 NEW
HUBBELL INC FLINT ROBERT N
CL A 13D 5 790
2298383
44351010 00 NEW
HUBBELL INC MCNALLY ANDREW IV
CL A 13D 5 790
2295382
44351010 00 NEW
HYDE ATHLETIC INDS INC COM 72 44863210 FMR CORP 13D 42090 26 127 UPDATE
ICO INC MERCURY ASSET MGMT
COM 13D 32290
116083
44929410 00 NEW
INFORMATION INTL INC COM 446 45674010 KELSO MANAGEMENT CO ET AL 13D 5 190 193 181 UPDATE
INTEGRATED DEVICE TECHNOLOGY STATE OF WISCONSIN INVEST
COM BD 13D 42790
189575
45811810 65 UPDATE
JACOR COMMUNICATIONS COM 500 46985810 KOSOFSKY MARVIN B 13D 5 390 50 00 NEW
LIQUI BOX FERGER
CORP JANE D
COM 13D 1 190
157 68
53631410 00 NEW
MAGNETIC TECH CORP COM PAR $015 52 55949220 HALL RICHARD S 13D 5 490 67 00 NEW
MEDIA GEN INC GAMCO INVESTORS INC ET AL
CL A 13D 51090
4247168
58440410 158 UPDATE
6 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
MEDITRUST FMR CORP
SH BEN INT ~D 42790
150881
58599010 77 UPDATE
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51290
236566
71952210 66 UPDATE
STAR STATES CORP COM 364 85518010 GRIFFIN WILLIAM M ET AL 130 5 190 77 89 UPDATE
TIME MANAGEMENT CORP MCGEE WILLIAM MAX
COM 130 33090
2403624
88724810 00 NEW
TRACE PRODS COM 926 89190910 MCDONNELL DENNIS 130 5 390 108 102 UPDATE
TRACE PRODS COM 779 89190910 MCDONNELL KEVIN 130 5 390 93 92 UPDATE
TRACE PRODS COM 420 89190910 PRESSMAN GERALD L 130 5 390 50 52 UPDATE
TRACE PRODS R amp W VENTURES I
COM 130 5 390
462 52
89190910 52 UPDATE
TRACE PRODS SARLO GEORGE S ET AL
COM 130 5 390
1411170
89190910 00 NEW
TRACE PRODS THOMPSON LESTER E
COM 130 5 390
1279154
89190910 159 UPDATE
TRUSTMARK HEARIN
CORP ROBERT M
COM 130 5 190
1328135
89840210 125 UPDATE
UNION CORP DEL COM 430 90607210 MERCURY ASSET MGMT 130 5 190 62 00 NEW
WESTERN CO NORTH FIDELITY INTL
AMER LTD
COM PAR $010 130 5 590
119496
95804340 84 UPDATE
WESTERN CO NORTH FMR CORP
AMER COM PAR $010 130 5 390
119496
95804340 84 UPDATE
WESTERN CO NORTH VIKING SUPPLY
AMER SHIPS A S
COM PAR $010 130 51490
1331107
95804340 107 UPDATE
WOLVERINE WORLD WIDE INC COM 490 97809710 FMR CORP 130 42790 73 87 UPDATE
ADVANCED COMPUTER TECHNIQUESINTERGROUP ET AL
COM 130 5 490
135 72
00751810 00 NEW
AMERICAN BODY ARMOR amp EQUIPSTANCHART BUSINESS CREDIT
COM 130 31290
0 00
02463510 NA UPDATE
BAKER HUGHES NORTON CO
INC COM 130 51090
0 00
05722410 61 UPDATE
BIO MEDlCUS INC MEDTRONIC
COM 130 51490
427 56
09056910 76 UPDATE
BIO TECHNOLOGY BLECH DAVID
GEN CORP COM 13D 5890
3989342
09057810 320 UPDATE
NEWS DIGEST Kay 18 1990 7
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990
ACQUISITIONS CONT
NAME AND CLASS OF STOCIVOUU lOIlI IVDT DAD
SBIlS(OOO)tomn
CUSIPPRIOU
FILING STATUS
BIO REFERENCE LABS INC EHRMAN WILLIAM ET AL
COM 13D 5 290
7164160
09199210 00 NEW
BRESLER amp REINER REINER BURTON
INC J ET AL
COM 13D 5 890
1013357
10733610 339 UPDATE
eIP CORP COM 883 12553510 NIEHOFF PATRICIA W 13D 5 890 595 359 UPDATE
DIANA CORP COM 200 25279010 PAGEL ROBERT L 13D 41790 54 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 GOTTESMAN GARY 13D 5 790 71 00 NEW
FAIRVIEW MOUNTAIN GOLD INC COM 447 30583099 MCNEICE RANDY 13D 5 790 71 00 NEW
FLIGHT INTL GROUP INC COM 833 33941610 SMITH TECHNOLOGIES 130 51390 199 80 UPDATE
HOUSE FABRICS INC COM 976 44175810 FMR CORP 13D 32390 147 211 UPDATE
INTEK DIVERSIFIED CORP ANGLO YORK INnS INC
COM 130 123088
1220399
45813410 327 UPDATE
MATTHEWS FARAR
STUDIO YALE
EQUIP GROUP COM 13D 11 889
445 56
57723099 00 NEW
PIC N SAVE CORP GIRARD PARTNERS L P ET AL
COM 130 51490
3774105
71952210 66 UPDATE
PORTS OF CALL FMR CORP
INC COM 13D 5 390
1292523
73702810 61 7 UPDATE
PRIME RES CORP COM PAR $005 273 74156830 ROBERTSON DON L TRUSTEE 13D 5 290 58 00 NEW
STAR STATES CORP COM 302 85518010 GELBACH MYRON S JR 130 5 990 64 56 UPDATE
STAR STATES CORP COM 302 85518010 SPECTOR ARTHUR R ET AL 130 5 990 64 56 UPDATE
UN ILAB CORP METPATH INC
COM 130 5 190
7356276
90476210 169 UPDATE
VESTAR INC WARBURG PINCUS
COM CAP PRTN ET AL 13D 51190
5549865
92545410 448 UPDATE
8 NEWS DIGEST May 18 1990