<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30, 2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings
entries.
Institutional Investment Manager Filing this Report:
Name: Kingdon Capital Management, L.L.C.
Address: 152 West 57th Street
New York, New York 10019
Form 13F File Number: 28-3496
The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of
this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Peter J. Cobos
Title: Chief Financial Officer
Phone: (212) 333-0100
Signature, Place, and Date of Signing:
/s/ Peter J. Cobos New York, New York November 10, 2000
_____________________ __________________ _________________
[Signature] [City, State] [Date]
<PAGE>
Report Type (Check only one.):
[X ] 13F HOLDINGS REPORT. (Check here if all holdings of
this reporting manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in
this report, and all holdings are reported by other
reporting manger(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this
report and a portion are reported by other reporting
manager(s).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-
2
<PAGE>
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 1
Form 13F Information Table Entry Total: 169
Form 13F Information Table Value Total: $2,067,620
[thousands]
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing this
report.
[If there are no entries in this list, state "NONE" and omit the
column headings and list entries.]
No. Form 13F File Number Name
1 28-3498 Mark Kingdon
3
<PAGE>
<TABLE>
KINGDON CAPITAL MANAGEMENT, LLC.
FORM 13F
September 29, 2000
<CAPTION>
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
FAIR
TITLE MARKET
NAME OF ISSUER OF CLASS CUSIP VALUE SHARES (A) (B) (C) MANAGERS (A) (B) (C)
------------------- --------- ----- ------- ------ ---- ---- --- -------- --- --- ---
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
3Com Corp. common stock 88553510 6,984,250.00 364,000 x 1 x
Ace Ltd. common stock G0070K10 16,485,000.00 420,000 x 1 x
Allied Waste common stock 01958930 7,350,000.00 800,000 x 1 x
Amer. Elec. Power Co. common stock 02553710 9,781,250.00 250,000 x 1 x
Amerada Hess Corp. common stock 02355110 1,251,731.25 18,700 x 1 x
Anadarko Petroleum common stock 03251110 19,938,000.00 300,000 x 1 x
AntiGenics Inc common stock 03703210 3,241,896.00 308,752 x 1 x
AON Corp. common stock 03738910 13,345,000.00 340,000 x 1 x
Apache Corp. common stock 03741110 7,390,625.00 125,000 x 1 x
Aracruz Celulose ADR common stock 03849620 6,586,906.25 397,700 x 1 x
Art Tech. Group Inc. common stock 04289L10 18,950,000.00 200,000 x 1 x
ARV Assisted Living common stock 00204C10 675,237.50 771,700 x 1 x
ASM Lithography NV common stock N0705911 5,654,687.50 175,000 x 1 x
ASUR ADR common stock 40051E20 10,251,562.50 675,000 x 1 x
At Road Inc. common stock 04648K10 1,502,823.00 210,000 x 1 x
AT&T Liberty Media Class A 00195720 4,500,000.00 250,000 x 1 x
Autonomy Corp. ADR common stock 05329Q10 2,887,500.00 52,500 x 1 x
Avon Products Inc. common stock 05430310 12,262,500.00 300,000 x 1 x
Bally Total Fitness common stock 05873K10 29,347,500.00 1,173,900 x 1 x
Bank One Corp. common stock 06423A10 3,862,500.00 100,000 x 1 x
Becton Dickinson common stock 07588710 10,575,000.00 400,000 x 1 x
Berkshire
Hathaway Inc. common stock 08467010 22,540,000.00 350 x 1 x
Bestfoods common stock 08658U10 7,275,000.00 100,000 x 1 x
BJ Services Co. common stock 05548210 10,696,875.00 175,000 x 1 x
Cablevision Systems common stock 12686C10 14,920,312.50 225,000 x 1 x
Cal Dive Int'l Inc. common stock 12791410 8,503,125.00 150,000 x 1 x
Capital One Financial common stock 14040H10 21,018,750.00 300,000 x 1 x
Capstone Turbine Corp. common stock 14067D10 17,139,375.00 412,500 x 1 x
Century Aluminum common stock 15643110 5,210,908.56 423,221 x 1 x
Charles Schwab common stock 80851310 1,775,000.00 50,000 x 1 x
China Mobile HK Ltd. common stock 16941M10 1,941,708.75 59,860 x 1 x
Chubb Corp. common stock 17123210 15,825,000.00 200,000 x 1 x
Cinergy Corp. common stock 17247410 9,918,750.00 300,000 x 1 x
Citrix Systems common stock 17737610 8,025,000.00 400,000 x 1 x
Coca Cola Co. common stock 19121610 16,537,500.00 300,000 x 1 x
Coflexip ADR common stock 19238410 2,608,275.00 41,900 x 1 x
Colgate Palmolive common stock 19416210 7,080,000.00 150,000 x 1 x
Commerce One Inc. common stock 20069310 45,137,500.00 575,000 x 1 x
Constellation Energy common stock 21037110 18,656,250.00 375,000 x 1 x
4
<PAGE>
Corning Inc. common stock 21935010 16,335,000.00 55,000 x 1 x
Costco Wholesale common stock 22160K10 29,525,681.25 845,100 x 1 x
CYTYC Corp. common stock 23294610 10,828,125.00 250,000 x 1 x
DaimlerChrysler ADR common stock D1668R12 1,775,600.00 40,000 x 1 x
DMC Stratex Networks common stock 23322L10 3,432,175.00 216,200 x 1 x
E Trade Group common stock 26924610 9,862,500.00 600,000 x 1 x
Eastman Chemical common stock 27743210 12,946,593.75 350,500 x 1 x
Efficient Networks common stock 28205610 3,743,750.00 100,000 x 1 x
Eli Lilly common stock 53245710 2,028,125.00 25,000 x 1 x
Enchira Biotech. Corp. common stock 29251Q10 8,062,500.00 1,000,000 x 1 x
Energizer Hldgs. common stock 29266R10 17,696,350.00 722,300 x 1 x
Engelhard Corp. common stock 29284510 8,848,125.00 544,500 x 1 x
Extreme Networks common stock 30226D10 17,175,000.00 150,000 x 1 x
Fed. Dept. Stores common stock 31410H10 22,284,625.00 853,000 x 1 x
Federal Express common stock 31428X10 11,085,000.00 250,000 x 1 x
Finisar Corp. common stock 31787A10 9,662,500.00 200,000 x 1 x
Flamel Tech. ADR common stock 33848810 4,515,000.00 645,000 x 1 x
FleetBoston Financial common stock 33903010 7,800,000.00 200,000 x 1 x
Fomento Eco. ADR common stock 34441910 3,923,400.00 100,600 x 1 x
Foundry Networks common stock 35063R10 16,035,000.00 240,000 x 1 x
Fresenius Class D
Preferred
Stock 35802920 12,298.55 416,900 x 1 x
Galileo Tech. common stock M4729810 9,731,375.00 306,500 x 1 x
Gemstar - TV Guide common stock 36866W10 21,796,875.00 250,000 x 1 x
General Dynamics Corp. common stock 36955010 31,406,250.00 500,000 x 1 x
General Electric common stock 36960410 17,306,250.00 300,000 x 1 x
Genzyme Gen. Div. common stock 37291710 13,637,500.00 200,000 x 1 x
Georgia Gulf Corp. common stock 37320020 5,278,406.25 461,500 x 1 x
GetThere.com common stock 37426610 1,549,237.50 87,900 x 1 x
GM Hughes Elec. Class H 37044283 29,744,000.00 800,000 x 1 x
Goldman Sachs common stock 38141G10 56,968,750.00 500,000 x 1 x
Grey Wolf Inc. common stock 39788810 7,475,000.00 1,300,000 x 1 x
Gymboree Corp. common stock 40377710 5,437,500.00 1,000,000 x 1 x
Handspring Inc. common stock 41029310 5,939,375.00 86,000 x 1 x
Harcourt General Inc. common stock 41163G10 13,168,800.00 223,200 x 1 x
Harrahs Entertaiment common stock 41361910 2,750,000.00 100,000 x 1 x
Health Mgmt. Sys. common stock 42219M10 871,875.00 450,000 x 1 x
Human Genome Science common stock 44490310 17,300,000.00 100,000 x 1 x
Hydril Inc common stock 44877410 455,000.00 20,000 x 1 x
IDEC Pharmaceuticals common stock 44937010 13,674,375.00 78,000 x 1 x
IMC Global Inc. common stock 44966910 9,729,500.00 671,000 x 1 x
Impax Laboratories common stock 45256B10 15,647,059.31 1,882,353 x 1 x
IMS Health Inc. common stock 44993410 17,280,600.00 832,800 x 1 x
Infospace.Com common stock 45678T10 6,037,500.00 200,000 x 1 x
INRANGE Tech. Corp. common stock 45769V20 4,770,000.00 90,000 x 1 x
Int'l Game Tech. common stock 45990210 24,936,300.00 741,600 x 1 x
Invitrogen Corp. common stock 46185R10 19,186,875.00 270,000 x 1 x
Johnson & Johnson common stock 47816010 2,348,437.50 25,000 x 1 x
Kimberly Clark Corp. common stock 49436810 11,162,500.00 200,000 x 1 x
King Pharm. Inc. common stock 49558210 13,375,000.00 400,000 x 1 x
5
<PAGE>
Laser Mortgage common stock 51806D10 3,422,650.00 1,117,600 x 1 x
Lexar Media Inc. common stock 52886P10 3,565,000.00 310,000 x 1 x
LifeF/X common stock 53218N10 4,238,442.00 900,000 x 1 x
Lockheed Martin Co. common stock 53983010 19,776,000.00 600,000 x 1 x
Loews Corp. common stock 54042410 12,506,250.00 150,000 x 1 x
Lucent Tech. common stock 54946310 15,281,250.00 500,000 x 1 x
Lycos Inc. common stock 55081810 15,468,750.00 225,000 x 1 x
Marine Drilling Co. common stock 56824020 19,402,506.25 679,300 x 1 x
Martin Marietta
Materials common stock 57328410 14,929,200.00 390,000 x 1 x
McLeodUSA Inc. common stock 58226610 11,928,037.50 833,400 x 1 x
Mercury Computer Sys. common stock 58937810 9,456,250.00 340,000 x 1 x
Methode Elec. Inc. common stock 59152020 31,421,993.75 709,100 x 1 x
MicroStrategy Inc common stock 59497210 6,949,562.50 251,000 x 1 x
MRV Comm. Inc. common stock 55347710 7,875,000.00 175,000 x 1 x
Nabisco Group Hldgs. common stock 62952P10 59,878,500.00 2,101,000 x 1 x
Network Associates common stock 64093810 2,820,312.50 125,000 x 1 x
New Focus Inc. common stock 64438310 7,900,000.00 100,000 x 1 x
Next Level Comm. common stock 65333U10 13,555,625.00 205,000 x 1 x
Nextlink Comm. Inc. common stock 98376410 5,278,125.00 150,000 x 1 x
Niagara Mohawk
Holdings common stock 65352010 16,205,175.00 1,028,900 x 1 x
Northrop Grumman common stock 66680710 16,357,500.00 180,000 x 1 x
NTL Inc. common stock 62940710 5,890,950.00 127,200 x 1 x
Occidental
Petroleum Corp common stock 67459910 2,181,250.00 100,000 x 1 x
Pacificare Health Sys. common stock 69511210 3,481,250.00 100,000 x 1 x
Packaging Corp.
of Amer. common stock 69515610 19,912,500.00 1,800,000 x 1 x
Palm Inc. common stock 69664210 29,115,625.00 550,000 x 1 x
Parametric Tech. common stock 69917310 8,203,125.00 750,000 x 1 x
Peco Energy Co. common stock 30161N10 18,168,750.00 300,000 x 1 x
Peoplesoft Inc. common stock 71271310 11,175,000.00 400,000 x 1 x
Phillip Morris common stock 71815410 61,818,750.00 2,100,000 x 1 x
Phone.com Inc. common stock 71920Q10 24,327,600.00 213,400 x 1 x
Procter & Gamble common stock 74271810 30,150,000.00 450,000 x 1 x
Proton Energy System common stock 74371K10 5,520,545.94 335,715 x 1 x
Proxim Inc. common stock 74428410 6,665,625.00 150,000 x 1 x
PurchasePro.com common stock 74614410 3,005,325.00 34,200 x 1 x
QLogic Corp. common stock 74727710 22,000,000.00 250,000 x 1 x
Quest Software Inc common stock 74834T10 9,979,650.00 160,800 x 1 x
R & B Falcon Corp. common stock 74912E10 30,105,000.00 1,080,000 x 1 x
Republic Services Inc common stock 76075910 29,531,250.00 2,250,000 x 1 x
Rohm & Haas Co. common stock 77537110 20,343,750.00 700,000 x 1 x
Safeway Inc. common stock 78651420 23,343,750.00 500,000 x 1 x
SanDisk Corp. common stock 80004C10 14,004,375.00 210,000 x 1 x
Sappi Ltd ADR common stock 80306920 710,775.00 97,200 x 1 x
Schlumberger common stock 80685710 18,520,312.50 225,000 x 1 x
Simple Tech. Inc. common stock 82882010 481,250.00 50,000 x 1 x
Skywest Inc. common stock 83087910 12,796,875.00 250,000 x 1 x
Smith Int'l common stock 83211010 8,156,250.00 100,000 x 1 x
6
<PAGE>
Smurfit Stone common stock 83272710 11,937,750.69 1,000,021 x 1 x
Southern Energy Inc. common stock 84281610 11,059,687.50 352,500 x 1 x
SouthTrust Corp. common stock 84473010 13,360,937.50 425,000 x 1 x
SPX Corp. common stock 78463510 18,309,937.50 129,000 x 1 x
Stillwater Mining common stock 86074Q10 6,767,500.00 250,000 x 1 x
STLW Mar 70 Puts Puts 56310095 4,162,500.00 1,000 x 1 x
Sybron Int'l Corp. common stock 87114F10 12,000,000.00 500,000 x 1 x
Synavant Inc. common stock 87157A10 271,780.00 40,640 x 1 x
Target Corp. common stock 87612E10 6,406,250.00 250,000 x 1 x
Tele Norte Leste
Celular common stock 87924610 4,562,500.00 200,000 x 1 x
Telecom Brasilerias common stock 87928730 7,912,500.00 100,000 x 1 x
Telefono Mexico ADR common stock 87940378 13,296,875.00 250,000 x 1 x
Thermo Electron Corp common stock 88355610 18,200,000.00 700,000 x 1 x
Timberland Co. common stock 88710010 12,300,000.00 300,000 x 1 x
Tosco Corp. common stock 89149030 8,071,325.00 258,800 x 1 x
Tut Systems Inc. common stock 90110310 10,781,250.00 125,000 x 1 x
Tyco Intl. common stock 90212410 20,750,000.00 400,000 x 1 x
UAL Corp. common stock 90254950 4,200,000.00 100,000 x 1 x
United
Microelectronics
ADR common stock 91087320 2,968,750.00 250,000 x 1 x
Univision Comm. Inc. common stock 91490610 7,475,000.00 200,000 x 1 x
US Airways Group common stock 91190510 3,454,656.25 113,500 x 1 x
USA Networks Inc. common stock 90298410 10,937,500.00 500,000 x 1 x
UST Inc. common stock 90291110 19,322,512.50 844,700 x 1 x
Venator Group common stock 92294410 15,468,750.00 1,250,000 x 1 x
VerticalNet Inc. common stock 92532L10 8,029,312.50 229,000 x 1 x
Viacom Inc. Class B 92552430 23,400,000.00 400,000 x 1 x
Virata Corp. common stock 92764610 2,036,650.00 30,800 x 1 x
Waste Management Inc common stock 94106L10 24,412,500.00 1,400,000 x 1 x
Weatherford Int'l common stock 94707410 5,357,800.00 124,600 x 1 x
XL Capital Ltd. common stock G9825510 18,375,000.00 250,000 x 1 x
2,067,619,875 67,081,982
</TABLE>
48400002.AQ8