8
( sec news di~ est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON .-na: OF COMMISSIOI MEETIHS - Following is a schedule of Commission meetings which will be conducted under provi- sions of the Government in the Sunshine Act. In general, the Commission expects to follow a schedule of holding closed meetings on Tuesdays, and open meetings on !bur.- day morning. Meetings on Wednesday, and if necessary on Thursday afternoons, will be either open or closed according to the requirements of agenda items under considera- tion. Visitors are welcome at all open meetings, insofar as space is available. Meetings will be held in the Commission Meeting Room, Room lC30, at the Commission'. headquarters building, 450 Fifth Street, MW, washington, DC. Persons wishing to photograph or videotape Commission meetings must obtain permission in advance from the Secretary of the Commission. Persons wishing to tape record a Commission meeting should notify the Secretary's office 48 hours in advance of the meeting. OPEN MEETING - MONDAY, MARCH 23, 1987 - 1:30 p.m. The subject matter of the March 23 open meeting will be: The Commission will hold a hearing as a part of its study of the use of the exemption in Section 3(a)(2) of the Securities Act of 1933 for securities guaranteed by banks and the use of insurance policies to guarantee securities. That study is being con- ducted pursuant to Section 105 of the Government Securities Act of 1986. Interested individuals and organizations will discuss: (1) the use of the exemption in Section 3(a)(2) and its impact on investor protection and the public interestJ (2) the impact of that exemption on competition among banks and insurance companies and domestic and foreign guarantorsJ and (3) whether and under what circumstances debt securities guaranteed by insurance policies should be exempt from registration. FOR FURTHER INFORMATION, PLEASE CONTACT Joan McKown at (202) 272-7526. CLOSED MEETING - TUESDAY, MARCH 24, 1987 - 2:30 p.m. The subject matter of the March 24 closed meeting will be: $ettlement of administra- tive proceeding of an· enforcement natureJ Institution of administrative proceeding of an enforcement nature. OPEN MEETING - THURSDAY, MARCH 26, 1987 - 10:00 a.m. The subject matter of the March 26 open meeting will be: (1) Consideration of whether to adopt amendments to Rule 6e-3(T) under the Investment. Company Act of 1940. The amendments would modify and clarify the conditions under which insurance company separate accounts are permitted to offer flexible premium variable life insurance contracts. FOR FURTHER INFORMATION, PLEASE CONTACT Joseph R. Fleming at (202) 272-3017. (2) Consideration of whether to issue a release to propose amendments to the share- holder communications rules to extend from 3 to 5 business days the time period in which a bank is to execute and provide notice of the execution of an omnibus proxy to respondent banks. Also, the Commission will consider whether to propose certain technical and clarifying changes to the shareholder communications rules. FOR FURTHIR INFORMATION, PLEASE CONTACT Sarah A. Miller or Barbara J. Green at (202) 272-2589. (3) Consideration of whether to publish for comment proposed amendments to Regulation S-X that would require certified financial statements included in Commission filings to have been examined by an independent accountant who within,the last three years has undergone a peer review of its accounting and auditing practice. FOR FURTHER INFORMATION, PLEASE CONTACT John Heyman at (202) 272-2130. AT TIMES CHANGES IN COMMISSION PRIORITIES REQUIRE ALTBRATIONS IN THE SCHEDULING OF MEETING ITEMS. FOR FURTHER INFORMATION AND TO ASCERTAIN WHAT, IF ANY, MATTERS HAVE BBEN ADDED, DELETED OR POSTPONED, PLEASE CONTACT: Ida wurczinger at (202) 272-2014

SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

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Page 1: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

(

sec news di~estIMue 87-50 US SECURITI March 19 1987

EXCHANGE COMMISSiON

-na OF COMMISSIOI MEETIHS - Following is a schedule of Commission meetings which will be conducted under provi-sions of the Government in the Sunshine Act In general the Commission expects to follow a schedule of holding closed meetings on Tuesdays and open meetings on bur-day morning Meetings on Wednesday and if necessary on Thursday afternoons will be either open or closed according to the requirements of agenda items under considera-tion

Visitors are welcome at all open meetings insofar as space is available

Meetings will be held in the Commission Meeting Room Room lC30 at the Commission headquarters building 450 Fifth Street MW washington DC Persons wishing to photograph or videotape Commission meetings must obtain permission in advance from bull the Secretary of the Commission Persons wishing to tape record a Commission meetingshould notify the Secretarys office 48 hours in advance of the meeting

OPEN MEETING - MONDAY MARCH 23 1987 - 130 pm

The subject matter of the March 23 open meeting will be

The Commission will hold a hearing as a part of its study of the use of the exemptionin Section 3(a)(2) of the Securities Act of 1933 for securities guaranteed by banks and the use of insurance policies to guarantee securities That study is being con-ducted pursuant to Section 105 of the Government Securities Act of 1986

Interested individuals and organizations will discuss (1) the use of the exemptionin Section 3(a)(2) and its impact on investor protection and the public interestJ (2)the impact of that exemption on competition among banks and insurance companies and domestic and foreign guarantorsJ and (3) whether and under what circumstances debt securities guaranteed by insurance policies should be exempt from registration FOR FURTHER INFORMATION PLEASE CONTACT Joan McKown at (202) 272-7526

CLOSED MEETING - TUESDAY MARCH 24 1987 - 230 pm

The subject matter of the March 24 closed meeting will be $ettlement of administra-tive proceeding of anmiddot enforcement natureJ Institution of administrative proceeding of an enforcement nature

OPEN MEETING - THURSDAY MARCH 26 1987 - 1000 am

The subject matter of the March 26 open meeting will be

(1) Consideration of whether to adopt amendments to Rule 6e-3(T) under the Investment Company Act of 1940 The amendments would modify and clarify the conditions under which insurance company separate accounts are permitted to offer flexible premiumvariable life insurance contracts FOR FURTHER INFORMATION PLEASE CONTACT Joseph R Fleming at (202) 272-3017

(2) Consideration of whether to issue a release to propose amendments to the share-holder communications rules to extend from 3 to 5 business days the time period in which a bank is to execute and provide notice of the execution of an omnibus proxy to respondent banks Also the Commission will consider whether to propose certain technical and clarifying changes to the shareholder communications rules FOR FURTHIR INFORMATION PLEASE CONTACT Sarah A Miller or Barbara J Green at (202) 272-2589

(3) Consideration of whether to publish for comment proposed amendments to RegulationS-X that would require certified financial statements included in Commission filingsto have been examined by an independent accountant who withinthe last three yearshas undergone a peer review of its accounting and auditing practice FOR FURTHER INFORMATION PLEASE CONTACT John Heyman at (202) 272-2130

AT TIMES CHANGES IN COMMISSION PRIORITIES REQUIRE ALTBRATIONS IN THE SCHEDULING OF MEETING ITEMS FOR FURTHER INFORMATION AND TO ASCERTAIN WHAT IF ANY MATTERS HAVE BBEN ADDED DELETED OR POSTPONED PLEASE CONTACT Ida wurczinger at (202) 272-2014

-lUllS AID 1ELA1DMnDS

SUMMARY OF COMMENTS ON CONCEPT RELEASE

The Division of Corporation Finance has prepared and made publicly available a summaryof the comments received in response to the Concept Release on Takeover Developmentsand Contests for Corporate Control (Release No 34-23486 July 31 1986) The ConceptRelease sought public comment on three topics (1) whether the Williams Act should apply whenever a person acquires a substantial percentage of a target companys secur-iti~s during or shortly after a tender offer (2j whether there should be a govern-mental response to the proliferation of middotpoison pill plans and (3) whether the Commission should adopt a self-governance exemption to its all-holdersmiddot rule as well as other provisions of its tender offer rules The Concept Release posed a number of specific inquiries with respect to each topic the responses to which will assist the Commission in determining whether any action is necessary or appropriate Eighty-twocommentators expressed their views in 87 letters

FOR FURTHER INFORMATION CONTACT Richard Baltz at (202) 272-3303

INVESTMENT COMPANY ACT RELEASES

GS MORTGAGE SECURITIES CORP

A notice has been issued giving interested persons until April 6 to request a hearingon an application filed by GS Mortgage Securities Corp requesting an order permittingit to create trusts to issue collateralized mortgage obligations and to sell benefi-cial ownership in such trusts (ReI IC-15623 - March 13)

STARPLAN LIMITED PARTNERSHIP

A notice has been issued giving interested persons until April 8 to request a hearingon an application filed by Starplan Limited partnership requesting an order grantingexemption from certain provisions of the Investment Company Act and granting confiden-tial treatment for certain documents in connection with its operation as an employeessecurities company (Rel IC-15624 - March 16)

HOLDING COMPANY ACT RELEASES

JERSEY CENTRAL POWER amp LIGHT COMPANY

An order has been issued authorizing Jersey Central Power amp Light Company (JCPampL) Metropolitan Edison Company (Met-Ed) and Pennsylvania Electric Company (Penelec)

(collectively Companies) subsidiaries of General Public Utilities Corporation middotto enter into leasing agreements with Prulease Inc (Lessor) Lessor will acquiretitle from and simultaneously lease to the Companies certain nuclear fuel fuel assemblies and component parts (Nuclear Material) for use in their jointly owned Three Mile Island Unit No 1 nuclear generating station Lessors unrecovered acquisition costs for Nuclear Material and payments for related services and costs will not exceed $100 million at anyone time outstanding Individual sublimits applicable to Met-Ed JCPampL and Penelec are $50 million $25 million and $25 mil-lion respectively in proportion to their ownership interests in Unit No1 (Rel 35-24339 - March 11)

UmN8 DEUSnNG AND UNUSTED TRADING AenONS

DELI STING GRANfEO

An order has been issued granting the application of the American Stock Exchang~ to strike the common stock par VlIUfgt$50 of MOVIELAB INC from listing and registra-tion thereon (ReI 34-24211)

WITHDRAWAL SOUGHf

A notice has been issued glvlng interested persons until April 3 to comment on the application of DEVELOPMENr CO~PORArION OF AMERICA to withdraw 10 subordinated deben-tures due 1993 and 12 subordinated debentures due 1994 from listing and registra-tion on the American Stock Exchange (ReI 34-24215)

NEWS DIGEST March 19 1987 2

ACCELERATED APPROVAL OP PROPOSED RULE CHANGE

The CClIiIIIIIlsion accelerated approval of a proposed rule change filed bygranted the A rican Stock Exchange (SR-Amex~86-30) to amend its Constitution relating to the clasaification of floor governors on its Board of Governors and the structure of the Woainating Committee for the Board of Governors (Rel 34-24212)

NOTICE OF PROPOSED RULE CHANGES

Propoaed rule changes have been filed under Rule 19b-4 by The New York Stock Exchange(SR-RYSE-87-4) to amend its Rule 387 which governs collect on delivery transactions The proposal would eliminate certain exemptions from NYSE Rule 3B7~ and The National Association of Securities Dealers (SR-NASD-87-11) to eliminate certain exemptions from section 64 of Its Unfform Practice Code concerning collect on delivery transactions (ltel 34-24214)

Publication of the proposals are expected to be made in the Pederal Register duringthe week of March 16

APPROVAL OP PROPOSED RULE CHANGE

The coaission approved a proposed rule change filed by the Depository Trust Company(SR-DTC-86-10) expanding the methods of access to its Computer-to-Computer FacilityII(Rel 34-24216)

IEanEI ACT IECIS1IATIOIS ~ following registration stateaenta have been filed with the SEC under the Securi-tibullbull Act of 1933 The reported inforllation appears as follows PaOlI Name Address ad Phone auber (if available) of the issuer of the securitY1 Title and the number aDdor face aount of the securities being offeredr Hae of the managing underwriter ~ 4 itor (if applicable)r pile nwaber and date filed Assigned Branch and a designation if the stateaent i a Rew Issue

$-1 DYCO OIL ~ GAS PROGRAM 1987-1 1100 ITERCHAHGE TWR WAYZATA BLVD AT HWY 18 MlhhEAPOLlS MN 55426 (612) 545-2828 - 5000 ($25000000LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER DYCO PROGRAMS INC (fILE 33-12472 -MAR 09 IIR 3 - EW ISSUEI

$-1 IDS JONES GRO~TH PARTNERS 9697 E MINERAL AVE CO JONES CABLE tORP ENGLEWOOD to 10112 (3031 792-3111 - 600000 U150OOOOOO Ll IlED PARTNERSHIP CERTIFICATE VNGEwRITER IDS fINANCIAL SERVICES INC JONES INTERNATIONAL SECURITIES LTD (FILE33-12413 - MAA 09 (8R 1 - NEW ISSUE

S-ll AMERICA INSURED MORTGAGE INVESTORS L P SERIES 88 666 THIRD AVECO AIM CAPITAL MANAGEMENT CORP NEW YORK NY 10011 - 15000000 (S300000OOO)LIMITED PARTNERSHIP CERTIfiCATE UNDERWRITER INTEGRATED RESOURCES MARKETING INC (fiLE 33-12~79 - MAR 09 (BR 11 - NEW ISSUE

S-3 AGlfl~OR 160a PACifiC fiRST fEDERAL CTR 851 SW SIXTH AVE PORTLAND OR 97204 (503 8243-5190 - 6000000 ($150000oooa COMMON STOCK (FILE 33-12487 - MAR 101 UUt

S-I RiXWORKS INt 445 WEST OKLAHOMA AVE MILWAUKEE WI 53207 (414 141-1200 - 102569($769267 toMMDN STOCK 855381 ($6415358 COMMON STOCK UNDERWRITER MILWAUKEE CO (fILE 3~-12481 - MAR 101 (BR 9 - NEW ISSUE

S-l COVENANT CDRP 95 WOODLAND ST PO 80X 300 HARTfORD CT u6101 (2~3) 527-3311 -1543916 ($19291950 COMMON STOCK 741D84 ($92635501 COMMON STOCK UNDERWRITER FIRST BOSTON tORP (fILE 3-12490 - MAR 101 (8R 10 - NEW ISSUEI

S-4 TWAIN MARK IANtsHARES INC 8820 LADUE RD ST LOUIS MO 63124 (314) 721-1000 -201~2 ($6634386 COMMON STOCK (fILE 33-12494 - MAR lOt (8R II

S-6 MUNICIPAL INVESTMENT TRUST fUND MULTISTATE SERifS 2V ONE LI8ERTY PLZ - 21ST FLRCO MERRILL LYNCH PIERCE fENNER bull SMITH NEW YORK NY 10080 - IOEfINITE SHARES DEPOSITOR DEAN WITTER REYNOLDS INC MERRILLLYNCH PIERCE FENNER SMITH INCPAlhEWE88ER INC PRUDENTIAL BACHE SECURITIES INC SHEARSON LEHMAN BROTHERS INC (FILE33-12497 - MAR 111 (BR 11 - NEW ISSUEJ

NEWS DIGEST Marc 19 1987 3

5-6 INTERNATIDNAL IOfItOfO AUSTRALIAN l NE lEAUNO OOL 10 seR 11ONE LlIERTY PLZ - 21ST fLR CIO MERRILL LYfCH PieRCe fE_RlWIH YcK ~ l00to - IttOEfINITJSHAlES DEPOSITORa MERRILL LYNCH PIERCE FENNER SlIInHINC pAlhEWElBER INC PRUDENTIAL IACHE SECURJTIpoundS lite SHEARSON LEN IRDINERS INC FtLE 33-12498 - MAR 11) (BR 22 - NEW ISSUE

5-6 NUVEEN TAX EXEMPT UNIT TRUST SERIES -20 3D MACKER DR CIO J04N NUVEEN l CO INC CHICAGO IL 60606 - INDEfiNITE SHARES DEPOSITORa NUVEEN JOHN l CO INt IFILE 33-12499 - MAR 11 18R 22 - NEW ISSUE)

s-a AMERICAN CABLESYSTEMS CORP 10E 55 TOZER RD BEVERLY MA 01915 1617 921-0080 -10000000 UI0OOOOOO OTHER SECURITIES INCLUDING VOTING tRUST IFILE 33-12521 -MAR 10 (8R 7J

5-8 AMINTERNATlONAl INC 333 W WACKER OR 5UnE 900 CHICAGO lL 60606 amp3UI 558-1966 - 1500000 (513125000 COMMON STOCK (FILE 33-1252) - MAR 09 IIR loa

S-3 LEGGETT pound PLATT INC NO 1 LEGampfTT RD CARTHAGE MIl 6-836 C41l1 358-aUl - 32500(599531250 COMMON STOCK CFILE 33-12524 - MAR 09 C8R 61

5-4 ~EPOSIT GUARANTY CORP 210 E CAPITOL ST P deg 80X 130 JACKSON MS 39201 (601) 354-8564 - 712500 1$12154000) COMMON STOCK (FILE 33-12525 - MAR 09 (8R It

5-2 TRINITY INDUSTRIES LEASING CO 2525 STEMMONS FRWY DALLAS TX 75207 (214 631---20 - 115000000 (5115000000 CONVERTIBLE DE8ENTURES AND NOTES (FILE 33-12526 -MAR 10) (BR 5)

N-IA PRUDE~TIAL BACHE FLEXIFUND ONE SEAPORT PLZ NEW YORK NY 10292 (2121 21--1250 -INDEfiNITE SHARES (fiLE 33-12531 - MAR 10) (8R 16 - NEW lSSUE

5-1 RARITAN BANCORP INC 9 WEST SOMERSET ST RARITAN NJ 08869 - 1000000(511500000 COHMON STOCK (fiLE 33-12539 - MAR 10 (BR 2 - NEW ISSUE

5-1 KINBURN TECHNOLOGY CDRP 50 OCONNOR ST srE 1616 OTTAWA CANADA KIP 6L2 A6 (613 238-6648 - 100000000 ($100000000 FOREIGN GOVERNMENT AND AGENtY DEBT UNDERWRITER HAMBREtHT QUIST INC LAZARD FRERES pound CO WOOOGUNDY CORP FILE 33-12543 - MAR ID) (BR 9 - NEW ISSUE)

5-11 GS TRUST 2 ROONEY SQUARE NORTH CIO WILMINGTON TRUST CO WILMINGTON DE 19890 -195()OOO000 1$1950000000 MORTGAGE BONDS IFlLE 33-1255 - MAR lU (8R 111

S-4 CITIZENS amp SOUTHERN CORP IGA 35 BROAD ST NW ATLANTA GA 30302 1404 581-2121 -900000 ($9416429 COMMON STOCK (fILE 33-12546middot- MAR 11) (8R 11

S-4 INTERfACE fLOORING SYSTEMS INC ORCHARD HILL RD POBOX 1503 LAGRANGE GA 30241 404) 882-1891 - 191181 ($760514) COMMON STOCK (fiLE 33-12551 - MAR 10) (BR 7)

S-3 CATERPILLAR fINANCIAL SERVICES CDRP 100 NE ADAMS ST PEORIA IL 61629 (309 675-0100 - 300000000 ($3000000001 STRAIGHT BONOS (FILE 33-12553 - MAR 11 (8R 12)

S-1 HYDROGEN POWER INC 25222 VIA TANARA VALENCIA CA 91355 (213) 398-70-3 - 3000000(515000000) COHMON STOCK 300000 ($3001 WARRANTS OPTIONS OR RIGHTS (fiLE33-12558 - MAR 11) (BR 1 - NEN ISSUE

5-11 MERIT SELECT INCOME FUND 1110 FINANCIAL CTR cia MERIT I CORP DES MOINES IA 50309 - 45000 ($27000000 LIMITED PARTNERSHIP CERTIFICATE 45000 118000000LIMITED PARTNERSH1P CERTIFICATE UNDERWRITER MERIT CAPITAL CDRP IFILE 33-12560 -MAR 11) (BR 5 - NEW ISSUE)

5-11 IDS JMB BALANCED INCOME GROlitTHLTD 875 N MICHIGAN AVE CHICAGO IL 60611 - 400000 ($100OOO~00) LIMITED PARTNERSHIP CERTIFICATE UNDERWRITER IDS fINANCIAL S~RVICES INC (FILE 33-12561 - MAR 11) (8R 6 - NEW ISSUE

5-11 HOLDEN REAL ESTATE APPRECIATION fUND 11365 W OLYMPIC BLVD LOS ANGELES CA 90064 (213 312-6100 - 120000 ($30000000) LIMITED PARTNERSHIP CERTIFICATE CflLE 33-12563 - MAR II (BR 6 - NEW ISSue)

S-l TEChNOLOGY fUNDING SECURED INVESTORS 11 2000 ALAMEDA DE LAS PULGAS SAN MATEO CA 944v3 (415) 345-2200 - 160000 ($40000000) L~ITED PARTNERSHIP CERTIFICATE (FILE33-12566 - MAR 11) caR 12)

4 NEWS DIGEST March 19 1987

5-8 IUDlANT TKHNOLOGY CORP 16724 MARQUARDT AVE CampAAHOS CAiOl01 (213) -3 -1000000 lSlln500 COMMON STOCK (FILE 33-12569 - AR 111 tlR9

S-8 MpoundoAR INC )87~0 GRAND RIVER AVE fARMINGTON HILLS 1 48018 (3131 477-3900 -300000 1$2550000 COMMON STOCK IFILE 33-12571 - MAR 11 (aR 8

S-8 TANDEM COMPUTERS INC 10EI 19333 VALLCO PKWY CUPERTINO CA 95014 (408) 725-6000 -2012000 (S120217OOC) COMMON STOCK (FILE 33-12572 - MAR 11 (IR 10

S-8 CH BANCORP 401 N MAIN ST POBOX 1111 PIQUA OH 45356 (5131 773-4540 - 71+00(Sl7850001 COMMON STOCK (fILE 33-12573 - MAR 11 (BR 2

S-11 HIGH EQUITY PARTNERS L P SERIES 88 666 THIRD AVE NEW YORK NY 11017 (2121 551-6000 - 800000 ($200OOOOOCI LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER INT~GRATEO RESOURCES MARKETING INC (fiLE 33-12514 - MAR III (SR 6 - NEW ISSUE

S-8 ROCHESTER TELEPHONE CORP 100 MIDTOWN PLI ROCHESTER NY 14646 (1161 323-6713 -20000000 ($200000001 OTHER SECURITIES INCLUDING VOTING TRUST (FILE 33-12575 -MAR 111 (8R 7J

S-2 HAOStN CORP 101 PARK AVE STE 1400 OKLAHOMA CITY OK 13102 (405 215-9531 -4312500 ($30726562501 COMMON STOCK (fILE 33-12577 - MA~ 11) (SR 121

S-2 YUBA NATURAL RESOURCES INC 701 B ST STE 1460 SAN DIEGO CA 921~1 (619) 233-4653 -1081860 ($2569418) COMMON STOCK 155000 1$325500) COMMON STOCK 375001$112500) COMMON STOCK (fiLE 33-12591 - MAR III (SR 11

S-l SHl SYSTEMHOUSE INC 3RO FLR 99 BANK ST OTTAWA ONTARIO CANADA KIP 689 A6 (613) 236-9734 - 4000000 COMMON STOCK (fILE 33-12593 - MAR 10 (aR 9

REGISTRATIONS EFFECTIVE

Feb 23 Aden Enterprises Inc 33-7494-LAFeb 26 Sensor Control Corporation 33-10024-LAFeb 27 CCR Inc 33-3439-D~ Gondola Inc 33-3438-D~ Old Cutler Capital Inc33-11SS2-A~ 21st Century American Technology Development Corp 33-9013-AMar 3 westpar Corporation 33-10786-LA bull

bullMar 6 Far West Ventures Inc 33-103S4-LA~ Sono-Tek Corporation 33-10138-NY

ACQUISITIONS OF SECURITIES

Companies and individuals must report to the Comaission within ten days on Schedule 13D if after the acquisition of equity securities of a public coapany their benefi-cial interest therein exceeds five percent Persons eligible to use the short fOrll (Schedule 130) may in lieu of filing a Schedule 13D file a Schedule 130 within 45 days after the end of the calendar year in which the person bec e subject to Section 13(d)(1) Coapanies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1

Below is a list of recent filings of Schedules 130 and 14D which includes the following information Column 1 - the coapany purchased (top) and the neae of the purchaser Column 2 - the type of seeurity purchased Column 3- the type of fOrll filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned ColUltn 6 - the CUSIP number (tbp) and the prior percent owned and Column 7 - the statuB of the filingie new update or revision

EVENT SI-IRS(OOO) CUSIP F ILIhG FDRM DATE ~DWhED PIltIDP SlATUS

ClIM PFII 0 01737230ALLEGHENY INTL 219 14D-1 )1387 NA NA NEWSUNTER HLIIGS CORP

ALLEGHENY INTL INC PF11 CDNv $1i-25 0 01737240

SlINTER HLDG CDPP 14D-1 31387 IVA NA NEW

AMEpTEIlt INC COM 302 03072210 BAKEl THDMAS B 1311 2 987 86 00 NE

AIIEPTEK INC COM 296 03072210 PERRY IltENNETH J 1311 2 V8( 84 00 NEW

NEWS DIGEST March 19 1987 5

ACOUISI~IONS RBPOR~ COW

AIIE~ J TPUST CCBiP CLEYEBACO C~P ET At

CEM 13D 3 687

2000 96

03090010 00 NEW

BETI-ILEHEIISTL CORP PFD CONY 5 139 08750930 HAPRDSH JDSEPH lS 13D ~ 687 56 00 1pound

CENTERRE B~CORPORATION HAA~IS FlSSOCIATES INC

CEM 13D 3 487

508 66

15a00710i uPDATE

CHPD~ CORP CEM lf250 17113310 ~BERT SDlAP INC 13D 3 387 162 00 ~W

CHP~ CORP SHEET IfETAtWORKERS PENS

CEM FD 13D 3 387

234430

17113310 00 HEw

COOPER LASE~SONICS INC COl lf420 21671210 CDoPERYISIoN INC 13D 31287 7 00 1pound101

CYCLOPS CORP COII 437 23252510 ~RIS ASSOCIATES INC 13D 31287 108 129 UPDATE

EN20N IIIC EFiSTHAN KODAK CO

COII 13D 3 587

2000189

29390410 00 NEW

FOUNTAIN DIL 8 6AS WICHITA INDS INC

COlNEW 13D 3 587

387-6S

35075320 00 NEW

FDlNDE~S REAL EST INY TRST SH~S BEN INT 9 35099110 DILLON JOHN ~I III 13D 3 387 60 56 UPDATE

GFlfiFlNINC CDI 332 36480210 ~~IS ASSOCIATES INC 13D 3 987 127 124 UPDATE

GENETI C EN6~ INC CDI 250 37184410 ELF TECHNoL06IES INC 13D 22687 105 00 NEW

6ERBER SYS TECHNOLOGY INC 6E~BE~ S ICENT FIC ET AL

CDI 14D-l 31387

3777956

37373410 84~3 UPDATE

IpoundLIRES INC CDI hlS3 42342510 FOX GERSON 1 13D 121886 59 00 NEW

INDIANA FLD~IDA ~LTY T~

l REYNOLDS ROBERT J ET At SH BEN INT

13D 21387 83

142 45471410

142 UPDATE

tUCKY STORES INC DEL COl 1855 54957710 -EDELIANASHE~ B ET At 13D 31087 48 51 UPDATE

IIONFDRTCOLD INC COl 616 60934910 FUTO KYLE IIONFo~T 13D 3 587 143 127 UPDATE

IDNFoRTCOLD INC loNFo~TCH~LES KENNETH

CDI 13D 3 587

568 132

60934810 132 LPDftTE

IIONFoRTCOLD ICIONFDRTRICHA~D LEE

CDI 13D 3 587

584 136

60934910 133 UPDATE

IIOIIFoRTCOLD INC loNTERAIltArEloNFoRT

CDI 13D 3 587

610 142

60934810 141 UPDATE

N~UC Co~P DUIIICHAEL

CDI 13D

310middotS7

1049122

62999410 00 NEW

lICCo~P HACoCIltDAVID

CDI 13D 31087

1049122

62999410 00 NEW

NORTH AIEP~BIOLOGICALS HECHT THOIASQ ET AL

INC COl 13D 21787

7723552

65675510 559 UPDATE

6 NEWS DIGEST March 19 1987

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 2: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

-lUllS AID 1ELA1DMnDS

SUMMARY OF COMMENTS ON CONCEPT RELEASE

The Division of Corporation Finance has prepared and made publicly available a summaryof the comments received in response to the Concept Release on Takeover Developmentsand Contests for Corporate Control (Release No 34-23486 July 31 1986) The ConceptRelease sought public comment on three topics (1) whether the Williams Act should apply whenever a person acquires a substantial percentage of a target companys secur-iti~s during or shortly after a tender offer (2j whether there should be a govern-mental response to the proliferation of middotpoison pill plans and (3) whether the Commission should adopt a self-governance exemption to its all-holdersmiddot rule as well as other provisions of its tender offer rules The Concept Release posed a number of specific inquiries with respect to each topic the responses to which will assist the Commission in determining whether any action is necessary or appropriate Eighty-twocommentators expressed their views in 87 letters

FOR FURTHER INFORMATION CONTACT Richard Baltz at (202) 272-3303

INVESTMENT COMPANY ACT RELEASES

GS MORTGAGE SECURITIES CORP

A notice has been issued giving interested persons until April 6 to request a hearingon an application filed by GS Mortgage Securities Corp requesting an order permittingit to create trusts to issue collateralized mortgage obligations and to sell benefi-cial ownership in such trusts (ReI IC-15623 - March 13)

STARPLAN LIMITED PARTNERSHIP

A notice has been issued giving interested persons until April 8 to request a hearingon an application filed by Starplan Limited partnership requesting an order grantingexemption from certain provisions of the Investment Company Act and granting confiden-tial treatment for certain documents in connection with its operation as an employeessecurities company (Rel IC-15624 - March 16)

HOLDING COMPANY ACT RELEASES

JERSEY CENTRAL POWER amp LIGHT COMPANY

An order has been issued authorizing Jersey Central Power amp Light Company (JCPampL) Metropolitan Edison Company (Met-Ed) and Pennsylvania Electric Company (Penelec)

(collectively Companies) subsidiaries of General Public Utilities Corporation middotto enter into leasing agreements with Prulease Inc (Lessor) Lessor will acquiretitle from and simultaneously lease to the Companies certain nuclear fuel fuel assemblies and component parts (Nuclear Material) for use in their jointly owned Three Mile Island Unit No 1 nuclear generating station Lessors unrecovered acquisition costs for Nuclear Material and payments for related services and costs will not exceed $100 million at anyone time outstanding Individual sublimits applicable to Met-Ed JCPampL and Penelec are $50 million $25 million and $25 mil-lion respectively in proportion to their ownership interests in Unit No1 (Rel 35-24339 - March 11)

UmN8 DEUSnNG AND UNUSTED TRADING AenONS

DELI STING GRANfEO

An order has been issued granting the application of the American Stock Exchang~ to strike the common stock par VlIUfgt$50 of MOVIELAB INC from listing and registra-tion thereon (ReI 34-24211)

WITHDRAWAL SOUGHf

A notice has been issued glvlng interested persons until April 3 to comment on the application of DEVELOPMENr CO~PORArION OF AMERICA to withdraw 10 subordinated deben-tures due 1993 and 12 subordinated debentures due 1994 from listing and registra-tion on the American Stock Exchange (ReI 34-24215)

NEWS DIGEST March 19 1987 2

ACCELERATED APPROVAL OP PROPOSED RULE CHANGE

The CClIiIIIIIlsion accelerated approval of a proposed rule change filed bygranted the A rican Stock Exchange (SR-Amex~86-30) to amend its Constitution relating to the clasaification of floor governors on its Board of Governors and the structure of the Woainating Committee for the Board of Governors (Rel 34-24212)

NOTICE OF PROPOSED RULE CHANGES

Propoaed rule changes have been filed under Rule 19b-4 by The New York Stock Exchange(SR-RYSE-87-4) to amend its Rule 387 which governs collect on delivery transactions The proposal would eliminate certain exemptions from NYSE Rule 3B7~ and The National Association of Securities Dealers (SR-NASD-87-11) to eliminate certain exemptions from section 64 of Its Unfform Practice Code concerning collect on delivery transactions (ltel 34-24214)

Publication of the proposals are expected to be made in the Pederal Register duringthe week of March 16

APPROVAL OP PROPOSED RULE CHANGE

The coaission approved a proposed rule change filed by the Depository Trust Company(SR-DTC-86-10) expanding the methods of access to its Computer-to-Computer FacilityII(Rel 34-24216)

IEanEI ACT IECIS1IATIOIS ~ following registration stateaenta have been filed with the SEC under the Securi-tibullbull Act of 1933 The reported inforllation appears as follows PaOlI Name Address ad Phone auber (if available) of the issuer of the securitY1 Title and the number aDdor face aount of the securities being offeredr Hae of the managing underwriter ~ 4 itor (if applicable)r pile nwaber and date filed Assigned Branch and a designation if the stateaent i a Rew Issue

$-1 DYCO OIL ~ GAS PROGRAM 1987-1 1100 ITERCHAHGE TWR WAYZATA BLVD AT HWY 18 MlhhEAPOLlS MN 55426 (612) 545-2828 - 5000 ($25000000LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER DYCO PROGRAMS INC (fILE 33-12472 -MAR 09 IIR 3 - EW ISSUEI

$-1 IDS JONES GRO~TH PARTNERS 9697 E MINERAL AVE CO JONES CABLE tORP ENGLEWOOD to 10112 (3031 792-3111 - 600000 U150OOOOOO Ll IlED PARTNERSHIP CERTIFICATE VNGEwRITER IDS fINANCIAL SERVICES INC JONES INTERNATIONAL SECURITIES LTD (FILE33-12413 - MAA 09 (8R 1 - NEW ISSUE

S-ll AMERICA INSURED MORTGAGE INVESTORS L P SERIES 88 666 THIRD AVECO AIM CAPITAL MANAGEMENT CORP NEW YORK NY 10011 - 15000000 (S300000OOO)LIMITED PARTNERSHIP CERTIfiCATE UNDERWRITER INTEGRATED RESOURCES MARKETING INC (fiLE 33-12~79 - MAR 09 (BR 11 - NEW ISSUE

S-3 AGlfl~OR 160a PACifiC fiRST fEDERAL CTR 851 SW SIXTH AVE PORTLAND OR 97204 (503 8243-5190 - 6000000 ($150000oooa COMMON STOCK (FILE 33-12487 - MAR 101 UUt

S-I RiXWORKS INt 445 WEST OKLAHOMA AVE MILWAUKEE WI 53207 (414 141-1200 - 102569($769267 toMMDN STOCK 855381 ($6415358 COMMON STOCK UNDERWRITER MILWAUKEE CO (fILE 3~-12481 - MAR 101 (BR 9 - NEW ISSUE

S-l COVENANT CDRP 95 WOODLAND ST PO 80X 300 HARTfORD CT u6101 (2~3) 527-3311 -1543916 ($19291950 COMMON STOCK 741D84 ($92635501 COMMON STOCK UNDERWRITER FIRST BOSTON tORP (fILE 3-12490 - MAR 101 (8R 10 - NEW ISSUEI

S-4 TWAIN MARK IANtsHARES INC 8820 LADUE RD ST LOUIS MO 63124 (314) 721-1000 -201~2 ($6634386 COMMON STOCK (fILE 33-12494 - MAR lOt (8R II

S-6 MUNICIPAL INVESTMENT TRUST fUND MULTISTATE SERifS 2V ONE LI8ERTY PLZ - 21ST FLRCO MERRILL LYNCH PIERCE fENNER bull SMITH NEW YORK NY 10080 - IOEfINITE SHARES DEPOSITOR DEAN WITTER REYNOLDS INC MERRILLLYNCH PIERCE FENNER SMITH INCPAlhEWE88ER INC PRUDENTIAL BACHE SECURITIES INC SHEARSON LEHMAN BROTHERS INC (FILE33-12497 - MAR 111 (BR 11 - NEW ISSUEJ

NEWS DIGEST Marc 19 1987 3

5-6 INTERNATIDNAL IOfItOfO AUSTRALIAN l NE lEAUNO OOL 10 seR 11ONE LlIERTY PLZ - 21ST fLR CIO MERRILL LYfCH PieRCe fE_RlWIH YcK ~ l00to - IttOEfINITJSHAlES DEPOSITORa MERRILL LYNCH PIERCE FENNER SlIInHINC pAlhEWElBER INC PRUDENTIAL IACHE SECURJTIpoundS lite SHEARSON LEN IRDINERS INC FtLE 33-12498 - MAR 11) (BR 22 - NEW ISSUE

5-6 NUVEEN TAX EXEMPT UNIT TRUST SERIES -20 3D MACKER DR CIO J04N NUVEEN l CO INC CHICAGO IL 60606 - INDEfiNITE SHARES DEPOSITORa NUVEEN JOHN l CO INt IFILE 33-12499 - MAR 11 18R 22 - NEW ISSUE)

s-a AMERICAN CABLESYSTEMS CORP 10E 55 TOZER RD BEVERLY MA 01915 1617 921-0080 -10000000 UI0OOOOOO OTHER SECURITIES INCLUDING VOTING tRUST IFILE 33-12521 -MAR 10 (8R 7J

5-8 AMINTERNATlONAl INC 333 W WACKER OR 5UnE 900 CHICAGO lL 60606 amp3UI 558-1966 - 1500000 (513125000 COMMON STOCK (FILE 33-1252) - MAR 09 IIR loa

S-3 LEGGETT pound PLATT INC NO 1 LEGampfTT RD CARTHAGE MIl 6-836 C41l1 358-aUl - 32500(599531250 COMMON STOCK CFILE 33-12524 - MAR 09 C8R 61

5-4 ~EPOSIT GUARANTY CORP 210 E CAPITOL ST P deg 80X 130 JACKSON MS 39201 (601) 354-8564 - 712500 1$12154000) COMMON STOCK (FILE 33-12525 - MAR 09 (8R It

5-2 TRINITY INDUSTRIES LEASING CO 2525 STEMMONS FRWY DALLAS TX 75207 (214 631---20 - 115000000 (5115000000 CONVERTIBLE DE8ENTURES AND NOTES (FILE 33-12526 -MAR 10) (BR 5)

N-IA PRUDE~TIAL BACHE FLEXIFUND ONE SEAPORT PLZ NEW YORK NY 10292 (2121 21--1250 -INDEfiNITE SHARES (fiLE 33-12531 - MAR 10) (8R 16 - NEW lSSUE

5-1 RARITAN BANCORP INC 9 WEST SOMERSET ST RARITAN NJ 08869 - 1000000(511500000 COHMON STOCK (fiLE 33-12539 - MAR 10 (BR 2 - NEW ISSUE

5-1 KINBURN TECHNOLOGY CDRP 50 OCONNOR ST srE 1616 OTTAWA CANADA KIP 6L2 A6 (613 238-6648 - 100000000 ($100000000 FOREIGN GOVERNMENT AND AGENtY DEBT UNDERWRITER HAMBREtHT QUIST INC LAZARD FRERES pound CO WOOOGUNDY CORP FILE 33-12543 - MAR ID) (BR 9 - NEW ISSUE)

5-11 GS TRUST 2 ROONEY SQUARE NORTH CIO WILMINGTON TRUST CO WILMINGTON DE 19890 -195()OOO000 1$1950000000 MORTGAGE BONDS IFlLE 33-1255 - MAR lU (8R 111

S-4 CITIZENS amp SOUTHERN CORP IGA 35 BROAD ST NW ATLANTA GA 30302 1404 581-2121 -900000 ($9416429 COMMON STOCK (fILE 33-12546middot- MAR 11) (8R 11

S-4 INTERfACE fLOORING SYSTEMS INC ORCHARD HILL RD POBOX 1503 LAGRANGE GA 30241 404) 882-1891 - 191181 ($760514) COMMON STOCK (fiLE 33-12551 - MAR 10) (BR 7)

S-3 CATERPILLAR fINANCIAL SERVICES CDRP 100 NE ADAMS ST PEORIA IL 61629 (309 675-0100 - 300000000 ($3000000001 STRAIGHT BONOS (FILE 33-12553 - MAR 11 (8R 12)

S-1 HYDROGEN POWER INC 25222 VIA TANARA VALENCIA CA 91355 (213) 398-70-3 - 3000000(515000000) COHMON STOCK 300000 ($3001 WARRANTS OPTIONS OR RIGHTS (fiLE33-12558 - MAR 11) (BR 1 - NEN ISSUE

5-11 MERIT SELECT INCOME FUND 1110 FINANCIAL CTR cia MERIT I CORP DES MOINES IA 50309 - 45000 ($27000000 LIMITED PARTNERSHIP CERTIFICATE 45000 118000000LIMITED PARTNERSH1P CERTIFICATE UNDERWRITER MERIT CAPITAL CDRP IFILE 33-12560 -MAR 11) (BR 5 - NEW ISSUE)

5-11 IDS JMB BALANCED INCOME GROlitTHLTD 875 N MICHIGAN AVE CHICAGO IL 60611 - 400000 ($100OOO~00) LIMITED PARTNERSHIP CERTIFICATE UNDERWRITER IDS fINANCIAL S~RVICES INC (FILE 33-12561 - MAR 11) (8R 6 - NEW ISSUE

5-11 HOLDEN REAL ESTATE APPRECIATION fUND 11365 W OLYMPIC BLVD LOS ANGELES CA 90064 (213 312-6100 - 120000 ($30000000) LIMITED PARTNERSHIP CERTIFICATE CflLE 33-12563 - MAR II (BR 6 - NEW ISSue)

S-l TEChNOLOGY fUNDING SECURED INVESTORS 11 2000 ALAMEDA DE LAS PULGAS SAN MATEO CA 944v3 (415) 345-2200 - 160000 ($40000000) L~ITED PARTNERSHIP CERTIFICATE (FILE33-12566 - MAR 11) caR 12)

4 NEWS DIGEST March 19 1987

5-8 IUDlANT TKHNOLOGY CORP 16724 MARQUARDT AVE CampAAHOS CAiOl01 (213) -3 -1000000 lSlln500 COMMON STOCK (FILE 33-12569 - AR 111 tlR9

S-8 MpoundoAR INC )87~0 GRAND RIVER AVE fARMINGTON HILLS 1 48018 (3131 477-3900 -300000 1$2550000 COMMON STOCK IFILE 33-12571 - MAR 11 (aR 8

S-8 TANDEM COMPUTERS INC 10EI 19333 VALLCO PKWY CUPERTINO CA 95014 (408) 725-6000 -2012000 (S120217OOC) COMMON STOCK (FILE 33-12572 - MAR 11 (IR 10

S-8 CH BANCORP 401 N MAIN ST POBOX 1111 PIQUA OH 45356 (5131 773-4540 - 71+00(Sl7850001 COMMON STOCK (fILE 33-12573 - MAR 11 (BR 2

S-11 HIGH EQUITY PARTNERS L P SERIES 88 666 THIRD AVE NEW YORK NY 11017 (2121 551-6000 - 800000 ($200OOOOOCI LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER INT~GRATEO RESOURCES MARKETING INC (fiLE 33-12514 - MAR III (SR 6 - NEW ISSUE

S-8 ROCHESTER TELEPHONE CORP 100 MIDTOWN PLI ROCHESTER NY 14646 (1161 323-6713 -20000000 ($200000001 OTHER SECURITIES INCLUDING VOTING TRUST (FILE 33-12575 -MAR 111 (8R 7J

S-2 HAOStN CORP 101 PARK AVE STE 1400 OKLAHOMA CITY OK 13102 (405 215-9531 -4312500 ($30726562501 COMMON STOCK (fILE 33-12577 - MA~ 11) (SR 121

S-2 YUBA NATURAL RESOURCES INC 701 B ST STE 1460 SAN DIEGO CA 921~1 (619) 233-4653 -1081860 ($2569418) COMMON STOCK 155000 1$325500) COMMON STOCK 375001$112500) COMMON STOCK (fiLE 33-12591 - MAR III (SR 11

S-l SHl SYSTEMHOUSE INC 3RO FLR 99 BANK ST OTTAWA ONTARIO CANADA KIP 689 A6 (613) 236-9734 - 4000000 COMMON STOCK (fILE 33-12593 - MAR 10 (aR 9

REGISTRATIONS EFFECTIVE

Feb 23 Aden Enterprises Inc 33-7494-LAFeb 26 Sensor Control Corporation 33-10024-LAFeb 27 CCR Inc 33-3439-D~ Gondola Inc 33-3438-D~ Old Cutler Capital Inc33-11SS2-A~ 21st Century American Technology Development Corp 33-9013-AMar 3 westpar Corporation 33-10786-LA bull

bullMar 6 Far West Ventures Inc 33-103S4-LA~ Sono-Tek Corporation 33-10138-NY

ACQUISITIONS OF SECURITIES

Companies and individuals must report to the Comaission within ten days on Schedule 13D if after the acquisition of equity securities of a public coapany their benefi-cial interest therein exceeds five percent Persons eligible to use the short fOrll (Schedule 130) may in lieu of filing a Schedule 13D file a Schedule 130 within 45 days after the end of the calendar year in which the person bec e subject to Section 13(d)(1) Coapanies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1

Below is a list of recent filings of Schedules 130 and 14D which includes the following information Column 1 - the coapany purchased (top) and the neae of the purchaser Column 2 - the type of seeurity purchased Column 3- the type of fOrll filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned ColUltn 6 - the CUSIP number (tbp) and the prior percent owned and Column 7 - the statuB of the filingie new update or revision

EVENT SI-IRS(OOO) CUSIP F ILIhG FDRM DATE ~DWhED PIltIDP SlATUS

ClIM PFII 0 01737230ALLEGHENY INTL 219 14D-1 )1387 NA NA NEWSUNTER HLIIGS CORP

ALLEGHENY INTL INC PF11 CDNv $1i-25 0 01737240

SlINTER HLDG CDPP 14D-1 31387 IVA NA NEW

AMEpTEIlt INC COM 302 03072210 BAKEl THDMAS B 1311 2 987 86 00 NE

AIIEPTEK INC COM 296 03072210 PERRY IltENNETH J 1311 2 V8( 84 00 NEW

NEWS DIGEST March 19 1987 5

ACOUISI~IONS RBPOR~ COW

AIIE~ J TPUST CCBiP CLEYEBACO C~P ET At

CEM 13D 3 687

2000 96

03090010 00 NEW

BETI-ILEHEIISTL CORP PFD CONY 5 139 08750930 HAPRDSH JDSEPH lS 13D ~ 687 56 00 1pound

CENTERRE B~CORPORATION HAA~IS FlSSOCIATES INC

CEM 13D 3 487

508 66

15a00710i uPDATE

CHPD~ CORP CEM lf250 17113310 ~BERT SDlAP INC 13D 3 387 162 00 ~W

CHP~ CORP SHEET IfETAtWORKERS PENS

CEM FD 13D 3 387

234430

17113310 00 HEw

COOPER LASE~SONICS INC COl lf420 21671210 CDoPERYISIoN INC 13D 31287 7 00 1pound101

CYCLOPS CORP COII 437 23252510 ~RIS ASSOCIATES INC 13D 31287 108 129 UPDATE

EN20N IIIC EFiSTHAN KODAK CO

COII 13D 3 587

2000189

29390410 00 NEW

FOUNTAIN DIL 8 6AS WICHITA INDS INC

COlNEW 13D 3 587

387-6S

35075320 00 NEW

FDlNDE~S REAL EST INY TRST SH~S BEN INT 9 35099110 DILLON JOHN ~I III 13D 3 387 60 56 UPDATE

GFlfiFlNINC CDI 332 36480210 ~~IS ASSOCIATES INC 13D 3 987 127 124 UPDATE

GENETI C EN6~ INC CDI 250 37184410 ELF TECHNoL06IES INC 13D 22687 105 00 NEW

6ERBER SYS TECHNOLOGY INC 6E~BE~ S ICENT FIC ET AL

CDI 14D-l 31387

3777956

37373410 84~3 UPDATE

IpoundLIRES INC CDI hlS3 42342510 FOX GERSON 1 13D 121886 59 00 NEW

INDIANA FLD~IDA ~LTY T~

l REYNOLDS ROBERT J ET At SH BEN INT

13D 21387 83

142 45471410

142 UPDATE

tUCKY STORES INC DEL COl 1855 54957710 -EDELIANASHE~ B ET At 13D 31087 48 51 UPDATE

IIONFDRTCOLD INC COl 616 60934910 FUTO KYLE IIONFo~T 13D 3 587 143 127 UPDATE

IDNFoRTCOLD INC loNFo~TCH~LES KENNETH

CDI 13D 3 587

568 132

60934810 132 LPDftTE

IIONFoRTCOLD ICIONFDRTRICHA~D LEE

CDI 13D 3 587

584 136

60934910 133 UPDATE

IIOIIFoRTCOLD INC loNTERAIltArEloNFoRT

CDI 13D 3 587

610 142

60934810 141 UPDATE

N~UC Co~P DUIIICHAEL

CDI 13D

310middotS7

1049122

62999410 00 NEW

lICCo~P HACoCIltDAVID

CDI 13D 31087

1049122

62999410 00 NEW

NORTH AIEP~BIOLOGICALS HECHT THOIASQ ET AL

INC COl 13D 21787

7723552

65675510 559 UPDATE

6 NEWS DIGEST March 19 1987

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 3: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

ACCELERATED APPROVAL OP PROPOSED RULE CHANGE

The CClIiIIIIIlsion accelerated approval of a proposed rule change filed bygranted the A rican Stock Exchange (SR-Amex~86-30) to amend its Constitution relating to the clasaification of floor governors on its Board of Governors and the structure of the Woainating Committee for the Board of Governors (Rel 34-24212)

NOTICE OF PROPOSED RULE CHANGES

Propoaed rule changes have been filed under Rule 19b-4 by The New York Stock Exchange(SR-RYSE-87-4) to amend its Rule 387 which governs collect on delivery transactions The proposal would eliminate certain exemptions from NYSE Rule 3B7~ and The National Association of Securities Dealers (SR-NASD-87-11) to eliminate certain exemptions from section 64 of Its Unfform Practice Code concerning collect on delivery transactions (ltel 34-24214)

Publication of the proposals are expected to be made in the Pederal Register duringthe week of March 16

APPROVAL OP PROPOSED RULE CHANGE

The coaission approved a proposed rule change filed by the Depository Trust Company(SR-DTC-86-10) expanding the methods of access to its Computer-to-Computer FacilityII(Rel 34-24216)

IEanEI ACT IECIS1IATIOIS ~ following registration stateaenta have been filed with the SEC under the Securi-tibullbull Act of 1933 The reported inforllation appears as follows PaOlI Name Address ad Phone auber (if available) of the issuer of the securitY1 Title and the number aDdor face aount of the securities being offeredr Hae of the managing underwriter ~ 4 itor (if applicable)r pile nwaber and date filed Assigned Branch and a designation if the stateaent i a Rew Issue

$-1 DYCO OIL ~ GAS PROGRAM 1987-1 1100 ITERCHAHGE TWR WAYZATA BLVD AT HWY 18 MlhhEAPOLlS MN 55426 (612) 545-2828 - 5000 ($25000000LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER DYCO PROGRAMS INC (fILE 33-12472 -MAR 09 IIR 3 - EW ISSUEI

$-1 IDS JONES GRO~TH PARTNERS 9697 E MINERAL AVE CO JONES CABLE tORP ENGLEWOOD to 10112 (3031 792-3111 - 600000 U150OOOOOO Ll IlED PARTNERSHIP CERTIFICATE VNGEwRITER IDS fINANCIAL SERVICES INC JONES INTERNATIONAL SECURITIES LTD (FILE33-12413 - MAA 09 (8R 1 - NEW ISSUE

S-ll AMERICA INSURED MORTGAGE INVESTORS L P SERIES 88 666 THIRD AVECO AIM CAPITAL MANAGEMENT CORP NEW YORK NY 10011 - 15000000 (S300000OOO)LIMITED PARTNERSHIP CERTIfiCATE UNDERWRITER INTEGRATED RESOURCES MARKETING INC (fiLE 33-12~79 - MAR 09 (BR 11 - NEW ISSUE

S-3 AGlfl~OR 160a PACifiC fiRST fEDERAL CTR 851 SW SIXTH AVE PORTLAND OR 97204 (503 8243-5190 - 6000000 ($150000oooa COMMON STOCK (FILE 33-12487 - MAR 101 UUt

S-I RiXWORKS INt 445 WEST OKLAHOMA AVE MILWAUKEE WI 53207 (414 141-1200 - 102569($769267 toMMDN STOCK 855381 ($6415358 COMMON STOCK UNDERWRITER MILWAUKEE CO (fILE 3~-12481 - MAR 101 (BR 9 - NEW ISSUE

S-l COVENANT CDRP 95 WOODLAND ST PO 80X 300 HARTfORD CT u6101 (2~3) 527-3311 -1543916 ($19291950 COMMON STOCK 741D84 ($92635501 COMMON STOCK UNDERWRITER FIRST BOSTON tORP (fILE 3-12490 - MAR 101 (8R 10 - NEW ISSUEI

S-4 TWAIN MARK IANtsHARES INC 8820 LADUE RD ST LOUIS MO 63124 (314) 721-1000 -201~2 ($6634386 COMMON STOCK (fILE 33-12494 - MAR lOt (8R II

S-6 MUNICIPAL INVESTMENT TRUST fUND MULTISTATE SERifS 2V ONE LI8ERTY PLZ - 21ST FLRCO MERRILL LYNCH PIERCE fENNER bull SMITH NEW YORK NY 10080 - IOEfINITE SHARES DEPOSITOR DEAN WITTER REYNOLDS INC MERRILLLYNCH PIERCE FENNER SMITH INCPAlhEWE88ER INC PRUDENTIAL BACHE SECURITIES INC SHEARSON LEHMAN BROTHERS INC (FILE33-12497 - MAR 111 (BR 11 - NEW ISSUEJ

NEWS DIGEST Marc 19 1987 3

5-6 INTERNATIDNAL IOfItOfO AUSTRALIAN l NE lEAUNO OOL 10 seR 11ONE LlIERTY PLZ - 21ST fLR CIO MERRILL LYfCH PieRCe fE_RlWIH YcK ~ l00to - IttOEfINITJSHAlES DEPOSITORa MERRILL LYNCH PIERCE FENNER SlIInHINC pAlhEWElBER INC PRUDENTIAL IACHE SECURJTIpoundS lite SHEARSON LEN IRDINERS INC FtLE 33-12498 - MAR 11) (BR 22 - NEW ISSUE

5-6 NUVEEN TAX EXEMPT UNIT TRUST SERIES -20 3D MACKER DR CIO J04N NUVEEN l CO INC CHICAGO IL 60606 - INDEfiNITE SHARES DEPOSITORa NUVEEN JOHN l CO INt IFILE 33-12499 - MAR 11 18R 22 - NEW ISSUE)

s-a AMERICAN CABLESYSTEMS CORP 10E 55 TOZER RD BEVERLY MA 01915 1617 921-0080 -10000000 UI0OOOOOO OTHER SECURITIES INCLUDING VOTING tRUST IFILE 33-12521 -MAR 10 (8R 7J

5-8 AMINTERNATlONAl INC 333 W WACKER OR 5UnE 900 CHICAGO lL 60606 amp3UI 558-1966 - 1500000 (513125000 COMMON STOCK (FILE 33-1252) - MAR 09 IIR loa

S-3 LEGGETT pound PLATT INC NO 1 LEGampfTT RD CARTHAGE MIl 6-836 C41l1 358-aUl - 32500(599531250 COMMON STOCK CFILE 33-12524 - MAR 09 C8R 61

5-4 ~EPOSIT GUARANTY CORP 210 E CAPITOL ST P deg 80X 130 JACKSON MS 39201 (601) 354-8564 - 712500 1$12154000) COMMON STOCK (FILE 33-12525 - MAR 09 (8R It

5-2 TRINITY INDUSTRIES LEASING CO 2525 STEMMONS FRWY DALLAS TX 75207 (214 631---20 - 115000000 (5115000000 CONVERTIBLE DE8ENTURES AND NOTES (FILE 33-12526 -MAR 10) (BR 5)

N-IA PRUDE~TIAL BACHE FLEXIFUND ONE SEAPORT PLZ NEW YORK NY 10292 (2121 21--1250 -INDEfiNITE SHARES (fiLE 33-12531 - MAR 10) (8R 16 - NEW lSSUE

5-1 RARITAN BANCORP INC 9 WEST SOMERSET ST RARITAN NJ 08869 - 1000000(511500000 COHMON STOCK (fiLE 33-12539 - MAR 10 (BR 2 - NEW ISSUE

5-1 KINBURN TECHNOLOGY CDRP 50 OCONNOR ST srE 1616 OTTAWA CANADA KIP 6L2 A6 (613 238-6648 - 100000000 ($100000000 FOREIGN GOVERNMENT AND AGENtY DEBT UNDERWRITER HAMBREtHT QUIST INC LAZARD FRERES pound CO WOOOGUNDY CORP FILE 33-12543 - MAR ID) (BR 9 - NEW ISSUE)

5-11 GS TRUST 2 ROONEY SQUARE NORTH CIO WILMINGTON TRUST CO WILMINGTON DE 19890 -195()OOO000 1$1950000000 MORTGAGE BONDS IFlLE 33-1255 - MAR lU (8R 111

S-4 CITIZENS amp SOUTHERN CORP IGA 35 BROAD ST NW ATLANTA GA 30302 1404 581-2121 -900000 ($9416429 COMMON STOCK (fILE 33-12546middot- MAR 11) (8R 11

S-4 INTERfACE fLOORING SYSTEMS INC ORCHARD HILL RD POBOX 1503 LAGRANGE GA 30241 404) 882-1891 - 191181 ($760514) COMMON STOCK (fiLE 33-12551 - MAR 10) (BR 7)

S-3 CATERPILLAR fINANCIAL SERVICES CDRP 100 NE ADAMS ST PEORIA IL 61629 (309 675-0100 - 300000000 ($3000000001 STRAIGHT BONOS (FILE 33-12553 - MAR 11 (8R 12)

S-1 HYDROGEN POWER INC 25222 VIA TANARA VALENCIA CA 91355 (213) 398-70-3 - 3000000(515000000) COHMON STOCK 300000 ($3001 WARRANTS OPTIONS OR RIGHTS (fiLE33-12558 - MAR 11) (BR 1 - NEN ISSUE

5-11 MERIT SELECT INCOME FUND 1110 FINANCIAL CTR cia MERIT I CORP DES MOINES IA 50309 - 45000 ($27000000 LIMITED PARTNERSHIP CERTIFICATE 45000 118000000LIMITED PARTNERSH1P CERTIFICATE UNDERWRITER MERIT CAPITAL CDRP IFILE 33-12560 -MAR 11) (BR 5 - NEW ISSUE)

5-11 IDS JMB BALANCED INCOME GROlitTHLTD 875 N MICHIGAN AVE CHICAGO IL 60611 - 400000 ($100OOO~00) LIMITED PARTNERSHIP CERTIFICATE UNDERWRITER IDS fINANCIAL S~RVICES INC (FILE 33-12561 - MAR 11) (8R 6 - NEW ISSUE

5-11 HOLDEN REAL ESTATE APPRECIATION fUND 11365 W OLYMPIC BLVD LOS ANGELES CA 90064 (213 312-6100 - 120000 ($30000000) LIMITED PARTNERSHIP CERTIFICATE CflLE 33-12563 - MAR II (BR 6 - NEW ISSue)

S-l TEChNOLOGY fUNDING SECURED INVESTORS 11 2000 ALAMEDA DE LAS PULGAS SAN MATEO CA 944v3 (415) 345-2200 - 160000 ($40000000) L~ITED PARTNERSHIP CERTIFICATE (FILE33-12566 - MAR 11) caR 12)

4 NEWS DIGEST March 19 1987

5-8 IUDlANT TKHNOLOGY CORP 16724 MARQUARDT AVE CampAAHOS CAiOl01 (213) -3 -1000000 lSlln500 COMMON STOCK (FILE 33-12569 - AR 111 tlR9

S-8 MpoundoAR INC )87~0 GRAND RIVER AVE fARMINGTON HILLS 1 48018 (3131 477-3900 -300000 1$2550000 COMMON STOCK IFILE 33-12571 - MAR 11 (aR 8

S-8 TANDEM COMPUTERS INC 10EI 19333 VALLCO PKWY CUPERTINO CA 95014 (408) 725-6000 -2012000 (S120217OOC) COMMON STOCK (FILE 33-12572 - MAR 11 (IR 10

S-8 CH BANCORP 401 N MAIN ST POBOX 1111 PIQUA OH 45356 (5131 773-4540 - 71+00(Sl7850001 COMMON STOCK (fILE 33-12573 - MAR 11 (BR 2

S-11 HIGH EQUITY PARTNERS L P SERIES 88 666 THIRD AVE NEW YORK NY 11017 (2121 551-6000 - 800000 ($200OOOOOCI LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER INT~GRATEO RESOURCES MARKETING INC (fiLE 33-12514 - MAR III (SR 6 - NEW ISSUE

S-8 ROCHESTER TELEPHONE CORP 100 MIDTOWN PLI ROCHESTER NY 14646 (1161 323-6713 -20000000 ($200000001 OTHER SECURITIES INCLUDING VOTING TRUST (FILE 33-12575 -MAR 111 (8R 7J

S-2 HAOStN CORP 101 PARK AVE STE 1400 OKLAHOMA CITY OK 13102 (405 215-9531 -4312500 ($30726562501 COMMON STOCK (fILE 33-12577 - MA~ 11) (SR 121

S-2 YUBA NATURAL RESOURCES INC 701 B ST STE 1460 SAN DIEGO CA 921~1 (619) 233-4653 -1081860 ($2569418) COMMON STOCK 155000 1$325500) COMMON STOCK 375001$112500) COMMON STOCK (fiLE 33-12591 - MAR III (SR 11

S-l SHl SYSTEMHOUSE INC 3RO FLR 99 BANK ST OTTAWA ONTARIO CANADA KIP 689 A6 (613) 236-9734 - 4000000 COMMON STOCK (fILE 33-12593 - MAR 10 (aR 9

REGISTRATIONS EFFECTIVE

Feb 23 Aden Enterprises Inc 33-7494-LAFeb 26 Sensor Control Corporation 33-10024-LAFeb 27 CCR Inc 33-3439-D~ Gondola Inc 33-3438-D~ Old Cutler Capital Inc33-11SS2-A~ 21st Century American Technology Development Corp 33-9013-AMar 3 westpar Corporation 33-10786-LA bull

bullMar 6 Far West Ventures Inc 33-103S4-LA~ Sono-Tek Corporation 33-10138-NY

ACQUISITIONS OF SECURITIES

Companies and individuals must report to the Comaission within ten days on Schedule 13D if after the acquisition of equity securities of a public coapany their benefi-cial interest therein exceeds five percent Persons eligible to use the short fOrll (Schedule 130) may in lieu of filing a Schedule 13D file a Schedule 130 within 45 days after the end of the calendar year in which the person bec e subject to Section 13(d)(1) Coapanies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1

Below is a list of recent filings of Schedules 130 and 14D which includes the following information Column 1 - the coapany purchased (top) and the neae of the purchaser Column 2 - the type of seeurity purchased Column 3- the type of fOrll filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned ColUltn 6 - the CUSIP number (tbp) and the prior percent owned and Column 7 - the statuB of the filingie new update or revision

EVENT SI-IRS(OOO) CUSIP F ILIhG FDRM DATE ~DWhED PIltIDP SlATUS

ClIM PFII 0 01737230ALLEGHENY INTL 219 14D-1 )1387 NA NA NEWSUNTER HLIIGS CORP

ALLEGHENY INTL INC PF11 CDNv $1i-25 0 01737240

SlINTER HLDG CDPP 14D-1 31387 IVA NA NEW

AMEpTEIlt INC COM 302 03072210 BAKEl THDMAS B 1311 2 987 86 00 NE

AIIEPTEK INC COM 296 03072210 PERRY IltENNETH J 1311 2 V8( 84 00 NEW

NEWS DIGEST March 19 1987 5

ACOUISI~IONS RBPOR~ COW

AIIE~ J TPUST CCBiP CLEYEBACO C~P ET At

CEM 13D 3 687

2000 96

03090010 00 NEW

BETI-ILEHEIISTL CORP PFD CONY 5 139 08750930 HAPRDSH JDSEPH lS 13D ~ 687 56 00 1pound

CENTERRE B~CORPORATION HAA~IS FlSSOCIATES INC

CEM 13D 3 487

508 66

15a00710i uPDATE

CHPD~ CORP CEM lf250 17113310 ~BERT SDlAP INC 13D 3 387 162 00 ~W

CHP~ CORP SHEET IfETAtWORKERS PENS

CEM FD 13D 3 387

234430

17113310 00 HEw

COOPER LASE~SONICS INC COl lf420 21671210 CDoPERYISIoN INC 13D 31287 7 00 1pound101

CYCLOPS CORP COII 437 23252510 ~RIS ASSOCIATES INC 13D 31287 108 129 UPDATE

EN20N IIIC EFiSTHAN KODAK CO

COII 13D 3 587

2000189

29390410 00 NEW

FOUNTAIN DIL 8 6AS WICHITA INDS INC

COlNEW 13D 3 587

387-6S

35075320 00 NEW

FDlNDE~S REAL EST INY TRST SH~S BEN INT 9 35099110 DILLON JOHN ~I III 13D 3 387 60 56 UPDATE

GFlfiFlNINC CDI 332 36480210 ~~IS ASSOCIATES INC 13D 3 987 127 124 UPDATE

GENETI C EN6~ INC CDI 250 37184410 ELF TECHNoL06IES INC 13D 22687 105 00 NEW

6ERBER SYS TECHNOLOGY INC 6E~BE~ S ICENT FIC ET AL

CDI 14D-l 31387

3777956

37373410 84~3 UPDATE

IpoundLIRES INC CDI hlS3 42342510 FOX GERSON 1 13D 121886 59 00 NEW

INDIANA FLD~IDA ~LTY T~

l REYNOLDS ROBERT J ET At SH BEN INT

13D 21387 83

142 45471410

142 UPDATE

tUCKY STORES INC DEL COl 1855 54957710 -EDELIANASHE~ B ET At 13D 31087 48 51 UPDATE

IIONFDRTCOLD INC COl 616 60934910 FUTO KYLE IIONFo~T 13D 3 587 143 127 UPDATE

IDNFoRTCOLD INC loNFo~TCH~LES KENNETH

CDI 13D 3 587

568 132

60934810 132 LPDftTE

IIONFoRTCOLD ICIONFDRTRICHA~D LEE

CDI 13D 3 587

584 136

60934910 133 UPDATE

IIOIIFoRTCOLD INC loNTERAIltArEloNFoRT

CDI 13D 3 587

610 142

60934810 141 UPDATE

N~UC Co~P DUIIICHAEL

CDI 13D

310middotS7

1049122

62999410 00 NEW

lICCo~P HACoCIltDAVID

CDI 13D 31087

1049122

62999410 00 NEW

NORTH AIEP~BIOLOGICALS HECHT THOIASQ ET AL

INC COl 13D 21787

7723552

65675510 559 UPDATE

6 NEWS DIGEST March 19 1987

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 4: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

5-6 INTERNATIDNAL IOfItOfO AUSTRALIAN l NE lEAUNO OOL 10 seR 11ONE LlIERTY PLZ - 21ST fLR CIO MERRILL LYfCH PieRCe fE_RlWIH YcK ~ l00to - IttOEfINITJSHAlES DEPOSITORa MERRILL LYNCH PIERCE FENNER SlIInHINC pAlhEWElBER INC PRUDENTIAL IACHE SECURJTIpoundS lite SHEARSON LEN IRDINERS INC FtLE 33-12498 - MAR 11) (BR 22 - NEW ISSUE

5-6 NUVEEN TAX EXEMPT UNIT TRUST SERIES -20 3D MACKER DR CIO J04N NUVEEN l CO INC CHICAGO IL 60606 - INDEfiNITE SHARES DEPOSITORa NUVEEN JOHN l CO INt IFILE 33-12499 - MAR 11 18R 22 - NEW ISSUE)

s-a AMERICAN CABLESYSTEMS CORP 10E 55 TOZER RD BEVERLY MA 01915 1617 921-0080 -10000000 UI0OOOOOO OTHER SECURITIES INCLUDING VOTING tRUST IFILE 33-12521 -MAR 10 (8R 7J

5-8 AMINTERNATlONAl INC 333 W WACKER OR 5UnE 900 CHICAGO lL 60606 amp3UI 558-1966 - 1500000 (513125000 COMMON STOCK (FILE 33-1252) - MAR 09 IIR loa

S-3 LEGGETT pound PLATT INC NO 1 LEGampfTT RD CARTHAGE MIl 6-836 C41l1 358-aUl - 32500(599531250 COMMON STOCK CFILE 33-12524 - MAR 09 C8R 61

5-4 ~EPOSIT GUARANTY CORP 210 E CAPITOL ST P deg 80X 130 JACKSON MS 39201 (601) 354-8564 - 712500 1$12154000) COMMON STOCK (FILE 33-12525 - MAR 09 (8R It

5-2 TRINITY INDUSTRIES LEASING CO 2525 STEMMONS FRWY DALLAS TX 75207 (214 631---20 - 115000000 (5115000000 CONVERTIBLE DE8ENTURES AND NOTES (FILE 33-12526 -MAR 10) (BR 5)

N-IA PRUDE~TIAL BACHE FLEXIFUND ONE SEAPORT PLZ NEW YORK NY 10292 (2121 21--1250 -INDEfiNITE SHARES (fiLE 33-12531 - MAR 10) (8R 16 - NEW lSSUE

5-1 RARITAN BANCORP INC 9 WEST SOMERSET ST RARITAN NJ 08869 - 1000000(511500000 COHMON STOCK (fiLE 33-12539 - MAR 10 (BR 2 - NEW ISSUE

5-1 KINBURN TECHNOLOGY CDRP 50 OCONNOR ST srE 1616 OTTAWA CANADA KIP 6L2 A6 (613 238-6648 - 100000000 ($100000000 FOREIGN GOVERNMENT AND AGENtY DEBT UNDERWRITER HAMBREtHT QUIST INC LAZARD FRERES pound CO WOOOGUNDY CORP FILE 33-12543 - MAR ID) (BR 9 - NEW ISSUE)

5-11 GS TRUST 2 ROONEY SQUARE NORTH CIO WILMINGTON TRUST CO WILMINGTON DE 19890 -195()OOO000 1$1950000000 MORTGAGE BONDS IFlLE 33-1255 - MAR lU (8R 111

S-4 CITIZENS amp SOUTHERN CORP IGA 35 BROAD ST NW ATLANTA GA 30302 1404 581-2121 -900000 ($9416429 COMMON STOCK (fILE 33-12546middot- MAR 11) (8R 11

S-4 INTERfACE fLOORING SYSTEMS INC ORCHARD HILL RD POBOX 1503 LAGRANGE GA 30241 404) 882-1891 - 191181 ($760514) COMMON STOCK (fiLE 33-12551 - MAR 10) (BR 7)

S-3 CATERPILLAR fINANCIAL SERVICES CDRP 100 NE ADAMS ST PEORIA IL 61629 (309 675-0100 - 300000000 ($3000000001 STRAIGHT BONOS (FILE 33-12553 - MAR 11 (8R 12)

S-1 HYDROGEN POWER INC 25222 VIA TANARA VALENCIA CA 91355 (213) 398-70-3 - 3000000(515000000) COHMON STOCK 300000 ($3001 WARRANTS OPTIONS OR RIGHTS (fiLE33-12558 - MAR 11) (BR 1 - NEN ISSUE

5-11 MERIT SELECT INCOME FUND 1110 FINANCIAL CTR cia MERIT I CORP DES MOINES IA 50309 - 45000 ($27000000 LIMITED PARTNERSHIP CERTIFICATE 45000 118000000LIMITED PARTNERSH1P CERTIFICATE UNDERWRITER MERIT CAPITAL CDRP IFILE 33-12560 -MAR 11) (BR 5 - NEW ISSUE)

5-11 IDS JMB BALANCED INCOME GROlitTHLTD 875 N MICHIGAN AVE CHICAGO IL 60611 - 400000 ($100OOO~00) LIMITED PARTNERSHIP CERTIFICATE UNDERWRITER IDS fINANCIAL S~RVICES INC (FILE 33-12561 - MAR 11) (8R 6 - NEW ISSUE

5-11 HOLDEN REAL ESTATE APPRECIATION fUND 11365 W OLYMPIC BLVD LOS ANGELES CA 90064 (213 312-6100 - 120000 ($30000000) LIMITED PARTNERSHIP CERTIFICATE CflLE 33-12563 - MAR II (BR 6 - NEW ISSue)

S-l TEChNOLOGY fUNDING SECURED INVESTORS 11 2000 ALAMEDA DE LAS PULGAS SAN MATEO CA 944v3 (415) 345-2200 - 160000 ($40000000) L~ITED PARTNERSHIP CERTIFICATE (FILE33-12566 - MAR 11) caR 12)

4 NEWS DIGEST March 19 1987

5-8 IUDlANT TKHNOLOGY CORP 16724 MARQUARDT AVE CampAAHOS CAiOl01 (213) -3 -1000000 lSlln500 COMMON STOCK (FILE 33-12569 - AR 111 tlR9

S-8 MpoundoAR INC )87~0 GRAND RIVER AVE fARMINGTON HILLS 1 48018 (3131 477-3900 -300000 1$2550000 COMMON STOCK IFILE 33-12571 - MAR 11 (aR 8

S-8 TANDEM COMPUTERS INC 10EI 19333 VALLCO PKWY CUPERTINO CA 95014 (408) 725-6000 -2012000 (S120217OOC) COMMON STOCK (FILE 33-12572 - MAR 11 (IR 10

S-8 CH BANCORP 401 N MAIN ST POBOX 1111 PIQUA OH 45356 (5131 773-4540 - 71+00(Sl7850001 COMMON STOCK (fILE 33-12573 - MAR 11 (BR 2

S-11 HIGH EQUITY PARTNERS L P SERIES 88 666 THIRD AVE NEW YORK NY 11017 (2121 551-6000 - 800000 ($200OOOOOCI LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER INT~GRATEO RESOURCES MARKETING INC (fiLE 33-12514 - MAR III (SR 6 - NEW ISSUE

S-8 ROCHESTER TELEPHONE CORP 100 MIDTOWN PLI ROCHESTER NY 14646 (1161 323-6713 -20000000 ($200000001 OTHER SECURITIES INCLUDING VOTING TRUST (FILE 33-12575 -MAR 111 (8R 7J

S-2 HAOStN CORP 101 PARK AVE STE 1400 OKLAHOMA CITY OK 13102 (405 215-9531 -4312500 ($30726562501 COMMON STOCK (fILE 33-12577 - MA~ 11) (SR 121

S-2 YUBA NATURAL RESOURCES INC 701 B ST STE 1460 SAN DIEGO CA 921~1 (619) 233-4653 -1081860 ($2569418) COMMON STOCK 155000 1$325500) COMMON STOCK 375001$112500) COMMON STOCK (fiLE 33-12591 - MAR III (SR 11

S-l SHl SYSTEMHOUSE INC 3RO FLR 99 BANK ST OTTAWA ONTARIO CANADA KIP 689 A6 (613) 236-9734 - 4000000 COMMON STOCK (fILE 33-12593 - MAR 10 (aR 9

REGISTRATIONS EFFECTIVE

Feb 23 Aden Enterprises Inc 33-7494-LAFeb 26 Sensor Control Corporation 33-10024-LAFeb 27 CCR Inc 33-3439-D~ Gondola Inc 33-3438-D~ Old Cutler Capital Inc33-11SS2-A~ 21st Century American Technology Development Corp 33-9013-AMar 3 westpar Corporation 33-10786-LA bull

bullMar 6 Far West Ventures Inc 33-103S4-LA~ Sono-Tek Corporation 33-10138-NY

ACQUISITIONS OF SECURITIES

Companies and individuals must report to the Comaission within ten days on Schedule 13D if after the acquisition of equity securities of a public coapany their benefi-cial interest therein exceeds five percent Persons eligible to use the short fOrll (Schedule 130) may in lieu of filing a Schedule 13D file a Schedule 130 within 45 days after the end of the calendar year in which the person bec e subject to Section 13(d)(1) Coapanies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1

Below is a list of recent filings of Schedules 130 and 14D which includes the following information Column 1 - the coapany purchased (top) and the neae of the purchaser Column 2 - the type of seeurity purchased Column 3- the type of fOrll filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned ColUltn 6 - the CUSIP number (tbp) and the prior percent owned and Column 7 - the statuB of the filingie new update or revision

EVENT SI-IRS(OOO) CUSIP F ILIhG FDRM DATE ~DWhED PIltIDP SlATUS

ClIM PFII 0 01737230ALLEGHENY INTL 219 14D-1 )1387 NA NA NEWSUNTER HLIIGS CORP

ALLEGHENY INTL INC PF11 CDNv $1i-25 0 01737240

SlINTER HLDG CDPP 14D-1 31387 IVA NA NEW

AMEpTEIlt INC COM 302 03072210 BAKEl THDMAS B 1311 2 987 86 00 NE

AIIEPTEK INC COM 296 03072210 PERRY IltENNETH J 1311 2 V8( 84 00 NEW

NEWS DIGEST March 19 1987 5

ACOUISI~IONS RBPOR~ COW

AIIE~ J TPUST CCBiP CLEYEBACO C~P ET At

CEM 13D 3 687

2000 96

03090010 00 NEW

BETI-ILEHEIISTL CORP PFD CONY 5 139 08750930 HAPRDSH JDSEPH lS 13D ~ 687 56 00 1pound

CENTERRE B~CORPORATION HAA~IS FlSSOCIATES INC

CEM 13D 3 487

508 66

15a00710i uPDATE

CHPD~ CORP CEM lf250 17113310 ~BERT SDlAP INC 13D 3 387 162 00 ~W

CHP~ CORP SHEET IfETAtWORKERS PENS

CEM FD 13D 3 387

234430

17113310 00 HEw

COOPER LASE~SONICS INC COl lf420 21671210 CDoPERYISIoN INC 13D 31287 7 00 1pound101

CYCLOPS CORP COII 437 23252510 ~RIS ASSOCIATES INC 13D 31287 108 129 UPDATE

EN20N IIIC EFiSTHAN KODAK CO

COII 13D 3 587

2000189

29390410 00 NEW

FOUNTAIN DIL 8 6AS WICHITA INDS INC

COlNEW 13D 3 587

387-6S

35075320 00 NEW

FDlNDE~S REAL EST INY TRST SH~S BEN INT 9 35099110 DILLON JOHN ~I III 13D 3 387 60 56 UPDATE

GFlfiFlNINC CDI 332 36480210 ~~IS ASSOCIATES INC 13D 3 987 127 124 UPDATE

GENETI C EN6~ INC CDI 250 37184410 ELF TECHNoL06IES INC 13D 22687 105 00 NEW

6ERBER SYS TECHNOLOGY INC 6E~BE~ S ICENT FIC ET AL

CDI 14D-l 31387

3777956

37373410 84~3 UPDATE

IpoundLIRES INC CDI hlS3 42342510 FOX GERSON 1 13D 121886 59 00 NEW

INDIANA FLD~IDA ~LTY T~

l REYNOLDS ROBERT J ET At SH BEN INT

13D 21387 83

142 45471410

142 UPDATE

tUCKY STORES INC DEL COl 1855 54957710 -EDELIANASHE~ B ET At 13D 31087 48 51 UPDATE

IIONFDRTCOLD INC COl 616 60934910 FUTO KYLE IIONFo~T 13D 3 587 143 127 UPDATE

IDNFoRTCOLD INC loNFo~TCH~LES KENNETH

CDI 13D 3 587

568 132

60934810 132 LPDftTE

IIONFoRTCOLD ICIONFDRTRICHA~D LEE

CDI 13D 3 587

584 136

60934910 133 UPDATE

IIOIIFoRTCOLD INC loNTERAIltArEloNFoRT

CDI 13D 3 587

610 142

60934810 141 UPDATE

N~UC Co~P DUIIICHAEL

CDI 13D

310middotS7

1049122

62999410 00 NEW

lICCo~P HACoCIltDAVID

CDI 13D 31087

1049122

62999410 00 NEW

NORTH AIEP~BIOLOGICALS HECHT THOIASQ ET AL

INC COl 13D 21787

7723552

65675510 559 UPDATE

6 NEWS DIGEST March 19 1987

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 5: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

5-8 IUDlANT TKHNOLOGY CORP 16724 MARQUARDT AVE CampAAHOS CAiOl01 (213) -3 -1000000 lSlln500 COMMON STOCK (FILE 33-12569 - AR 111 tlR9

S-8 MpoundoAR INC )87~0 GRAND RIVER AVE fARMINGTON HILLS 1 48018 (3131 477-3900 -300000 1$2550000 COMMON STOCK IFILE 33-12571 - MAR 11 (aR 8

S-8 TANDEM COMPUTERS INC 10EI 19333 VALLCO PKWY CUPERTINO CA 95014 (408) 725-6000 -2012000 (S120217OOC) COMMON STOCK (FILE 33-12572 - MAR 11 (IR 10

S-8 CH BANCORP 401 N MAIN ST POBOX 1111 PIQUA OH 45356 (5131 773-4540 - 71+00(Sl7850001 COMMON STOCK (fILE 33-12573 - MAR 11 (BR 2

S-11 HIGH EQUITY PARTNERS L P SERIES 88 666 THIRD AVE NEW YORK NY 11017 (2121 551-6000 - 800000 ($200OOOOOCI LIMITED PARTNERSHIP CERTIfICATE UNDERWRITER INT~GRATEO RESOURCES MARKETING INC (fiLE 33-12514 - MAR III (SR 6 - NEW ISSUE

S-8 ROCHESTER TELEPHONE CORP 100 MIDTOWN PLI ROCHESTER NY 14646 (1161 323-6713 -20000000 ($200000001 OTHER SECURITIES INCLUDING VOTING TRUST (FILE 33-12575 -MAR 111 (8R 7J

S-2 HAOStN CORP 101 PARK AVE STE 1400 OKLAHOMA CITY OK 13102 (405 215-9531 -4312500 ($30726562501 COMMON STOCK (fILE 33-12577 - MA~ 11) (SR 121

S-2 YUBA NATURAL RESOURCES INC 701 B ST STE 1460 SAN DIEGO CA 921~1 (619) 233-4653 -1081860 ($2569418) COMMON STOCK 155000 1$325500) COMMON STOCK 375001$112500) COMMON STOCK (fiLE 33-12591 - MAR III (SR 11

S-l SHl SYSTEMHOUSE INC 3RO FLR 99 BANK ST OTTAWA ONTARIO CANADA KIP 689 A6 (613) 236-9734 - 4000000 COMMON STOCK (fILE 33-12593 - MAR 10 (aR 9

REGISTRATIONS EFFECTIVE

Feb 23 Aden Enterprises Inc 33-7494-LAFeb 26 Sensor Control Corporation 33-10024-LAFeb 27 CCR Inc 33-3439-D~ Gondola Inc 33-3438-D~ Old Cutler Capital Inc33-11SS2-A~ 21st Century American Technology Development Corp 33-9013-AMar 3 westpar Corporation 33-10786-LA bull

bullMar 6 Far West Ventures Inc 33-103S4-LA~ Sono-Tek Corporation 33-10138-NY

ACQUISITIONS OF SECURITIES

Companies and individuals must report to the Comaission within ten days on Schedule 13D if after the acquisition of equity securities of a public coapany their benefi-cial interest therein exceeds five percent Persons eligible to use the short fOrll (Schedule 130) may in lieu of filing a Schedule 13D file a Schedule 130 within 45 days after the end of the calendar year in which the person bec e subject to Section 13(d)(1) Coapanies and individuals making a tender offer must have on file at the time the tender offer commences a Schedule 14D-1

Below is a list of recent filings of Schedules 130 and 14D which includes the following information Column 1 - the coapany purchased (top) and the neae of the purchaser Column 2 - the type of seeurity purchased Column 3- the type of fOrll filed Column 4 - the date the transaction occurred Column 5 - the current number of shares (in OOOs) owned (top) and the current percent owned ColUltn 6 - the CUSIP number (tbp) and the prior percent owned and Column 7 - the statuB of the filingie new update or revision

EVENT SI-IRS(OOO) CUSIP F ILIhG FDRM DATE ~DWhED PIltIDP SlATUS

ClIM PFII 0 01737230ALLEGHENY INTL 219 14D-1 )1387 NA NA NEWSUNTER HLIIGS CORP

ALLEGHENY INTL INC PF11 CDNv $1i-25 0 01737240

SlINTER HLDG CDPP 14D-1 31387 IVA NA NEW

AMEpTEIlt INC COM 302 03072210 BAKEl THDMAS B 1311 2 987 86 00 NE

AIIEPTEK INC COM 296 03072210 PERRY IltENNETH J 1311 2 V8( 84 00 NEW

NEWS DIGEST March 19 1987 5

ACOUISI~IONS RBPOR~ COW

AIIE~ J TPUST CCBiP CLEYEBACO C~P ET At

CEM 13D 3 687

2000 96

03090010 00 NEW

BETI-ILEHEIISTL CORP PFD CONY 5 139 08750930 HAPRDSH JDSEPH lS 13D ~ 687 56 00 1pound

CENTERRE B~CORPORATION HAA~IS FlSSOCIATES INC

CEM 13D 3 487

508 66

15a00710i uPDATE

CHPD~ CORP CEM lf250 17113310 ~BERT SDlAP INC 13D 3 387 162 00 ~W

CHP~ CORP SHEET IfETAtWORKERS PENS

CEM FD 13D 3 387

234430

17113310 00 HEw

COOPER LASE~SONICS INC COl lf420 21671210 CDoPERYISIoN INC 13D 31287 7 00 1pound101

CYCLOPS CORP COII 437 23252510 ~RIS ASSOCIATES INC 13D 31287 108 129 UPDATE

EN20N IIIC EFiSTHAN KODAK CO

COII 13D 3 587

2000189

29390410 00 NEW

FOUNTAIN DIL 8 6AS WICHITA INDS INC

COlNEW 13D 3 587

387-6S

35075320 00 NEW

FDlNDE~S REAL EST INY TRST SH~S BEN INT 9 35099110 DILLON JOHN ~I III 13D 3 387 60 56 UPDATE

GFlfiFlNINC CDI 332 36480210 ~~IS ASSOCIATES INC 13D 3 987 127 124 UPDATE

GENETI C EN6~ INC CDI 250 37184410 ELF TECHNoL06IES INC 13D 22687 105 00 NEW

6ERBER SYS TECHNOLOGY INC 6E~BE~ S ICENT FIC ET AL

CDI 14D-l 31387

3777956

37373410 84~3 UPDATE

IpoundLIRES INC CDI hlS3 42342510 FOX GERSON 1 13D 121886 59 00 NEW

INDIANA FLD~IDA ~LTY T~

l REYNOLDS ROBERT J ET At SH BEN INT

13D 21387 83

142 45471410

142 UPDATE

tUCKY STORES INC DEL COl 1855 54957710 -EDELIANASHE~ B ET At 13D 31087 48 51 UPDATE

IIONFDRTCOLD INC COl 616 60934910 FUTO KYLE IIONFo~T 13D 3 587 143 127 UPDATE

IDNFoRTCOLD INC loNFo~TCH~LES KENNETH

CDI 13D 3 587

568 132

60934810 132 LPDftTE

IIONFoRTCOLD ICIONFDRTRICHA~D LEE

CDI 13D 3 587

584 136

60934910 133 UPDATE

IIOIIFoRTCOLD INC loNTERAIltArEloNFoRT

CDI 13D 3 587

610 142

60934810 141 UPDATE

N~UC Co~P DUIIICHAEL

CDI 13D

310middotS7

1049122

62999410 00 NEW

lICCo~P HACoCIltDAVID

CDI 13D 31087

1049122

62999410 00 NEW

NORTH AIEP~BIOLOGICALS HECHT THOIASQ ET AL

INC COl 13D 21787

7723552

65675510 559 UPDATE

6 NEWS DIGEST March 19 1987

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 6: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

ACOUISI~IONS RBPOR~ COW

AIIE~ J TPUST CCBiP CLEYEBACO C~P ET At

CEM 13D 3 687

2000 96

03090010 00 NEW

BETI-ILEHEIISTL CORP PFD CONY 5 139 08750930 HAPRDSH JDSEPH lS 13D ~ 687 56 00 1pound

CENTERRE B~CORPORATION HAA~IS FlSSOCIATES INC

CEM 13D 3 487

508 66

15a00710i uPDATE

CHPD~ CORP CEM lf250 17113310 ~BERT SDlAP INC 13D 3 387 162 00 ~W

CHP~ CORP SHEET IfETAtWORKERS PENS

CEM FD 13D 3 387

234430

17113310 00 HEw

COOPER LASE~SONICS INC COl lf420 21671210 CDoPERYISIoN INC 13D 31287 7 00 1pound101

CYCLOPS CORP COII 437 23252510 ~RIS ASSOCIATES INC 13D 31287 108 129 UPDATE

EN20N IIIC EFiSTHAN KODAK CO

COII 13D 3 587

2000189

29390410 00 NEW

FOUNTAIN DIL 8 6AS WICHITA INDS INC

COlNEW 13D 3 587

387-6S

35075320 00 NEW

FDlNDE~S REAL EST INY TRST SH~S BEN INT 9 35099110 DILLON JOHN ~I III 13D 3 387 60 56 UPDATE

GFlfiFlNINC CDI 332 36480210 ~~IS ASSOCIATES INC 13D 3 987 127 124 UPDATE

GENETI C EN6~ INC CDI 250 37184410 ELF TECHNoL06IES INC 13D 22687 105 00 NEW

6ERBER SYS TECHNOLOGY INC 6E~BE~ S ICENT FIC ET AL

CDI 14D-l 31387

3777956

37373410 84~3 UPDATE

IpoundLIRES INC CDI hlS3 42342510 FOX GERSON 1 13D 121886 59 00 NEW

INDIANA FLD~IDA ~LTY T~

l REYNOLDS ROBERT J ET At SH BEN INT

13D 21387 83

142 45471410

142 UPDATE

tUCKY STORES INC DEL COl 1855 54957710 -EDELIANASHE~ B ET At 13D 31087 48 51 UPDATE

IIONFDRTCOLD INC COl 616 60934910 FUTO KYLE IIONFo~T 13D 3 587 143 127 UPDATE

IDNFoRTCOLD INC loNFo~TCH~LES KENNETH

CDI 13D 3 587

568 132

60934810 132 LPDftTE

IIONFoRTCOLD ICIONFDRTRICHA~D LEE

CDI 13D 3 587

584 136

60934910 133 UPDATE

IIOIIFoRTCOLD INC loNTERAIltArEloNFoRT

CDI 13D 3 587

610 142

60934810 141 UPDATE

N~UC Co~P DUIIICHAEL

CDI 13D

310middotS7

1049122

62999410 00 NEW

lICCo~P HACoCIltDAVID

CDI 13D 31087

1049122

62999410 00 NEW

NORTH AIEP~BIOLOGICALS HECHT THOIASQ ET AL

INC COl 13D 21787

7723552

65675510 559 UPDATE

6 NEWS DIGEST March 19 1987

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 7: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

ACQUISITIONS REPORTS CONT

OIltC LTD PF1fOTNERSHIP DEPOS ITAPY UN IT 1590SIMPLOT J R ET AL 13D 31187 78

PIEDMONT AV IAT IDt~ INC CQM ( 2293f

IKAIR GFPINC ET AL 14D-1 124

PUPOLATOR COURIER CORP COM 453 MUWAL SHAJES CORP ET AL 13D 59

QED EXPL INC U 19S POIIELL NICHOLAS 1lt 13D 87

RESOFTSINTL INC CL II 585 TRUMP DOtiALD J 130 778

SYMBION INC COM h921 WARBUREi P Iscus ASSOC ET AL 1411-1 257

TELE COMMUNICATIOtiS INC CL AASSOCIATED COMMUN ICAT IONS CORP 1311

UNIVERSAL HEALTH RLTY SH BEN INT 546 GOLDMAN SACHS l CO 13D 63

IIALKER TELECOMMUN ICAT IONS CP COM 364 LEVINE BERNARD B 130 73

WESTBURNE INTL INDS LTD COM 11046DUME2 INVESTMENTSmiddot INC 14D-l 313middotmiddot87 944

blESTERN TELE COMMUNICATIONS CL A 416 ASSOC IATED COMMUN ICAT IONS COP 1311 62

ALLEGHENY INTL INC COM oSUNTER HLIIGS CORP 140-1 00

AMER ICAN INTL PETOLEuM CORP COM 10118SUREVIL INVEST ET AL 13 Ie 136

CONTI NUUM INC COM PAR Sl00 2003CONTINUUM HOLDINGS CO 1311 3middot687 464

COOPERVISION INC COM 1323SIEBEL CAPITAL MGMT ET AL 59

1IAMSON 0 IL CORP COM 15907SMITH RANDALL D ET AL 13D 473

FISHER FOODS INC COM b5545300 RICHMOND ROAD CORP 1D 44 (I

FOUNTAIN OIL t GAS COM NE~ 300DIABLO OIL CO 1311 50

FOUNTAIN OIL ~ GAS COM NEW 389HARP INGTON THOMASmiddot 11 13D 65

FOUNTAIN OIL amp GAS COM NEW b 850 MCDONALD MICHAEL L 13D 311

FOUNTAIN OIL amp GAS COM NEW 442NOARIltO RESOURCES INC 130 74

FOUNTAIN OIL amp GAS CDrl tE 575SIERJAE~ltPlORATION CD 13D 97

GELCO CO-P COM 576MUTUAL SHARES CORP ET AL 13Ie 82

NEWS DIGEST March 19 1987

67086020 63 UPDATE

7201011 0 312 RVSION

74638010 00 NEW

74790220 70 UPDATE

7611852 (I00 NEW

8715(14101S 9 RVSlON

87924010 O 0 t~EW

91399010 69 UPDATE

93180410 51 UP1IATE

95727210 946 uPDATE

95973710 00 NEW

01737210 00 NEW

026)0~2000 NEW

21218010 514 UPDATE

2168951(156 UPDATE

23576610 396 UPDATE

3378191 (I (I (I NEW

35(17532050 UPDATE

35075320 55 UPDATE

35075320 195 UPDATE

35075320 74 UPDATE

35(1S3aO97 UPDATE

3685011(I 49 UPDATE

7

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8

Page 8: SEC News Digest, 03-19-1987 · sec news di~est IMue 87-50 U.S. SECURITI March 19, 1987 EXCHANGE COMMISSiON.-na:-OF COMMISSIOI MEETIHSFollowing is a schedule of Commission meetings

ACQUISITIONS REPORTS CONT

GENEX CORP COM 1667 37227510PLANT RESOURCESFUND II ET AL 13D 130 00 NEW

GOODRICH B F CO COM ~90 38238810SOROS GEORGE ET AL 13 60 00 NE~

GUAR=NTYBANCSHARES CORP PA CDI 157 (116210FIRST SAVE ASSOCIATES ET AL 13D 79 66 UPDATE

HECKSINC CDI 157 a6a620 TDUSSIE ROBERT I ET AL 13D 18 83 UPDATE

HOLIDAV CORP CDI h605 4350711 0 STEINHARDT MICHAEL H ET AL 13D 69 00 NEW

IRE FINL CORP COM NEW 200 45002030

INTL BIOTECHNOLOGIES INC COM 154

FLORIDA PARTNERS CORP 13D 45 00 NEW

45913010LKB INC 13D 66 00 NE~

KOREA FD INC COM 305 50063410BAPINGS PLC ET AL 13D 48 00 NEW

MEBET INC COM 955 58949310

NORTH AMERN BIOLOGICALS INC COM 7723 65675510HECHT THOMAS 0 ET AL 13D 552 559 UPDATE

MCLAUGHLIN hllLLIAMM 13D 125 138 UPDATE

NORTH LILY MINING CD COM 2519 66046110HENRIKSZ ANTON R ET AL 13D 427 00 NEW

PAIGE hlEBBERGROUP INC COM 2917 69562910CIGNA CORP ET AL 13D 98 98 UPDATE

REPUBLIC PICTURES CORP CL A 160 76072610

RIVERSIDE PROPERTIES INC COM 16

ASSOCIATED CDMMUNICATIONS CORP 13D 59 59 UPDATE

76926010BA IRD BRENT II ET AL 13D 80 60 UPDATE

SYMBION INC COM 1f 921 87150410tdARBURGPINCUS ASSOC ET AL 14D-l 31687 257 189 UPDATE

TELE COMMUNICATIONS INC CL B 1f 387 87924020ASSOCIATED COMMUNICATIONS CORP 13D 31687 72 00 NEW

U S AIR GROUP INC COM 4043 91190510leAHN CARL C ET AL 13D 3487 150 00 NEW

hlESTBLIRNEINTL INDS LTD COM o 95727210ur ICORP CANADA amp MANN GEORGE 13D 00 86 UPDATE

hlESTERNTELE COMMUNICATIONS CL B 139 95973720 ASSOCIATED COMMUNICATIONS CORP 13D 150 00 NEW

hlICHITAINDS INC COM 580 96723110FOUNTAIN OIL amp GAS INC 13D 167 00 NEW

NEWS DIGBST March 19 1987 8