-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, O92KD3KEWG4+SSJbPz/wbntfcDtIIC2HYUnNaKvuLDkUA9kSkqkTUclUL/zMOiO8 vBN3rpML2jVL0Jnj3DCYRA== 0000950136-03-001066.txt : 20030502 0000950136-03-001066.hdr.sgml : 20030502 20030502161019 ACCESSION NUMBER: 0000950136-03-001066 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20030331 FILED AS OF DATE: 20030502 EFFECTIVENESS DATE: 20030502 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GREENE DAVID J & CO LLC CENTRAL INDEX KEY: 0000728608 IRS NUMBER: 362387938 STATE OF INCORPORATION: NY FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-00663 FILM NUMBER: 03679937 BUSINESS ADDRESS: STREET 1: 599 LEXINGTON AVE CITY: NEW YORK STATE: NY ZIP: 10022 BUSINESS PHONE: 2123714233 MAIL ADDRESS: STREET 1: 599 LEXINGTON AVE CITY: NEW YORK STATE: NY ZIP: 10022 13F-HR 1 file001.txt FORM 13F FORM 13F UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON D.C. 20549 FORM 13F COVER PAGE Report for the Quarter Ended: March 31, 2003 -------------- Check Here if Amendment [ ]; Amendment Number ----------- Institutional Investment Manager Filing this Report: Name: David J. Greene and Company, LLC -------------------------------------------------- Address: 599 Lexington Avenue ----------------------------------------------- New York, NY 10022 - ------------------------------------------------------- Form 13F File Number: 28-663 ------ The institutional investment manager filing this report and the person by whom it is signed thereby represent that the person signing the report is authorized to submit, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists and tables are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: E. Stephen Walsh ------------------------------------------ Title: Principal and Chief Administrative Officer ------------------------------------------ Phone: (212) 371-4200 ------------------------------------------ Signature, Place and Date of Signing: /s/ E. Stephen Walsh - ------------------------------------------------------- [Signature] New York, NY - ------------------------------------------------------- [City, State] April 25, 2003 - ------------------------------------------------------- [Date] Report Type: [X] 13F HOLDINGS REPORT [ ] 13F NOTICE [ ] 13F COMBINATION REPORT FORM 13F SUMMARY PAGE REPORT SUMMARY: Number of Other Included Managers: -0- - ------------------------------------------- Form 13F Information Table Entry Total: 167 - ------------------------------------------- Form 13F Information Table Value Total $1,481 - ------------------------------------------- List of Other Included Managers: None - ------------------------------------------- FORM 13 F 03/31/03 PAGE 1 REPORTING MANAGER : David J. Greene and Company, LLC
TITLE OF VALUE SHARES/ SH/ PUT/ NAME OF ISSUER CLASS CUSIP (x$1000) PRN AMT PRN CALL AGCO CORP Common Stock 001084102 12,102 751,672 SH AOL TIME WARNER Common Stock 00184A105 4,514 415,640 SH A T & T CORP Common Stock 001957505 2,148 132,614 SH A T & T WIRELESS SERVICES Common Stock 00209A106 28,659 4,342,333 SH ABERCROMBIE & FITCH CO Common Stock 002896207 27,866 927,943 SH ADVANCE PCS Common Stock 00790K109 25,466 898,571 SH ALBERTSONS INC Common Stock 013104104 28,417 1,507,555 SH ALLEN TELECOM INC Common Stock 018091108 16,905 1,733,811 SH ALPHARMA INC. CL A Common Stock 020813101 15,537 866,538 SH AMERICAN EAGLE OUTFITTERS Common Stock 02553E106 6,248 430,366 SH AMERICAN EXPRESS CO Common Stock 025816109 1,773 53,369 SH AMERICAN INTERNATIONAL Common Stock 026874107 1,566 31,677 SH CELERA GENOMICS Common Stock 038020202 7,157 830,310 SH ARRIS GROUP INC Common Stock 04269Q100 7,458 2,015,742 SH ASCENTIAL SOFTWARE CORP Common Stock 04362P108 7,020 2,507,114 SH AVAYA INC Common Stock 053499109 11,143 5,462,264 SH BJ SERVICES CO Common Stock 055482103 4,882 141,973 SH BJ'S WHOLESALE CLUB INC. Common Stock 05548J106 10,003 885,265 SH BP PLC - SPON ADR Common Stock 055622104 545 14,125 SH BANKNORTH GROUP INC Common Stock 06646R107 18,220 835,400 SH BARON SMALL CAP FUND Common Stock 068278308 207 15,447 SH BAUSCH & LOMB INC Common Stock 071707103 13,899 422,586 SH BECKMAN COULTER INC Common Stock 075811109 18,821 553,082 SH BERKLEY W R CORP Common Stock 084423102 2,140 49,950 SH BRISTOL MYERS SQUIBB CO Common Stock 110122108 451 21,325 SH CIT GROUP INC Common Stock 125581108 9,676 573,900 SH CNA SURETY CORPORATION Common Stock 12612L108 809 101,100 SH CSG SYSTEMS INTL INC Common Stock 126349109 4,092 471,992 SH CVS CORP Common Stock 126650100 27,538 1,154,621 SH CABLEVISION SYS CORP CL A Common Stock 12686C109 17,087 899,765 SH CALGON CARBON CORP Common Stock 129603106 13,148 2,683,308 SH CAPITAL CROSSING BANK Common Stock 140071101 239 8,462 SH CENDANT CORPORATION Common Stock 151313103 34,368 2,706,164 SH CHARTER ONE FINANCIAL INC Common Stock 160903100 3,414 123,422 SH CHEVRONTEXACO CORP Common Stock 166764100 1,597 24,705 SH CITIGROUP INC. Common Stock 172967101 11,876 344,737 SH CITY INVESTING CO Common Stock 177900107 23 12,000 SH CLAIMSNET.COM INC Common Stock 179570106 1 15,500 SH COMCAST CORP CL A Common Stock 20030N101 5,815 203,403 SH COMDISCO HOLDING CO Common Stock 200334100 280 2,083 SH COMDISCO HLD CONTINGENT Common Stock 200334118 109 426,464 SH PAGE COLUMN TOTALS 403,223 INVESTMENT OTHER VOTING AUTHORITY NAME OF ISSUER DISCRETION MANAGERS SOLE SHARED NONE AGCO CORP SOLE 477,400 274,272 AOL TIME WARNER SOLE 78,700 336,940 A T & T CORP SOLE 30,999 101,615 A T & T WIRELESS SERVICES SOLE 2,013,670 2,328,663 ABERCROMBIE & FITCH CO SOLE 531,000 396,943 ADVANCE PCS SOLE 399,200 499,371 ALBERTSONS INC SOLE 725,814 781,741 ALLEN TELECOM INC SOLE 1,295,000 438,811 ALPHARMA INC. CL A SOLE 646,800 219,738 AMERICAN EAGLE OUTFITTERS SOLE 312,800 117,566 AMERICAN EXPRESS CO SOLE 1,100 52,269 AMERICAN INTERNATIONAL SOLE 14,898 16,779 CELERA GENOMICS SOLE 609,100 221,210 ARRIS GROUP INC SOLE 1,484,900 530,842 ASCENTIAL SOFTWARE CORP SOLE 1,880,700 626,414 AVAYA INC SOLE 4,071,800 1,390,464 BJ SERVICES CO SOLE 107,400 34,573 BJ'S WHOLESALE CLUB INC. SOLE 396,300 488,965 BP PLC - SPON ADR SOLE 14,125 BANKNORTH GROUP INC SOLE 426,800 408,600 BARON SMALL CAP FUND SOLE 15,447 BAUSCH & LOMB INC SOLE 316,400 106,186 BECKMAN COULTER INC SOLE 259,100 293,982 BERKLEY W R CORP SOLE 49,950 BRISTOL MYERS SQUIBB CO SOLE 21,325 CIT GROUP INC SOLE 350,300 223,600 CNA SURETY CORPORATION SOLE 76,800 24,300 CSG SYSTEMS INTL INC SOLE 358,200 113,792 CVS CORP SOLE 565,900 588,721 CABLEVISION SYS CORP CL A SOLE 421,800 477,965 CALGON CARBON CORP SOLE 1,858,860 824,448 CAPITAL CROSSING BANK SOLE 8,462 CENDANT CORPORATION SOLE 1,176,427 1,529,737 CHARTER ONE FINANCIAL INC SOLE 49,324 74,098 CHEVRONTEXACO CORP SOLE 747 23,958 CITIGROUP INC. SOLE 63,991 280,746 CITY INVESTING CO SOLE 8,300 3,700 CLAIMSNET.COM INC SOLE 15,500 COMCAST CORP CL A SOLE 44,920 158,483 COMDISCO HOLDING CO SOLE 317 1,766 COMDISCO HLD CONTINGENT SOLE 165,500 260,964
FORM 13 F 03/31/03 PAGE 2 REPORTING MANAGER : David J. Greene and Company, LLC
TITLE OF VALUE SHARES/ SH/ PUT/ NAME OF ISSUER CLASS CUSIP (x$1000) PRN AMT PRN CALL COMPUTER ASSOCIATES INTL Common Stock 204912109 15,153 1,109,325 SH CONOCOPHILLIPS Common Stock 20825C104 9,497 177,174 SH CONSTELLATION ENERGY Common Stock 210371100 5,789 208,750 SH CORAM HEALTHCARE CORP. Common Stock 218103109 16 23,326 SH CROWN HOLDING INC Common Stock 228368106 1,026 182,500 SH CYTEC INDUSTRIES INC. Common Stock 232820100 41,871 1,503,457 SH DIAL CORPORATION Common Stock 25247D101 495 25,500 SH DIGEX INC Common Stock 253756100 2,027 5,792,444 SH DIME BANCORP-LITIGATION Common Stock 25429Q110 1,107 7,380,820 SH WALT DISNEY COMPANY Common Stock 254687106 10,306 605,500 SH RR DONNELLY & SONS CO Common Stock 257867101 14,418 787,000 SH DUANE READE INC Common Stock 263578106 3,814 300,766 SH E.PIPHANY INC. Common Stock 26881V100 5,718 1,436,769 SH EQK REALTY INVESTORS 1 SBI Common Stock 268820107 2 41,400 SH EARTHLINK INC Common Stock 270321102 11,909 2,071,100 SH EFUNDS CORP Common Stock 28224R101 6,889 1,002,796 SH CABLEVISON CONV Common Stock 29477R103 220 10,000 SH EVERGREEN OFFITBK HIGH 8-MutualFd-B 299923813 262 40,581 SH EVERGREEN OFFITBK HIGH 8-MutualFd-B 299923847 2,543 394,335 SH EXXON MOBIL CORPORATION Common Stock 30231G102 2,698 77,202 SH FAIRCHILD SEMICON INTL -CL Common Stock 303726103 14,413 1,377,911 SH FINOVA GROUP INC Common Stock 317928109 2 12,102 SH FIRST AMERICAN FINL CORP Common Stock 318522307 25,011 1,025,038 SH FOOTSTAR, INC. Common Stock 344912100 20,867 2,484,120 SH GATX CORP Common Stock 361448103 4,788 330,695 SH GENENCOR INTERNATIONAL Common Stock 368709101 9,358 921,957 SH GENERAL DYNAMICS CORP Common Stock 369550108 10,849 197,000 SH GENERAL ELECTRIC CO Common Stock 369604103 1,240 48,630 SH GILEAD SCIENCES INC Common Stock 375558103 792 18,864 SH GRAPHIC PACKAGING INTL Common Stock 388690109 403 73,205 SH GREENPOINT FINANCIAL CORP Common Stock 395384100 10,436 232,900 SH JOHN HANCOCK FINANCIAL Common Stock 41014S106 2,345 84,400 SH HARRIS CORP Common Stock 413875105 22,055 794,217 SH HEALTHSOUTH CORPORATION Common Stock 421924101 902 10,609,308 SH HEALTH NET INC Common Stock 42222G108 47,159 1,761,642 SH HOLLINGER INTL INC -CL A Common Stock 435569108 6,760 855,670 SH HONEYWELL INTERNATIONAL Common Stock 438516106 3,310 154,959 SH HOST MARRIOTT CORP (REIT) Common Stock 44107P104 93 13,400 SH ICN PHARMACEUTICALS INC Common Stock 448924100 11,380 1,277,204 SH HYPERION SOLUTIONS CORP Common Stock 44914M104 13,106 540,467 SH IMC GLOBAL INC. Common Stock 449669100 18,041 1,875,338 SH PAGE COLUMN TOTALS 359,070 INVESTMENT OTHER VOTING AUTHORITY NAME OF ISSUER DISCRETION MANAGERS SOLE SHARED NONE COMPUTER ASSOCIATES INTL SOLE 554,400 554,925 CONOCOPHILLIPS SOLE 38,137 139,037 CONSTELLATION ENERGY SOLE 130,900 77,850 CORAM HEALTHCARE CORP. SOLE 439 22,887 CROWN HOLDING INC SOLE 131,000 51,500 CYTEC INDUSTRIES INC. SOLE 963,900 539,557 DIAL CORPORATION SOLE 9,900 15,600 DIGEX INC SOLE 4,012,500 1,779,944 DIME BANCORP-LITIGATION SOLE 5,007,198 2,373,622 WALT DISNEY COMPANY SOLE 206,900 398,600 RR DONNELLY & SONS CO SOLE 347,100 439,900 DUANE READE INC SOLE 224,400 76,366 E.PIPHANY INC. SOLE 1,052,700 384,069 EQK REALTY INVESTORS 1 SBI SOLE 1,000 40,400 EARTHLINK INC SOLE 1,545,400 525,700 EFUNDS CORP SOLE 720,300 282,496 CABLEVISON CONV SOLE 10,000 EVERGREEN OFFITBK HIGH SOLE 40,581 EVERGREEN OFFITBK HIGH SOLE 116,228 278,107 EXXON MOBIL CORPORATION SOLE 5,240 71,962 FAIRCHILD SEMICON INTL -CL SOLE 1,054,500 323,411 FINOVA GROUP INC SOLE 12,102 FIRST AMERICAN FINL CORP SOLE 755,000 270,038 FOOTSTAR, INC. SOLE 1,592,839 891,281 GATX CORP SOLE 217,900 112,795 GENENCOR INTERNATIONAL SOLE 683,800 238,157 GENERAL DYNAMICS CORP SOLE 122,200 74,800 GENERAL ELECTRIC CO SOLE 48,630 GILEAD SCIENCES INC SOLE 18,864 GRAPHIC PACKAGING INTL SOLE 30,075 43,130 GREENPOINT FINANCIAL CORP SOLE 143,100 89,800 JOHN HANCOCK FINANCIAL SOLE 57,700 26,700 HARRIS CORP SOLE 594,900 199,317 HEALTHSOUTH CORPORATION SOLE 6,552,400 4,056,908 HEALTH NET INC SOLE 1,123,880 637,762 HOLLINGER INTL INC -CL A SOLE 643,600 212,070 HONEYWELL INTERNATIONAL SOLE 28,300 126,659 HOST MARRIOTT CORP (REIT) SOLE 13,400 ICN PHARMACEUTICALS INC SOLE 826,850 450,354 HYPERION SOLUTIONS CORP SOLE 407,300 133,167 IMC GLOBAL INC. SOLE 1,199,639 675,699
FORM 13 F 03/31/03 PAGE 3 REPORTING MANAGER : David J. Greene and Company, LLC
TITLE OF VALUE SHARES/ SH/ PUT/ NAME OF ISSUER CLASS CUSIP (x$1000) PRN AMT PRN CALL INTEL CORPORATION Common Stock 458140100 937 57,528 SH INTL BUSINESS MACHINES Common Stock 459200101 1,140 14,536 SH INTERNET SECURITY SYSTEMS Common Stock 46060X107 3,045 306,347 SH IVAX CORP Common Stock 465823102 29,436 2,402,932 SH JOHNSON & JOHNSON Common Stock 478160104 3,400 58,753 SH KADANT INC Common Stock 48282T104 6,896 420,764 SH KEYNOTE SYSTEMS INC Common Stock 493308100 8,253 887,375 SH KIMBERLY CLARK CORP Common Stock 494368103 20,534 451,700 SH LABORATORY CORP OF Common Stock 50540R409 5,805 195,800 SH LEAR CORP Common Stock 521865105 1,061 30,000 SH LINCOLN NATIONAL CORP Common Stock 534187109 16,878 602,800 SH LUCENT TECHNOLOGIES, INC. Common Stock 549463107 43 29,042 SH MPS GROUP INC Common Stock 553409103 10,265 1,966,532 SH MACK CALI REALTY CORP Common Stock 554489104 248 8,000 SH MANDALAY RESORT GROUP Common Stock 562567107 3,274 118,804 SH MAXTOR CORP Common Stock 577729205 21,641 3,843,800 SH MAXWELL TECHNOLOGIES INC Common Stock 577767106 2,476 396,840 SH MCKESSON CORP Common Stock 58155Q103 4,639 186,100 SH MERCK & CO INC Common Stock 589331107 1,381 25,210 SH MILLIPORE CORP Common Stock 601073109 29,302 896,099 SH MUELLER IND. Common Stock 624756102 250 10,000 SH MYKROLIS CORP Common Stock 62852P103 4,769 571,154 SH NCR CORPORATION Common Stock 62886E108 8,705 474,650 SH NATIONAL-OILWELL INC. Common Stock 637071101 6,789 303,215 SH NAVISTAR INTL Common Stock 63934E108 30,181 1,226,390 SH NEWS CORP LTD - SPONS ADR Common Stock 652487802 317 14,824 SH NORTH FORK Common Stock 659424105 459 15,596 SH ON ASSIGNMENT INC Common Stock 682159108 1,787 422,421 SH OPTIMAL ROBOTICS CORP - CL Common Stock 68388R208 1,981 343,883 SH ORBITAL SCIENCES CORP Common Stock 685564106 16,758 3,241,419 SH PACKAGING CORP OF Common Stock 695156109 1,621 90,000 SH PACTIV CORPORATION Common Stock 695257105 599 29,498 SH PAREXEL INTERNATIONAL Common Stock 699462107 12,502 911,214 SH PATHMARK STORES INC Common Stock 70322A101 16,477 2,466,622 SH PEPSIAMERICAS INC Common Stock 71343P200 15,456 1,314,302 SH PFIZER INC Common Stock 717081103 6,239 200,230 SH PHARMACOPEIA INC. Common Stock 71713B104 18,394 2,097,321 SH PITTSTON BRINK'S GROUP Common Stock 725701106 38,878 2,805,055 SH PLAYTEX PRODUCTS INC. Common Stock 72813P100 16,904 2,097,331 SH POLO RALPH LAUREN CORP Common Stock 731572103 1,930 84,300 SH PROCTER & GAMBLE CO Common Stock 742718109 463 5,200 SH PAGE COLUMN TOTALS 372,115 INVESTMENT OTHER VOTING AUTHORITY NAME OF ISSUER DISCRETION MANAGERS SOLE SHARED NONE INTEL CORPORATION SOLE 2,000 55,528 INTL BUSINESS MACHINES SOLE 4,772 9,764 INTERNET SECURITY SYSTEMS SOLE 229,000 77,347 IVAX CORP SOLE 1,097,000 1,305,932 JOHNSON & JOHNSON SOLE 58,753 KADANT INC SOLE 330,900 89,864 KEYNOTE SYSTEMS INC SOLE 672,100 215,275 KIMBERLY CLARK CORP SOLE 179,930 271,770 LABORATORY CORP OF SOLE 120,100 75,700 LEAR CORP SOLE 21,300 8,700 LINCOLN NATIONAL CORP SOLE 345,600 257,200 LUCENT TECHNOLOGIES, INC. SOLE 29,042 MPS GROUP INC SOLE 1,487,290 479,242 MACK CALI REALTY CORP SOLE 8,000 MANDALAY RESORT GROUP SOLE 64,600 54,204 MAXTOR CORP SOLE 2,918,230 925,570 MAXWELL TECHNOLOGIES INC SOLE 280,500 116,340 MCKESSON CORP SOLE 121,100 65,000 MERCK & CO INC SOLE 7,000 18,210 MILLIPORE CORP SOLE 602,900 293,199 MUELLER IND. SOLE 1,000 9,000 MYKROLIS CORP SOLE 388,276 182,878 NCR CORPORATION SOLE 207,400 267,250 NATIONAL-OILWELL INC. SOLE 228,000 75,215 NAVISTAR INTL SOLE 673,031 553,359 NEWS CORP LTD - SPONS ADR SOLE 11,792 3,032 NORTH FORK SOLE 3,000 12,596 ON ASSIGNMENT INC SOLE 305,600 116,821 OPTIMAL ROBOTICS CORP - CL SOLE 241,300 102,583 ORBITAL SCIENCES CORP SOLE 2,448,350 793,069 PACKAGING CORP OF SOLE 90,000 PACTIV CORPORATION SOLE 29,498 PAREXEL INTERNATIONAL SOLE 696,400 214,814 PATHMARK STORES INC SOLE 1,822,710 643,912 PEPSIAMERICAS INC SOLE 981,270 333,032 PFIZER INC SOLE 22,200 178,030 PHARMACOPEIA INC. SOLE 1,572,500 524,821 PITTSTON BRINK'S GROUP SOLE 1,554,196 1,250,859 PLAYTEX PRODUCTS INC. SOLE 1,574,800 522,531 POLO RALPH LAUREN CORP SOLE 84,300 PROCTER & GAMBLE CO SOLE 1,000 4,200
FORM 13 F 03/31/03 REPORTING MANAGER : David J. Greene and Company, LLC PAGE 4
TITLE OF VALUE SHARES/ SH/ PUT/ NAME OF ISSUER CLASS CUSIP (x$1000) PRN AMT PRN CALL QUANTA SERVICES INC Common Stock 74762E102 6,063 1,894,692 SH QUANTUM CORP - DLT & Common Stock 747906204 19,135 5,300,624 SH QUINTILES TRANSNATIONAL Common Stock 748767100 3,890 319,917 SH RECKSON ASSOC REALTY Common Stock 75621K106 5,576 296,599 SH RIBAPHARM INC Common Stock 762537108 1,244 240,200 SH RITE AID CORP Common Stock 767754104 41 18,500 SH ROUSE CO Common Stock 779273101 242 7,000 SH ROYAL DUTCH PETE 1.25 Common Stock 780257804 379 9,312 SH RYDER SYSTEM INC Common Stock 783549108 16,220 790,852 SH SBC COMMUNICATIONS INC. Common Stock 78387G103 1,135 56,565 SH ST. PAUL COMPANIES Common Stock 792860108 11,213 352,600 SH SONICWALL INC Common Stock 835470105 2,046 568,346 SH SOUTHTRUST CORP Common Stock 844730101 1,782 69,800 SH SPRINT CORP (FON GROUP) Common Stock 852061100 3,850 327,702 SH STATEN IS BANCORP INC Common Stock 857550107 1,887 126,500 SH SUBURBAN PROPANE Common Stock 864482104 410 14,800 SH SYBRON DENTAL SPECIALTIES, Common Stock 871142105 6,478 371,211 SH TJX COS INC Common Stock 872540109 33,341 1,894,400 SH TELEDYNE TECHNOLOGIES Common Stock 879360105 13,434 1,061,141 SH TELEPHONE & DATA SYS INC. Common Stock 879433100 31,878 779,213 SH TIBCO SOFTWARE INC Common Stock 88632Q103 11,199 2,666,441 SH TRAVELERS PROP Common Stock 89420G406 159 11,261 SH TYSON FOODS INC - CL A Common Stock 902494103 8,946 1,154,366 SH UNIFI INC Common Stock 904677101 3,382 703,190 SH UNISYS CORP Common Stock 909214108 35,467 3,830,086 SH UNITED INDUSTRIAL CORP Common Stock 910671106 1,834 147,288 SH U.S. INDUSTRIES, INC. Common Stock 912080108 12,131 3,063,442 SH UNOCAL CORP Common Stock 915289102 5,141 195,400 SH UNOVA INC Common Stock 91529B106 11,476 2,136,967 SH UTSTARCOM INC Common Stock 918076100 290 14,500 SH VERDE EXPLORATION LTD Common Stock 923375109 0 21,859 SH VERIZON COMMUNICATIONS Common Stock 92343V104 4,736 133,969 SH VISX INC Common Stock 92844S105 12,487 1,178,024 SH WABTEC CORP Common Stock 929740108 16,784 1,445,652 SH WALLACE Common Stock 932270101 636 25,550 SH WASHINGTON MUTUAL INC Common Stock 939322103 21,390 606,466 SH WAVECOM SA - ADR Common Stock 943531103 2,473 296,928 SH WENDY'S INTERNATIONAL INC Common Stock 950590109 7,477 271,800 SH YUM BRANDS INC Common Stock 988498101 25,029 1,028,730 SH HISCOX PLC Common Stock G45105106 23 12,000 SH INGERSOLL RAND CO CL A Common Stock G4776G101 316 8,200 SH PAGE COLUMN TOTALS 341,623 INVESTMENT OTHER VOTING AUTHORITY NAME OF ISSUER DISCRETION MANAGERS SOLE SHARED NONE QUANTA SERVICES INC SOLE 1,430,700 463,992 QUANTUM CORP - DLT & SOLE 3,835,750 1,464,874 QUINTILES TRANSNATIONAL SOLE 243,600 76,317 RECKSON ASSOC REALTY SOLE 236,300 60,299 RIBAPHARM INC SOLE 71,600 168,600 RITE AID CORP SOLE 18,500 ROUSE CO SOLE 7,000 ROYAL DUTCH PETE 1.25 SOLE 1,136 8,176 RYDER SYSTEM INC SOLE 587,300 203,552 SBC COMMUNICATIONS INC. SOLE 4,374 52,191 ST. PAUL COMPANIES SOLE 234,900 117,700 SONICWALL INC SOLE 413,000 155,346 SOUTHTRUST CORP SOLE 3,000 66,800 SPRINT CORP (FON GROUP) SOLE 58,318 269,384 STATEN IS BANCORP INC SOLE 126,500 SUBURBAN PROPANE SOLE 14,800 SYBRON DENTAL SPECIALTIES, SOLE 283,349 87,862 TJX COS INC SOLE 877,900 1,016,500 TELEDYNE TECHNOLOGIES SOLE 786,600 274,541 TELEPHONE & DATA SYS INC. SOLE 380,550 398,663 TIBCO SOFTWARE INC SOLE 2,001,400 665,041 TRAVELERS PROP SOLE 2,683 8,578 TYSON FOODS INC - CL A SOLE 853,300 301,066 UNIFI INC SOLE 537,600 165,590 UNISYS CORP SOLE 2,497,300 1,332,786 UNITED INDUSTRIAL CORP SOLE 104,500 42,788 U.S. INDUSTRIES, INC. SOLE 2,307,700 755,742 UNOCAL CORP SOLE 131,900 63,500 UNOVA INC SOLE 1,589,100 547,867 UTSTARCOM INC SOLE 6,700 7,800 VERDE EXPLORATION LTD SOLE 21,859 VERIZON COMMUNICATIONS SOLE 22,218 111,751 VISX INC SOLE 883,300 294,724 WABTEC CORP SOLE 1,008,700 436,952 WALLACE SOLE 3,850 21,700 WASHINGTON MUTUAL INC SOLE 239,617 366,849 WAVECOM SA - ADR SOLE 219,300 77,628 WENDY'S INTERNATIONAL INC SOLE 150,600 121,200 YUM BRANDS INC SOLE 500,600 528,130 HISCOX PLC SOLE 12,000 INGERSOLL RAND CO CL A SOLE 8,200
FORM 13 F 03/31/03 PAGE 5 REPORTING MANAGER : David J. Greene and Company, LLC
TITLE OF VALUE SHARES/ SH/ PUT/ NAME OF ISSUER CLASS CUSIP (x$1000) PRN AMT PRN CALL LORAL SPACE & Common Stock G56462107 1,369 4,148,145 SH RENAISSANCE RE HLDGS LTD Common Stock G7496G103 2,127 53,100 SH CNH GLOBAL N.V. Common Stock N20935206 1,833 1,174,975 SH PAGE COLUMN TOTALS 5,329 AGGREGATE COLUMN TOTALS 1,481,359 INVESTMENT OTHER VOTING AUTHORITY NAME OF ISSUER DISCRETION MANAGERS SOLE SHARED NONE LORAL SPACE & SOLE 3,181,700 966,445 RENAISSANCE RE HLDGS LTD SOLE 53,100 CNH GLOBAL N.V. SOLE 878,100 296,875 PAGE COLUMN TOTALS
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