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Page 1: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

SEC NEWS DIGESTIssue 98-113 June 12 1998

ENFORCEMENT PROCEEDINGS

INJUNCTION ENTERED AGAINST TED MONG

The Commission announced the entry of an Order of Permanent Injunction and other Equitable Relief (Order) against Ted E Mong(Mong) The Order which was entered on June 1 by the Honorable James Graham of the us District Court for the Southern District of Ohio enjoins Mong from future violations of the antifraud provisions and the broker-dealer registration provisions of the federal securities laws The Order also finds disgorgement againstMong in the amount of $18667271 plus prejudgment interesthowever payment is waived based on Mong s demonstrated inability to pay Mong consented to the entry of the Order without admitting or denying the allegations of the complaint

In its complaint the Commission alleged that Mong through Liberty Bell Association Inc (Liberty Bell) and McKenzie Mat thew Inc (McKenzie) raised more than $16 million by selling promissory notes to investors from approximately March 1993 until August 1995 Mongthe Commission alleged misrepresented the risk of investing in the promissory notes sold by Liberty Bell and McKenzie the return investors would receive and the use of investor proceeds Most of the investors who bought promissory notes from Liberty Bell and McKenzie lost nearly their entire investment [SEC v Ted E Monget al SD Ohio Case No C2-96-989] (LR-15772)

DISTRICT COURT ENTERS DEFAULT JUDGMENT AGAINST RELIEF DEFENDANTS WHO RECEIVED PROCEEDS FROM WIRELESS CABLE FRAUD

The Commission announced that on May 29 1998 The Honorable StanleyS Harris United States District Judge for the District of Columbia granted the Commissions application for default judgmentagainst relief defendants Greg E Parker and Interactive Communications Network Ltd (ICN) and ordered them jointly and severally to disgorge $172250 plus prejudgment interest of $66089 The Court found that these sums represented the amount of Internet Broadcast Group (IBG) investor funds received by relief defendants as a result of the unlawful conduct of IBG and the other defendants

The Commissions complaint which was filed on September 26 1996 alleges that IBG and the other defendants violated the federal securities laws in connection with the offer and sale to the publicof securities designated as partnership units in IBG a purportedgeneral partnership formed to among other things develop a wireless cable system in Muskegon Michigan IBG was to acquire the licenses and certain hardware to operate the system from Parker and ICN Toward that end IBG paid $172250 of investor funds which was transferred to Parker and ICN However IBG investors received no rights in the Muskegon licenses or in the equipment installed in exchange for these payments nor any refund The Muskegon systemwas never developed The complaint alleged that the relief defendants Parker and ICN held these investor funds in a constructive trust for the benefit of investors [SEC v Internet Broadcast Group et al Civil Action No 96-2226 SSH DDC (LR-15778)

INSIDER TRADING ACTION FILED AGAINST CRAIG RYAN SPRADLING

The Commission announced that it filed a complaint against CraigRyan Spradling (Spradling) a 25 year old associate at the law firm of Cleary Gottlieb Steen amp Hamilton (Cleary) for insider tradingThe Commissions complaint alleges that Spradling purchased call options of Loctite Corp (Loctite) in October 1996 while in possession of material nonpublic information concerning the planned acquisition of Loctite by Henkel KGaA whom Cleary represented in the deal The complaint alleges that Spradlings conduct violates Sections 10(b) and 14(e) of the Securities Exchange Act of 1934 and Rules 10b-5 and 14e-3 The Commission seeks a permanent injunctiondisgorgement of Spradlings trading profits of $4931250 plusprejudgment interest and civil penalties The Commissions action remains pending [SEC v Craig Ryan Spradling 98 Civ 4117 MBMSDNY] (LR-15779)

SEC ANNOUNCES CRIMINAL CONVICTIONS AGAINST FIVE DEFENDANTS IN STOCK MANIPULATION CASE

The Commission announced that on June 10 after a ten-week criminal trial conducted by the United States Attorneys Office for the Southern District of New York Jeffrey Szur Elaine Szur Vadim Kaplun Cary Weinstein and David M Gold were convicted on chargesof (a) conspiracy to commit securities fraud wire fraud and commercial bribery (b) wire fraud (c) commercial bribery (d)creating false books and records for a registered broker-dealer and (e) money laundering The evidence at trial showed that the defendants engaged in a scheme to fraudulently sell approximately $6 million worth of publicly traded common stock that had been issued by Securitek International Corp (formerly known as U S Asset Corp) to unsuspecting retail customers of JS Securities Inc a registered broker-dealer Jeffrey Szur was the President of JS Securities Elaine Szur Jeffrey Szurs mother served as the compliance officer of JS Securities Kaplun Weinstein and Gold operated branch offices of JS Securities See Litigation Release No 15780 for a further description of the convictions

2 NEWS DIGEST June 12 1998

In December 1997 the Commission filed a civil complaint againstJeffrey Szur Slutsky JS Securities Kaplun Epstein WeinsteinGold Gray Alex Levin Diane Lakin Elaine Szur and George Elian concerning the Securitek fraud and related matters The Commissions action which alleges violations of the antifraud provisions of the Securities Act of 1933 and the Securities ExchangeAct of 1934 and other provisions of the securities laws remains pending See Litigation Release No 15595 for a further descriptionof the allegations contained in the Commissions civil complaint[US v Jeffrey Szur Elaine Szur Vadim Kaplun Cary Weinstein and

David M Gold S5 97 Cr 108 SDNY] (LR-15780)

CORRECTION

There was an error in the second paragraph of both the LitigationRelease and the Digest summary concerning Roger D Wyatt (US v Roger D Wyatt CR No 97-1268 CD Cal LR-15776) reported in the June 11 issue of the Digest The total amount of civil penaltiesassessed against Roger Wyatt was $15037500 not $20920521

SELF-REGULATORY ORGANIZATIONS

APPROVAL OF PROPOSED RULE CHANGE

The Commission approved a proposed rule change filed by the National Securities Clearing Corporation (SR-NSCC-97-07) that will modifyNSCCs membership standards to increase the minimum excess net capital requirement imposed on members (ReI 34-40081)

WITHDRAWAL SOUGHT

A notice has been issued giving interested persons until June 30 to comment on the application of GP Strategies Corporation to withdraw its Common Stock $01 Par Value from listing and registration on the American Stock Exchange (ReI 34-40079)

SECURITIES ACT REGISTRATIONS

The following registration statements have been filed with the SEC under the Securities Act of 1933 The reported information appearsas follows Form Name Address and Phone Number (if available) of the issuer of the security Title and the number andor face amount of the securities being offered Name of the managing underwriter or depositor (if applicable) File number and date filed AssignedBranch and a designation if the statement is a New Issue

Registration statements may be obtained in person or by writing to the Commissions Public Reference Branch at 450 Fifth Street NWWashington DC 20549 or at the following e-mail box address ltpublic info secgt In most cases this information is also

NEWS DIGEST June 12 1998 3

available on the Commissions website ltwwwsecgovgt

S-8 WIZTEC SOLUTIONS LTD 39 HAGALIM BLVD HERZLIA 46725 ISRAEL L3 (972) 959-8740 - 1090000 ($914254325) COMMON STOCK (FILE 333-8882 -

JUN 01) (BR 3)

S-8 PERLE SYSTEMS LTD 60 RENFREW DR MARKHAM ONTARIO CANA A6 (90S) 475-8885 - 668186 ($136179850) FOREIGN COMMON STOCK (FILE333-8894 - JUN 02) (BR 3)

F-6 SKYEPHARMA PLC ADR 48 WALL ST CO BANK OF NEW YORK NEW YORK NY 10286 (212) 495-1727 - 10000000 ($500000)DEPOSITARY RECEIPTS FOR COMMON STOCK (FILE 333-8896 - JUN 02) (BR 99 - NEW ISSUE)

F-l ELECTRIC INTERCONNECTION SA ESP CALLE 12 SUR NO 18-168 MADELLIN COLUMBIA F8 (574) 317-1331 - $100000000 STRAIGHT BONDS (FILE333-8898 - JUN 03) (BR 2 - NEW ISSUE)

F-l SKYEPHARMA FLC 105 PICADILLY LONDON WIV9FN ENGLAND LONDON (011) 441-7149 - $401200 FOREIGN COMMON STOCK (FILE 333-8906 - JUN 02)(BR 1 - NEW ISSUE)

S-1 MAXTOR CORP 510 COTTONWOOD DR MILPITAS CA 95035 (408) 432-4957 -$575000 000 COMMON STOCK (FILE 333-56099 - JUN 05) (BR 3)

SB-2 BUFFALO WILD WINGS INC 1919 INTERCHANGE TOWER 600 SOUTH HIGHWAY 169 MINNEAPOLIS MN 55426 (612) 593-9943 - 1725000 ($13800000)COMMON STOCK (FILE 333-56101 - JUN 05) (BR 9 -

S-8 PHOENIX TECHNOLOGIES LTD 411 E PLUMERIA DRIVE (408) 570-1000 - 950000 ($9114300) COMMON STOCK

JUN OS) (BR 3)

S-8 REPUBLIC BANKING CORP OF FLORIDA 2800 PONCE DO

NEW ISSUE)

SAN JOSE CA 95134 (FILE 333-56103 -

LEON BOULEVARD CORAL GABLES FL 33134 (305) 774-5191 - 1000000 ($15828000)COMMON STOCK (FILE 333-56105 - JUN OS) (BR 7)

SB-2 CRAWFORD EQUIPMENT amp ENGINEERING CO 436 WEST LANDSTREET ROAD ORLANDO FL 32824 (407) 647-2005 - 1000000 ($7250000) COMMON STOCK (FILE333-56107 - JUN 05) (BR 9)

S-8 ARCH COMMUNICATIONS GROUP INC DE 1800 W PARK DR STE 250 WESTBOROUGH MA 01581 (508) 870-6700 - 250000 ($125781250) COMMON STOCK (FILE 333-56109 - JUN 05) (BR 7)

S-8 AMERIANA BANCORP 2118 BUNDY AVE NEW CASTLE IN 47362 (317) 529-2230 -160000 ($3160000) COMMON STOCK (FILE 333-56111 - JUN 05) (BR 7)

S-8 RAYTHEON COl 141 SPRING STREET CO RAYTHEON CO LEXINGTON MA 02173 (781) 862-6600 - 1000000 ($52500000) COMMON STOCK (FILE 333-56117 -

JUN 05) (BR 5)

S-8 KEANE INC TEN CITY SQ BOSTON MA 02129 (617) 241-9200 - 2000000 ($87140000) COMMON STOCK (FILE 333-56119 - JUN 05) (BR 3)

S-8 CAREY DIVERSIFIED LLC SO ROCKEFELLER PLAZA 2ND FLOOR NEW YORK NY 10020 (212) 492-1100 - 500000 ($10825000) COMMON STOCK (FILE333-56121 - JUN

S-8 BIOANALYTICAL (317) 463-4527 -

JUN OS) (BR 1)

S-8 BULL RUN CORP

05) (BR 8)

SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 95000 ($736250) COMMON STOCK (FILE 333-56123 -

4370 PEACHTREE RD NE ATLANTA GA 30319 (404) 266-8333 -1000000 ($4660000) COMMON STOCK (FILE 333-56125 - JUN OS) (BR 3)

S-8 BIOANALYTICAL SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 (317) 463-4527 - 5000 ($38750) COMMON STOCK (FILE 333-56127 - JUN 05)(BR 1)

4 NEWS DIGEST June 12 1998

S-l SMITH C 0 DRUG CO 3907 SOUTH 48TH TERRACE POBOX 789 ST JOSEPH MO 64503 (816) 232-5471 - $98325000 COMMON STOCK (FILE 333-56129 -JUN 05) (BR 1)

S-8 EQUINOX SYSTEMS INC ONE EQUINOX WAY SUNRISE FL 33351 (954) 746-9000- 450000 ($10237500) COMMON STOCK (FILE 333 -56131 - JUN 05) (BR 3)

S-8 LUCENT TECHNOLOGIES INC 600 MOUNTAIN AVE MURRAY HILL NJ 07974 (908) 582-8500 - 1344994 ($2721998857) COMMON STOCK (FILE 333-56133 - JUN 05) (BR 7)

S-4 RIVER HOLDING CORP 599 LEXINGTON AVE 18TH FL NEW YORK NY 10022 (212) 958-2555 - 600000 ($30000000) STRAIGHT BONDS (FILE 333-56135 -

JUN 05) (BR 36 - NEW ISSUE)

S-8 CELLNET DATA SYSTEMS INC 125 SHOREWAY ROAD SAN CARLOS CA 94070 (415) 493-9300 - 2500000 ($23675000) COMMON STOCK (FILE 333-56137 -

JUN 05) (BR 7)

S-3 MED WASTE INC 6175 NW 153RD STREET SUITE 324 MIAMI LAKES FL 33014 (305) B19-8877 - 509656 ($340832450) COMMON STOCK (FILE 333-56139 -

JUN 05) (BR 6)

S-3 INTELLIGROUP INC 517 ROUTE 1 SOUTH ISELIN NJ 08830 (732) 750-1600 -351196 ($6806178 48) COMMON STOCK (FILE 333-56143 - JUN 05) (BR 9)

S-8 INTERLEAF INC MA 62 FOURTH AVE 9 HILLSIDE AVE WALTHAM MA 02154 (617) 290-0710 - 2250000 ($5712500) COMMON STOCK (FILE 333-56145 -

JUN 05) (BR 3)

S-8 XXSYS TECHNOLOGIES INC CA 4619 VIEWRIDGE AVE SAN DIEGO CA 92123 (619) 974-8200 - 1900000 ($855000) COMMON STOCK (FILE 333-56147 -

JUN 05) (BR 1)

S-8 TOTAL RENAL CARE HOLDINGS INC 21250 HAWTHORNE BLVD SIE 800 TORRANCE CA 90503 (310) 792-2600 - 3000000 ($93003000) COMMON STOCK (FILE333-56149 - JUN 05) (BR 1)

S-8 PANTHER RESOURCES LTD 1111 W HASTINGS ST 211 SUITE 150 VANCOUVER Al 84101 (801) 272-2457 - 300000 ($191400) COMMON STOCK (FILE 333-56151 -JUN 05) (BR 4)

S-4 REUNION INDUSTRIES INC ONE STAMFORD LANDING 62 SOUTHFIELD AVE STAMFORD CT 06902 (203) 324-8858 - 2474 ($824) COMMON STOCK (FILE333-56153 - JUN 05) (BR 4)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110 SAN DIEGO CA 92121 ((50) 3)2-26-1 - 666664 ($1104162250) COMMON STOCK (FILE 333-56155 - JUN 05) (BR 1)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110

SAN DIEGO CA 92121 ((50) 3)2-26-1 - 2760690 ($4572392812)COMMON STOCK (FILE 333-56157 - JUN 05) (BR 1)

S-8 SEMPRA ENERGY 101ASH STREET POBOX 129400 SAN DIEGO CA 92112 (619) 239-7700 - 64000000 ($1692160000) COMMON STOCK (FILE333-56161 - JUN 05) (BR 2)

S-8 COMPX INTERNATIONAL INC 200 OLD MILL RD MAULDIN SC 29662 (864) 297-6655 - 500000 ($11687500) COMMON STOCK (FILE 333-56163 -

JUN 05) (BR 6)

S-8 EQUITY RESIDENTIAL PROPERTIES TRUST TWO N RIVERSIDE PLZ STE 400 CHICAGO IL 60606 (312) 474-1300 - 2400000 ($117450000)CONVERTIBLE PREFERRED SHARE OF BENEFICIAL INTEREST (FILE 333-56165 -JUN 05) (BR 8)

S-4 GREAT LAKES MERGER TRUST 823 COMMERCE DRIVE SUITE 300 OAK BROOK IL 60523 (630) 368-2900 - $325316037 COMMON STOCK (FILE 333-56167 -JUN 05) (NEW ISSUE)

S-8 USB HOLDING CO INC 100 DUTCH HILL RD ORANGEBURG NY 10962 (914) 365-4600 - 400000 ($8288000) COMMON STOCK (FILE 333-56169 -

NEWS DIGEST June 12 1998 5

JUN OS) (BR 7)

S-8 QUADRAMED CORP QUADRAMED CORP 80 E SIR FRANCIS DRAKE BLVD STE 2A LARKSPUR CA 94939 (415) 461-7725 - 555695 ($1030305672) COMMON STOCK (FILE 333-56171 - JUN OS) (BR 9)

S-2 ALLIED DIGITAL INC 140 FELL COURT HAUPPAUGE NY 11788 (516) 232-2323 - 100000000 ($100000000) STRAIGHT BONDS (FILE 333-56173 - JUN OS)(NEW ISSUE)

S-1 PEOPLES BANCORPORATION INC SC 1800 E MAIN STREET EASLEY SC 29640 (803) 859-2265 - 400000 ($5200000) COMMON STOCK (FILE 333-56175 -

JUN 05) (BR 7)

S-8 VERTEX PHARMACEUTICALS INC MA 130 WAVERLY STREET CAMBRIDGE MA 02139 (616) 577-6000 - 1250000 ($35507812 50) COMMON STOCK (FILE 333-56179 - JUN 05) (BR 1)

S-4 SECURITY FIRST TECHNOLOGIES CORP 3390 PEACHTREE ROAD NE SUITE 1700 ATLANTA GA 30326 (404) 812-6300 - 10814215 ($10611448468)COMMON STOCK (FILE 333-56181 - JUN 05) (NEW ISSUE)

S-8 EXTEN INDUSTRIES INC 9625 BLACK MOUNTAIN RD STE 218 SAN DIEGO CA 92126 (619) 578-9784 - 275000 ($19250) COMMON STOCK (FILE 333-56183 -JUN 05) (BR 7)

S-8 ASSOCIATED GROUP INC 200 GATEWAY TOWERS PITTSBURGH PA 15222 (412) 281-1907 - 1727438 ($465804724) COMMON STOCK (FILE 333-56185 -

JUN 05) (BR 7)

S-8 ICT GROUP INC 800 TOWN CENTER DR LANGHORNE PA 19047 (215) 757-0200 -2020975 ($972594218) COMMON STOCK (FILE 333-56187 - JUN 05)(BR 8)

S-8 TRIANGLE PHARMACEUTICALS INC 4 UNIVERSITY PLACE 4611 UNIVERSITY DRIVE DURHAM NC 27707 (919) 493-5980 - 1000000 ($16062500) COMMON STOCK (FILE 333-56189 - JUN 05) (BR 1)

S-3 FIRSTENERGY CORP 76 SOUTH MAIN ST AKRON OH 44308 (800) 736-3402 -3905589 ($118754315 SO) COMMON STOCK (FILE 333-56191 - JUN 05)(BR 2)

S-8 CKS GROUP INC 10441 BANDLEY DR CUPERTINO CA 95014 (408) 365-5100 -400000 ($7600000) COMMON STOCK (FILE 333-56193 - JUN 05) (BR 8)

S-8 TEAM AMERICA CORPORATION 110 E WILSON BRIDGE RD WORTHINGTON OH 43085 (614) 848-3995 - 450000 ($5062500) COMMON STOCK (FILE 333-56195 -JUN 05) (BR 8)

SB-2 MERRILL MERCHANTS BANCSHARES INC 201 MAIN ST BANGOR ME 04401 (207) 942-4800 - $9660000 COMMON STOCK (FILE 333-56197 - JUN OS)

S-8 WALLACE COMPUTER SERVICES INC 2275 CABOT DRIVE LISLE IL 60532 (633) 588-5000 - 4982076 ($12624580584) COMMON STOCK (FILE333-56199 - JUN 05) (BR 5)

8-1 HOSPITALITY MARKETING CONCEPTS INC 15751 ROCKFIELD BOULEVARD SUITE 200 IRVINE CA 92718 (949) 454-1800 - $48000000 COMMON STOCK (FILE 333-56201 - JUN 05) (NEW ISSUE)

S-8 HOME DEPOT INC 2455 PACES FERRY ROAD ATLANTA GA 30339 (770) -43-3-82 - 15000 ($1412812 50) COMMON STOCK (FILE 333-56207 - JUN OS) (BR 6)

S-4 OLD KENT FINANCIAL CORP MI ONE VANDENBERG CTR 111 LYON ST NW GRAND RAPIDS MI 49503 (616) 771-5000 - 2500000 ($97812500)COMMON STOCK (FILE 333-56209 - JUN 05) (BR 7)

S-8 EGGHEAD INC WA 22705 EAST MISSION LIBERTY LAKE WA 99019 (509) 922-7031 - 1025000 ($7431250) COMMON STOCK (FILE 333-56211 -

JUN 05) (BR 3)

S-3 ACE SECURITIES CORP 6707 FAIRVIEW ROAD SUITE D CHARLOTTE NC 28210

6 NEWS DIGEST June 12 1998

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 2: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

The Commissions complaint which was filed on September 26 1996 alleges that IBG and the other defendants violated the federal securities laws in connection with the offer and sale to the publicof securities designated as partnership units in IBG a purportedgeneral partnership formed to among other things develop a wireless cable system in Muskegon Michigan IBG was to acquire the licenses and certain hardware to operate the system from Parker and ICN Toward that end IBG paid $172250 of investor funds which was transferred to Parker and ICN However IBG investors received no rights in the Muskegon licenses or in the equipment installed in exchange for these payments nor any refund The Muskegon systemwas never developed The complaint alleged that the relief defendants Parker and ICN held these investor funds in a constructive trust for the benefit of investors [SEC v Internet Broadcast Group et al Civil Action No 96-2226 SSH DDC (LR-15778)

INSIDER TRADING ACTION FILED AGAINST CRAIG RYAN SPRADLING

The Commission announced that it filed a complaint against CraigRyan Spradling (Spradling) a 25 year old associate at the law firm of Cleary Gottlieb Steen amp Hamilton (Cleary) for insider tradingThe Commissions complaint alleges that Spradling purchased call options of Loctite Corp (Loctite) in October 1996 while in possession of material nonpublic information concerning the planned acquisition of Loctite by Henkel KGaA whom Cleary represented in the deal The complaint alleges that Spradlings conduct violates Sections 10(b) and 14(e) of the Securities Exchange Act of 1934 and Rules 10b-5 and 14e-3 The Commission seeks a permanent injunctiondisgorgement of Spradlings trading profits of $4931250 plusprejudgment interest and civil penalties The Commissions action remains pending [SEC v Craig Ryan Spradling 98 Civ 4117 MBMSDNY] (LR-15779)

SEC ANNOUNCES CRIMINAL CONVICTIONS AGAINST FIVE DEFENDANTS IN STOCK MANIPULATION CASE

The Commission announced that on June 10 after a ten-week criminal trial conducted by the United States Attorneys Office for the Southern District of New York Jeffrey Szur Elaine Szur Vadim Kaplun Cary Weinstein and David M Gold were convicted on chargesof (a) conspiracy to commit securities fraud wire fraud and commercial bribery (b) wire fraud (c) commercial bribery (d)creating false books and records for a registered broker-dealer and (e) money laundering The evidence at trial showed that the defendants engaged in a scheme to fraudulently sell approximately $6 million worth of publicly traded common stock that had been issued by Securitek International Corp (formerly known as U S Asset Corp) to unsuspecting retail customers of JS Securities Inc a registered broker-dealer Jeffrey Szur was the President of JS Securities Elaine Szur Jeffrey Szurs mother served as the compliance officer of JS Securities Kaplun Weinstein and Gold operated branch offices of JS Securities See Litigation Release No 15780 for a further description of the convictions

2 NEWS DIGEST June 12 1998

In December 1997 the Commission filed a civil complaint againstJeffrey Szur Slutsky JS Securities Kaplun Epstein WeinsteinGold Gray Alex Levin Diane Lakin Elaine Szur and George Elian concerning the Securitek fraud and related matters The Commissions action which alleges violations of the antifraud provisions of the Securities Act of 1933 and the Securities ExchangeAct of 1934 and other provisions of the securities laws remains pending See Litigation Release No 15595 for a further descriptionof the allegations contained in the Commissions civil complaint[US v Jeffrey Szur Elaine Szur Vadim Kaplun Cary Weinstein and

David M Gold S5 97 Cr 108 SDNY] (LR-15780)

CORRECTION

There was an error in the second paragraph of both the LitigationRelease and the Digest summary concerning Roger D Wyatt (US v Roger D Wyatt CR No 97-1268 CD Cal LR-15776) reported in the June 11 issue of the Digest The total amount of civil penaltiesassessed against Roger Wyatt was $15037500 not $20920521

SELF-REGULATORY ORGANIZATIONS

APPROVAL OF PROPOSED RULE CHANGE

The Commission approved a proposed rule change filed by the National Securities Clearing Corporation (SR-NSCC-97-07) that will modifyNSCCs membership standards to increase the minimum excess net capital requirement imposed on members (ReI 34-40081)

WITHDRAWAL SOUGHT

A notice has been issued giving interested persons until June 30 to comment on the application of GP Strategies Corporation to withdraw its Common Stock $01 Par Value from listing and registration on the American Stock Exchange (ReI 34-40079)

SECURITIES ACT REGISTRATIONS

The following registration statements have been filed with the SEC under the Securities Act of 1933 The reported information appearsas follows Form Name Address and Phone Number (if available) of the issuer of the security Title and the number andor face amount of the securities being offered Name of the managing underwriter or depositor (if applicable) File number and date filed AssignedBranch and a designation if the statement is a New Issue

Registration statements may be obtained in person or by writing to the Commissions Public Reference Branch at 450 Fifth Street NWWashington DC 20549 or at the following e-mail box address ltpublic info secgt In most cases this information is also

NEWS DIGEST June 12 1998 3

available on the Commissions website ltwwwsecgovgt

S-8 WIZTEC SOLUTIONS LTD 39 HAGALIM BLVD HERZLIA 46725 ISRAEL L3 (972) 959-8740 - 1090000 ($914254325) COMMON STOCK (FILE 333-8882 -

JUN 01) (BR 3)

S-8 PERLE SYSTEMS LTD 60 RENFREW DR MARKHAM ONTARIO CANA A6 (90S) 475-8885 - 668186 ($136179850) FOREIGN COMMON STOCK (FILE333-8894 - JUN 02) (BR 3)

F-6 SKYEPHARMA PLC ADR 48 WALL ST CO BANK OF NEW YORK NEW YORK NY 10286 (212) 495-1727 - 10000000 ($500000)DEPOSITARY RECEIPTS FOR COMMON STOCK (FILE 333-8896 - JUN 02) (BR 99 - NEW ISSUE)

F-l ELECTRIC INTERCONNECTION SA ESP CALLE 12 SUR NO 18-168 MADELLIN COLUMBIA F8 (574) 317-1331 - $100000000 STRAIGHT BONDS (FILE333-8898 - JUN 03) (BR 2 - NEW ISSUE)

F-l SKYEPHARMA FLC 105 PICADILLY LONDON WIV9FN ENGLAND LONDON (011) 441-7149 - $401200 FOREIGN COMMON STOCK (FILE 333-8906 - JUN 02)(BR 1 - NEW ISSUE)

S-1 MAXTOR CORP 510 COTTONWOOD DR MILPITAS CA 95035 (408) 432-4957 -$575000 000 COMMON STOCK (FILE 333-56099 - JUN 05) (BR 3)

SB-2 BUFFALO WILD WINGS INC 1919 INTERCHANGE TOWER 600 SOUTH HIGHWAY 169 MINNEAPOLIS MN 55426 (612) 593-9943 - 1725000 ($13800000)COMMON STOCK (FILE 333-56101 - JUN 05) (BR 9 -

S-8 PHOENIX TECHNOLOGIES LTD 411 E PLUMERIA DRIVE (408) 570-1000 - 950000 ($9114300) COMMON STOCK

JUN OS) (BR 3)

S-8 REPUBLIC BANKING CORP OF FLORIDA 2800 PONCE DO

NEW ISSUE)

SAN JOSE CA 95134 (FILE 333-56103 -

LEON BOULEVARD CORAL GABLES FL 33134 (305) 774-5191 - 1000000 ($15828000)COMMON STOCK (FILE 333-56105 - JUN OS) (BR 7)

SB-2 CRAWFORD EQUIPMENT amp ENGINEERING CO 436 WEST LANDSTREET ROAD ORLANDO FL 32824 (407) 647-2005 - 1000000 ($7250000) COMMON STOCK (FILE333-56107 - JUN 05) (BR 9)

S-8 ARCH COMMUNICATIONS GROUP INC DE 1800 W PARK DR STE 250 WESTBOROUGH MA 01581 (508) 870-6700 - 250000 ($125781250) COMMON STOCK (FILE 333-56109 - JUN 05) (BR 7)

S-8 AMERIANA BANCORP 2118 BUNDY AVE NEW CASTLE IN 47362 (317) 529-2230 -160000 ($3160000) COMMON STOCK (FILE 333-56111 - JUN 05) (BR 7)

S-8 RAYTHEON COl 141 SPRING STREET CO RAYTHEON CO LEXINGTON MA 02173 (781) 862-6600 - 1000000 ($52500000) COMMON STOCK (FILE 333-56117 -

JUN 05) (BR 5)

S-8 KEANE INC TEN CITY SQ BOSTON MA 02129 (617) 241-9200 - 2000000 ($87140000) COMMON STOCK (FILE 333-56119 - JUN 05) (BR 3)

S-8 CAREY DIVERSIFIED LLC SO ROCKEFELLER PLAZA 2ND FLOOR NEW YORK NY 10020 (212) 492-1100 - 500000 ($10825000) COMMON STOCK (FILE333-56121 - JUN

S-8 BIOANALYTICAL (317) 463-4527 -

JUN OS) (BR 1)

S-8 BULL RUN CORP

05) (BR 8)

SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 95000 ($736250) COMMON STOCK (FILE 333-56123 -

4370 PEACHTREE RD NE ATLANTA GA 30319 (404) 266-8333 -1000000 ($4660000) COMMON STOCK (FILE 333-56125 - JUN OS) (BR 3)

S-8 BIOANALYTICAL SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 (317) 463-4527 - 5000 ($38750) COMMON STOCK (FILE 333-56127 - JUN 05)(BR 1)

4 NEWS DIGEST June 12 1998

S-l SMITH C 0 DRUG CO 3907 SOUTH 48TH TERRACE POBOX 789 ST JOSEPH MO 64503 (816) 232-5471 - $98325000 COMMON STOCK (FILE 333-56129 -JUN 05) (BR 1)

S-8 EQUINOX SYSTEMS INC ONE EQUINOX WAY SUNRISE FL 33351 (954) 746-9000- 450000 ($10237500) COMMON STOCK (FILE 333 -56131 - JUN 05) (BR 3)

S-8 LUCENT TECHNOLOGIES INC 600 MOUNTAIN AVE MURRAY HILL NJ 07974 (908) 582-8500 - 1344994 ($2721998857) COMMON STOCK (FILE 333-56133 - JUN 05) (BR 7)

S-4 RIVER HOLDING CORP 599 LEXINGTON AVE 18TH FL NEW YORK NY 10022 (212) 958-2555 - 600000 ($30000000) STRAIGHT BONDS (FILE 333-56135 -

JUN 05) (BR 36 - NEW ISSUE)

S-8 CELLNET DATA SYSTEMS INC 125 SHOREWAY ROAD SAN CARLOS CA 94070 (415) 493-9300 - 2500000 ($23675000) COMMON STOCK (FILE 333-56137 -

JUN 05) (BR 7)

S-3 MED WASTE INC 6175 NW 153RD STREET SUITE 324 MIAMI LAKES FL 33014 (305) B19-8877 - 509656 ($340832450) COMMON STOCK (FILE 333-56139 -

JUN 05) (BR 6)

S-3 INTELLIGROUP INC 517 ROUTE 1 SOUTH ISELIN NJ 08830 (732) 750-1600 -351196 ($6806178 48) COMMON STOCK (FILE 333-56143 - JUN 05) (BR 9)

S-8 INTERLEAF INC MA 62 FOURTH AVE 9 HILLSIDE AVE WALTHAM MA 02154 (617) 290-0710 - 2250000 ($5712500) COMMON STOCK (FILE 333-56145 -

JUN 05) (BR 3)

S-8 XXSYS TECHNOLOGIES INC CA 4619 VIEWRIDGE AVE SAN DIEGO CA 92123 (619) 974-8200 - 1900000 ($855000) COMMON STOCK (FILE 333-56147 -

JUN 05) (BR 1)

S-8 TOTAL RENAL CARE HOLDINGS INC 21250 HAWTHORNE BLVD SIE 800 TORRANCE CA 90503 (310) 792-2600 - 3000000 ($93003000) COMMON STOCK (FILE333-56149 - JUN 05) (BR 1)

S-8 PANTHER RESOURCES LTD 1111 W HASTINGS ST 211 SUITE 150 VANCOUVER Al 84101 (801) 272-2457 - 300000 ($191400) COMMON STOCK (FILE 333-56151 -JUN 05) (BR 4)

S-4 REUNION INDUSTRIES INC ONE STAMFORD LANDING 62 SOUTHFIELD AVE STAMFORD CT 06902 (203) 324-8858 - 2474 ($824) COMMON STOCK (FILE333-56153 - JUN 05) (BR 4)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110 SAN DIEGO CA 92121 ((50) 3)2-26-1 - 666664 ($1104162250) COMMON STOCK (FILE 333-56155 - JUN 05) (BR 1)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110

SAN DIEGO CA 92121 ((50) 3)2-26-1 - 2760690 ($4572392812)COMMON STOCK (FILE 333-56157 - JUN 05) (BR 1)

S-8 SEMPRA ENERGY 101ASH STREET POBOX 129400 SAN DIEGO CA 92112 (619) 239-7700 - 64000000 ($1692160000) COMMON STOCK (FILE333-56161 - JUN 05) (BR 2)

S-8 COMPX INTERNATIONAL INC 200 OLD MILL RD MAULDIN SC 29662 (864) 297-6655 - 500000 ($11687500) COMMON STOCK (FILE 333-56163 -

JUN 05) (BR 6)

S-8 EQUITY RESIDENTIAL PROPERTIES TRUST TWO N RIVERSIDE PLZ STE 400 CHICAGO IL 60606 (312) 474-1300 - 2400000 ($117450000)CONVERTIBLE PREFERRED SHARE OF BENEFICIAL INTEREST (FILE 333-56165 -JUN 05) (BR 8)

S-4 GREAT LAKES MERGER TRUST 823 COMMERCE DRIVE SUITE 300 OAK BROOK IL 60523 (630) 368-2900 - $325316037 COMMON STOCK (FILE 333-56167 -JUN 05) (NEW ISSUE)

S-8 USB HOLDING CO INC 100 DUTCH HILL RD ORANGEBURG NY 10962 (914) 365-4600 - 400000 ($8288000) COMMON STOCK (FILE 333-56169 -

NEWS DIGEST June 12 1998 5

JUN OS) (BR 7)

S-8 QUADRAMED CORP QUADRAMED CORP 80 E SIR FRANCIS DRAKE BLVD STE 2A LARKSPUR CA 94939 (415) 461-7725 - 555695 ($1030305672) COMMON STOCK (FILE 333-56171 - JUN OS) (BR 9)

S-2 ALLIED DIGITAL INC 140 FELL COURT HAUPPAUGE NY 11788 (516) 232-2323 - 100000000 ($100000000) STRAIGHT BONDS (FILE 333-56173 - JUN OS)(NEW ISSUE)

S-1 PEOPLES BANCORPORATION INC SC 1800 E MAIN STREET EASLEY SC 29640 (803) 859-2265 - 400000 ($5200000) COMMON STOCK (FILE 333-56175 -

JUN 05) (BR 7)

S-8 VERTEX PHARMACEUTICALS INC MA 130 WAVERLY STREET CAMBRIDGE MA 02139 (616) 577-6000 - 1250000 ($35507812 50) COMMON STOCK (FILE 333-56179 - JUN 05) (BR 1)

S-4 SECURITY FIRST TECHNOLOGIES CORP 3390 PEACHTREE ROAD NE SUITE 1700 ATLANTA GA 30326 (404) 812-6300 - 10814215 ($10611448468)COMMON STOCK (FILE 333-56181 - JUN 05) (NEW ISSUE)

S-8 EXTEN INDUSTRIES INC 9625 BLACK MOUNTAIN RD STE 218 SAN DIEGO CA 92126 (619) 578-9784 - 275000 ($19250) COMMON STOCK (FILE 333-56183 -JUN 05) (BR 7)

S-8 ASSOCIATED GROUP INC 200 GATEWAY TOWERS PITTSBURGH PA 15222 (412) 281-1907 - 1727438 ($465804724) COMMON STOCK (FILE 333-56185 -

JUN 05) (BR 7)

S-8 ICT GROUP INC 800 TOWN CENTER DR LANGHORNE PA 19047 (215) 757-0200 -2020975 ($972594218) COMMON STOCK (FILE 333-56187 - JUN 05)(BR 8)

S-8 TRIANGLE PHARMACEUTICALS INC 4 UNIVERSITY PLACE 4611 UNIVERSITY DRIVE DURHAM NC 27707 (919) 493-5980 - 1000000 ($16062500) COMMON STOCK (FILE 333-56189 - JUN 05) (BR 1)

S-3 FIRSTENERGY CORP 76 SOUTH MAIN ST AKRON OH 44308 (800) 736-3402 -3905589 ($118754315 SO) COMMON STOCK (FILE 333-56191 - JUN 05)(BR 2)

S-8 CKS GROUP INC 10441 BANDLEY DR CUPERTINO CA 95014 (408) 365-5100 -400000 ($7600000) COMMON STOCK (FILE 333-56193 - JUN 05) (BR 8)

S-8 TEAM AMERICA CORPORATION 110 E WILSON BRIDGE RD WORTHINGTON OH 43085 (614) 848-3995 - 450000 ($5062500) COMMON STOCK (FILE 333-56195 -JUN 05) (BR 8)

SB-2 MERRILL MERCHANTS BANCSHARES INC 201 MAIN ST BANGOR ME 04401 (207) 942-4800 - $9660000 COMMON STOCK (FILE 333-56197 - JUN OS)

S-8 WALLACE COMPUTER SERVICES INC 2275 CABOT DRIVE LISLE IL 60532 (633) 588-5000 - 4982076 ($12624580584) COMMON STOCK (FILE333-56199 - JUN 05) (BR 5)

8-1 HOSPITALITY MARKETING CONCEPTS INC 15751 ROCKFIELD BOULEVARD SUITE 200 IRVINE CA 92718 (949) 454-1800 - $48000000 COMMON STOCK (FILE 333-56201 - JUN 05) (NEW ISSUE)

S-8 HOME DEPOT INC 2455 PACES FERRY ROAD ATLANTA GA 30339 (770) -43-3-82 - 15000 ($1412812 50) COMMON STOCK (FILE 333-56207 - JUN OS) (BR 6)

S-4 OLD KENT FINANCIAL CORP MI ONE VANDENBERG CTR 111 LYON ST NW GRAND RAPIDS MI 49503 (616) 771-5000 - 2500000 ($97812500)COMMON STOCK (FILE 333-56209 - JUN 05) (BR 7)

S-8 EGGHEAD INC WA 22705 EAST MISSION LIBERTY LAKE WA 99019 (509) 922-7031 - 1025000 ($7431250) COMMON STOCK (FILE 333-56211 -

JUN 05) (BR 3)

S-3 ACE SECURITIES CORP 6707 FAIRVIEW ROAD SUITE D CHARLOTTE NC 28210

6 NEWS DIGEST June 12 1998

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 3: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

In December 1997 the Commission filed a civil complaint againstJeffrey Szur Slutsky JS Securities Kaplun Epstein WeinsteinGold Gray Alex Levin Diane Lakin Elaine Szur and George Elian concerning the Securitek fraud and related matters The Commissions action which alleges violations of the antifraud provisions of the Securities Act of 1933 and the Securities ExchangeAct of 1934 and other provisions of the securities laws remains pending See Litigation Release No 15595 for a further descriptionof the allegations contained in the Commissions civil complaint[US v Jeffrey Szur Elaine Szur Vadim Kaplun Cary Weinstein and

David M Gold S5 97 Cr 108 SDNY] (LR-15780)

CORRECTION

There was an error in the second paragraph of both the LitigationRelease and the Digest summary concerning Roger D Wyatt (US v Roger D Wyatt CR No 97-1268 CD Cal LR-15776) reported in the June 11 issue of the Digest The total amount of civil penaltiesassessed against Roger Wyatt was $15037500 not $20920521

SELF-REGULATORY ORGANIZATIONS

APPROVAL OF PROPOSED RULE CHANGE

The Commission approved a proposed rule change filed by the National Securities Clearing Corporation (SR-NSCC-97-07) that will modifyNSCCs membership standards to increase the minimum excess net capital requirement imposed on members (ReI 34-40081)

WITHDRAWAL SOUGHT

A notice has been issued giving interested persons until June 30 to comment on the application of GP Strategies Corporation to withdraw its Common Stock $01 Par Value from listing and registration on the American Stock Exchange (ReI 34-40079)

SECURITIES ACT REGISTRATIONS

The following registration statements have been filed with the SEC under the Securities Act of 1933 The reported information appearsas follows Form Name Address and Phone Number (if available) of the issuer of the security Title and the number andor face amount of the securities being offered Name of the managing underwriter or depositor (if applicable) File number and date filed AssignedBranch and a designation if the statement is a New Issue

Registration statements may be obtained in person or by writing to the Commissions Public Reference Branch at 450 Fifth Street NWWashington DC 20549 or at the following e-mail box address ltpublic info secgt In most cases this information is also

NEWS DIGEST June 12 1998 3

available on the Commissions website ltwwwsecgovgt

S-8 WIZTEC SOLUTIONS LTD 39 HAGALIM BLVD HERZLIA 46725 ISRAEL L3 (972) 959-8740 - 1090000 ($914254325) COMMON STOCK (FILE 333-8882 -

JUN 01) (BR 3)

S-8 PERLE SYSTEMS LTD 60 RENFREW DR MARKHAM ONTARIO CANA A6 (90S) 475-8885 - 668186 ($136179850) FOREIGN COMMON STOCK (FILE333-8894 - JUN 02) (BR 3)

F-6 SKYEPHARMA PLC ADR 48 WALL ST CO BANK OF NEW YORK NEW YORK NY 10286 (212) 495-1727 - 10000000 ($500000)DEPOSITARY RECEIPTS FOR COMMON STOCK (FILE 333-8896 - JUN 02) (BR 99 - NEW ISSUE)

F-l ELECTRIC INTERCONNECTION SA ESP CALLE 12 SUR NO 18-168 MADELLIN COLUMBIA F8 (574) 317-1331 - $100000000 STRAIGHT BONDS (FILE333-8898 - JUN 03) (BR 2 - NEW ISSUE)

F-l SKYEPHARMA FLC 105 PICADILLY LONDON WIV9FN ENGLAND LONDON (011) 441-7149 - $401200 FOREIGN COMMON STOCK (FILE 333-8906 - JUN 02)(BR 1 - NEW ISSUE)

S-1 MAXTOR CORP 510 COTTONWOOD DR MILPITAS CA 95035 (408) 432-4957 -$575000 000 COMMON STOCK (FILE 333-56099 - JUN 05) (BR 3)

SB-2 BUFFALO WILD WINGS INC 1919 INTERCHANGE TOWER 600 SOUTH HIGHWAY 169 MINNEAPOLIS MN 55426 (612) 593-9943 - 1725000 ($13800000)COMMON STOCK (FILE 333-56101 - JUN 05) (BR 9 -

S-8 PHOENIX TECHNOLOGIES LTD 411 E PLUMERIA DRIVE (408) 570-1000 - 950000 ($9114300) COMMON STOCK

JUN OS) (BR 3)

S-8 REPUBLIC BANKING CORP OF FLORIDA 2800 PONCE DO

NEW ISSUE)

SAN JOSE CA 95134 (FILE 333-56103 -

LEON BOULEVARD CORAL GABLES FL 33134 (305) 774-5191 - 1000000 ($15828000)COMMON STOCK (FILE 333-56105 - JUN OS) (BR 7)

SB-2 CRAWFORD EQUIPMENT amp ENGINEERING CO 436 WEST LANDSTREET ROAD ORLANDO FL 32824 (407) 647-2005 - 1000000 ($7250000) COMMON STOCK (FILE333-56107 - JUN 05) (BR 9)

S-8 ARCH COMMUNICATIONS GROUP INC DE 1800 W PARK DR STE 250 WESTBOROUGH MA 01581 (508) 870-6700 - 250000 ($125781250) COMMON STOCK (FILE 333-56109 - JUN 05) (BR 7)

S-8 AMERIANA BANCORP 2118 BUNDY AVE NEW CASTLE IN 47362 (317) 529-2230 -160000 ($3160000) COMMON STOCK (FILE 333-56111 - JUN 05) (BR 7)

S-8 RAYTHEON COl 141 SPRING STREET CO RAYTHEON CO LEXINGTON MA 02173 (781) 862-6600 - 1000000 ($52500000) COMMON STOCK (FILE 333-56117 -

JUN 05) (BR 5)

S-8 KEANE INC TEN CITY SQ BOSTON MA 02129 (617) 241-9200 - 2000000 ($87140000) COMMON STOCK (FILE 333-56119 - JUN 05) (BR 3)

S-8 CAREY DIVERSIFIED LLC SO ROCKEFELLER PLAZA 2ND FLOOR NEW YORK NY 10020 (212) 492-1100 - 500000 ($10825000) COMMON STOCK (FILE333-56121 - JUN

S-8 BIOANALYTICAL (317) 463-4527 -

JUN OS) (BR 1)

S-8 BULL RUN CORP

05) (BR 8)

SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 95000 ($736250) COMMON STOCK (FILE 333-56123 -

4370 PEACHTREE RD NE ATLANTA GA 30319 (404) 266-8333 -1000000 ($4660000) COMMON STOCK (FILE 333-56125 - JUN OS) (BR 3)

S-8 BIOANALYTICAL SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 (317) 463-4527 - 5000 ($38750) COMMON STOCK (FILE 333-56127 - JUN 05)(BR 1)

4 NEWS DIGEST June 12 1998

S-l SMITH C 0 DRUG CO 3907 SOUTH 48TH TERRACE POBOX 789 ST JOSEPH MO 64503 (816) 232-5471 - $98325000 COMMON STOCK (FILE 333-56129 -JUN 05) (BR 1)

S-8 EQUINOX SYSTEMS INC ONE EQUINOX WAY SUNRISE FL 33351 (954) 746-9000- 450000 ($10237500) COMMON STOCK (FILE 333 -56131 - JUN 05) (BR 3)

S-8 LUCENT TECHNOLOGIES INC 600 MOUNTAIN AVE MURRAY HILL NJ 07974 (908) 582-8500 - 1344994 ($2721998857) COMMON STOCK (FILE 333-56133 - JUN 05) (BR 7)

S-4 RIVER HOLDING CORP 599 LEXINGTON AVE 18TH FL NEW YORK NY 10022 (212) 958-2555 - 600000 ($30000000) STRAIGHT BONDS (FILE 333-56135 -

JUN 05) (BR 36 - NEW ISSUE)

S-8 CELLNET DATA SYSTEMS INC 125 SHOREWAY ROAD SAN CARLOS CA 94070 (415) 493-9300 - 2500000 ($23675000) COMMON STOCK (FILE 333-56137 -

JUN 05) (BR 7)

S-3 MED WASTE INC 6175 NW 153RD STREET SUITE 324 MIAMI LAKES FL 33014 (305) B19-8877 - 509656 ($340832450) COMMON STOCK (FILE 333-56139 -

JUN 05) (BR 6)

S-3 INTELLIGROUP INC 517 ROUTE 1 SOUTH ISELIN NJ 08830 (732) 750-1600 -351196 ($6806178 48) COMMON STOCK (FILE 333-56143 - JUN 05) (BR 9)

S-8 INTERLEAF INC MA 62 FOURTH AVE 9 HILLSIDE AVE WALTHAM MA 02154 (617) 290-0710 - 2250000 ($5712500) COMMON STOCK (FILE 333-56145 -

JUN 05) (BR 3)

S-8 XXSYS TECHNOLOGIES INC CA 4619 VIEWRIDGE AVE SAN DIEGO CA 92123 (619) 974-8200 - 1900000 ($855000) COMMON STOCK (FILE 333-56147 -

JUN 05) (BR 1)

S-8 TOTAL RENAL CARE HOLDINGS INC 21250 HAWTHORNE BLVD SIE 800 TORRANCE CA 90503 (310) 792-2600 - 3000000 ($93003000) COMMON STOCK (FILE333-56149 - JUN 05) (BR 1)

S-8 PANTHER RESOURCES LTD 1111 W HASTINGS ST 211 SUITE 150 VANCOUVER Al 84101 (801) 272-2457 - 300000 ($191400) COMMON STOCK (FILE 333-56151 -JUN 05) (BR 4)

S-4 REUNION INDUSTRIES INC ONE STAMFORD LANDING 62 SOUTHFIELD AVE STAMFORD CT 06902 (203) 324-8858 - 2474 ($824) COMMON STOCK (FILE333-56153 - JUN 05) (BR 4)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110 SAN DIEGO CA 92121 ((50) 3)2-26-1 - 666664 ($1104162250) COMMON STOCK (FILE 333-56155 - JUN 05) (BR 1)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110

SAN DIEGO CA 92121 ((50) 3)2-26-1 - 2760690 ($4572392812)COMMON STOCK (FILE 333-56157 - JUN 05) (BR 1)

S-8 SEMPRA ENERGY 101ASH STREET POBOX 129400 SAN DIEGO CA 92112 (619) 239-7700 - 64000000 ($1692160000) COMMON STOCK (FILE333-56161 - JUN 05) (BR 2)

S-8 COMPX INTERNATIONAL INC 200 OLD MILL RD MAULDIN SC 29662 (864) 297-6655 - 500000 ($11687500) COMMON STOCK (FILE 333-56163 -

JUN 05) (BR 6)

S-8 EQUITY RESIDENTIAL PROPERTIES TRUST TWO N RIVERSIDE PLZ STE 400 CHICAGO IL 60606 (312) 474-1300 - 2400000 ($117450000)CONVERTIBLE PREFERRED SHARE OF BENEFICIAL INTEREST (FILE 333-56165 -JUN 05) (BR 8)

S-4 GREAT LAKES MERGER TRUST 823 COMMERCE DRIVE SUITE 300 OAK BROOK IL 60523 (630) 368-2900 - $325316037 COMMON STOCK (FILE 333-56167 -JUN 05) (NEW ISSUE)

S-8 USB HOLDING CO INC 100 DUTCH HILL RD ORANGEBURG NY 10962 (914) 365-4600 - 400000 ($8288000) COMMON STOCK (FILE 333-56169 -

NEWS DIGEST June 12 1998 5

JUN OS) (BR 7)

S-8 QUADRAMED CORP QUADRAMED CORP 80 E SIR FRANCIS DRAKE BLVD STE 2A LARKSPUR CA 94939 (415) 461-7725 - 555695 ($1030305672) COMMON STOCK (FILE 333-56171 - JUN OS) (BR 9)

S-2 ALLIED DIGITAL INC 140 FELL COURT HAUPPAUGE NY 11788 (516) 232-2323 - 100000000 ($100000000) STRAIGHT BONDS (FILE 333-56173 - JUN OS)(NEW ISSUE)

S-1 PEOPLES BANCORPORATION INC SC 1800 E MAIN STREET EASLEY SC 29640 (803) 859-2265 - 400000 ($5200000) COMMON STOCK (FILE 333-56175 -

JUN 05) (BR 7)

S-8 VERTEX PHARMACEUTICALS INC MA 130 WAVERLY STREET CAMBRIDGE MA 02139 (616) 577-6000 - 1250000 ($35507812 50) COMMON STOCK (FILE 333-56179 - JUN 05) (BR 1)

S-4 SECURITY FIRST TECHNOLOGIES CORP 3390 PEACHTREE ROAD NE SUITE 1700 ATLANTA GA 30326 (404) 812-6300 - 10814215 ($10611448468)COMMON STOCK (FILE 333-56181 - JUN 05) (NEW ISSUE)

S-8 EXTEN INDUSTRIES INC 9625 BLACK MOUNTAIN RD STE 218 SAN DIEGO CA 92126 (619) 578-9784 - 275000 ($19250) COMMON STOCK (FILE 333-56183 -JUN 05) (BR 7)

S-8 ASSOCIATED GROUP INC 200 GATEWAY TOWERS PITTSBURGH PA 15222 (412) 281-1907 - 1727438 ($465804724) COMMON STOCK (FILE 333-56185 -

JUN 05) (BR 7)

S-8 ICT GROUP INC 800 TOWN CENTER DR LANGHORNE PA 19047 (215) 757-0200 -2020975 ($972594218) COMMON STOCK (FILE 333-56187 - JUN 05)(BR 8)

S-8 TRIANGLE PHARMACEUTICALS INC 4 UNIVERSITY PLACE 4611 UNIVERSITY DRIVE DURHAM NC 27707 (919) 493-5980 - 1000000 ($16062500) COMMON STOCK (FILE 333-56189 - JUN 05) (BR 1)

S-3 FIRSTENERGY CORP 76 SOUTH MAIN ST AKRON OH 44308 (800) 736-3402 -3905589 ($118754315 SO) COMMON STOCK (FILE 333-56191 - JUN 05)(BR 2)

S-8 CKS GROUP INC 10441 BANDLEY DR CUPERTINO CA 95014 (408) 365-5100 -400000 ($7600000) COMMON STOCK (FILE 333-56193 - JUN 05) (BR 8)

S-8 TEAM AMERICA CORPORATION 110 E WILSON BRIDGE RD WORTHINGTON OH 43085 (614) 848-3995 - 450000 ($5062500) COMMON STOCK (FILE 333-56195 -JUN 05) (BR 8)

SB-2 MERRILL MERCHANTS BANCSHARES INC 201 MAIN ST BANGOR ME 04401 (207) 942-4800 - $9660000 COMMON STOCK (FILE 333-56197 - JUN OS)

S-8 WALLACE COMPUTER SERVICES INC 2275 CABOT DRIVE LISLE IL 60532 (633) 588-5000 - 4982076 ($12624580584) COMMON STOCK (FILE333-56199 - JUN 05) (BR 5)

8-1 HOSPITALITY MARKETING CONCEPTS INC 15751 ROCKFIELD BOULEVARD SUITE 200 IRVINE CA 92718 (949) 454-1800 - $48000000 COMMON STOCK (FILE 333-56201 - JUN 05) (NEW ISSUE)

S-8 HOME DEPOT INC 2455 PACES FERRY ROAD ATLANTA GA 30339 (770) -43-3-82 - 15000 ($1412812 50) COMMON STOCK (FILE 333-56207 - JUN OS) (BR 6)

S-4 OLD KENT FINANCIAL CORP MI ONE VANDENBERG CTR 111 LYON ST NW GRAND RAPIDS MI 49503 (616) 771-5000 - 2500000 ($97812500)COMMON STOCK (FILE 333-56209 - JUN 05) (BR 7)

S-8 EGGHEAD INC WA 22705 EAST MISSION LIBERTY LAKE WA 99019 (509) 922-7031 - 1025000 ($7431250) COMMON STOCK (FILE 333-56211 -

JUN 05) (BR 3)

S-3 ACE SECURITIES CORP 6707 FAIRVIEW ROAD SUITE D CHARLOTTE NC 28210

6 NEWS DIGEST June 12 1998

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 4: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

available on the Commissions website ltwwwsecgovgt

S-8 WIZTEC SOLUTIONS LTD 39 HAGALIM BLVD HERZLIA 46725 ISRAEL L3 (972) 959-8740 - 1090000 ($914254325) COMMON STOCK (FILE 333-8882 -

JUN 01) (BR 3)

S-8 PERLE SYSTEMS LTD 60 RENFREW DR MARKHAM ONTARIO CANA A6 (90S) 475-8885 - 668186 ($136179850) FOREIGN COMMON STOCK (FILE333-8894 - JUN 02) (BR 3)

F-6 SKYEPHARMA PLC ADR 48 WALL ST CO BANK OF NEW YORK NEW YORK NY 10286 (212) 495-1727 - 10000000 ($500000)DEPOSITARY RECEIPTS FOR COMMON STOCK (FILE 333-8896 - JUN 02) (BR 99 - NEW ISSUE)

F-l ELECTRIC INTERCONNECTION SA ESP CALLE 12 SUR NO 18-168 MADELLIN COLUMBIA F8 (574) 317-1331 - $100000000 STRAIGHT BONDS (FILE333-8898 - JUN 03) (BR 2 - NEW ISSUE)

F-l SKYEPHARMA FLC 105 PICADILLY LONDON WIV9FN ENGLAND LONDON (011) 441-7149 - $401200 FOREIGN COMMON STOCK (FILE 333-8906 - JUN 02)(BR 1 - NEW ISSUE)

S-1 MAXTOR CORP 510 COTTONWOOD DR MILPITAS CA 95035 (408) 432-4957 -$575000 000 COMMON STOCK (FILE 333-56099 - JUN 05) (BR 3)

SB-2 BUFFALO WILD WINGS INC 1919 INTERCHANGE TOWER 600 SOUTH HIGHWAY 169 MINNEAPOLIS MN 55426 (612) 593-9943 - 1725000 ($13800000)COMMON STOCK (FILE 333-56101 - JUN 05) (BR 9 -

S-8 PHOENIX TECHNOLOGIES LTD 411 E PLUMERIA DRIVE (408) 570-1000 - 950000 ($9114300) COMMON STOCK

JUN OS) (BR 3)

S-8 REPUBLIC BANKING CORP OF FLORIDA 2800 PONCE DO

NEW ISSUE)

SAN JOSE CA 95134 (FILE 333-56103 -

LEON BOULEVARD CORAL GABLES FL 33134 (305) 774-5191 - 1000000 ($15828000)COMMON STOCK (FILE 333-56105 - JUN OS) (BR 7)

SB-2 CRAWFORD EQUIPMENT amp ENGINEERING CO 436 WEST LANDSTREET ROAD ORLANDO FL 32824 (407) 647-2005 - 1000000 ($7250000) COMMON STOCK (FILE333-56107 - JUN 05) (BR 9)

S-8 ARCH COMMUNICATIONS GROUP INC DE 1800 W PARK DR STE 250 WESTBOROUGH MA 01581 (508) 870-6700 - 250000 ($125781250) COMMON STOCK (FILE 333-56109 - JUN 05) (BR 7)

S-8 AMERIANA BANCORP 2118 BUNDY AVE NEW CASTLE IN 47362 (317) 529-2230 -160000 ($3160000) COMMON STOCK (FILE 333-56111 - JUN 05) (BR 7)

S-8 RAYTHEON COl 141 SPRING STREET CO RAYTHEON CO LEXINGTON MA 02173 (781) 862-6600 - 1000000 ($52500000) COMMON STOCK (FILE 333-56117 -

JUN 05) (BR 5)

S-8 KEANE INC TEN CITY SQ BOSTON MA 02129 (617) 241-9200 - 2000000 ($87140000) COMMON STOCK (FILE 333-56119 - JUN 05) (BR 3)

S-8 CAREY DIVERSIFIED LLC SO ROCKEFELLER PLAZA 2ND FLOOR NEW YORK NY 10020 (212) 492-1100 - 500000 ($10825000) COMMON STOCK (FILE333-56121 - JUN

S-8 BIOANALYTICAL (317) 463-4527 -

JUN OS) (BR 1)

S-8 BULL RUN CORP

05) (BR 8)

SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 95000 ($736250) COMMON STOCK (FILE 333-56123 -

4370 PEACHTREE RD NE ATLANTA GA 30319 (404) 266-8333 -1000000 ($4660000) COMMON STOCK (FILE 333-56125 - JUN OS) (BR 3)

S-8 BIOANALYTICAL SYSTEMS INC 2701 KENT AVE WEST LAFAYETT IN 47906 (317) 463-4527 - 5000 ($38750) COMMON STOCK (FILE 333-56127 - JUN 05)(BR 1)

4 NEWS DIGEST June 12 1998

S-l SMITH C 0 DRUG CO 3907 SOUTH 48TH TERRACE POBOX 789 ST JOSEPH MO 64503 (816) 232-5471 - $98325000 COMMON STOCK (FILE 333-56129 -JUN 05) (BR 1)

S-8 EQUINOX SYSTEMS INC ONE EQUINOX WAY SUNRISE FL 33351 (954) 746-9000- 450000 ($10237500) COMMON STOCK (FILE 333 -56131 - JUN 05) (BR 3)

S-8 LUCENT TECHNOLOGIES INC 600 MOUNTAIN AVE MURRAY HILL NJ 07974 (908) 582-8500 - 1344994 ($2721998857) COMMON STOCK (FILE 333-56133 - JUN 05) (BR 7)

S-4 RIVER HOLDING CORP 599 LEXINGTON AVE 18TH FL NEW YORK NY 10022 (212) 958-2555 - 600000 ($30000000) STRAIGHT BONDS (FILE 333-56135 -

JUN 05) (BR 36 - NEW ISSUE)

S-8 CELLNET DATA SYSTEMS INC 125 SHOREWAY ROAD SAN CARLOS CA 94070 (415) 493-9300 - 2500000 ($23675000) COMMON STOCK (FILE 333-56137 -

JUN 05) (BR 7)

S-3 MED WASTE INC 6175 NW 153RD STREET SUITE 324 MIAMI LAKES FL 33014 (305) B19-8877 - 509656 ($340832450) COMMON STOCK (FILE 333-56139 -

JUN 05) (BR 6)

S-3 INTELLIGROUP INC 517 ROUTE 1 SOUTH ISELIN NJ 08830 (732) 750-1600 -351196 ($6806178 48) COMMON STOCK (FILE 333-56143 - JUN 05) (BR 9)

S-8 INTERLEAF INC MA 62 FOURTH AVE 9 HILLSIDE AVE WALTHAM MA 02154 (617) 290-0710 - 2250000 ($5712500) COMMON STOCK (FILE 333-56145 -

JUN 05) (BR 3)

S-8 XXSYS TECHNOLOGIES INC CA 4619 VIEWRIDGE AVE SAN DIEGO CA 92123 (619) 974-8200 - 1900000 ($855000) COMMON STOCK (FILE 333-56147 -

JUN 05) (BR 1)

S-8 TOTAL RENAL CARE HOLDINGS INC 21250 HAWTHORNE BLVD SIE 800 TORRANCE CA 90503 (310) 792-2600 - 3000000 ($93003000) COMMON STOCK (FILE333-56149 - JUN 05) (BR 1)

S-8 PANTHER RESOURCES LTD 1111 W HASTINGS ST 211 SUITE 150 VANCOUVER Al 84101 (801) 272-2457 - 300000 ($191400) COMMON STOCK (FILE 333-56151 -JUN 05) (BR 4)

S-4 REUNION INDUSTRIES INC ONE STAMFORD LANDING 62 SOUTHFIELD AVE STAMFORD CT 06902 (203) 324-8858 - 2474 ($824) COMMON STOCK (FILE333-56153 - JUN 05) (BR 4)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110 SAN DIEGO CA 92121 ((50) 3)2-26-1 - 666664 ($1104162250) COMMON STOCK (FILE 333-56155 - JUN 05) (BR 1)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110

SAN DIEGO CA 92121 ((50) 3)2-26-1 - 2760690 ($4572392812)COMMON STOCK (FILE 333-56157 - JUN 05) (BR 1)

S-8 SEMPRA ENERGY 101ASH STREET POBOX 129400 SAN DIEGO CA 92112 (619) 239-7700 - 64000000 ($1692160000) COMMON STOCK (FILE333-56161 - JUN 05) (BR 2)

S-8 COMPX INTERNATIONAL INC 200 OLD MILL RD MAULDIN SC 29662 (864) 297-6655 - 500000 ($11687500) COMMON STOCK (FILE 333-56163 -

JUN 05) (BR 6)

S-8 EQUITY RESIDENTIAL PROPERTIES TRUST TWO N RIVERSIDE PLZ STE 400 CHICAGO IL 60606 (312) 474-1300 - 2400000 ($117450000)CONVERTIBLE PREFERRED SHARE OF BENEFICIAL INTEREST (FILE 333-56165 -JUN 05) (BR 8)

S-4 GREAT LAKES MERGER TRUST 823 COMMERCE DRIVE SUITE 300 OAK BROOK IL 60523 (630) 368-2900 - $325316037 COMMON STOCK (FILE 333-56167 -JUN 05) (NEW ISSUE)

S-8 USB HOLDING CO INC 100 DUTCH HILL RD ORANGEBURG NY 10962 (914) 365-4600 - 400000 ($8288000) COMMON STOCK (FILE 333-56169 -

NEWS DIGEST June 12 1998 5

JUN OS) (BR 7)

S-8 QUADRAMED CORP QUADRAMED CORP 80 E SIR FRANCIS DRAKE BLVD STE 2A LARKSPUR CA 94939 (415) 461-7725 - 555695 ($1030305672) COMMON STOCK (FILE 333-56171 - JUN OS) (BR 9)

S-2 ALLIED DIGITAL INC 140 FELL COURT HAUPPAUGE NY 11788 (516) 232-2323 - 100000000 ($100000000) STRAIGHT BONDS (FILE 333-56173 - JUN OS)(NEW ISSUE)

S-1 PEOPLES BANCORPORATION INC SC 1800 E MAIN STREET EASLEY SC 29640 (803) 859-2265 - 400000 ($5200000) COMMON STOCK (FILE 333-56175 -

JUN 05) (BR 7)

S-8 VERTEX PHARMACEUTICALS INC MA 130 WAVERLY STREET CAMBRIDGE MA 02139 (616) 577-6000 - 1250000 ($35507812 50) COMMON STOCK (FILE 333-56179 - JUN 05) (BR 1)

S-4 SECURITY FIRST TECHNOLOGIES CORP 3390 PEACHTREE ROAD NE SUITE 1700 ATLANTA GA 30326 (404) 812-6300 - 10814215 ($10611448468)COMMON STOCK (FILE 333-56181 - JUN 05) (NEW ISSUE)

S-8 EXTEN INDUSTRIES INC 9625 BLACK MOUNTAIN RD STE 218 SAN DIEGO CA 92126 (619) 578-9784 - 275000 ($19250) COMMON STOCK (FILE 333-56183 -JUN 05) (BR 7)

S-8 ASSOCIATED GROUP INC 200 GATEWAY TOWERS PITTSBURGH PA 15222 (412) 281-1907 - 1727438 ($465804724) COMMON STOCK (FILE 333-56185 -

JUN 05) (BR 7)

S-8 ICT GROUP INC 800 TOWN CENTER DR LANGHORNE PA 19047 (215) 757-0200 -2020975 ($972594218) COMMON STOCK (FILE 333-56187 - JUN 05)(BR 8)

S-8 TRIANGLE PHARMACEUTICALS INC 4 UNIVERSITY PLACE 4611 UNIVERSITY DRIVE DURHAM NC 27707 (919) 493-5980 - 1000000 ($16062500) COMMON STOCK (FILE 333-56189 - JUN 05) (BR 1)

S-3 FIRSTENERGY CORP 76 SOUTH MAIN ST AKRON OH 44308 (800) 736-3402 -3905589 ($118754315 SO) COMMON STOCK (FILE 333-56191 - JUN 05)(BR 2)

S-8 CKS GROUP INC 10441 BANDLEY DR CUPERTINO CA 95014 (408) 365-5100 -400000 ($7600000) COMMON STOCK (FILE 333-56193 - JUN 05) (BR 8)

S-8 TEAM AMERICA CORPORATION 110 E WILSON BRIDGE RD WORTHINGTON OH 43085 (614) 848-3995 - 450000 ($5062500) COMMON STOCK (FILE 333-56195 -JUN 05) (BR 8)

SB-2 MERRILL MERCHANTS BANCSHARES INC 201 MAIN ST BANGOR ME 04401 (207) 942-4800 - $9660000 COMMON STOCK (FILE 333-56197 - JUN OS)

S-8 WALLACE COMPUTER SERVICES INC 2275 CABOT DRIVE LISLE IL 60532 (633) 588-5000 - 4982076 ($12624580584) COMMON STOCK (FILE333-56199 - JUN 05) (BR 5)

8-1 HOSPITALITY MARKETING CONCEPTS INC 15751 ROCKFIELD BOULEVARD SUITE 200 IRVINE CA 92718 (949) 454-1800 - $48000000 COMMON STOCK (FILE 333-56201 - JUN 05) (NEW ISSUE)

S-8 HOME DEPOT INC 2455 PACES FERRY ROAD ATLANTA GA 30339 (770) -43-3-82 - 15000 ($1412812 50) COMMON STOCK (FILE 333-56207 - JUN OS) (BR 6)

S-4 OLD KENT FINANCIAL CORP MI ONE VANDENBERG CTR 111 LYON ST NW GRAND RAPIDS MI 49503 (616) 771-5000 - 2500000 ($97812500)COMMON STOCK (FILE 333-56209 - JUN 05) (BR 7)

S-8 EGGHEAD INC WA 22705 EAST MISSION LIBERTY LAKE WA 99019 (509) 922-7031 - 1025000 ($7431250) COMMON STOCK (FILE 333-56211 -

JUN 05) (BR 3)

S-3 ACE SECURITIES CORP 6707 FAIRVIEW ROAD SUITE D CHARLOTTE NC 28210

6 NEWS DIGEST June 12 1998

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 5: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

S-l SMITH C 0 DRUG CO 3907 SOUTH 48TH TERRACE POBOX 789 ST JOSEPH MO 64503 (816) 232-5471 - $98325000 COMMON STOCK (FILE 333-56129 -JUN 05) (BR 1)

S-8 EQUINOX SYSTEMS INC ONE EQUINOX WAY SUNRISE FL 33351 (954) 746-9000- 450000 ($10237500) COMMON STOCK (FILE 333 -56131 - JUN 05) (BR 3)

S-8 LUCENT TECHNOLOGIES INC 600 MOUNTAIN AVE MURRAY HILL NJ 07974 (908) 582-8500 - 1344994 ($2721998857) COMMON STOCK (FILE 333-56133 - JUN 05) (BR 7)

S-4 RIVER HOLDING CORP 599 LEXINGTON AVE 18TH FL NEW YORK NY 10022 (212) 958-2555 - 600000 ($30000000) STRAIGHT BONDS (FILE 333-56135 -

JUN 05) (BR 36 - NEW ISSUE)

S-8 CELLNET DATA SYSTEMS INC 125 SHOREWAY ROAD SAN CARLOS CA 94070 (415) 493-9300 - 2500000 ($23675000) COMMON STOCK (FILE 333-56137 -

JUN 05) (BR 7)

S-3 MED WASTE INC 6175 NW 153RD STREET SUITE 324 MIAMI LAKES FL 33014 (305) B19-8877 - 509656 ($340832450) COMMON STOCK (FILE 333-56139 -

JUN 05) (BR 6)

S-3 INTELLIGROUP INC 517 ROUTE 1 SOUTH ISELIN NJ 08830 (732) 750-1600 -351196 ($6806178 48) COMMON STOCK (FILE 333-56143 - JUN 05) (BR 9)

S-8 INTERLEAF INC MA 62 FOURTH AVE 9 HILLSIDE AVE WALTHAM MA 02154 (617) 290-0710 - 2250000 ($5712500) COMMON STOCK (FILE 333-56145 -

JUN 05) (BR 3)

S-8 XXSYS TECHNOLOGIES INC CA 4619 VIEWRIDGE AVE SAN DIEGO CA 92123 (619) 974-8200 - 1900000 ($855000) COMMON STOCK (FILE 333-56147 -

JUN 05) (BR 1)

S-8 TOTAL RENAL CARE HOLDINGS INC 21250 HAWTHORNE BLVD SIE 800 TORRANCE CA 90503 (310) 792-2600 - 3000000 ($93003000) COMMON STOCK (FILE333-56149 - JUN 05) (BR 1)

S-8 PANTHER RESOURCES LTD 1111 W HASTINGS ST 211 SUITE 150 VANCOUVER Al 84101 (801) 272-2457 - 300000 ($191400) COMMON STOCK (FILE 333-56151 -JUN 05) (BR 4)

S-4 REUNION INDUSTRIES INC ONE STAMFORD LANDING 62 SOUTHFIELD AVE STAMFORD CT 06902 (203) 324-8858 - 2474 ($824) COMMON STOCK (FILE333-56153 - JUN 05) (BR 4)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110 SAN DIEGO CA 92121 ((50) 3)2-26-1 - 666664 ($1104162250) COMMON STOCK (FILE 333-56155 - JUN 05) (BR 1)

S-3 HOLLIS EDEN PHARMACEUTICALS INC DE 9333 GENESEE AVENUE SUITE 110

SAN DIEGO CA 92121 ((50) 3)2-26-1 - 2760690 ($4572392812)COMMON STOCK (FILE 333-56157 - JUN 05) (BR 1)

S-8 SEMPRA ENERGY 101ASH STREET POBOX 129400 SAN DIEGO CA 92112 (619) 239-7700 - 64000000 ($1692160000) COMMON STOCK (FILE333-56161 - JUN 05) (BR 2)

S-8 COMPX INTERNATIONAL INC 200 OLD MILL RD MAULDIN SC 29662 (864) 297-6655 - 500000 ($11687500) COMMON STOCK (FILE 333-56163 -

JUN 05) (BR 6)

S-8 EQUITY RESIDENTIAL PROPERTIES TRUST TWO N RIVERSIDE PLZ STE 400 CHICAGO IL 60606 (312) 474-1300 - 2400000 ($117450000)CONVERTIBLE PREFERRED SHARE OF BENEFICIAL INTEREST (FILE 333-56165 -JUN 05) (BR 8)

S-4 GREAT LAKES MERGER TRUST 823 COMMERCE DRIVE SUITE 300 OAK BROOK IL 60523 (630) 368-2900 - $325316037 COMMON STOCK (FILE 333-56167 -JUN 05) (NEW ISSUE)

S-8 USB HOLDING CO INC 100 DUTCH HILL RD ORANGEBURG NY 10962 (914) 365-4600 - 400000 ($8288000) COMMON STOCK (FILE 333-56169 -

NEWS DIGEST June 12 1998 5

JUN OS) (BR 7)

S-8 QUADRAMED CORP QUADRAMED CORP 80 E SIR FRANCIS DRAKE BLVD STE 2A LARKSPUR CA 94939 (415) 461-7725 - 555695 ($1030305672) COMMON STOCK (FILE 333-56171 - JUN OS) (BR 9)

S-2 ALLIED DIGITAL INC 140 FELL COURT HAUPPAUGE NY 11788 (516) 232-2323 - 100000000 ($100000000) STRAIGHT BONDS (FILE 333-56173 - JUN OS)(NEW ISSUE)

S-1 PEOPLES BANCORPORATION INC SC 1800 E MAIN STREET EASLEY SC 29640 (803) 859-2265 - 400000 ($5200000) COMMON STOCK (FILE 333-56175 -

JUN 05) (BR 7)

S-8 VERTEX PHARMACEUTICALS INC MA 130 WAVERLY STREET CAMBRIDGE MA 02139 (616) 577-6000 - 1250000 ($35507812 50) COMMON STOCK (FILE 333-56179 - JUN 05) (BR 1)

S-4 SECURITY FIRST TECHNOLOGIES CORP 3390 PEACHTREE ROAD NE SUITE 1700 ATLANTA GA 30326 (404) 812-6300 - 10814215 ($10611448468)COMMON STOCK (FILE 333-56181 - JUN 05) (NEW ISSUE)

S-8 EXTEN INDUSTRIES INC 9625 BLACK MOUNTAIN RD STE 218 SAN DIEGO CA 92126 (619) 578-9784 - 275000 ($19250) COMMON STOCK (FILE 333-56183 -JUN 05) (BR 7)

S-8 ASSOCIATED GROUP INC 200 GATEWAY TOWERS PITTSBURGH PA 15222 (412) 281-1907 - 1727438 ($465804724) COMMON STOCK (FILE 333-56185 -

JUN 05) (BR 7)

S-8 ICT GROUP INC 800 TOWN CENTER DR LANGHORNE PA 19047 (215) 757-0200 -2020975 ($972594218) COMMON STOCK (FILE 333-56187 - JUN 05)(BR 8)

S-8 TRIANGLE PHARMACEUTICALS INC 4 UNIVERSITY PLACE 4611 UNIVERSITY DRIVE DURHAM NC 27707 (919) 493-5980 - 1000000 ($16062500) COMMON STOCK (FILE 333-56189 - JUN 05) (BR 1)

S-3 FIRSTENERGY CORP 76 SOUTH MAIN ST AKRON OH 44308 (800) 736-3402 -3905589 ($118754315 SO) COMMON STOCK (FILE 333-56191 - JUN 05)(BR 2)

S-8 CKS GROUP INC 10441 BANDLEY DR CUPERTINO CA 95014 (408) 365-5100 -400000 ($7600000) COMMON STOCK (FILE 333-56193 - JUN 05) (BR 8)

S-8 TEAM AMERICA CORPORATION 110 E WILSON BRIDGE RD WORTHINGTON OH 43085 (614) 848-3995 - 450000 ($5062500) COMMON STOCK (FILE 333-56195 -JUN 05) (BR 8)

SB-2 MERRILL MERCHANTS BANCSHARES INC 201 MAIN ST BANGOR ME 04401 (207) 942-4800 - $9660000 COMMON STOCK (FILE 333-56197 - JUN OS)

S-8 WALLACE COMPUTER SERVICES INC 2275 CABOT DRIVE LISLE IL 60532 (633) 588-5000 - 4982076 ($12624580584) COMMON STOCK (FILE333-56199 - JUN 05) (BR 5)

8-1 HOSPITALITY MARKETING CONCEPTS INC 15751 ROCKFIELD BOULEVARD SUITE 200 IRVINE CA 92718 (949) 454-1800 - $48000000 COMMON STOCK (FILE 333-56201 - JUN 05) (NEW ISSUE)

S-8 HOME DEPOT INC 2455 PACES FERRY ROAD ATLANTA GA 30339 (770) -43-3-82 - 15000 ($1412812 50) COMMON STOCK (FILE 333-56207 - JUN OS) (BR 6)

S-4 OLD KENT FINANCIAL CORP MI ONE VANDENBERG CTR 111 LYON ST NW GRAND RAPIDS MI 49503 (616) 771-5000 - 2500000 ($97812500)COMMON STOCK (FILE 333-56209 - JUN 05) (BR 7)

S-8 EGGHEAD INC WA 22705 EAST MISSION LIBERTY LAKE WA 99019 (509) 922-7031 - 1025000 ($7431250) COMMON STOCK (FILE 333-56211 -

JUN 05) (BR 3)

S-3 ACE SECURITIES CORP 6707 FAIRVIEW ROAD SUITE D CHARLOTTE NC 28210

6 NEWS DIGEST June 12 1998

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 6: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

JUN OS) (BR 7)

S-8 QUADRAMED CORP QUADRAMED CORP 80 E SIR FRANCIS DRAKE BLVD STE 2A LARKSPUR CA 94939 (415) 461-7725 - 555695 ($1030305672) COMMON STOCK (FILE 333-56171 - JUN OS) (BR 9)

S-2 ALLIED DIGITAL INC 140 FELL COURT HAUPPAUGE NY 11788 (516) 232-2323 - 100000000 ($100000000) STRAIGHT BONDS (FILE 333-56173 - JUN OS)(NEW ISSUE)

S-1 PEOPLES BANCORPORATION INC SC 1800 E MAIN STREET EASLEY SC 29640 (803) 859-2265 - 400000 ($5200000) COMMON STOCK (FILE 333-56175 -

JUN 05) (BR 7)

S-8 VERTEX PHARMACEUTICALS INC MA 130 WAVERLY STREET CAMBRIDGE MA 02139 (616) 577-6000 - 1250000 ($35507812 50) COMMON STOCK (FILE 333-56179 - JUN 05) (BR 1)

S-4 SECURITY FIRST TECHNOLOGIES CORP 3390 PEACHTREE ROAD NE SUITE 1700 ATLANTA GA 30326 (404) 812-6300 - 10814215 ($10611448468)COMMON STOCK (FILE 333-56181 - JUN 05) (NEW ISSUE)

S-8 EXTEN INDUSTRIES INC 9625 BLACK MOUNTAIN RD STE 218 SAN DIEGO CA 92126 (619) 578-9784 - 275000 ($19250) COMMON STOCK (FILE 333-56183 -JUN 05) (BR 7)

S-8 ASSOCIATED GROUP INC 200 GATEWAY TOWERS PITTSBURGH PA 15222 (412) 281-1907 - 1727438 ($465804724) COMMON STOCK (FILE 333-56185 -

JUN 05) (BR 7)

S-8 ICT GROUP INC 800 TOWN CENTER DR LANGHORNE PA 19047 (215) 757-0200 -2020975 ($972594218) COMMON STOCK (FILE 333-56187 - JUN 05)(BR 8)

S-8 TRIANGLE PHARMACEUTICALS INC 4 UNIVERSITY PLACE 4611 UNIVERSITY DRIVE DURHAM NC 27707 (919) 493-5980 - 1000000 ($16062500) COMMON STOCK (FILE 333-56189 - JUN 05) (BR 1)

S-3 FIRSTENERGY CORP 76 SOUTH MAIN ST AKRON OH 44308 (800) 736-3402 -3905589 ($118754315 SO) COMMON STOCK (FILE 333-56191 - JUN 05)(BR 2)

S-8 CKS GROUP INC 10441 BANDLEY DR CUPERTINO CA 95014 (408) 365-5100 -400000 ($7600000) COMMON STOCK (FILE 333-56193 - JUN 05) (BR 8)

S-8 TEAM AMERICA CORPORATION 110 E WILSON BRIDGE RD WORTHINGTON OH 43085 (614) 848-3995 - 450000 ($5062500) COMMON STOCK (FILE 333-56195 -JUN 05) (BR 8)

SB-2 MERRILL MERCHANTS BANCSHARES INC 201 MAIN ST BANGOR ME 04401 (207) 942-4800 - $9660000 COMMON STOCK (FILE 333-56197 - JUN OS)

S-8 WALLACE COMPUTER SERVICES INC 2275 CABOT DRIVE LISLE IL 60532 (633) 588-5000 - 4982076 ($12624580584) COMMON STOCK (FILE333-56199 - JUN 05) (BR 5)

8-1 HOSPITALITY MARKETING CONCEPTS INC 15751 ROCKFIELD BOULEVARD SUITE 200 IRVINE CA 92718 (949) 454-1800 - $48000000 COMMON STOCK (FILE 333-56201 - JUN 05) (NEW ISSUE)

S-8 HOME DEPOT INC 2455 PACES FERRY ROAD ATLANTA GA 30339 (770) -43-3-82 - 15000 ($1412812 50) COMMON STOCK (FILE 333-56207 - JUN OS) (BR 6)

S-4 OLD KENT FINANCIAL CORP MI ONE VANDENBERG CTR 111 LYON ST NW GRAND RAPIDS MI 49503 (616) 771-5000 - 2500000 ($97812500)COMMON STOCK (FILE 333-56209 - JUN 05) (BR 7)

S-8 EGGHEAD INC WA 22705 EAST MISSION LIBERTY LAKE WA 99019 (509) 922-7031 - 1025000 ($7431250) COMMON STOCK (FILE 333-56211 -

JUN 05) (BR 3)

S-3 ACE SECURITIES CORP 6707 FAIRVIEW ROAD SUITE D CHARLOTTE NC 28210

6 NEWS DIGEST June 12 1998

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 7: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

(704) 365-0569 - 500000000 ($500000000)OTHER SECURITIES INCLUDING VOTING TRUST (FILE 333-56213 - JUN 05)(NEW ISSUE)

S-8 TALBOTS INC 175 BEAL ST HINGHAM MA 02043 (781) 749-7600 - 3310000 ($92266250) COMMON STOCK (FILE 333-56215 - JUN 05) (BR 2)

S-4 JTM INDUSTRIES INC 127 S 500 E STE 675 SALT LAKE CITY UT 84102 (801) -35-5-91 - 100000000 ($100000000) STRAIGHT BONDS (FILE333-56217 - JUN 05) (NEW ISSUE)

S-3 BLACK WARRIOR WIRELINE CORP 3748 HWY 45 N 3748 HWY 45 N COLUMBUS MS 39701 (601) 329-1047 - 8421392 ($41071943) COMMON STOCK (FILE333-56219 - JUN 05) (BR 4)

F-1 INDEPENDENT ENERGY HOLDINGS PLC 43 DOMINION COURT SOLIHULL WEST MIDLAN A9 00000 - $64400000 FOREIGN COMMON STOCK (FILE333-56223 - JUN 05) (BR 4)

S-8 INTEGRITY INC 1000 CODY RD MOBILE AL 36695 (334) 633-9000 - 200000 ($467993) COMMON STOCK (FILE 333-56225 - JUN 05) (BR 2)

S-4 PANAMSAT CORP NEW POBOX PICKWICK PLAZA CO HUGHES ELECTRONICS CORP GREENWICH CT 06830 (203) 622-6664 -750000000 ($743292875) STRAIGHT BONDS (FILE 333-56227 - JUN 05)(BR 7)

S-l OPTEL INC (214) 634-3800 (BR 7)

S-l NATIONSRENT

1111 W MOCKINGBIRD LANE SUITE 1000 DALLAS TX 75247 - $100000000 COMMON STOCK (FILE 333-56231 - JUN 05)

INC 450 EAST LAS OLAS BLVD STE 1400 FT LAUDERDALE FL 33301 (954) 760-6550 - $100000000 COMMON STOCK (FILE 333-56233 -JUN 05) (NEW ISSUE)

S-4 UNION PLANTERS CORP 7130 GOODLETT FARMS PKWY MEMPHIS TN 38018 (901) 580-6000 - 3398000 ($90896500) COMMON STOCK (FILE 333-56235 -

JUN 05) (BR 7)

S-3 BRANDYWINE REALTY TRUST 16 CAMPUS BLVD STE 100 NEWTOWN SQUARE PA 19073 (610) 325-5600 - 750000000 ($750000000) STRAIGHT BONDS (FILE333-56237 - JUN 05) (BR 8)

S-4 LA PETITE ACADEMY INC 8717 WEST 110 ST STE 300 OVERLOOK PARK KS

66210 (913) 345-1250 - 145000000 ($145000000) STRAIGHT BONDS (FILE333-56239 - JUN 05) (BR 1)

S-4 COLONIAL BANCGROUP MONTGOMERY AL 36104 (FILE 333-56241 - JUN

S-8 ELECTRIC LIGHTWAVE 98662 (360) 892-1000 - JUN 05) (BR 3)

S-8 SEAFOODS PLUS LTD 84121 (801) 942-7722 JUN 05) (BR 9)

INC ONE COMMERCE ST STE 800 POBOX 1108 (334) 240-5000 - 952638 ($9027760 80) COMMON STOCK

05) (BR 7)

INC 4400 NE 77TH AVENUE STE 150 VANCOUVER WA - 200000 ($2487500) COMMON STOCK (FILE 333-56243

1787 E FORT UNION BLVD SUITE 106 SALT LAKE CITY UT

- 66068 ($991020) COMMON STOCK (FILE 333-56245 -

S-3 EASTERN ENVIRONMENTAL SERVICES INC 1000 CRAWFORD PLACE MT LAUREL NJ 08054 (609) 235-6009 - 374804 ($1041252362) COMMON STOCK (FILE333-56247 - JUN 05) (BR 6)

S-3 TRAVELERS PROPERTY CASUALTY CORP ONE TOWER SQUARE HARTFORD CT 06183 (860) 277-0111 - 8918395 ($37715892455) COMMON STOCK (FILE333-56249 - JUN 08) (BR 1)

S-3 GOLF TRUST OF AMERICA INC 14 NORTH ADGERS WHARF 14 NORTH ADGERS WHARF CHARLESTON SC 29401 (714) 723-4653 (FILE333-56251 - JUN 08) (BR 8)

NEWS DIGEST June 12 1998 7

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 8: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

--------------------------------------------------------------------------

RECENT 81t FILDiGS

Form 8-K ~s used by compan~es to file current reports on the follow~ng events

Item 1 Changes ~n Control of Registrant

Item 2 ACqu1s1t10n or D1Sposit1on of Assets

Item 3 Bankruptcy or Rece1versh1p

Item 4 Changes 1n Reg1strants Certify~ng Accountant

Item 5 Other Mater1ally Important Events

Item 6 Res1gnat1ons of Reg1strants D1rectors

Item 7 F1nanc~al Statements and Exh1b1ts

Item 8 Change 1n F1scal Year

Item 9 Regulat10n S Offer1ngs

The follow1ng compan1es have f~led 8-K reports for the date 1ndicated andor amendments to 8-K reports prev10usly

f1led respond1ng to the 1tem(s) of the form speclfled 8-K reports may be obtalned In person or by wrlt1ng to the

CommlSSlons PubllC Reference Branch at 450 Flfth Street NW Washlngton DC 20549 or at the followlng e-ma11 box

aderess cpubli c anfo secgt In most cases t rns anformat Lon is also ava i Lable on the Cornrrus webs1tesaon s

ltwww secgOYgt

STATE 81t ITEM NO

NJME OF ISSUER CODE 1 2 3 4 5 6 7 8 9 DATE

ALABAMA NATIONAL BANCORPORATION DE X X 060898

ALANCO ENVIRONMENTAL RESOURCES CORP AZ X X OS2298 AMEND

ALUMINUM CO OF AMERICA PA X 061098

AMARILLO MESQUITE GRILL INC KS X 032798 AMEND

AMERICA ONLINE INC DE X X 060598

AMERICAN DENTAL PARTNERS INC DE X X 060398

AMERICAN ENTERTAINMENT GROUP INC CO X 060998

AMERICAN GAMING amp ENTERTAINMENT LTD DE X 051298

IDE

AMERICAN REAL ESTATE INVESTMENT COR MD X X 032798 AMEND

P

AMERICREDIT FINANCIAL SERVICES INC DE X X OS2798

AMRESCO RESIDENTIAL SECURITIES CORP DE X 060998

ANALOGY INC OR X X 060598

APPLE RESIDENTIAL INCOME TRUST INC VA X X 060298

APPLIED GRAPHICS TECHNOLOGIES INC DE X X 061098ARMSTRONG WORLD INDUSTRIES INC PA X X 060598

ASSOCIATES HOME EQUITY LOAN TRUST 1 DE X X 043098

998-1

AVANT CORP DE X 011698 AMENDAVAX TECHNOLOGIES INC DE X X 061098

AVERT INC CO X X 051498BANK OF NEW ENGLAND CORP MA NO ITEMS 053198

BEAR STEARNS ASSET BACKED SECURITIE DE X X 061098

S INC

BELCOR INC CA X 060198

BLACK ROCK GOLF CORP DE X X 061098

BOETTCHER PENSION INVESTORS LTD CO X X 061198

BRISTOL RETAIL SOLUTIONS INC DE X 060697 AMEND

BROUGHTON FOODS CO X X OS2998

CAMERA PLATFORMS INTERNATIONAL INC DE X X 021098

CAPSTAR HOTEL CO DE X X 060598CENEX HARVEST STATES COOPERATIVES MN X X X X X 053198

CENTURY BUSINESS SERVICES INC DE X 033198 AMENDCHASE MANHATTAN AUTO OWNER TRUST 19 NY X X 060998

98-C

8 NEWS DIGEST June 12 1998

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 9: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

STATE 8IC ITEM NO

NAME OF ISSUBR CODE 1 2 3 4 5 6 7 8 9 DATE ~

CHASE MANHATTAN BANK USA

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHASE MORTGAGE FINANCE CORP

CHESAPEAKE UTILITIES CORP

CHEVY CHASE BANK FSB

CISCO SYSTEMS INC

CIT GROUP INC

CIT GROUP SECURITIZATION CORP II

CLASSIC BANCSHARES INC

CLUSTER HOUSING PROPERTIES

CNL AMERICAN REALTY FUND INC

COHO ENERGY INC

COLONIAL PROPERTIES TRUST

COLONIAL REALTY LIMITED PARTNERSHIP

COMMONWEALTH BANCORP INC

COMMUNITY FEDERAL BANCORP INC

COMPAQ COMPUTER CORP

CONCENTRIC NETWORK CORP

CORPORATE OFFICE PROPERTIES TRUST

COWLITZ BANCORPORATION

CREATIVE RECYCLING TECHNOLOGIES INC

CREDIT DEPOT CORP

CRESCENT REAL ESTATE EQUITIES CO

CRIIMI MAE INC

CROWN PACIFIC PARTNERS L P

CWMBS INC

CWMBS INC

CWMBS INC

DATA SYSTEMS amp SOFTWARE INC

DERMA SCIENCES INC

DEVELOPMENT PARTNERS

DEVELOPMENT PARTNERS II

DIME COMMUNITY BANCORP INC

DLJ COMMERCIAL MORTGAGE CORP

DOLLAR GENERAL CORP

DOMINION BRIDGE CORP

DRUCKER INDUSTRIES INC

DURA PRODUCTS INTERNATIONAL INC

EDUCATIONAL MEDICAL INC

ELECTRONIC TRANSMISSION CORP IDE

ELECTROSOURCE INC

ENERGY OPTICS INC

ENTROPIN INC

EROX CORP

EXODUS COMMUNICATIONS INC

FARMER MAC MORTGAGE SECURITIES CORP

FARMER MAC MORTGAGE SECURITIES CORP

FEDERAL MOGUL CORP

FINGERHUT MASTER TRUST

FINGERHUT RECEIVABLES INC

FIRST ALLIANCE MORTGAGE CO DE

FIRST UNION COMMERCIAL MORTGAGE SEC

URITIES INC

DE

DE

DE

DE

DE

MD

CA

DE

DE

DE

CA

MD

TX

MD

DE

PA

DE

DE

DE

MN

WA

GA

DE

TX

MD

DE

DE

DE

DE

DE

PA

MA

MA

DE

DE

TN

DE

DE

DE

DE

DE

NM

CO

CA

DE

DE

MI

DE

DE

CA

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X X X

X

X

X

X

x x x x

x

x x x x

x x x

x x x x x x x x x x x x

x

X

X

X

X

X

X

X

X

X

X X

X

X

x x x x

x x

x x x x x x x x

x x x

x

x

x x x x x

060998

OS2798

060998

061198

OS2998

060598

061098

060598

060598

OS2998

OS2898

060398

051298

033198

033198

061098

061098

061198

061198

OS2898

060898

X 051598

OS2298

011698 AMEND

060598

OS2898

OS2898

OS2898

OS2898

041098 AMEND

060898

OS2898

OS2898

061198

060198 AMEND

061198 AMEND

060898

060598

051398

061098

OS2898060398

060998

060998

060398

061198

062598

062598

061198

061198

061198

060898

OS2898

FLORAFAX INTERNATIONAL INC

FOOD CONCEPTS INC

FORD CREDIT AUTO RECEIVABLES

P

TWO L

DE

NV

DE

X

X

x x

x 060898

033198

OS2898

FORD

P

CREDIT AUTO RECEIVABLES TWO L DE x x 053198

FRONTEER FINANCIAL HOLDINGS LTD CO x 050198

NEWS DIGEST June 12 1998 9

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 10: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

--------------------------------------------------------------------------STATE 81( ITEM NO

NAME OF ISSUER CODB 1 2 3 4 5 678 9 DATE aM4BNT

PURRS BISHOPS INC

GE CAPITAL MORTGAGE SERVICES INC

GEMSTAR INTERNATIONAL GROUP LTD

GEMSTAR INTERNATIONAL GROUP LTD

GENERAL AMERICAN ROYALTY INC

GREEN MOUNTAIN COFFEE INC

GREENTREE SOFTWARE INC

GROUP 1 AUTOMOTIVE INC

GTE SOUTH INC

HAWK CORP

HEALTHCARE REALTY TRUST INC

HELLER FUNDING CORP

HOMES IDE MORTGAGE SECURITIES INC

E

HONEYWELL INC

HORIZON OFFSHORE INC

HOUSEHOLD FINANCE CORP

HUBCO INC

IBIS TECHNOLOGY CORP

ICON CMT CORP

INDUSTRIAL HOLDINGS INC

INTEGRATED MEDICAL RESOURCES INC

INTELLIGENT DECISION SYSTEMS INC

INTERGROUP CORP

INTERMEDIA COMMUNICATIONS INC

INTERNATIONAL PAPER CO NEW

INTERNET COMMUNICATIONS CORP

INVESTORS INSURANCE GROUP INC

ITHACA INDUSTRIES INC

ITHACA INDUSTRIES INC

0

DE

NJ

DE

DE

NY

DE

VA

MD

DE

DE

DE

DE

DE

NJ

MA DE

TX

KS

DE

DE

DE

NY

CO

FL

DE

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2898

OS2898

103197

011998

061098

OS2998

OS2998

033198

061198

060898

060898

OS2698

OS2798

061098

OS2798

061198

OS2998

060998OS2798

040398

032998

061198

060598

051998

060998

060598

OS2598

032498

060898

AMEND

AMEND

AMEND

AMEND

AMEND

AMEND

JPM CO

KNICKERBOCKER L L CO INC

KOO KOO ROO INCDELEHMAN ABS CORP

LEHMAN ABS CORP

LITTLE SWITZERLAND INCDE

MAIL WELL INC

MAIL WELL INC

MAIN STREET BANCORP INC

MANUGISTICS GROUP INC

MARGO NURSERY FARMS INC

MARKET FACTS INC

MEDICAL DISCOVERIES INC

MEDIMMUNE INC DE

PA

CA

DE

DE

DE

DE

CO

CO

DE

PR

DE

UT

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

061298

060998

061098

060998

061198

060998

OS2898

053098

060998

060998

060198

033198

060998

061098

AMEND

MERRILL

C

LYNCH MORTGAGE INVESTORS IN DE X X OS2698

MERRIMAC INDUSTRIES INC

MERRIMAC INDUSTRIES INC

MIDDLE BAY OIL CO INC

MORGAN STANLEY CAP I INC COMM

PASS THR CER SER 1998 XL2

MORT

NY

NY

AL

X

X

X

X

X

X

X

061098

061198

032798

060998

AMEND

AMEND

MORGAN STANLEY CAPITAL I INC

MORTON INDUSTRIAL GROUP INC

MORTON INDUSTRIAL GROUP INC

NATIONAL AUTO CREDIT INC DE

NATIONAL REGISTRY INC

NEMDACO INC

NEW PARADIGM SOFTWARE CORP

NEW PARADIGM SOFTWARE CORP

NOISE CANCELLATION TECHNOLOGIES INC

DE

GA

GA

DE

DE

CO

NY

NY

DE

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

X

OS2998

033098

OS2898

060198

053198

060497

061098

061098

123198

AMEND

AMEND

AMEND

10 NEWS DIGEST June 12 1998

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 11: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

STATB 8K ITEM NO

NAME OF ISSUER CODB I 2 3 4 5 6 7 8 9 DATE COMMENT

NORWEST ASSET SECURITIES CORP

NUWAVE TECHNOLOGIES INC

OAK TECHNOLOGY INC

OHSL FINANCIAL CORP

OXFORD HEALTH PLANS INC

OXFORD HEALTH PLANS INC

PAINE WEBBER QUALIFIED PLAN PROPERT

Y FUND FOUR LP

DE

DE

DE

DE

DE

DE

DE

X

x

x x

x X

X

X

x X

060998

061198

060598

060398

060998

061098

060998

PENTACON INC

PEPSI COLA PUERTO RICO BOTTLING CO

PERCEPTRONICS INC

PETES BREWING CO

PHP HEALTHCARE CORP

PINNACLE HOLDINGS INC

PMR CORP

PREMIERE TECHNOLOGIES INC

PRINTRAK INTERNATIONAL INC

PRUDENTIAL BACHE WATSON amp TAYLOR LT

D-4

DE

DE

DE

CA

DE

DE

DE

GA

DE

TX

x

x

x x x x

x

x x

x x x x x

x x

x

OS2698

061198

042297

060998

060298

061198

060998

061098

060998

060498

PRUDENTIAL BANK amp TRUST CO GA

PRUDENTIAL SECURITIES SECURED FINAN

CING CORP

GA

DE

x x

x x

033198

061198

PULITZER PUBLISHING

QUADRAMED CORP

REGAN HOLDING CORP

RENTERS CHOICE INC

RESIDENTIAL FUNDING

TIES I INC

CO

MORTGAGE SECURI

DE

DE

CA

DE

DE

x x

x x

x

X

X

X

X

OS2598

060198

060198

OS2898

060998

REYNOLDS DEBBIE HOTEL amp CASINO INC

ROBERTS PHARMACEUTICAL CORP

ROCKY MOUNTAIN INTERNET INC

SALOMON SMITH BARNEY HOLDINGS INC

SARATOGA BANCORP

SARATOGA BRANDS INC

SCFC BOAT LOAN TRUST 1992-1

SCFC RECREATIONAL VEHICLE LOAN TRUS

T 1991-1

NY

NJ

DE

DE

CA

NY

IL

IL

x

x

x x x

x

x x

X

X

X

X

061198

061098

060598

060898

OS2198

060898

053198

053198

SCRIPPS E W CO DE

SECURITY PACIFIC HOME

1991-A

EQUITY TRUST

DE

CA

x X

061198

OS2598

SHOP VAC CORP

SOVRAN SELF STORAGE INC

SPICE ENTERTAIMENT COMPANIES INC

ST PAUL COMPANIES INC MN

STERLING COMMERCE INC

STEWART ENTERPRISES INC

STRUCTURED ASSET MORTGAGE INYESTMEN

TS INC

PA

MD

DE

MN

DE

LA

DE

X

X X

X

X

X

X

X

X

OS2898061098

OS2998

060898

061098

060998

OS2998

SUBSTANCE ABUSE TECHNOLOGIES INC

SUCCESS BANCSHARES INC

SUPERIOR BANK FSB

TARGETS TRUST I

TECH ELECTRO INDUSTRIES INCTX

TELEPAD CORP

TELEPORT COMMUNICATIONS GROUP INC

TEREX CORP

TOLLYCRAFT YACHT CORP

TOWN amp COUNTRY CORP

TOWN amp COUNTRY CORP

TOYOTA AUTO LEASE TRUST 1997-A

TRANS CRYPT INTERNATIONAL INC

DE

DE

IL

TX

DE

DE

DE

NY

MA

MA

CA

DE

x

x

x

x x x

x

x

x

x

X

X

X

X

X

X

X

X

X

OS2698

061098

OS2898

060898

021398

OS2798

OS2898

033198

060998

040698

040698

043098

060898

AMEND

AMEND

AMEND

NEWS DIGEST June 12 1998 1

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998

Page 12: SEC News Digest, 06-12-1998 · s-3 intelligroup inc, 517 route 1 south, iselin, nj 08830 (732) 750-1600 - 351,196 ($6,806,178 48) common stock. (file 333-56143 - jun. 05) (br 9) s-8

--------------------------------------------------------------------------STATE BIC ITEM NO

HMB OF ISSUBR CODE 1 2 3 4 567 B 9 DATE CltM4BNT

TTl INDUSTRIES INC TX

TV COMMUNICATIONS NETWORK INC

U S GLOBAL INVESTORS INC

UACSC AUTO TRUSTS

UNION PLANTERS MORTGAGE FINANCE

P

COR

TX

CO

TX

DE

DE

X

X

X

X

X

X

X

050698

040698

060598

061098

OS2898

UNITED INVESTORS

USI INC

REALTY TRUST TX

NJ

X

X

X 061098

061098

VALHI INC DE

VAN DE KAMPS INC

VANDERBILT MORT amp FIN

U CERT SER 1998B

INC PASS THRO

DE

DE

TN

X

X

X

X

X

060998

061098

OS2798

VORNADO

VORNADO

REALTY

REALTY

LP

TRUST

DE

MD

X

X

X

X

X

X

060298

060298

WASHINGTON MUTUAL

WELLS FARGO amp CO

INC WA

DE

X

X X

OS2798

060798

WISCONSIN PUBLIC SERVICE

WPS RESOURCES CORP

XYBERNAUT CORP ZOLL MEDICAL CORPORATION

CORP WI

WI

DE

MA

X

X

X X X

061098

061098

060498060898

12 NEWS DIGEST June 12 1998