sec news est · sec news est Issue 87-1 2, 1987 CIVIL PROCEEDIICiS BERE AND COMPANY, INC. ENJOINED...
Transcript of sec news est · sec news est Issue 87-1 2, 1987 CIVIL PROCEEDIICiS BERE AND COMPANY, INC. ENJOINED...
sec news estIssue 87-1 2 1987
CIVIL PROCEEDIICiS
BERE AND COMPANY INC ENJOINED
The Boston Regional Office announced that on December 12 1986 a Final Order of Perbullbull-nent Injunction was entered against Berk and Company Inc by Judge Mark L Wolf US District Court for the District of Massachusetts The company without admitting or denying the allegations of the CommisBions complaint consented to the Final Order which enjoins it from violating the antifraud provisions of the securities laws
The complaint alleges violations of the securities laws in 1983 in connection withthe initial public offering of the company Spec ifically the complaint allege thatunaudited financial statements inCluded in the companys registration statement andprospectus did not accurately reflect its financial position for the period endingJune 30 1983 in that it reported a profit of $149556 for that fiscal period ratherthan the loss of $208744 that it actually incurred (SEC v Berk and Company Incusee DNA Civil Action No 86-3460-WF) (LR-1132l)
__ --s CBAROLBTlEAND EDWARD GARRITY SENTENCED
The Chicago Regional Office and the Us Attorneys Office for the NOrthern Districtof Indiana announced that on December 16 1986 Judge William C Lee US DistrictCourt for the NOrthern District of Indiana Fort Wayne Division sentenced Charoletteand Edward Garrity to five years imprisonment each The Garritys had each previouslypled guilty to three counts of mail fraud two of which stemmed from their fraudulentoffer and sale of the unregistered securities of two programs they operated Invest-ments International andInternational Diversified Corporation
The Garritys were preliminarily enjoined from violating the securities laws on octo-ber 5 1984 in connection with their Investments International scheme and Charolette Garrity was held in cjvi contempt and ordered to disgorge $581810 on April 15 1985middot for her continuation of that scheme They were held in civil contempt and ordered to
dis90rge $295049 on July 3 1986 in connection with their International DiversifiedCorporation scheme Both were ordered imprisoned on September 16 1986 for theirfailure to comply with the abovedisgorgement orders (US v Charolette Garrityand Edward Garrity usoe NOIN Criminal Action No FCR 86-5) (LR-11322)
CONTINENTAL ILLINOIS BOLDING CORPORATION
A notice has middotbeen issued giving interested persons until January 16 to request a hear-ing on an application filed by Continental Illinois Bolding Corporation for an order declaring it not to be an investment company or alternatively for an order grantingit an exemption from all provisions of the Investment Company Act (ReI IC-IS4t8 -DeC 24 1986)
MORGAN STANLEY GROUP INC
A notice has been issued giving interested persons until January 16 to request a hear-ing on an application filed by Morgan Stanley Group Inc and its subsidiary MOrganstanley Capital I Inc requesting a conditional order from all provisions of the Investment Company Act permitting the subsidiary and certain trusts that it ba formed or my form to issue mortgage-backed securities and sell beneficial ownership interest in sucb trust (ReI IC-1S499 - nec 24 1986)
I
MEESCHAERT INTERNATIONAL BOND TRUST
~h order hasmiddotbeen issued permitting MeelJchaert Internat~Ona1 Bond1rust tossess a contingent deferred sales charge on redemptions of its sbares (Re IC-1SSqD - Dec 24 1986)
HOLDING COMPANY ACT REI EASES
EASTERN UTILITIES ASSOCIATES
An order has been issued authorizing Eastern utilities Associates a registeredhold-ing company to acquire all of the capi tal stock of Ci tizens Heat and Power -Gotpora-tion which provides energy management services to institutional customers and toengage in certain financing and related transactions (Re 35-24273 - Dec 19 1986)
MIDDLE SOUTH UTILITIES INC
An order has been issued authorizing Middle South utilities Inc a registered hold-ing company to issue and sell unsecured promissory notes in the aggregate principal amount of $60 million outstanding at anyone time (Re 35-24274 - Dec 19 1986)
THE CONNECTICUT LIGHT AND POWER COMPANY
An order has been issued author izing The connece tcut Light and POwer Company subsidi-ary of Northeast Utilities to finance the construction of pollution control facili-ties in an aggregate amount of up to $30 million to obtain a letter of credit and to issue notes both obligations being secured by a second mortgage (ReI 35-24275 -Dec 19 1986)
EASTERN EDISON COMPANY
An order has been issued authorizing Eastern Edison Company Blackstone Valley nee tric Company and Montaup Electric Company subsidiaries of Eastern Utilities Asso-ciates to issue and sell short-term notes to banks from December 30 1986 to Decem-ber 28 1987 in aggregate principal amounts not exeeding $50 million $10 million and $40 million respectively at anyone time outstanding (ReI 35-24276 - Dec 22middot1986)
NEW ENGLAND POWER COMPANY
A supplemental order has been issued authorizing New England Power Company subsidiary of New England Electric System to incur obligations in connection with the issuance and sale of up to $35 million of pollution control revenue bonds (ReI 35-24277 -Dec 23 1986)
USllIC DEUSnNG AND UNUSTED TRADINC ACTIONS
DELI STINGS GRANTED
Orders have been issued granting the application of the following stock exchanges to strike the specified securities of the following companies from listing and registra-tion thereon American Stock Exchange - UNA CORPORATION common stock $10 parvalue (ReI 34-23932) 1 and the New York stock EXChange - SOUTHEASTERN PUBLIC SERVICE COMPANY common stock par value $100 and 11-78 de entures due February 1 1998 (Re 34-23933)
WITHDRAWAL GRANTED
An order has been issued granting the application of COUNTRYWIDE MORTGAGE INVESlMENTSINC to withdraw the common stock $01 par value from listing and registration on the American Stock Exchange (ReI 34-23934)
2 NEWS DIGEST January 2 1987
---- CI1ICORP
CUII1IES ACrmiddotmiddotIEIIS1UTIIIS1 9 1hefollowing registration atateunt have been filed with the SBC under the Securi-ties Act of 1933 hereported inforaation appears a follows Form Name Address and Phone Number (if available) of the isuer of the securitYI Title and the number andor face aunt of the securities being offered Naae of the managing underwriter or depositor (if applicable) Pile nuber and date filed Assigned Branch and a designation if the stateent is bull wew Issue
middot S-4 MF FINANCIAL C(It 237 SOUTH TRYON ST CHAItLOTTE NC 28202 (70 847-13 (FILE3-10~ - DEC 09 (IR 2 - NEW ISSUE
$-11 USA JNTERNATIONAl DEFENSE SysrEMS INC 2100 NEllSO~ WAY SANTA MONICA CA 90435(213 59Z~595 - 65000000 U50 0001 CGII STOCK 65000000 11130001)0
I CDMtI)N STOCL 6500000 ISl00 WARUNTS OPTIONS OR liGHTS 6500000 (171 bullbull COMMONSTOCK 65000 U130OOO COMMONSTOCKe UNDERWRITER INVESTORS CENTER INCbull bullFILE 33-10737-U - DEC 01 nR 12 - NEW ISSue
S18 CREATIVE OPPOIlTUNITln INC - lODOOOOOO UlOOOOOOI COMMONSTOCK 100000DOO(S5000OOO WARRNTS OPTIONS CR RIGHTS (FILE 33-10M4-LA - DEC 12 (SR 11- NEW ISSUEI
S-11 MOJAVE ACQUISITIONS INC 17161 SEPTO ST NORTHRIDGE CA 91325 1111 816-1246 -100000000 bullbull 1000000 COMMONSTOCL 100000000 (5000000~RRANTS OPTIONS OR RIGHTS IfilE 33-10105-lA - DEC 12 (BR 12 - NEW ISSUE
middot 5-a EST CORP 1200 PElVEY ILDG MINNEAPOLIS fiN 55479 (6121 372-8268 - 21)000 (nODOODOOI COMMONSTOCK (FIl E 33-10120 - DEC 22 CIR 21
5-18 HARCO TECHNOLOGIES CORP 1090 ENTERPRISE DR MEDINA OH 256 (216 725-6681 -172500110 ($34500001 COMMONSTOCK (FILE 33-10179-C - DEC lSI (BR 6 - NEW ISSUE
S-18 Ute JOE COMPANY INC 2715 PAN AMERICUI RWY NE STE F amplQUERQUE NM 87107 C5051 35-2604 - 300000 1$300000 COMMONSTOCK 1000000 (SlOOOOOO COMN STOCK UNDERWRlTffU FIRST EAGLE INC (FILE 33-10903-0 - DEC 161 C8R 2 - NEW ISSUE
S-18 VElLINE INCCOl 425 JOHN DEERE RD FoaT COLLINS CO 8052 (3031 8-1930 -12500 C$125) COMMONSTOCK 1250000 U2000001 WARRANTS nONS OR RIGHTS 1400000 C$210000) WA~AN7S OPTIONS 01 RIGHTS (FILE 33-1092~D - DEC 17 CBR 4)
S-18 ANOREX SYSTEMS INC 514 35TH ST UNlo CITY NJ OT087 C2011 348-2812 - 25000010C$2500001 CDIUIDN STOCK (FILE 33-10921-NY - DEC 181 UR 11 - NEW ISSUE)
S-11 MORTGAGESECURITIES III TRUST D - 500000000 CSSPDOOOnaol MORTGAGEBONOS (FILE33-10 2 - OEC 18J (8R 11 - NEW ISSue)
5-1 NpoundTWORKEQUIPMENT TECHNOLOGIES ~o PENOBSCOT DR REDIIOODCITY Cl 94063 (415 366~~OO - 750000 ($10500 000 Co STOCK 1550000 1$21700000 COM STOCKe UNDERWRITER ALEX IROWN SONS MOIU~ANSTANlEY co IFILE 33-11)962 -DEC 191 CIR 9 - NEW ISSUE
s-a CA_aIX CORP 5757 CENJRAl AVE lOULDER CO 10301 nOli -8015 - 265000(117556251 COMMONSTOCK (FILE 33-64 - DEt 19 IIR 10
middot S-1I WEUSWAY VENTURES INC 1100 DSOII AVE NEW YORK NY 10028 (2121 737-8616 -1250000 1$1250000 COMtKINsmCL U5800 U1Z5J UMTS OPTIONS OR RIGS 1250000 (18750001 COMMONSTOCK 1250000 U25000001 COMMONSTOCK 125000 1$150000 COMMONSTOCK CFIlE 3J-IG97G-IIY - DEC la Cltt 12 - NEM ISSUE
NEWS DIGEST January 2 1987 J
S-3 EASTE UfILlTIES ASSOCIATes CNE UTY SO 8amp5Y 021 (6111 HT-9998 -1000000 1$383750001 COMMON STCCK tFIIE ~1R - DIE 22 CaR U
5-1 EUA E C INHI VICTORY 111 AJIHamp1lSTST P 0 eax 1 c WI llt5 ~ 16031 669-1000 - 180000000 ($lUOOOGOOt STRAIGHT BOMDS IFILE 33-10918 - OK 22t CIR 7 - NEW ISSUEt
S-1 PAMtOA INC IDE 8800 F ST DUHA HE 68U7 (4021 339-2400 - 41OOOoeo($41000000) ST~AIGHT BONDS 57275000 ($4450o_000) STRAIGHT 80NDS 28000110 IS28000000) STRAIGHT BONDS (FILE 33-10980 - DEC 221 laR 1 - NEV ISSUE
S-1 REXIS CORP 7000 NW 46TH ST flUMI FL 33166 13051 592-6069 - 800000 1$4800000 J COIUI)N STOCK 235oDO ($14100001 COMMO STOCK UNDEIURITER ADYEST INCFIRST EQUITY CORP OF FLORIDA (FILE 33-10981 - DEC 22 (8R 3 - NEW ISSue
CHEyenltCN alRP 225 BUSH ST SAN FRANCISCO CA 94104 14151 894-7700 - 1lD46~1$79480440 COIMON STOCK (FIL E 33-10982 - DEC 22 CBR 4)
S-I AMatleAN MAGNETICS CORP 13535 VENTURA BLVD STE 205 SHERMAN OAKS CA 91423 (18 713-8900 - 176000 U946 0 COHNONSTOC FILE 33-10986 - Oft 22 (BR 9
S-l U S EQUIPMENT INCOME FUNO III L P 733 FItDNT ST SAN FRANCISCO CA 94111 (415 627-9200 - 80000 1$40000 GOO LIMITED PARTNERSHIP CERTIFICATE UII)ERWRITEIUDEAN WITTER REYNOLDS INC (FILE 3-10987 - DEC 22 (8R 9 - NEW ISSUE
S-3 BALTIMORE GAS amp LECTRmiddotICCO AS I ELECTRIC BlDG CHARLES CTR IAL TtMORE 2lZDl (301 Z34-5811 - 2000000 ($200000000 PREFERRED STOCK (FILE 33-10988 - DEC ZZI (aR 7
S-1 GeA CORP T SHATTUCK RD ANDDV ER MA 01810 161T 975-0000 - 35000000 ($54000000) COMMON STOCK (FILE 33-11017 - DEC 22 (8R 10
5-3 USLIFE CORP 125 MAIDEN LN fEli YORK NY 10038 1212 709-6000 - 140000 U1M COMMON STOCK (FILE 33-11019 - OK ZZt (lR 91
S-8 ANWEST INSURANCE GROUP tNC 6a20 CAHOGA AVE THIRD FL WOODLAND HILLS Cl 91365 18181 704-1111 - 160000 (SI5OOoo0 COMMON STOCK (FILE 33-11020 - DEC 2Z1 8R 9
S-3 KNI~HT RIDDER INC ONE HERALD PlZ MUI FL 3313213051 376-3800 - 200000000($200000000) STRAIGHT BONDS I fILE 33-11021 - DEC 22) (BR 11
$-8 BANKERS TRUST NEW YORK CORP 280 PARK AVE NEW YORK NY 10017 (2121 850-2500 -500000 (S22000COOI COMMON STOCK (FILE 33-11022 - DEC bull22 CBR 2
S- REGENCY CRUISES INC 260 MADISCN AVE NEW YORK NY 10016 21ZI 972-4774 - 5D~000(12600001 COMMON STOCK (FILE 33-11024 - DEC 221 IR 41
$-1 EASCO CDRP 706 S SUTE ST GIllARD OH 44420 (2161 545-5415 - 70000000CSTeODDODO STRAIGHT BONDS 200000 (S20000Oro PREFeRRED STOCK (FILE 33-11027 -DEC 221 18R 6
$-3 INDIAN MEAD BANKS INC ONE INgtIAH HEAD PU NASHUA NH 03060 (603 880-5000 _~_ 300000 ($10575000) COMMON STOC~ (FILE 33-11028 - DEC 221 C8R 2
S-8 CITY NATIONAL CORP 400 N ROJC8URY DA BEVERLY HIlLS CA 90210 (0001 000-0000 -Z2000D ($3423640 COMMON STOOl 781210 S156242001 COMMON STOCK (FILE33-11030 - DEC 22) IBR 1
5- TIME INC 10E TIME I lIFE BLDG ROCKEfELLER eTR NEW YORK NY 10020 (2121 586-1212 - 2500000 ($174531250 COMMoI STOCK (FILE 33-11031 - DEC 22 SR 111
$-8 NU HORIZONS ELECTRONICS CORP 6000 NE~ HORIZONS BLVD AMITYVilLE NY 11701 (516 694-2500 - 210000 1$7350101 COMMON STOCK (FILE 33-11032 - DEC 221 (IR ~t
$-1 fORT HOWARD PAPER CODE middot1919 5 BROADWAY GaEEN lAY WI 54304 (4141 435-8121 -2OOooo00D ($200000000) STRAIG~ BONDS (FILE 33-11035 - DEC 23 (art 8
METROPOLITAN MORTGAGE amp SECURITIES CO INt W 9~ SPRAGUE AVE SPOKANE VA 99Z~ 5091 838-3111 - 1375000 ($13750000 PREFERRED STOCK (FILE 33-11036 - Oft 23 CBR 10)
$-8 MEDIQ INC ONE MEOIQ Pll PENNSAUKEN WJ 08110 1604 665-4300 - 1110DOO(I631700t COMMON STOCK FILE 33-11042 - DEC 23 (IR 8)
NEWS DIGEST January 2 1987 4
---capaniea and l iwiduals uat report to tbe Caaiasion witbin ten bull s en SChedul 13D if after tbe acquisition of euy aeeurltis of a public caapany thb benefi-cial intereat therein exceed five percnt Pereons ligibl to ubullbull the bort fo~ (Schedule 13G) in lieu of filing a Schedule 13D fUe a ScbMul within 45 ays after tbe nd of tbe calndar year in which the peron bec subject to section 13(d)(1) Coapanla end indiyldual bullbull eking a tnder offer uat bay on file at the tle the tender offer coaaencea a Schedule ltD-I
aelow is a liat of recent fUings of Schedulea 13D 140 w1ttda incl the following inforaat ion I Coluan 1 - the ccpany purchaed (top) and the n of the purchaser Coluan 2 - the type of security purchased Coluan 1 - the t et to~ filedJ Colwan - tbe date the transaction occurred Coluan 5 - the eurrent nuaber of shares (in 8OOs) owned (top) and tbe current percent owned Coluan - tb COSI nuaber (~op) and the prior percent owned and Colwan 7 - the status of tbe filing ie new update or revision
EVENT SHRS(OOO)FORM DATE ~OWNED
CUSIP FILIN6 PRIOR STftTUS
030711)1077 UPDflTpound
03cOl~l 0
AMERON INC CAL COM INDUSTRIAL EQUITY LTD ET AL 13D
421 87
2976AMPAL AMERN IS~L CORP BANK HAPOALIM BM
ATLANT~ SOSNOFF CAP OSHEROW SHEPARD D
ATLANTA SDSNOFF CAP SOSMOFF MARTIN T
ATARI CORP IJARNEFCOMMUNICATIONS
ATLANTIC RESH CORP
CL A 13D
COM 13D
COM 13D
COM ET AL 13D
COM GENERAL DEFENSE CORP ET AL 13D
18~ 144 UPDATE
h 966 04649910 214 198 UPDATE
~612611
04649910 91 UPDATE
71100 04651510 250 00 HEW
559 74
449 57
460 71
1084202
10~661 123
b 755
04881610 74 UPDATE
06605510 54 UPDATE
06780610 69 UPDATE
07810710 203 UPDATE
0l)972510 111 UPDATE
11185310 212 uPDATE
12590210 84 UPDATE
14050110 84 UPDATE
15116210Hfi UPDATE
15200710 51 UPDATE
15882amp10 328 UPDATE
16245610 191 UPDATE
s
BANKAMERICA RLTY INVS H~RRIS ASSOCIATES INC
BARNES GROUP INC _HARRIS ASSOCIATES INC
BELL HiItSINC HARRIS ASSOCIATES INC
-w_ raJFG1IARNERC~-middot - ~IACOISIRItIINL ET AL
BIltOCI(WAYINC TELEDYNE INC ET AL
CPI COIltP HARRIS AS~OCIATE INC
CAPITAL SOUTHWEST CORP HARFIS ASSOCIATES INC
CELLULArltAMER INC
SH BEN INT 13D
COM 13D
COM 13D
13D
COM 13D 121686 212
COM 700 13D 121586 85
COM 174 13D 121586 88
COM o AMEFICAN CELLULAR NETWOPIlt 13D 12 586 HA
CENTEPRE BANCOFPOFATION HARRIS ASSOCIATES INC
CHANCELLOFiCOR~ BRUNACQ INC poundT AL
CHATTElINC HAFRIS ASSOCIATES INC
NEWS DIGEST January 2 1987
COM 416 13D 54
COM b807 703
COM 314 13D 193
~~~-
ACQUISITIONS REPORTS CONT
CHELSEA INDS INC HAARI~ ASSDCIATES IHC
COM 13D 121i86
277 106
16326710 104 UPDATE
CHESFtPEAIltEUTJLS CORP CAWSL ENTERPRISES
COM 13D 12 586
133 16530310 84 00 NEW
CHEUNG LABS INC REVLON GROUP ET AI
CDII 131) 122386
1500156
16674610 00 NEW
CITIZENS FINL GROUP INC HARRIS ASSOCIATES INC
COM 13D 121586
534 74
17461410 67 uPDATI
CITY GAS CO FLA HARRIS ASSOCIATES INC
CDI 13D 121586 51
5bull6 1778281(1
52 UPMTpound ~11A~ ( I
CORCDIINC HARRIS ASSOCIATES INC
COM 13D 121586
484 21835610 140 139 UPDATE
CURTISS WRt6HT CORP TELEDYNE INC ET AI
CDI 13D 121686
e191 451
2315611 0 451 UPDATE
CYCLOPS CORP HARPISASSOCIATES INC
CDII 13D 121586
525 23252510 129 129 UPDATE
DA(CD CORP HARRIS ASSOCIATES INC
COM 13D 121586
392 23957710 48 56 UPDATE
DETREX CORP HARRIS ASSOCIATES INC
COM 13D 121586
225 25068510 142 140 UPDATE
~
DIGITAL TRANSERVICE CORP STERLING ROBERT IJP
COM 130 121686
1150 136
25387810 112 UPDATE
ENNC ITE CONTROL SCHUCK ERNEST
COM 13D 121286
371283
29336810 00 NEW
EVANS~SUTHERLAND COMPUTER HARRIS ASSOCIATES INC
CP COM 13D 121586
451 29909610 56 62 UPDATE
FPA CORP CDII h950 30254210 TIEReD GROUP 13D 121986- 488 526 UPDATE
FFB CORP HARRIS ASSOCIATES INC
COM 13D 121586
636 58
30291310 53 UPDATE
FIRST COOLIDGE CORP COM 73 32002320 ~UDHIA ISMAEL ET AL 13D 91786 902 00 NEW
FOREST CITY ENTERPRISES INC HARRIS ASSOCIATES INC
CL A 13D 121586
662 34555010 163 169 UPDATE
GARAHINC HARRIS ASSOCIATES INC
COM 13D 121586
326 36480210 110 109 UPDATE
6ECO NATIOHAL INC CORPORATE LIFE INS ET AI
CDII 13D 121986
245 90
36863610 00 NEW
GRANT IHDS IHC TELLUS INDUSTRIES INC
CD 13D 122086 252
106 38809210
00 NEW
HAYES ALBION CORP HARYARD INDS
COM 14D-l 122486
0 00
42075810 00 UPDATE
HOLLY SUGAR CORP ARCANUM ONE PAATtfERS
COM 13D 12 486
95 84
43609210 82 UPDATE
IDC SVCS INC Ill LIMITED er Al
COM 13l 12 886
305 44936cl0 117 92 UPlATE
IPT RLTY SVCS IHC HARRIS ASSOCIATES IHC
CD 13D 121586 164 450 06e10 70 59 UPDATE
6 NEWS DIGEST January 2 1987
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
MEESCHAERT INTERNATIONAL BOND TRUST
~h order hasmiddotbeen issued permitting MeelJchaert Internat~Ona1 Bond1rust tossess a contingent deferred sales charge on redemptions of its sbares (Re IC-1SSqD - Dec 24 1986)
HOLDING COMPANY ACT REI EASES
EASTERN UTILITIES ASSOCIATES
An order has been issued authorizing Eastern utilities Associates a registeredhold-ing company to acquire all of the capi tal stock of Ci tizens Heat and Power -Gotpora-tion which provides energy management services to institutional customers and toengage in certain financing and related transactions (Re 35-24273 - Dec 19 1986)
MIDDLE SOUTH UTILITIES INC
An order has been issued authorizing Middle South utilities Inc a registered hold-ing company to issue and sell unsecured promissory notes in the aggregate principal amount of $60 million outstanding at anyone time (Re 35-24274 - Dec 19 1986)
THE CONNECTICUT LIGHT AND POWER COMPANY
An order has been issued author izing The connece tcut Light and POwer Company subsidi-ary of Northeast Utilities to finance the construction of pollution control facili-ties in an aggregate amount of up to $30 million to obtain a letter of credit and to issue notes both obligations being secured by a second mortgage (ReI 35-24275 -Dec 19 1986)
EASTERN EDISON COMPANY
An order has been issued authorizing Eastern Edison Company Blackstone Valley nee tric Company and Montaup Electric Company subsidiaries of Eastern Utilities Asso-ciates to issue and sell short-term notes to banks from December 30 1986 to Decem-ber 28 1987 in aggregate principal amounts not exeeding $50 million $10 million and $40 million respectively at anyone time outstanding (ReI 35-24276 - Dec 22middot1986)
NEW ENGLAND POWER COMPANY
A supplemental order has been issued authorizing New England Power Company subsidiary of New England Electric System to incur obligations in connection with the issuance and sale of up to $35 million of pollution control revenue bonds (ReI 35-24277 -Dec 23 1986)
USllIC DEUSnNG AND UNUSTED TRADINC ACTIONS
DELI STINGS GRANTED
Orders have been issued granting the application of the following stock exchanges to strike the specified securities of the following companies from listing and registra-tion thereon American Stock Exchange - UNA CORPORATION common stock $10 parvalue (ReI 34-23932) 1 and the New York stock EXChange - SOUTHEASTERN PUBLIC SERVICE COMPANY common stock par value $100 and 11-78 de entures due February 1 1998 (Re 34-23933)
WITHDRAWAL GRANTED
An order has been issued granting the application of COUNTRYWIDE MORTGAGE INVESlMENTSINC to withdraw the common stock $01 par value from listing and registration on the American Stock Exchange (ReI 34-23934)
2 NEWS DIGEST January 2 1987
---- CI1ICORP
CUII1IES ACrmiddotmiddotIEIIS1UTIIIS1 9 1hefollowing registration atateunt have been filed with the SBC under the Securi-ties Act of 1933 hereported inforaation appears a follows Form Name Address and Phone Number (if available) of the isuer of the securitYI Title and the number andor face aunt of the securities being offered Naae of the managing underwriter or depositor (if applicable) Pile nuber and date filed Assigned Branch and a designation if the stateent is bull wew Issue
middot S-4 MF FINANCIAL C(It 237 SOUTH TRYON ST CHAItLOTTE NC 28202 (70 847-13 (FILE3-10~ - DEC 09 (IR 2 - NEW ISSUE
$-11 USA JNTERNATIONAl DEFENSE SysrEMS INC 2100 NEllSO~ WAY SANTA MONICA CA 90435(213 59Z~595 - 65000000 U50 0001 CGII STOCK 65000000 11130001)0
I CDMtI)N STOCL 6500000 ISl00 WARUNTS OPTIONS OR liGHTS 6500000 (171 bullbull COMMONSTOCK 65000 U130OOO COMMONSTOCKe UNDERWRITER INVESTORS CENTER INCbull bullFILE 33-10737-U - DEC 01 nR 12 - NEW ISSue
S18 CREATIVE OPPOIlTUNITln INC - lODOOOOOO UlOOOOOOI COMMONSTOCK 100000DOO(S5000OOO WARRNTS OPTIONS CR RIGHTS (FILE 33-10M4-LA - DEC 12 (SR 11- NEW ISSUEI
S-11 MOJAVE ACQUISITIONS INC 17161 SEPTO ST NORTHRIDGE CA 91325 1111 816-1246 -100000000 bullbull 1000000 COMMONSTOCL 100000000 (5000000~RRANTS OPTIONS OR RIGHTS IfilE 33-10105-lA - DEC 12 (BR 12 - NEW ISSUE
middot 5-a EST CORP 1200 PElVEY ILDG MINNEAPOLIS fiN 55479 (6121 372-8268 - 21)000 (nODOODOOI COMMONSTOCK (FIl E 33-10120 - DEC 22 CIR 21
5-18 HARCO TECHNOLOGIES CORP 1090 ENTERPRISE DR MEDINA OH 256 (216 725-6681 -172500110 ($34500001 COMMONSTOCK (FILE 33-10179-C - DEC lSI (BR 6 - NEW ISSUE
S-18 Ute JOE COMPANY INC 2715 PAN AMERICUI RWY NE STE F amplQUERQUE NM 87107 C5051 35-2604 - 300000 1$300000 COMMONSTOCK 1000000 (SlOOOOOO COMN STOCK UNDERWRlTffU FIRST EAGLE INC (FILE 33-10903-0 - DEC 161 C8R 2 - NEW ISSUE
S-18 VElLINE INCCOl 425 JOHN DEERE RD FoaT COLLINS CO 8052 (3031 8-1930 -12500 C$125) COMMONSTOCK 1250000 U2000001 WARRANTS nONS OR RIGHTS 1400000 C$210000) WA~AN7S OPTIONS 01 RIGHTS (FILE 33-1092~D - DEC 17 CBR 4)
S-18 ANOREX SYSTEMS INC 514 35TH ST UNlo CITY NJ OT087 C2011 348-2812 - 25000010C$2500001 CDIUIDN STOCK (FILE 33-10921-NY - DEC 181 UR 11 - NEW ISSUE)
S-11 MORTGAGESECURITIES III TRUST D - 500000000 CSSPDOOOnaol MORTGAGEBONOS (FILE33-10 2 - OEC 18J (8R 11 - NEW ISSue)
5-1 NpoundTWORKEQUIPMENT TECHNOLOGIES ~o PENOBSCOT DR REDIIOODCITY Cl 94063 (415 366~~OO - 750000 ($10500 000 Co STOCK 1550000 1$21700000 COM STOCKe UNDERWRITER ALEX IROWN SONS MOIU~ANSTANlEY co IFILE 33-11)962 -DEC 191 CIR 9 - NEW ISSUE
s-a CA_aIX CORP 5757 CENJRAl AVE lOULDER CO 10301 nOli -8015 - 265000(117556251 COMMONSTOCK (FILE 33-64 - DEt 19 IIR 10
middot S-1I WEUSWAY VENTURES INC 1100 DSOII AVE NEW YORK NY 10028 (2121 737-8616 -1250000 1$1250000 COMtKINsmCL U5800 U1Z5J UMTS OPTIONS OR RIGS 1250000 (18750001 COMMONSTOCK 1250000 U25000001 COMMONSTOCK 125000 1$150000 COMMONSTOCK CFIlE 3J-IG97G-IIY - DEC la Cltt 12 - NEM ISSUE
NEWS DIGEST January 2 1987 J
S-3 EASTE UfILlTIES ASSOCIATes CNE UTY SO 8amp5Y 021 (6111 HT-9998 -1000000 1$383750001 COMMON STCCK tFIIE ~1R - DIE 22 CaR U
5-1 EUA E C INHI VICTORY 111 AJIHamp1lSTST P 0 eax 1 c WI llt5 ~ 16031 669-1000 - 180000000 ($lUOOOGOOt STRAIGHT BOMDS IFILE 33-10918 - OK 22t CIR 7 - NEW ISSUEt
S-1 PAMtOA INC IDE 8800 F ST DUHA HE 68U7 (4021 339-2400 - 41OOOoeo($41000000) ST~AIGHT BONDS 57275000 ($4450o_000) STRAIGHT 80NDS 28000110 IS28000000) STRAIGHT BONDS (FILE 33-10980 - DEC 221 laR 1 - NEV ISSUE
S-1 REXIS CORP 7000 NW 46TH ST flUMI FL 33166 13051 592-6069 - 800000 1$4800000 J COIUI)N STOCK 235oDO ($14100001 COMMO STOCK UNDEIURITER ADYEST INCFIRST EQUITY CORP OF FLORIDA (FILE 33-10981 - DEC 22 (8R 3 - NEW ISSue
CHEyenltCN alRP 225 BUSH ST SAN FRANCISCO CA 94104 14151 894-7700 - 1lD46~1$79480440 COIMON STOCK (FIL E 33-10982 - DEC 22 CBR 4)
S-I AMatleAN MAGNETICS CORP 13535 VENTURA BLVD STE 205 SHERMAN OAKS CA 91423 (18 713-8900 - 176000 U946 0 COHNONSTOC FILE 33-10986 - Oft 22 (BR 9
S-l U S EQUIPMENT INCOME FUNO III L P 733 FItDNT ST SAN FRANCISCO CA 94111 (415 627-9200 - 80000 1$40000 GOO LIMITED PARTNERSHIP CERTIFICATE UII)ERWRITEIUDEAN WITTER REYNOLDS INC (FILE 3-10987 - DEC 22 (8R 9 - NEW ISSUE
S-3 BALTIMORE GAS amp LECTRmiddotICCO AS I ELECTRIC BlDG CHARLES CTR IAL TtMORE 2lZDl (301 Z34-5811 - 2000000 ($200000000 PREFERRED STOCK (FILE 33-10988 - DEC ZZI (aR 7
S-1 GeA CORP T SHATTUCK RD ANDDV ER MA 01810 161T 975-0000 - 35000000 ($54000000) COMMON STOCK (FILE 33-11017 - DEC 22 (8R 10
5-3 USLIFE CORP 125 MAIDEN LN fEli YORK NY 10038 1212 709-6000 - 140000 U1M COMMON STOCK (FILE 33-11019 - OK ZZt (lR 91
S-8 ANWEST INSURANCE GROUP tNC 6a20 CAHOGA AVE THIRD FL WOODLAND HILLS Cl 91365 18181 704-1111 - 160000 (SI5OOoo0 COMMON STOCK (FILE 33-11020 - DEC 2Z1 8R 9
S-3 KNI~HT RIDDER INC ONE HERALD PlZ MUI FL 3313213051 376-3800 - 200000000($200000000) STRAIGHT BONDS I fILE 33-11021 - DEC 22) (BR 11
$-8 BANKERS TRUST NEW YORK CORP 280 PARK AVE NEW YORK NY 10017 (2121 850-2500 -500000 (S22000COOI COMMON STOCK (FILE 33-11022 - DEC bull22 CBR 2
S- REGENCY CRUISES INC 260 MADISCN AVE NEW YORK NY 10016 21ZI 972-4774 - 5D~000(12600001 COMMON STOCK (FILE 33-11024 - DEC 221 IR 41
$-1 EASCO CDRP 706 S SUTE ST GIllARD OH 44420 (2161 545-5415 - 70000000CSTeODDODO STRAIGHT BONDS 200000 (S20000Oro PREFeRRED STOCK (FILE 33-11027 -DEC 221 18R 6
$-3 INDIAN MEAD BANKS INC ONE INgtIAH HEAD PU NASHUA NH 03060 (603 880-5000 _~_ 300000 ($10575000) COMMON STOC~ (FILE 33-11028 - DEC 221 C8R 2
S-8 CITY NATIONAL CORP 400 N ROJC8URY DA BEVERLY HIlLS CA 90210 (0001 000-0000 -Z2000D ($3423640 COMMON STOOl 781210 S156242001 COMMON STOCK (FILE33-11030 - DEC 22) IBR 1
5- TIME INC 10E TIME I lIFE BLDG ROCKEfELLER eTR NEW YORK NY 10020 (2121 586-1212 - 2500000 ($174531250 COMMoI STOCK (FILE 33-11031 - DEC 22 SR 111
$-8 NU HORIZONS ELECTRONICS CORP 6000 NE~ HORIZONS BLVD AMITYVilLE NY 11701 (516 694-2500 - 210000 1$7350101 COMMON STOCK (FILE 33-11032 - DEC 221 (IR ~t
$-1 fORT HOWARD PAPER CODE middot1919 5 BROADWAY GaEEN lAY WI 54304 (4141 435-8121 -2OOooo00D ($200000000) STRAIG~ BONDS (FILE 33-11035 - DEC 23 (art 8
METROPOLITAN MORTGAGE amp SECURITIES CO INt W 9~ SPRAGUE AVE SPOKANE VA 99Z~ 5091 838-3111 - 1375000 ($13750000 PREFERRED STOCK (FILE 33-11036 - Oft 23 CBR 10)
$-8 MEDIQ INC ONE MEOIQ Pll PENNSAUKEN WJ 08110 1604 665-4300 - 1110DOO(I631700t COMMON STOCK FILE 33-11042 - DEC 23 (IR 8)
NEWS DIGEST January 2 1987 4
---capaniea and l iwiduals uat report to tbe Caaiasion witbin ten bull s en SChedul 13D if after tbe acquisition of euy aeeurltis of a public caapany thb benefi-cial intereat therein exceed five percnt Pereons ligibl to ubullbull the bort fo~ (Schedule 13G) in lieu of filing a Schedule 13D fUe a ScbMul within 45 ays after tbe nd of tbe calndar year in which the peron bec subject to section 13(d)(1) Coapanla end indiyldual bullbull eking a tnder offer uat bay on file at the tle the tender offer coaaencea a Schedule ltD-I
aelow is a liat of recent fUings of Schedulea 13D 140 w1ttda incl the following inforaat ion I Coluan 1 - the ccpany purchaed (top) and the n of the purchaser Coluan 2 - the type of security purchased Coluan 1 - the t et to~ filedJ Colwan - tbe date the transaction occurred Coluan 5 - the eurrent nuaber of shares (in 8OOs) owned (top) and tbe current percent owned Coluan - tb COSI nuaber (~op) and the prior percent owned and Colwan 7 - the status of tbe filing ie new update or revision
EVENT SHRS(OOO)FORM DATE ~OWNED
CUSIP FILIN6 PRIOR STftTUS
030711)1077 UPDflTpound
03cOl~l 0
AMERON INC CAL COM INDUSTRIAL EQUITY LTD ET AL 13D
421 87
2976AMPAL AMERN IS~L CORP BANK HAPOALIM BM
ATLANT~ SOSNOFF CAP OSHEROW SHEPARD D
ATLANTA SDSNOFF CAP SOSMOFF MARTIN T
ATARI CORP IJARNEFCOMMUNICATIONS
ATLANTIC RESH CORP
CL A 13D
COM 13D
COM 13D
COM ET AL 13D
COM GENERAL DEFENSE CORP ET AL 13D
18~ 144 UPDATE
h 966 04649910 214 198 UPDATE
~612611
04649910 91 UPDATE
71100 04651510 250 00 HEW
559 74
449 57
460 71
1084202
10~661 123
b 755
04881610 74 UPDATE
06605510 54 UPDATE
06780610 69 UPDATE
07810710 203 UPDATE
0l)972510 111 UPDATE
11185310 212 uPDATE
12590210 84 UPDATE
14050110 84 UPDATE
15116210Hfi UPDATE
15200710 51 UPDATE
15882amp10 328 UPDATE
16245610 191 UPDATE
s
BANKAMERICA RLTY INVS H~RRIS ASSOCIATES INC
BARNES GROUP INC _HARRIS ASSOCIATES INC
BELL HiItSINC HARRIS ASSOCIATES INC
-w_ raJFG1IARNERC~-middot - ~IACOISIRItIINL ET AL
BIltOCI(WAYINC TELEDYNE INC ET AL
CPI COIltP HARRIS AS~OCIATE INC
CAPITAL SOUTHWEST CORP HARFIS ASSOCIATES INC
CELLULArltAMER INC
SH BEN INT 13D
COM 13D
COM 13D
13D
COM 13D 121686 212
COM 700 13D 121586 85
COM 174 13D 121586 88
COM o AMEFICAN CELLULAR NETWOPIlt 13D 12 586 HA
CENTEPRE BANCOFPOFATION HARRIS ASSOCIATES INC
CHANCELLOFiCOR~ BRUNACQ INC poundT AL
CHATTElINC HAFRIS ASSOCIATES INC
NEWS DIGEST January 2 1987
COM 416 13D 54
COM b807 703
COM 314 13D 193
~~~-
ACQUISITIONS REPORTS CONT
CHELSEA INDS INC HAARI~ ASSDCIATES IHC
COM 13D 121i86
277 106
16326710 104 UPDATE
CHESFtPEAIltEUTJLS CORP CAWSL ENTERPRISES
COM 13D 12 586
133 16530310 84 00 NEW
CHEUNG LABS INC REVLON GROUP ET AI
CDII 131) 122386
1500156
16674610 00 NEW
CITIZENS FINL GROUP INC HARRIS ASSOCIATES INC
COM 13D 121586
534 74
17461410 67 uPDATI
CITY GAS CO FLA HARRIS ASSOCIATES INC
CDI 13D 121586 51
5bull6 1778281(1
52 UPMTpound ~11A~ ( I
CORCDIINC HARRIS ASSOCIATES INC
COM 13D 121586
484 21835610 140 139 UPDATE
CURTISS WRt6HT CORP TELEDYNE INC ET AI
CDI 13D 121686
e191 451
2315611 0 451 UPDATE
CYCLOPS CORP HARPISASSOCIATES INC
CDII 13D 121586
525 23252510 129 129 UPDATE
DA(CD CORP HARRIS ASSOCIATES INC
COM 13D 121586
392 23957710 48 56 UPDATE
DETREX CORP HARRIS ASSOCIATES INC
COM 13D 121586
225 25068510 142 140 UPDATE
~
DIGITAL TRANSERVICE CORP STERLING ROBERT IJP
COM 130 121686
1150 136
25387810 112 UPDATE
ENNC ITE CONTROL SCHUCK ERNEST
COM 13D 121286
371283
29336810 00 NEW
EVANS~SUTHERLAND COMPUTER HARRIS ASSOCIATES INC
CP COM 13D 121586
451 29909610 56 62 UPDATE
FPA CORP CDII h950 30254210 TIEReD GROUP 13D 121986- 488 526 UPDATE
FFB CORP HARRIS ASSOCIATES INC
COM 13D 121586
636 58
30291310 53 UPDATE
FIRST COOLIDGE CORP COM 73 32002320 ~UDHIA ISMAEL ET AL 13D 91786 902 00 NEW
FOREST CITY ENTERPRISES INC HARRIS ASSOCIATES INC
CL A 13D 121586
662 34555010 163 169 UPDATE
GARAHINC HARRIS ASSOCIATES INC
COM 13D 121586
326 36480210 110 109 UPDATE
6ECO NATIOHAL INC CORPORATE LIFE INS ET AI
CDII 13D 121986
245 90
36863610 00 NEW
GRANT IHDS IHC TELLUS INDUSTRIES INC
CD 13D 122086 252
106 38809210
00 NEW
HAYES ALBION CORP HARYARD INDS
COM 14D-l 122486
0 00
42075810 00 UPDATE
HOLLY SUGAR CORP ARCANUM ONE PAATtfERS
COM 13D 12 486
95 84
43609210 82 UPDATE
IDC SVCS INC Ill LIMITED er Al
COM 13l 12 886
305 44936cl0 117 92 UPlATE
IPT RLTY SVCS IHC HARRIS ASSOCIATES IHC
CD 13D 121586 164 450 06e10 70 59 UPDATE
6 NEWS DIGEST January 2 1987
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
---- CI1ICORP
CUII1IES ACrmiddotmiddotIEIIS1UTIIIS1 9 1hefollowing registration atateunt have been filed with the SBC under the Securi-ties Act of 1933 hereported inforaation appears a follows Form Name Address and Phone Number (if available) of the isuer of the securitYI Title and the number andor face aunt of the securities being offered Naae of the managing underwriter or depositor (if applicable) Pile nuber and date filed Assigned Branch and a designation if the stateent is bull wew Issue
middot S-4 MF FINANCIAL C(It 237 SOUTH TRYON ST CHAItLOTTE NC 28202 (70 847-13 (FILE3-10~ - DEC 09 (IR 2 - NEW ISSUE
$-11 USA JNTERNATIONAl DEFENSE SysrEMS INC 2100 NEllSO~ WAY SANTA MONICA CA 90435(213 59Z~595 - 65000000 U50 0001 CGII STOCK 65000000 11130001)0
I CDMtI)N STOCL 6500000 ISl00 WARUNTS OPTIONS OR liGHTS 6500000 (171 bullbull COMMONSTOCK 65000 U130OOO COMMONSTOCKe UNDERWRITER INVESTORS CENTER INCbull bullFILE 33-10737-U - DEC 01 nR 12 - NEW ISSue
S18 CREATIVE OPPOIlTUNITln INC - lODOOOOOO UlOOOOOOI COMMONSTOCK 100000DOO(S5000OOO WARRNTS OPTIONS CR RIGHTS (FILE 33-10M4-LA - DEC 12 (SR 11- NEW ISSUEI
S-11 MOJAVE ACQUISITIONS INC 17161 SEPTO ST NORTHRIDGE CA 91325 1111 816-1246 -100000000 bullbull 1000000 COMMONSTOCL 100000000 (5000000~RRANTS OPTIONS OR RIGHTS IfilE 33-10105-lA - DEC 12 (BR 12 - NEW ISSUE
middot 5-a EST CORP 1200 PElVEY ILDG MINNEAPOLIS fiN 55479 (6121 372-8268 - 21)000 (nODOODOOI COMMONSTOCK (FIl E 33-10120 - DEC 22 CIR 21
5-18 HARCO TECHNOLOGIES CORP 1090 ENTERPRISE DR MEDINA OH 256 (216 725-6681 -172500110 ($34500001 COMMONSTOCK (FILE 33-10179-C - DEC lSI (BR 6 - NEW ISSUE
S-18 Ute JOE COMPANY INC 2715 PAN AMERICUI RWY NE STE F amplQUERQUE NM 87107 C5051 35-2604 - 300000 1$300000 COMMONSTOCK 1000000 (SlOOOOOO COMN STOCK UNDERWRlTffU FIRST EAGLE INC (FILE 33-10903-0 - DEC 161 C8R 2 - NEW ISSUE
S-18 VElLINE INCCOl 425 JOHN DEERE RD FoaT COLLINS CO 8052 (3031 8-1930 -12500 C$125) COMMONSTOCK 1250000 U2000001 WARRANTS nONS OR RIGHTS 1400000 C$210000) WA~AN7S OPTIONS 01 RIGHTS (FILE 33-1092~D - DEC 17 CBR 4)
S-18 ANOREX SYSTEMS INC 514 35TH ST UNlo CITY NJ OT087 C2011 348-2812 - 25000010C$2500001 CDIUIDN STOCK (FILE 33-10921-NY - DEC 181 UR 11 - NEW ISSUE)
S-11 MORTGAGESECURITIES III TRUST D - 500000000 CSSPDOOOnaol MORTGAGEBONOS (FILE33-10 2 - OEC 18J (8R 11 - NEW ISSue)
5-1 NpoundTWORKEQUIPMENT TECHNOLOGIES ~o PENOBSCOT DR REDIIOODCITY Cl 94063 (415 366~~OO - 750000 ($10500 000 Co STOCK 1550000 1$21700000 COM STOCKe UNDERWRITER ALEX IROWN SONS MOIU~ANSTANlEY co IFILE 33-11)962 -DEC 191 CIR 9 - NEW ISSUE
s-a CA_aIX CORP 5757 CENJRAl AVE lOULDER CO 10301 nOli -8015 - 265000(117556251 COMMONSTOCK (FILE 33-64 - DEt 19 IIR 10
middot S-1I WEUSWAY VENTURES INC 1100 DSOII AVE NEW YORK NY 10028 (2121 737-8616 -1250000 1$1250000 COMtKINsmCL U5800 U1Z5J UMTS OPTIONS OR RIGS 1250000 (18750001 COMMONSTOCK 1250000 U25000001 COMMONSTOCK 125000 1$150000 COMMONSTOCK CFIlE 3J-IG97G-IIY - DEC la Cltt 12 - NEM ISSUE
NEWS DIGEST January 2 1987 J
S-3 EASTE UfILlTIES ASSOCIATes CNE UTY SO 8amp5Y 021 (6111 HT-9998 -1000000 1$383750001 COMMON STCCK tFIIE ~1R - DIE 22 CaR U
5-1 EUA E C INHI VICTORY 111 AJIHamp1lSTST P 0 eax 1 c WI llt5 ~ 16031 669-1000 - 180000000 ($lUOOOGOOt STRAIGHT BOMDS IFILE 33-10918 - OK 22t CIR 7 - NEW ISSUEt
S-1 PAMtOA INC IDE 8800 F ST DUHA HE 68U7 (4021 339-2400 - 41OOOoeo($41000000) ST~AIGHT BONDS 57275000 ($4450o_000) STRAIGHT 80NDS 28000110 IS28000000) STRAIGHT BONDS (FILE 33-10980 - DEC 221 laR 1 - NEV ISSUE
S-1 REXIS CORP 7000 NW 46TH ST flUMI FL 33166 13051 592-6069 - 800000 1$4800000 J COIUI)N STOCK 235oDO ($14100001 COMMO STOCK UNDEIURITER ADYEST INCFIRST EQUITY CORP OF FLORIDA (FILE 33-10981 - DEC 22 (8R 3 - NEW ISSue
CHEyenltCN alRP 225 BUSH ST SAN FRANCISCO CA 94104 14151 894-7700 - 1lD46~1$79480440 COIMON STOCK (FIL E 33-10982 - DEC 22 CBR 4)
S-I AMatleAN MAGNETICS CORP 13535 VENTURA BLVD STE 205 SHERMAN OAKS CA 91423 (18 713-8900 - 176000 U946 0 COHNONSTOC FILE 33-10986 - Oft 22 (BR 9
S-l U S EQUIPMENT INCOME FUNO III L P 733 FItDNT ST SAN FRANCISCO CA 94111 (415 627-9200 - 80000 1$40000 GOO LIMITED PARTNERSHIP CERTIFICATE UII)ERWRITEIUDEAN WITTER REYNOLDS INC (FILE 3-10987 - DEC 22 (8R 9 - NEW ISSUE
S-3 BALTIMORE GAS amp LECTRmiddotICCO AS I ELECTRIC BlDG CHARLES CTR IAL TtMORE 2lZDl (301 Z34-5811 - 2000000 ($200000000 PREFERRED STOCK (FILE 33-10988 - DEC ZZI (aR 7
S-1 GeA CORP T SHATTUCK RD ANDDV ER MA 01810 161T 975-0000 - 35000000 ($54000000) COMMON STOCK (FILE 33-11017 - DEC 22 (8R 10
5-3 USLIFE CORP 125 MAIDEN LN fEli YORK NY 10038 1212 709-6000 - 140000 U1M COMMON STOCK (FILE 33-11019 - OK ZZt (lR 91
S-8 ANWEST INSURANCE GROUP tNC 6a20 CAHOGA AVE THIRD FL WOODLAND HILLS Cl 91365 18181 704-1111 - 160000 (SI5OOoo0 COMMON STOCK (FILE 33-11020 - DEC 2Z1 8R 9
S-3 KNI~HT RIDDER INC ONE HERALD PlZ MUI FL 3313213051 376-3800 - 200000000($200000000) STRAIGHT BONDS I fILE 33-11021 - DEC 22) (BR 11
$-8 BANKERS TRUST NEW YORK CORP 280 PARK AVE NEW YORK NY 10017 (2121 850-2500 -500000 (S22000COOI COMMON STOCK (FILE 33-11022 - DEC bull22 CBR 2
S- REGENCY CRUISES INC 260 MADISCN AVE NEW YORK NY 10016 21ZI 972-4774 - 5D~000(12600001 COMMON STOCK (FILE 33-11024 - DEC 221 IR 41
$-1 EASCO CDRP 706 S SUTE ST GIllARD OH 44420 (2161 545-5415 - 70000000CSTeODDODO STRAIGHT BONDS 200000 (S20000Oro PREFeRRED STOCK (FILE 33-11027 -DEC 221 18R 6
$-3 INDIAN MEAD BANKS INC ONE INgtIAH HEAD PU NASHUA NH 03060 (603 880-5000 _~_ 300000 ($10575000) COMMON STOC~ (FILE 33-11028 - DEC 221 C8R 2
S-8 CITY NATIONAL CORP 400 N ROJC8URY DA BEVERLY HIlLS CA 90210 (0001 000-0000 -Z2000D ($3423640 COMMON STOOl 781210 S156242001 COMMON STOCK (FILE33-11030 - DEC 22) IBR 1
5- TIME INC 10E TIME I lIFE BLDG ROCKEfELLER eTR NEW YORK NY 10020 (2121 586-1212 - 2500000 ($174531250 COMMoI STOCK (FILE 33-11031 - DEC 22 SR 111
$-8 NU HORIZONS ELECTRONICS CORP 6000 NE~ HORIZONS BLVD AMITYVilLE NY 11701 (516 694-2500 - 210000 1$7350101 COMMON STOCK (FILE 33-11032 - DEC 221 (IR ~t
$-1 fORT HOWARD PAPER CODE middot1919 5 BROADWAY GaEEN lAY WI 54304 (4141 435-8121 -2OOooo00D ($200000000) STRAIG~ BONDS (FILE 33-11035 - DEC 23 (art 8
METROPOLITAN MORTGAGE amp SECURITIES CO INt W 9~ SPRAGUE AVE SPOKANE VA 99Z~ 5091 838-3111 - 1375000 ($13750000 PREFERRED STOCK (FILE 33-11036 - Oft 23 CBR 10)
$-8 MEDIQ INC ONE MEOIQ Pll PENNSAUKEN WJ 08110 1604 665-4300 - 1110DOO(I631700t COMMON STOCK FILE 33-11042 - DEC 23 (IR 8)
NEWS DIGEST January 2 1987 4
---capaniea and l iwiduals uat report to tbe Caaiasion witbin ten bull s en SChedul 13D if after tbe acquisition of euy aeeurltis of a public caapany thb benefi-cial intereat therein exceed five percnt Pereons ligibl to ubullbull the bort fo~ (Schedule 13G) in lieu of filing a Schedule 13D fUe a ScbMul within 45 ays after tbe nd of tbe calndar year in which the peron bec subject to section 13(d)(1) Coapanla end indiyldual bullbull eking a tnder offer uat bay on file at the tle the tender offer coaaencea a Schedule ltD-I
aelow is a liat of recent fUings of Schedulea 13D 140 w1ttda incl the following inforaat ion I Coluan 1 - the ccpany purchaed (top) and the n of the purchaser Coluan 2 - the type of security purchased Coluan 1 - the t et to~ filedJ Colwan - tbe date the transaction occurred Coluan 5 - the eurrent nuaber of shares (in 8OOs) owned (top) and tbe current percent owned Coluan - tb COSI nuaber (~op) and the prior percent owned and Colwan 7 - the status of tbe filing ie new update or revision
EVENT SHRS(OOO)FORM DATE ~OWNED
CUSIP FILIN6 PRIOR STftTUS
030711)1077 UPDflTpound
03cOl~l 0
AMERON INC CAL COM INDUSTRIAL EQUITY LTD ET AL 13D
421 87
2976AMPAL AMERN IS~L CORP BANK HAPOALIM BM
ATLANT~ SOSNOFF CAP OSHEROW SHEPARD D
ATLANTA SDSNOFF CAP SOSMOFF MARTIN T
ATARI CORP IJARNEFCOMMUNICATIONS
ATLANTIC RESH CORP
CL A 13D
COM 13D
COM 13D
COM ET AL 13D
COM GENERAL DEFENSE CORP ET AL 13D
18~ 144 UPDATE
h 966 04649910 214 198 UPDATE
~612611
04649910 91 UPDATE
71100 04651510 250 00 HEW
559 74
449 57
460 71
1084202
10~661 123
b 755
04881610 74 UPDATE
06605510 54 UPDATE
06780610 69 UPDATE
07810710 203 UPDATE
0l)972510 111 UPDATE
11185310 212 uPDATE
12590210 84 UPDATE
14050110 84 UPDATE
15116210Hfi UPDATE
15200710 51 UPDATE
15882amp10 328 UPDATE
16245610 191 UPDATE
s
BANKAMERICA RLTY INVS H~RRIS ASSOCIATES INC
BARNES GROUP INC _HARRIS ASSOCIATES INC
BELL HiItSINC HARRIS ASSOCIATES INC
-w_ raJFG1IARNERC~-middot - ~IACOISIRItIINL ET AL
BIltOCI(WAYINC TELEDYNE INC ET AL
CPI COIltP HARRIS AS~OCIATE INC
CAPITAL SOUTHWEST CORP HARFIS ASSOCIATES INC
CELLULArltAMER INC
SH BEN INT 13D
COM 13D
COM 13D
13D
COM 13D 121686 212
COM 700 13D 121586 85
COM 174 13D 121586 88
COM o AMEFICAN CELLULAR NETWOPIlt 13D 12 586 HA
CENTEPRE BANCOFPOFATION HARRIS ASSOCIATES INC
CHANCELLOFiCOR~ BRUNACQ INC poundT AL
CHATTElINC HAFRIS ASSOCIATES INC
NEWS DIGEST January 2 1987
COM 416 13D 54
COM b807 703
COM 314 13D 193
~~~-
ACQUISITIONS REPORTS CONT
CHELSEA INDS INC HAARI~ ASSDCIATES IHC
COM 13D 121i86
277 106
16326710 104 UPDATE
CHESFtPEAIltEUTJLS CORP CAWSL ENTERPRISES
COM 13D 12 586
133 16530310 84 00 NEW
CHEUNG LABS INC REVLON GROUP ET AI
CDII 131) 122386
1500156
16674610 00 NEW
CITIZENS FINL GROUP INC HARRIS ASSOCIATES INC
COM 13D 121586
534 74
17461410 67 uPDATI
CITY GAS CO FLA HARRIS ASSOCIATES INC
CDI 13D 121586 51
5bull6 1778281(1
52 UPMTpound ~11A~ ( I
CORCDIINC HARRIS ASSOCIATES INC
COM 13D 121586
484 21835610 140 139 UPDATE
CURTISS WRt6HT CORP TELEDYNE INC ET AI
CDI 13D 121686
e191 451
2315611 0 451 UPDATE
CYCLOPS CORP HARPISASSOCIATES INC
CDII 13D 121586
525 23252510 129 129 UPDATE
DA(CD CORP HARRIS ASSOCIATES INC
COM 13D 121586
392 23957710 48 56 UPDATE
DETREX CORP HARRIS ASSOCIATES INC
COM 13D 121586
225 25068510 142 140 UPDATE
~
DIGITAL TRANSERVICE CORP STERLING ROBERT IJP
COM 130 121686
1150 136
25387810 112 UPDATE
ENNC ITE CONTROL SCHUCK ERNEST
COM 13D 121286
371283
29336810 00 NEW
EVANS~SUTHERLAND COMPUTER HARRIS ASSOCIATES INC
CP COM 13D 121586
451 29909610 56 62 UPDATE
FPA CORP CDII h950 30254210 TIEReD GROUP 13D 121986- 488 526 UPDATE
FFB CORP HARRIS ASSOCIATES INC
COM 13D 121586
636 58
30291310 53 UPDATE
FIRST COOLIDGE CORP COM 73 32002320 ~UDHIA ISMAEL ET AL 13D 91786 902 00 NEW
FOREST CITY ENTERPRISES INC HARRIS ASSOCIATES INC
CL A 13D 121586
662 34555010 163 169 UPDATE
GARAHINC HARRIS ASSOCIATES INC
COM 13D 121586
326 36480210 110 109 UPDATE
6ECO NATIOHAL INC CORPORATE LIFE INS ET AI
CDII 13D 121986
245 90
36863610 00 NEW
GRANT IHDS IHC TELLUS INDUSTRIES INC
CD 13D 122086 252
106 38809210
00 NEW
HAYES ALBION CORP HARYARD INDS
COM 14D-l 122486
0 00
42075810 00 UPDATE
HOLLY SUGAR CORP ARCANUM ONE PAATtfERS
COM 13D 12 486
95 84
43609210 82 UPDATE
IDC SVCS INC Ill LIMITED er Al
COM 13l 12 886
305 44936cl0 117 92 UPlATE
IPT RLTY SVCS IHC HARRIS ASSOCIATES IHC
CD 13D 121586 164 450 06e10 70 59 UPDATE
6 NEWS DIGEST January 2 1987
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
S-3 EASTE UfILlTIES ASSOCIATes CNE UTY SO 8amp5Y 021 (6111 HT-9998 -1000000 1$383750001 COMMON STCCK tFIIE ~1R - DIE 22 CaR U
5-1 EUA E C INHI VICTORY 111 AJIHamp1lSTST P 0 eax 1 c WI llt5 ~ 16031 669-1000 - 180000000 ($lUOOOGOOt STRAIGHT BOMDS IFILE 33-10918 - OK 22t CIR 7 - NEW ISSUEt
S-1 PAMtOA INC IDE 8800 F ST DUHA HE 68U7 (4021 339-2400 - 41OOOoeo($41000000) ST~AIGHT BONDS 57275000 ($4450o_000) STRAIGHT 80NDS 28000110 IS28000000) STRAIGHT BONDS (FILE 33-10980 - DEC 221 laR 1 - NEV ISSUE
S-1 REXIS CORP 7000 NW 46TH ST flUMI FL 33166 13051 592-6069 - 800000 1$4800000 J COIUI)N STOCK 235oDO ($14100001 COMMO STOCK UNDEIURITER ADYEST INCFIRST EQUITY CORP OF FLORIDA (FILE 33-10981 - DEC 22 (8R 3 - NEW ISSue
CHEyenltCN alRP 225 BUSH ST SAN FRANCISCO CA 94104 14151 894-7700 - 1lD46~1$79480440 COIMON STOCK (FIL E 33-10982 - DEC 22 CBR 4)
S-I AMatleAN MAGNETICS CORP 13535 VENTURA BLVD STE 205 SHERMAN OAKS CA 91423 (18 713-8900 - 176000 U946 0 COHNONSTOC FILE 33-10986 - Oft 22 (BR 9
S-l U S EQUIPMENT INCOME FUNO III L P 733 FItDNT ST SAN FRANCISCO CA 94111 (415 627-9200 - 80000 1$40000 GOO LIMITED PARTNERSHIP CERTIFICATE UII)ERWRITEIUDEAN WITTER REYNOLDS INC (FILE 3-10987 - DEC 22 (8R 9 - NEW ISSUE
S-3 BALTIMORE GAS amp LECTRmiddotICCO AS I ELECTRIC BlDG CHARLES CTR IAL TtMORE 2lZDl (301 Z34-5811 - 2000000 ($200000000 PREFERRED STOCK (FILE 33-10988 - DEC ZZI (aR 7
S-1 GeA CORP T SHATTUCK RD ANDDV ER MA 01810 161T 975-0000 - 35000000 ($54000000) COMMON STOCK (FILE 33-11017 - DEC 22 (8R 10
5-3 USLIFE CORP 125 MAIDEN LN fEli YORK NY 10038 1212 709-6000 - 140000 U1M COMMON STOCK (FILE 33-11019 - OK ZZt (lR 91
S-8 ANWEST INSURANCE GROUP tNC 6a20 CAHOGA AVE THIRD FL WOODLAND HILLS Cl 91365 18181 704-1111 - 160000 (SI5OOoo0 COMMON STOCK (FILE 33-11020 - DEC 2Z1 8R 9
S-3 KNI~HT RIDDER INC ONE HERALD PlZ MUI FL 3313213051 376-3800 - 200000000($200000000) STRAIGHT BONDS I fILE 33-11021 - DEC 22) (BR 11
$-8 BANKERS TRUST NEW YORK CORP 280 PARK AVE NEW YORK NY 10017 (2121 850-2500 -500000 (S22000COOI COMMON STOCK (FILE 33-11022 - DEC bull22 CBR 2
S- REGENCY CRUISES INC 260 MADISCN AVE NEW YORK NY 10016 21ZI 972-4774 - 5D~000(12600001 COMMON STOCK (FILE 33-11024 - DEC 221 IR 41
$-1 EASCO CDRP 706 S SUTE ST GIllARD OH 44420 (2161 545-5415 - 70000000CSTeODDODO STRAIGHT BONDS 200000 (S20000Oro PREFeRRED STOCK (FILE 33-11027 -DEC 221 18R 6
$-3 INDIAN MEAD BANKS INC ONE INgtIAH HEAD PU NASHUA NH 03060 (603 880-5000 _~_ 300000 ($10575000) COMMON STOC~ (FILE 33-11028 - DEC 221 C8R 2
S-8 CITY NATIONAL CORP 400 N ROJC8URY DA BEVERLY HIlLS CA 90210 (0001 000-0000 -Z2000D ($3423640 COMMON STOOl 781210 S156242001 COMMON STOCK (FILE33-11030 - DEC 22) IBR 1
5- TIME INC 10E TIME I lIFE BLDG ROCKEfELLER eTR NEW YORK NY 10020 (2121 586-1212 - 2500000 ($174531250 COMMoI STOCK (FILE 33-11031 - DEC 22 SR 111
$-8 NU HORIZONS ELECTRONICS CORP 6000 NE~ HORIZONS BLVD AMITYVilLE NY 11701 (516 694-2500 - 210000 1$7350101 COMMON STOCK (FILE 33-11032 - DEC 221 (IR ~t
$-1 fORT HOWARD PAPER CODE middot1919 5 BROADWAY GaEEN lAY WI 54304 (4141 435-8121 -2OOooo00D ($200000000) STRAIG~ BONDS (FILE 33-11035 - DEC 23 (art 8
METROPOLITAN MORTGAGE amp SECURITIES CO INt W 9~ SPRAGUE AVE SPOKANE VA 99Z~ 5091 838-3111 - 1375000 ($13750000 PREFERRED STOCK (FILE 33-11036 - Oft 23 CBR 10)
$-8 MEDIQ INC ONE MEOIQ Pll PENNSAUKEN WJ 08110 1604 665-4300 - 1110DOO(I631700t COMMON STOCK FILE 33-11042 - DEC 23 (IR 8)
NEWS DIGEST January 2 1987 4
---capaniea and l iwiduals uat report to tbe Caaiasion witbin ten bull s en SChedul 13D if after tbe acquisition of euy aeeurltis of a public caapany thb benefi-cial intereat therein exceed five percnt Pereons ligibl to ubullbull the bort fo~ (Schedule 13G) in lieu of filing a Schedule 13D fUe a ScbMul within 45 ays after tbe nd of tbe calndar year in which the peron bec subject to section 13(d)(1) Coapanla end indiyldual bullbull eking a tnder offer uat bay on file at the tle the tender offer coaaencea a Schedule ltD-I
aelow is a liat of recent fUings of Schedulea 13D 140 w1ttda incl the following inforaat ion I Coluan 1 - the ccpany purchaed (top) and the n of the purchaser Coluan 2 - the type of security purchased Coluan 1 - the t et to~ filedJ Colwan - tbe date the transaction occurred Coluan 5 - the eurrent nuaber of shares (in 8OOs) owned (top) and tbe current percent owned Coluan - tb COSI nuaber (~op) and the prior percent owned and Colwan 7 - the status of tbe filing ie new update or revision
EVENT SHRS(OOO)FORM DATE ~OWNED
CUSIP FILIN6 PRIOR STftTUS
030711)1077 UPDflTpound
03cOl~l 0
AMERON INC CAL COM INDUSTRIAL EQUITY LTD ET AL 13D
421 87
2976AMPAL AMERN IS~L CORP BANK HAPOALIM BM
ATLANT~ SOSNOFF CAP OSHEROW SHEPARD D
ATLANTA SDSNOFF CAP SOSMOFF MARTIN T
ATARI CORP IJARNEFCOMMUNICATIONS
ATLANTIC RESH CORP
CL A 13D
COM 13D
COM 13D
COM ET AL 13D
COM GENERAL DEFENSE CORP ET AL 13D
18~ 144 UPDATE
h 966 04649910 214 198 UPDATE
~612611
04649910 91 UPDATE
71100 04651510 250 00 HEW
559 74
449 57
460 71
1084202
10~661 123
b 755
04881610 74 UPDATE
06605510 54 UPDATE
06780610 69 UPDATE
07810710 203 UPDATE
0l)972510 111 UPDATE
11185310 212 uPDATE
12590210 84 UPDATE
14050110 84 UPDATE
15116210Hfi UPDATE
15200710 51 UPDATE
15882amp10 328 UPDATE
16245610 191 UPDATE
s
BANKAMERICA RLTY INVS H~RRIS ASSOCIATES INC
BARNES GROUP INC _HARRIS ASSOCIATES INC
BELL HiItSINC HARRIS ASSOCIATES INC
-w_ raJFG1IARNERC~-middot - ~IACOISIRItIINL ET AL
BIltOCI(WAYINC TELEDYNE INC ET AL
CPI COIltP HARRIS AS~OCIATE INC
CAPITAL SOUTHWEST CORP HARFIS ASSOCIATES INC
CELLULArltAMER INC
SH BEN INT 13D
COM 13D
COM 13D
13D
COM 13D 121686 212
COM 700 13D 121586 85
COM 174 13D 121586 88
COM o AMEFICAN CELLULAR NETWOPIlt 13D 12 586 HA
CENTEPRE BANCOFPOFATION HARRIS ASSOCIATES INC
CHANCELLOFiCOR~ BRUNACQ INC poundT AL
CHATTElINC HAFRIS ASSOCIATES INC
NEWS DIGEST January 2 1987
COM 416 13D 54
COM b807 703
COM 314 13D 193
~~~-
ACQUISITIONS REPORTS CONT
CHELSEA INDS INC HAARI~ ASSDCIATES IHC
COM 13D 121i86
277 106
16326710 104 UPDATE
CHESFtPEAIltEUTJLS CORP CAWSL ENTERPRISES
COM 13D 12 586
133 16530310 84 00 NEW
CHEUNG LABS INC REVLON GROUP ET AI
CDII 131) 122386
1500156
16674610 00 NEW
CITIZENS FINL GROUP INC HARRIS ASSOCIATES INC
COM 13D 121586
534 74
17461410 67 uPDATI
CITY GAS CO FLA HARRIS ASSOCIATES INC
CDI 13D 121586 51
5bull6 1778281(1
52 UPMTpound ~11A~ ( I
CORCDIINC HARRIS ASSOCIATES INC
COM 13D 121586
484 21835610 140 139 UPDATE
CURTISS WRt6HT CORP TELEDYNE INC ET AI
CDI 13D 121686
e191 451
2315611 0 451 UPDATE
CYCLOPS CORP HARPISASSOCIATES INC
CDII 13D 121586
525 23252510 129 129 UPDATE
DA(CD CORP HARRIS ASSOCIATES INC
COM 13D 121586
392 23957710 48 56 UPDATE
DETREX CORP HARRIS ASSOCIATES INC
COM 13D 121586
225 25068510 142 140 UPDATE
~
DIGITAL TRANSERVICE CORP STERLING ROBERT IJP
COM 130 121686
1150 136
25387810 112 UPDATE
ENNC ITE CONTROL SCHUCK ERNEST
COM 13D 121286
371283
29336810 00 NEW
EVANS~SUTHERLAND COMPUTER HARRIS ASSOCIATES INC
CP COM 13D 121586
451 29909610 56 62 UPDATE
FPA CORP CDII h950 30254210 TIEReD GROUP 13D 121986- 488 526 UPDATE
FFB CORP HARRIS ASSOCIATES INC
COM 13D 121586
636 58
30291310 53 UPDATE
FIRST COOLIDGE CORP COM 73 32002320 ~UDHIA ISMAEL ET AL 13D 91786 902 00 NEW
FOREST CITY ENTERPRISES INC HARRIS ASSOCIATES INC
CL A 13D 121586
662 34555010 163 169 UPDATE
GARAHINC HARRIS ASSOCIATES INC
COM 13D 121586
326 36480210 110 109 UPDATE
6ECO NATIOHAL INC CORPORATE LIFE INS ET AI
CDII 13D 121986
245 90
36863610 00 NEW
GRANT IHDS IHC TELLUS INDUSTRIES INC
CD 13D 122086 252
106 38809210
00 NEW
HAYES ALBION CORP HARYARD INDS
COM 14D-l 122486
0 00
42075810 00 UPDATE
HOLLY SUGAR CORP ARCANUM ONE PAATtfERS
COM 13D 12 486
95 84
43609210 82 UPDATE
IDC SVCS INC Ill LIMITED er Al
COM 13l 12 886
305 44936cl0 117 92 UPlATE
IPT RLTY SVCS IHC HARRIS ASSOCIATES IHC
CD 13D 121586 164 450 06e10 70 59 UPDATE
6 NEWS DIGEST January 2 1987
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
---capaniea and l iwiduals uat report to tbe Caaiasion witbin ten bull s en SChedul 13D if after tbe acquisition of euy aeeurltis of a public caapany thb benefi-cial intereat therein exceed five percnt Pereons ligibl to ubullbull the bort fo~ (Schedule 13G) in lieu of filing a Schedule 13D fUe a ScbMul within 45 ays after tbe nd of tbe calndar year in which the peron bec subject to section 13(d)(1) Coapanla end indiyldual bullbull eking a tnder offer uat bay on file at the tle the tender offer coaaencea a Schedule ltD-I
aelow is a liat of recent fUings of Schedulea 13D 140 w1ttda incl the following inforaat ion I Coluan 1 - the ccpany purchaed (top) and the n of the purchaser Coluan 2 - the type of security purchased Coluan 1 - the t et to~ filedJ Colwan - tbe date the transaction occurred Coluan 5 - the eurrent nuaber of shares (in 8OOs) owned (top) and tbe current percent owned Coluan - tb COSI nuaber (~op) and the prior percent owned and Colwan 7 - the status of tbe filing ie new update or revision
EVENT SHRS(OOO)FORM DATE ~OWNED
CUSIP FILIN6 PRIOR STftTUS
030711)1077 UPDflTpound
03cOl~l 0
AMERON INC CAL COM INDUSTRIAL EQUITY LTD ET AL 13D
421 87
2976AMPAL AMERN IS~L CORP BANK HAPOALIM BM
ATLANT~ SOSNOFF CAP OSHEROW SHEPARD D
ATLANTA SDSNOFF CAP SOSMOFF MARTIN T
ATARI CORP IJARNEFCOMMUNICATIONS
ATLANTIC RESH CORP
CL A 13D
COM 13D
COM 13D
COM ET AL 13D
COM GENERAL DEFENSE CORP ET AL 13D
18~ 144 UPDATE
h 966 04649910 214 198 UPDATE
~612611
04649910 91 UPDATE
71100 04651510 250 00 HEW
559 74
449 57
460 71
1084202
10~661 123
b 755
04881610 74 UPDATE
06605510 54 UPDATE
06780610 69 UPDATE
07810710 203 UPDATE
0l)972510 111 UPDATE
11185310 212 uPDATE
12590210 84 UPDATE
14050110 84 UPDATE
15116210Hfi UPDATE
15200710 51 UPDATE
15882amp10 328 UPDATE
16245610 191 UPDATE
s
BANKAMERICA RLTY INVS H~RRIS ASSOCIATES INC
BARNES GROUP INC _HARRIS ASSOCIATES INC
BELL HiItSINC HARRIS ASSOCIATES INC
-w_ raJFG1IARNERC~-middot - ~IACOISIRItIINL ET AL
BIltOCI(WAYINC TELEDYNE INC ET AL
CPI COIltP HARRIS AS~OCIATE INC
CAPITAL SOUTHWEST CORP HARFIS ASSOCIATES INC
CELLULArltAMER INC
SH BEN INT 13D
COM 13D
COM 13D
13D
COM 13D 121686 212
COM 700 13D 121586 85
COM 174 13D 121586 88
COM o AMEFICAN CELLULAR NETWOPIlt 13D 12 586 HA
CENTEPRE BANCOFPOFATION HARRIS ASSOCIATES INC
CHANCELLOFiCOR~ BRUNACQ INC poundT AL
CHATTElINC HAFRIS ASSOCIATES INC
NEWS DIGEST January 2 1987
COM 416 13D 54
COM b807 703
COM 314 13D 193
~~~-
ACQUISITIONS REPORTS CONT
CHELSEA INDS INC HAARI~ ASSDCIATES IHC
COM 13D 121i86
277 106
16326710 104 UPDATE
CHESFtPEAIltEUTJLS CORP CAWSL ENTERPRISES
COM 13D 12 586
133 16530310 84 00 NEW
CHEUNG LABS INC REVLON GROUP ET AI
CDII 131) 122386
1500156
16674610 00 NEW
CITIZENS FINL GROUP INC HARRIS ASSOCIATES INC
COM 13D 121586
534 74
17461410 67 uPDATI
CITY GAS CO FLA HARRIS ASSOCIATES INC
CDI 13D 121586 51
5bull6 1778281(1
52 UPMTpound ~11A~ ( I
CORCDIINC HARRIS ASSOCIATES INC
COM 13D 121586
484 21835610 140 139 UPDATE
CURTISS WRt6HT CORP TELEDYNE INC ET AI
CDI 13D 121686
e191 451
2315611 0 451 UPDATE
CYCLOPS CORP HARPISASSOCIATES INC
CDII 13D 121586
525 23252510 129 129 UPDATE
DA(CD CORP HARRIS ASSOCIATES INC
COM 13D 121586
392 23957710 48 56 UPDATE
DETREX CORP HARRIS ASSOCIATES INC
COM 13D 121586
225 25068510 142 140 UPDATE
~
DIGITAL TRANSERVICE CORP STERLING ROBERT IJP
COM 130 121686
1150 136
25387810 112 UPDATE
ENNC ITE CONTROL SCHUCK ERNEST
COM 13D 121286
371283
29336810 00 NEW
EVANS~SUTHERLAND COMPUTER HARRIS ASSOCIATES INC
CP COM 13D 121586
451 29909610 56 62 UPDATE
FPA CORP CDII h950 30254210 TIEReD GROUP 13D 121986- 488 526 UPDATE
FFB CORP HARRIS ASSOCIATES INC
COM 13D 121586
636 58
30291310 53 UPDATE
FIRST COOLIDGE CORP COM 73 32002320 ~UDHIA ISMAEL ET AL 13D 91786 902 00 NEW
FOREST CITY ENTERPRISES INC HARRIS ASSOCIATES INC
CL A 13D 121586
662 34555010 163 169 UPDATE
GARAHINC HARRIS ASSOCIATES INC
COM 13D 121586
326 36480210 110 109 UPDATE
6ECO NATIOHAL INC CORPORATE LIFE INS ET AI
CDII 13D 121986
245 90
36863610 00 NEW
GRANT IHDS IHC TELLUS INDUSTRIES INC
CD 13D 122086 252
106 38809210
00 NEW
HAYES ALBION CORP HARYARD INDS
COM 14D-l 122486
0 00
42075810 00 UPDATE
HOLLY SUGAR CORP ARCANUM ONE PAATtfERS
COM 13D 12 486
95 84
43609210 82 UPDATE
IDC SVCS INC Ill LIMITED er Al
COM 13l 12 886
305 44936cl0 117 92 UPlATE
IPT RLTY SVCS IHC HARRIS ASSOCIATES IHC
CD 13D 121586 164 450 06e10 70 59 UPDATE
6 NEWS DIGEST January 2 1987
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
~~~-
ACQUISITIONS REPORTS CONT
CHELSEA INDS INC HAARI~ ASSDCIATES IHC
COM 13D 121i86
277 106
16326710 104 UPDATE
CHESFtPEAIltEUTJLS CORP CAWSL ENTERPRISES
COM 13D 12 586
133 16530310 84 00 NEW
CHEUNG LABS INC REVLON GROUP ET AI
CDII 131) 122386
1500156
16674610 00 NEW
CITIZENS FINL GROUP INC HARRIS ASSOCIATES INC
COM 13D 121586
534 74
17461410 67 uPDATI
CITY GAS CO FLA HARRIS ASSOCIATES INC
CDI 13D 121586 51
5bull6 1778281(1
52 UPMTpound ~11A~ ( I
CORCDIINC HARRIS ASSOCIATES INC
COM 13D 121586
484 21835610 140 139 UPDATE
CURTISS WRt6HT CORP TELEDYNE INC ET AI
CDI 13D 121686
e191 451
2315611 0 451 UPDATE
CYCLOPS CORP HARPISASSOCIATES INC
CDII 13D 121586
525 23252510 129 129 UPDATE
DA(CD CORP HARRIS ASSOCIATES INC
COM 13D 121586
392 23957710 48 56 UPDATE
DETREX CORP HARRIS ASSOCIATES INC
COM 13D 121586
225 25068510 142 140 UPDATE
~
DIGITAL TRANSERVICE CORP STERLING ROBERT IJP
COM 130 121686
1150 136
25387810 112 UPDATE
ENNC ITE CONTROL SCHUCK ERNEST
COM 13D 121286
371283
29336810 00 NEW
EVANS~SUTHERLAND COMPUTER HARRIS ASSOCIATES INC
CP COM 13D 121586
451 29909610 56 62 UPDATE
FPA CORP CDII h950 30254210 TIEReD GROUP 13D 121986- 488 526 UPDATE
FFB CORP HARRIS ASSOCIATES INC
COM 13D 121586
636 58
30291310 53 UPDATE
FIRST COOLIDGE CORP COM 73 32002320 ~UDHIA ISMAEL ET AL 13D 91786 902 00 NEW
FOREST CITY ENTERPRISES INC HARRIS ASSOCIATES INC
CL A 13D 121586
662 34555010 163 169 UPDATE
GARAHINC HARRIS ASSOCIATES INC
COM 13D 121586
326 36480210 110 109 UPDATE
6ECO NATIOHAL INC CORPORATE LIFE INS ET AI
CDII 13D 121986
245 90
36863610 00 NEW
GRANT IHDS IHC TELLUS INDUSTRIES INC
CD 13D 122086 252
106 38809210
00 NEW
HAYES ALBION CORP HARYARD INDS
COM 14D-l 122486
0 00
42075810 00 UPDATE
HOLLY SUGAR CORP ARCANUM ONE PAATtfERS
COM 13D 12 486
95 84
43609210 82 UPDATE
IDC SVCS INC Ill LIMITED er Al
COM 13l 12 886
305 44936cl0 117 92 UPlATE
IPT RLTY SVCS IHC HARRIS ASSOCIATES IHC
CD 13D 121586 164 450 06e10 70 59 UPDATE
6 NEWS DIGEST January 2 1987
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
ACQUISITIONS REPORTS CONT
INDUSTRIAl INVESTMENT CORP COM 209 45617010CHVATAL DOHALD P ET Al 13D 91186 282 423 UPDATE
INTERFIRST CORPREPUBLI CBANIltCORP ET AL
COM 13Dmiddot 121686
12589 45891610187 00 NEw
INTERNATIONAL PWR MACHS CORP COM 817 46018410SHEHf(IAI PARTtfERS 121686 214 O (I NEWINVMNT 13D
INVESTORS FINANCE INC COM 70 46150410VIDA JOHN 13D 121886 74 61 UPDATE
JEFFERSON PILOT CORP COM c335 47507010HARRIS ASSOCIATES INC 13D 121586 S6 51 UPDATE
JOY IIFGCO COM (I 48119610~MC ACQUISITION CORP ET AL 14I-1 122486 O (I ot) NEW
KIDDE INC COM 3927 49378210TELEDYNE INC ET AL 13D 121686 184 298 UPDATE
KOENIG INC COM 134 50019310BAUPDs-T GRP INC 13D 121786 84 70 UPDATE
LEAR SIEGLER INC COM 0 5218941 (ILEAR SIEGLER ET AL l4D-l 122486 00 o (I IiEW
LEAR SIEGLE INC PFD CONV $225 0 52189420LEAR SIEGLER ET AL 14D-l 122486 NA totA NEW
LI TTON INDS INC COM 7167 5380211 (ITELEDYNE INC ET AL 13D 121686 263 398 UPDATE
MAP INE TpFtNSPOPTLJNES INC COM 174 56844610HARRIS ASSOCIATES INC 13I 121586 58 59 UPDATE
MAYFLOWER GROUP INC COM 759 57834810SMITH JOHN B ET AL 13D 121586 98 O o NEb
MEM CD COM 158 5858711 0 HARRIS ASSOCIATES INC 13D 121586 60 70 UPDATE
MICHAELS STORES INC COM b308 59408710ctLY CHARLES ~I JR ET AL 13It I1d9di6 138 133 UPDATE
MICHAELS STORES INC COM 2313 59408710WYLY SAM 13D 11198 244 233 UPDATE
NELSON RESH 8- DEV CO COM 1270 64037910ETHYL CORP ET AL 14D-l 122486 138 138 UPDATE
OLD REP INTL CORP COM 2040 6802310HARPIS ASSOCIATES INC 13D 1215-36 144 131 L1PDATE
OPTICAL COATING LAB INC COM 320 6838911)HARP IS flSSOCJATES IHe 13D 121586 55 53 UPDATE
PACIFIC RES INC HAt-IAII COM 5892 69479210ALEXF1NDER S BALDWIN INC 13D 121586 358 305 UPDATE
PERINI COPP COM 533 71383910HARRIS ASSOCIATES INC 13D 1211586 164 165 UPDATE
PERINI INVT PPTYS INe COM amp40 7138431012115 86HARRIS ASSOCIflTES INC 13D 19e 199 UPDATE
PETRO LEWIS COfW COM 17459 7164511 omiddot FREEPORT MCMOPflN INC 14tJ-l 122486 673 00 UP[IATE
NEWS DIGEST January 2 1986 7
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981
ACQUISITIONS REPORTS CONT
PpoundT~ LEWIS FREEPORT 1tCfUAt1 It4(
16S CUf1 PFD 14D-l
STI(122486 474
e7 71MS130
00 uPDATE
PETRO LEWIS F~EEPO~T IIC~AN INC
228 ~ PFD 14D-1
STI(122486 520
4l3 7164S1S0
00 UPDATE
PET~ LEW IS CDfP FREEP~T t1C~AN IHe
PFD tv $333 14D-l 122486
456 650
7164S160 O (I uPDATE
PH ILL IPS YAH HpoundUSEfICDPP HAR~IS ASSOCIATES IHemiddot
C~ 13D 121586
342 56
71859210 66 uPDATE
PIDflEE~STD ELECTRS HARRISmiddotASSOCIATES
IHe INC
C~ 13D 121586
380 70
72387710 70 uPDATE
PRIPfMK ~IS
COPP ASSOCIATES II1C
C~ 13D 121586
2760140
74190310 146 UPDATE
PlHJDEflTIAL F nIL SYCS C[JPLEUCADIA IIICmiddotET AL
C~ 13D 121286
56Z 220
74432410 208 UPDATE
REICHHDLD CHES Itte TELpoundDvtpound IHe ET AL
C~ 13D 121686
h114 150
75920010 150 uPDATE
ROCKEFELLER eTR PPTV ~IS ASSOCIATES
INC II1C
C~ 13D 121586
205555
77310210 53 UPDATE
~VT UNDER6AR~tlT ItIC lUfTDH I(IBALL H ET AI
C~ 13D 121686
middot80 27
77465410 00 tlEW
RUSS TOSS INC C~ 301 78224220 ~IS ASSOCIATES INC 13D 121586 60 54 uPDATE
SAUL bull F ~JS
REAL ESTATE ASSOCIATES
IIIVTTR ItIC
C~ 13D 121586
436 80
80439610 78 UPDATE
SCANDItlAVIA FD ItIC YII( ERII( rtARTIfI
C~ 13D 122286
348 53
8060(131000 HEW
SEAGULL poundtlER6VCDRP C~ 220 81200710 ~IS ASSOCIATES ItIC 13D 121586 34 55 UPDATE
~ITH ItiTL ItIC ItiDUSTRIAL EQUITY LTD ET
C~ AL 13D 122286
2925129
83211 01 0 112 UPDATE
STE~6D C[JPINDUSTRIAL EQUITY lTD ET
C~ AL 13D 122286
676 70
8580S010 59 UPDATE
SUItft IT EtlEfOGyItIC SIT ENEfO6YP~
PFD CDHV $180 IT StiRS PLAN 13D 11 886
55 97
86605530 99 UPDATE
TECHtlD6EtlETICS ItIC REC[J1DATIItlTl HUG S A
CDt1 13D 121686
2857661
87861510 00 NEW
TELOS co-pI LIITED ET AL
C~ 13D 121286
a94 euroC 7
87969410 68 UPDATE
THDlISAtlftT~AILS INC HAR~IS AS~IATES ItIC
C~ 13D 121586
551 53
88550010 52 UPDATE
TRIAD SVS CORP HARfOISASSOCIATES ItIC
C~ 13D 121586
1465196
89581810 200 UPDATE
UNIVERSAL HARRIS
FOODS C[J1PASSOCIATES ItIC
C~ 13D 121586
893 86
91353810 88 UPDATE
YISTA CHEICAL CD HARIU S ASSOC IATES IHe
~ 13D 1215 86
h358 91
92834710 00 NEW
8 REWS DIGBST January 2 1981